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Danske Bank (UK) Transactions API

The Transactions API from Danske Bank (UK) — 1 operation(s) for transactions.

Danske Bank (UK) Transactions API is one of 34 APIs that Danske Bank (UK) publishes on the APIs.io network, described by a machine-readable OpenAPI specification.

Tagged areas include Transaction. The published artifact set on APIs.io includes an OpenAPI specification, API documentation, and an API reference.

This API exposes 1 operation across 1 path, and defines 65 schemas. It is described by OpenAPI 3.2.0, at version 4.0.0.

Requests are made against a single base URL, https://obp-api.danskebank.com/open-banking/v4.0/aisp.

1 operations 1 paths 65 schemas 1 GET

Metadata

The identity and technical contract details declared by the specification.

Specification
OpenAPI 3.2.0
API Version
4.0.0
Base URL
https://obp-data.danskebank.com/v2.2
Authentication
HTTP Bearer
Resource Areas
1

Authentication & Security 1

Danske Bank (UK) Transactions API declares 1 security scheme for authenticating requests. It accepts HTTP bearer tokens (JWT) (BearerAuth).

Paths & Operations 1

Across 1 path, the API surfaces 1 operation — 1 GET. Each is listed below with its method, path, parameters, and response codes.

Transactions 1
GET
/accounts/{AccountId}/transactions
Get Transactions
GetAccountsAccountIdTransactions 8 params → 200400401403405406429500

Schemas 65

The contract defines 65 schemas that model the data the API accepts and returns. The most detailed are OBTransaction6 (29 properties), OBPostalAddress7 (18 properties), OBCurrencyExchange5 (7 properties), Links (5 properties). Each schema is shown below with its type and property counts.

OBCreditDebitCode_1
string
Indicates whether the transaction is a credit or a debit entry.
Meta
object
Meta Data relevant to the payload
3 properties
BookingDateTime
string
Date and time when a transaction entry is posted to an account on the account servicer's books. Usage: Booking date is the expected booking date, unless the st…
OBCashAccount6_1
object
Unambiguous identification of the account of the debtor, in the case of a crebit transaction.
5 properties
TransactionId
string
Unique identifier for the transaction within an servicing institution. This identifier is both unique and immutable.
OBActiveCurrencyAndAmount_SimpleType
string
A number of monetary units specified in an active currency where the unit of currency is explicit and compliant with ISO 4217.
UnitNumber
string
Number that identifies the unit of a specific address .
AccountId
string
A unique and immutable identifier used to identify the account resource. This identifier has no meaning to the account owner.
OBSupplementaryData1
object
Additional information that can not be captured in the structured fields and/or any other specific block.
ISODateTime
string
All dates in the JSON payloads are represented in ISO 8601 date-time format. All date-time fields in responses must include the timezone. An example is below:…
DistrictName
string
Number that of the regional area, known as a district, which forms part of an address
OBUltimateCreditor1
object
Ultimate party to which an amount of money is due.
5 properties
PostBox
string
Information that locates and identifies a box in a post office assigned to a person or organization, where letters for them are kept until called for.
ExternalProxyAccountType1Code
string
Specifies the external proxy account type code, as published in the proxy account type external code set. For more information and a full list of values see Ex…
OBCurrencyExchange5
object
Set of elements used to provide details on the currency exchange.
7 properties 2 required
OBBankTransactionCodeStructure1
object
Set of elements used to fully identify the type of underlying transaction resulting in an entry.
2 properties 2 required
Links
object
Links relevant to the payload
5 properties 1 required
OBError1
object
4 properties 1 required
OBTransactionCashBalance
object
Set of elements used to define the balance as a numerical representation of the net increases and decreases in an account after a transaction entry is applied…
3 properties 3 required
ProprietaryBankTransactionCodeStructure1
object
Set of elements to fully identify a proprietary bank transaction code.
2 properties 1 required
OBProxy1
object
Specifies an alternate assumed name for the identification of the account.
3 properties 2 required
OBReadTransaction6
object
3 properties 1 required
StreetName
string
Name of a street or thoroughfare.
BuildingName
string
Name of a referenced building.
OBExternalStatusReason1Code
string
Low level textual error code, for all enum values see ExternalReason1Code [here](https://github.com/OpenBankingUK/ExternalInternalCodeSets)
ExternalEntryStatus1Code
string
Status of a transaction entry on the books of the account servicer.
OBBalanceType1Code
string
Balance type, in a coded form.
OBBranchAndFinancialInstitutionIdentification6_2
object
Financial institution servicing an account for the debtor.
5 properties
Identification_2
string
Unique and unambiguous identification of a financial institution or a branch of a financial institution.
OBInternalTransactionMutability1Code
string
Specifies the Mutability of the Transaction record. Please note, since balance is a part of response, and DB allows (under certain circumstances) to back value…
AddressLine
string
Information that locates and identifies a specific address for a transaction entry, that is presented in free format text.
BuildingNumber
string
Number that identifies the position of a building on a street.
OBAddressType2Code
string
Identifies the nature of the postal address. For a full set of codes see OBAddressType2Code in OBInternalCodeSet [here](https://github.com/OpenBankingUK/Extern…
OBInternalFinancialInstitutionIdentification4Code
string
Name of the identification scheme, in a coded form as published in an external list.
OBInternalAccountIdentification4Code
string
Name of the identification scheme, in a coded form as published in an external list.
CareOf
string
The 'care of' address is used whenever sending mail to a person or organisation who does not actually live or work at the address. They will receive the mail f…
Floor
string
Number that identifies the level within a building
Identification_0
string
Identification assigned by an institution to identify an account. This identification is known by the account owner.
PostCode
string
Identifier consisting of a group of letters and/or numbers that is added to a postal address to assist the sorting of mail.
Name_1
string
Name by which an agent is known and which is usually used to identify that agent.
OBErrorResponse1
object
An array of detail error codes, and messages, and URLs to documentation to help remediation.
2 properties 1 required
OBUltimateDebtor1
object
Ultimate party that owes an amount of money to the (ultimate) creditor.
5 properties
Room
string
Information that locates and identifies a room to form part of an address
TownName
string
Name of a built-up area, with defined boundaries, and a local government.
TransactionInformation
string
Further details of the transaction. This is the transaction narrative, which is unstructured text. Danske Bank: The following fields in the mentioned order are…
OBExternalPurpose1Code
string
For a full list of enumeration values refer to ExternalPurpose1Code in ISOExternalCodeSet [here](https://github.com/OpenBankingUK/ExternalInternalCodeSets)
LEI
string
Legal entity identification as an alternate identification for a party. Legal Entity Identifier is a code allocated to a party as described in ISO 17442 Financ…
OBTransaction6
object
Provides further details on an entry in the report.
29 properties 5 required
OBActiveOrHistoricCurrencyAndAmount_10
object
Transaction charges to be paid by the charge bearer.
2 properties 2 required
StatementReference
string
Unique reference for the statement. This reference may be optionally populated if available.
OBBranchAndFinancialInstitutionIdentification6_1
object
Financial institution servicing an account for the creditor.
5 properties
Name_0
string
The account name is the name or names of the account owner(s) represented at an account level, as displayed by the ASPSP's online channels. Note, the account n…
SecondaryIdentification
string
This is secondary identification of the account, as assigned by the account servicing institution. This can be used by building societies to additionally ident…
OBActiveOrHistoricCurrencyAndAmount_9
object
Amount of money in the cash transaction entry.
2 properties 2 required
OBTransactionCardInstrument1
object
Set of elements to describe the card instrument used in the transaction.
4 properties 1 required
OBExtendedProprietaryBankTransactionCode
object
Additional proprietary bank transaction codes used by the ASPSP for the underlying transaction
3 properties 1 required
OBPostalAddress7
object
Information that locates and identifies a specific address, as defined by postal services.
18 properties
OBCreditDebitCode_2
string
Indicates whether the balance is a credit or a debit balance. Usage: A zero balance is considered to be a credit balance.
OBReadDataTransaction6
object
1 property
ExternalCategoryPurpose1Code
string
Enumeration of codes that outlines the type of purpose behind a transaction, payment or risk. For all enum values see ExternalCategoryPurpose1Code in ISOExtern…
ValueDateTime
string
Date and time at which assets become available to the account owner in case of a credit entry, or cease to be available to the account owner in case of a debit…
ActiveOrHistoricCurrencyCode_1
string
A code allocated to a currency by a Maintenance Agency under an international identification scheme, as described in the latest edition of the international st…
OBCashAccount6_0
object
Unambiguous identification of the account of the creditor, in the case of a debit transaction.
5 properties
OBMerchantDetails1
object
Details of the merchant involved in the transaction.
2 properties
TransactionReference
string
Unique reference for the transaction. This reference is optionally populated, and may as an example be the FPID in the Faster Payments context.

Specification

The full machine-readable OpenAPI contract behind this narrative.

Source

danske-bank-uk-transactions-api-openapi.yml Raw ↑

Other APIs Danske Bank (UK) publishes across the network.

Danske Bank (UK) Account Access API
Danske Bank (UK) Account Information Service (AIS) API
Danske Bank (UK) Accounts API
Danske Bank (UK) ATM API
Danske Bank (UK) Balances API
Danske Bank (UK) BCA API
Danske Bank (UK) Beneficiaries API
Danske Bank (UK) Branch API
Danske Bank (UK) CCC API
Danske Bank (UK) Direct Debits API
Danske Bank (UK) Documents API
Danske Bank (UK) Domestic Payments API
Where this information came from

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