<?xml version="1.0" encoding="UTF-8"?><oembed><type>video</type><version>1.0</version><html>&lt;iframe src=&quot;https://www.loom.com/embed/0a7fae5be7a6481facf2962df36c7b57&quot; frameborder=&quot;0&quot; width=&quot;1894&quot; height=&quot;1420&quot; webkitallowfullscreen mozallowfullscreen allowfullscreen&gt;&lt;/iframe&gt;</html><height>1420</height><width>1894</width><provider_name>Loom</provider_name><provider_url>https://www.loom.com</provider_url><thumbnail_height>1420</thumbnail_height><thumbnail_width>1894</thumbnail_width><thumbnail_url>https://cdn.loom.com/sessions/thumbnails/0a7fae5be7a6481facf2962df36c7b57-59ddae9e1d1ea1dd.gif</thumbnail_url><duration>659.816667</duration><title>Reconciling Your Bank Account</title><description>In this video, I walk you through the process of reconciling your bank account using Design Manager. We focus on ensuring that all transactions are accurately recorded and matched with your bank statement for February. I demonstrate how to mark checks and deposits as cleared and address any discrepancies, such as an interest payment. I also show how to save your progress and generate a PDF report of the reconciliation. Please follow along and ensure your accounts are reconciled correctly.</description></oembed>