Actions215
- V1 > Bank Billets Actions
- V1 > Bank Billet Accounts Actions
- V1 > Bank Billet Batches Actions
- V1 > Bank Billet Batch Exports Actions
- V1 > Bank Billet Discharges Actions
- V1 > Bank Billet Payments Actions
- V1 > Bank Billet Registrations Actions
- V1 > Bank Billet Remittances Actions
- V1 > Customers Actions
- V1 > Customer Subscriptions Actions
- V1 > Discharges Actions
- V1 > Email Deliveries Actions
- V1 > Events Actions
- V1 > Imports Actions
- V1 > Installments Actions
- V1 > Remittances Actions
- V1 > Reports Actions
- V1 > SMS Deliveries Actions
- V1 > User Info Actions
- V1 > Webhook Deliveries Actions
- V1 > Webhooks Actions
- Admin > Users Actions
- Admin > Connections Actions
- Admin > Certificates Actions
- Admin > Subaccounts Actions
- Charge > PIX Actions
- Charge > PIX Accounts Actions
- Data > Bank Billet Queries Actions
- EDI > EDI Boxes Actions
- Financial > Accounts Actions
- Financial > Balances Actions
- Financial > Commands Actions
- Financial > Statement Transactions Actions
- Financial > Transaction Imports Actions
- Financial > Providers Actions
- Payment > Bank Billets Actions
- Payment > Bank Billet Batches Actions
- Payment > Batches Actions
- Payment > DARFs Actions
- Payment > DARF Batches Actions
- Payment > PIX Actions
- Payment > PIX Batches Actions
- Payment > Utilities Actions
- Payment > Utility Batches Actions
- Transfer > Batches Actions
- Transfer > Internal Actions
- Transfer > Internal Batches Actions
- Transfer > PIX Actions
- Transfer > PIX Batches Actions
- Transfer > TED Actions
- Transfer > TED Batches Actions
Overview
This node integrates with the Kobana API to manage financial account balances, specifically allowing users to update balance information. It is useful in scenarios where you need to programmatically adjust or correct account balances within a financial system, such as updating ledger entries after reconciliation or correcting errors.
For example, if an automated process detects a discrepancy in an account balance, this node can be used to send an update request to the Kobana API to fix the balance accordingly.
Properties
| Name | Meaning |
|---|---|
| ID | The unique identifier of the balance resource to update. |
| Request Body | JSON object containing the fields and values to update on the balance resource. |
| Additional Fields | Optional JSON object for any extra fields to include in the request (not typically used). |
Output
The node outputs the JSON response returned by the Kobana API after performing the update operation on the balance resource. This JSON typically contains the updated balance details, including any changed fields and metadata confirming the update.
No binary data output is produced by this node.
Dependencies
- Requires an API key credential for authenticating with the Kobana API.
- The node dynamically selects the API base URL depending on whether the environment is production or sandbox.
- No other external dependencies are required.
Troubleshooting
- Invalid ID: If the provided ID does not correspond to an existing balance resource, the API will return an error. Verify that the ID is correct.
- Malformed JSON in Request Body: The "Request Body" must be valid JSON. Invalid JSON syntax will cause the node to fail. Use proper JSON formatting.
- Authentication Errors: Ensure the API key credential is correctly configured and has sufficient permissions.
- API Environment Mismatch: Using the wrong environment setting (production vs sandbox) may lead to unexpected results or failures.
- Continue On Fail: If enabled, the node will continue processing subsequent items even if one fails, returning error details in the output.
Links and References
- Kobana API Documentation (general reference for API endpoints and payloads)
- n8n documentation on HTTP Request Node for understanding how API calls are made internally
