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Yuki API link
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Financial monitor widgets
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Web service access code (Web service API key / WebserviceAccessKey)
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Accounting web service
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Accounting - ProcessJournal(sessionID, administrationID, xmlDoc)
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Accounting - Functional description of fields general journal entries XML
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AccountingInfo web service
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GetGLAccountScheme(sessionID, administrationID)
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GetPaymentMethods(sessionID, administrationID)
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Sales web service
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Focus points of Sales web service
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Sales - Functional description of fields sales invoices XML
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How can I export financial transactions from Yuki?
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Where can I view the trial balance?
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Can I match documents and payments myself?
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What does the 'Private' column mean in the overview of scan/upload batches (history)?
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Is there an overview of processed transactions (which will be charged)?
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Why don't invoices forwarded via Microsoft 365 arrive in Yuki?
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How do I export all documents from Yuki?
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What is the 'To be handled by Yuki' folder for?
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How can I create an additional folder in the Archive?