Indicate the missing posting reference and amount in the control account, and the missing ending balance in the subsidiary ledger. GENERAL LEDGER Accounts Payable Balance Feb. 15 1,390 Feb. 1 26.480 General journal Feb. 28 Feb. 5 230 Cash payments General journal Feb. 11 General journal 515 Feb. 28 Purchases 13.780 Feb. 28 Balance 9.080 ACCOUNTS PAYABLE LEDGER Benton Feb. 28 Bal. 4,480 Dooley Feb. 28 Bal. 2,380 Parks Feb. 28 Bal.