GET api/residents/{residentId}/receipts?receiptType={receiptType}&startDate={startDate}&endDate={endDate}&excludeRefundedLines={excludeRefundedLines}
Get Security Deposit payments by residentId and date. Use yyyy-mm-dd format for date param
Request Information
URI Parameters
| Name | Description | Type | Additional information |
|---|---|---|---|
| residentId |
|
integer |
Required |
| receiptType |
|
ArReceiptTypeEnum |
None. |
| startDate |
|
date |
None. |
| endDate |
|
date |
None. |
| excludeRefundedLines |
|
boolean |
Default value is False |
Body Parameters
None.
Response Information
Resource Description
ARReceiptRefundViewModel
Collection of ArReceiptRefundViewModel| Name | Description | Type | Additional information |
|---|---|---|---|
| Balance |
Balance |
decimal number |
None. |
| ReceiptId |
ReceiptId |
integer |
None. |
| UnitId |
UnitId |
integer |
None. |
| ResidentId |
ResidentId |
integer |
None. |
| PaymentType |
PaymentType |
string |
None. |
| CheckNumber |
CheckNumber |
string |
None. |
| ReceiptDate |
ReceiptDate |
date |
None. |
| ReceiptDescriptions |
ReceiptDescriptions |
string |
None. |
| ReceiptType |
ReceiptType |
integer |
None. |
| ArBatchReceiptId |
ArBatchReceiptId |
integer |
None. |
| AuxillaryField |
AuxillaryField |
integer |
None. |
| ArReceiptTypeId |
ArReceiptTypeId |
integer |
None. |
| BuildingId |
BuildingId |
integer |
None. |
| CreatedDate |
CreatedDate |
date |
None. |
| PostDate |
PostDate |
date |
None. |
| Posted |
Posted |
integer |
None. |
| Transfered |
Transfered |
integer |
None. |
| Reversed |
Reversed |
boolean |
None. |
| ReceiptAmount |
ReceiptAmount |
decimal number |
None. |
| ReceiptLineItems |
ReceiptLineItems |
Collection of ReceiptLineItemViewModel |
None. |
| BankCode |
BankCode |
string |
None. |
| IsBankCodeActive |
IsBankCodeActive |
boolean |
None. |
Response Formats
application/json, text/json
[
{
"balance": 1.0,
"receiptId": 2,
"unitId": 1,
"residentId": 1,
"paymentType": "sample string 3",
"checkNumber": "sample string 4",
"receiptDate": "2025-10-29T04:40:45.247042-04:00",
"receiptDescriptions": "sample string 5",
"receiptType": 6,
"arBatchReceiptId": 1,
"auxillaryField": 1,
"arReceiptTypeId": 7,
"buildingId": 1,
"createdDate": "2025-10-29T04:40:45.247042-04:00",
"postDate": "2025-10-29T04:40:45.247042-04:00",
"posted": 8,
"transfered": 9,
"reversed": true,
"receiptAmount": 11.0,
"receiptLineItems": [
{
"receiptLineItemId": 1,
"receiptId": 2,
"paymentAmount": 3.0,
"chartOfAccountsId": 1,
"glSubAccountId": 1,
"prepayChargeCodeId": 1,
"chargeId": 1,
"creditId": 1,
"securityDepositTypeId": 4,
"originalAmount": 5.0,
"refundAmount": 6.0,
"refunded": true,
"dateRefunded": "2025-10-29T04:40:45.247042-04:00",
"securityDepositType": {
"id": 1,
"description": "sample string 2",
"depositCode": "sample string 3",
"depositGLAccountId": 4,
"depositGLSubAccountId": 5,
"refundGLAccountId": 6,
"refundGLSubAccount": 7,
"interestRate": 8.0,
"isActive": true
}
},
{
"receiptLineItemId": 1,
"receiptId": 2,
"paymentAmount": 3.0,
"chartOfAccountsId": 1,
"glSubAccountId": 1,
"prepayChargeCodeId": 1,
"chargeId": 1,
"creditId": 1,
"securityDepositTypeId": 4,
"originalAmount": 5.0,
"refundAmount": 6.0,
"refunded": true,
"dateRefunded": "2025-10-29T04:40:45.247042-04:00",
"securityDepositType": {
"id": 1,
"description": "sample string 2",
"depositCode": "sample string 3",
"depositGLAccountId": 4,
"depositGLSubAccountId": 5,
"refundGLAccountId": 6,
"refundGLSubAccount": 7,
"interestRate": 8.0,
"isActive": true
}
}
],
"bankCode": "sample string 12",
"isBankCodeActive": true
},
{
"balance": 1.0,
"receiptId": 2,
"unitId": 1,
"residentId": 1,
"paymentType": "sample string 3",
"checkNumber": "sample string 4",
"receiptDate": "2025-10-29T04:40:45.247042-04:00",
"receiptDescriptions": "sample string 5",
"receiptType": 6,
"arBatchReceiptId": 1,
"auxillaryField": 1,
"arReceiptTypeId": 7,
"buildingId": 1,
"createdDate": "2025-10-29T04:40:45.247042-04:00",
"postDate": "2025-10-29T04:40:45.247042-04:00",
"posted": 8,
"transfered": 9,
"reversed": true,
"receiptAmount": 11.0,
"receiptLineItems": [
{
"receiptLineItemId": 1,
"receiptId": 2,
"paymentAmount": 3.0,
"chartOfAccountsId": 1,
"glSubAccountId": 1,
"prepayChargeCodeId": 1,
"chargeId": 1,
"creditId": 1,
"securityDepositTypeId": 4,
"originalAmount": 5.0,
"refundAmount": 6.0,
"refunded": true,
"dateRefunded": "2025-10-29T04:40:45.247042-04:00",
"securityDepositType": {
"id": 1,
"description": "sample string 2",
"depositCode": "sample string 3",
"depositGLAccountId": 4,
"depositGLSubAccountId": 5,
"refundGLAccountId": 6,
"refundGLSubAccount": 7,
"interestRate": 8.0,
"isActive": true
}
},
{
"receiptLineItemId": 1,
"receiptId": 2,
"paymentAmount": 3.0,
"chartOfAccountsId": 1,
"glSubAccountId": 1,
"prepayChargeCodeId": 1,
"chargeId": 1,
"creditId": 1,
"securityDepositTypeId": 4,
"originalAmount": 5.0,
"refundAmount": 6.0,
"refunded": true,
"dateRefunded": "2025-10-29T04:40:45.247042-04:00",
"securityDepositType": {
"id": 1,
"description": "sample string 2",
"depositCode": "sample string 3",
"depositGLAccountId": 4,
"depositGLSubAccountId": 5,
"refundGLAccountId": 6,
"refundGLSubAccount": 7,
"interestRate": 8.0,
"isActive": true
}
}
],
"bankCode": "sample string 12",
"isBankCodeActive": true
}
]
application/xml, text/xml
<ArrayOfArReceiptRefundViewModel xmlns:i="http://www.w3.org/2001/XMLSchema-instance" xmlns="http://schemas.datacontract.org/2004/07/CamAcctApi.ViewModels">
<ArReceiptRefundViewModel>
<ArBatchReceiptId>1</ArBatchReceiptId>
<ArReceiptTypeId>7</ArReceiptTypeId>
<AuxillaryField>1</AuxillaryField>
<BankCode>sample string 12</BankCode>
<BuildingId>1</BuildingId>
<CheckNumber>sample string 4</CheckNumber>
<CreatedDate>2025-10-29T04:40:45.247042-04:00</CreatedDate>
<IsBankCodeActive>true</IsBankCodeActive>
<PaymentType>sample string 3</PaymentType>
<PostDate>2025-10-29T04:40:45.247042-04:00</PostDate>
<Posted>8</Posted>
<ReceiptAmount>11</ReceiptAmount>
<ReceiptDate>2025-10-29T04:40:45.247042-04:00</ReceiptDate>
<ReceiptDescriptions>sample string 5</ReceiptDescriptions>
<ReceiptId>2</ReceiptId>
<ReceiptLineItems>
<ReceiptLineItemViewModel>
<ChargeId>1</ChargeId>
<ChartOfAccountsId>1</ChartOfAccountsId>
<CreditId>1</CreditId>
<DateRefunded>2025-10-29T04:40:45.247042-04:00</DateRefunded>
<GlSubAccountId>1</GlSubAccountId>
<OriginalAmount>5</OriginalAmount>
<PaymentAmount>3</PaymentAmount>
<PrepayChargeCodeId>1</PrepayChargeCodeId>
<ReceiptId>2</ReceiptId>
<ReceiptLineItemId>1</ReceiptLineItemId>
<RefundAmount>6</RefundAmount>
<Refunded>true</Refunded>
<SecurityDepositType>
<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>
</SecurityDepositType>
<SecurityDepositTypeId>4</SecurityDepositTypeId>
</ReceiptLineItemViewModel>
<ReceiptLineItemViewModel>
<ChargeId>1</ChargeId>
<ChartOfAccountsId>1</ChartOfAccountsId>
<CreditId>1</CreditId>
<DateRefunded>2025-10-29T04:40:45.247042-04:00</DateRefunded>
<GlSubAccountId>1</GlSubAccountId>
<OriginalAmount>5</OriginalAmount>
<PaymentAmount>3</PaymentAmount>
<PrepayChargeCodeId>1</PrepayChargeCodeId>
<ReceiptId>2</ReceiptId>
<ReceiptLineItemId>1</ReceiptLineItemId>
<RefundAmount>6</RefundAmount>
<Refunded>true</Refunded>
<SecurityDepositType>
<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>
</SecurityDepositType>
<SecurityDepositTypeId>4</SecurityDepositTypeId>
</ReceiptLineItemViewModel>
</ReceiptLineItems>
<ReceiptType>6</ReceiptType>
<ResidentId>1</ResidentId>
<Reversed>true</Reversed>
<Transfered>9</Transfered>
<UnitId>1</UnitId>
<Balance>1</Balance>
</ArReceiptRefundViewModel>
<ArReceiptRefundViewModel>
<ArBatchReceiptId>1</ArBatchReceiptId>
<ArReceiptTypeId>7</ArReceiptTypeId>
<AuxillaryField>1</AuxillaryField>
<BankCode>sample string 12</BankCode>
<BuildingId>1</BuildingId>
<CheckNumber>sample string 4</CheckNumber>
<CreatedDate>2025-10-29T04:40:45.247042-04:00</CreatedDate>
<IsBankCodeActive>true</IsBankCodeActive>
<PaymentType>sample string 3</PaymentType>
<PostDate>2025-10-29T04:40:45.247042-04:00</PostDate>
<Posted>8</Posted>
<ReceiptAmount>11</ReceiptAmount>
<ReceiptDate>2025-10-29T04:40:45.247042-04:00</ReceiptDate>
<ReceiptDescriptions>sample string 5</ReceiptDescriptions>
<ReceiptId>2</ReceiptId>
<ReceiptLineItems>
<ReceiptLineItemViewModel>
<ChargeId>1</ChargeId>
<ChartOfAccountsId>1</ChartOfAccountsId>
<CreditId>1</CreditId>
<DateRefunded>2025-10-29T04:40:45.247042-04:00</DateRefunded>
<GlSubAccountId>1</GlSubAccountId>
<OriginalAmount>5</OriginalAmount>
<PaymentAmount>3</PaymentAmount>
<PrepayChargeCodeId>1</PrepayChargeCodeId>
<ReceiptId>2</ReceiptId>
<ReceiptLineItemId>1</ReceiptLineItemId>
<RefundAmount>6</RefundAmount>
<Refunded>true</Refunded>
<SecurityDepositType>
<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>
</SecurityDepositType>
<SecurityDepositTypeId>4</SecurityDepositTypeId>
</ReceiptLineItemViewModel>
<ReceiptLineItemViewModel>
<ChargeId>1</ChargeId>
<ChartOfAccountsId>1</ChartOfAccountsId>
<CreditId>1</CreditId>
<DateRefunded>2025-10-29T04:40:45.247042-04:00</DateRefunded>
<GlSubAccountId>1</GlSubAccountId>
<OriginalAmount>5</OriginalAmount>
<PaymentAmount>3</PaymentAmount>
<PrepayChargeCodeId>1</PrepayChargeCodeId>
<ReceiptId>2</ReceiptId>
<ReceiptLineItemId>1</ReceiptLineItemId>
<RefundAmount>6</RefundAmount>
<Refunded>true</Refunded>
<SecurityDepositType>
<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>
</SecurityDepositType>
<SecurityDepositTypeId>4</SecurityDepositTypeId>
</ReceiptLineItemViewModel>
</ReceiptLineItems>
<ReceiptType>6</ReceiptType>
<ResidentId>1</ResidentId>
<Reversed>true</Reversed>
<Transfered>9</Transfered>
<UnitId>1</UnitId>
<Balance>1</Balance>
</ArReceiptRefundViewModel>
</ArrayOfArReceiptRefundViewModel>