Get all bank reconciliation options data

get

/fscmRestApi/resources/11.13.18.05/publicSectorBankReconciliationOptions

Request

Query Parameters
  • When this parameter is provided, the specified children are included in the resource payload (instead of just a link). The value of this query parameter is "all" or "". More than one child can be specified using comma as a separator. Example: ?expand=Employees,Localizations. Nested children can also be provided following the format "Child.NestedChild" (Example: ?expand=Employees.Managers). If a nested child is provided (Example: Employees.Managers), the missing children will be processed implicitly. For example, "?expand=Employees.Managers" is the same as "?expand=Employees,Employees.Managers" (which will expand Employees and Managers).
  • This parameter filters the resource fields. Only the specified fields are returned, which means that if no fields are specified, no fields are returned (useful to get only the links). If an indirect child resource is provided (Example: Employees.Managers), the missing children will be processed implicitly. For example, "?fields=Employees.Managers:Empname" is the same as "?fields=;Employees:;Employees.Managers:Empname" (which will only return the "Empname" field for Managers). the value of this query parameter is a list of resource fields. The attribute can be a direct (Example: Employees) or indirect (Example: Employees.Managers) child. It cannot be combined with expand query parameter. If both are provided, only fields will be considered.

    Format: ?fields=Attribute1,Attribute2

    Format for fields in child resource: ?fields=Accessor1:Attribute1,Attribute2
  • Used as a predefined finder to search the collection.

    Format: ?finder=<finderName>;<variableName>=<variableValue>,<variableName2>=<variableValue2>

    The following are the available finder names and corresponding finder variables:

    • PrimaryKey: The unique identifier for the bank reconciliation options.
      Finder Variables:
      • AgencyId; integer; The key agency id for bank reconciliation options.
      • PaymentMethodCode; string; The key payment method code for bank reconciliation options.
      • TransactionCategoryCode; string; The key transaction category code for bank reconciliation options.
    • simpleSearchFinder: Finds bank reconciliation options that match the primary key criteria specified.
      Finder Variables:
      • value; string; Finds bank reconciliation options that match the primary key criteria specified.
  • This parameter restricts the number of resources returned inside the resource collection. If the limit exceeds the resource count then the framework will only return the available resources.
  • This parameter can be used to show only certain links while accessing a singular resource or a resource collection. The parameter value format is a comma-separated list of : <link_relation>

    Example:
    self,canonical
  • Used to define the starting position of the resource collection. If offset exceeds the resource count then no resources are returned. Default value is 0.
  • The resource item payload will be filtered in order to contain only data (no links section, for example).
  • This parameter orders a resource collection based on the specified fields. The parameter value is a comma-separated string of attribute names, each optionally followed by a colon and "asc" or "desc". Specify "asc" for ascending and "desc" for descending. The default value is "asc". For example, ?orderBy=field1:asc,field2:desc
  • This query parameter defines the where clause. The resource collection will be queried using the provided expressions. The value of this query parameter is one or more expressions. Example: ?q=Deptno>=10 and <= 30;Loc!=NY

    Format: ?q=expression1;expression2

    You can use these queryable attributes to filter this collection resource using the q query parameter:
    • AgencyId; integer; The unique identifier of the agency associated with the bank reconciliation options.
    • AssetAccountCombination; integer; Indicates the cash general ledger account code combination of the external transaction.
    • BankAccountId; integer; Identifier associated with the bank account name.
    • BankAccountName; string; Indicates the name of the bank account in which payments will be deposited or refunds will be issued from.
    • BusinessUnitId; integer; Identifier associated with the business unit name.
    • BusinessUnitName; string; Indicates the name of the business unit associated with the bank account to which payments and refunds belong.
    • Description; string; Indicates the description value that should be passed to reconcile the transaction.
    • DescriptionOptionCode; string; Indicates the description option code that is passed to reconcile the transaction.
    • EnableFlagName; string; Indicates the descriptive value for the enabled flag.
    • EnabledFlag; string; Indicates whether the reconciliation option is enabled.
    • ErrorHandlingOptionCode; string; Option that indicates how the process will behave when there are errors.
    • OffsetAccountCombination; integer; Indicates the offset general ledger account code combination of the external transaction.
    • PaymentMethodCode; string; Indicates the payment method code associated with the bank reconciliation option.
    • PaymentMethodName; string; Indicates the name of the payment method code associated with the bank reconciliation option.
    • ReconciliationSystemCode; string; Indicates the bank reconciliation system code that will reconcile the payment transaction with the bank statement.
    • ReferenceText; string; Indicates the reference text value that will be passed to reconcile the transaction.
    • ReferenceTextOptionCode; string; Indicates the reference text option code that will be passed to reconcile the transaction.
    • ReturnCheckFlag; string; Indicates whether returned checks should be included in the bank reconciliation.
    • StartDate; string; Indicates the date from which payments and refunds will be reconciled.
    • TransactionCategoryCode; string; Indicates the transaction category code of the bank reconciliation option.
    • TransactionCategoryName; string; Indicates the name of the transaction category code of the bank reconciliation option.
    • TransactionType; string; Indicates the transaction type that will be passed to reconcile the transaction.
  • The resource collection representation will include the "estimated row count" when "?totalResults=true", otherwise the count is not included. The default value is "false".
Header Parameters
  • If the REST API supports runtime customizations, the shape of the service may change during runtime. The REST client may isolate itself from these changes or choose to interact with the latest version of the API by specifying this header. For example: Metadata-Context:sandbox="TrackEmployeeFeature".
  • The protocol version between a REST client and service. If the client does not specify this header in the request the server will pick a default version for the API.

There's no request body for this operation.

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Response

Supported Media Types

Default Response

The following table describes the default response for this task.
Headers
  • If the REST API supports runtime customizations, the shape of the service may change during runtime. The REST client may isolate itself from these changes or choose to interact with the latest version of the API by specifying this header. For example: Metadata-Context:sandbox="TrackEmployeeFeature".
  • The protocol version between a REST client and service. If the client does not specify this header in the request the server will pick a default version for the API.
Body ()
Root Schema : publicSectorBankReconciliationOptions
Type: object
Show Source
Nested Schema : Items
Type: array
Title: Items
The items in the collection.
Show Source
Nested Schema : publicSectorBankReconciliationOptions-item-response
Type: object
Show Source
  • Title: Agency ID
    Default Value: 1
    The unique identifier of the agency associated with the bank reconciliation options.
  • Title: Asset Account Combination
    Indicates the cash general ledger account code combination of the external transaction.
  • Title: Bank Account ID
    Identifier associated with the bank account name.
  • Title: Bank Account Name
    Maximum Length: 360
    Indicates the name of the bank account in which payments will be deposited or refunds will be issued from.
  • Title: Business Unit ID
    Identifier associated with the business unit name.
  • Title: Business Unit Name
    Maximum Length: 360
    Indicates the name of the business unit associated with the bank account to which payments and refunds belong.
  • Title: Description
    Maximum Length: 360
    Indicates the description value that should be passed to reconcile the transaction.
  • Title: Description Text Option Code
    Maximum Length: 30
    Indicates the description option code that is passed to reconcile the transaction.
  • Title: Enabled Flag
    Maximum Length: 1
    Default Value: N
    Indicates whether the reconciliation option is enabled.
  • Title: Enabled Flag Name
    Read Only: true
    Maximum Length: 80
    Indicates the descriptive value for the enabled flag.
  • Title: Error Handling Option Code
    Maximum Length: 30
    Default Value: ORA_STOP
    Option that indicates how the process will behave when there are errors.
  • Links
  • Title: Offset Account Combination
    Indicates the offset general ledger account code combination of the external transaction.
  • Title: Payment Method Code
    Maximum Length: 30
    Default Value: PRCK
    Indicates the payment method code associated with the bank reconciliation option.
  • Title: Payment Method Name
    Read Only: true
    Maximum Length: 80
    Indicates the name of the payment method code associated with the bank reconciliation option.
  • Title: Reconciliation System Code
    Maximum Length: 30
    Default Value: ORA_CASH
    Indicates the bank reconciliation system code that will reconcile the payment transaction with the bank statement.
  • Title: Reference Text
    Maximum Length: 30
    Indicates the reference text value that will be passed to reconcile the transaction.
  • Title: Reference Text Option Code
    Maximum Length: 30
    Default Value: ORA_CHECK
    Indicates the reference text option code that will be passed to reconcile the transaction.
  • Title: Return Check Flag
    Maximum Length: 1
    Default Value: N
    Indicates whether returned checks should be included in the bank reconciliation.
  • Title: Start Date
    Indicates the date from which payments and refunds will be reconciled.
  • Title: Transaction Category Code
    Maximum Length: 30
    Default Value: ORA_PAYMENT
    Indicates the transaction category code of the bank reconciliation option.
  • Title: Transaction Category Name
    Read Only: true
    Maximum Length: 80
    Indicates the name of the transaction category code of the bank reconciliation option.
  • Title: Transaction Type
    Maximum Length: 30
    Indicates the transaction type that will be passed to reconcile the transaction.
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