alpaca-broker-journals - Alpaca Broker API internal cash and securities journals
Move cash and securities between accounts within an Alpaca omnibus via single, batch, or reverse-batch journals using the Broker API.
Tags
Updated: 2026-09-19Capabilities
Typical Inputs
Typical Outputs
What this skill does
- Create single cash or securities journals
- Create batch or reverse-batch cash journals
- List and filter journal records
- Retrieve individual journal details
- Cancel pending journals
- Stream status events via SSE
Inputs
- Alpaca Broker API credentials
- Source and destination account UUIDs
- Transfer amounts or security symbols
- Idempotency keys
Outputs
- Journal records and status lifecycle
- Updated internal account balances
- SSE journal status stream events
- HTTP status response codes
Requirements
- Alpaca Broker API with HTTP Basic auth
- Pre-funded firm or sweep account
- Alpaca review for cash pooling eligibility
