Statement of Receipts and Expenditures Municipality: MIAGAO Period Covered: Q4, 2011
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Population: |
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Particulars |
Income Target/ Budget Appropriation |
General Fund |
SEF |
Total (C + D) |
% of General + SEF to Total Income(GF+SEF) |
A |
B |
C |
D |
E |
F |
LOCAL SOURCES (9+13) |
32,038,498
|
20,582,036
|
1,117,700
|
21,699,736
|
23.49%
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TAX REVENUE (10+11+12) |
16,425,209
|
4,189,349
|
1,117,700
|
5,307,049
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5.75%
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Real Property Tax |
12,435,209
|
894,160
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1,117,700
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2,011,861
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2.18%
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Tax on Business |
2,980,000
|
2,666,819
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2,666,819
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2.89%
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Other Taxes |
1,010,000
|
628,370
|
|
628,370
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0.68%
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NON-TAX REVENUE (14+15+16+17) |
15,613,289
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16,392,687
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-
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16,392,687
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17.75%
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Regulatory Fees (Permit and Licenses) |
2,029,000
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2,148,318
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-
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2,148,318
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2.33%
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Service/User Charges (Service Income) |
601,500
|
859,798
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-
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859,798
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0.93%
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Income from Economic Enterprises (Business Income) |
11,582,789
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13,110,611
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-
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13,110,611
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14.19%
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Other Receipts (Other General Income) |
1,400,000
|
273,960
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-
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273,960
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0.30%
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EXTERNAL SOURCES (19+20+21+22) |
82,776,779
|
70,673,222
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-
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70,673,222
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76.51%
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Internal Revenue Allotment |
82,776,779
|
70,673,222
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-
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70,673,222
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76.51%
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Other Shares from National Tax Collections |
-
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-
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-
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-
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0.00%
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Inter-Local Transfer |
-
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-
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-
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-
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0.00%
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Extaordinary Receipts/Grants/Donations/Aids |
-
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-
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-
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-
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0.00%
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TOTAL CURRENT OPERATING INCOME (8+18) |
114,815,277
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91,255,257
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1,117,700
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92,372,958
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100.00%
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LESS: CURRENT OPERATING EXPENDITURES (PS + MOOE+FE) |
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General Public Services |
48,574,393
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41,157,174
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-
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41,157,174
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45.93%
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Department of Education |
3,307,629
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1,286,624
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1,355,554
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2,642,179
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2.95%
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Health, Nutrition & Population Control |
11,535,774
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10,691,725
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-
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10,691,725
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11.93%
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Labor & Employment |
-
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-
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-
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-
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0.00%
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Housing & Community Development |
1,580,000
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978,532
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-
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978,532
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1.09%
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Social Services & Social Welfare |
3,575,765
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3,446,364
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-
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3,446,364
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3.85%
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Economic Services |
35,743,740
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30,695,623
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-
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30,695,623
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34.25%
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Debt Service (FE) (Interest Expense & Other Charges) |
-
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-
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-
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-
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0.00%
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TOTAL CURRENT OPERATING EXPENDITURES (25 to 32) |
104,317,301
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88,256,043
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1,355,554
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89,611,597
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100.00%
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NET OPERATING INCOME/(LOSS) FROM CURRENT OPERATIONS(23-33) |
10,497,976
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2,999,215
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(237,854)
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2,761,360
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0.00%
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ADD: NON INCOME RECEIPTS |
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CAPITAL/INVESTMENT RECEIPTS (37+38+39) |
-
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-
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-
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-
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#DIV/0!
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Proceeds from Sale of Assets |
-
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-
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-
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-
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#DIV/0!
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Proceeds from Sale of Debt Securities of Other Entities |
-
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-
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-
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-
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#DIV/0!
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Collection of Loans Receivables |
-
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-
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-
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-
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#DIV/0!
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RECEIPTS FROM LOANS AND BORROWINGS (41+42) |
-
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-
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-
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-
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#DIV/0!
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Acquisition of Loans |
-
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-
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-
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-
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#DIV/0!
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Issuance of Bonds |
-
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-
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-
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#DIV/0!
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TOTAL NON-INCOME RECEIPTS (36+40) |
-
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-
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-
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-
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#DIV/0!
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LESS: NON OPERATING EXPENDITURES |
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CAPITAL/INVESTMENT EXPENDITURES (46+47+48) |
14,813,011
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8,634,479
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315,359
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8,949,838
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100.00%
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Purchase/Construct of Property Plant and Equipment (Assets/Capital Outlay) |
14,813,011
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8,634,479
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315,359
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8,949,838
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100.00%
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Purchase of Debt Securities of Other Entities (Investment Outlay) |
-
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-
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-
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-
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0.00%
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Grant/Make Loan to Other Entities (Investment Outlay) |
-
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-
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-
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-
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0.00%
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DEBT SERVICE (50+51) (Principal Cost) |
-
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-
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-
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-
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#DIV/0!
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Payment of Loan Amortization |
-
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-
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-
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-
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#DIV/0!
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Retirement/Redemption of Bonds/Debt Securities |
-
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-
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-
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-
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#DIV/0!
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TOTAL NON-OPERATING EXPENDITURES (45+49) |
14,813,011
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8,634,479
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315,359
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8,949,838
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NET INCREASE/(DECREASE) IN FUNDS (34+43-52) |
(4,315,035)
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(5,635,264)
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(553,214)
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(6,188,478)
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ADD: CASH BALANCE, BEGINNING |
24,894,977
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23,430,124
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1,464,853
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24,894,977
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FUNDS AVAILABLE (53+54) |
20,579,942
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17,794,860
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911,639
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18,706,499
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Less: Payment of Prior Year Accounts Payable |
-
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-
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-
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-
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FUND BALANCE, END (55-56) |
20,579,942
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17,794,860
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911,639
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18,706,499
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CONTINUING APPROPRIATION |
-
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-
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-
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-
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Total Assets |
-
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Amount set aside to finance projects with appropriations |
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GF
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SEF
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Total
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provided in the previous years (Continuing appropriations) |
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13,653,530
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244,901
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13,898,431
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Amount set aside for payment of Prior Year Accounts Payable |
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524,460
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17,050
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541,510
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Amount set aside for Obligation not yet Due and Demandable |
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21,332,136
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845,356
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22,177,492
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Amount Available for appropriations/operations |
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9,136,771
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292,205
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9,428,976
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Fund Balance, End (should be reconciled w/cash flow statement) |
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44,646,897
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1,399,511
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46,046,409
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