Actions99
- Group Accounts Actions
- Group Account Codes Actions
- Accounts Actions
- Expenses Actions
- Purchase Orders Actions
- Get A List Of Purchase Orders
- Create A New Purchase Order
- Get A Purchase Order
- Update A Purchase Order
- Open A Purchase Order
- Get A List Of Purchase Orders Items For A Specific Purchase Order
- Create A Purchase Order Item
- Get A Purchase Order Item
- Update A Purchase Order Item
- Delete A Purchase Order Item
- Get A List Of Goods Received Notes For A Specific Purchase Order
- Create A Goods Received Note
- Attach A File To A Goods Received Note
- Delete A Goods Received Note
- Suppliers Actions
- Fund Accounts Actions
- Cards Actions
- Expense Categories Actions
- Tax Rates Actions
- Amortizations Actions
- Account Teams Actions
- Account Codes Actions
- External Teams Actions
- Custom Fields Actions
- Get Custom Fields
- Create A New Custom Field
- Get Custom Field
- Update Custom Field
- Delete A Custom Field And All Its Values
- Get Custom Field Values
- Create A Custom Field Value
- Delete Custom Field Values
- Get A Custom Field Value
- Update A Custom Field Value
- Delete A Custom Field Value
- Get Managers For A Specific Custom Field Value
- Adds Managers For A Specific Custom Field Value
- Replaces Managers For A Specific Custom Field Value
- Removes Managers For A Specific Custom Field Value
- Webhook Subscriptions Actions
- Group Teams Actions
Overview
This node operation retrieves detailed information about a specific fund account within a given account. It is useful in scenarios where you need to fetch the current state or metadata of a particular fund account, such as for auditing, reporting, or further processing in an automation workflow.
For example, you might use this node to:
- Get the details of a fund account before performing transactions.
- Verify fund account information during reconciliation processes.
- Display fund account data in dashboards or notifications.
Properties
| Name | Meaning |
|---|---|
| Account Id | Identifier of the account to which the fund account belongs. |
| Fund Account Id | Identifier of the specific fund account to retrieve. |
Output
The node outputs JSON data representing the retrieved fund account's details. This typically includes all relevant fields describing the fund account, such as its identifiers, status, balances, and other metadata provided by the external service.
No binary data output is indicated.
Dependencies
- Requires an API key credential or similar authentication token configured in n8n to access the external service.
- The node uses a base URL and headers preset from credentials to make HTTP requests.
- The external service API must support fetching fund account details by account and fund account IDs.
Troubleshooting
- Missing or invalid Account Id or Fund Account Id: Ensure both identifiers are correctly provided and valid; otherwise, the API call will fail.
- Authentication errors: Verify that the API key or authentication token is correctly set up in n8n credentials.
- Network or API errors: Check connectivity and API availability; transient errors may require retries.
- Unexpected response structure: If the API changes, the node output may differ; verify the API documentation for updates.
Links and References
- Refer to the external service’s official API documentation for "Fund Accounts" and "Get Fund Account" endpoints for detailed field descriptions and usage guidelines.
- n8n documentation on setting up API credentials and HTTP request nodes for additional context.