MINUTES OF PRE-BID CONFERENCE (Construction of Liga Hall)

MINUTES OF PRE-BID CONFERENCE

Present were:

T. Arlene N. Nufuar                                             Chairman

Atty. Carmelo N. Nochete                                  Vice Chairman

Jane N. Valenzuela                                              Member

Engr. Diosdado F. Facon                                   Member

John F. Nocal                                                        Member

Engr. Franco Carlo Monteclaro                        TWG Head

Aida F. Deramas                                                  TWG Member

Valsermar Cernan Faicol                                   TWG Member

Ramona Nacanaynay                                          TWG Member

Cheryl M. Notorio                                               Head Secretariat

Jennifer T. Frigillano                                          Secretariat Member

Jorinda J. Moreno                                                Secretariat Member

Rey F. Nacisvalencia                                          Secretariat Member

Madel Piñano                                                       Representative of Iloilo City Hardware Inc.

 

  • The pre-bid conference for the Supply and Delivery of Various Materials and Supplies for the Construction of Liga Hall, Brgy. Guibongan, Miagao, Iloilo  and Supply and Delivery of Various Materials and Supplies for the Construction of New Market Stall, Miagao Public Market, Miagao, Iloilo was called to order at 4:10 p.m. of July 4, 2012 at the Conference Room of the Municipal Building.

 

  •  BAC Chairman T. Arlene N. Nufuar presided the meeting. The roll was called and declared a quorum.

 

  • Engr. Franco Carlo Monteclaro, Project In-Charge for the Construction of Liga Hall, Brgy. Guibongan, Miagao, Iloilo read and discussed the specifications in the Purchase Request.

 

ITEM NO.

QUANTITY

UNIT

ITEM DESCRIPTION

1

2

units

800 x 2100 panel door (approved design1)

 

 

 

per specification

2

4

units

700 x 2100 PVC door w/ jambs & accessories

 

 

 

per specification, color: white

3

2

units

800 x 2100 panel door (approved design2)

 

 

 

per specification

4

15

pcs.

2 x 5 x 8 s4s door jamb, good lumber

5

10

sets

door knob w/ accessories heavy duty

 

 

 

kwikset or its equivalent

6

93

pcs.

1/4 x 4 x 8 marine plywood

7

30

kilos

finishing nails 1″

8

40

kilos

CW nails 3″

9

15

kilos

conc. Nails 3″

10

480

pcs.

2 x 2 x 12 s4s

11

1

unit

20 hole panelboard

 

 

 

1 – 100 amp. Trip ACB

 

 

 

7 – 40 amp trip ACB

 

 

 

6 – 20 amp trip ACB

 

 

 

6 – 15 amp trip ACB

 

 

 

Columbia or its equivalent

12

10

boxes

2.0 sqmm THHN Cu wire

 

 

 

color: white, columbia or its equivalent

13

8

boxes

3.5 sqmm THHN Cu wire

 

 

 

color: white, columbia or its equivalent

14

5

boxes

5.5 sqmm THHN Cu wire

 

 

 

color: white, columbia or its equivalent

15

100

mtrs.

50 sqmm THW copper cable

 

 

 

color: white, columbia or its equivalent

16

35

pcs.

24W daylight global FL, per specification

17

80

pcs.

utility box, color: orange

Atlanta or its equivalent

18

50

pcs.

4″ lighting receptacles (pinlights)m, per specification

19

30

pcs.

receptacle outlet, national or its equivalent

20

30

pcs.

switches, national or its equivalent

21

2

pcs.

3 way switch, national or its equivalent

22

20

pcs.

single gang plates, national or its equivalent

23

15

pcs.

2 gang switch, national or its equivalent

24

5

pcs.

ACU outlets, national or its equivalent

25

70

pcs.

25mm dia uPVC pipe, color: orange

Atlanta or its equivalent

26

2

sets

exhaust fan 5″ (for 2 suites), without grills

color: white

27

15

rolls

electrical tape (assorted color)

 

 

 

5 yellow, 5 black, 5 red

28

4

sets

water closet, lavatory w/ faucet, paper holder soap holder

 

 

 

& other accessories, per specification

29

1

sets

urinal w/ accessories, per specification

30

3

sets

1/2″ dia. Shower head & faucet, plastic

 

 

 

per specification

31

2

pcs.

1/2″ dia. Faucet w. accessories (shower area)

 

 

 

per specification

32

1

pc.

1/2″ dia. Kitchen sink faucet

33

1

set

stainless kitchen sink as per approved specs

34

10

pcs.

4 x 4 floor drain PVC, atlanta or its equivalent

35

43

pcs.

4″ dia. PVC pipe (branded) atlanta or its equivalent

36

30

pcs.

PVC Wye 4″ dia. Atlanta or its equivalent

37

3

pcs.

PVC elbow 90 x 4″ dia., atlanta or its equivalent

38

15

pcs.

CO plug 4″ dia, atlanta or its equivalent

39

18

pcs.

PVC P-trap 4″ dia., atlanta or its equivalent

40

2

pcs.

PVC elbow 45 x 4″ dia., atlanta or its equivalent

41

9

pcs.

PVC Wye 4 x 4 x 2, atlanta or its equivalent

42

25

pcs.

PVC elbow 90 x 2″ dia., atlanta or its equivalent

43

10

pcs.

PVC tee 4 x 4 x 2, atlanta or its equivalent

44

3

cans

solvent cement 400cc , atlanta or its equivalent

45

20

pcs.

PVC pipe 2″ dia. (branded) , atlanta or its equivalent

46

15

pcs.

G.I pipe 1/2″ dia. S-40

47

23

pcs.

G.I tee 1/2″ dia.

48

20

pcs.

G.I elbow 1/2″ x 90

49

20

rolls

teflon tape 3/4″

50

340

pcs.

24 x 24 granite tiles as per approved design

 

 

 

(dining hall) per specification

51

20

kilos

tile grout as per approved shade, color: white

52

18

pcs.

24 x 24 granite tiles as per approved design

 

 

 

(kitchen counters), per specification

53

1

kl.

tile grout as per approved shade, color: white

54

85

pcs.

12 x 12 floor tiles as per approved design

 

 

 

(2 restrooms) per specification

55

280

pcs.

12 x 12 wall tiles as per approved design

56

10

pcs.

1/2 x 8 tile trim, color: white

57

10

kls.

tile grout as per approved shade, color: white

58

620

pcs.

12 x 12 floor tiles as per approved design

 

 

 

(2 suites only) per specification

59

20

kls.

tile grout as per approved shade, color: white

60

80

pcs.

12 x 12 floor tiles as per approved design

 

 

 

(toilet & bath 2-suites) per specification

61

280

pcs.

12 x 12 wall tiles as per approved design

 

 

 

per specification

62

10

pcs.

1/2 x 8 tile trim, color: white, PVC

63

20

kls.

tile grout as per approved shade, color: white, PVC

64

310

pcs.

12 x 12 floor tiles as per approved design (hallway)

65

15

kls.

tile grout as per approved shade, per spefication

66

80

bags

portland cement

 

 

  • Engr. Diosdado F. Facon read and discussed the specifications in the Purchase Request for the Construction of New Market Stall, Miagao Public Market, Miagao, Iloilo.

 

ITEM NO.

QUANTITY

UNIT

ITEM DESCRIPTION

1

6

lengths

4” dia.g.i. pipe schedule 40

2

50

lengths

10mm dia. RSB

3

40

lengths

2”x3”x0.8mm c-purlins, 20 ft.

4

24

lengths

2”x6”x0.8mm c-purlins, 20 ft.

5

3

boxes

welding electrodes, 1300

6

10

kilos

no. 16 g.i. tie wire

7

8

kilos

4” CWN

8

8

kilos

3” CWN

9

5

kilos

1 1/2” CWN

10

60

sheets

ga.26 x 8′ g.i. corr. Roof sheet

 

 

 

Ace or its equivalent

11

60

sheets

ga. 26 x 10′ g.i. corr. Roof sheet

 

 

 

Ace or its equivalent

12

12

sheets

1/4”x4’x8′ ordinary plywood

13

9

sheets

ga. 26 x 8′ pre fab g.i. ridge roll

14

1,000

pieces

2 1/2” tex screw

15

2

pieces

heavy duty blind riveter

 

 

 

stanley or its equivalent

16

4

pieces

tex screw adaptor

17

8

gallons

red lead metal primer paint

 

 

 

triton or its equivalent

18

8

gallons

paint thinner

19

1

gallon

roof sealant, vulca seal or its equivalent

20

20

pieces

2”x2”x10′ coco lumber

21

30

pieces

bamboo poles, 4″ Ø, 20′ more or less

22

30

bags

portland cement

23

3

pieces

6” paint roller brush

24

1

box

1/8”dia. Steel drill bit

 

 

  • There having no other remaining topics for discussion, the pre-bid conference was adjourned at 4:30 p.m.

 

Abstract of Bids as Calculated (Improvement of Roofing, Miagao Health Unit)

ABSTRACT OF BIDS AS CALCULATED

 

Project Name

Improvement of Roofing, Miagao Health Unit, Miagao, Iloilo

Sheet     : ____________________________

Project Location

Miagao, Iloilo

Date      : July 4, 2012

 

 

Time     : _________________

Implementing Office

: Office of the Municipal Engineer

 

Approved Budget for the Contract

: P 186,235.00

 

 

 

NAME OF BIDDERS

 

BIDDER  I

BIDDER  2

BIDDER 3

BIDDER 4

BIDDER 5

 

Iloilo City Hardware Inc.

 

 

 

 

Total Amount of Bid

P

182,688.00

 

 

 

 

Form of Bid Security

P

Manager’s Check

 

 

 

 

        Bank/Company

 

China Bank

 

 

 

 

        Number

 

0000012028

 

 

 

 

        Validity Period

 

Dtd. 6/29/12

 

 

 

 

Bid Security Amount

P

3,724.70

 

 

 

 

Required Bid Security

P

3,724.70

 

 

 

 

Sufficient/Insufficient

 

Sufficient

 

 

 

 

Remarks

 

No correction/Sole Bidder

 

 

 

 

 

EXCERPT FROM THE MINUTES OF THE MEETING OF THE BIDS AND AWARDS COMMITTEE HELD ON JUNE 11, 2012

Republic of the Philippines

Province of Iloilo

MUNICIPALITY OF MIAGAO

BIDS AND AWARDS COMMITTEE

Telefax No. (033) 315-80-50
*******
EXCERPT FROM THE MINUTES OF THE MEETING OF THE BIDS AND AWARDS COMMITTEE HELD ON JUNE 11, 2012 AT 2:00 P.M. AT THE CONFERENCE ROOM OF THE MUNICIPAL BUILDING.

Present:

Tomasa Arlene N. Nufuar

MGDH I/GSO

 

Atty. Carmelo N. Nochete

Mun. Legal Officer

 

Jane N. Valenzuela

Mun. Budget Officer

 

Engr. Diosdado Facon

Mun. Engineer

 

Larry F. Munion

Project Development Officer II

 

John F. Nocal

Administrative Officer IV /
OIC – Office of the Mun. Administrator

Cheryl M. Notorio

Administrative Aide IV

Jennifer Frigillano
Jorinda J. Moreno

Administrative Aide I
Administrative Aide I

Rey Nacisvalencia

Casual Clerk

RESOLUTION NO. 058

Series of 2012

A RESOLUTION RE-ORGANIZING THE TECHNICAL WORKING GROUP AND ITS COMPOSITION

                WHEREAS, pursuant to Section 16 of the Implementing Rules and Regulations of R.A. 9184, the BAC members saw the need to continue the services of the present Technical Working Group and its composition for the purpose of assisting the Committee on various technical aspects of procurement of goods and services by the Local Government;

                NOW, THEREFORE, upon motion of John F. Nocal which was duly seconded;

                RESOLVED, as it is hereby resolved to re-organize the Technical Working Group to be composed of the following:

  1. ENGR. FRANCO CARLO MONTECLARO

– Local Legislative Staff Officer I

  1. VALSERMAR CERNAN FAICOL

– Draftsman II

  1. MRS. AIDA F. DERAMAS

– Asst. Municipal Treasurer

  1. RAMONA NACANAYNAY

– Nurse II

                RESOLVED further to furnish copies of this resolution to the Office of the Mayor, the Commission on Audit, and the DBM Regional Office.

                Approved.

RESOLUTION NO. 059
Series of 2012

A RESOLUTION ACKNOWLEDGING THE RE-ORGANIZATION OF THE BIDS AND AWARDS COMMITTEE (BAC)

                WHEREAS, pursuant to the import of Executive Order No. 2010-19, which designated the members of the Bids and Awards Committee and its functions pursuant to the Republic Act 9184, the designated members of this Committee convene on this date;

                WHEREAS, to provide leadership the BAC members re-elected Tomasa Arlene Nufuar as the Chairman, Atty. Carmelo Nochete as the Vice Chairman; with Jane N. Valenzuela (Mun. Budget Officer), Engr. Diosdado Facon (Mun. Engineer), Larry F. Munion (PDO II) and John F. Nocal (AO IV / OIC – Office of the Municipal Administrator as members;

                WHEREAS, to provide support to this committee the BAC members agreed to designate Cheryl M. Notorio (AA IV) as the BAC Secretary to head  the BAC Secretariat, Jennifer Frigillano (AAI) as the Assistant Head with Jorinda Moreno (AAI) and Rey Nacisvalencia (Casual Clerk) as members;

NOW, THEREFORE, upon motion of John F. Nocal which was duly seconded;

                RESOLVED, as it is hereby resolved to acknowledge the re-organization of the Bids and Awards Committee;

                RESOLVED further to furnish copies of this resolution to the Office of the Mayor, the Commission on Audit, and the DBM Regional Office.

Approved.
————————————————————————————————————
I hereby certify to the correctness of the foregoing resolution.

(SGD) CHERYL M. NOTORIO
BAC Secretary

ATTESTED:
(SGD) T. ARLENE N. NUFUAR
Chairman, BAC

REPORT OF APPROPRIATIONS, ALLOTMENTS, EXPENDITURES AND BALANCES (March 31, 2012)

REPORT OF APPROPRIATIONS, ALLOTMENTS, EXPENDITURES AND BALANCES

 
Republic of the Philippines
Province of Iloilo 
MUNICIPALITY OF MIAGAO
                     

REPORT OF APPROPRIATIONS, ALLOTMENTS, EXPENDITURES AND BALANCES

 

SOCIAL DEVELOPMENT

As of March 31, 2012
                     
1914 – Advocacy Program for Peace and Order and Safety        
                     
        Account       Balances of   Particulars
APPROPRIATIONS ALLOTMENTS   Code   OBLIGATIONS   Appropriations    
                     
     682,500.00           20,000.00   753                 20,000.00   Training Expenses
            40,000.00   755                 9,582.00             30,418.00   Office Supplies Expenses
            10,000.00   761                 10,000.00   Gasoline, Oil and Lubricants Expenses
          480,000.00   969               59,680.00           420,320.00   Other Maintenance and Operating Expenses
            75,000.00   221                 75,000.00   Office Equipment
            57,500.00   223                 57,500.00   IT Equipment and Software
                     
     682,500.00         682,500.00                   69,262.00           613,238.00    
                     
3999 (1) – Poverty Reduction Program            
                     
        Account       Balances of   Particulars
APPROPRIATIONS ALLOTMENTS   Code   OBLIGATIONS   Appropriations    
                     
     300,000.00         300,000.00   969                 4,000.00           296,000.00   Other Maintenance and Operating Expenses
                     
     300,000.00         300,000.00                     4,000.00           296,000.00    
                     
3999 (2) – Livelihood Program and Skills Training          
                     
        Account       Balances of   Particulars
APPROPRIATIONS ALLOTMENTS   Code   OBLIGATIONS   Appropriations    
                     
     618,000.00             5,000.00   753                    5,000.00   Training Expenses
          613,000.00   969               45,500.00           567,500.00   Other Maintenance and Operating Expenses
                     
     618,000.00         618,000.00                   45,500.00           572,500.00    
                     
3999 (3) – Sports Development Program and Healthy Lifestyle        
                     
        Account       Balances of   Particulars
APPROPRIATIONS ALLOTMENTS   Code   OBLIGATIONS   Appropriations    
                     
     250,000.00             1,000.00   755                    1,000.00   Office Supplies Expenses
              2,000.00   761                    2,000.00   Gasoline, Oil and Lubricants Expenses
            51,400.00   765                 51,400.00   Other Supplies Expenses
          195,600.00   969                 3,000.00           192,600.00   Other Maintenance and Operating Expenses
                     
     250,000.00         250,000.00                     3,000.00           247,000.00    
                     
4919 (1) – Enhancement of Health Services (NHIP)          
                     
        Account       Balances of   Particulars
APPROPRIATIONS ALLOTMENTS   Code   OBLIGATIONS   Appropriations    
                     
     700,000.00         700,000.00   969               700,000.00   Other Maintenance and Operating Expenses
                     
     700,000.00         700,000.00                                  -             700,000.00    
                     
4919 (4) – Day Care Service including Supplemental Feeding (Early Childhood Care and Development)
                     
        Account       Balances of   Particulars
APPROPRIATIONS ALLOTMENTS   Code   OBLIGATIONS   Appropriations    
                     
  1,100,000.00             5,704.00   755                    5,704.00   Office Supplies Expenses
      1,094,296.00   969            245,726.50           848,569.50   Other Maintenance and Operating Expenses
                     
  1,100,000.00     1,100,000.00                245,726.50           854,273.50    
                     
4919 (6) – Operation of First Aid Clinic (24-Hour Emergnecy Clinic)        
                     
        Account       Balances of   Particulars
APPROPRIATIONS ALLOTMENTS   Code   OBLIGATIONS   Appropriations    
                     
  1,050,000.00     1,050,000.00   969            254,836.95           795,163.05   Other Maintenance and Operating Expenses
                     
  1,050,000.00     1,050,000.00                254,836.95           795,163.05    
                     
4919 (8) – Other Projects Related to Social Development        
                     
        Account       Balances of   Particulars
APPROPRIATIONS ALLOTMENTS   Code   OBLIGATIONS   Appropriations    
                     
     150,000.00         150,000.00                   150,000.00    
                     
     150,000.00         150,000.00                                  -             150,000.00    
                     
6911 – Lot Survey and Other Expenditures (Subdivision Survey & Other Related Expenditures)
                     
        Account       Balances of   Particulars
APPROPRIATIONS ALLOTMENTS   Code   OBLIGATIONS   Appropriations    
                     
     100,000.00         100,000.00                   100,000.00    
                     
     100,000.00         100,000.00                                  -             100,000.00    
                     
6918 – Purchase, Construction and Improvement of Government Facilities-Housing and Community
                  Development ( Plaza, Fixed Properties, etc.)        
                     
        Account       Balances of   Particulars
APPROPRIATIONS ALLOTMENTS   Code   OBLIGATIONS   Appropriations    
                     
  4,300,000.00     1,000,000.00   214            1,000,000.00   Buildings – Slaughterhouse
            70,000.00   222               53,311.50             16,688.50   Furniture and Fixtures
      1,540,000.00   264            103,475.84        1,436,524.16   Construction in Progress – Agency Assets
            63,400.00   267               40,195.00             23,205.00   Construction in Progress – Parks, Plazas and 
                       Monuments
      1,626,600.00   273               28,050.00        1,598,550.00   Construction in Progress – Other Public 
                    Infrastructures
                     
  4,300,000.00     4,300,000.00                225,032.34        4,074,967.66    
                     
6919 (2) – Ecological Solid Waste Management            
                     
        Account       Balances of   Particulars
APPROPRIATIONS ALLOTMENTS   Code   OBLIGATIONS   Appropriations    
                     
     800,000.00           23,500.00   755                 3,750.00             19,750.00   Office Supllies Expenses
          200,000.00   761               39,363.99           160,636.01   Gasoline, Oil and Lubricants Expenses
            30,000.00   765                 4,750.00             25,250.00   Other Supplies Expenses
          100,000.00   830               100,000.00   R/M-Construction & Heavy Equipment
          446,500.00   969               35,568.16           410,931.84   Other Maintenance and Operating Expenses
                     
     800,000.00         800,000.00                   83,432.15           716,567.85    
                     
 6919 (3) – Clean and Green Initiatives including Miagao Banwa Ko Gwapa    
                     
        Account       Balances of   Particulars
APPROPRIATIONS ALLOTMENTS   Code   OBLIGATIONS   Appropriations    
                     
     600,000.00           20,000.00   755                 9,480.00             10,520.00   Office Supplies Expenses
            30,000.00   761                 30,000.00   Gasoline, Oil and Lubricants Expenses
            60,000.00   765                 7,000.00             53,000.00   Other Supplies Expenses
          490,000.00   969               40,389.57           449,610.43   Other Maintenance and Operating Expenses
                     
     600,000.00         600,000.00                   56,869.57           543,130.43    
                     
6919 (4) – Other Projects Related to Environmental Management         
                     
        Account       Balances of   Particulars
APPROPRIATIONS ALLOTMENTS   Code   OBLIGATIONS   Appropriations    
                     
     100,000.00         100,000.00                   100,000.00    
                     
     100,000.00         100,000.00                                  -             100,000.00    
                     

ENVIRONMENTAL MANAGEMENT

6919 (2) – Ecological Solid Waste Management            
                     
        Account       Balances of   Particulars
APPROPRIATIONS ALLOTMENTS   Code   OBLIGATIONS   Appropriations    
                     
     800,000.00           23,500.00   755                 3,750.00             19,750.00   Office Supllies Expenses
          200,000.00   761               39,363.99           160,636.01   Gasoline, Oil and Lubricants Expenses
            30,000.00   765                 4,750.00             25,250.00   Other Supplies Expenses
          100,000.00   830               100,000.00   R/M-Construction & Heavy Equipment
          446,500.00   969               35,568.16           410,931.84   Other Maintenance and Operating Expenses
                     
     800,000.00         800,000.00                   83,432.15           716,567.85    
                     
 6919 (3) – Clean and Green Initiatives including Miagao Banwa Ko Gwapa    
                     
        Account       Balances of   Particulars
APPROPRIATIONS ALLOTMENTS   Code   OBLIGATIONS   Appropriations    
                     
     600,000.00           20,000.00   755                 9,480.00             10,520.00   Office Supplies Expenses
            30,000.00   761                 30,000.00   Gasoline, Oil and Lubricants Expenses
            60,000.00   765                 7,000.00             53,000.00   Other Supplies Expenses
          490,000.00   969               40,389.57           449,610.43   Other Maintenance and Operating Expenses
                     
     600,000.00         600,000.00                   56,869.57           543,130.43    
                     
6919 (4) – Other Projects Related to Environmental Management         
                     
        Account       Balances of   Particulars
APPROPRIATIONS ALLOTMENTS   Code   OBLIGATIONS   Appropriations    
                     
     100,000.00         100,000.00                   100,000.00    
                     
     100,000.00         100,000.00                                  -             100,000.00    
                     

ECONOMIC DEVELOPMENT

                     
8911 (1) – Small Farm Reservoir (Water Impoundment)        
                     
        Account       Balances of   Particulars
APPROPRIATIONS ALLOTMENTS   Code   OBLIGATIONS   Appropriations    
                     
     120,000.00         120,000.00   269               120,000.00   Construction in Progress-Artesian Wells, 
                    Reservoirs, Pumping Staions and Conduits
                     
     120,000.00         120,000.00                                  -             120,000.00    
                     
8911 (2) – Livestock, Poultry and Swine and Other Animals         
                     
        Account       Balances of   Particulars
APPROPRIATIONS ALLOTMENTS   Code   OBLIGATIONS   Appropriations    
                     
     550,000.00           20,000.00   753                 20,000.00   Training Expenses
            50,000.00   757                 50,000.00   Animal/Zoological Supplies Expenses
            15,000.00   761                 15,000.00   Gasoline, Oil and Lubricants Expenses
          465,000.00   969            185,440.93           279,559.07   Other Maintenance and Operating Expenses
                     
     550,000.00         550,000.00                185,440.93           364,559.07    
                     
8911 (3) – Cooperative/Institutional Development           
                     
        Account       Balances of   Particulars
APPROPRIATIONS ALLOTMENTS   Code   OBLIGATIONS   Appropriations    
                     
     100,000.00           20,000.00   753                 20,000.00   Training Expenses
            80,000.00   969               20,000.00             60,000.00   Other Maintenance and Operating Expenses
                     
     100,000.00         100,000.00                   20,000.00             80,000.00    
                     
8911 (4) – Development of Bambusetum/Other Trees        
                     
        Account       Balances of   Particulars
APPROPRIATIONS ALLOTMENTS   Code   OBLIGATIONS   Appropriations    
                     
     100,000.00           10,000.00   765                 10,000.00   Other Supplies Expenses
            90,000.00   969               17,967.00             72,033.00   Other Maintenance and Operating Expenses
                     
     100,000.00         100,000.00                   17,967.00             82,033.00    
                     
8911 (5) – Forestry/Watershed Area Development/Comprehensive Tree Planting and Forest Protection
                    a. Nursery/Tree Planting/Watershed Management        
                     
        Account       Balances of   Particulars
APPROPRIATIONS ALLOTMENTS   Code   OBLIGATIONS   Appropriations    
                     
     250,000.00           50,000.00   762                 50,000.00   Agricultural Supplies Expenses
            10,000.00   761                 10,000.00   Gasoline, Oil and Lubricants Expenses
            30,000.00   765                 30,000.00   Other Supplies Expenses
            10,000.00   854                 10,000.00   R/M – Artesian Wells, Reservoirs, Pumping 
                      Stations and Conduits
          150,000.00   969               49,188.00           100,812.00   Other Maintenance and Operating Expenses
                     
     250,000.00         250,000.00                   49,188.00           200,812.00    
                     
8911 (5) – Forestry/Watershed Area Development/Comprehensive Tree Planting and Forest Protection
                    b. Fruit Trees/Sedlings Propagation            
                     
        Account       Balances of   Particulars
APPROPRIATIONS ALLOTMENTS   Code   OBLIGATIONS   Appropriations    
                     
     150,000.00           50,000.00   753                 50,000.00   Training Expenses
            50,000.00   762                 50,000.00   Agricultural Supplies Expenses
            30,000.00   765                 30,000.00   Other Supplies Expenses
            20,000.00   969                 20,000.00   Other Maintenance and Operating Expenses
     .                 
     150,000.00         150,000.00                                  -             150,000.00    
                     
8911 (6) – Fishery Development                
                     
        Account       Balances of   Particulars
APPROPRIATIONS ALLOTMENTS   Code   OBLIGATIONS   Appropriations    
                     
     250,000.00           15,000.00   753                 15,000.00   Training Expenses
            20,000.00   761                 4,895.37             15,104.63   Gasoline, Oil and Lubricants Expenses
            20,000.00   762                 20,000.00   Agricultural Supplies Expenses
          145,000.00   969               18,967.00           126,033.00   Other Maintenance and Operating Expenses
            50,000.00   273                 50,000.00   Construction in Progress – Other Public 
                       Infrastructures
                     
     250,000.00         250,000.00                   23,862.37           226,137.63    
                     
8911 (7) – Food Security Program including Vegetable Propagation        
                     
        Account       Balances of   Particulars
APPROPRIATIONS ALLOTMENTS   Code   OBLIGATIONS   Appropriations    
                     
     150,000.00           20,000.00   753                 20,000.00   Training Expenses
            60,000.00   762                 60,000.00   Agricultural Supplies Expenses
            20,000.00   765                 20,000.00   Other Supplies Expenses
            50,000.00   969               42,000.00                8,000.00   Other Maintenance and Operating Expenses
                     
     150,000.00         150,000.00                   42,000.00           108,000.00    
                     
8911 (8) – Poverty Eradication Initiatives/Assistance for the Poor and the Needy     
                     
        Account       Balances of   Particulars
APPROPRIATIONS ALLOTMENTS   Code   OBLIGATIONS   Appropriations    
                     
     500,000.00         100,000.00   753                 1,200.00             98,800.00   Training Expenses
            70,000.00   762                 70,000.00   Agricultural Supplies Expenses
            20,000.00   765                 20,000.00   Other Supplies Expenses
            30,000.00   854                 30,000.00   R/M – Artesian Wells, Reservoirs, Pumping 
                      Stations and Conduits
          280,000.00   969            191,775.00             88,225.00   Other Maintenance and Operating Expenses
                     
     500,000.00         500,000.00                192,975.00           307,025.00    
                     
8912 – Promote and Develop Tourism            
                    a. Celebration of Foundation Day/Salakayan Festival         
                     
        Account       Balances of   Particulars
APPROPRIATIONS ALLOTMENTS   Code   OBLIGATIONS   Appropriations    
                     
     700,000.00             5,000.00   755                 2,345.00                2,655.00   Office Supplies Expenses
              1,000.00   761                    825.89                   174.11   Gasoline, Oil and Lubricants Expenses
              1,100.00   773                 1,100.00                            -     Telephone Expenses-Mobile
          692,900.00   969            593,457.23             99,442.77   Other Maintenance and Operating Expenses
                     
     700,000.00         700,000.00                597,728.12           102,271.88    
                     
8912 – Promote and Develop Tourism             
                    b. Other Tourism Initiaves            
                     
        Account       Balances of   Particulars
APPROPRIATIONS ALLOTMENTS   Code   OBLIGATIONS   Appropriations    
                     
        50,000.00             5,000.00   753                    5,000.00   Training Expenses
            45,000.00   969               23,993.75             21,006.25   Other Maintenance and Operating Expenses
                     
        50,000.00           50,000.00                   23,993.75             26,006.25    
                     
8918 – Purchase, Construction and Improvement of Governmet Facilities – Economic Services
                  (Roads, Water, etc.)                
                     
        Account       Balances of   Particulars
APPROPRIATIONS ALLOTMENTS   Code   OBLIGATIONS   Appropriations    
                     
  6,550,000.00     2,000,000.00   214            2,000,000.00   Buildings – Slaughterhouse
          450,000.00   264               450,000.00   Construction in Progress-Agency Asset
      1,730,000.00   266               20,403.00        1,709,597.00   Construction in Progress-Roads, Highways & Bridges
              3,000.00   269                    3,000.00   Construction in Progress-Artesian Wells, Reservoirs.
                    Pumping Stations and Conduits
          200,000.00   270               200,000.00   Construction in Progress-Irrigation, Canals & Laterals
      2,167,000.00   273            2,167,000.00   Construction in Progress-Other Public Infrastructures
                     
  6,550,000.00     6,550,000.00                   20,403.00        6,529,597.00    
                     
                     
                     
8919 – Other Projects Related to Economic Development including Water System    
                     
        Account       Balances of   Particulars
APPROPRIATIONS ALLOTMENTS   Code   OBLIGATIONS   Appropriations    
                     
     186,038.00         186,038.00   969               97,999.00             88,039.00   Other Maintenance and Operating Expenses
                     
     186,038.00         186,038.00                   97,999.00             88,039.00    
                     

PDAF Utilization (March 31, 2012)

UTILIZATION REPORT
PRIORITY DEVELOPMENT ASSISTANCE FUND
As of March 31, 2012
                 
                 
Source of Fund  
Amount Received
 
Disbursements
 
Balance
   
                 
                 
BANAT- Cong. Salvador Britanico P
4,945,000.00
P
3,187,980.53
P
1,757,019.47
   
Sen. Juan Miguel Zubiri  
500,000.00
 
476,474.73
 
23,525.27
   
Sen. Juan Ponce Enrile  
800,000.00
 
0.00
 
800,000.00
   
Sen. Francis Pangilinan  
1,500,000.00
 
0.00
 
1,500,000.00
   
DBM  
500,000.00
 
0.00
 
500,000.00
   

Report on SEF Utilization (March 31, 2012)

REPORT OF SEF UTILIZATION
For the Quarter Ending March 31, 2012
Province/City/Municipality  : Miagao

 
           
         
           
           
Receipt from SEF   P          

1,087,119.23
   
Less: Disbursement:        
           
  Personal Services        
  Salaries and Wages              

143,530.00
   
  PERA                

20,000.00
   
  Clothing Allowance                

10,000.00
   
  Cash Gift                           

-  
   
  Year End Bonus                           

-  
   
  Personnel Benefits Contributions                

20,973.60
   
           
           
  Maintenance and other Operating Expenses      
  Other Maintenance and Operating Expenses                           

-  
   
  Office Supplies                           

-  
   
  Telephone expenses                           

-  
   
  Repairs and maintenance                           

-  
   
  Training Expenses                           

-  
   
           
  Capital Outlay                

14,174.00
   
           
           
  Sub-total P            

208,677.60
   
           
  Balance P            

878,441.63