{"type":"video","version":"1.0","html":"<iframe src=\"https://www.loom.com/embed/e0df0b2bb4914d398008bb1e862e0040\" frameborder=\"0\" width=\"1920\" height=\"1440\" webkitallowfullscreen mozallowfullscreen allowfullscreen></iframe>","height":1440,"width":1920,"provider_name":"Loom","provider_url":"https://www.loom.com","thumbnail_height":1440,"thumbnail_width":1920,"thumbnail_url":"https://cdn.loom.com/sessions/thumbnails/e0df0b2bb4914d398008bb1e862e0040-a4dc9da1316c6173.gif","duration":115.115,"title":"Account Reconciler | Getting started - Adding &amp; Removing Accounts","description":"In this video, I walk you through the simple process of adding accounts for reconciliation. We start by selecting accounts from the left-hand side that are already being reconciled and then toggle on any additional accounts, like disbursements, from the right-hand side. I also explain how to edit settings, including the frequency and last reconciled period, which is crucial for establishing our starting point. Remember, the reconciliation date and the type of reconciliation—whether it's a clearing account or a balance reconciliation—are important to understand. Please make sure to follow these steps to ensure accurate account management."}