BizTalk Adapter for Blackbaud Financial Edge NXT

Build 20.0.7587

Views

Views are composed of columns and pseudo columns. Views are similar to tables in the way that data is represented; however, views do not support updates. Entities that are represented as views are typically read-only entities. Often, a stored procedure is available to update the data if such functionality is applicable to the data source.

Queries can be executed against a view as if it were a normal table, and the data that comes back is similar in that regard. To find out more about tables and stored procedures, please navigate to their corresponding entries in this help document.

CData BizTalk Adapter for Blackbaud Financial Edge NXT Views

Name Description
AccountCashflows Returns the list of available cashflow values
AccountCodes Returns the account codes.
AccountFundRequirements Returns the requirements for the account funds.
AccountFunds Returns the account funds.
Accounts Retrieve and query accounts.
AccountSegments Returns the specified account segment value.
AccountStructures Returns a list of account structures.
AccountWorkingCapitals Returns the list of available working capital values
BatchValidations Returns the results of batch validation.
BudgetAccounts Returns details for every fiscal period and account in scenario.
BudgetDetails Returns the specified budget details.
BudgetFiscalPeriods Returns details for every fiscal period in a budget scenario.
BudgetGrants Returns details for every fiscal period and grant in scenario.
BudgetLines Returns the specified budget lines.
BudgetProjects Returns details for every fiscal period and project in scenario.
Budgets Returns a top level overview of every budget scenario.
BudgetScenarios Returns details for every scenario ID.
CashManagementDistributionSetLineItemProjects The project distribution for the line items in the cash management distribution sets .
CashManagementDistributionSets Returns the list of cash management distribution sets and their line items.
Classes The list of classes
ClientNames Returns the client type names.
FiscalYears Returns the list of fiscal year details.
GrantCustomFields Returns the list of grant custom field options.
GrantStatuses Returns the list of grant statuses.
GrantTypes Returns the list of grant types.
JournalCodes Returns the list of all available journal codes.
JournalEntries Retrieve and query journal entries.
JournalEntryBatches Returns the list of journal entry batches.
LedgerSummaries Lists general ledger summaries for the specified fiscal year and criteria. Note that summary records only exist for closed, optimized fiscal years. If any activity occurs in a fiscal period that has not since been closed and optimized, it will not be included in the GL summary record(s).
MediaTypes Returns a list of media type options.
PeriodSummaries Once the summarization process is complete, this is how you get data returned.
PeriodSummariesProcessingInfo This endpoint reports on the current status of the summarize request, whether it is completed, still running, or failed.
ProjectAttachments Returns the list of attachments for the specified project.
ProjectContactMethods Address information of contacts for projects.
ProjectContacts The contacts for a project.
ProjectDepartments Returns the list of project departments.
ProjectDivisions Returns the list of project divisions.
ProjectLocations Returns the list of project locations.
Projects Retrieve and query projects.
ProjectStatuses Returns the list of project statuses.
ProjectTypes Returns the list of project types.
TransactionCodes Returns the list of all available transaction codes.
TransactionCodeValues Returns the list of all values for the specified transaction code.
TransactionDistributions Returns a list of transactions matching the search criteria
TransactionDistributionSets Returns the list of transaction distribution sets.

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Build 20.0.7587