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BUREAU OF LOCAL GOVERNMENT FINANCE
DEPARTMENT OF FINANCE
http://blgf.gov.ph/
(DOF-BLGF Memorandum Circular No. 023-2019 dated January 22, 2019, Annex A)
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STATEMENT OF RECEIPTS AND EXPENDITURES
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REGION:REGION V - BICOL REGIONCALENDAR YEAR:2025
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PROVINCE:CAMARINES SURQUARTER/ SECOND QUARTER
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CITY/MUNICIPALITY:BUHIPERIOD COVERED:APRIL -JUNE 2025
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ParticularsIncome/Targat Budget AppropriationsGeneral Fund SEFTotal
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LOCAL SOURCES
18,215,000.008,209,666.48941,949.259,151,615.73
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TAX REVENUE
8,105,000.004,578,783.98941,949.255,520,733.23
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Real Property Tax4,340,000.00746,110.91941,949.251,688,060.16
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Tax on Business3,240,000.003,022,656.230.003,022,656.23
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Other Taxes525,000.00810,016.840.00810,016.84
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NON TAX REVENUE
10,110,000.003,630,682.500.003,630,682.50
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Regulatory Fees & permits and Licenses
3,525,000.001,673,781.520.001,673,781.52
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Sevice/UserCharges (Service Income)1,470,000.00401,419.380.00401,419.38
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Receipts from Economic Enterprises (Business Income)
XXX4,895,000.001,555,681.600.001,555,681.60
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Other Receipts (Other General Income)220,000.000.000.000.00
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EXTERNAL SOURCES
353,694,552.0088,423,640.000.0088,423,640.00
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Internal Revenue Allotment353,694,552.00176,847,278.000.00176,847,278.00
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Other Shares from National Tax Collections
0.000.000.000.00
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Inter-Local Transfers0.000.000.000.00
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Extraordinary Receipt/Grants/Donations/Aids
0.000.000.000.00
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TOTAL CURRENT OPERATING INCOME
371,909,552.00185,056,944.48941,949.25185,998,893.73
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ADD SUPPLEMENT BUDGET(UNAPPROPRIATED SURPLUS)
0.000.000.000.00
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FOR CURRENT OPERATING EXPENDITURES
0.00
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TOTAL AVAILABLE FOR CURRENT OPERATING EXPENDITURES
371,909,552.00185,056,944.48941,949.25185,998,893.73
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LESS CURRENT OPERATING EXPENDITURES (PS + MOOE + FE)
0.00
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General Pubic Services201,035,428.7365,328,116.950.0065,328,116.95
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Education, Culture & Sports/Manpower Development
2,809,057.320.0067,307.1567,307.15
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Health, Nutrition & Population Control 25,387,165.446,267,866.080.006,267,866.08
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Labor and Employment0.000.000.000.00
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Housing and Community Development0.000.000.000.00
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Social Services and Social Welfare17,997,362.673,122,943.080.003,122,943.08
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Economic Services44,596,288.3611,851,023.360.0011,851,023.36
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Debt Service (FE) (InterestExpense & Other Charges)
0.000.000.000.00
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TOTAL CURRENT OPERATING EXPENDITURES
291,825,302.5286,569,949.4767,307.1586,637,256.62
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NET OPERATING INCOME (LOSS) FROM CURRENT OPERATIONS
80,084,249.4898,486,995.01874,642.1099,361,637.11
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ADD:NON-INCOME RECEIPTS
0.00
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CAPITAL/INVESTENT RECEIPTS
0.00
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Proceeds from Sale of Assets0.00
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Proceeds from Sale of Debt Securities of Other Entities
0.00
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Collection of loans Receivables0.00
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RECEIPTS FROM LOANS AND BORROWINGS (Payable)
0.00
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Acquisition of Loans0.00
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Issuance of Bonds0.00
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OTHER NON-INCOME RECEIPTS
0.00
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TOTAL INCOME RECEIPTS
80,084,249.4898,486,995.01874,642.1099,361,637.11
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ADD: SUPPLEMENTAL BUDGET FOR CAPITAL OUTLAY
0.00
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TOTAL AMOUNT AVAILABLE FOR CAPITAL EXPENDITURES
0.00
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LESS: NON-OPERATING EXPENDITURES
0.00
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CAPITAL/INVESTMENT EXPENDITURES
20,637,891.890.0020,637,891.89
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Purchase/Construct of Property Plant and Equipment (Assets/Capital Outlay)70,786,425.4020,637,891.890.0020,637,891.89
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Puchase of Debt Securities of Other Entities (Investment Outlay)
0.00
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Grant/Make Loan to Other Entities (Investment Outlay)
0.00
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DEBT SERVICE (Principal Cost)
0.00
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Payment of Loan Amortization0.000.000.000.00
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Retiremet/Redemption of Bonds/Debt Securities
0.00
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OTHER NON-OPERATING EXPENDITURES
0.000.000.000.00
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TOTAL NON-OPERATING EXPENDITIRES
0.0020,637,891.890.0020,637,891.89
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NET INCREASE/(DECREASE) IN FUNDS
9,297,824.08 77,849,103.12 874,642.1078,723,745.22
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ADD:CASH BALANCE, BEGINNING
314,132,089.41269,616,126.384,509,322.14274,125,448.52
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FUND/CASH AVAILABLE
323,429,913.49347,465,229.505,383,964.24352,849,193.74
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LESS: Payment of Prior Year/s Accounts Payable
20,700,555.790.000.000.00
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CONTINUING APPROPRIATION
0.000.000.00
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ADD:ADVANCE PAYMENT FOR RPT
0.000.000.000.00
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FUND/CASH BALANCE, END
302,729,357.70347,465,229.505,383,964.24352,849,193.74
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Prepared by:
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MILANY H. NATIVIDAD
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SRE Focal PersonCertified Correct:
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NILDA G. SALVO
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Municipal Treasurer
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