Use the information in each of the following separate cases to calculate the unknown amount a. Corentine Co. had $165,000 of accounts payable on September 30 and $139,000 on October 31. Total purchases on account during October were $294,000. Determine how much cash was paid on accounts payable during October b. On September 30, Valerian Co. had a $109,000 balance in Accounts Receivable. During October, the company collected $109,390 from its credit customers. The October 31 balance in Accounts Receivable was $102,000. Determine the amount of sales on account that occurred in October. c. During October, Alameda Company had $115,500 of cash receipts and $116,150 of cash disbursements. The October 31 Cash balance was $25,100. Determine how much cash the company had at the close of business on September 30. Complete this question by entering your answers in the tabs below. Required A Required B Required C Corentine Co. had $165,000 of accounts payable on September 30 and $139,000 on October 31. Total purchases on account during October were $294,000. Determine how much cash was paid on accounts payable during October. Accounts Payable Ending balance $ 0 Required A Required B > Complete this question by entering your answers in the tabs below. Required A Required B Required On September 30, Valerian Co. had a $109,000 balance in Accounts Receivable. During October, the company collected $109,390 from its credit customers. The October 31 balance in Accounts Receivable was $102,000. Determine the amount of sales on account that occurred in October. Accounts Receivable Ending balance $ 102,000 $ 0 Complete this question by entering your answers in the tabs below. Required A Required B Required During October, Alameda Company had $115,500 of cash receipts and $116,150 of cash disbursements. The October 31 Cash balance was $25,100. Determine how much cash the company had at the close of business on September 30. Cash Ending balance $ 0