GET api/bankreconciliations/{bankRecId}/finalize/summary
Request Information
URI Parameters
Name | Description | Type | Additional information |
---|---|---|---|
bankRecId |
|
integer |
Required |
Body Parameters
None.
Response Information
Resource Description
BankRecFinalizeSummaryViewModelName | Description | Type | Additional information |
---|---|---|---|
PreviousEndingBalance |
|
decimal number |
None. |
ClearedDeposits |
|
decimal number |
None. |
ClearedWithdrawals |
|
decimal number |
None. |
Adjustments |
|
decimal number |
None. |
TotalClearedTransactions |
|
decimal number |
None. |
CurrentEndingBookBalance |
|
decimal number |
None. |
CurrentEndingStatementBalance |
|
decimal number |
None. |
Variance |
|
decimal number |
None. |
DepositsInTransit |
|
decimal number |
None. |
DepositJEsInTransit |
|
decimal number |
None. |
DepositTransactionsInTransit |
|
decimal number |
None. |
OutstandingChecks |
|
decimal number |
None. |
WithdrawalJEsInTransit |
|
decimal number |
None. |
WithdrawlTransactionsInTransit |
|
decimal number |
None. |
TotalOutstandingTransactions |
|
decimal number |
None. |
PostedBookBalance |
|
decimal number |
None. |
IsBai |
|
boolean |
None. |
UnreconciledWithdrawlBaiTransactionsQuantity |
|
integer |
None. |
UnreconciledDepositBaiTransactionsQuantity |
|
integer |
None. |
ProposedJournalEntries |
|
Collection of ProposedJournalEntryViewModel |
None. |
ProposedJournalEntryCashLines |
|
Collection of ProposedJournalEntryLineViewModel |
None. |
BankAdjustments |
|
Collection of BankAdjustmentViewModel |
None. |
Response Formats
application/json, text/json
{ "previousEndingBalance": 1.0, "clearedDeposits": 2.0, "clearedWithdrawals": 3.0, "adjustments": 4.0, "totalClearedTransactions": 5.0, "currentEndingBookBalance": 6.0, "currentEndingStatementBalance": 7.0, "variance": 8.0, "depositsInTransit": 9.0, "depositJEsInTransit": 10.0, "depositTransactionsInTransit": 11.0, "outstandingChecks": 12.0, "withdrawalJEsInTransit": 13.0, "withdrawlTransactionsInTransit": 14.0, "totalOutstandingTransactions": 15.0, "postedBookBalance": 16.0, "isBai": true, "unreconciledWithdrawlBaiTransactionsQuantity": 18, "unreconciledDepositBaiTransactionsQuantity": 19, "proposedJournalEntries": [ { "bookAdjustmentId": 1, "bankReconciliationId": 2, "bankCode": "sample string 3", "journalEntryLines": [ { "glAccountNumber": "sample string 1", "glAccountDescription": "sample string 2", "glSubAccountName": "sample string 3", "glSubAccountDescription": "sample string 4", "description": "sample string 5", "debit": 6.0, "credit": 7.0, "entityNumber": "sample string 8", "fundID": 1, "fundName": "sample string 9", "fundCode": "sample string 10" }, { "glAccountNumber": "sample string 1", "glAccountDescription": "sample string 2", "glSubAccountName": "sample string 3", "glSubAccountDescription": "sample string 4", "description": "sample string 5", "debit": 6.0, "credit": 7.0, "entityNumber": "sample string 8", "fundID": 1, "fundName": "sample string 9", "fundCode": "sample string 10" } ] }, { "bookAdjustmentId": 1, "bankReconciliationId": 2, "bankCode": "sample string 3", "journalEntryLines": [ { "glAccountNumber": "sample string 1", "glAccountDescription": "sample string 2", "glSubAccountName": "sample string 3", "glSubAccountDescription": "sample string 4", "description": "sample string 5", "debit": 6.0, "credit": 7.0, "entityNumber": "sample string 8", "fundID": 1, "fundName": "sample string 9", "fundCode": "sample string 10" }, { "glAccountNumber": "sample string 1", "glAccountDescription": "sample string 2", "glSubAccountName": "sample string 3", "glSubAccountDescription": "sample string 4", "description": "sample string 5", "debit": 6.0, "credit": 7.0, "entityNumber": "sample string 8", "fundID": 1, "fundName": "sample string 9", "fundCode": "sample string 10" } ] } ], "proposedJournalEntryCashLines": [ { "glAccountNumber": "sample string 1", "glAccountDescription": "sample string 2", "glSubAccountName": "sample string 3", "glSubAccountDescription": "sample string 4", "description": "sample string 5", "debit": 6.0, "credit": 7.0, "entityNumber": "sample string 8", "fundID": 1, "fundName": "sample string 9", "fundCode": "sample string 10" }, { "glAccountNumber": "sample string 1", "glAccountDescription": "sample string 2", "glSubAccountName": "sample string 3", "glSubAccountDescription": "sample string 4", "description": "sample string 5", "debit": 6.0, "credit": 7.0, "entityNumber": "sample string 8", "fundID": 1, "fundName": "sample string 9", "fundCode": "sample string 10" } ], "bankAdjustments": [ { "id": 1, "createdOn": "2025-04-03T18:05:55.8217398-04:00", "description": "sample string 3", "amount": 4.0, "bankReconciliationId": 5, "isDeleted": true }, { "id": 1, "createdOn": "2025-04-03T18:05:55.8217398-04:00", "description": "sample string 3", "amount": 4.0, "bankReconciliationId": 5, "isDeleted": true } ] }
application/xml, text/xml
<BankRecFinalizeSummaryViewModel xmlns:i="http://www.w3.org/2001/XMLSchema-instance" xmlns="http://schemas.datacontract.org/2004/07/CamAcctApi.ViewModels"> <Adjustments>4</Adjustments> <BankAdjustments> <BankAdjustmentViewModel> <Amount>4</Amount> <BankReconciliationId>5</BankReconciliationId> <CreatedOn>2025-04-03T18:05:55.8217398-04:00</CreatedOn> <Description>sample string 3</Description> <Id>1</Id> <IsDeleted>true</IsDeleted> </BankAdjustmentViewModel> <BankAdjustmentViewModel> <Amount>4</Amount> <BankReconciliationId>5</BankReconciliationId> <CreatedOn>2025-04-03T18:05:55.8217398-04:00</CreatedOn> <Description>sample string 3</Description> <Id>1</Id> <IsDeleted>true</IsDeleted> </BankAdjustmentViewModel> </BankAdjustments> <ClearedDeposits>2</ClearedDeposits> <ClearedWithdrawals>3</ClearedWithdrawals> <CurrentEndingBookBalance>6</CurrentEndingBookBalance> <CurrentEndingStatementBalance>7</CurrentEndingStatementBalance> <DepositJEsInTransit>10</DepositJEsInTransit> <DepositTransactionsInTransit>11</DepositTransactionsInTransit> <DepositsInTransit>9</DepositsInTransit> <IsBai>true</IsBai> <OutstandingChecks>12</OutstandingChecks> <PostedBookBalance>16</PostedBookBalance> <PreviousEndingBalance>1</PreviousEndingBalance> <ProposedJournalEntries> <ProposedJournalEntryViewModel> <BankCode>sample string 3</BankCode> <BankReconciliationId>2</BankReconciliationId> <BookAdjustmentId>1</BookAdjustmentId> <JournalEntryLines> <ProposedJournalEntryLineViewModel> <Credit>7</Credit> <Debit>6</Debit> <Description>sample string 5</Description> <EntityNumber>sample string 8</EntityNumber> <FundCode>sample string 10</FundCode> <FundID>1</FundID> <FundName>sample string 9</FundName> <GLSubAccountDescription>sample string 4</GLSubAccountDescription> <GLSubAccountName>sample string 3</GLSubAccountName> <GlAccountDescription>sample string 2</GlAccountDescription> <GlAccountNumber>sample string 1</GlAccountNumber> </ProposedJournalEntryLineViewModel> <ProposedJournalEntryLineViewModel> <Credit>7</Credit> <Debit>6</Debit> <Description>sample string 5</Description> <EntityNumber>sample string 8</EntityNumber> <FundCode>sample string 10</FundCode> <FundID>1</FundID> <FundName>sample string 9</FundName> <GLSubAccountDescription>sample string 4</GLSubAccountDescription> <GLSubAccountName>sample string 3</GLSubAccountName> <GlAccountDescription>sample string 2</GlAccountDescription> <GlAccountNumber>sample string 1</GlAccountNumber> </ProposedJournalEntryLineViewModel> </JournalEntryLines> </ProposedJournalEntryViewModel> <ProposedJournalEntryViewModel> <BankCode>sample string 3</BankCode> <BankReconciliationId>2</BankReconciliationId> <BookAdjustmentId>1</BookAdjustmentId> <JournalEntryLines> <ProposedJournalEntryLineViewModel> <Credit>7</Credit> <Debit>6</Debit> <Description>sample string 5</Description> <EntityNumber>sample string 8</EntityNumber> <FundCode>sample string 10</FundCode> <FundID>1</FundID> <FundName>sample string 9</FundName> <GLSubAccountDescription>sample string 4</GLSubAccountDescription> <GLSubAccountName>sample string 3</GLSubAccountName> <GlAccountDescription>sample string 2</GlAccountDescription> <GlAccountNumber>sample string 1</GlAccountNumber> </ProposedJournalEntryLineViewModel> <ProposedJournalEntryLineViewModel> <Credit>7</Credit> <Debit>6</Debit> <Description>sample string 5</Description> <EntityNumber>sample string 8</EntityNumber> <FundCode>sample string 10</FundCode> <FundID>1</FundID> <FundName>sample string 9</FundName> <GLSubAccountDescription>sample string 4</GLSubAccountDescription> <GLSubAccountName>sample string 3</GLSubAccountName> <GlAccountDescription>sample string 2</GlAccountDescription> <GlAccountNumber>sample string 1</GlAccountNumber> </ProposedJournalEntryLineViewModel> </JournalEntryLines> </ProposedJournalEntryViewModel> </ProposedJournalEntries> <ProposedJournalEntryCashLines> <ProposedJournalEntryLineViewModel> <Credit>7</Credit> <Debit>6</Debit> <Description>sample string 5</Description> <EntityNumber>sample string 8</EntityNumber> <FundCode>sample string 10</FundCode> <FundID>1</FundID> <FundName>sample string 9</FundName> <GLSubAccountDescription>sample string 4</GLSubAccountDescription> <GLSubAccountName>sample string 3</GLSubAccountName> <GlAccountDescription>sample string 2</GlAccountDescription> <GlAccountNumber>sample string 1</GlAccountNumber> </ProposedJournalEntryLineViewModel> <ProposedJournalEntryLineViewModel> <Credit>7</Credit> <Debit>6</Debit> <Description>sample string 5</Description> <EntityNumber>sample string 8</EntityNumber> <FundCode>sample string 10</FundCode> <FundID>1</FundID> <FundName>sample string 9</FundName> <GLSubAccountDescription>sample string 4</GLSubAccountDescription> <GLSubAccountName>sample string 3</GLSubAccountName> <GlAccountDescription>sample string 2</GlAccountDescription> <GlAccountNumber>sample string 1</GlAccountNumber> </ProposedJournalEntryLineViewModel> </ProposedJournalEntryCashLines> <TotalClearedTransactions>5</TotalClearedTransactions> <TotalOutstandingTransactions>15</TotalOutstandingTransactions> <UnreconciledDepositBaiTransactionsQuantity>19</UnreconciledDepositBaiTransactionsQuantity> <UnreconciledWithdrawlBaiTransactionsQuantity>18</UnreconciledWithdrawlBaiTransactionsQuantity> <Variance>8</Variance> <WithdrawalJEsInTransit>13</WithdrawalJEsInTransit> <WithdrawlTransactionsInTransit>14</WithdrawlTransactionsInTransit> </BankRecFinalizeSummaryViewModel>