Outbound Statement Accounts

The OutboundStatementAccount table in the Statement package is designed to store and manage information related to account statements that are generated for outbound transactions. This table tracks various attributes such as account identifiers, statement types, transaction details, timestamps, and status indicators, facilitating the organization and retrieval of account statements for reporting and analysis purposes. It serves as a critical component for financial reconciliation and auditing processes, ensuring accurate record-keeping for outbound financial activities.

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