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Vault and accounting logic separation

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Assessment

Difficulty
4/5
Estimated time
3-5 days
Newbie friendliness
35/100
Issue type
Documentation
Clarity
Mostly clear
Activity status
Stale
Domain
documentation

Research direction

Start with the linked Vault documentation page and trace the documented interactions between the Vault and pools. Done means adding a high-level explanation of how token accounting is separated from pool logic, optionally supported by a diagram covering the possible Vault–Pool interactions.

Written by the indexing model from the issue text.

Description

enhancement

Vault
It states that Token Accounting and Pool Logic are separated but it is not explained how. I think it is important to have at least high level understanding how exactly accounting is separated from pool logic. Maybe a diagram displaying all possible interactions between Vault and Pool can shed light on this.

Dominant language
Vue
Stars
45
Forks
122
PR merge metrics
No merged PRs in 30d

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