20% IRA Fund Utilization 1st Quarter 2013
REPORT OF APPROPRIATIONS, ALLOTMENTS, EXPENDITURES AND BALANCES |
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As of March 31, 2012 |
REPORT OF APPROPRIATIONS, ALLOTMENTS, EXPENDITURES AND BALANCES |
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As of March 31, 2012 |
Consolidated Statement of Cash Flows
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For the Quarter Ending March 31, 2012
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Cash Flows from Operating Activities: | ||||
Cash Inflows: | ||||
Collection from taxpayers | P |
7,425,992.38
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Share from Internal Revenue Collections |
20,107,062.00
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Receipts from sale of goods or services |
2,807,580.10
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Interest Income |
0.00
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Dividend Income |
0.00
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Other Receipts |
3,299,523.45
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Total Cash Inflow | P |
33,640,157.93
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Cash Outflows: | ||||
Payments- | ||||
To suppliers/creditors | P |
15,738,087.79
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To Employees |
11,228,383.37
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Interest Expense |
0.00
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Other Expenses |
1,260,000.00
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Total Cash Outflow | P |
28,226,471.16
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Net Cash from Operating Activities | P |
5,413,686.77
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Cash Flows from Investing Activities: | ||||
Cash Inflows: | ||||
From Sale of Property, Plant and Equipment | P |
0.00
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From Sale of Debt Securities of Other Entities |
0.00
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From Collection of Principal on Loans to Other Entities |
0.00
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Total Cash Inflow | P |
0.00
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Cash Outflow: | ||||
To Purchase Property,Plant & Equipment | P |
351,365.65
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To Purchase Debt Securities of Other Entities |
0.00
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To Grant/Make Loans to Other Entities |
0.00
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Total Cash Outflow | P |
351,365.65
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Net Cash From Investing Activities | P |
(351,365.65)
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Cash Flows from Financing Activities: | ||||
Cash Inflows: | ||||
From Issuance of Debt Securities | P |
0.00
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From Acquisition of Loan |
0.00
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Total Cash Inflow | P |
0.00
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Cash Outflows: | ||||
Retirement/Redemption of Debt Securities | P |
0.00
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Payment of Loan Amortization |
0.00
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Total Cash Outflow | P |
0.00
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Net Cash from Financing Activities | P |
0.00
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Net Increase/Decrease in Cash | P |
5,062,321.12
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Cash at the Beginning of the Period |
30,065,836.86
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Cash at the End of the Period | P |
35,128,157.98
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A. FULL DISCLOSURE – ANNUAL REPORTS |
Annual Budget Report(On or before Jan 15 of each year or NLT 15 days after approval by Local Sanggunian) |
Posted in |
A - conspicuous places |
Posting date |
B - print media |
Posting date |
C - website |
Posting date |
D - Other means |
Posting date |
Annual Procurement Plan or Procurement List (On or before Jan. 31 of each year) |
Posted in |
A - conspicuous places |
Posting date |
B - print media |
Posting date |
C - website |
Posting date |
D - Other means |
Posting date |
SEF Income and Expenditure Estimates (One [1] week after approval by LSB of SEF Income and Expenditure) |
Posted in |
A - conspicuous places |
Posting date |
B - print media |
Posting date |
C - website |
Posting date |
D - Other means |
Posting date |
Statement of Debt Service (One [1] week after approval of LCE of Statement of Debt Service Annual Report) |
Posted in |
A - conspicuous places |
Posting date |
B - print media |
Posting date |
C - website |
Posting date |
D - Other means |
Posting date |
Annual GAD Accomplishment Report (NLT end of Jan. of the ensuing year) |
Posted in |
A - conspicuous places |
Posting date |
B - print media |
Posting date |
C - website |
Posting date |
D - Other means |
Posting date |
Statement of Receipts and Expenditures (One [1] week after approval of LCE of Statement of Receipts and Expenditures) |
Posted in |
A - conspicuous places |
Posting date |
B - print media |
Posting date |
C - website |
Posting date |
D - Other means |
Posting date |
The Municipality of Miagao, through its Bids and Awards Committee (BAC), invites suppliers/ manufacturers/distributors to apply for eligibility and to bid for the hereunder project:
Name of Project : Supply and Delivery of Various Medicines for the use of the Municipal Health Office
The Municipality of Miagao, through its Bids and Awards Committee (BAC), invites suppliers/ manufacturers/distributors to apply for eligibility and to bid for the hereunder project:
Name of Project : Supply and Delivery of Various Materials and Supplies for the Construction of Additional Backstage Extension – JRBB Hall