Accounting
accounting documento /v3/api docs/accounting · pacote generated/accounting · 52 operações método do sdk descrição http caminho escopo exigido corpo accountingeventcontrollercreate — post /api/accounting/events manage accounting event accountingeventrequest accountingeventcontrollerdeactivate — delete /api/accounting/events/{id} manage accounting event — accountingeventcontrollerfindall — get /api/accounting/events read accounting — accountingeventcontrollerfindbyid — get /api/accounting/events/{id} read accounting — accountingeventcontrollergetlines — get /api/accounting/events/{id}/lines read accounting — accountingeventcontrollerreactivate — post /api/accounting/events/{id}/restore manage accounting event — accountingeventcontrollersetlines — put /api/accounting/events/{id}/lines manage accounting event accountingeventlinerequest accountingeventcontrollerupdate — put /api/accounting/events/{id} manage accounting event accountingeventrequest accountingperiodlockcontrollerlist — get /api/accounting/periods read accounting — accountingperiodlockcontrollerlock — post /api/accounting/periods/lock manage accounting period — accountingperiodlockcontrollerreopen — post /api/accounting/periods/reopen manage accounting period — accountingreportcontrollerauxiliaryledger — get /api/accounting/reports/auxiliary ledger manage accounting export — accountingreportcontrollerbalancesheet — get /api/accounting/reports/balance sheet manage accounting export — accountingreportcontrollerbalancesheetcsv — get /api/accounting/reports/balance sheet/export csv manage accounting export — accountingreportcontrollerbalancesheettxt — get /api/accounting/reports/balance sheet/export txt manage accounting export — accountingreportcontrollerbalancesheetxlsx — get /api/accounting/reports/balance sheet/export xlsx manage accounting export — accountingreportcontrollerbusinessarealedger — get /api/accounting/reports/business area ledger manage accounting export — accountingreportcontrollercashflow — get /api/accounting/reports/cash flow manage accounting export — accountingreportcontrollerconsolidated — get /api/accounting/reports/consolidated manage accounting export — accountingreportcontrollercostcenterledger — get /api/accounting/reports/cost center ledger manage accounting export — accountingreportcontrollerequitymutations — get /api/accounting/reports/equity mutations manage accounting export — accountingreportcontrollerequityvariations — get /api/accounting/reports/equity variations manage accounting export — accountingreportcontrollerequityvariationscsv — get /api/accounting/reports/equity variations/export csv manage accounting export — accountingreportcontrollerequityvariationstxt — get /api/accounting/reports/equity variations/export txt manage accounting export — accountingreportcontrollerequityvariationsxlsx — get /api/accounting/reports/equity variations/export xlsx manage accounting export — accountingreportcontrollerjournal — get /api/accounting/reports/journal manage accounting export — accountingreportcontrollerjournalcsv — get /api/accounting/reports/journal/export csv manage accounting export — accountingreportcontrollerjournaltxt — get /api/accounting/reports/journal/export txt manage accounting export — accountingreportcontrollerjournalxlsx — get /api/accounting/reports/journal/export xlsx manage accounting export — accountingreportcontrollerledger — get /api/accounting/reports/ledger manage accounting export — accountingreportcontrollerledgercsv — get /api/accounting/reports/ledger/export csv manage accounting export — accountingreportcontrollerledgertxt — get /api/accounting/reports/ledger/export txt manage accounting export — accountingreportcontrollerledgerxlsx — get /api/accounting/reports/ledger/export xlsx manage accounting export — accountingreportcontrollerprojectledger — get /api/accounting/reports/project ledger manage accounting export — accountingreportcontrollerreconciliation — get /api/accounting/reports/reconciliation manage accounting export — accountingreportcontrollerretainedearnings — get /api/accounting/reports/retained earnings manage accounting export — accountingreportcontrollertrialbalance — get /api/accounting/reports/trial balance manage accounting export — accountingreportcontrollertrialbalancecsv — get /api/accounting/reports/trial balance/export csv manage accounting export — accountingreportcontrollertrialbalancetxt — get /api/accounting/reports/trial balance/export txt manage accounting export — accountingreportcontrollertrialbalancexlsx — get /api/accounting/reports/trial balance/export xlsx manage accounting export — accountingreportcontrollervalueadded — get /api/accounting/reports/value added manage accounting export — journalentrycontrollercreatemanual — post /api/accounting/journal entries/manual generate journal entry manualjournalrequest journalentrycontrollerfindall — get /api/accounting/journal entries read accounting — journalentrycontrollergenerate — post /api/accounting/journal entries/generate generate journal entry journalgenerationrequest journalentrycontrollergetlines — get /api/accounting/journal entries/{id}/lines read accounting — journalentrycontrollerreverse — post /api/accounting/journal entries/{id}/reverse reverse journal entry — ledgeraccountcontrollercreate — post /api/accounting/ledger accounts manage ledger account ledgeraccountrequest ledgeraccountcontrollerdeactivate — delete /api/accounting/ledger accounts/{id} manage ledger account — ledgeraccountcontrollerfindall — get /api/accounting/ledger accounts read accounting — ledgeraccountcontrollerfindbyid — get /api/accounting/ledger accounts/{id} read accounting — ledgeraccountcontrollerreactivate — post /api/accounting/ledger accounts/{id}/restore manage ledger account — ledgeraccountcontrollerupdate — put /api/accounting/ledger accounts/{id} manage ledger account ledgeraccountrequest corpos de requisição accountingeventlinerequest campo tipo obrigatório observação accountsource string sim fixed · nature debit · nature credit · expression description string — máx 240 ledgeraccountid string (uuid) — — side string sim debit · credit accountingeventrequest campo tipo obrigatório observação code string sim máx 32 name string sim máx 160 operationtype string sim sale · purchase · receivable settlement · payable settlement · commitment · verification · payment · adjustment journalgenerationrequest campo tipo obrigatório observação amount number sim — budgetaction string — — budgetexpensenature string — — budgetfund string — — budgetprogram string — — description string — — entrydate string (date) — — establishmentid string (uuid) — — eventcode string sim — naturecode string — — natureid string (uuid) — — projectid string (uuid) — — sourcedocument string sim — sourcemodule string sim — ledgeraccountrequest campo tipo obrigatório observação acceptsentry boolean — — accounttype string sim asset · liability · equity · vpa · vpd · control cashequivalent boolean — — cashflowgroup string — operating · investing · financing code string sim máx 32 equitymovementtype string — capital · reserves · accumulated result name string sim máx 160 parentcode string — máx 32 referentialcode string — máx 40 valueaddedbucket string — revenue · inputs acquired · depreciation · personnel · taxes · financial · retained manualjournalline campo tipo obrigatório observação amount number sim — auxiliarypartnerid string (uuid) — — auxiliarypartnertype string — customer · supplier · bank · other budgetaction string — — budgetexpensenature string — — budgetfund string — — budgetprogram string — — businessarea string — — costcenterid string (uuid) — — description string — — ledgeraccountid string (uuid) sim — projectid string (uuid) — — side string sim debit · credit manualjournalrequest campo tipo obrigatório observação applyapportionment boolean — — currency string — — description string — — entrydate string (date) — — establishmentid string (uuid) — — exchangerate number — — lines manualjournalline \[] sim — sourcedocument string — —