Notice for Posting (Helina Are Sarsua)

The Public is hereby notified that HELINA ARE SARSUA has filed with this Office a petition for CORRECTION OF CLERICAL ERROR in the CERTIFICATE OF MARRIAGE of OSMALIC SARSUA & ELENA ROSE ARE

Any person having knowledge and/or claiming interest or may be adversely affected by said petition may within ten (10) calendar days file his written opposition with this Office.

PDAF Utilization (December 31, 2010)

PDAF- (BANAT) UTILIZATION REPORT
( Thru: Congressman Salvador B.Britanico)

 

For the Year Ended December 31, 2010
Amount Received Total Expenditures as of Dec. 31, 2010 Balance
P 4,945,000.00 P 3,187,980.53 P 1,757,019.47

SARO No. G-10-05375 dated June 25, 2010

Certified Correct:

 

(SGD)
MARY GRACE P. CEPE
Supervising Administrative Officer
Acting Municipal Accountant

 

Approved :

 

(SGD)
JULIETA N. FLORES
Municipal Mayor

 

Statement of Receipts and Expenditure (2010)

Statement of Receipts and Expenditures
Municipality: MIAGAO
Period Covered: Q4, 2010

           
        Population:  
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)           

23,700,500
          

17,670,601
       

1,743,329
        

19,413,930
19.52%
TAX REVENUE (10+11+12)           

10,990,000
            

4,350,301
       

1,743,329
          

6,093,630
6.13%
  Real Property Tax            

2,000,000
            

1,394,663
       

1,743,329
          

3,137,991
3.16%
  Tax on Business            

3,335,000
            

2,165,740
            

2,165,740
2.18%
  Other Taxes            

5,655,000
               

789,898
              

789,898
0.79%
NON-TAX REVENUE (14+15+16+17)           

12,710,500
          

13,320,300
                  

-  
        

13,320,300
13.39%
  Regulatory Fees (Permit and Licenses)            

1,974,000
            

1,375,028
                  

-  
          

1,375,028
1.38%
  Service/User Charges (Service Income)               

551,500
            

1,556,283
                  

-  
          

1,556,283
1.56%
  Income from Economic Enterprises (Business Income)            

9,645,000
          

10,040,822
                  

-  
        

10,040,822
10.10%
  Other Receipts (Other General Income)               

540,000
               

348,167
                  

-  
            

348,167
0.35%
EXTERNAL SOURCES (19+20+21+22)           

77,044,864
          

80,044,864
                  

-  
        

80,044,864
80.48%
  Internal Revenue Allotment           

77,044,864
          

77,044,864
                  

-  
        

77,044,864
77.46%
 Other Shares from National Tax Collections                        

-  
                       

-  
                  

-  
                     

-  
0.00%
  Inter-Local Transfer                        

-  
                       

-  
                  

-  
                     

-  
0.00%
  Extaordinary Receipts/Grants/Donations/Aids                        

-  
            

3,000,000
                  

-  
          

3,000,000
3.02%
TOTAL CURRENT OPERATING INCOME (8+18)         

100,745,364
          

97,715,465
       

1,743,329
        

99,458,794
100.00%
LESS: CURRENT OPERATING EXPENDITURES (PS + MOOE+FE)          
  General Public Services           

50,660,622
          

43,476,486
                  

-  
        

43,476,486
53.06%
  Department of Education            

3,959,000
            

1,250,591
       

1,938,626
          

3,189,217
3.89%
  Health, Nutrition & Population Control           

12,266,339
          

11,312,365
                  

-  
        

11,312,365
13.81%
  Labor & Employment                        

-  
                       

-  
                  

-  
                     

-  
0.00%
  Housing & Community Development            

1,493,000
            

1,193,644
                  

-  
          

1,193,644
1.46%
  Social Services & Social Welfare            

2,557,911
            

2,524,741
                  

-  
          

2,524,741
3.08%
  Economic Services           

22,864,305
          

20,246,689
                  

-  
        

20,246,689
24.71%
  Debt Service (FE) (Interest Expense & Other Charges)                        

-  
                       

-  
                  

-  
                     

-  
0.00%
TOTAL CURRENT OPERATING EXPENDITURES (25 to 32)           

93,801,177
          

80,004,516
       

1,938,626
        

81,943,142
100.00%
NET OPERATING INCOME/(LOSS) FROM CURRENT OPERATIONS(23-33)            

6,944,187
          

17,710,950
         

(195,298)
        

17,515,652
0.00%
ADD: NON INCOME RECEIPTS          
CAPITAL/INVESTMENT RECEIPTS (37+38+39)                        

-  
                       

-  
                  

-  
                     

-  
#DIV/0!
  Proceeds from Sale of Assets                        

-  
                       

-  
                  

-  
                     

-  
#DIV/0!
  Proceeds from Sale of Debt Securities of Other Entities                        

-  
                       

-  
                  

-  
                     

-  
#DIV/0!
  Collection of Loans Receivables                        

-  
                       

-  
                  

-  
                     

-  
#DIV/0!
RECEIPTS FROM LOANS AND BORROWINGS (41+42)                        

-  
                       

-  
                  

-  
                     

-  
#DIV/0!
  Acquisition of Loans                        

-  
                       

-  
                  

-  
                     

-  
#DIV/0!
  Issuance of Bonds                        

-  
                       

-  
                       

-  
#DIV/0!
TOTAL NON-INCOME RECEIPTS (36+40)                        

-  
                       

-  
                  

-  
                     

-  
#DIV/0!
LESS: NON OPERATING EXPENDITURES          
CAPITAL/INVESTMENT EXPENDITURES (46+47+48)           

14,456,170
          

10,637,644
            

33,995
        

10,671,639
100.00%
  Purchase/Construct of Property Plant and Equipment  (Assets/Capital Outlay)           

14,456,170
          

10,637,644
            

33,995
        

10,671,639
100.00%
  Purchase of Debt Securities of Other Entities (Investment Outlay)                        

-  
                       

-  
                  

-  
                     

-  
0.00%
  Grant/Make Loan to Other Entities (Investment Outlay)                        

-  
                       

-  
                  

-  
                     

-  
0.00%
DEBT SERVICE (50+51) (Principal Cost)                        

-  
                       

-  
                  

-  
                     

-  
#DIV/0!
  Payment of Loan Amortization                        

-  
                       

-  
                  

-  
                     

-  
#DIV/0!
  Retirement/Redemption of Bonds/Debt Securities                        

-  
                       

-  
                  

-  
                     

-  
#DIV/0!
TOTAL NON-OPERATING EXPENDITURES (45+49)           

14,456,170
          

10,637,644
            

33,995
        

10,671,639
 
NET INCREASE/(DECREASE) IN FUNDS (34+43-52)           

(7,511,983)
            

7,073,305
         

(229,293)
          

6,844,013
 
ADD: CASH BALANCE, BEGINNING           

15,476,199
          

13,783,754
       

1,692,445
        

15,476,199
 
FUNDS AVAILABLE (53+54)            

7,964,216
          

20,857,059
       

1,463,152
        

22,320,211
 
Less: Payment of Prior Year Accounts Payable               

426,364
               

426,364
                  

-  
            

426,364
 
FUND BALANCE, END (55-56)            

7,537,852
          

20,430,696
       

1,463,152
        

21,893,848
 
CONTINUING  APPROPRIATION                        

-  
                       

-  
                       

-  
                             

-  
Total Assets                        

-  
       
           
Amount set aside to finance projects with appropriations  
GF
SEF
Total
 
      provided in the previous years (Continuing appropriations)               

9,410,580
          

130,151
          

9,540,731
 
Amount set aside for payment of Prior Year Accounts Payable                  

320,364
            

17,050
            

337,414
 
Amount set aside for Obligation not yet Due and Demandable                

7,346,989
          

786,622
          

8,133,611
 
Amount Available for appropriations/operations               

9,894,402
          

259,141
        

10,153,543
 
Fund Balance, End (should be reconciled w/cash flow statement)             

26,972,336
       

1,192,964
        

28,165,300
 

Miagao host sang FCDSA Meet 2011, Preparasyon nagapadayon

Ginbaton sang Miagao paagi kay Mayor Julieta N. Flores ang panghangkat bilang host sang First Congressional District Sports Association Meet 2010 sa Nobyembre 3 tubtub 6, 2010.

Sa opisyal nga turning over ceremony nga ginhiwat sa Justice Ramon B. Britanico Hall (JRBBH) sadtong Hulyo 28, 2010, ginbaton ni Mayor Flores gikan sa Banwa sang Oton ang bandera sang FCDSA. Ini bilang tanda sang pagbaton sini sang mga obligasyon kag responsibilidad bilang host sang nasambit nga event.

Sa amo man nga adlaw, nagpatigayon sang 1st Board of Director’s Meeting, nga kun sa diin kabahin sa gin-estoryahan amo ang: report sang treasurer sang tuig 2009, kantidad nga dapat ibulig sang mga kabanwahanan sang 1st District, mga hilikuton kag kinahanglanon sa hampang kag iban pa.

Ang event maga-umpisa sa Nobyembre 3 paagi sa isa ka parade palibot sa poblasyon sang Banwa. Ini pagasundan sang opening program sa Miagao Central Elementary School (MCES) Grounds sa alas 2:30 sa hapon, Pep Squad Competition, Board of Director Fellowship kag Search for Mr. and Ms. FCDSA sa Justice Ramon B. Britanico Hall. Sa Nobyembre 4 pagahiwaton ang Cultural Contest sa elementary kag Dance Sports Competition sa alas sais (6:00PM) sa JRBBH. Ang Cultural Contest sang secondary ang pagahiwaton sa Nobyembre 5. Samtang, ang closing program pagahiwaton sa MCES Grounds sa Nobyembre 6, alas dos sa hapon.

Kabahin sa mga hampang (sports competition) amo ang: softball, table tennis, taekwondo, volleyball, boxing, arnis, gymnastics, athletics, badminton, baseball, basketball, chess, football, swimming, sipa kag sepak takraw. Ang FCDSA ginabug-usan sang banwa sang Oton, Miagao, San Joaquin, Guimbal, Igbaras, Tubungan, kag Tigbauan.

Ang magadaug sa hinampang kag cultural contests amo ang mangin tiglawas sang 1st District sa Integrated Meet.#

MATOOD inducts new set of officers

The Miagao Alliance of Transport Owners Operators and Drivers Association, Inc. took their oath of office as new officers of the transport group in Miagao before Mayor Julieta N. Flores on June 8, 2009.

In her message to the newly inducted officers, Mayor Flores thanked them for choosing her as their inducting officer which is an indication of their trust and cooperation to her administration.

“Together let us build a better community for every Miagaowanons. The progress of the Municipality does not solely depend on the hands of the officials running the government but most especially on the cooperation that the government is getting from its people. I cannot achieve progress alone, I need each and every one of you,” said Mayor Flores.

Mayor Flores also reminded them of their responsibilities as operators, owners and drivers of public conveyances. As operators and owners, they must see to it that their drivers are observant and compliant of the traffic rules and regulations. As drivers, she said, they must observe road safety and do what ever they can to “protect the lives of the people”.

She also assured them that they can count on the administration whenever assistance is needed. Whenever problems arise, they are very much welcome in her office for she is willing to talk things for the interest of all.

The newly inducted officers are:

President Gregorio M. Gaton Jr.
Vice President William Jamile
Secretary Leopoldo N. Montalban, Jr.
Treasurer Vicente Faina
Asst. Treasurer Nerissa Fagutao
Auditor Jose Naret
Bus. Manager Joemar Magbanua
PRO Alejandro Espirito

Board of Directors

1. Engr. Bobby Montalban
2. Noli Tunay
3. Vcitor Tejado
4. Raymundo Octaviano
5. Cesar Tumugdan Jr.
6. Ruben Robite
7. Hernanie Cabillon

Adviser: Hon. Eliezer P. Magallanes