Table of Contents
Tasks
- Account Maintenance Services
- Accounting Service API
- Add a new accounting entry code
- Authorize the accounting entry code
- Delete the accounting entry code by ID.
- Fetch the accounting transaction details
- Get all account details
- Get all accounting details
- Get all accounting entries.
- Get all accounting numbers
- Get all valid accounting entry code.
- Get Party based on the account number
- Get Party Id.
- Update external system response status
- Pooling Accounting Service API
- Accounting Service API
- Alerts services
- Cashflow Forecasting Services
- Cashflow Projection Services
- Cashflow Report Service
- Charge Services
- Charge Enquiry Service API
- Authorizes the charges transaction data
- Calculate the charges for periodic charge transaction data
- calculates and creates cash deposit charges transaction
- calculates and creates instrument collection charges transaction
- calculates the charges
- create Cash Withdrawal Charges transaction
- Create the charges transaction details
- Creates finance transaction details
- Creates purchase order details
- Creates the invoice transaction details
- fetch the authorized transaction details
- Fetch the charges transaction data
- Fetche charges details
- Update the charges transaction data for the given id
- Charge Pricing Template Service API
- Charge Enquiry Service API
- Collections maintenance Services
- Collections Transaction Services
- Core Services
- Division Code Service API
- Non-Customer Service API
- Non-Customer Service APIs v2
- Payment Terms Service API
- Relationship Master Service API
- Add a new relationship record
- Check the expiry of each relationship at the end of the day
- Fetch the counter party details for given external code.
- Fetch the external code for given associated party
- Fetch the relationship master for given relationship code
- Fetch the relationship record for given associated party
- Get all valid relationship record
- Relationship Records Service API
- Relationship Service API
- Supplier Commodity Service API
- Filter Services
- Instruments Receivables Services
- Credit Note Service API
- Authorize the credit note
- Create new credit note from external channels
- Create new credit note from external channels (V2)
- Deletes corresponding data upon transaction purge
- Retrieves current unauthorised credit note
- Retrieves the list of existing credit notes
- Updates the list of existing credit notes
- Updates the list of existing credit notes (V2)
- Discount Offer Service APIs
- Instrument Finance Service APIs
- Invoice Charges Service API
- Invoice Process Service API
- Invoicing Auto Debit Service APIs
- Invoicing Service API
- Acquire invoice task
- Add a main Invoices
- Add a new invoice in main table
- Add a new invoice in stage table
- Authorise invoice from conductor
- Auto assign invoice
- Enrich the invoice
- Evict business date cache
- Generate the finance ref number
- Get edit invoice details
- Get invoices by transaction
- Get margin inquiry data
- Instrument work update
- Instruments payments status
- Invoice approval marking
- Invoice files
- Invoice files
- Invoice finance info
- Invoice margin record
- Invoices for a finance transaction.
- List of finance reference numbers
- Margin reference number
- Overdue invoices
- Particular finance transaction.
- Payment incoming
- Populate adhoc transaction
- Process margin handling
- Process margin refund
- Process margin refund
- Process margin refund
- Process margin refund
- Retrieve the list of existing invoices
- Retrieve the list of existing Invoices
- Retrieve the list of existing invoices
- Retrieve the list of existing tags
- Retrieve the list of historical status
- Retry prepost transaction
- Return discrepancy code
- Run invoice acceptance job
- Save invoice netting details
- Stale invoices
- Update a invoice in main table.
- Update debit note
- Update existing invoices
- Update existing invoices
- Update invoice in settlement
- Update invoice in settlement
- Update invoices in main table
- Update outstanding values
- Updates invoice status
- Used to approve instruments
- Used to reject instruments.
- Used to retrieve the list of existing debit notes
- Invoicing Service V2 API
- Invoicing Service V3 APIs
- Payment Service API
- Authorizes the Payment transaction
- Creates authorized Payment transaction
- Creates payment transaction in work table
- Creates the payment transactions
- Excess Payment transaction details
- Fetch the Payment transaction details
- Fetch the payment transactions
- Fetches the payment transactions
- Fetches the payment transactions
- Fetches the payment transactions
- Fetches the payment transactions
- New payment in stage table
- Payment data after invoice payment reconciliation
- Payment for reconciliation transaction
- Payment handling parameters
- Posts payments from the stage to the main table
- Purge payment transactions
- Roll back Payment invoice
- Rolls-back the amount and status for payment and credit note
- Update payment work
- Update Payment Work
- Updates the payment status
- Purchase Order Charges Service API
- Purchase Order Service API
- Adds a new Purchase order
- Authorise purchase order from conductor
- Edit an existing authorised Purchase order
- Enrich the purchase order
- Existing purchase order
- Get edit PO details
- Linked Purchase order by Invoice Ref No
- Modify a existing authorised Purchase order
- Purchase order link program
- Purchase order link program
- Reject instruments
- Retrieve and process the list of existing POs
- Retrieve the linked PO for a finance transaction
- Retrieve the list of PO finance
- Retrieve the list of POs
- Retrieve the list of POs linked to the finance
- Retrieve the list of purchase orders
- Retrieve the purchase order finance info
- Run purchase order acceptance job.
- Refund Service APIs
- Credit Note Service API
- InvoicingService
- Manual Reconciliation Services
- Auto Reconciliation Service API
- Auto Reconciliation Service V2 API
- Manual Reconciliation Service API
- Check for pending transactions
- Create the new manual allocation transaction
- Create the new reconciliation transaction
- Fetch the manual allocation transaction detail
- Fetch the reconciliation transaction detail
- Fetch the reconciliation transaction details
- Initiate the new dereconciliation transaction
- Retry exception queue manual recon transactions
- Validate reconciliation details
- Reconciliation Rule Service API
- Master Maintenance Services
- Master Maintenance Service API
- Get all valid external system product code
- Get the valid delinquency status
- Retrieves Cash Management application parameters
- Retrieves reference number generation parameters
- Retrieves Supply Chain Finance application parameters
- Retrieves Supply Chain Finance master party parameters
- Retrieves Supply Chain Finance system parameters.
- Update an existing parameter
- Master Maintenance Service API
- Netting Service
- Netting Structure Service API
- Netting Transactions Service API
- Approve/Reject the netting transaction
- Create the netting transaction
- Fetch the list of netting inquiry transactions
- Generate and Post Accounting Entries
- Initiate pay in out for a transaction.
- Recalculation of payin-payout
- Retrieve the list of Netting Transactions
- Retrieve the list of pay out transactions
- Retrieves the list of associated receivables and payables
- Retrieves the list of subsidiaries linked to the netting transaction
- Retrieves the list of transactions for netting management
- Retrieves the netting management basic information and Fx details
- Update the netting transaction Status as accepted
- Updates the latest Fx rates and amounts for netting transactions
- Updating the netting transaction received from Channel
- Workflow Managenent Services