Short answer: Drop the "Wise → List Balances" action anywhere in your workflow, map the inputs from upstream nodes, and publish.
Every field can be mapped from an upstream trigger, AI step, table row, or hard-coded literal.
| Field | Type | Required | Description |
|---|---|---|---|
Profile ID profileId | number | Required | Profile ID |
{"profileId": "{{trigger.profileId}}"}
[{"id": 100,"type": "STANDARD","amount": {"value": 5000.5,"currency": "USD"},"currency": "USD"},{"id": 101,"amount": {"value": 3200,"currency": "EUR"},"currency": "EUR"}]
Use these fields in downstream nodes for routing, logging, or error handling.
Any of these apps can fire this action as part of a workflow.
Triggered by anything in the catalog. Free tier available. No credit card.