<?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/973ed44405fb4420aee3e8c12007666f&quot; frameborder=&quot;0&quot; width=&quot;1920&quot; height=&quot;1440&quot; webkitallowfullscreen mozallowfullscreen allowfullscreen&gt;&lt;/iframe&gt;</html><height>1440</height><width>1920</width><provider_name>Loom</provider_name><provider_url>https://www.loom.com</provider_url><thumbnail_height>1440</thumbnail_height><thumbnail_width>1920</thumbnail_width><thumbnail_url>https://cdn.loom.com/sessions/thumbnails/973ed44405fb4420aee3e8c12007666f-c37bd97010b05c87.gif</thumbnail_url><duration>94.333333</duration><title>Navigating the Trust Reconciliation Report for Detailed Insights</title><description>In this video, I walk you through how to access and utilize the trust reconciliation report effectively. I demonstrate how to drill down into specific amounts to view detailed journal entries, including descriptions, accounts, and whether they are debits or credits. Additionally, I highlight the filtering options available for searching by various criteria and show how to link directly to related records, such as reservations and expenses. Please take a moment to explore these features and familiarize yourself with the report, as it will enhance your understanding of our financial data.</description></oembed>