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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 X - NORTHERN MINDANAO CALENDAR YEAR:2025
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PROVINCE:MISAMIS ORIENTAL QUARTER/ 1
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CITY/MUNICIPALITY: PERIOD COVERED:
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Particulars Income/Targat Budget Appropriations General Fund SEF Total
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LOCAL SOURCES
1,461,383,614.00 79,714,789.88 24,786,777.16 104,501,567.04
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TAX REVENUE
486,510,000.00 46,724,527.72 24,786,777.16 71,511,304.88
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Real Property Tax 425,700,000.00 17,350,744.00 24,786,777.16 42,137,521.16
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Tax on Business 52,510,000.00 27,616,595.14 0.00 27,616,595.14
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Other Taxes 8,300,000.00 1,757,188.58 0.00 1,757,188.58
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NON TAX REVENUE
974,873,614.00 32,990,262.16 - 32,990,262.16
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Regulatory Fees 9permits and Licenses
110,505,000.00 25,063,411.37 0.00 25,063,411.37
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Sevice/UserCharges (Service Income) 796,103,415.00 7,340,245.04 0.00 7,340,245.04
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Receipts from Economic Enterprises (Business Income)
68,245,199.00 498,605.75 0.00 498,605.75
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Other Receipts (Other General Income) 20,000.00 88,000.00 0.00 88,000.00
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EXTERNAL SOURCES
4,671,400,268.63 656,844,389.14 - 656,844,389.14
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Internal Revenue Allotment 2,626,527,468.00 656,631,867.00 656,631,867.00
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Other Shares from National Tax Collections
1,144,560.00 212,522.14 212,522.14
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Inter-Local Transfers 0.00 0.00 -
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Extraordinary Receipt/Grants/Donations/Aids
2,043,728,240.63 0.00 -
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TOTAL CURRENT OPERATING INCOME
6,132,783,882.63 736,559,179.02 24,786,777.16 761,345,956.18
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ADD SUPPLEMENT BUDGET(UNAPPROPRIATED SURPLUS)
- -
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FOR CURRENT OPERATING EXPENDITURES
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TOTAL AVAILABLE FOR CURRENT OPERATING EXPENDITURES
6,132,783,882.63 736,559,179.02 24,786,777.16 761,345,956.18
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LESS CURRENT OPERATING EXPENDITURES (PS + MOOE + FE)
-
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General Pubic Services 2,835,678,886.00 246,346,175.88 0.00 246,346,175.88
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Education, Culture & Sports/Manpower Development
280,174,049.00 3,326,319.86 57,503,028.89 60,829,348.75
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Health, Nutrition & Population Control 1,291,067,965.00 160,476,616.80 0.00 160,476,616.80
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Labor and Employment 35,663,743.00 1,498,677.04 0.00 1,498,677.04
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Housing and Community Development 0.00 0.00 0.00 -
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Scial Services and Social Welfare 115,381,124.00 9,843,053.18 0.00 9,843,053.18
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Economic Services 647,550,461.00 43,103,251.38 0.00 43,103,251.38
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Debt Service (FE) (InterestExpense & Other Charges)
60,603,669.18 10,616,763.59 0.00 10,616,763.59
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TOTAL CURRENT OPERATING EXPENDITURES
5,266,119,897.18 475,210,857.73 57,503,028.89 532,713,886.62
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NET OPERATING INCOME (LOSS) FROM CURRENT OPERATIONS
866,663,985.45 261,348,321.29 - 32,716,251.73 228,632,069.56
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ADD:NON-INCOME RECEIPTS
-
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CAPITAL/INVESTENT RECEIPTS
-
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Proceeds from Sale of Assets -
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Proceeds from Sale of Debt Securities of Other Entities
-
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Collection of loans Receivables -
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RECEIPTS FROM LOANS AND BORROWINGS (Payable)
-
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Acquisition of Loans -
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Issuance of Bonds -
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OTHER NON-INCOME RECEIPTS
66,396,747.12 66,396,747.12
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TOTAL INCOME RECEIPTS
66,396,747.12 66,396,747.12
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ADD: SUPPLEMENTAL BUDGET FOR CAPITAL OUTLAY
- -
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TOTAL AMOUNT AVAILABLE FOR CAPITAL EXPENDITURES
- -
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LESS: NON-OPERATING EXPENDITURES
-
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CAPITAL/INVESTMENT EXPENDITURES
709,121,941.29 65,145,962.06 20,925,982.21 86,071,944.27
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Purchase/Construct of Property Plant and Equipment (Assets/Capital Outlay) 709,121,941.29 65,145,962.06 20,925,982.21 86,071,944.27
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Puchase of Debt Securities of Other Entities (Investment Outlay)
-
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Grant/Make Loan to Other Entities (Investment Outlay)
-
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DEBT SERVICE (Principal Cost)
157,542,044.16 7,148,775.72 0.00 7,148,775.72
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Payment of Loan Amortization 157,542,044.16 7,148,775.72 0.00 7,148,775.72
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Retiremet/Redemption of Bonds/Debt Securities
-
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OTHER NON-OPERATING EXPENDITURES
242,431,390.34 242,431,390.34
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TOTAL NON-OPERATING EXPENDITIRES
866,663,985.45 314,726,128.12 20,925,982.21 335,652,110.33
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NET INCREASE/(DECREASE) IN FUNDS
- 0.00 13,018,940.29 - 53,642,233.94 - 40,623,293.65
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ADD:CASH BALANCE, BEGINNING
642,806,993.94 457,384,929.35 185,422,064.59 642,806,993.94
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FUND/CASH AVAILABLE
642,806,993.94 470,403,869.64 131,779,830.65 602,183,700.29
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LESS: Payment of Prior Year/s Accounts Payable
129,529,819.76 129,529,819.76 129,529,819.76
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CONTINUING APPROPRIATION
56,170,000.00 4,700,210.37 4,700,210.37
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ADD:ADVANCE PAYMET FR RPT
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FUND/CASH BALANCE, END
457,107,174.18 336,173,839.51 131,779,830.65 467,953,670.16
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Certified Correct:
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SGD.
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RONALD JAME D. VIOLON, CPA, REB, REA, MDMG
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Provincial Treasurer
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