Closes the gap where agents identify will deficiencies without applying the governing jurisdiction’s interested witness rule precisely, analyzing testamentary capacity through medical and medication evidence, addressing the divorce–beneficiary designation disconnect, and identifying an executor–trustee–beneficiary conflict’s specific implication for estate administration choices.
Scanned 9/11/2026
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---
name: identify-issues-in-last-will-and-testament
task_id: trusts-estates-private-client/identify-issues-in-last-will-and-testament
description: Closes the gap where agents identify will deficiencies without applying the governing jurisdiction’s interested witness rule precisely, analyzing testamentary capacity through medical and medication evidence, addressing the divorce–beneficiary designation disconnect, and identifying an executor–trustee–beneficiary conflict’s specific implication for estate administration choices.
activates_for: [planner, solver, checker]
---
# Skill: Identify Issues in Last Will and Testament
## 1. Subject-matter triage
- Treat the will as the core instrument, but review the full estate packet for execution notes, witness information, medical records, family-status documents, beneficiary designations, and any trust or tax-allocation provisions that affect disposition.
- If the source set includes multiple versions, codicils, or contemporaneous instruments, identify the operative document first and analyze conflicts in temporal order.
- If only one of a category appears in the packet, state that explicitly before analyzing it; do not assume missing records, missing witnesses, or missing beneficiary forms.
## 2. Failure modes the skill is correcting
- Misapplying the interested witness rule by treating a witness-beneficiary's gift as automatically void or automatically valid without applying the governing jurisdiction’s rule to that witness’s bequest.
- Identifying a testamentary capacity concern without anchoring it to execution-time evidence, such as attorney observations, medical notes, cognition findings, medication effects, or contemporaneous behavior.
- Failing to distinguish revocation effects on testamentary gifts to a former spouse from treatment of beneficiary designations on non-probate assets.
- Treating a person’s simultaneous roles as executor, trustee, and beneficiary as a generic conflict without identifying the specific administration choice where self-interest may distort the decision.
- Overlooking predeceased beneficiaries, lapsed gifts, residuary consequences, and anti-lapse treatment.
- Failing to align the will with other estate documents that may control particular assets or alter the distribution scheme.
- Stating a legal concern as a conclusion without naming the rule or authority that supports it.
- Recommending “review” or “monitor” without a concrete action, responsible role, and timing anchor.
## 3. Legal frameworks / domain conventions that apply
- Interested witness rule: apply the governing state rule to any witness who is also a beneficiary, including whether the bequest is reduced, preserved, or affected by the number of disinterested witnesses; cite the applicable statute, probate code provision, or controlling case from the governing jurisdiction.
- Testamentary capacity: evaluate whether, at execution, the testator understood the act of making a will, the natural objects of bounty, the property owned, and the disposition being made; rely on execution-date attorney notes, medical documentation, medication effects, and nearby events rather than later speculation; cite the controlling capacity standard.
- Undue influence and contestation risk: if the source materials suggest dependence, isolation, susceptibility, or sudden shifts in dispositive scheme, identify the contest theory and the facts supporting it; cite the relevant state doctrine or presumption if one is implicated.
- Anti-lapse and lapse: where a beneficiary predeceases the testator, determine whether the jurisdiction’s anti-lapse statute saves the gift, whether the named beneficiary’s descendants take, or whether the gift falls into residue or intestacy; cite the statute or controlling common-law rule.
- Divorce and revocation: apply the jurisdiction’s revocation-on-divorce statute or common-law rule to testamentary gifts and fiduciary appointments, and separately assess whether non-probate beneficiary designations are governed by plan documents, contract terms, or other controlling law.
- Non-probate assets: beneficiary designations for retirement accounts, life insurance, transfer-on-death accounts, and similar assets must be cross-checked against the will because they may control outside probate.
- Charitable and institutional gifts: test whether the named recipient is sufficiently identifiable under the governing law; if the name is imprecise, assess whether extrinsic evidence can resolve the ambiguity.
- Tax allocation and fiduciary conflict: evaluate whether any apportionment clause, administration power, or allocation decision creates a self-interested choice for a person serving in multiple fiduciary and beneficial capacities; cite the governing tax-apportionment rule or fiduciary-duty principle.
- Prenuptial or postnuptial agreements: if present, compare them to the dispositive scheme and flag any inconsistency affecting spousal rights or disclaimers.
- Execution formalities: where the packet includes attestation, self-proving, or acknowledgment materials, check whether the execution record supports formal validity under the governing statute.
## 4. Analytical scaffolds
1. Identify the governing jurisdiction from the source documents if stated; if not, flag the need to confirm the governing law before final conclusions where the rule may vary by state.
2. List each witness, beneficiary, fiduciary, spouse/former spouse, and named recipient separately before analyzing interactions among them.
3. For each issue, state:
- the controlling rule or authority,
- the factual trigger in the source documents,
- the contestation or administration consequence,
- the recommended protective or corrective step.
4. For execution-capacity issues, anchor the analysis to the execution window:
- attorney or notary observations at signing,
- nearby medical evaluations,
- medication lists or side-effect warnings,
- any diagnosis or hospitalization proximate to execution.
5. For beneficiary issues, compare the will against:
- non-probate designation forms,
- family-status changes,
- any revocation or disclaimer documents,
- any later instrument that may alter disposition.
6. For lapse issues, trace the path of the gift:
- direct devise,
- anti-lapse substitution,
- residuary fall-through,
- intestate backstop.
7. For fiduciary-conflict issues, identify the precise decision point where self-interest can arise, such as allocation of taxes, funding choices, sale timing, expense allocation, or interpretation of discretionary powers.
8. For every legal proposition, include the authority supporting it; if the source packet names the rule, statute, or case, use that citation form; otherwise use the generally recognized controlling authority for the governing jurisdiction.
9. For every issue, close the analysis by tying the issue to the practical effect on administration, distribution, litigation exposure, or settlement leverage.
## 5. Vertical / structural / temporal relationships
- Execution-date observations are usually more probative of capacity than later recollections.
- Medical records close in time to execution can corroborate or undermine witness observations, but a formal diagnosis alone is not dispositive.
- Divorce may alter testamentary gifts and fiduciary appointments while leaving non-probate designations untouched unless a separate rule or contract controls.
- Beneficiary designation forms can supersede a will for assets outside probate; the document hierarchy must be observed asset by asset.
- A bequest that lapses affects downstream distribution, so residue and intestacy consequences must be analyzed in sequence.
- If the packet contains multiple estate-planning instruments, analyze the later-in-time document first for inconsistency, then reconcile if possible.
- A fiduciary who is also a beneficiary may have divided loyalty at the moment a discretionary or allocative decision must be made, not merely in the abstract.
## 6. Output structure conventions
- Produce a single issue-identification memorandum.
- Use an estate-overview opening that identifies the operative documents, the apparent dispositive plan, and any obvious cross-document tensions.
- Then present an issues section organized by descending severity, with each issue using a consistent substructure:
- Issue title
- Severity
- Governing rule / authority
- Factual basis from the source documents
- Why the issue matters
- Recommended action
- Use an explicit ordinal severity scale defined once near the top, such as Critical / High / Medium / Low, and apply it uniformly.
- Include a concise contestation-risk summary that distinguishes validity risks, construction risks, and administration risks.
- End with a Recommended Actions section that gives each step as an imperative, names the responsible role if the packet identifies one, and ties timing to a filing, closing, distribution, or other estate milestone.
- Where the facts are uncertain, say so directly and frame the uncertainty as a diligence item rather than filling the gap with assumption.
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