---
title: "Get trading days for a currency pair"
method: GET
path: "/trading-days"
tags: ["Payments"]
---

# Get trading days for a currency pair

`GET /trading-days`

Returns the next available trading days and non-trading days (including weekends) for a given source and destination currency pair.

## Query parameters

- `accountId` string, required — The ID of the account to work with.
- `sourceCurrencyCode` string, required — The currency code, in ISO-4217 format.
- `destinationCurrencyCode` string, required — The currency code, in ISO-4217 format.

## Response `200`

OK

- object
  - `tradingDays` string[], required — The next available spot days
  - `nonTradingDays` object, required
    - `days` string[], required — The next unavailable trading days
    - `weekendDays` string[], required — The weekend days

---

[API](https://skmtc.net/equalsmoney/apis/cis-api.md) · [All operations](https://skmtc.net/equalsmoney/apis/cis-api/llms.txt) · [OpenAPI document](https://skmtc-service-staging.skmtc.workers.dev/v1/apis/equalsmoney/cis-api/revisions/a162c72b8bf6/schema)
