JULY 18 - JULY 24, 2021 14
BUREAU OF LOCAL GOVERNMENT FINANCE DEPARTMENT OF FINANCE
http://blgf.gov.ph/ LGU:
Particulars
LOCAL SOURCES TAX REVENUES
REAL PROPERTY TAX
Real Property Tax -Basic Current Year
Fines and Penalties-Current Year Prior Year/s
Fines and Penalties-Prior Year/s TAX ON BUSINESS
Amusement Tax Business Tax
Manufacturers, Assemblers, etc. Wholesalers, Distributors, etc.
Exporters, Manufacturers, Dealers, etc. Retailers
Contractors and other Independent contractors Printing & Publication Tax Tax on Amusement Places Other Business Taxes
Tax on Delivery Trucks and Vans Fines and Penalties-Business Taxes
OTHER TAXES
Community Tax-Corporation Community Tax-Individual Professional Tax
Real Property Transfer Tax NON-TAX REVENUES
REGULATORY FEES (Permits and Licenses) Permits and Licenses
Fees on Weights and Measures Business Permit Fees Building Permit Fees
Zonal/Location Permit Fees Tricycle Operators Permit Fees Other Permits & Licenses
Registration Fees
Cattle/Animal Registration Fees Civil Registration Fees
Inspection Fees Fines and Penalties-Permits and Licenses
SERVICE/USER CHARGES (Service Income) Clearance and Certification Fees Police Clearance Secretary’s Fees
Other Fees STATEMENT OF RECEIPTS SOURCES BAYAWAN CITY (TULONG), NEGROS ORIENTAL Period Covered: Q2, 2021 (As of June 30, 2021)
Acct. Code
Income Target ( Approved Budget)
37,726,960.00 9,006,960.00 9,006,960.00 0.00 0.00 0.00 0.00
25,000,000.00 300,000.00
24,000,000.00 0.00 0.00 0.00
24,000,000.00 0.00 0.00 0.00 0.00
200,000.00 500,000.00 3,720,000.00 0.00
3,000,000.00 200,000.00 520,000.00
32,515,670.00 8,435,000.00 5,815,000.00 260,000.00 1,685,000.00 1,900,000.00 1,400,000.00 210,000.00 360,000.00 2,100,000.00 300,000.00 1,800,000.00 170,000.00 350,000.00
10,998,770.00 3,531,770.00 0.00
3,531,770.00 6,962,000.00
Actual Receipts
Excess of Ac- tual vs Target
% of Over/ (Under) to Target
33,752,735.32 8,089,822.88 8,089,822.88 5,798,650.99 12,142.53
1,566,780.14 712,249.22
22,315,668.57 33,697.50
21,660,308.38 458,174.38 3,088,451.60 60,069.95
11,457,377.81 1,510,265.10 15,962.89 148,195.15 4,921,811.50 135,500.00 486,162.69 3,347,243.87 122,923.09 2,821,238.40 187,825.00 215,257.38
20,868,856.40 6,741,686.14 5,121,110.93 187,560.00 2,412,291.93 1,168,140.50 813,868.00 155,690.00 383,560.50 1,191,416.50 166,320.00 1,025,096.50 176,903.16 252,255.55 7,465,396.79 1,793,704.80 386,830.00 1,406,874.80 4,710,592.69
-3,974,224.68 -917,137.12 -917,137.12 5,798,650.99 12,142.53
1,566,780.14 712,249.22
-2,684,331.43 -266,302.50 -2,339,691.62 458,174.38 3,088,451.60 60,069.95
-12,542,622.19 1,510,265.10 15,962.89 148,195.15 4,921,811.50 -64,500.00 -13,837.31 -372,756.13 122,923.09 -178,761.60 -12,175.00 -304,742.62
-11,646,813.60 -1,693,313.86 -693,889.07 -72,440.00 727,291.93 -731,859.50 -586,132.00 -54,310.00 23,560.50
-908,583.50 -133,680.00 -774,903.50 6,903.16
-97,744.45
-3,533,373.21 -1,738,065.20 386,830.00
-2,124,895.20 -2,251,407.31
-10.53% -10.18% -10.18% 0% 0% 0% 0%
-10.74% -88.77% -9.75% 0% 0% 0%
-52.26% 0% 0% 0% 0%
-32.25% -2.77% -10.02% 0%
-5.96% -6.09% -58.60% -35.82% -20.07% -11.93% -27.86% 43.16% -38.52% -41.87% -25.86% 6.54%
-43.27% -44.56% -43.05% 4.06%
-27.93% -32.13% -49.21% 0%
-60.17% -32.34%
Garbage Fees Other Service Income
Fines and Penalties-Service Income Medical, Dental and Laboratory Fees
RECEIPTS FROM ECONOMIC ENTERPRISES (Business Income) Receipts from Economic Enterprises (Business Income) Cemetery Operations Market Operations
Slaughterhouse Operations Other Economic Enterprises
OTHER INCOME/RECEIPTS (Other General Income) Interest Income
Other General Income (Miscellaneous) Miscellaneous - Others
TOTAL INCOME-LOCAL SOURCES
EXTERNAL SOURCES SHARE FROM NATIONAL TAX COLLECTION INTERNAL REVENUE ALLOTMENT Current Year
RECEIPTS FROM LOANS AND BORROWINGS (PAYABLE) Loans - Domestic
OTHER NON-INCOME RECEIPTS Collection Receivables Refund of Cash Advances
Collection from Inter-Agency Receivables Collection of Trust Liabilities Due from other NGAs
Other Receivables
TOTAL INCOME/RECEIPTS FROM EXTERNAL SOURCES TOTAL GENERAL FUND
SPECIAL EDUCATION FUND SPECIAL EDUCATION TAX Special Education Fund Current Year
Fines and Penalties-Current Year Prior Year/s
Fines and Penalties-Prior Year/s Other Receipts Interest Income
TOTAL SPECIAL EDUCATION FUND GRAND TOTAL (GF + SEF)
ADVANCE PAYMENT FOR RPT General Fund
Special Education Fund TOTAL
0.00 0.00 0.00
Certified correct: GEMMA G. SUMALPONG City Treasurer
700,000.00 6,262,000.00 500,000.00 5,000.00
8,861,000.00 8,861,000.00 282,250.00 6,922,000.00 1,656,750.00 0.00
4,220,900.00 4,000,000.00 220,900.00 220,900.00
70,242,630.00
1,215,986,482.00 1,215,986,482.00 1,215,986,482.00 0.00 0.00
1,120,916.00 0.00 0.00 0.00 0.00 0.00
1,120,916.00
1,217,107,398.00 1,287,350,028.00
613,245.00 4,097,347.69 379,839.30 581,260.00 4,618,099.90 4,618,099.90 180,393.71 3,678,968.38 651,607.00 107,130.81 2,043,673.57 1,897,505.07 146,168.50 146,168.50
54,621,591.72
607,993,240.98 607,993,240.98 607,993,240.98 163,063,778.32 163,063,778.32 13,617,794.44 1,409,917.00 4,086,988.89 7,196,681.10 439,745.45 439,745.45 484,462.00
784,674,813.74 839,296,405.46
-86,755.00
-2,164,652.31 -120,160.70 576,260.00
-4,242,900.10 -4,242,900.10 -101,856.29 -3,243,031.62 -1,005,143.00 107,130.81
-2,177,226.43 -2,102,494.93 -74,731.50 -74,731.50
-15,621,038.28
-607,993,241.02 -607,993,241.02 -607,993,241.02
-12.39% -34.57% -24.03%
11525.20% -47.88% -47.88% -36.09% -46.85% -60.67% 0%
-51.58% -52.56% -33.83% -33.83% -22.24%
-50.00% -50.00% -50.00%
163,063,778.32 0% 163,063,778.32 0% 12,496,878.44 1,409,917.00 4,086,988.89 7,196,681.10 439,745.45 439,745.45 -636,454.00
-432,432,584.26 -448,053,622.54
METROPOST
1114.88% 0% 0% 0% 0% 0%
-56.78% -35.53% -34.80%
10,000,000.00 0.00 0.00 0.00 0.00 0.00 0.00
10,000,000.00 1,297,350,028.00
11,224,721.47 8,283,787.12 17,346.48
2,037,424.27 886,163.60 6,387.71 6,387.71
11,231,109.18 850,527,514.64
1,224,721.47 8,283,787.12 17,346.48
2,037,424.27 886,163.60 6,387.71 6,387.71
1,231,109.18 -446,822,513.36
12.25% 0% 0% 0% 0% 0% 0%
12.31% -34.44%
BUREAU OF LOCAL GOVERNMENT FINANCE DEPARTMENT OF FINANCE
http://blgf.gov.ph/ LGU:
STATEMENT OF EXPENDITURES BAYAWAN CITY (TULONG), NEGROS ORIENTAL Period Covered: Q2, 2021 (As of June 30, 2021) Budget Appropriation Particulars
NGAS Code
GENERAL FUND General Public Services
Office of the Governor/Mayor Civil Security
Office of the Vice Governor/Vice Mayor
Sangguniang Panlalawigan/ Panlungsod/Pambayan
Support Services (Secretary to the Sanggunian)
Office of the Provincial/City/ Municipal Administrator
Personnel Officer/Human Resource Management Office
Office of the Planning and Development Coordinator
Office of the Civil Registrar 1031 11,225,527.00 18,255,340.00 1032 1,673,565.00 1041 11,498,030.00 1051 5,362,160.00 24,000.00 4,700,060.00 491,900.00 0.00 0.00 0.00 0.00 1,311,460.00 0.00 900,000.00 140,000.00 30,792,327.00 1,697,565.00 17,098,090.00 5,994,060.00 4,352,267.20 629,569.57 4,875,408.24 2,233,940.64 4,731,230.07 208.35 737,262.77 188,739.50 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 9,083,497.27 629,777.92 5,612,671.01 2,422,680.14 6,873,259.80 1,043,995.43 6,622,621.76 3,128,219.36 13,524,109.93 23,791.65 3,962,797.23 303,160.50 0.00 0.00 0.00 0.00 1,311,460.00 0.00 21,708,829.73 70.50% 1,067,787.08 62.90% 900,000.00 11,485,418.99 67.17% 140,000.00 3,571,379.86 59.58%
MetroPost 2021 July 18 • July 25 TO PAGE 15
1000 275,272,241.89 256,808,859.59 1011 123,913,810.89 115,739,366.59 1013 1016
1021 25,795,071.00 1022 6,993,079.00
4,687,878.00 31,096,640.00 2,629,315.00
1,081,400.00 9,784,290.00
291,000.00
0.00 0.00 0.00 0.00 0.00
0.00
30,601,360.00 3,537,900.00 17,235,000.00 0.00
50,000.00 0.00
562,682,461.48 116,576,816.47 103,043,102.97 243,191,077.48 53,422,378.92 53,019,518.00 3,710,715.00
2,083,177.69 950,582.12
35,629,361.00 10,155,897.80 7,284,079.00 3,119,753.64
43,919,725.81 12,189,448.05 53,857.51
2,450,364.49 51,865.58
0.00 0.00 0.00 0.00 0.00
0.00
0.00 219,619,919.44 158,695,425.42 153,765,756.62 0.00 97,342,104.73 70,491,431.97 0.00 14,272,625.74 0.00
1,004,439.63
2,604,700.31 1,678,732.88
0.00 12,606,262.29 15,639,173.20 0.00 3,171,619.22 3,873,325.36
71,819,640.78 18,907,191.95 1,027,542.49 7,333,925.51
239,134.42
0.00 30,601,360.00 343,062,542.04 60.97% 0.00
0.00 17,235,000.00 0.00 0.00
0.00 0.00
3,537,900.00 145,848,972.75 59.97% 38,746,892.26 73.08% 2,706,275.37 72.93% 23,023,098.71 64.62%
50,000.00 0.00 4,112,459.78 56.46% PS MOOE FE CO Total PS MOOE Actual Expenditures FE CO Total PS MOOE Variance (Balance) FE CO Total
% of Bal- ances to Budget
Page 1 |
Page 2 |
Page 3 |
Page 4 |
Page 5 |
Page 6 |
Page 7 |
Page 8 |
Page 9 |
Page 10 |
Page 11 |
Page 12 |
Page 13 |
Page 14 |
Page 15 |
Page 16