Cash and bank account balances
Reconciliation
Cash and bank account balances
Returns the current cash balance for every bank account registered with the entity, derived
from posted journal entries in the GL. Each row includes the GL account code, bank account
name, and the balance as of the requested date. Use this endpoint to reconcile GL cash balances
against external bank statements.
Requires migration:read scope.
GET
Cash and bank account balances
Authorizations
API key issued per entity via Settings > Developers > API Keys.
Each key carries scopes (e.g. orders:read, products:write).
Bearer token format: Authorization: Bearer ark_live_ent_Test keys use ark_test_ent_. Both are issued per entity
via Settings > Developers > API Keys.

