APPRO2024
APPRO2024
APPRO2024
GENERAL FUND
BINMALEY, PANGASINAN
A P P R O P R I A T I O N S
Explanation of Budget Year 2024
Current Year 2023
Expenditures Proposed (Proposed)
OFFICE OF THE MUNICIPAL MAYOR:
1.0 Personal Services:
Salaries and Wages:
Regular Pay 6,168,907.00 6,796,094.40
Terminal Leave Pay 4,340,000.00 10,000,000.00
Personal Economic Relief Allowance (PERA) 456,000.00 456,000.00
Representation and Transportation Allowance (RATA) 196,000.00 196,000.00
Clothing Allowance 114,000.00 114,000.00
Extra Hazard Insurance Premiums 5,300.00 5,300.00
Year End Bonus 514,076.00 566,341.20
Mid Year Bonus 514,076.00 566,341.20
Cash Gift 95,000.00 95,000.00
Life and Retirement Insurance Contributions 740,269.00 815,531.33
PAG-IBIG Contributions 22,800.00 22,800.00
Medicare (PHILHEALTH) Contributions 123,378.14 169,902.36
State Insurance Fund (ECC) 22,800.00 22,800.00
Monetization of Leave Credits 495,493.81 545,870.23
Loyalty Award 10,000.00 5,000.00
PEI 95,000.00 95,000.00
SUB-TOTAL 13,913,099.95 20,471,980.72
2.0 Maintenance and Other Operating Expenses
Travelling Expenses 300,000.00 300,000.00
Communication Services 1,000,000.00 1,000,000.00
Fidelity Bond 60,000.00 60,000.00
Advertising Expenses 175,000.00 175,000.00
Printing and Binding Expenses 150,000.00 150,000.00
Insurance Expense 5,000,000.00 5,000,000.00
Office Supplies Expenses 400,000.00 400,000.00
Consultancy & Other Professional Services 700,000.00 700,000.00
IT Equipment Maintenance 200,000.00 200,000.00
Office Equipment Maintenance 150,000.00 150,000.00
Confidential and Intelligence Expenses (Discretionary Fu 57,000.00 57,000.00
Other Expenses 1,700,000.00 1,700,000.00
Other Expenses (Business Plates and Permits) 350,000.00 350,000.00
Programs/Projects/Activities :
Other General Services 5,000,000.00 5,500,000.00
Other Janitorial Services 1,000,000.00 1,000,000.00
Aid to Katarungan Pambarangay System 33,000.00 33,000.00
Municipal Sports Fest 200,000.00 200,000.00
Special Program for the Employment of Students 700,000.00 700,000.00
Conduct of Job Fair 50,000.00 50,000.00
Tulong Pangkabuhayan sa OFW Programs 250,000.00 250,000.00
Labor and Employment Education Services Training 50,000.00 50,000.00
Programs on Child Labor Prevention and Elimination 50,000.00 50,000.00
Support to Barangay Employment Service Office 50,000.00 50,000.00
SUB-TOTAL 17,625,000.00 18,125,000.00
3.0 Capital Outlay
Furniture and Equipment outlay 500,000.00 500,000.00
Loans Outlay 11,000,000.00 11,000,000.00
IT Equipment, Office Equipment 300,000.00 300,000.00
A P P R O P R I A T I O N S
Explanation of Budget Year 2024
Current Year 2023
Expenditures Proposed (Proposed)
OFFICE OF THE MPDC:
1.0 Personal Services:
Salaries and Wages:
Regular Pay 2,238,948.00 2,482,088.40
Personal Economic Relief Allowance (PERA) 120,000.00 120,000.00
Representation Allowance and Transportation Allowance 162,000.00 162,000.00
Clothing Allowance 30,000.00 30,000.00
Mid Year Bonus 186,579.00 206,840.70
Year End Bonus 186,579.00 206,840.70
Cash Gift 25,000.00 25,000.00
Life and Retirement Insurance Contributions 268,673.76 297,850.61
PAG-IBIG Contributions 6,000.00 6,000.00
Medicare (PHILHEALTH) Contributions 44,778.96 62,052.21
State Insurance Fund (ECC) 6,000.00 6,000.00
Monetization of Leave Credits 179,834.92 199,364.24
PEI 25,000.00 25,000.00
SUB-TOTAL 3,479,393.64 3,829,036.85
2.0 Maintenance and Other Operating Expenses
Traveling Expenses 100,000.00 100,000.00
Training and Seminar Expenses 150,000.00 150,000.00
Office Supplies Expenses 100,000.00 100,000.00
Communication Services 60,000.00 60,000.00
Other Expenses 100,000.00 100,000.00
Programs/Projects/Activities :
Other General Services 72,000.00 72,000.00
Information, Education, Campaign on Environmental Mgm 30,000.00 30,000.00
Special Programs/Projects/Activities :
Operation & Maintenance of E-Center 20,000.00 20,000.00
Local Inter-Agency Committee (LIAC) for Housing Project 50,000.00 50,000.00
Support for SDRS-WQMA 200,000.00 200,000.00
Support to NEPA Airshed 100,000.00 100,000.00
SUB-TOTAL 982,000.00 982,000.00
3.0 Capital Outlay
Furniture and Equipment Outlay 100,000.00 100,000.00
SUB-TOTAL 100,000.00 100,000.00
TOTAL 4,561,393.64 4,911,036.85
2023 2024
NTA 262,530,634.00 279,010,537.00
LOCAL SOURCES 28,590,261.56 31,589,000.00
TOTAL 291,120,895.56 310,599,537.00
TOTAL PS 106,968,165.51 122,276,810.47
TOTAL MOOE 98,610,179.00 93,711,679.00
TOTAL CAPITAL OUTLAY 14,420,000.00 13,480,000.00
20% DF 52,506,126.80 55,802,107.40
5% MDRRMF 14,556,044.78 15,529,976.85
SPA 4,060,379.47 4,145,000.00
TOTAL 291,120,895.56 304,945,573.72
291,120,895.56 310,599,537.00
- 5,653,963.28
2,236,366,761.96
2024 ANNUAL BUDGET
ECONOMIC ENTERPRISE
BINMALEY, PANGASINAN
A P P R O P R I A T I O N S
Explanation of BUDGET 2023 BUDGET 2024
Expenditures Proposed (Proposed) (Proposed)
OFFICE OF THE MARKET SPECIALIST IV:
1.0 Personal Services:
Salaries and Wages:
Regular Pay 5,335,668.00 5,888,970.00
Step Increment 2,577.00 -
Personal Economic Relief Allowance (PERA) 600,000.00 600,000.00
Clothing Allowance 150,000.00 150,000.00
Mid Year Bonus 444,639.00 511,334.85
Year End Bonus 444,639.00 511,334.85
Cash Gift 125,000.00 125,000.00
Life and Retirement Insurance Contributions 640,590.00 736,678.50
PAG-IBIG Contributions 30,000.00 30,000.00
Medicare (PHILHEALTH) Contributions 106,765.00 122,779.75
State Insurance Fund (ECC) 30,000.00 30,000.00
Monetization of Leave Credits (10days) 257,265.00 295,854.75
Loyalty Award 10,000.00
PEI 125,000.00 125,000.00
SUB-TOTAL 8,292,143.00 9,136,952.70
2.0 Maintenance and Other Operating Expenses
Travelling Expenses 10,000.00
Communication Services 50,000.00
Water 10,000.00
Electricity 200,000.00
Building Maintenance 100,000.00
Other Repair and Maintenance 50,000.00
Accountable Forms Expenses 30,000.00
Office Supplies Expenses 50,000.00
Fidelity Bond Premium 10,000.00
Other Expenses 40,000.00
Insurance Expenses (Public Market Buildings) 600,000.00
Loans (Amortization) 500,000.00
Other General Services 432,000.00
SUB-TOTAL 2,082,000.00 -
3.0 Capital Outlay
Furniture and Fixture 50,000.00
IT and Office Equipment 100,057.00
SUB-TOTAL 150,057.00 -
TOTAL 10,524,200.00 9,136,952.70
A P P R O P R I A T I O N S
Explanation of Budget Year 2024
Current Year 2023
Expenditures Proposed (Proposed)
OFFICE OF THE MPDC:
1.0 Personal Services:
Salaries and Wages:
Regular Pay 2,238,948.00 2,482,088.40
Personal Economic Relief Allowance (PERA) 120,000.00 120,000.00
Representation Allowance and Transportation Allowance 162,000.00 162,000.00
Clothing Allowance 30,000.00 30,000.00
Mid Year Bonus 186,579.00 206,840.70
Year End Bonus 186,579.00 206,840.70
Cash Gift 25,000.00 25,000.00
Life and Retirement Insurance Contributions 268,673.76 297,850.61
PAG-IBIG Contributions 6,000.00 6,000.00
Medicare (PHILHEALTH) Contributions 44,778.96 62,052.21
State Insurance Fund (ECC) 6,000.00 6,000.00
Monetization of Leave Credits 179,834.92 199,364.24
PEI 25,000.00 25,000.00
SUB-TOTAL 3,479,393.64 3,829,036.85
2.0 Maintenance and Other Operating Expenses
Traveling Expenses 100,000.00 100,000.00
Training and Seminar Expenses 150,000.00 150,000.00
Office Supplies Expenses 100,000.00 100,000.00
Communication Services 60,000.00 60,000.00
Other Expenses 100,000.00 100,000.00
Programs/Projects/Activities :
Other General Services 72,000.00 72,000.00
Information, Education, Campaign on Environmental Mgm 30,000.00 30,000.00
Special Programs/Projects/Activities :
Operation & Maintenance of E-Center 20,000.00 20,000.00
Local Inter-Agency Committee (LIAC) for Housing Project 50,000.00 50,000.00
Support for SDRS-WQMA 200,000.00 200,000.00
Support to NEPA Airshed 100,000.00 100,000.00
SUB-TOTAL 982,000.00 982,000.00
3.0 Capital Outlay
Furniture and Equipment Outlay 100,000.00 100,000.00
SUB-TOTAL 100,000.00 100,000.00
TOTAL 4,561,393.64 4,911,036.85
2023 2024
NTA 262,530,634.00 279,010,537.00
LOCAL SOURCES 28,590,261.56 31,589,000.00
TOTAL 291,120,895.56 310,599,537.00
TOTAL PS 106,968,165.51 133,083,008.53
TOTAL MOOE 98,610,179.00 96,784,959.09
TOTAL CAPITAL OUTLAY 14,420,000.00 13,455,000.00
20% DF 52,506,126.80 55,802,107.40
5% MDRRMF 14,556,044.78 15,529,976.85
SPA 4,060,379.47 4,145,000.00
TOTAL 291,120,895.56 318,800,051.87
291,120,895.56 310,599,537.00
- - 8,200,514.87
2,271,833,636.24
2024 ANNUAL BUDGET
ECONOMIC ENTERPRISE
BINMALEY, PANGASINAN
A P P R O P R I A T I O N S
Explanation of BUDGET 2023 BUDGET 2024
Expenditures Proposed (Proposed) (Proposed)
OFFICE OF THE MARKET SPECIALIST IV:
1.0 Personal Services:
Salaries and Wages:
Regular Pay 5,335,668.00 5,888,970.00
Step Increment 2,577.00 -
Personal Economic Relief Allowance (PERA) 600,000.00 600,000.00
Clothing Allowance 150,000.00 150,000.00
Mid Year Bonus 444,639.00 511,334.85
Year End Bonus 444,639.00 511,334.85
Cash Gift 125,000.00 125,000.00
Life and Retirement Insurance Contributions 640,590.00 736,678.50
PAG-IBIG Contributions 30,000.00 30,000.00
Medicare (PHILHEALTH) Contributions 106,765.00 122,779.75
State Insurance Fund (ECC) 30,000.00 30,000.00
Monetization of Leave Credits (10days) 257,265.00 295,854.75
Loyalty Award 10,000.00
PEI 125,000.00 125,000.00
SUB-TOTAL 8,292,143.00 9,136,952.70
2.0 Maintenance and Other Operating Expenses
Travelling Expenses 10,000.00
Communication Services 50,000.00
Water 10,000.00
Electricity 200,000.00
Building Maintenance 100,000.00
Other Repair and Maintenance 50,000.00
Accountable Forms Expenses 30,000.00
Office Supplies Expenses 50,000.00
Fidelity Bond Premium 10,000.00
Other Expenses 40,000.00
Insurance Expenses (Public Market Buildings) 600,000.00
Loans (Amortization) 500,000.00
Other General Services 432,000.00
SUB-TOTAL 2,082,000.00 -
3.0 Capital Outlay
Furniture and Fixture 50,000.00
IT and Office Equipment 100,057.00
SUB-TOTAL 150,057.00 -
TOTAL 10,524,200.00 9,136,952.70
A P P R O P R I A T I O N S
Explanation of Budget Year 2024
Current Year 2023
Expenditures Proposed (Proposed)
OFFICE OF THE MPDC:
1.0 Personal Services:
Salaries and Wages:
Regular Pay 2,238,948.00 2,482,088.40
Personal Economic Relief Allowance (PERA) 120,000.00 120,000.00
Representation Allowance and Transportation Allowance 162,000.00 162,000.00
Clothing Allowance 30,000.00 30,000.00
Mid Year Bonus 186,579.00 206,840.70
Year End Bonus 186,579.00 206,840.70
Cash Gift 25,000.00 25,000.00
Life and Retirement Insurance Contributions 268,673.76 297,850.61
PAG-IBIG Contributions 6,000.00 6,000.00
Medicare (PHILHEALTH) Contributions 44,778.96 62,052.21
State Insurance Fund (ECC) 6,000.00 6,000.00
Monetization of Leave Credits 179,834.92 199,364.24
PEI 25,000.00 25,000.00
SUB-TOTAL 3,479,393.64 3,829,036.85
2.0 Maintenance and Other Operating Expenses
Traveling Expenses 100,000.00 100,000.00
Training and Seminar Expenses 150,000.00 150,000.00
Office Supplies Expenses 100,000.00 100,000.00
Communication Services 60,000.00 60,000.00
Other Expenses 100,000.00 100,000.00
Programs/Projects/Activities :
Other General Services 72,000.00 72,000.00
Information, Education, Campaign on Environmental Mgm 30,000.00 30,000.00
Special Programs/Projects/Activities :
Operation & Maintenance of E-Center 20,000.00 20,000.00
Local Inter-Agency Committee (LIAC) for Housing Project 50,000.00 50,000.00
Support for SDRS-WQMA 200,000.00 200,000.00
Support to NEPA Airshed 100,000.00 100,000.00
SUB-TOTAL 982,000.00 982,000.00
3.0 Capital Outlay
Furniture and Equipment Outlay 100,000.00 100,000.00
SUB-TOTAL 100,000.00 100,000.00
TOTAL 4,561,393.64 4,911,036.85
2023 2024
NTA 262,530,634.00 279,010,537.00
LOCAL SOURCES 28,590,261.56 31,589,000.00
TOTAL 291,120,895.56 310,599,537.00
2023
TOTAL PS 106,968,165.51 129,716,810.47
TOTAL MOOE 98,610,179.00 93,711,679.00
TOTAL CAPITAL OUTLAY 14,420,000.00 13,480,000.00
20% DF 52,506,126.80 55,802,107.40
5% MDRRMF 14,556,044.78 15,529,976.85
SPA 4,060,379.47 4,145,000.00
TOTAL 291,120,895.56 312,385,573.72
291,120,895.56 310,599,537.00
- - 1,786,036.72
2,258,686,761.96
SUB-TOTAL 11,800,000.00
TOTAL 43,338,099.95
45,938,385.95
Page 1 of 25 Pages - - Annual Budget 2024
2024 ANNUAL BUDGET
GENERAL FUND
BINMALEY, PANGASINAN
A P P R O P R I A T I O N S
Explanation of Budget Year 2024
Current Year 2023
Expenditures Proposed (Proposed)
OFFICE OF THE MUNICIPAL VICE MAYOR:
1.0 Personal Services:
Salaries and Wages:
Regular Pay 1,313,244.00
Personal Economic Relief Allowance (PERA) 48,000.00
Representation and Transportation Allowance (RATA) 183,600.00
Clothing Allowance 12,000.00
Mid Year Bonus 109,437.00
Year End Bonus 109,437.00
Cash Gift 10,000.00
Life and Retirement Insurance Contributions 157,589.28
PAG-IBIG Contributions 2,400.00
Medicare (PHILHEALTH) Contributions 26,264.88
State Insurance Fund (ECC) 2,400.00
Monetization of Leave Credits 105,481.29
PEI 10,000.00
SUB-TOTAL 2,089,853.45
2.0 Maintenance and Other Operating Expenses
Travelling Expenses 170,000.00
Telephone/Telegraph/Communication Services 127,500.00
Fidelity Bond 25,000.00
Office Supplies 170,000.00
Other Expenses 550,000.00
Advertising & Publication Expenses 500,000.00
Other General Services 216,000.00
SUB-TOTAL 1,758,500.00
TOTAL 3,848,353.45
4,079,254.66
Page 2 of 25 Pages - - Annual Budget 2024
2024 ANNUAL BUDGET
GENERAL FUND
BINMALEY, PANGASINAN
A P P R O P R I A T I O N S
Explanation of Budget Year 2024
Current Year 2023
Expenditures Proposed (Proposed)
OFFICE OF THE SANGGUNIANG BAYAN:
1.0 Personal Services:
Salary and Wages
Regular Pay 9,823,932.00
Personal Economic Relief Allowance (PERA) 240,000.00
Representation Allowance and Transportation Allow 1,620,000.00
Clothing Allowance 60,000.00
Mid Year Bonus 818,661.00
Year End Bonus 818,661.00
Cash Gift 50,000.00
Life and Retirement Insurance Contributions 1,178,871.84
PAG-IBIG Contributions 12,000.00
Medicare (PHILHEALTH) Contributions 196,478.64
State Insurance Fund (ECC) 12,000.00
Monetization of Leave Credits 789,069.68
PEI 50,000.00
SUB-TOTAL 15,669,674.16
2.0 Maintenance and Other Operating Expenses
Travelling Expenses 85,000.00
Communication Services 360,000.00
Other Expenses 2,975,000.00
Gasoline, Oil and Lubricants 200,000.00
Motor Vehicle Maintenance 100,000.00
Other General Services 720,000.00
SUB-TOTAL 4,440,000.00
3.0 Capital Outlay
Furniture and Equipment Outlay 750,000.00
SUB-TOTAL 750,000.00
TOTAL 20,859,674.16
22,111,254.61
Page 3 of 25 Pages - - Annual Budget 2024
2024 ANNUAL BUDGET
GENERAL FUND
BINMALEY, PANGASINAN
A P P R O P R I A T I O N S
Explanation of Budget Year 2024
Current Year 2023
Expenditures Proposed (Proposed)
OFFICE OF THE SECRETARY TO THE SANGGUNIAN:
1.0 Personal Services:
Salaries and Wages::
Regular Pay 2,857,752.00
Personal Economic Relief Allowance (PERA) 144,000.00
Representation Allowance and Transportation Allowance 270,000.00
Clothing Allowance 36,000.00
Mid Year Bonus 238,146.00
Year End Bonus 238,146.00
Cash Gift 30,000.00
Life and Retirement Insurance Contributions 342,930.24
PAG-IBIG Contributions 7,200.00
Medicare (PHILHEALTH) Contributions 57,155.04
State Insurance Fund (ECC) 7,200.00
PEI 30,000.00
Loyalty Award 5,000.00
Monetization of Leave Credits 229,537.97
SUB-TOTAL 4,493,067.25
2.0 Maintenance and Other Operating Expenses
Traveling Expenses 60,000.00
Office Supplies Expenses 200,000.00
Communication Services 80,000.00
Other Expenses 250,000.00
Subscription Expenses 100,000.00
Other General Services 360,000.00
Publication 150,000.00
SUB-TOTAL 1,200,000.00
TOTAL 5,693,067.25
6,034,651.29
Page 4 of 25 Pages - - Annual Budget 2024
2024 ANNUAL BUDGET
GENERAL FUND
BINMALEY, PANGASINAN
A P P R O P R I A T I O N S
Explanation of Budget Year 2024
Current Year 2023
Expenditures Proposed (Proposed)
OFFICE OF THE MUNICIPAL ADMINISTRATOR:
1.0 Personal Services:
Salaries and Wages
Regular Pay 972,840.00
Personal Economic Relief Allowance (PERA) 24,000.00
Representation Allowance and Transportation Allowance 162,000.00
Clothing Allowance 6,000.00
Mid Year Bonus 81,070.00
Year End Bonus 81,070.00
Cash Gift 5,000.00
Life and Retirement Insurance Contributions 116,740.80
PAG-IBIG Contributions 1,200.00
Medicare (PHILHEALTH) Contributions 17,024.70
State Insurance Fund (ECC) 1,200.00
Monetization of Leave Credits 78,139.64
PEI 5,000.00
SUB-TOTAL 1,551,285.14
2.0 Maintenance and Other Operating Expenses
Traveling Expenses 150,000.00
Trainings/Seminars/Conferences 30,000.00
Office Supplies Expenses 90,000.00
Water 800,000.00
Electricity 11,000,000.00
Gasoline, Oil and Lubricants Expenses 5,800,000.00
Communication Services 60,000.00
Other Expenses 1,000,000.00
Waste Management 5,000,000.00
Motor Vehicle Maintenance 2,000,000.00
Building Maintenance 1,000,000.00
Public Infrastructure Repair and Maintenance 300,000.00
Special Programs/Projects/Activities :
Traffic Management 200,000.00
Anti-Criminality Campaign & Other Related Expenses 300,000.00
Peace and Order 100,000.00
Moral Recovery Program 100,000.00
People's Law Enforcement Board (PLEB) 60,000.00
Purchase of Biodigester (Bioenzyme) 150,000.00
Operation/Maintenance of MRF & Vermicomposting Facili 50,000.00
Other General Services 2,500,000.00
SUB-TOTAL 30,690,000.00
3.0 Capital Outlay
Furniture and Equipment Outlay 100,000.00
SUB-TOTAL 100,000.00
TOTAL 32,341,285.14
34,281,762.25
Page 5 of 25 Pages - - Annual Budget 2024
A P P R O P R I A T I O N S
Explanation of Budget Year 2024
Current Year 2023
Expenditures Proposed (Proposed)
OFFICE OF THE MPDC:
1.0 Personal Services:
Salaries and Wages:
Regular Pay 2,238,948.00
Personal Economic Relief Allowance (PERA) 120,000.00
Representation Allowance and Transportation Allowance 162,000.00
Clothing Allowance 30,000.00
Mid Year Bonus 186,579.00
Year End Bonus 186,579.00
Cash Gift 25,000.00
Life and Retirement Insurance Contributions 268,673.76
PAG-IBIG Contributions 6,000.00
Medicare (PHILHEALTH) Contributions 44,778.96
State Insurance Fund (ECC) 6,000.00
Monetization of Leave Credits 179,834.92
PEI 25,000.00
SUB-TOTAL 3,479,393.64
2.0 Maintenance and Other Operating Expenses
Traveling Expenses 100,000.00
Training and Seminar Expenses 150,000.00
Office Supplies Expenses 100,000.00
Communication Services 60,000.00
Other Expenses 100,000.00
Programs/Projects/Activities :
Other General Services 72,000.00
Information, Education, Campaign on Environmental Mgm 30,000.00
Special Programs/Projects/Activities :
Operation & Maintenance of E-Center 20,000.00
Local Inter-Agency Committee (LIAC) for Housing Project 50,000.00
Support for SDRS-WQMA 200,000.00
Support to NEPA Airshed 100,000.00
SUB-TOTAL 982,000.00
3.0 Capital Outlay
Furniture and Equipment Outlay 100,000.00
SUB-TOTAL 100,000.00
TOTAL 4,561,393.64
4,835,077.26
Page 6 of 25 Pages - - Annual Budget 2024
2024 ANNUAL BUDGET
GENERAL FUND
BINMALEY, PANGASINAN
A P P R O P R I A T I O N S
Explanation of Budget Year 2024
Current Year 2023
Expenditures Proposed (Proposed)
OFFICE OF THE MUNICIPAL BUDGET OFFICER:
1.0 Personal Services:
Salaries and Wages:
Regular Pay 1,863,960.00
Personal Economic Relief Allowance (PERA) 96,000.00
Representation Allowance and Transportation Allowance 162,000.00
Clothing Allowance 24,000.00
Mid Year Bonus 155,330.00
Year End Bonus 155,330.00
Cash Gift 20,000.00
Life and Retirement Insurance Contributions 223,675.20
PAG-IBIG Contributions 4,800.00
Medicare (PHILHEALTH) Contributions 37,279.20
State Insurance Fund (ECC) 4,800.00
Monetization of Leave Credits 149,715.44
Loyalty Award
PEI 20,000.00
SUB-TOTAL 2,916,889.84
2.0 Maintenance and Other Operating Expenses
Traveling Expenses 80,000.00
Training and Seminar Expenses 60,000.00
Seminar for Annual Barangay Budgeting 100,000.00
Office Supplies Expenses 150,000.00
Communication Services 60,000.00
Other Expenses 134,000.00
Programs/Projects/Activities :
Other General Services 196,000.00
SUB-TOTAL 780,000.00
3.0 Capital Outlay
Furniture and Equipment Outlay 100,000.00
SUB-TOTAL 100,000.00
TOTAL 3,796,889.84
4,024,703.23
Page 7 of 25 Pages - - Annual Budget 2024
SUB-TOTAL 100,000.00
TOTAL 4,345,945.55
4,606,702.28
Page 8 of 25 Pages - - Annual Budget 2024
SUB-TOTAL 100,000.00
TOTAL 7,401,075.32
7,845,139.84
Page 9 of 25 Pages - - Annual Budget 2024
SUB-TOTAL 100,000.00
TOTAL 3,752,704.53
3,977,866.80
Page 10 of 25 Pages - - Annual Budget 2024
SUB-TOTAL 100,000.00
TOTAL 5,051,123.17
5,354,190.56
Page 11 of 25 Pages - - Annual Budget 2024
SUB-TOTAL 100,000.00
TOTAL 2,626,029.14
2,783,590.89
Page 12 of 25 Pages - - Annual Budget 2024
15,175,309.31
Page 13 of 25 Pages - - Annual Budget 2024
SUB-TOTAL 100,000.00
TOTAL 10,317,049.98
SUB-TOTAL 200,000.00
TOTAL 23,243,015.37
24,637,596.29
Page 16 of 25 Pages - - Annual Budget 2024
8,262,432.11
Page 18 of 25 Pages - - Annual Budget 2024
2024 ANNUAL BUDGET
GENERAL FUND
BINMALEY, PANGASINAN
A P P R O P R I A T I O N S
Explanation of Budget Year 2024
Current Year 2023
Expenditures Proposed (Proposed)
OFFICE OF THE MUNICIPAL ENGINEER:
MAINTENANCE OF PARK AND PLAZA:
1.0 Personal Services:
Salaries and Wages:
Regular Pay 1,186,716.00
Personal Economic Relief Allowance (PERA) 168,000.00
Clothing Allowance 42,000.00
Mid Year Bonus 98,893.00
Year End Bonus 98,893.00
Cash Gift 35,000.00
Life and Retirement Insurance Contributions 142,405.92
PAG-IBIG Contributions 8,400.00
Medicare (PHILHEALTH) Contributions 17,800.74
State Insurance Fund (ECC) 8,400.00
Monetization of Leave Credits 95,318.41
PEI 35,000.00
Extra Hazard Insurance Premiums 1,500.00
SUB-TOTAL 1,938,327.07
2.0 Maintenance and Other Operating Expenses
Other Expenses 150,000.00
Other Structures Maintenance (Rehabilitation of
500,000.00
Parks and Plaza)
SUB-TOTAL 650,000.00
TOTAL 2,588,327.07
2,743,626.69
Page 19 0f 25 Pages - - Annual Budget 2024
2024 ANNUAL BUDGET
GENERAL FUND
BINMALEY, PANGASINAN
A P P R O P R I A T I O N S
Explanation of Budget Year 2024
Current Year 2023
Expenditures Proposed (Proposed)
OFFICE OF THE HUMAN RESOURCE MANAGEMENT:
1.0 Personal Services:
Salaries and Wages:
Regular Pay 1,710,804.00
Personal Economic Relief Allowance (PERA) 96,000.00
Representation and travelling Allowance 162,000.00
Clothing Allowance 24,000.00
Mid Year Bonus 142,567.00
Year End Bonus 142,567.00
Cash Gift 20,000.00
Life and Retirement Insurance Contributions 205,296.48
PAG-IBIG Contributions 4,800.00
Medicare (PHILHEALTH) Contributions 25,662.06
State Insurance Fund (ECC) 4,800.00
Monetization of Leave Credits (10days) 137,413.77
PEI 20,000.00
SUB-TOTAL 2,695,910.31
2.0 Maintenance and Other Operating Expenses
Travelling Expenses 50,000.00
Training and Seminar Expenses 50,000.00
Office Supplies Expenses 100,000.00
Communication Services 60,000.00
Other Expenses 100,000.00
Special Projects/Programs/Activities
Capability Building 150,000.00
Other General Services 200,000.00
SUB-TOTAL 710,000.00
3.0 Capital Outlay
Furniture and Equipment Outlay 100,000.00
SUB-TOTAL 100,000.00
TOTAL 3,505,910.31
3,716,264.93
Page 20 of 25 Pages - - Annual Budget 2024
2024 ANNUAL BUDGET
GENERAL FUND
BINMALEY, PANGASINAN
A P P R O P R I A T I O N S
Explanation of Budget Year 2024
Current Year 2023
Expenditures Proposed (Proposed)
OFFICE OF THE MUNICIPAL GENERAL SERVICES:
1.0 Personal Services:
Salaries and Wages:
Regular Pay 2,558,472.00
Personal Economic Relief Allowance (PERA) 240,000.00
Representation and travelling Allowance 162,000.00
Clothing Allowance 60,000.00
Mid Year Bonus 213,206.00
Year End Bonus 213,206.00
Cash Gift 50,000.00
Life and Retirement Insurance Contributions 307,016.64
PAG-IBIG Contributions 12,000.00
Medicare (PHILHEALTH) Contributions 51,169.44
State Insurance Fund (ECC) 12,000.00
Monetization of Leave Credits (10days) 205,499.46
Loyalty Award -
PEI 50,000.00
SUB-TOTAL 4,134,569.54
2.0 Maintenance and Other Operating Expenses
Travelling Expenses 75,000.00
Training and Seminar Expenses 50,000.00
Office Supplies Expenses 100,000.00
Communication Services 60,000.00
Other Expenses 100,000.00
Janitorial Services 200,000.00
Projects/Programs/Activities
Other General Services 200,000.00
SUB-TOTAL 785,000.00
3.0 Capital Outlay
Furniture and Equipment Outlay 100,000.00
SUB-TOTAL 100,000.00
TOTAL 5,019,569.54
5,320,743.71
Page 21 of 25 Pages - - Annual Budget 2024
2024 ANNUAL BUDGET
GENERAL FUND
BINMALEY, PANGASINAN
A P P R O P R I A T I O N S
Explanation of Budget Year 2024
Current Year 2023
Expenditures Proposed (Proposed)
MUNICIPAL DISASTER RISK REDUCTION MANAGEMENT OFFICE
1.0 Personal Services:
Salaries and Wages:
Regular Pay 1,992,228.00
Personal Economic Relief Allowance (PERA) 144,000.00
Representation and travelling Allowance 162,000.00
Clothing Allowance 36,000.00
Mid Year Bonus 166,019.00
Year End Bonus 166,019.00
Cash Gift 30,000.00
Life and Retirement Insurance Contributions 239,067.36
PAG-IBIG Contributions 7,200.00
Medicare (PHILHEALTH) Contributions 39,844.56
State Insurance Fund (ECC) 7,200.00
Monetization of Leave Credits (10days) 160,018.08
Loyalty Award
PEI 30,000.00
SUB-TOTAL 3,179,596.00
2.0 Maintenance and Other Operating Expenses
Travelling Expenses 80,000.00
Communication Services 60,000.00
Office Supplies 50,000.00
Other Expenses 50,000.00
Other General Services 1,200,000.00
Motor Vehicle Maintenance 200,000.00
Other Repair and Maintenance 150,000.00
Gasoline, Oil and Lubricants 350,000.00
SUB-TOTAL 2,140,000.00
3.0 Capital Outlay
Furniture and Equipment Outlay 100,000.00
SUB-TOTAL 100,000.00
TOTAL 5,419,596.00
5,744,771.76
Page 22 of 25 Pages - - Annual Budget 2024
2024 ANNUAL BUDGET
GENERAL FUND
BINMALEY, PANGASINAN
A P P R O P R I A T I O N S
Explanation of Budget Year 2024
Current Year 2023
Expenditures Proposed (Proposed)
OPERATION OF CEMETERIES:
Other Janitorial Services 24,000.00 24,000.00
2023 2024
NTA 262,530,634.00 279,010,537.00
LOCAL SOURCES 28,590,261.56 31,589,000.00
TOTAL 291,120,895.56 310,599,537.00
TOTAL PS 106,968,165.51 -
TOTAL MOOE 98,610,179.00 24,000.00
TOTAL CAPITAL OUTLAY 14,420,000.00 -
20% DF 52,506,126.80 55,802,107.40
5% MDRRMF 14,556,044.78 15,529,976.85
SPA 4,060,379.47 4,145,000.00
TOTAL 291,120,895.56 75,501,084.25
291,120,895.56 310,599,537.00
- 235,098,452.75
1,762,368,651.55
2024 ANNUAL BUDGET
ECONOMIC ENTERPRISE
BINMALEY, PANGASINAN
A P P R O P R I A T I O N S
Explanation of BUDGET 2023 BUDGET 2024
Expenditures Proposed (Proposed) (Proposed)
OFFICE OF THE MARKET SPECIALIST IV:
1.0 Personal Services:
Salaries and Wages:
Regular Pay 5,335,668.00 5,888,970.00
Step Increment 2,577.00 -
Personal Economic Relief Allowance (PERA) 600,000.00 600,000.00
Clothing Allowance 150,000.00 150,000.00
Mid Year Bonus 444,639.00 511,334.85
Year End Bonus 444,639.00 511,334.85
Cash Gift 125,000.00 125,000.00
Life and Retirement Insurance Contributions 640,590.00 736,678.50
PAG-IBIG Contributions 30,000.00 30,000.00
Medicare (PHILHEALTH) Contributions 106,765.00 122,779.75
State Insurance Fund (ECC) 30,000.00 30,000.00
Monetization of Leave Credits (10days) 257,265.00 295,854.75
Loyalty Award 10,000.00
PEI 125,000.00 125,000.00
SUB-TOTAL 8,292,143.00 9,136,952.70
2.0 Maintenance and Other Operating Expenses
Travelling Expenses 10,000.00
Communication Services 50,000.00
Water 10,000.00
Electricity 200,000.00
Building Maintenance 100,000.00
Other Repair and Maintenance 50,000.00
Accountable Forms Expenses 30,000.00
Office Supplies Expenses 50,000.00
Fidelity Bond Premium 10,000.00
Other Expenses 40,000.00
Insurance Expenses (Public Market Buildings) 600,000.00
Loans (Amortization) 500,000.00
Other General Services 432,000.00
SUB-TOTAL 2,082,000.00 -
3.0 Capital Outlay
Furniture and Fixture 50,000.00
IT and Office Equipment 100,057.00
SUB-TOTAL 150,057.00 -
TOTAL 10,524,200.00 9,136,952.70
SUB-TOTAL 11,800,000.00 -
TOTAL 32,792,046.97 3,370,510.78
SUB-TOTAL -
TOTAL 3,848,353.45 2,363,071.47
SUB-TOTAL 100,000.00 -
TOTAL 32,341,285.14 29,653,317.91
Page 5 of 25 Pages - - Annual Budget 2024
A P P R O P R I A T I O N S
Explanation of Current Year Budget Year 2024
Expenditures Proposed 2023 (Proposed)
OFFICE OF THE MPDC:
1.0 Personal Services:
Salaries and Wages:
Regular Pay 2,238,948.00 2,574,790.20
Step Increment -
Personal Economic Relief Allowance (PERA) 120,000.00 120,000.00
Representation Allowance and Transportation Allowanc 162,000.00 162,000.00
Clothing Allowance 30,000.00 30,000.00
Mid Year Bonus 186,579.00 214,565.85
Year End Bonus 186,579.00 214,565.85
Cash Gift 25,000.00 25,000.00
Life and Retirement Insurance Contributions 268,673.76 308,974.82
PAG-IBIG Contributions 6,000.00 6,000.00
Medicare (PHILHEALTH) Contributions 44,778.96 51,495.80
State Insurance Fund (ECC) 6,000.00 6,000.00
Monetization of Leave Credits 179,834.92 206,810.16
Loyalty Award - -
PEI 25,000.00 25,000.00
SUB-TOTAL 3,479,393.64 3,945,202.69
2.0 Maintenance and Other Operating Expenses
Traveling Expenses 100,000.00
Training and Seminar Expenses 150,000.00
Office Supplies Expenses 100,000.00
Communication Services 60,000.00
Other Expenses 100,000.00
Programs/Projects/Activities :
Other General Services 72,000.00
Information, Education, Campaign on Environmental Mg 30,000.00
Special Programs/Projects/Activities :
Community Based Monitoring System (PHASE II) -
Operation & Maintenance of E-Center 20,000.00
Construction of Concrete Special/ medical waste vault -
Local Inter-Agency Committee (LIAC) for Housing Projec 50,000.00
Bigas Ko, Plastic Mo Project -
Support for SDRS-WQMA 200,000.00
Support to NEPA Airshed 100,000.00
Purchase of Manual Brick Making Machine
SUB-TOTAL 982,000.00 -
SUB-TOTAL 100,000.00 -
TOTAL 4,561,393.64 3,945,202.69
SUB-TOTAL 100,000.00 -
TOTAL 3,796,889.84 3,309,683.32
SUB-TOTAL 100,000.00 -
TOTAL 4,345,945.55 3,911,994.03
SUB-TOTAL 850,000.00 -
SUB-TOTAL 100,000.00 -
TOTAL 7,401,075.32 7,286,386.62
SUB-TOTAL 100,000.00 -
TOTAL 3,752,704.53 3,414,232.71
SUB-TOTAL 100,000.00 -
TOTAL 5,051,123.17 4,037,291.65
SUB-TOTAL 100,000.00 -
TOTAL 2,626,029.14 2,667,273.51
SUB-TOTAL 100,000.00 -
TOTAL 10,317,049.98 9,315,647.48
SIGNAGE
AIRCON
Page 14 of 25 Pages - - Annual Budget 2024
2024 ANNUAL BUDGET
GENERAL FUND
BINMALEY, PANGASINAN
A P P R O P R I A T I O N S
Explanation of Current Year Budget Year 2024
Expenditures Proposed 2023 (Proposed)
OFFICE OF THE MSWDO
1.0 Personal Services:
Salaries and Wages:
Regular Pay 2,013,180.00 2,315,157.00
Step Increment -
Personal Economic Relief Allowance (PERA) 120,000.00 120,000.00
Representation Allowance and Transportation All 162,000.00 162,000.00
Clothing Allowance 30,000.00 30,000.00
Mid Year Bonus 167,765.00 192,929.75
Year End Bonus 167,765.00 192,929.75
Cash Gift 25,000.00 25,000.00
Life and Retirement Insurance Contributions 241,581.60 277,818.84
PAG-IBIG Contributions 6,000.00 6,000.00
Medicare (PHILHEALTH) Contributions 40,263.60 46,303.14
State Insurance Fund (ECC) 6,000.00 6,000.00
Monetization of Leave Credits 161,700.97 185,956.12
PEI 25,000.00 25,000.00
Subsistence Allowance 18,000.00 20,700.00
Hazard Pay 139,759.20 160,723.08
SUB-TOTAL 3,324,015.37 3,766,517.68
2.0 Maintenance and Other Operating Expenses
Travelling Expenses 80,000.00
Office Supplies Expenses 60,000.00
Communication Services 30,000.00
Other Expenses 100,000.00
Special Projects.Programs/Activities:
Other General Services 192,000.00
PROGRAM/PROJECTS/ACTIVITIES
1. Poverty Program
a. Sustainable Livelihood Program (SLP) 300,000.00
b. Emergency Shelter Assistance 200,000.00
c. Aid to Individual in Crisis Situation 2,500,000.00
d. 4 P's Program (LGU Counterpart) 350,000.00
e. Provision of Medical Assistance 1,500,000.00
2. Youth Program
a. Local Youth Development Fund 100,000.00
b. Binmaley Scholarship Program 1,000,000.00
c. Binmaley Basic School Supplies Project 5,000,000.00
3. Elderly Care Program
a. Office of the Senior Citizens Affair 1,457,000.00
b. Annual Incentives for All Senior Citizens 4,000,000.00
c. Assistance to Veterans 70,000.00
4. Person with Disability Program
a. Person w/ Disability Affairs Office (PDAO) 70,000.00
b. Provision for mobility, safety and welfare of
50,000.00
differently abled person
5. Women and Children's Welfare Program
a. Local Council for the Protection of Children 370,000.00
d. Simpleng Alay sa Mag-aaral Project
6. Nutrition Program
a. Supplemental Feeding Program 1,300,000.00
b. Provision of Support to the Municipal Nutrit 40,000.00
c. Nutrition Month Celebration 60,000.00
d. Allowance for Nutrition Scholars 170,000.00
SUB-TOTAL 18,999,000.00 -
SUB-TOTAL 720,000.00 -
SUB-TOTAL MOOE 19,719,000.00 -
SUB-TOTAL 200,000.00 -
TOTAL 23,243,015.37 3,766,517.68
SUB-TOTAL 270,000.00 -
TOTAL 10,154,158.29 5,765,832.03
SUB-TOTAL 1,640,000.00 -
3.0 Capital Outlay
Construction of Multi-Purpose Hall in Camaley
Construction of Multi-Purpose Hall in Camaley (PHASE I)
Furniture & Fixture (tables, chairs, cabinets, set of Public
Speaker System with microphones, amplifiers, recorders and
the like to be used during hearings or sessions
Fabrication/Installation of Fish Display Counter & Partition
Construction of Municipal Motor Pool
SUB-TOTAL -
SUB-TOTAL 100,000.00 -
TOTAL 3,505,910.31 3,050,556.86
SUB-TOTAL 100,000.00
TOTAL 5,419,596.00
2023
TOTAL PS 96,422,112.53 ###
TOTAL MOOE 98,610,179.00 27,924,000.00
TOTAL CAPITAL OUTLAY 14,420,000.00 -
SPA 71,122,551.05 -
TOTAL 280,574,842.58 ###
LIMIT
ADJ
291,120,895.56 ###
10,546,052.98 ###
###
2024 ANNUAL BUDGET
ECONOMIC ENTERPRISE
BINMALEY, PANGASINAN
A P P R O P R I A T I O N S
Explanation of BUDGET 2023 BUDGET 2024
Expenditures Proposed (Proposed) (Proposed)
OFFICE OF THE MARKET SPECIALIST IV:
1.0 Personal Services:
Salaries and Wages:
Regular Pay 5,335,668.00 6,136,018.20
Step Increment 2,577.00 2,963.55
Terminal Leave Pay -
Personal Economic Relief Allowance (PERA) 600,000.00 600,000.00
Clothing Allowance 150,000.00 150,000.00
Mid Year Bonus 444,639.00 511,334.85
Year End Bonus 444,639.00 511,334.85
Cash Gift 125,000.00 125,000.00
Life and Retirement Insurance Contributions 640,590.00 736,678.50
PAG-IBIG Contributions 30,000.00 30,000.00
Medicare (PHILHEALTH) Contributions 106,765.00 122,779.75
State Insurance Fund (ECC) 30,000.00 30,000.00
Monetization of Leave Credits (10days) 257,265.00 295,854.75
Monetization of Leave Credits (10days) -
Loyalty Award 10,000.00
PEI 125,000.00 125,000.00
SUB-TOTAL 8,292,143.00 9,386,964.45
2.0 Maintenance and Other Operating Expenses
Travelling Expenses 10,000.00
Communication Services 50,000.00
Water 10,000.00
Electricity 200,000.00
Building Maintenance 100,000.00
Other Repair and Maintenance 50,000.00
Accountable Forms Expenses 30,000.00
Office Supplies Expenses 50,000.00
Fidelity Bond Premium 10,000.00
Other Expenses 40,000.00
Insurance Expenses (Public Market Buildings) 600,000.00
Loans (Amortization) 500,000.00
Other General Services 432,000.00
SUB-TOTAL 2,082,000.00 -
3.0 Capital Outlay
Furniture and Fixture 50,000.00
IT and Office Equipment 100,057.00
SUB-TOTAL 150,057.00 -
TOTAL 10,524,200.00 9,386,964.45
31,029,863.62
3,340,538.40
17,790,229.07
4,637,897.03
19,379,925.61
5,257,711.43
2,674,949.93
3,616,106.40
6,248,248.23
4,460,050.53
3,241,835.30
2,059,581.11
10,332,540.22
6,164,495.93
18,838,448.99
6,570,850.16
5,379,831.81
1,887,899.97
3,405,166.33
4,207,592.60
24,000.00
53,212,542.34 53,212,542.34
53,212,542.34 213,760,305.01
ACTIVITY INCLUSIVE DATE
Issuance of the Budget Call June 16
Budget Forum
Preparation/Submission of June 16
Budget Proposals June 24-28
Consolidation of Budget
September 15-30
Proposals
Preparation of the Budget
Message and Local Expenditure October 1-15
Program (LEP)
Submission of the LEP October 16