ISLAND GARDEN CITY OF SAMAL | |||||||
Consolidated Statement of Cash Flows | |||||||
For the quarter ended March 31, 2015 | |||||||
Particulars | Total | General Fund | Special Education Fund | Trust Fund | |||
Cash Flows From Operating Activities | |||||||
Cash Inflows | |||||||
Share from Internal Revenue Allotment | 110,736,453.00 | 110,736,453.00 | - | - | |||
Collection from Taxpayers | 20,283,889.68 | 14,142,128.30 | 6,141,761.38 | - | |||
Receipts from sale of goods and services | - | - | - | ||||
Interest Income | 189,489.90 | 139,390.78 | 4,227.42 | 45,871.70 | |||
Other Receipts | 23,695,509.78 | 17,936,251.85 | 5,759,257.93 | ||||
Total Cash Inflows | 154,905,342.36 | 142,954,223.93 | 6,145,988.80 | 5,805,129.63 | |||
Cash Outflows | |||||||
Payments to - | |||||||
Suppliers / Creditors | 86,669,741.20 | 79,570,631.98 | 2,830,953.40 | 4,268,155.82 | |||
Employees | 10,879,539.97 | 10,428,597.93 | 275,141.82 | 175,800.22 | |||
Interest Expenses | 728,859.49 | 728,859.49 | - | - | |||
Other Disbursements | 42,978.36 | - | 42,978.36 | ||||
Total Cash Outflows | 98,321,119.02 | 90,728,089.40 | 3,106,095.22 | 4,486,934.40 | |||
Cash Provided by (Used in) | 56,584,223.34 | 52,226,134.53 | 3,039,893.58 | 1,318,195.23 | |||
Cash Flows From Investing Activities | |||||||
Cash Inflows | |||||||
Sale of Property, Plant and Equipment | - | - | - | - | |||
Sale of Debt Securities of Other Entities | - | - | - | - | |||
Other Receipts | 2,479.53 | - | - | 2,479.53 | |||
Total Cash Inflows | 2,479.53 | - | - | 2,479.53 | |||
Cash Outflows | |||||||
Purchase of Property, Plant and Equipment | 3,066,842.62 | 2,654,390.96 | 202,152.66 | 210,299.00 | |||
Infrastructures | 4,027,393.83 | 39,090.65 | - | 3,988,303.18 | |||
Purchase of Debt Securities of Other Entities | - | - | - | - | |||
Grant/Loans to Other Entities | - | - | - | - | |||
Other Disbursements | - | - | - | - | |||
Total Cash Outflows | 7,094,236.45 | 2,693,481.61 | 202,152.66 | 4,198,602.18 | |||
Cash Provided by (Used in) | (7,091,756.92) | (2,693,481.61) | (202,152.66) | (4,196,122.65) | |||
Cash Flows From Financing Activities | |||||||
Cash Inflows | |||||||
Issuance of Debt Securities | |||||||
Acquisition of Loan | - | - | |||||
Total Cash Inflows | - | - | - | - | |||
Cash Outflows | |||||||
Retirement/Redemption of Debt Securities | |||||||
Payment of Loan Amortization | 3,310,847.65 | 3,310,847.65 | |||||
Total Cash Outflows | 3,310,847.65 | 3,310,847.65 | - | - | |||
Cash Provided by (Used in) | (3,310,847.65) | (3,310,847.65) | - | - | |||
Net Cash Provided By (Used In) | 46,181,618.77 | 46,221,805.27 | 2,837,740.92 | (2,877,927.42) | |||
Cash at the Beginning of the Period | 171,877,850.08 | 108,640,104.88 | 11,427,900.36 | 51,809,844.84 | |||
Cash at the End of the Period | 218,059,468.85 | 154,861,910.15 | 14,265,641.28 | 48,931,917.42 | |||
Certified Correct: | |||||||
GLADYS P. HURAÑO, CPA | |||||||
City Accountant | |||||||
CONSOLIDATED QUARTERLY REPORT ON GOVERNMENT PROJECTS, PROGRAMS OR ACTIVITIES | ||||||||
FOR THE 1st QUARTER, CY 2015 | ||||||||
ISLAND GARDEN CITY OF SAMAL | ||||||||
Program or Project | Location | Total Cost | Date Started | Target Completion Date | Project Status | No. of Extensions, if any | Remarks | |
% of Completion | Total Cost Incurred to Date | |||||||
Construction of Small Scale Irrigation Project Line | Sitio Buhangin, Tagbaobo | 8,041,518.84 | 07/24/14 | 01/19/15 | 100% | 7,631,544.08 | completed last Oct. 31, 2014 | |
Concreting of Road | Datu Taganiog, Peñaplata | 3,000,000.00 | 09/29/14 | 01/26/15 | 100% | 2,240,467.74 | completed last March 23, 2015 | |
Concreting of FMR Libertad to Tucanga Road Section | Barangay Libertad | 3,000,000.00 | n/a | n/a | n/a | n/a | bidded last March 2, 2015 (contract) | |
Concreting of FMR Sitio Bagsak to Anonang Road Section | Barangay Aumbay | 3,000,000.00 | n/a | n/a | n/a | n/a | bidded last March 2, 2015 (contract) | |
Concreting of FMR Sitio Dos to Sitio Kila Road Section | Barangay Balet | 4,400,000.00 | n/a | n/a | n/a | n/a | bidded last March 2, 2015 (contract) | |
Concreting of FMR Mambago A to Mambago B Road Section | Mambago A to Mambago B | 4,000,000.00 | n/a | n/a | n/a | n/a | bidded last March 2, 2015 (contract) | |
Drainage Improvement | Sitio Supa, Peñaplata | 3,908,909.00 | n/a | n/a | n/a | n/a | bidded last March 2, 2015 (contract) | |
Establishment of Centralized Sorting/Packing House | Barangay Peñaplata | 1,224,500.00 | 01/07/14 | 03/08/14 | 100% | 1,166,952.43 | completed (Phase 1) | |
Fish Capture Project | Islandwide | 3,600,000.00 | 12/1/2014 | 06/30/15 | 0% | - | Procurement Process | |
Animal Health Care Management Project | Islandwide | 600,000.00 | 12/1/2014 | 12/31/2015 | 16% | 98,560.00 | ||
Barangay Upland Vegetable Production Project | 15 Upland Brgys | 100,000.00 | 12/1/2014 | 06/30/15 | 75% | 75,605.00 | ||
Fish Processing (Bangus Deboning) | Camudmud | 120,000.00 | 12/1/2014 | 06/30/15 | 1% | 2,138.00 | ||
We hereby certify that we have reviewed the contents and hereby attest to the veracity and correctness of the data or information contained in this document. | ||||||||
Prepared by: | Approved by: | |||||||
GLADYS P. HURAÑO, CPA |
HON. ANIANO P. ANTALAN City Mayor |
|||||||
City Accountant |
REPORT OF UTILIZATION OF DISASTER RISK REDUCTION AND MANAGEMENT FUND | ||||||
As of March 31, 2015 | ||||||
City: ISLAND GARDEN CITY OF SAMAL | ||||||
PARTICULARS | LDRRMF | NDRRMF | From Other LGUs | From Other Sources | TOTAL | |
Quick Response Fund (QRF) 30% | Mitigation Fund 70% | |||||
A. Source of Funds | ||||||
Current Appropriation | 7,006,185.00 | 16,347,765.00 | 23,353,950.00 | |||
Continuing Appropriation | 7,660,458.59 | 13,094,424.43 | 20,754,883.02 | |||
Previous Year's Appropriation Transferred to the Special Trust Fund: | - | |||||
- | ||||||
CY 2010 | 1,911,707.54 | 1,911,707.54 | ||||
CY 2011 | 1,796,930.65 | 1,796,930.65 | ||||
CY 2012 | 2,188,397.57 | 2,188,397.57 | ||||
CY 2013 | 7,475,450.60 | 7,475,450.60 | ||||
Cash Prize for Gawad Kalasag Awardee | 50,000.00 | 50,000.00 | ||||
Cash Prize for Gawad Kalasag (1st Prize) - Component City | 50,000.00 | 50,000.00 | ||||
Total Funds Available | 14,666,643.59 | 42,814,675.79 | - | - | 100,000.00 | 57,581,319.38 |
B. Utilization | ||||||
Medicines | - | |||||
Food Supplies | - | |||||
Non-Food Supplies | 199,900.71 | 199,900.71 | ||||
Repair of Evacuation Center | - | |||||
Institutional/Capacity Development (Ex. Trainings, environmental assessments & other related activities | 136,996.50 | 136,996.50 | ||||
Construction of Evacuation Center | - | - | ||||
Improvement of Evacuation & Operation Center | 360,500.00 | 360,500.00 | ||||
Satellite Evacuation Center @ Babak | 10,232.74 | 10,232.74 | ||||
Installation of Early Warning Device | 118,073.60 | 118,073.60 | ||||
Road Concreting @ New City Hall Site | 9,016.14 | 9,016.14 | ||||
Core Shelters | - | |||||
Equipment | - | |||||
Transfer to other LGUs | - | |||||
Transfer to Special Trust - Calamity Fund | - | |||||
Transfer to General Fund | 1,491,707.54 | 1,491,707.54 | ||||
Others (Please specify) | - | |||||
- Subscription Expenses | 950.00 | 950.00 | ||||
- Other Professional Services | 94,035.29 | 94,035.29 | ||||
- R/m - Rescue & Emergency Vehicle | 8,600.00 | 8,600.00 | ||||
- R/M - Other Machineries and Equipt | 23,320.00 | 23,320.00 | ||||
Total Utilization | - | 2,453,332.52 | - | - | - | 2,453,332.52 |
Unutilized Balance | 14,666,643.59 | 40,361,343.27 | - | - | 100,000.00 | 55,127,986.86 |
Certified Correct: | ||||||
GLADYS P. HURAÑO, CPA | ||||||
City Accountant | ||||||
Schedule of Advances to Officers and Employees | ||||||||||
As of March 31, 2015 | ||||||||||
Agency Name ISLAND GARDEN CITY OF SAMAL | Account Title | Advances to Officers and Employees | Fund Title | General Fund | ||||||
Agency Code 65-02 | Account Code | 148 | ||||||||
Name of Debtor | Amount Balance | Date Granted | A m o u n t D u e | |||||||
Purpose | ||||||||||
C u r r e n t | P a s t D u e | |||||||||
(in alphabetical order) | less than 30 days | 31- 90 days | 91- 365 days | Over 1 Year | Over 2 years | 3 year s & above | ||||
TRAVEL | ||||||||||
ASOY, AMADO | 40,400.00 | 2/20/2015 | Travel Cash Advance | 40,400.00 | ||||||
CABALLERO, MERLINA | 6,830.00 | 3/11/2015 | Travel Cash Advance | 6,830.00 | ||||||
CAMASO, JEMELITA | 1,800.00 | 3/24/2015 | Travel Cash Advance | 1,800.00 | ||||||
ESDRELON, NIELJUN | 6,560.00 | 3/25/2015 | Travel Cash Advance | 6,560.00 | ||||||
GULBEN, ERNESTO | 22,600.00 | 2/23/2015 | Travel Cash Advance | 22,600.00 | ||||||
OLDEN, GUILLERMO | 5,540.00 | 2/4/2015 | Travel Cash Advance | 5,540.00 | ||||||
ORTIZ, ALBERTO | 9,024.00 | 3/4/2015 | Travel Cash Advance | 9,024.00 | ||||||
PLANAS, LEO | 9,900.00 | 3/10/2015 | Travel Cash Advance | 9,900.00 | ||||||
PRIETO, DOREENJEN | 21,920.00 | 3/12/2015 | Travel Cash Advance | 21,920.00 | ||||||
PRIETO, DOREENJEN | 51.00 | 3/24/2015 | CA for petty expenses of city officials & employees | 51.00 | ||||||
SORIA, RAMON | 8,600.00 | 3/23/2015 | Travel Cash Advance | 8,600.00 | ||||||
TOLERAN, FLORANTE | 64,353.00 | 2/23/2015 | Travel Cash Advance | 64,353.00 | ||||||
SPECIAL PURPOSE: | ||||||||||
ACEDILLO, ARLENE | 102,969.50 | 3/3/2015 | CA for Brgy Admin Seminar | 102,969.50 | ||||||
ACEDILLO, ARLENE | 6,000.00 | 3/12/2015 | CA for Strategic Plan Formulation Seminar | 6,000.00 | ||||||
ALLOSA, CHELEAL | 79,780.00 | 3/26/2015 | CA for food stuff on Simulation Training | 79,780.00 | ||||||
ANTALAN, ANIANO P | 52,643,380.00 | *** 2011 - 2015 | CA Intelligence Fund | 5,500,000.00 | 8,420,000.00 | 11,473,400.00 | 11,689,980.00 | 15,560,000.00 | ||
CABALLERO, MERLINA | 57,500.00 | 1/27/2015 | CA for tev of Dept Heads | 57,500.00 | ||||||
CABALLERO, MERLINA | 345,000.00 | 3/2/2015 | CA for 17th Founding Ann | 345,000.00 | ||||||
CABALLERO, MERLINA | 2,500.00 | 1/30/2015 | CA for plane ticket & tev | 2,500.00 | ||||||
CARIAGA, JENNIFER | 20,000.00 | 2/24/2015 | CA for transportation | 20,000.00 | ||||||
CARIAGA, JENNIFER | 285,000.00 | 2/25/2015 | CA for 17th Founding Ann | 285,000.00 | ||||||
CARIAGA, JENNIFER | 200,000.00 | 3/2/2015 | CA for Bb IGACOS | 200,000.00 | ![]() |
|||||
*** Complete Liquidation Reports for all of the above Cash Advances for Intelligence Fund have been promptly transmitted to COA Central Office. However, to date, we still have not received any Credit Notice for these advances. |
||||||||||
DENIEGA, MABEL | 33,780.00 | 3/4/2015 | CA for SCAA Basic Military Training | 33,780.00 | ||||||
DENIEGA, MABEL | 38,300.00 | 3/16/2015 | CA for Dalit Serbisyo @ Kinawitnon | 38,300.00 | ||||||
DENIEGA, MABEL | 14,010.00 | 3/23/2015 | CA for Women's Month Celebration | 14,010.00 | ||||||
HURAÑO, GLADYS | 49,940.00 | 2/16/2015 | CA for CACCO Evaluation | 49,940.00 | ||||||
LARIOSA, ABUNDIA | 169,000.00 | 3/24/2015 | CA for Financial Assistance | 169,000.00 | ||||||
LARIOSA, ABUNDIA | 35,000.00 | 3/24/2015 | CA for Prizes during Women's Month Celebration | 35,000.00 | ||||||
PACALDO, MARIO | 219,000.00 | 3/24/2015 | CA for CLUP | 219,000.00 | ||||||
PRIETO, DOREENJEN | 14,625.00 | 2/9/2015 | CA for CLUP | 14,625.00 | ||||||
RAFISURA, XANDRA MAY | 273,434.27 | 3/9/2015 | CA for SPMES Re-orientation | 273,434.27 | ||||||
RAFISURA, XANDRA MAY | 13,200.00 | 3/25/2015 | CA for Travel of CPO | 13,200.00 | ||||||
SISOR, EDWARD | 236,000.00 | 1/30/2015 | CA for Dept Heads Evaluation | 236,000.00 | ||||||
SISOR, EDWARD | 60,000.00 | 3/9/2015 | CA for Praise Program | 60,000.00 | ||||||
UY, AL DAVID | 6,861.95 | 3/13/2015 | CA for Revise Revenue Code Workshop | 6,861.95 | ||||||
UNDERLIQUIDATION: | ||||||||||
BT - TAMBO | 5.00 | 2/16/2015 | Underliquidation of collection | 5.00 | ||||||
DE LUNA, PERLITA | 99.00 | 2/12/2015 | Underliquidation of collection | 99.00 | ||||||
SULARTE, ALICIA | 2.00 | 03/48/15 | Underliquidation of collection | 2.00 | ||||||
TOTAL | 55,102,964.72 | 1,661,126.72 | 6,298,458.00 | 8,420,000.00 | 11,473,400.00 | 11,689,980.00 | 15,560,000.00 | |||
Certified Correct : | ||||||||||
GLADYS P. HURAÑO, CPA | ||||||||||
CITY ACCOUNTANT | ||||||||||
CITY ACCOUNTING OFFICE | ||||||||||