GET api/funds/{fundId}
Get fund details information
Request Information
URI Parameters
| Name | Description | Type | Additional information |
|---|---|---|---|
| fundId |
|
integer |
Required |
Body Parameters
None.
Response Information
Resource Description
FundDetailsViewModel
FundDetailsViewModel| Name | Description | Type | Additional information |
|---|---|---|---|
| FundStatus |
|
string |
None. |
| FundType |
|
FundTypeViewModel |
None. |
| ClosingGlAccount |
|
GLAccountViewModel |
None. |
| InterfundGlAccount |
|
GLAccountViewModel |
None. |
| ChargeCodes |
|
Collection of ChargeCodeViewModel |
None. |
| BankCodes |
|
Collection of BankCodeItemViewModel |
None. |
| SecurityDepositTypes |
|
Collection of SecurityDepositTypeViewModel |
None. |
| Id |
Id |
integer |
None. |
| Name |
Name |
string |
None. |
| Code |
Code |
string |
None. |
| EffectiveDate |
EffectiveDate |
date |
None. |
| FundTypeId |
FundTypeId |
integer |
None. |
| SuperEntityId |
SuperEntityId |
integer |
None. |
| RetireDate |
RetireDate |
date |
None. |
| ClosingChartOfAccountId |
ClosingChartOfAccountId |
integer |
None. |
| InterFundChartOfAccountId |
InterFundChartOfAccountId |
integer |
None. |
| IsDefault |
IsDefault |
boolean |
None. |
Response Formats
application/json, text/json
{
"fundStatus": "sample string 1",
"fundType": {
"id": 1,
"name": "sample string 2"
},
"closingGlAccount": {
"glAccountId": 1,
"glAccountNumber": "sample string 2",
"description": "sample string 3",
"isBalance": true,
"is1099Account": true,
"active": true,
"budgetCheck": true,
"totalSubAccounts": 8,
"isAssigned": true,
"isChargeCodeAssigned": true,
"isGlAccountExists": true,
"totalLinkedEntities": 1,
"glAccountType": {
"id": 1,
"name": "sample string 2",
"description": "sample string 3"
},
"glAccountTypeCategory": {
"id": 1,
"glAccountTypeId": 2,
"name": "sample string 3",
"description": "sample string 4",
"entityCategoryName": "sample string 5"
},
"glAccountTypeSubCategory": {
"id": 1,
"glAccountTypeCategoryId": 2,
"name": "sample string 3",
"description": "sample string 4",
"entitySubCategoryName": "sample string 5"
},
"displayAccount": "sample string 2 - sample string 3"
},
"interfundGlAccount": {
"glAccountId": 1,
"glAccountNumber": "sample string 2",
"description": "sample string 3",
"isBalance": true,
"is1099Account": true,
"active": true,
"budgetCheck": true,
"totalSubAccounts": 8,
"isAssigned": true,
"isChargeCodeAssigned": true,
"isGlAccountExists": true,
"totalLinkedEntities": 1,
"glAccountType": {
"id": 1,
"name": "sample string 2",
"description": "sample string 3"
},
"glAccountTypeCategory": {
"id": 1,
"glAccountTypeId": 2,
"name": "sample string 3",
"description": "sample string 4",
"entityCategoryName": "sample string 5"
},
"glAccountTypeSubCategory": {
"id": 1,
"glAccountTypeCategoryId": 2,
"name": "sample string 3",
"description": "sample string 4",
"entitySubCategoryName": "sample string 5"
},
"displayAccount": "sample string 2 - sample string 3"
},
"chargeCodes": [
{
"id": 1,
"displayCode": "sample string 2",
"chargeCodeDescription": "sample string 3",
"vacancyLoss": 4,
"firstMonth": 1,
"prepaymentApplicable": 5,
"applyinMonthlyCharges": 6,
"feeScheduleId": 1,
"isAutoAssigned": true
},
{
"id": 1,
"displayCode": "sample string 2",
"chargeCodeDescription": "sample string 3",
"vacancyLoss": 4,
"firstMonth": 1,
"prepaymentApplicable": 5,
"applyinMonthlyCharges": 6,
"feeScheduleId": 1,
"isAutoAssigned": true
}
],
"bankCodes": [
{
"abaId": 1,
"bankCodeId": 1,
"bankCode": "sample string 2",
"bankCodeDescription": "sample string 3",
"bankAccountNumber": "sample string 4",
"isActive": true,
"chartOfAccountsID": 6,
"interestBearingAccount": {
"term": 1,
"id": 1,
"accountTypeId": 2,
"effectiveRate": 1.0,
"effectiveDate": "2025-10-29T04:40:43.5098355-04:00",
"maturityDate": "2025-10-29T04:40:43.5098355-04:00"
}
},
{
"abaId": 1,
"bankCodeId": 1,
"bankCode": "sample string 2",
"bankCodeDescription": "sample string 3",
"bankAccountNumber": "sample string 4",
"isActive": true,
"chartOfAccountsID": 6,
"interestBearingAccount": {
"term": 1,
"id": 1,
"accountTypeId": 2,
"effectiveRate": 1.0,
"effectiveDate": "2025-10-29T04:40:43.5098355-04:00",
"maturityDate": "2025-10-29T04:40:43.5098355-04:00"
}
}
],
"securityDepositTypes": [
{
"id": 1,
"description": "sample string 2",
"depositCode": "sample string 3",
"depositGLAccountId": 4,
"depositGLSubAccountId": 5,
"refundGLAccountId": 6,
"refundGLSubAccount": 7,
"interestRate": 8.0,
"isActive": true
},
{
"id": 1,
"description": "sample string 2",
"depositCode": "sample string 3",
"depositGLAccountId": 4,
"depositGLSubAccountId": 5,
"refundGLAccountId": 6,
"refundGLSubAccount": 7,
"interestRate": 8.0,
"isActive": true
}
],
"id": 2,
"name": "sample string 3",
"code": "sample string 4",
"effectiveDate": "2025-10-29T04:40:43.5098355-04:00",
"fundTypeId": 6,
"superEntityId": 7,
"retireDate": "2025-10-29T04:40:43.5098355-04:00",
"closingChartOfAccountId": 8,
"interFundChartOfAccountId": 9,
"isDefault": true
}
application/xml, text/xml
<FundDetailsViewModel xmlns:i="http://www.w3.org/2001/XMLSchema-instance" xmlns="http://schemas.datacontract.org/2004/07/CamAcctApi.ViewModels">
<ClosingChartOfAccountId>8</ClosingChartOfAccountId>
<Code>sample string 4</Code>
<EffectiveDate>2025-10-29T04:40:43.5098355-04:00</EffectiveDate>
<FundTypeId>6</FundTypeId>
<Id>2</Id>
<InterFundChartOfAccountId>9</InterFundChartOfAccountId>
<IsDefault>true</IsDefault>
<Name>sample string 3</Name>
<RetireDate>2025-10-29T04:40:43.5098355-04:00</RetireDate>
<SuperEntityId>7</SuperEntityId>
<BankCodes>
<BankCodeItemViewModel>
<AbaId>1</AbaId>
<BankAccountNumber>sample string 4</BankAccountNumber>
<BankCode>sample string 2</BankCode>
<BankCodeDescription>sample string 3</BankCodeDescription>
<BankCodeId>1</BankCodeId>
<ChartOfAccountsID>6</ChartOfAccountsID>
<InterestBearingAccount xmlns:d4p1="http://schemas.datacontract.org/2004/07/CamAcctApi.ViewModels.AccountType">
<d4p1:AccountTypeId>2</d4p1:AccountTypeId>
<d4p1:EffectiveDate>2025-10-29T04:40:43.5098355-04:00</d4p1:EffectiveDate>
<d4p1:EffectiveRate>1</d4p1:EffectiveRate>
<d4p1:MaturityDate>2025-10-29T04:40:43.5098355-04:00</d4p1:MaturityDate>
<d4p1:Id>1</d4p1:Id>
<d4p1:Term>1</d4p1:Term>
</InterestBearingAccount>
</BankCodeItemViewModel>
<BankCodeItemViewModel>
<AbaId>1</AbaId>
<BankAccountNumber>sample string 4</BankAccountNumber>
<BankCode>sample string 2</BankCode>
<BankCodeDescription>sample string 3</BankCodeDescription>
<BankCodeId>1</BankCodeId>
<ChartOfAccountsID>6</ChartOfAccountsID>
<InterestBearingAccount xmlns:d4p1="http://schemas.datacontract.org/2004/07/CamAcctApi.ViewModels.AccountType">
<d4p1:AccountTypeId>2</d4p1:AccountTypeId>
<d4p1:EffectiveDate>2025-10-29T04:40:43.5098355-04:00</d4p1:EffectiveDate>
<d4p1:EffectiveRate>1</d4p1:EffectiveRate>
<d4p1:MaturityDate>2025-10-29T04:40:43.5098355-04:00</d4p1:MaturityDate>
<d4p1:Id>1</d4p1:Id>
<d4p1:Term>1</d4p1:Term>
</InterestBearingAccount>
</BankCodeItemViewModel>
</BankCodes>
<ChargeCodes>
<ChargeCodeViewModel>
<ApplyinMonthlyCharges>6</ApplyinMonthlyCharges>
<ChargeCodeDescription>sample string 3</ChargeCodeDescription>
<DisplayCode>sample string 2</DisplayCode>
<FeeScheduleId>1</FeeScheduleId>
<FirstMonth>1</FirstMonth>
<Id>1</Id>
<IsAutoAssigned>true</IsAutoAssigned>
<PrepaymentApplicable>5</PrepaymentApplicable>
<VacancyLoss>4</VacancyLoss>
</ChargeCodeViewModel>
<ChargeCodeViewModel>
<ApplyinMonthlyCharges>6</ApplyinMonthlyCharges>
<ChargeCodeDescription>sample string 3</ChargeCodeDescription>
<DisplayCode>sample string 2</DisplayCode>
<FeeScheduleId>1</FeeScheduleId>
<FirstMonth>1</FirstMonth>
<Id>1</Id>
<IsAutoAssigned>true</IsAutoAssigned>
<PrepaymentApplicable>5</PrepaymentApplicable>
<VacancyLoss>4</VacancyLoss>
</ChargeCodeViewModel>
</ChargeCodes>
<ClosingGlAccount>
<Active>true</Active>
<BudgetCheck>true</BudgetCheck>
<Description>sample string 3</Description>
<GLAccountId>1</GLAccountId>
<GLAccountNumber>sample string 2</GLAccountNumber>
<GlAccountType xmlns:d3p1="http://schemas.datacontract.org/2004/07/CamAcctApi.ViewModels.GlAccounts">
<d3p1:Description>sample string 3</d3p1:Description>
<d3p1:Id>1</d3p1:Id>
<d3p1:Name>sample string 2</d3p1:Name>
</GlAccountType>
<GlAccountTypeCategory xmlns:d3p1="http://schemas.datacontract.org/2004/07/CamAcctApi.ViewModels.GlAccounts">
<d3p1:Description>sample string 4</d3p1:Description>
<d3p1:EntityCategoryName>sample string 5</d3p1:EntityCategoryName>
<d3p1:GlAccountTypeId>2</d3p1:GlAccountTypeId>
<d3p1:Id>1</d3p1:Id>
<d3p1:Name>sample string 3</d3p1:Name>
</GlAccountTypeCategory>
<GlAccountTypeSubCategory xmlns:d3p1="http://schemas.datacontract.org/2004/07/CamAcctApi.ViewModels.GlAccounts">
<d3p1:Description>sample string 4</d3p1:Description>
<d3p1:EntitySubCategoryName>sample string 5</d3p1:EntitySubCategoryName>
<d3p1:GlAccountTypeCategoryId>2</d3p1:GlAccountTypeCategoryId>
<d3p1:Id>1</d3p1:Id>
<d3p1:Name>sample string 3</d3p1:Name>
</GlAccountTypeSubCategory>
<Is1099Account>true</Is1099Account>
<IsAssigned>true</IsAssigned>
<IsBalance>true</IsBalance>
<IsChargeCodeAssigned>true</IsChargeCodeAssigned>
<TotalLinkedEntities>1</TotalLinkedEntities>
<TotalSubAccounts>8</TotalSubAccounts>
<isGlAccountExists>true</isGlAccountExists>
</ClosingGlAccount>
<FundStatus>sample string 1</FundStatus>
<FundType>
<Id>1</Id>
<Name>sample string 2</Name>
</FundType>
<InterfundGlAccount>
<Active>true</Active>
<BudgetCheck>true</BudgetCheck>
<Description>sample string 3</Description>
<GLAccountId>1</GLAccountId>
<GLAccountNumber>sample string 2</GLAccountNumber>
<GlAccountType xmlns:d3p1="http://schemas.datacontract.org/2004/07/CamAcctApi.ViewModels.GlAccounts">
<d3p1:Description>sample string 3</d3p1:Description>
<d3p1:Id>1</d3p1:Id>
<d3p1:Name>sample string 2</d3p1:Name>
</GlAccountType>
<GlAccountTypeCategory xmlns:d3p1="http://schemas.datacontract.org/2004/07/CamAcctApi.ViewModels.GlAccounts">
<d3p1:Description>sample string 4</d3p1:Description>
<d3p1:EntityCategoryName>sample string 5</d3p1:EntityCategoryName>
<d3p1:GlAccountTypeId>2</d3p1:GlAccountTypeId>
<d3p1:Id>1</d3p1:Id>
<d3p1:Name>sample string 3</d3p1:Name>
</GlAccountTypeCategory>
<GlAccountTypeSubCategory xmlns:d3p1="http://schemas.datacontract.org/2004/07/CamAcctApi.ViewModels.GlAccounts">
<d3p1:Description>sample string 4</d3p1:Description>
<d3p1:EntitySubCategoryName>sample string 5</d3p1:EntitySubCategoryName>
<d3p1:GlAccountTypeCategoryId>2</d3p1:GlAccountTypeCategoryId>
<d3p1:Id>1</d3p1:Id>
<d3p1:Name>sample string 3</d3p1:Name>
</GlAccountTypeSubCategory>
<Is1099Account>true</Is1099Account>
<IsAssigned>true</IsAssigned>
<IsBalance>true</IsBalance>
<IsChargeCodeAssigned>true</IsChargeCodeAssigned>
<TotalLinkedEntities>1</TotalLinkedEntities>
<TotalSubAccounts>8</TotalSubAccounts>
<isGlAccountExists>true</isGlAccountExists>
</InterfundGlAccount>
<SecurityDepositTypes>
<SecurityDepositTypeViewModel>
<DepositCode>sample string 3</DepositCode>
<DepositGLAccountId>4</DepositGLAccountId>
<DepositGLSubAccountId>5</DepositGLSubAccountId>
<Description>sample string 2</Description>
<Id>1</Id>
<InterestRate>8</InterestRate>
<IsActive>true</IsActive>
<RefundGLAccountId>6</RefundGLAccountId>
<RefundGLSubAccount>7</RefundGLSubAccount>
</SecurityDepositTypeViewModel>
<SecurityDepositTypeViewModel>
<DepositCode>sample string 3</DepositCode>
<DepositGLAccountId>4</DepositGLAccountId>
<DepositGLSubAccountId>5</DepositGLSubAccountId>
<Description>sample string 2</Description>
<Id>1</Id>
<InterestRate>8</InterestRate>
<IsActive>true</IsActive>
<RefundGLAccountId>6</RefundGLAccountId>
<RefundGLSubAccount>7</RefundGLSubAccount>
</SecurityDepositTypeViewModel>
</SecurityDepositTypes>
</FundDetailsViewModel>