Skip to main content
Note
This endpoint is limited in availability. For more information, contact your Marqeta representative.
Retrieve balance data based on settlements for the program account. Each row represents the balance data, including bank balance and the amount to transfer to fund your program, at a specified aggregation level. The data is derived from the balance-related activity on the Marqeta platform. This endpoint supports multiple response formats, query filtering, field filtering, sorting, pagination, and currency conversion. For more information about response options, see Response Customization.

Retrieve program balances settlement data (JSON)

Action: GET
Endpoint: /views/programbalancessettlement/{time_agg}
Retrieve program balances settlement data, aggregated over the specified time period. This endpoint returns a JSON object that contains an array of records matching your filter query.

URL path parameters

FieldsDescription
time_agg

string
Required
Time period over which to aggregate the data. For more information, see Data aggregation levels .

Allowable Values:

day, month

Sample response body

The following sample shows a representative response for a GET request to the /views/programbalancessettlement/day?program=my_program&fields=corrected_post_date,beginning_bank_balance,partner_funds_loads_net,deposit,ending_bank_balance endpoint.
JSON
{
    "total": 17,
    "is_more": false,
    "count": 17,
    "info": {},
    "start_date": "2019-11-01T00:00:00+0000",
    "end_date": "2019-11-19T00:00:00+0000",
    "last_run_time": "",
    "schema": [
        {
            "field": "corrected_post_date",
            "type": "date",
            "description": "A transaction date that accounts for potential adjustments, allowing balances to be calculated across a single date range. For most cases, Corrected Post Date and Post Date are identical. When different, Corrected Post Date represents the correct reporting date, and Post Date represents when the transaction was posted to the Marqeta ledger.",
            "display": "Corrected Post Date",
            "units": null,
            "has_total": false,
            "date_format": "YYYY-MM-DD",
            "is_filter_only": false
        },
        {
            "field": "beginning_bank_balance",
            "type": "numeric(14,2)",
            "description": "#N/A",
            "display": "Beginning Bank Balance",
            "units": "USD",
            "has_total": true,
            "is_filter_only": false
        },
        {
            "field": "partner_funds_loads_net",
            "type": "numeric(14,2)",
            "description": "The net amount of funds loaded or unloaded using a program funding account including any adjustments.",
            "display": "Partner Funds Loads Net",
            "units": "USD",
            "has_total": true,
            "is_filter_only": false
        },
        {
            "field": "deposit",
            "type": "numeric(14,2)",
            "description": "#N/A",
            "display": "Deposit",
            "units": "USD",
            "has_total": true,
            "is_filter_only": false
        },
        {
            "field": "ending_bank_balance",
            "type": "numeric(14,2)",
            "description": "",
            "display": "Ending Bank Balance",
            "units": "USD",
            "has_total": true,
            "is_filter_only": false
        }
    ],
    "records": [
        {
            "corrected_post_date": "2019-11-20T00:00:00.000Z",
            "beginning_bank_balance": 17811172.72,
            "partner_funds_loads_net": 0.0,
            "deposit": 0.0,
            "ending_bank_balance": 17811172.72
        },
        {
            "corrected_post_date": "2019-11-19T00:00:00.000Z",
            "beginning_bank_balance": 21471016.73,
            "partner_funds_loads_net": -3659844.01,
            "deposit": 0.0,
            "ending_bank_balance": 17811172.72
        },

        ...

        {
            "corrected_post_date": "2019-11-04T00:00:00.000Z",
            "beginning_bank_balance": 12692145.34,
            "partner_funds_loads_net": -2410470.95,
            "deposit": 4659036.18,
            "ending_bank_balance": 14940710.57
        }
    ]
}

Retrieve program balances settlement data (file export)

Action: GET
Endpoint: /views/programbalancessettlement/{time_agg}/{export_type}
Retrieve program balances settlement data, aggregated over the specified time period. This endpoint asynchronously generates a file in the specified format and returns a job token for retrieving the file when it is completed. The file contains a list of records matching your filter query.

URL path parameters

FieldsDescription
time_agg

string
Required
Time period over which to aggregate the data. For more information, see Data aggregation levels .

Allowable Values:

day, month
export_type

string
Required
File format in which to export the data.

Allowable Values:

csv

Query parameters

FieldsDescription
compress

string
optional
Type of file compression for the exported file.

Allowable Values:

gz, zip

Default value:
gz

Sample response body

JSON
{
    "token": "111122226c444d8888888a9999ae11111db63da4.csv.gz"
}

Retrieve schema for program balances settlement

Action: GET
Endpoint: /views/programbalancessettlement/{time_agg}/schema
Retrieve a JSON representation of the program balances settlement view schema. The schema object contains an array of objects that describe the available columns and the data type of each column.

Sample response body

The following sample shows a representative response for a GET request to the /views/programbalancessettlement/day/schema?program=my_program endpoint. The schema can vary based on the data you are authorized to access (based on the credentials you provide in your request).
JSON
[
    {
        "field": "program",
        "type": "character varying(128)",
        "description": "The name of the card program.",
        "display": "Program",
        "units": null,
        "has_total": false,
        "is_filter_only": false
    },
    {
        "field": "corrected_post_date",
        "type": "date",
        "description": "A transaction date that accounts for potential adjustments, allowing balances to be calculated across a single date range. For most cases, Corrected Post Date and Post Date are identical. When different, Corrected Post Date represents the correct reporting date, and Post Date represents when the transaction was posted to the Marqeta ledger.",
        "display": "Corrected Post Date",
        "units": null,
        "has_total": false,
        "date_format": "YYYY-MM-DD",
        "is_filter_only": false
    },
    {
        "field": "beginning_bank_balance",
        "type": "numeric(14,2)",
        "description": "#N/A",
        "display": "Beginning Bank Balance",
        "units": "USD",
        "has_total": true,
        "is_filter_only": false
    },
    {
        "field": "partner_funds_loads_net",
        "type": "numeric(14,2)",
        "description": "The net amount of funds loaded or unloaded using a program funding account including any adjustments.",
        "display": "Partner Funds Loads Net",
        "units": "USD",
        "has_total": true,
        "is_filter_only": false
    },
    {
        "field": "deposit",
        "type": "numeric(14,2)",
        "description": "#N/A",
        "display": "Deposit",
        "units": "USD",
        "has_total": true,
        "is_filter_only": false
    },
    {
        "field": "ending_bank_balance",
        "type": "numeric(14,2)",
        "description": "",
        "display": "Ending Bank Balance",
        "units": "USD",
        "has_total": true,
        "is_filter_only": false
    },
    {
        "field": "last_modified_time",
        "type": "timestamp without time zone",
        "description": "The date when the record was most recently updated.",
        "display": "Last Modified Time",
        "units": null,
        "has_total": false,
        "date_format": "YYYY-MM-DD",
        "is_filter_only": false
    }
]