This document outlines a two-day training schedule on community finance for the KALAHI-CIDSS-AF project. Day 1 covers modules on general financial management provisions, fund disbursement, and taxation. It includes presentations, workshops, and discussions. Day 2 covers modules on bookkeeping, reporting, auditing, and asset booking. The schedule lists timing, activities, and responsible persons for each session. The training aims to build capacity of community volunteers, BDC-TWGs, and ACTs on their roles and responsibilities in community-based financial management.
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KC-AF Program Flow - Finance Training
This document outlines a two-day training schedule on community finance for the KALAHI-CIDSS-AF project. Day 1 covers modules on general financial management provisions, fund disbursement, and taxation. It includes presentations, workshops, and discussions. Day 2 covers modules on bookkeeping, reporting, auditing, and asset booking. The schedule lists timing, activities, and responsible persons for each session. The training aims to build capacity of community volunteers, BDC-TWGs, and ACTs on their roles and responsibilities in community-based financial management.
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KALAHI-CIDSS – AF
COMMUNITY FINANCE TRAINING
TIME ACTIVITIES RESPONSIBLE PERSON DAY 1 8:00AM-9:00AM Registration/Opening Amenities Invocation Pambansang Awit
9:00AM-9:30AM Introduction of Participants
Expectation Setting and House Rules
9:30AM-12:00NN Module 1: General Provisions
a. Introduction to Community-Based Financial Management
- What is Financial Management System - Who is responsible for Financial Management?
b. BDC-TWG Structure and Functions in Financial Management - BDC-TWG Organization Structure - Roles and Functions in Financial Management
c. ACT Role on Financial Management
- ACT Organizational Structure - Roles and Functions in Financial Management
d. Sources of Funds - General Form of Cash Receipts - Other Forms of Cash Receipts - Request for Fund Release
e. Unutilized Investment Grants - Types of Unutilized Investment Grants - Mechanics for Utilization 12:00NN-1:00PM Lunch Break
Module 2: Fund Disbursement
1:00PM-3:30PM a. Disbursement Process - Eligible Expenditures - Processing and Flow of Documents - Supporting Documents (DV Checklist)
b. Withholding Tax Computation
- What is Withholding Tax - Applicable Tax Rates - Computation of Withholding Taxes - Making Payments to BIR
c. Petty Cash Fund
- What is Petty Cash Fund - Eligible Expenses Covered - Requesting for PCF and Process Flow 3:30PM- 4:30PM Workshop 1: Disbursement and Taxation Community Volunteers
Presentation of Workshop Output
4:30PM- 4:45:00PM Reflection Session/ Learning Insights AC
4:45PM- 5:00PM Closing Prayer ACT
DAY 2 8:00AM-8:30AM Registration/Opening Amenities MCT/ACT Invocation
8:30AM-9:00AM Recap of Previous Activity MCT/ACT
9:00 AM- 10:30 Module 3: Bookkeeping and Reporting AM Community Level - Qualifications, Roles and Responsibilities of the CB - BDC-TWG Books and Financial Monitoring Reports