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PHILIPPINES COUNCIL FOR AGRICULTURE AND FISHERIESPCAF-PMKMD-QP02-F01
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Version 1
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Operational Planning
Quality Form
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Annual Physical and Financial Plan (tier 1)Reference Number
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Date:
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FY 2022
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Division: Administrative, Financial and Management Division
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Section: Accounting Section
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FunctionKey ActivitiesPerformance IndicatorAnnual Physical TargetsTravelling ExpensesSupplies and MaterialsCommunication ExpensesOther Maintenance & Operating Expenses TOTAL REMARKS
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1st2nd3rd4thTotal Travelling (Local) Office Supplies Other Supplies Expenses Telephone (Mobile) Representation Expenses Other MOOE
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TO IMPLEMENT GENERAL ACCOUNTING RULES AND REGULATIONS, SYSTEMS AND PROCEDURES WHICH INCLUDE CERTIFICATION OF FUNDS AVAILABILITY, PROPER RECORDING OF GOVERNMENT FUNDS RECEIVED, AND DISBURSEMENTS IN ACCORDANCE WITH PHILIPPINE PUBLIC SECTOR ACCOUNTING STANDARDS (PPSAS)0 -
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Roll out of BTMS /engas0 -
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-
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I. Disbursements100%100%100%100%100% 150,500.00 150,500.00
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a. Receive, record, review, process and certify -
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completeness and propriety of transaction and its -
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supporting documents: -
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>Memorandum of Agreement (MOA)/ Contracts% of all documents recorded and reviewed100%100%100%100%100% -
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>Purchase Order (PO)/Purchase Request (PR) -
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>Payslip -
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>Payroll -
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>Disbursement Voucher (DVs) -
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>Liquidation Report -
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>LDDAP-ADA -
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% of all valid claims/documents reviewed and certified as to funds availability and supporting documents completed.80%80%80%80%80% -
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b. Prepare Statement of Remittances and corresponding DVsNo. of Statements/DVs777728 -
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for the following agencies/offices: -
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>GSIS ( Life & Ret. Premiums, EC, Salary Loan, Policy Loan, SOS, Emergency Loan, CAL/Rel/UOLI/INSOP,11114 -
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>HDMF (Pagibig Contribution, Multi-Purpose Loan, Calamity Loan)22228 -
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>Philhealth11114 -
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>PCAFEA11114 -
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>NADAMCO11114 -
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>Bureau of the Treasury (disallowance)11114 -
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-
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c. Comply prescribed BIR forms and submit to BIR on mandated dates:444416 -
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>BIR Tax Remittance Advice (TRA)/Thru Land BankNo. of TRAs11114 -
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>BIR Form 1600 - Monthly Remittance Return of Value-Added Tax and Other Percentage Taxes WithheldNo. of Form11114 -
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>BIR Form 1601C - Monthly Remittance Return of Income Taxes Withheld on CompensationNo. of Form11114 -
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>BIR Form 1601E - Monthly Remittance Return of Creditable Income Taxes Withheld (Expanded)No. of Form11114 -
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-
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d. Record/post claim in Index of Payment (IP) & SL for the R&M -
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>salaries and allowances of permanent employees% of paid claims recorded100%100%100%100%100% -
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>operating expenses -
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>repair and maintenance machinery and equipment -
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>repair and maintenance transportation equipment -
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>repair and maintenance furniture and fixtures -
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II. Bookkeeping -
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1. Review, Prepare and Post Journals -
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a. Receive and review Reports and other Documents (Disbursements, collections, liquidations, adjustments)% of all reports and other documents received and reviewed100%100%100%100%100% -
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> Report of Checks/ADA Issued - Disbursements -
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>Report of Collection and Deposit - Collections -
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> Liquidation Reports - Cash Advances/Fund Transfers -
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>Notice of Cash Allocation -
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>TRA and other adjustments -
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b. Post Cash Advances (C/A) and Fund Transfer (FTs) granted and its liquidation reports to the Subsidiary Ledger (SL)% of CAs and FTs granted and its liquidation reports posted to SL100%100%100%100%100% -
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104- Petty Cash Fund -
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106-Advances for Payroll Fund -
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148- Advances to Officers & Employees -
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136- Due from NGAs -
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137- Due from GOCCs -
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138- Due from LGUs -
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139- Due from NGOs -
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c. Post delivered supplies and PPE (Delivery Receipt), issued supplies (RSMI) to Supplies Ledger Cards/PPELC% of supplies and PPEs delivered and issued to end-user posted to SLC/PPELC100%100%100%100%100% -
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d. Post all collections to SL% of all collections and deposits posted to SL100%100%100%100%100% -
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e. Prepare Special and General Journals% of all adjustments posted and prepared General Journal100%100%100%100%100% -
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f. Post all journals to General Ledger% of all journals posted to General Ledger100%100%100%100%100% -
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2. Bank Reconciliation -
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Prepare and certify Bank Reconciliation Statement including annexes (List of Outstanding Checks, Negotiated Checks, Cancelled Checks)% of all negotiated checks and outstanding checks verified and prepared BRS100%100%100%100%100% -
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3. Prepare the ff. Financial/Accounting Reports and Submit to COANo. of Reports/ Statements888832 -
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a. Trial Balance -
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- Monthly Trial BalanceNo. of TB11114 -
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b. Financial Accountability Reports (FARS)
No. of Forms/Reports
333312 -
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c. Statement of Financial Performance(detailed & consolidated)No. of Statement11114
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d. Statement of Financial Operations (detailed and consolidated)No. of Statement11114
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e. Report of Salaries and Allowances of Officers (quarterly)No. of Report11114
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f. Report of Auditing Services incurred (semester)No. of Report11114
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4. Prepare Aging/Schedules of receivables and payablesNo. of Aging/Schedules prepared1616161664 -
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a. Due from NGAs11114 -
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b. Due from LGUs11114 -
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c. Due from GOCCs11114 -
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d. Due from NGOs/POs11114 -
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e. Advances to Officers and Employees11114 -
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f. Accounts Receivable11114 -
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g. Notes Receivable11114 -
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h. Loans Receivable11114 -
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l. Accounts Payable11114 -
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l. Other Payable11114 -
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i. Due to other NGAs11114 -
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j. Due to Other Payable11114 -
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k. Due to BIR11114 -