Get Cash Flow Statement
Sectioned cash flow statement (indirect method): operating (net income, non-cash adjustments, working-capital deltas), transactional investing and financing lines, the effect of exchange-rate changes on cash, and non-cash disclosures. The statement reconciles beginning to ending cash with a zero plug or is not rendered: an unreconciled ledger returns HTTP 422 with the plug by period and the journal entries whose accounts need cashflow classification. Monetary amounts are decimal strings. Pass export=xlsx for a workbook download.
Authorizations
Token-based authentication with required prefix "Token"
Query Parameters
daily, monthly, quarterly, weekly, yearly Latest date (inclusive) for which to retrieve data. Defaults to end of current month
Entity ID(s) to scope the report. Can be repeated (?entity=1&entity=2) or JSON array
If true, includes all data of children entities in consolidation
Earliest date (inclusive) for which to retrieve data. Defaults to six months ago
Response
No response body