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 Financial
 
  Click here to view the Statement of Income and Expenses FY 2004
  Click here to view the Statement of Income and Expenses FY 2005
Click here to view the Statement of Income and Expenses FY 2006
Click here to view the Statement of Income and Expenses FY 2007
  Click here to view the Statement of Income and Expenses FY 2008
  Click here to view the Statement of Income and Expenses FY 2009

Click here to view the Statement of Income and Expenses FY 2010

Quarterly Statement of Cash Flows

FY 2010

                                                       
 1st Quarter 2010       2nd Quarter 2010       3rd Quarter 2010       4th Quarter 2010

Statement of Cash Flows

For the Period of June 30, 2010 (2nd Quarter)

GENERAL FUND 101

 
CASH FLOWS FROM OPERATING ACTIVITIES  
   
CASH INFLOWS:  
   Collection from Taxpayers   P     3,203,666.91
   Share from Internal Revenue Collections 31,172,212.00
   Receipts from sale of goods or services -
   Interest Income 46,193.06
   Other Receipts -
Total Cash Inflows 34,422,071.97
   
CASH OUTFLOWS:  
    Payments -  
      To Suppliers/Creditors 9,793,678.90
      To Employees 15,472,973.72
   Interest Expense 1,242,744.37
   Other Expenses -
Total Cash Outflows 26,509,396.99
NET CASH FROM OPERATING ACTIVITIES
P    7,912,674.98
   
CASH FLOWS FROM INVESTING ACTIVITIES  
   
CASH INFLOWS:  
   From Sale of Property, Plant and Equipment   - 
   From Sale of Debt Securities of Other Entities -
   From Collection of Principal on Loans to Other Entities -
Total Cash Inflows -
   
CASH OUTFLOWS:  
   To Purchase Property, Plant & Equipment 367,143.40
   To Purchase Debt Securities of Other Entities -
   To Grant/Make Loans to Other entities -
Total Cash Outflows 367,143.40
NET CASH FROM INVESTING ACTIVITIES
P    (367,143.40)
   
CASH FLOWS FROM FINANCING ACTIVITIES  
   
CASH INFLOWS:  
   From Issuance of Debt Securities   - 
   From Acquisition of Loan -
Total Cash Inflows -
   
CASH OUTFLOWS:  
   Retirement/Redemption of Debt Securities -
   Payment of Loan Amortization 864,864.95
Total Cash Outflows 864,864.95
NET CASH FROM FINANCING ACTIVITIES
P    (864,864.95)
   
Net Increase in Cash 6,680,666.63
Cash at Beginning of the Period 6,782,115.76
CASH AT THE END OF THE PERIOD
P   13,462,782.39
 

 

 
 
 
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