1 ST QQ19
1 ST QQ19
1 ST QQ19
PPE 444-release
jan 7,258,473.97 -
feb 11,925,676.23 -
mar 46,335,077.17 17,058,650.00
65,519,227.37 17,058,650.00
employees
106,686,884.60 jan #REF! #REF!
feb #REF! #REF!
mar #REF! #REF!
#REF! #REF!
#REF!
ACT - 031-0
Republic of the Philippines
CITY OF ILAGAN
STATEMENT OF CASH FLOW
As of June 30, 2019
PPE 444-release
jan 7,258,473.97 -
feb 11,925,676.23 -
mar 46,335,077.17 17,058,650.00
april 42,071,920.63 24,063,500.00
may 15,030,334.19 16,923,925.00
june 107,769,499.44 47,859,250.00
230,390,981.63 105,905,325.00
(112,708,033.82)
employees
jan #REF! #REF!
feb #REF! #REF!
mar #REF! #REF!
#REF! #REF!
#REF!
may june
410,178.40 410,178.40 2,461,070.40
435,435.54 435,435.54 2,612,613.24
256,410.26 256,410.26 1,538,461.56
519,209.97 519,209.97 3,115,259.82
1,918,367.83 1,918,367.83 11,510,206.98
1,474,358.97 1,474,358.97 8,846,153.82
1,402,985.00 1,402,985.00 8,417,910.00
302,066.00 302,066.00 1,812,396.00
1224952.74 1224952.74 6,124,763.70
1,580,904.14 1,580,904.14 9,485,424.84
146,177.25 146,177.25 877,063.50
534873.1 534873.1 2,674,365.50
10,205,919.20 10,205,919.20 59,475,689.36
ACT - 031-0
Republic of the Philippines
CITY OF ILAGAN
STATEMENT OF CASH FLOW
As of September 30, 2019
GENERAL FUND CODE 101
412 416
jan 127,041.19 36,879.55
feb 39,063.69 23,775.61
mar 31,341.23 31,154.33
april 36,308.48 58,233.25
may 41,048.31 45,422.00
- 362,468,973.00 june 35,519.33 35,519.33
310,322.23 230,984.07 541,306.30
418 424
jan 432,895.88 3,816,533.11
feb 246,425.33 708,013.60
mar 498,976.00 1,632,367.50
april 334,065.26 1,102,320.02 -
may 191328.49 2,596,092.46
june 106,514.02 350,474.23
1,810,204.98 10,205,800.92 12,016,005.90
12,557,312.20
53,898,663.08
MAY JUNE
1,188,941.06
435,435.54 435,435.54 2,612,613.24
519,209.97 519,209.97 3,115,259.82
1,918,367.83 1,918,367.83 11,510,206.98
1,474,358.97 1,474,358.97 8,846,153.82
1,402,985.00 1,402,985.00 8,417,910.00
302,066.00 302,066.00 1,812,396.00
256,410.26 256,410.26 1,538,461.56
1,580,904.14 1,580,904.14 9,485,424.84
146,177.25 146,177.25 877,063.50
1,224,952.74 1,224,952.74 7,349,716.44
534,873.10 534,873.10 3,209,238.60
59,963,385.86
LOCAL DISASTER RISK REDUCTION AND MANAGEMENT FUND UTILIZATION
January to March 2019
CITY OF ILAGAN ISABELA
LDRRMF
Quick Reponse Mitigation From Other From other MOA/Project
PARTICULARS Fund (QRF) Fund NDRRMF LGUs Sources TOTAL Agreement/ REMARKS
30% 70% Ref. No. (if any)
A. Sources of Fund
Current Appropriation 23,544,208.19 54,936,485.76 78,480,693.95
Continuing Appropriation 539,720.89 18,673,127.04 19,212,847.93
Previous Year's Appropriation
Transferred to a Special Trust Fund
Transfers /Grants 5,882,034.54 5,882,034.54
Total Funds Available 24,083,929.08 73,609,612.80 - 5,882,034.54 - 103,575,576.42
B. Utilization
Medicines -
Food supplies -
Non-Food supplies -
Repair of Evacuation Center -
Institutional/ Capacity Development 150,000.00 150,000.00
(Ex. Training, Environmental assessment and -
other related activities) -
Construction of Evacuation Center -
Equipment/rescue vehicle 7,630,000.00 7,630,000.00
Others (tarpaulins, fuel, insurance) 1,998,775.15 1,998,775.15
TOTAL UTILIZATION - 9,778,775.15 - - - 9,778,775.15 - -
Unutilized Balance 24,083,929.08 63,830,837.65 - 5,882,034.54 - 93,796,801.27 - -
I hereby certify that I have reviewed the contents and hereby attest to the veracity
and correctness of the data orinformation contained in this document.