Which 2 of these tasks must be done to create a report that displays only outstanding retainers? Reconcile the Client Retainers account regularly, using an ending balance of zero Run a report on the Client Retainers account, grouped by Customer, and filtered for Uncleared Run a report on the Client Retainers account, grouped by Customer, and filtered for Cleared Reconcile the Client Retainers account regularly, using an ending balance of whatever is on the balance sheet Run a report on the Client Retainers account, grouped by Customer, and filtered for Specified