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Declared in <galanthus/c_api/gln_capi.h>.

GLN_API const char* GLN_CALL gln_get_balance_due_date(const gln_balance_t* in_balance);
  • Family: Row field accessors
  • Return type: const char*

Purpose

Returns the due date when available.

Return

Returns the provider's due date for a balance-related facility when supplied. It is separate from the as-of date. Returns NULL when the optional field is not materialized or when the input handle is NULL.

TypeNullabilityOwnership
const char*nullableborrowed

Parameters

NameDirectionTypeNullabilityOwnership
in_balanceinputconst gln_balance_t*nullableborrowed

Date Semantics

Returns the provider's due date for a balance-related facility when supplied. It is separate from the as-of date.

FinTS 3.x balance parsing normalizes numeric due dates to YYYY-MM-DD; FinTS 4.1 preserves the due-date text from the source payload. NULL means no due date was materialized.

Notes

Passing NULL for in_balance is allowed and returns NULL.

NULL means the provider did not supply this optional field for the row.

The returned pointer is borrowed from the owning backend result envelope and becomes invalid when that envelope is destroyed.

See Also