GET api/checks/matched?bankReconciliationId={bankReconciliationId}
GET api/checks/matched
Request Information
URI Parameters
| Name | Description | Type | Additional information |
|---|---|---|---|
| bankReconciliationId |
|
integer |
Required |
Body Parameters
None.
Response Information
Resource Description
Collection of CheckMatchedViewModel| Name | Description | Type | Additional information |
|---|---|---|---|
| Check_Id |
Check Id |
integer |
None. |
| Check_Vendor_Name |
Check Vendor Name |
string |
None. |
| Check_Invoice_ACHPrintStatus |
Check Invoice ACH Print Status |
string |
None. |
| Check_CheckDate |
Check Check Date |
string |
None. |
| Check_Amount |
Check Amount |
decimal number |
None. |
| Check_CheckNumber |
Check Check Number |
integer |
None. |
| Check_Invoice_InvoiceType |
Check Invoice Invoice Type |
string |
None. |
| BaiTransactions |
Bai Transactions |
Collection of BaiTransactionViewModel |
None. |
| BookAdjustment |
|
BookAdjustmentViewModel |
None. |
| MatchStatus |
|
MatchStatus |
None. |
| ExternalCheckNumber |
External Check Number |
string |
None. |
Response Formats
application/json, text/json
[
{
"check_Id": 1,
"check_Vendor_Name": "sample string 2",
"check_Invoice_ACHPrintStatus": "sample string 3",
"check_CheckDate": "sample string 4",
"check_Amount": 5.0,
"check_CheckNumber": 6,
"check_Invoice_InvoiceType": "sample string 7",
"baiTransactions": [
{
"transactionId": 1,
"transactionCode": "sample string 2",
"transactionType": "sample string 3",
"transactionAsOfDate": "sample string 4",
"amount": 5.0,
"customerRef": "sample string 6",
"bankRefNumber": "sample string 7",
"text": "sample string 8",
"bookAdjustment": {
"id": 1,
"bankReconciliationId": 2,
"createdOn": "2025-10-29T04:44:51.7602601-04:00",
"entityNumber": "sample string 4",
"isDeleted": true,
"journalEntryId": 6,
"adjustmentLines": [
{
"id": 1,
"entityId": 2,
"description": "sample string 3",
"glAccountNumber": "sample string 4",
"subAccountName": "sample string 5",
"creditAmount": 1.0,
"debitAmount": 1.0,
"fundId": 1
},
{
"id": 1,
"entityId": 2,
"description": "sample string 3",
"glAccountNumber": "sample string 4",
"subAccountName": "sample string 5",
"creditAmount": 1.0,
"debitAmount": 1.0,
"fundId": 1
}
]
},
"matchStatus": 0
},
{
"transactionId": 1,
"transactionCode": "sample string 2",
"transactionType": "sample string 3",
"transactionAsOfDate": "sample string 4",
"amount": 5.0,
"customerRef": "sample string 6",
"bankRefNumber": "sample string 7",
"text": "sample string 8",
"bookAdjustment": {
"id": 1,
"bankReconciliationId": 2,
"createdOn": "2025-10-29T04:44:51.7602601-04:00",
"entityNumber": "sample string 4",
"isDeleted": true,
"journalEntryId": 6,
"adjustmentLines": [
{
"id": 1,
"entityId": 2,
"description": "sample string 3",
"glAccountNumber": "sample string 4",
"subAccountName": "sample string 5",
"creditAmount": 1.0,
"debitAmount": 1.0,
"fundId": 1
},
{
"id": 1,
"entityId": 2,
"description": "sample string 3",
"glAccountNumber": "sample string 4",
"subAccountName": "sample string 5",
"creditAmount": 1.0,
"debitAmount": 1.0,
"fundId": 1
}
]
},
"matchStatus": 0
}
],
"bookAdjustment": {
"id": 1,
"bankReconciliationId": 2,
"createdOn": "2025-10-29T04:44:51.7602601-04:00",
"entityNumber": "sample string 4",
"isDeleted": true,
"journalEntryId": 6,
"adjustmentLines": [
{
"id": 1,
"entityId": 2,
"description": "sample string 3",
"glAccountNumber": "sample string 4",
"subAccountName": "sample string 5",
"creditAmount": 1.0,
"debitAmount": 1.0,
"fundId": 1
},
{
"id": 1,
"entityId": 2,
"description": "sample string 3",
"glAccountNumber": "sample string 4",
"subAccountName": "sample string 5",
"creditAmount": 1.0,
"debitAmount": 1.0,
"fundId": 1
}
]
},
"matchStatus": 0,
"externalCheckNumber": "sample string 8"
},
{
"check_Id": 1,
"check_Vendor_Name": "sample string 2",
"check_Invoice_ACHPrintStatus": "sample string 3",
"check_CheckDate": "sample string 4",
"check_Amount": 5.0,
"check_CheckNumber": 6,
"check_Invoice_InvoiceType": "sample string 7",
"baiTransactions": [
{
"transactionId": 1,
"transactionCode": "sample string 2",
"transactionType": "sample string 3",
"transactionAsOfDate": "sample string 4",
"amount": 5.0,
"customerRef": "sample string 6",
"bankRefNumber": "sample string 7",
"text": "sample string 8",
"bookAdjustment": {
"id": 1,
"bankReconciliationId": 2,
"createdOn": "2025-10-29T04:44:51.7602601-04:00",
"entityNumber": "sample string 4",
"isDeleted": true,
"journalEntryId": 6,
"adjustmentLines": [
{
"id": 1,
"entityId": 2,
"description": "sample string 3",
"glAccountNumber": "sample string 4",
"subAccountName": "sample string 5",
"creditAmount": 1.0,
"debitAmount": 1.0,
"fundId": 1
},
{
"id": 1,
"entityId": 2,
"description": "sample string 3",
"glAccountNumber": "sample string 4",
"subAccountName": "sample string 5",
"creditAmount": 1.0,
"debitAmount": 1.0,
"fundId": 1
}
]
},
"matchStatus": 0
},
{
"transactionId": 1,
"transactionCode": "sample string 2",
"transactionType": "sample string 3",
"transactionAsOfDate": "sample string 4",
"amount": 5.0,
"customerRef": "sample string 6",
"bankRefNumber": "sample string 7",
"text": "sample string 8",
"bookAdjustment": {
"id": 1,
"bankReconciliationId": 2,
"createdOn": "2025-10-29T04:44:51.7602601-04:00",
"entityNumber": "sample string 4",
"isDeleted": true,
"journalEntryId": 6,
"adjustmentLines": [
{
"id": 1,
"entityId": 2,
"description": "sample string 3",
"glAccountNumber": "sample string 4",
"subAccountName": "sample string 5",
"creditAmount": 1.0,
"debitAmount": 1.0,
"fundId": 1
},
{
"id": 1,
"entityId": 2,
"description": "sample string 3",
"glAccountNumber": "sample string 4",
"subAccountName": "sample string 5",
"creditAmount": 1.0,
"debitAmount": 1.0,
"fundId": 1
}
]
},
"matchStatus": 0
}
],
"bookAdjustment": {
"id": 1,
"bankReconciliationId": 2,
"createdOn": "2025-10-29T04:44:51.7602601-04:00",
"entityNumber": "sample string 4",
"isDeleted": true,
"journalEntryId": 6,
"adjustmentLines": [
{
"id": 1,
"entityId": 2,
"description": "sample string 3",
"glAccountNumber": "sample string 4",
"subAccountName": "sample string 5",
"creditAmount": 1.0,
"debitAmount": 1.0,
"fundId": 1
},
{
"id": 1,
"entityId": 2,
"description": "sample string 3",
"glAccountNumber": "sample string 4",
"subAccountName": "sample string 5",
"creditAmount": 1.0,
"debitAmount": 1.0,
"fundId": 1
}
]
},
"matchStatus": 0,
"externalCheckNumber": "sample string 8"
}
]
application/xml, text/xml
<ArrayOfCheckMatchedViewModel xmlns:i="http://www.w3.org/2001/XMLSchema-instance" xmlns="http://schemas.datacontract.org/2004/07/CamAcctApi.ViewModels">
<CheckMatchedViewModel>
<BaiTransactions>
<BaiTransactionViewModel>
<Amount>5</Amount>
<BankRefNumber>sample string 7</BankRefNumber>
<BookAdjustment>
<AdjustmentLines>
<BookAdjustmentLineViewModel>
<CreditAmount>1</CreditAmount>
<DebitAmount>1</DebitAmount>
<Description>sample string 3</Description>
<EntityId>2</EntityId>
<FundId>1</FundId>
<GlAccountNumber>sample string 4</GlAccountNumber>
<Id>1</Id>
<SubAccountName>sample string 5</SubAccountName>
</BookAdjustmentLineViewModel>
<BookAdjustmentLineViewModel>
<CreditAmount>1</CreditAmount>
<DebitAmount>1</DebitAmount>
<Description>sample string 3</Description>
<EntityId>2</EntityId>
<FundId>1</FundId>
<GlAccountNumber>sample string 4</GlAccountNumber>
<Id>1</Id>
<SubAccountName>sample string 5</SubAccountName>
</BookAdjustmentLineViewModel>
</AdjustmentLines>
<BankReconciliationId>2</BankReconciliationId>
<CreatedOn>2025-10-29T04:44:51.7602601-04:00</CreatedOn>
<EntityNumber>sample string 4</EntityNumber>
<Id>1</Id>
<IsDeleted>true</IsDeleted>
<JournalEntryId>6</JournalEntryId>
</BookAdjustment>
<CustomerRef>sample string 6</CustomerRef>
<MatchStatus>Unmatched</MatchStatus>
<Text>sample string 8</Text>
<TransactionAsOfDate>sample string 4</TransactionAsOfDate>
<TransactionCode>sample string 2</TransactionCode>
<TransactionId>1</TransactionId>
<TransactionType>sample string 3</TransactionType>
</BaiTransactionViewModel>
<BaiTransactionViewModel>
<Amount>5</Amount>
<BankRefNumber>sample string 7</BankRefNumber>
<BookAdjustment>
<AdjustmentLines>
<BookAdjustmentLineViewModel>
<CreditAmount>1</CreditAmount>
<DebitAmount>1</DebitAmount>
<Description>sample string 3</Description>
<EntityId>2</EntityId>
<FundId>1</FundId>
<GlAccountNumber>sample string 4</GlAccountNumber>
<Id>1</Id>
<SubAccountName>sample string 5</SubAccountName>
</BookAdjustmentLineViewModel>
<BookAdjustmentLineViewModel>
<CreditAmount>1</CreditAmount>
<DebitAmount>1</DebitAmount>
<Description>sample string 3</Description>
<EntityId>2</EntityId>
<FundId>1</FundId>
<GlAccountNumber>sample string 4</GlAccountNumber>
<Id>1</Id>
<SubAccountName>sample string 5</SubAccountName>
</BookAdjustmentLineViewModel>
</AdjustmentLines>
<BankReconciliationId>2</BankReconciliationId>
<CreatedOn>2025-10-29T04:44:51.7602601-04:00</CreatedOn>
<EntityNumber>sample string 4</EntityNumber>
<Id>1</Id>
<IsDeleted>true</IsDeleted>
<JournalEntryId>6</JournalEntryId>
</BookAdjustment>
<CustomerRef>sample string 6</CustomerRef>
<MatchStatus>Unmatched</MatchStatus>
<Text>sample string 8</Text>
<TransactionAsOfDate>sample string 4</TransactionAsOfDate>
<TransactionCode>sample string 2</TransactionCode>
<TransactionId>1</TransactionId>
<TransactionType>sample string 3</TransactionType>
</BaiTransactionViewModel>
</BaiTransactions>
<BookAdjustment>
<AdjustmentLines>
<BookAdjustmentLineViewModel>
<CreditAmount>1</CreditAmount>
<DebitAmount>1</DebitAmount>
<Description>sample string 3</Description>
<EntityId>2</EntityId>
<FundId>1</FundId>
<GlAccountNumber>sample string 4</GlAccountNumber>
<Id>1</Id>
<SubAccountName>sample string 5</SubAccountName>
</BookAdjustmentLineViewModel>
<BookAdjustmentLineViewModel>
<CreditAmount>1</CreditAmount>
<DebitAmount>1</DebitAmount>
<Description>sample string 3</Description>
<EntityId>2</EntityId>
<FundId>1</FundId>
<GlAccountNumber>sample string 4</GlAccountNumber>
<Id>1</Id>
<SubAccountName>sample string 5</SubAccountName>
</BookAdjustmentLineViewModel>
</AdjustmentLines>
<BankReconciliationId>2</BankReconciliationId>
<CreatedOn>2025-10-29T04:44:51.7602601-04:00</CreatedOn>
<EntityNumber>sample string 4</EntityNumber>
<Id>1</Id>
<IsDeleted>true</IsDeleted>
<JournalEntryId>6</JournalEntryId>
</BookAdjustment>
<Check_Amount>5</Check_Amount>
<Check_CheckDate>sample string 4</Check_CheckDate>
<Check_CheckNumber>6</Check_CheckNumber>
<Check_Id>1</Check_Id>
<Check_Invoice_ACHPrintStatus>sample string 3</Check_Invoice_ACHPrintStatus>
<Check_Invoice_InvoiceType>sample string 7</Check_Invoice_InvoiceType>
<Check_Vendor_Name>sample string 2</Check_Vendor_Name>
<ExternalCheckNumber>sample string 8</ExternalCheckNumber>
<MatchStatus>Unmatched</MatchStatus>
</CheckMatchedViewModel>
<CheckMatchedViewModel>
<BaiTransactions>
<BaiTransactionViewModel>
<Amount>5</Amount>
<BankRefNumber>sample string 7</BankRefNumber>
<BookAdjustment>
<AdjustmentLines>
<BookAdjustmentLineViewModel>
<CreditAmount>1</CreditAmount>
<DebitAmount>1</DebitAmount>
<Description>sample string 3</Description>
<EntityId>2</EntityId>
<FundId>1</FundId>
<GlAccountNumber>sample string 4</GlAccountNumber>
<Id>1</Id>
<SubAccountName>sample string 5</SubAccountName>
</BookAdjustmentLineViewModel>
<BookAdjustmentLineViewModel>
<CreditAmount>1</CreditAmount>
<DebitAmount>1</DebitAmount>
<Description>sample string 3</Description>
<EntityId>2</EntityId>
<FundId>1</FundId>
<GlAccountNumber>sample string 4</GlAccountNumber>
<Id>1</Id>
<SubAccountName>sample string 5</SubAccountName>
</BookAdjustmentLineViewModel>
</AdjustmentLines>
<BankReconciliationId>2</BankReconciliationId>
<CreatedOn>2025-10-29T04:44:51.7602601-04:00</CreatedOn>
<EntityNumber>sample string 4</EntityNumber>
<Id>1</Id>
<IsDeleted>true</IsDeleted>
<JournalEntryId>6</JournalEntryId>
</BookAdjustment>
<CustomerRef>sample string 6</CustomerRef>
<MatchStatus>Unmatched</MatchStatus>
<Text>sample string 8</Text>
<TransactionAsOfDate>sample string 4</TransactionAsOfDate>
<TransactionCode>sample string 2</TransactionCode>
<TransactionId>1</TransactionId>
<TransactionType>sample string 3</TransactionType>
</BaiTransactionViewModel>
<BaiTransactionViewModel>
<Amount>5</Amount>
<BankRefNumber>sample string 7</BankRefNumber>
<BookAdjustment>
<AdjustmentLines>
<BookAdjustmentLineViewModel>
<CreditAmount>1</CreditAmount>
<DebitAmount>1</DebitAmount>
<Description>sample string 3</Description>
<EntityId>2</EntityId>
<FundId>1</FundId>
<GlAccountNumber>sample string 4</GlAccountNumber>
<Id>1</Id>
<SubAccountName>sample string 5</SubAccountName>
</BookAdjustmentLineViewModel>
<BookAdjustmentLineViewModel>
<CreditAmount>1</CreditAmount>
<DebitAmount>1</DebitAmount>
<Description>sample string 3</Description>
<EntityId>2</EntityId>
<FundId>1</FundId>
<GlAccountNumber>sample string 4</GlAccountNumber>
<Id>1</Id>
<SubAccountName>sample string 5</SubAccountName>
</BookAdjustmentLineViewModel>
</AdjustmentLines>
<BankReconciliationId>2</BankReconciliationId>
<CreatedOn>2025-10-29T04:44:51.7602601-04:00</CreatedOn>
<EntityNumber>sample string 4</EntityNumber>
<Id>1</Id>
<IsDeleted>true</IsDeleted>
<JournalEntryId>6</JournalEntryId>
</BookAdjustment>
<CustomerRef>sample string 6</CustomerRef>
<MatchStatus>Unmatched</MatchStatus>
<Text>sample string 8</Text>
<TransactionAsOfDate>sample string 4</TransactionAsOfDate>
<TransactionCode>sample string 2</TransactionCode>
<TransactionId>1</TransactionId>
<TransactionType>sample string 3</TransactionType>
</BaiTransactionViewModel>
</BaiTransactions>
<BookAdjustment>
<AdjustmentLines>
<BookAdjustmentLineViewModel>
<CreditAmount>1</CreditAmount>
<DebitAmount>1</DebitAmount>
<Description>sample string 3</Description>
<EntityId>2</EntityId>
<FundId>1</FundId>
<GlAccountNumber>sample string 4</GlAccountNumber>
<Id>1</Id>
<SubAccountName>sample string 5</SubAccountName>
</BookAdjustmentLineViewModel>
<BookAdjustmentLineViewModel>
<CreditAmount>1</CreditAmount>
<DebitAmount>1</DebitAmount>
<Description>sample string 3</Description>
<EntityId>2</EntityId>
<FundId>1</FundId>
<GlAccountNumber>sample string 4</GlAccountNumber>
<Id>1</Id>
<SubAccountName>sample string 5</SubAccountName>
</BookAdjustmentLineViewModel>
</AdjustmentLines>
<BankReconciliationId>2</BankReconciliationId>
<CreatedOn>2025-10-29T04:44:51.7602601-04:00</CreatedOn>
<EntityNumber>sample string 4</EntityNumber>
<Id>1</Id>
<IsDeleted>true</IsDeleted>
<JournalEntryId>6</JournalEntryId>
</BookAdjustment>
<Check_Amount>5</Check_Amount>
<Check_CheckDate>sample string 4</Check_CheckDate>
<Check_CheckNumber>6</Check_CheckNumber>
<Check_Id>1</Check_Id>
<Check_Invoice_ACHPrintStatus>sample string 3</Check_Invoice_ACHPrintStatus>
<Check_Invoice_InvoiceType>sample string 7</Check_Invoice_InvoiceType>
<Check_Vendor_Name>sample string 2</Check_Vendor_Name>
<ExternalCheckNumber>sample string 8</ExternalCheckNumber>
<MatchStatus>Unmatched</MatchStatus>
</CheckMatchedViewModel>
</ArrayOfCheckMatchedViewModel>