# [EXPERIMENTAL] QueryCashStatementLocalCurrency `QueryCashStatementLocalCurrency` `POST /api/funds/{scope}/{code}/valuationpoints/cashstatementlocalcurrency/$query` - [OpenAPI fragment](https://www.lusid.com/docs/api/lusid/endpoints/funds/QueryCashStatementLocalCurrency.json) - [Rendered page](https://www.lusid.com/docs/api/lusid/endpoints/funds/QueryCashStatementLocalCurrency) Returns settled cash movements with a running balance in local currency for the specified Fund valuation point period. The cash statement is derived from Journal Entry Lines filtered to settled cash (HoldType='B', SourceType=LusidTransaction). Use the DisplayMode parameter on the request body to choose between ShowReversal (full reversal/TrueUp detail) and Consolidated (collapses system-generated zero-net reversal/TrueUp pairs into SystemCorrection rows). Base currency columns are out of scope for this variant and are not returned. ## Referenced schemas - [QueryFundCashStatementParameters](https://www.lusid.com/docs/api/lusid/schemas/QueryFundCashStatementParameters.txt) - [ValuationPointResourceListOfFundCashStatementLocalCurrency](https://www.lusid.com/docs/api/lusid/schemas/ValuationPointResourceListOfFundCashStatementLocalCurrency.txt) [< Funds](https://www.lusid.com/docs/api/lusid/endpoints/funds/llms.txt)