This question w LUM Dhe Add: Subtotal Less: Smith's actual cash balance at January 31 is Choose from any list or enter any number in the input fields and then continue to Type here to search OBI Todd Smith operates a roller skating center, Rollerworld USA. He has just received the company charge of $8, two NSF checks totaling $110, and a $10 charge for printed checks. In reviewing h as $24. Smith's Cash account shows a January 31 cash balance of $1,982. Read the requirement Prepare the Bank section, then the Book section of the bank reconciliation to determine how muct select a label or enter a zero.) Rollerworld USA Bank Reconciliation January 31, 2021 Bank: Add: Subtotal Less: Books: Add: Subtotal Less Choose from any list or enter any number in the input fields and then continue to the next questic Type here to search 0 0 as $24. Smith's Cash account shows a January 31 cash balance of $1,982. Read the requirement. January 31, 2021 Bank: Add: Subtotal Less: Books: Add: Subtotal Less: Smith's actual cash balance at January 31 is Choose from any list or enter any number in the input fields and then continue to the next Todd Smith operates a roller skating center, Rollerworld USA He has just received the company's monthly bank statement January 31 from White National Bank, and the statement shows an ending balance of $750. Listed on the statement are an EFT rent collection of 5320, a service charge of 58, two NSF checks totaling $110, and a $10 charge for printed checks, in reviewing his cash records, Smith identifies outstanding checks totaling $607 and a January 31 deposit in transit of 51.815. During January, he recorded a $240 check for the salary of a part-time employee as $24 Smith's Cash account shows a January 31 cash balance of $1,982