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FDP Form 8 - Local Disaster Risk Reduction and Management Fund Utilization
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(COA Form)
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LOCAL DISASTER RISK REDUCTION AND MANAGEMENT FUND UTILIZATION
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For the Year 2021 (First Quarter)
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Province: ILOCOS NORTE
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ParticularsLDRRMF
NDRRMF
From Other LGUsFrom Other Sources
Total
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Quick Response Fund (QRF)
30%
Mitigation Fund
70%
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A. Sources of Funds
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Current Appropriations 25,735,209.76 60,048,822.79 85,784,032.55
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Continuing Appropriations -
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2017 335,608.47 - - - 335,608.47
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2018 107,789.33 107,789.33
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2019 433,229.98 9,107,412.26 9,540,642.24
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2020 3,432,811.12 3,432,811.12
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Accounts Payable -
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2019 90,000.00 321,972.00 411,972.00
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2020 4,707,830.00 12,131,841.00 16,839,671.00
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Previous Year's Appropriations transferred to the Special Trust Fund -
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2017 6,382,890.08 6,382,890.08
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2018 1,399,158.28 1,399,158.28
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2019 3,455.38 215,600.19 219,055.57
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Provincial Appropriation Ordinance No. 020-2020 3,595,468.05 11,692.24 3,607,160.29
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2020 314,004.35 14,490,846.86 14,804,851.21
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Other Receipts (Donations) 39,135,119.00 1,800,500.00 3,568,949.13 44,504,568.13
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Total Funds Available 34,879,197.52 107,986,444.62 39,135,119.00 1,800,500.00 3,568,949.13 187,370,210.27
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B. Utilization
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Accounts Payable
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Welfare Goods for Distribution 516,000.00 516,000.00
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Agricultural Supplies 2,013,146.00 2,013,146.00
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Hospital Equipment 6,957,700.00 6,957,700.00
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Small Farm Reservoir 299,940.00 299,940.00
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Water Harvesting Facility 199,000.00 199,000.00
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Warning Signages 949,050.00 949,050.00
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Other Equipment (Fogging Machines) 535,980.00 535,980.00
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Medical Supplies 4,179,810.00 4,179,810.00
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Installation of Tents at Borders and Isolation Facilities 528,020.00 528,020.00
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Continuing Appropriation -
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2020 -
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Medical Equipment 1,200,000.00 1,200,000.00
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Other Receipts -
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Welfare Goods for Distribution -
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(1) Relief Goods 3,499,962.00 3,499,962.00
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Current Appropriations -
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Advance payment - Covid-9 Vaccine (Aztrazeneca) 5,763,900.00 5,763,900.00
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Assistance to Returning Residents 172,100.00 172,100.00
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Total Utilization 4,707,830.00 18,606,816.00 3,499,962.00 - - 26,814,608.00
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Unutilized Balance 30,171,367.52 89,379,628.62 35,635,157.00 1,800,500.00 3,568,949.13 160,555,602.27
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11,608,264.22 119,550,996.14 15,843,362.00 1,800,500.00 3,568,949.13
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I hereby certify that I have reviewed the contents and hereby attest to the veracity and correctness of the data or information contained in this document.
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MERCEDES R. RAMOS
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Provincial Accountant
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