(Deprecated) Get bank to customer statement

The bank to customer statement is structured as a camt.053, and is used for end of day reconciliation. It adheres to the ISO20022 standard and will give an overview of all transactions for a given time period in an XML format.

Query Params
date-time
required

The date for which the report will be generated.

Format : ISO 8601 | YYYY-MM-DD

string

Optional comma separated list of account ids. If any is specified the report will exclusively include data for only those accounts.

Format : comma separated list of GUID

Headers
string
enum
Defaults to application/json

Generated from available response content types

Allowed:
Responses

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Response
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