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Prepare a table of entities and activities for the Webster, Inc. process described below.Webster, Inc. sells plumbing supplies to contractors in the southern region of the United States. Each month, the IT division at Webster prints monthly statements and sends them to the accounts receivable (AR) department, where a clerk mails them to the customers. Webster’s customers mail their payments back to Webster, where a clerk in AR batches the checks and sends them to the cashier. The AR clerk then uses the payment stub to enter the payments into the computer, where the AR master data isupdated to record the payment.b. Construct a context diagram based on the table you prepared in part (a).IT Division/computer Prints monthly Statements w/ stubSends Statements w/ stub to AR DeptReceives payment data from AR DeptUpdates AR Master File AR Dept Receives Statement w/ stub from ITmails…