{"type":"video","version":"1.0","html":"<iframe src=\"https://www.loom.com/embed/efae206d597242519d831c539c19e9a8\" frameborder=\"0\" width=\"1728\" height=\"1296\" webkitallowfullscreen mozallowfullscreen allowfullscreen></iframe>","height":1296,"width":1728,"provider_name":"Loom","provider_url":"https://www.loom.com","thumbnail_height":1296,"thumbnail_width":1728,"thumbnail_url":"https://cdn.loom.com/sessions/thumbnails/efae206d597242519d831c539c19e9a8-f39479b0439af6ae.gif","duration":539.677,"title":"End of Day Cash Up Process and Payment Reconciliation Guide","description":"Hi everyone, it's Jess from Slick. In this video, I walk you through the end-of-day cash-up process and how to reconcile your payments, using yesterday's takings as an example where I collected £602.50. I explain how to break down your cash, card, and online payments, and emphasize the importance of accurately entering your card reader totals. I also highlight that deposits and gift vouchers are considered liabilities until redeemed, and I remind you to check the amounts for staff payments. Please make sure to save your cash-up details at the end of the process and reach out if you have any questions!"}