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FDP Form 9 - Statement of Cash Flows
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(BLGF Memorandum Circular No. 09 - 2012 dated February 21, 2012, Annex 2)
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STATEMENT OF CASH FLOWS
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REGION:
REGION IV-A - CALABARZON
CALENDAR YEAR:2024
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PROVINCE:RIZALQUARTER:1
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CITY/MUNICIPALITY:
CITY OF ANTIPOLO (Capital)
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Cash Flows From Operating Activities:
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Cash Inflows:
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Collection from Taxpayers 988,626,456.32
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Share from Internal Revenue Collections 679,377,555.00
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Receipts from Sale of Goods or Services 183,482,221.20
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Interest Income 5,853,478.23
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Dividend Income -
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Other Receipts 1,578,434,947.39
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Total Cash Inflow 3,435,774,658.14
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Cash Outflows:
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Payments :
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To Suppliers/Creditors
116,971,408.25
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To Employees 231,535,231.24
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Interest Expense -
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Other Expenses 2,512,227,105.08
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Total Cash Outflow 2,860,733,744.57
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Net Cash from Operating Activities
575,040,913.57
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Cash Flows from Investing Activities:
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Cash Inflows:
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From Sale of Property, Plant and Equipment -
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From Sale of Dept Securities of Other Entities -
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From Collection of Principal on Loans to Other Entities -
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Total Cash Inflow -
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Cash Outflows:
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To Purchase Property, Plant and Equipment 38,707,209.85
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To Purchase Debt Securities of Other Entities -
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To Grant/Make Loans to Other Entities -
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Total Cash Outflow 38,707,209.85
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Net Cash from Investing Activities (38,707,209.85)
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Cash Flows from Financing Activities
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Cash Inflows:
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From Issuance of Debt Securities -
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From Acquisition of Loan -
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Total Cash Inflow -
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Cash Outflows:
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Retirement/Redemption of Debt Securities -
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Payment of Loan Amortization -
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Total Cash Outflow -
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Net Cash from Financing Activities -
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Net Increase in Cash 536,333,703.72
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Cash at Beginning of the Period 6,185,126,811.72
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Cash at the End of the Period 6,721,460,515.44
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We hereby certify that we 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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DAN CARLO M. SAN GABRIEL (SGD.)
CASIMIRO A. YNARES III, M. D. (SGD.)
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Local Accountant
Local Chief Executive
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