Arcadia Finance MCP server
Concentrated liquidity on Uniswap/Aerodrome (rebalance, compound, leverage) or single-sided lending.
5 stars89 downloads/wk
Reviews
Write oneNobody has reviewed Arcadia Finance yet.
If you have run it, two minutes of your experience saves the next person an afternoon.
Arcadia Finance tools (35, 17 write)
write = sends, deletes, buys or postsdev_sendwrite actionFreeDEV ONLY — Sign and broadcast an unsigned transaction using a local private key (PK env var). For production, use a dedicated wallet MCP server (Fireblocks, Safe, Turnkey, etc.) instead of this tool. Takes the transaction object returned by any write.* tool and submits it onchain.
read_account_historyFreeGet an Arcadia account's historical net value over time. Returns a time series of snapshots, oldest first, each `{ timestamp, net_value }` — `timestamp` is unix seconds and `net_value` is USD (human-readable, not raw units). Useful for charting account performance over a period. An empty `history` means the account has no snapshots in the window, not that the read failed.
read_account_infoFreeGet full overview of an Arcadia account: health factor, collateral value, debt, deposited assets, liquidation price, and automation status. Health factor = 1 - (used_margin / liquidation_value): 1 = no debt (safest), >0 = healthy, 0 = liquidation threshold, <0 = past liquidation. Higher is safer. The `automation` object reports which asset managers are enabled (rebalancer, compounder, yield_claimer, cow_swapper, merkl_operator, gas_relayer), each as the position's dex_protocol when protocol-specific or true when account-level, plus `inferred_intents` (the automations those managers add up to), `merkl` claim state, and `deprecated_managers` for any superseded deployment still set on the account. Superseded managers should be cleared: write_account_automations disables them as part of a save. For the full decoded per-manager config use read_asset_manager_current. LP positions in assets[] include a dex_protocol field (slipstream, slipstream_v2, slipstream_v3, staked_slipstream, staked_slipstream_v2, staked_slipstream_v3, uniV3, uniV4). To configure automations, prefer passing the position's id as position_id to write_account_automations, which resolves the protocol and tokens for you; the dex_protocol value is also accepted directly as its `protocol` param. Slipstream V2 is Base-only. V3 is available on Base and Optimism. Unichain supports only Slipstream V1, uniV3, and uniV4. Numeric fields without a _usd suffix are in the account's numeraire token raw units (divide by 10^decimals: 6 for USDC, 18 for WETH, 8 for cbBTC). Fields ending in _usd are in USD with 18 decimals (divide by 1e18). health_factor is unitless. Asset amounts are raw token units. To list all accounts for a wallet, use read_wallet_accounts.
read_account_pnlFreeGet PnL (cost basis) and yield earned for an Arcadia account. Returns lifetime totals: cost basis vs current value (negative cost_basis = net profit withdrawn), net transfers per token, total yield earned in USD and per token. cost_basis, current_value, cost_diff are in USD (human-readable). Per-token fields (net_transfers, summed_yields_earned) are in raw token units.
read_asset_listFreeList supported collateral assets on Arcadia. Returns compact list (address, symbol, decimals, type). Use search to filter by symbol substring. For USD prices, use read_asset_prices.
read_asset_manager_currentFreeRead which asset managers are currently enabled on an account, with their decoded on-chain configuration. Returns the active managers (address, protocol, initiator, decoded strategy metadata, slippage and value-loss caps, fee recipient), the intents they map to, and Merkl claim state including whether reward tokens still need registering. Managers from superseded deployments are listed separately under `deprecated`: pass their addresses to write_account_automations_delta to clear them, or run write_account_automations which disables them as part of the save. read_ok is false when chain state could not be read, in which case the result is unreliable rather than empty.
read_asset_manager_intentsFreeList the automation intents Arcadia supports, with the parameters each one accepts. Pass account_address to also get per-account availability: which intents can be enabled right now and, for any that cannot, the compatibility rule blocking it. Pass position_id as well to scope availability to one LP position. Without account_address this returns the catalog only.
read_asset_pricesFreeGet USD prices for one or more asset addresses. Pass a single address or comma-separated addresses. Returns a price map keyed by address.
read_guidesFreeGet Arcadia workflow guides and reference documentation. Call this before multi-step workflows (opening LP positions, enabling automation, closing positions) or when you need contract addresses, asset manager addresses, or strategy parameters. Topics: overview (addresses + tool catalog), automation (intent-based automation setup), strategies (step-by-step templates), selection (how to evaluate and parameterize strategies).
read_point_leaderboardFreeGet the Arcadia points leaderboard (paginated). For a specific wallet's points balance, use read_wallet_points.
read_pool_infoFreeGet detailed info for a single lending pool including APY history over time. Useful for analyzing rate trends and comparing pools. Use read_pool_list to discover pool addresses.
read_pool_listFreeList all Arcadia lending pools: TVL, utilization, available liquidity. Key fields: interest_rate = current borrow cost, lending_apy = lender yield. All rates are decimal fractions (1.0 = 100%, 0.06 = 6%). For APY history on a specific pool, use read_pool_info.
read_strategy_infoFreeGet full detail for a specific LP strategy by ID — includes APY per range width (narrower range = higher APY but more rebalancing cost/risk), pool info, and configuration. Use read_strategy_list to discover strategy IDs. All APY values are decimal fractions (1.0 = 100%, 0.05 = 5%).
read_strategy_listFreeGet Arcadia LP strategies. Use featured_only=true for curated top strategies (recommended first call). Returns a paginated list with 7d avg APY for each strategy's default range. Increase limit or use offset for pagination. All APY values are decimal fractions (1.0 = 100%, 0.05 = 5%). For full detail on a specific strategy (APY per range width), use read_strategy_info.
read_strategy_recommendationFreeGet a rebalancing recommendation for an Arcadia account — suggests asset changes to optimize yield. Uses 1d APY (not 7d like read_strategy_list), so recommended strategies may differ from the list ranking. APY values are decimal fractions (0.05 = 5%). weekly_earning_difference is in USD.
read_wallet_accountsFreeList all Arcadia accounts owned by a wallet address. Returns a summary of each account (address, name). Call read_account_info with a specific account_address for full details like health factor, collateral, and debt.
read_wallet_allowancesFreeCheck ERC20 token allowances for a spender address. Use before write_wallet_approve to avoid redundant approvals — skip approving if the current allowance is already sufficient.
read_wallet_balancesFreeGet native ETH and ERC20 token balances for a wallet address. Reads directly from chain via RPC multicall. Use before write_account_add_liquidity or write_account_deposit to verify the wallet has sufficient tokens. Returns both raw balance (smallest unit/wei) and formatted (human-readable) per token.
read_wallet_pointsFreeGet Arcadia points balance for a specific wallet address.
write_account_add_liquiditywrite actionFreeMulti-step flash-action: atomically combines [deposit from wallet] + [use account collateral] + [swap to optimal ratio] + [mint LP] + [borrow if leveraged] in ONE transaction. Do NOT call write_account_deposit separately. Capital sources: wallet tokens (deposits array), existing account collateral (use_account_assets=true), or both. Check allowances first (read_wallet_allowances), then approve if needed (write_wallet_approve). Supports depositing multiple tokens and minting multiple LP positions in one tx. Works with both margin accounts (can leverage) and spot accounts (no leverage). For workflows, call read_guides('strategies'). The returned calldata is time-sensitive — sign and broadcast within 30 seconds. If the transaction reverts due to price movement, rebuild and sign again immediately (retry at least once before giving up). Response includes tenderly_sim_url and tenderly_sim_status for pre-broadcast validation. expected_value_change is in raw units of the account's numeraire token (6 decimals for USDC, 18 for WETH). Negative = cost to open, positive = value gained. Compare before.total_account_value and after.total_account_value for the full picture.
write_account_automationswrite actionFreeConfigure an account's automations from a list of intents and return the unsigned setAssetManagers transaction. The backend resolves which asset managers each intent needs, validates that the combination is compatible, encodes the metadata and builds the calldata, so you describe the desired outcome rather than the contracts. With mode 'save' (the default) the intents array is the complete desired state: the backend diffs it against what is currently enabled, so any automation you leave out is DISABLED by the returned transaction. Pass a single intent with enabled: false to turn everything off. Mode 'preview' validates and resolves the intents WITHOUT reading chain state and returns no transaction, because its calldata carries no disable entries and would only partially apply the state. Use it to check a combination is legal or to show a plan; use 'save' to get something signable. To toggle one automation without restating the rest, use write_account_automations_delta. Intents: - compound_fees: reinvest earned fees/rewards back into the LP. Optional 'tokens' scopes it per yielding token. A staked reward that is not a pool token is swapped in via CowSwap automatically. - claim_rewards: claim yield out. config.mode as_earned pays the tokens as-is, convert_to swaps them to config.buy_token via CowSwap. config.convert_tokens converts only a subset and claims the rest as-earned. config.destination account or wallet. - add_to_lp: fold idle pool-token balances (deposits, rebalance leftovers) back into the LP. Opt-in per token. - claim_merkl: auto-claim Merkl incentive rewards. Independent of the compounder/claimer/cowswapper triad and needs no position context. - rebalance: reposition the LP. strategy out_of_range (default), take_profit (runs on the dedicated profit-taker contract), or protocol_owned_liquidity. Pass position_id (from assets[] in read_account_info) and the backend fills in protocol, is_staked, token0, token1 and reward_tokens for you; anything you pass explicitly wins. claim_merkl needs no position context. Rules the backend enforces (a violation is returned as an error, never written on-chain): - Every yielding token must be assigned to exactly one of compound_fees or claim_rewards. Scoping one to a subset without covering the rest is rejected, and no token may be in both. - A wallet or custom-recipient payout requires a pure as-earned claim: nothing converted, and every yielding token claimed. Converts settle in the account. - convert_tokens must be a subset of the claimed tokens, and buy_token cannot be a compounded token, a converted token, or an add_to_lp folded token. - Each intent kind may appear only once, and a token list must not be empty or name a token the position does not yield. Returns { valid, errors, warnings, human_summary, plan, diff, transaction }. When a compatibility rule fires the call returns an error and no transaction: read errors[].reason, adjust the intents and retry. There is deliberately no transaction when the account already matches the request (no_changes_needed), when the Tenderly simulation predicts a revert (an error), or in preview mode (preview_only). Call read_asset_manager_intents first to see which intents this account can enable.
write_account_automations_deltawrite actionFreeApply an explicit change to an account's automations and return the unsigned setAssetManagers transaction. Unlike write_account_automations this is a delta, not a full desired state: automations you do not mention are left untouched. Use it to switch one automation on or off without restating the others. The enable array takes intents to switch on (same shapes as write_account_automations). To turn an automation OFF, call read_asset_manager_current, take the address of the manager serving it, and pass that address in the disable array: an intent with enabled: false in `enable` is rejected because the backend would ignore it. Superseded or unreadable managers still set on the account are force-disabled in the same transaction regardless. Intents: - compound_fees: reinvest earned fees/rewards back into the LP. Optional 'tokens' scopes it per yielding token. A staked reward that is not a pool token is swapped in via CowSwap automatically. - claim_rewards: claim yield out. config.mode as_earned pays the tokens as-is, convert_to swaps them to config.buy_token via CowSwap. config.convert_tokens converts only a subset and claims the rest as-earned. config.destination account or wallet. - add_to_lp: fold idle pool-token balances (deposits, rebalance leftovers) back into the LP. Opt-in per token. - claim_merkl: auto-claim Merkl incentive rewards. Independent of the compounder/claimer/cowswapper triad and needs no position context. - rebalance: reposition the LP. strategy out_of_range (default), take_profit (runs on the dedicated profit-taker contract), or protocol_owned_liquidity. Pass position_id (from assets[] in read_account_info) and the backend fills in protocol, is_staked, token0, token1 and reward_tokens for you; anything you pass explicitly wins. claim_merkl needs no position context. Rules the backend enforces (a violation is returned as an error, never written on-chain): - Every yielding token must be assigned to exactly one of compound_fees or claim_rewards. Scoping one to a subset without covering the rest is rejected, and no token may be in both. - A wallet or custom-recipient payout requires a pure as-earned claim: nothing converted, and every yielding token claimed. Converts settle in the account. - convert_tokens must be a subset of the claimed tokens, and buy_token cannot be a compounded token, a converted token, or an add_to_lp folded token. - Each intent kind may appear only once, and a token list must not be empty or name a token the position does not yield.
write_account_borrowwrite actionFreeBuild an unsigned transaction to borrow from an Arcadia lending pool against account collateral. NOT needed for leveraged LP — write_account_add_liquidity handles borrowing internally when leverage > 0. Only works with margin accounts (created with a creditor/lending pool). Spot accounts (no creditor) cannot borrow — the tool will validate this and reject. Before borrowing, verify the account has positive free margin via read_account_info: collateral_value must exceed used_margin.
write_account_closewrite actionFreeAtomic flash-action that closes an Arcadia account position in ONE transaction. Combines up to 3 steps atomically: [burn LP position] + [swap all tokens to a single target asset] + [repay debt]. Tokens remain in the account after closing — use write_account_withdraw to send them to your wallet. ALWAYS try this tool first when closing/exiting a position. Only fall back to individual tools (write_account_remove_liquidity, write_account_swap, write_account_deleverage, write_account_withdraw) if this tool fails. Supports two modes: - close_lp_only=true: Burns LP and leaves underlying tokens in the account. Use as step 1 if the full close fails, then call again with close_lp_only=false to swap+repay the remaining tokens. - close_lp_only=false (default): Full atomic close — burns LP, swaps everything to receive_assets, repays debt. Remaining tokens stay in the account. Follow up with write_account_withdraw to send to wallet. Supports multiple receive assets with custom distribution. The returned calldata is time-sensitive — sign and broadcast within 30 seconds. If the transaction reverts due to price movement, rebuild and sign again immediately (retry at least once before giving up). Response includes tenderly_sim_url and tenderly_sim_status for pre-broadcast validation.
write_account_createwrite actionFreeBuild an unsigned transaction to create a new Arcadia account via the Factory contract. account_version: 3 with creditor → V3 margin account (can borrow/leverage). account_version: 0 or 4 → V4 spot account (no borrowing, creditor is ignored, any ERC20 allowed). Returns the predicted account address (deterministic via CREATE2).
write_account_deleveragewrite actionFreeMulti-step flash-action: sells account collateral to the debt token and repays in one atomic transaction — no wallet tokens needed. To repay from wallet tokens instead, use write_account_repay. NOTE: If you are closing a position (remove LP + swap + repay + withdraw), prefer write_account_close which batches everything atomically. Only use this tool for standalone repayment while keeping the position active. The returned calldata is time-sensitive — sign and broadcast within 30 seconds. If the transaction reverts due to price movement, rebuild and sign again immediately (retry at least once before giving up). Response includes tenderly_sim_url and tenderly_sim_status for pre-broadcast validation — if tenderly_sim_status is 'false', do NOT broadcast the transaction.
write_account_depositwrite actionFreeBuild an unsigned transaction to deposit assets into an Arcadia account as collateral. Supports ERC20 tokens and ERC721 NFTs (LP positions). NOT needed before write_account_add_liquidity — that tool deposits from wallet atomically. Ensure the account is approved first (call read_wallet_allowances to check, then write_wallet_approve if needed). Account version is auto-detected on-chain (override with account_version if needed).
write_account_remove_liquiditywrite actionFreeFlash-action: PARTIALLY decreases liquidity from an LP position. The position remains open with reduced liquidity; underlying tokens stay in the account. For FULL position exit (burn LP + swap + repay + withdraw), use write_account_close instead — it batches everything into one atomic transaction. The returned calldata is time-sensitive — sign and broadcast within 30 seconds. If the transaction reverts due to price movement, rebuild and sign again immediately (retry at least once before giving up). Response includes tenderly_sim_url and tenderly_sim_status for pre-broadcast validation.
write_account_repaywrite actionFreeRepay debt to an Arcadia lending pool using tokens from the wallet (requires ERC20 allowance). To repay using account collateral instead (no wallet tokens needed), use write_account_deleverage. Check allowance first (read_wallet_allowances), then approve the pool if needed (write_wallet_approve). Check outstanding debt with read_account_info.
write_account_stakewrite actionFreeFlash-action: stake, unstake, or claim rewards for an LP position in one atomic transaction. Use the `action` parameter to select the operation. `asset_address` is the position manager contract — pass the non-staked PM address when staking, or the staked PM address when unstaking. The returned calldata is time-sensitive — sign and broadcast within 30 seconds. If the transaction reverts due to price movement, rebuild and sign again immediately (retry at least once before giving up). Tenderly simulation may not be available for this endpoint — verify the position exists with read_account_info before signing.
write_account_swapwrite actionFreeFlash-action: swaps assets within an Arcadia account in one atomic transaction. The backend finds the optimal swap route. NOTE: If you are closing a position (swap + repay + withdraw), prefer write_account_close which batches everything atomically. Only use this tool for standalone swaps within an active position. The returned calldata is time-sensitive — sign and broadcast within 30 seconds. If the transaction reverts due to price movement, rebuild and sign again immediately (retry at least once before giving up). Response includes tenderly_sim_url and tenderly_sim_status for pre-broadcast validation — if tenderly_sim_status is 'false', do NOT broadcast the transaction.
write_account_withdrawwrite actionFreeBuild an unsigned transaction to withdraw assets from an Arcadia account to the owner's wallet. Only the account owner can withdraw. Will revert if the account has debt and withdrawal would make it undercollateralized. Does not support max_uint256 — pass exact amounts from read_account_info. Account version is auto-detected on-chain (override with account_version if needed).
write_pool_depositwrite actionFreeBuild an unsigned deposit transaction into an Arcadia lending tranche (ERC-4626). Lenders deposit the pool's underlying asset (USDC/WETH/cbBTC) and receive tranche shares that accrue interest from borrowers. Requires prior ERC-20 approval to the tranche (see write_wallet_approve). To check current lender yield, call read_pool_list or read_pool_info.
write_pool_redeemwrite actionFreeBuild an unsigned redeem transaction to withdraw from an Arcadia lending tranche (ERC-4626). Burns tranche shares and returns the corresponding amount of underlying asset, including accrued interest. The owner must be the shares holder; receiver is where the underlying asset is sent.
write_wallet_approvewrite actionFreeBuild an unsigned approval transaction. For ERC20 tokens: generates approve(spender, amount). For ERC721/ERC1155 NFTs (e.g. LP positions): generates setApprovalForAll(operator, true). Required before write_account_deposit or write_account_add_liquidity (when depositing from wallet). Tip: call read_wallet_allowances first to check if approval already exists — skip this if the current allowance is sufficient.
Public scan report
scanner v0.1.9 · 2026-09-23 · same rubric, same numbers if you re-run it
- Code scan65 source files scanned25/25
- Live reliabilityremote reachable in 2592ms17/20
- Tool poisoning35 tool descriptions checked13/15
- Auth qualityopen endpoint exposes 17 write-action tools with no auth3/15
- Maintenancelast push 22 days ago15/15
- Maintainer identityregistry namespace matches repository owner; GitHub account older than a year9/10
Findings (2)
- highWrite-action tools reachable without authentication
auth.open-write - lowUnusually long tool description (over 2,000 characters)
poison.long-descriptiontool write_account_automations: …Configure an account's automations from a list of intents and return the unsigned setAssetManagers transaction. The backend resolves which asset managers each intent needs, validates that the combination is compatible, encodes the metadata and builds the calldata, so you describe the desired outcome rather than the contracts. With mode 'save' (the default) the intents array is the complete desired state: the backend diffs it against what is currently enabled, so any automation you leave out is DISABLED by the returned transaction. Pass a single intent with enabled: false to turn everything off. Mode 'preview' validates and resolves the intents WITHOUT reading chain state and returns no transaction, because its calldata carries no disable entries and would only partially apply the state. Use it to check a combination is legal or to show a plan; use 'save' to get something signable. To toggle one automation without restating the rest, use write_account_automations_delta. Intents: - compound_fees: reinvest earned fees/rewards back into the LP. Optional 'tokens' scopes it per yielding token. A staked reward that is not a pool token is swapped in via CowSwap automatically. - claim_rewards: claim yield out. config.mode as_earned pays the tokens as-is, convert_to swaps them to config.buy_token via CowSwap. config.convert_tokens converts only a subset and claims the rest as-earned. config.destination account or wallet. - add_to_lp: fold idle pool-token balances (deposits, rebalance leftovers) back into the LP. Opt-in per token. - claim_merkl: auto-claim Merkl incentive rewards. Independent of the compounder/claimer/cowswapper triad and needs no position context. - rebalance: reposition the LP. strategy out_of_range (default), take_profit (runs on the dedicated profit-taker contract), or protocol_owned_liquidity. Pass position_id (from assets[] in read_account_info) and the backend fills in protocol, is_staked, token0, token1 and reward_tokens for you; anything you pass explicitly wins. claim_merkl needs no position context. Rules the backend enforces (a violation is returned as an error, never written on-chain): - Every yielding token must be assigned to exactly one of compound_fees or claim_rewards. Scoping one to a subset without covering the rest is rejected, and no token may be in both. - A wallet or custom-recipient payout requires a pure as-earned claim: nothing converted, and every yielding token claimed. Converts settle in the account. - convert_tokens must be a subset of the claimed tokens, and buy_token cannot be a compounded token, a converted token, or an add_to_lp folded token. - Each intent kind may appear only once, and a token list must not be empty or name a token the position does not yield. Returns { valid, errors, warnings, human_summary, plan, diff, transaction }. When a compatibility rule fires the call returns an error and no transaction: read errors[].reason, adjust the intents and retry. There is deliberately no transaction when the account already matches the request (no_changes_needed), when the Tenderly simulation predicts a revert (an error), or in preview mode (preview_only). Call read_asset_manager_intents first to see which intents this account can enable.…
What the publisher says
From the Arcadia Finance repository's README, as published. We do not edit it. Read it on GitHub
Arcadia Finance MCP Server
MCP server for Arcadia Finance, a platform for concentrated liquidity on Uniswap and Aerodrome with automated rebalancing, compounding, yield optimization, and leverage, or single-sided liquidity into lending pools. Read protocol data and build unsigned transactions for LP management, borrowing, deposits, and more.
Designed for AI agents (Claude, Cursor, etc.) to interact with Arcadia onchain.
Install
Tools
Read Tools
Shortened. The full README is on GitHub.
Nothing above is checked by us. What we check is on the safety report.
Install directly
claude mcp add --transport http mcp-server https://mcp.arcadia.finance/mcp
Arcadia Finance: common questions
- Is Arcadia Finance MCP server safe?
- Mostly: it is graded B (82/100). Read the Arcadia Finance safety report
- How do I install Arcadia Finance?
- It runs remotely at mcp.arcadia.finance. Add it to Claude Code, Claude Desktop or Cursor with the snippets above, or call it through the mcp.market gateway without installing anything.
- Does Arcadia Finance need an API key?
- Yes. The registry entry asks for
RPC_URL_BASE,RPC_URL_UNICHAIN,RPC_URL_OPTIMISM,PK. - Is Arcadia Finance maintained?
- The last commit was 23 days ago (2026-09-01). The latest release is v0.5.1.
- Is Arcadia Finance up?
- 100% of our last 21 checks got an answer. We check remote servers about four times a day.
- What can I use instead of Arcadia Finance?
- Servers from other publishers that do the same job: Yahoo Finance MCP server, Agent402.Tools: pay-per-call web tools MCP server and Yahoo Finance MCP server. Compare all Arcadia Finance alternatives.
Alternatives to Arcadia Finance
Same job from other publishers: the closest match first, then the best rated.
- Yahoo FinanceAccess Yahoo Finance stock data, news, screeners, options, financials, and charts through MCP.not reviewedEstablishedA
- Agent402.Tools: pay-per-call web toolsAgentic Finance: 500+ agent tools, multi-chain USDC over x402 or MPP, free via PoW or card creditsnot reviewedEstablishedA
- Yahoo FinanceReal-time Yahoo Finance data: quotes, history, financials, analyst ratings, options, and news.not reviewedGrowingA
- HPSILab Quant FinanceHPSILab Quant finance MCP for US stocks, ETFs, options, Monte Carlo, backtesting, and risk analysis.not reviewedGrowingA
ITIN FinanceVerified ITIN lender directory + 290 bilingual guides on US loans, cards & credit without an SSN.not reviewedGrowingA