/accounting/v1.0/trial-balance/report

Retrieve the trial balance report for a specific date. The report provides a daily financial reconciliation showing opening and closing balances, ledger activity, deposit and AR transfers, and a detailed breakdown of guest ledger charges, taxes, and payments by transaction code. The property must have a configured trial balance before reports can be generated.

Query Params
date
required

Requested date

Headers
int64
required

Unique identifier of the property. Required for all requests to scope data to a specific property.

Response

Language
Credentials
OAuth2
Response
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application/json