FULL DISCLOSURE OF LOCAL BUDGET AND FINANCES, AND BIDS AND PUBLIC OFFERINGS

ANNUAL REPORT 2022

QUARTERLY REPORT 2022

1stQtr 2ndQtr 3rdQtr 4rtQtr
Quarterly Statement of Cash Flow
Report of Special Education Fund Utilization
Trust Fund Utilization
Bid Results on Civil Works, Goods and Services, and Consulting Services
20 Percent Component of the Internal Revenue Allotment Utilization
Local Disaster Risk Reduction and Management Fund Utilization (LDRRMF)
Unliquidated Cash Advances
Human Resource Complement

ANNUAL REPORT 2021

QUARTERLY REPORT 2021

1stQtr 2ndQtr 3rdQtr 4rtQtr
Quarterly Statement of Cash Flow
Report of Special Education Fund Utilization
Trust Fund Utilization
Bid Results on Civil Works, Goods and Services, and Consulting Services
20 Percent Component of the Internal Revenue Allotment Utilization
Local Disaster Risk Reduction and Management Fund Utilization (LDRRMF)
Unliquidated Cash Advances
Human Resource Complement

ANNUAL REPORT 2020

QUARTERLY REPORT 2020

1stQtr 2ndQtr 3rdQtr 4rtQtr
Quarterly Statement of Cash Flow
Report of Special Education Fund Utilization
Trust Fund Utilization
Bid Results on Civil Works, Goods and Services, and Consulting Services
20 Percent Component of the Internal Revenue Allotment Utilization
Local Disaster Risk Reduction and Management Fund Utilization (LDRRMF)
Unliquidated Cash Advances
Human Resource Complement

ANNUAL REPORT 2019

QUARTERLY REPORT 2019

1stQtr 2ndQtr 3rdQtr 4rtQtr
Quarterly Statement of Cash Flow
Report of Special Education Fund Utilization
Trust Fund Utilization
Bid Results on Civil Works, Goods and Services, and Consulting Services
20 Percent Component of the Internal Revenue Allotment Utilization
Local Disaster Risk Reduction and Management Fund Utilization (LDRRMF)
Unliquidated Cash Advances
Human Resource Complement