Bank statements

List account balances

The List account balances endpoint returns a list of account balances for a given company's connection.

Account balances are balances for a bank account, including end-of-day batch balance or running balances per transaction.

Before using this endpoint, you must have retrieved data for the company.

get/companies/{companyId}/connections/{connectionId}/data/banking-accountBalances

Path parameters

companyIdstring uuid required

Unique identifier for your SMB in Codat.

Example:8a210b68-6988-11ed-a1eb-0242ac120002

Unique identifier for a company.

connectionIdstring uuid required

Unique identifier for a company's data connection.

Example:2e9d2c44-f675-40ba-8049-353bfcb5e171

Unique identifier for a connection.

Query parameters

pageinteger
Example:1

Page number. Read more.

pageSizeinteger
Example:100

Number of records to return in a page. Read more.

querystring

Codat query string. Read more.

orderBystring
Example:-modifiedDate

Field to order results by. Read more.

Response

Success

BankingAccountBalances required— unresolved $ref