v1

latestOpenAPI 3.0.32026-07-26362271803.3 KB
Financial Statements

Get Cash Flow Statement

Sectioned cash flow statement (indirect method): operating (net income, non-cash adjustments, working-capital deltas), transactional investing and financing lines, the effect of exchange-rate changes on cash, and non-cash disclosures. The statement reconciles beginning to ending cash with a zero plug or is not rendered: an unreconciled ledger returns HTTP 422 with the plug by period and the journal entries whose accounts need cashflow classification. Monetary amounts are decimal strings. Pass export=xlsx for a workbook download.

get/ca/api/get_cash_flow_v2

Query parameters

cadence'daily' | 'monthly' | 'quarterly' | 'weekly' | 'yearly'
end_datestring date

Latest date (inclusive) for which to retrieve data. Defaults to end of current month

entityinteger

Entity ID(s) to scope the report. Can be repeated (?entity=1&entity=2) or JSON array

entity_rollupboolean

If true, includes all data of children entities in consolidation

start_datestring date

Earliest date (inclusive) for which to retrieve data. Defaults to six months ago

Response

No response body