| ▲ | zane_shu 13 hours ago | |
The useful split here seems to be: let the CLI do price lookup and validation, and let the agent decide which diff to make. The thing I’d watch is how visible the source of the estimate is in review — if a PR says “saved $X”, reviewers need to see which prices/rules produced that number. | ||
| ▲ | glenngillen 8 hours ago | parent [-] | |
Exactly! The estimates + cost diffs are expandable in the PR so you can see the working. | ||