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io.github.theluckystrike/fixed-assets

MCPB · ASSET-REGISTER.MCPB · SCANNED SEP 20

Keep a fixed asset register: cost, depreciation to date, disposals and net book value.

+6 this week 53 Trust /100
Trust breakdown (7 categories)

How this component scores in each security and reliability category. Every signal is checked automatically from public evidence about the published package, including repeated runs of it in an isolated sandbox, and we only credit what we can confirm. How we score → Why this is hard to score →

Supply Chain Security23
  • Malware scan not yet available for this package.Unverified
  • Known CVEs were checked across the 96 of 96 dependencies we could resolve, so this covers what we could see, not the whole tree.Partial
  • No install/post-install scripts declared.Pass
  • 31 of 96 dependencies flagged as unhealthy. View diagnostics → Partial
Provenance & Transparency45
Schema Quality & AI Usability82
  • 100% of prompts and resources have a non-trivial description (not blank, and not just the item's name).Pass
  • AI-judged instruction clarity (excellent).Pass
  • Context-footprint check failed: tool/resource definitions use about 1581 tokens (~158/item across 10 items; 9 tools + 1 resources), over budget; trim descriptions and params. See how to fix → Fail
  • Usage-examples check failed: none of the tools include examples. See how to fix → Fail
Stability & Change Management43
  • Stability observed for 13 of 30 days with no destabilising changes; credit accrues until the full window elapses.Partial
Tool Coverage99
  • 100% of tools have a non-trivial description (not blank, and not just the tool's name).Pass
  • 98% of tool parameters carry a description.Partial
Tool Safety75
  • No prompt-injection markers were found in the server instructions, tool names or descriptions we captured.Pass
  • 0 of 1 tool(s) whose name or description implies an irreversible operation declare an MCP destructiveHint annotation; "asset_delete" implies "delete" and declares no destructiveHint at all, which the MCP spec reads as destructive by default. See how to fix → Fail
  • An AI judge read all 10 captured unit(s) of tool text and found none that tries to manipulate the model reading it.Pass
Capabilities100
  • Implements a supported MCP spec version (2025-11-25); the latest is 2026-07-28.Pass
Install

Add this component to your MCP client. Where a client-specific snippet is available, pick your client below and copy it straight into your config; otherwise use the connection detail shown.

mcpb · asset-register.mcpb

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Changelog

Every change we have recorded for this component, newest first. Security-relevant changes are always shown. ▲ marks a change for the better, ▼ a change for the worse; unmarked changes are neutral.

  • 19 Sept 26 +1

    No change was recorded against any check on this day. Stability & Change Management went from 37 to 40. That category is still filling its 30-day observation window: 11 days of observed history at the previous scan, 12 at this one. The score rises as the window fills, whether or not the server changes.

  • 17 Sept 26 +1

    No change was recorded against any check on this day. Stability & Change Management went from 30 to 33. That category is still filling its 30-day observation window: 9 days of observed history at the previous scan, 10 at this one. The score rises as the window fills, whether or not the server changes.

  • 15 Sept 26 +4
    • Stability: unverified → 0.27 functional
  • 7 Sept 26 47

    First indexed and scored.

Diagnostics

Diagnostic detail from the automated scan of this channel: what the scanner observed at each step, so you can see exactly where a check passed or failed. It is informational only and never changes the trust score.

Captured 20 Sept 2026 · Analysed mcpb/https://github.com/theluckystrike/mcp-servers/releases/download/v0.21.0/asset-register.mcpb@0.21.0

Provenance No attestation

The registry publishes no build provenance for this version, so there is nothing to verify.

Result No attestation
Ecosystem mcpb

Background: How many MCP packages publish verified provenance →

Dependencies 96 packages
Packages resolved 96
Stale 31
Tree resolution Complete

Background: SBOMs and build attestations, explained →

MCP tools · 9 exposed · ~1,546 tokens

The tools this component advertises to a client, with an estimated token cost for each. Expand a tool to see its parameters and schema. The per-tool counts are indicative and are not scored directly; the schema's total context footprint is one signal in Schema Quality & AI Usability. A tool's description is untrusted text the model reads on every call, which is what makes this list a security surface and not just an inventory: how tool poisoning works →

Tool Tokens
asset_add ~466

Add one fixed asset to the register and return its id with the rate, useful life and convention taken from the bundled tax table. Cost and residual are whole minor units. Free tier holds ten assets.

NameTypeReqDescription
categorystringyesA code or name from the bundled table, e.g. "487" or "Computers and computer sets" (pl), "main" (uk), "5-year" (us). Read assets://categories for the list
cost_minorintegeryesAcquisition cost in MINOR units (integer cents/grosze), e.g. 549900 for 5499.00. Never a decimal
currencystringISO code. Defaults to the shared business profile currency, else the scheme table currency
declining_coefficientnumberDeclining-balance coefficient. Polish default 2.0, capped by the table; ignored with straight-line
in_service_datestringISO date YYYY-MM-DD the asset entered use and the register. Defaults to purchase_date
life_yearsnumberOverride the useful life derived from the table, in years. The answer reports that it was an override
methodstring"straight-line" or "declining-balance". Default: the table row method, straight-line for the Polish annex and the reducing-balance pool rate for the UK
namestringyesWhat the asset is, e.g. "MacBook Pro 16" or "Delivery van"
notestring
projectstringProject, department or cost centre this asset belongs to
purchase_datestringyesISO date YYYY-MM-DD the asset was bought
rate_pctnumberOverride the annual percentage derived from the table. Use for a lowered Polish rate under art. 16i
residual_minorintegerResidual or salvage value in MINOR units, default 0. Must be less than cost. MACRS ignores it and the answer says so
schemestring"pl" Polish KST annex rates, "uk" HMRC capital allowance pools, "us" IRS MACRS GDS. Omit to derive it from the shared business profile currency

No output schema declared.

No examples provided.

asset_delete ~77

Remove one asset from the register when nothing depends on it: not disposed of, never journaled. Its free-tier slot is free again. An asset with a dependent is refused and the dependent is named. Free.

NameTypeReqDescription
assetstringyesAsset id such as ASSET-2026-0001, or an exact or partial name

No output schema declared.

No examples provided.

asset_dispose ~146

Record the sale, scrapping or write-off of an asset on a date for a proceeds amount, and return the gain or loss against net book value at that date. Free.

NameTypeReqDescription
assetstringyesAsset id such as ASSET-2026-0001, or an exact or partial name
datestringyesISO date YYYY-MM-DD the asset left the business. It cannot be before the in-service date
notestringWhat happened, e.g. sold to a dealer, written off after a fire
proceeds_minorintegerSale proceeds in MINOR units, default 0 for a scrapping or a write-off

No output schema declared.

No examples provided.

asset_journal ~157

Return the depreciation journal for one month: debit depreciation expense and credit accumulated depreciation, per asset and in total, plus an expense_add-ready payload per currency. It writes no expense. Pro.

NameTypeReqDescription
accumulated_accountstringCredit account name. Default "Accumulated depreciation"
categorystringExpense category to put on the expense_add payload. Default "depreciation"
expense_accountstringDebit account name. Default "Depreciation expense"
monthstringyesThe month to journal, YYYY-MM. A date YYYY-MM-DD is read as its month
projectstringOnly assets on this project or cost centre
schemestringOnly assets on this tax scheme

No output schema declared.

No examples provided.

asset_list ~161

List the assets in the register with cost, method, rate and net book value at a date, filtered by scheme, category, project, currency or disposal state. Free and unlimited.

NameTypeReqDescription
as_ofstringValue the register at this month or date, YYYY-MM or YYYY-MM-DD. Default today
categorystringOnly assets in this table category code or name
currencystringOnly assets held in this currency
include_disposedbooleanInclude assets already disposed of. Default false
limitintegerMaximum rows, default and ceiling 2000
projectstringOnly assets on this project or cost centre
schemestringOnly assets on this tax scheme

No output schema declared.

No examples provided.

asset_report ~127

Report net book value by category and currency at a date, the year's depreciation charge, and every disposal in the year with its gain or loss. Pro.

NameTypeReqDescription
as_ofstringValue the register at this month or date, YYYY-MM or YYYY-MM-DD. Default the last day of the year
projectstringOnly assets on this project or cost centre
schemestringOnly assets on this tax scheme
yearintegerCalendar year to report, e.g. 2026. Default the year of as_of, else this year

No output schema declared.

No examples provided.

asset_schedule ~347

Build the depreciation schedule for a stored asset, or price one not yet in the register, per year or per month, to zero or residual, with the table convention applied and the periods summing exactly to the base. Free.

NameTypeReqDescription
assetstringAsset id such as ASSET-2026-0001, or an exact or partial name. Omit and pass the fields below to price an asset that is not in the register
categorystringTable category code or name, when pricing an asset that is not in the register
cost_minorintegerCost in MINOR units, when pricing an asset that is not in the register
currencystringISO code, when pricing an asset that is not in the register
declining_coefficientnumberDeclining-balance coefficient; ignored with straight-line
granularitystring"year" for one row per period, "month" for the monthly charge. Default "year"
in_service_datestringISO date YYYY-MM-DD the asset entered use. Defaults to purchase_date
life_yearsnumberOverride the useful life from the table, in years
methodstring"straight-line" or "declining-balance"
purchase_datestringISO date YYYY-MM-DD, when pricing an asset that is not in the register
rate_pctnumberOverride the annual percentage from the table
residual_minorintegerResidual in MINOR units, default 0
schemestringScheme, when pricing an asset that is not in the register

No output schema declared.

No examples provided.

license_activate ~42

Activate a Pro license key (format MCPL1.xxx.yyy). Verified offline and saved locally.

NameTypeReqDescription
keystringyesLicense key from the checkout confirmation page

No output schema declared.

No examples provided.

license_status ~23

Show whether this server runs in free or Pro mode and where to upgrade.

Input schema present but exposes no named parameters.

No output schema declared.

No examples provided.

Common questions

What is the io.github.theluckystrike/fixed-assets MCP server?

io.github.theluckystrike/fixed-assets is an MCP server listed in the public MCP registry as io.github.theluckystrike/fixed-assets. Keep a fixed asset register: cost, depreciation to date, disposals and net book value. This page covers its MCPB bundle (https://github.com/theluckystrike/mcp-servers/releases/download/v0.21.0/asset-register.mcpb).

Is the io.github.theluckystrike/fixed-assets MCP server safe to use?

io.github.theluckystrike/fixed-assets scores 53 out of 100 on VerifyMCP. It declares no install or post-install scripts. That is a record of what we were able to check automatically, not an endorsement. The category breakdown on this page shows every signal behind the number, including the ones we could not confirm.

What tools does the io.github.theluckystrike/fixed-assets MCP server expose?

io.github.theluckystrike/fixed-assets exposes 9 tools: asset_add, asset_list, asset_schedule, asset_journal, asset_dispose, and 4 more. Their descriptions and schemas cost roughly 1,546 tokens of context every time the server is loaded.

What licence is the io.github.theluckystrike/fixed-assets MCP server under?

io.github.theluckystrike/fixed-assets declares the MIT licence, which is OSI-approved. That covers the source only, and says nothing about the cost of any service it calls.