Business Profile |
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Financial |
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Comparative
Analysis |
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Click here to view the
Municipal Budget for FY 2005 |
Click here to view the
Municipal Budget for FY 2006 |
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Click here to view the Municipal Budget for FY 2010 |
Click here to view the
Municipal Budget for FY 2011 |
Click here to view the
Municipal Budget for FY 2012 |
Click here to view the
Municipal Budget for FY 2013 |
Click here to view the
Municipal Budget for FY 2014 |
Click here to view the
Municipal Budget for FY 2015 |
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Gender and Development
Fund 2016
Annual Procurement Plan 2016 |
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MUNICIPAL BUDGET |
FY 2016 |
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Object of
Expenditures |
Account Code |
Past Year Actual
2014 |
Current Year
(Estimates) 2015 |
Budget Year
(Proposed) 2016 |
Current
Operating Expenses |
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Personal Services |
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Salaries and Wages - Regular |
701 |
19,931,185.00 |
25,011,984.00 |
25,505,529.00 |
Salaries and Wages - casual/Contractual |
703 |
316,404.00 |
316,404.00 |
316,404.00 |
PERA |
711 |
1,872,000.00 |
2,472,000.00 |
2,520,000.00 |
Representation Allowance (RA) |
713 |
1,344,000.00 |
1,824,000.00 |
1,824,000.00 |
Transportation Allowance (TA) |
714 |
1,276,800.00 |
1,737,600.00 |
1,737,600.00 |
Clothing and Uniform Allowance |
715 |
365,000.00 |
515,000.00 |
525,000.00 |
Other Pers. Benefits - Subs. & Laundry All. |
716 |
257,400.00 |
257,400.00 |
257,400.00 |
Other Bonuses and Allowances - PIB |
719 |
124,000.00 |
172,000.00 |
174,000.00 |
Honoraria |
720 |
30,000.00 |
60,000.00 |
60,000.00 |
Other Pers. Benefits |
721 |
414,597.00 |
414,597.00 |
414,597.00 |
Overtime Pay |
723 |
0.00 |
0.00 |
50,000.00 |
Cash Gift |
724 |
420,000.00 |
680,000.00 |
555,000.00 |
Year-end Bonus |
725 |
1,884,419.00 |
2,112,071.50 |
2,395,496.00 |
Life and Retirement Premiums |
731 |
2,391,742.00 |
3,001,438.08 |
3,060,663.48 |
Pag-ibig Contributions |
732 |
130,800.00 |
162,000.00 |
554,510.62 |
Philhealth Contributions |
733 |
298,967.80 |
375,179.76 |
382,582.94 |
ECC
Contributions |
734 |
88,598.16 |
117,600.00 |
120,000.00 |
Terminal Leave Benefits |
742 |
4,172,999.93 |
178,000.00 |
4,734,632.00 |
Other Pers. Benefits |
749 |
0.00 |
0.00 |
1,400.00 |
SUB TOTAL |
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35,318,913.09 |
39,407,274.34 |
45,188,815.94 |
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Maintenance & Other Operating Exp. |
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Travel Expenses |
751 |
1,825,000.00 |
1,941,000.00 |
3,172,000.00 |
Training Expenses |
753 |
1,015,000.00 |
1,090,000.00 |
2,145,000.00 |
Training Expenses (SPES) |
753 |
120,000.00 |
300,000.00 |
883,000.00 |
Scholarship Expenses |
754 |
50,000.00 |
60,000.00 |
250,000.00 |
Office Supplies Expense |
755 |
597,000.00 |
667,000.00 |
987,000.00 |
Office Supplies Expenses - Police Dept. |
755 |
20,000.00 |
20,000.00 |
30,000.00 |
Office Supplies Expenses - Fire Dept. |
755 |
20,000.00 |
20,000.00 |
20,000.00 |
Accountable Forms Expenses |
756 |
100,000.00 |
150,000.00 |
200,000.00 |
Drug and Medical Expenses |
759 |
1,765,000.00 |
1,365,000.00 |
1,000,000.00 |
Fuel, Oil and Lubricant Expenses |
761 |
445,000.00 |
645,000.00 |
1,632,000.00 |
Other Supplies Expenses |
765 |
416,000.00 |
469,000.00 |
830,000.00 |
Water Expenses |
766 |
125,200.00 |
126,600.00 |
161,600.00 |
Electricity Expenses |
767 |
1,200,000.00 |
1,300,000.00 |
1,500,000.00 |
Postage and Delivery |
771 |
2,000.00 |
2,000.00 |
4,000.00 |
Telephone Expenses - Landline |
772 |
196,000.00 |
201,000.00 |
201,000.00 |
Telephone Expenses - Mobile |
773 |
618,000.00 |
618,000.00 |
618,000.00 |
Internet Expenses |
774 |
202,000.00 |
215,000.00 |
231,500.00 |
Cable, Satellite, Telegraph & Radio Exp. |
775 |
3,000.00 |
3,000.00 |
6,000.00 |
Representation Expenses |
783 |
220,000.00 |
240,000.00 |
390,000.00 |
Subscription Expenses |
786 |
22,650.00 |
22,650.00 |
24,500.00 |
Legal Services |
791 |
120,000.00 |
120,000.00 |
120,000.00 |
Auditing Services (COA) |
792 |
90,000.00 |
95,000.00 |
95,000.00 |
General Services |
795 |
627,558.80 |
627,558.80 |
3,665,964.00 |
General (Janitorial) Services |
795 |
10,000.00 |
20,000.00 |
20,000.00 |
Repair & Maint. - Office Building |
811 |
415,000.00 |
465,000.00 |
900,000.00 |
Repair & Maint. - Office Equipment |
821 |
200,000.00 |
250,000.00 |
328,000.00 |
Repair & Maint. - Motor Vehicles |
841 |
435,000.00 |
490,000.00 |
1,047,000.00 |
Repair & Maint. - Watercraft |
844 |
0.00 |
0.00 |
20,000.00 |
Subsidy to Local Government Units |
874 |
- |
- |
950,000.00 |
Confidential Expenses |
881 |
100,000.00 |
100,000.00 |
100,000.00 |
Fidelity Bond Premiums |
892 |
25,200.00 |
25,200.00 |
23,500.00 |
Insurance Premiums |
893 |
250,000.00 |
550,000.00 |
500,000.00 |
Other MOOE - Fishery Development Program |
969 |
765,000.00 |
790,000.00 |
695,000.00 |
Other MOOE - Agricultural Devt. Program |
969 |
427,000.00 |
945,000.00 |
1,249,000.00 |
Other MOOE - Social Welfare Program |
969 |
1,605,000.00 |
1,475,000.00 |
3,315,216.63 |
Other MOOE - Brgy. Day Care Program |
969 |
738,000.00 |
738,000.00 |
838,000.00 |
Other MOOE - Adopt-a-Barangay Program |
969 |
90,000.00 |
140,000.00 |
0.00 |
Other MOOE - Public Library |
969 |
83,400.00 |
160,600.00 |
133,800.00 |
Other MOOE - Discretionary Fund |
969 |
15,700.00 |
17,275.00 |
18,917.00 |
Other MOOE - Updating of CLUP |
969 |
270,000.00 |
370,00.00 |
390,000.00 |
Other MOOE - Mun. Peace & Order Council |
969 |
200,000.00 |
200,000.00 |
600,000.00 |
Other MOOE - Honoraria |
969 |
132,000.00 |
562,800.00 |
562,800.00 |
Other MOOE - Brgy. Police Welfare Program |
969 |
20,000.00 |
20,000.00 |
20,000.00 |
Other MOOE - Brgy. Health Workers Welfare |
969 |
10,000.00 |
10,000.00 |
20,000.00 |
Other MOOE - Brgy. Sports Devt. Program |
969 |
270,000.00 |
300,000.00 |
700,000.00 |
Other MOOE - Tourism Devt. Program |
969 |
400,000.00 |
400,000.00 |
891,000.00 |
Other MOOE - Senior Citizens' Welfare Prog. |
969 |
84,000.00 |
872,000.00 |
0.00 |
Other MOOE - Philhealth Program |
969 |
808,800.00 |
1,656,800.00 |
1,196,800.00 |
Other MOOE - Teacher's Day Celebration |
969 |
- |
- |
100,000.00 |
Other MOOE - Loan Amort. - Tax Mapping |
969 |
90,000.00 |
0.00 |
0.00 |
Other MOOE - Codification of Ordinance |
969 |
100,000.00 |
80,000.00 |
20,000.00 |
Other MOOE - Civil Rites |
969 |
0.00 |
130,000.00 |
300,000.00 |
Other MOOE - Solid Waste Mgmt. Program |
969 |
- |
- |
100,000.00 |
Other MOOE - General Revision |
969 |
180,000.00 |
0.00 |
120,000.00 |
SUB TOTAL |
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17,523,508.80 |
21,065,483.80 |
33,400,617.63 |
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Capital
Outlay |
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Land - Titling |
201 |
0.00 |
500,000.00 |
0.00 |
Office Buildings |
211 |
150,000.00 |
150,000.00 |
1,000,000.00 |
Office Buildings - Municipal Police Station |
211 |
- |
- |
0.00 |
Office Buildings - Crisis Center |
211 |
0.00 |
500,000.00 |
0.00 |
Office Bldg - Manpower Dev't. & Training Center |
211 |
0.00 |
1,100,000.00 |
0.00 |
Office Equipment |
221 |
25,000.00 |
500,000.00 |
1,135,000.00 |
IT
Equipment/Software |
223 |
- |
- |
100,000.00 |
Construction and Heavy Equipment |
230 |
0.00 |
1,500,000.00 |
0.00 |
Motor Vehicle |
241 |
0.00 |
140,000.00 |
0.00 |
Roads, Highways and Bridges |
251 |
0.00 |
1,000,000.00 |
1,000,000.00 |
Other Public Infrastructure |
260 |
150,000.00 |
150,000.00 |
1,500,000.00 |
SUB TOTAL |
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325,000.00 |
5,540,000.00 |
4,735,000.00 |
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Non-Office |
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Subsidy to NGAs - GSP & BSP |
871 |
1,600.00 |
1,600.00 |
1,600.00 |
Subsidy to LGUs - Aid to Barangays |
874 |
54,000.00 |
54,000.00 |
54,000.00 |
Subsidy to Other Funds |
877 |
4,935,154.23 |
0.00 |
0.00 |
20%
Municipal Development Fund |
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14,864,529.60 |
19,227,330.60 |
21,139,682.60 |
5%
Local Disaster Risk Reduction |
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3,853,430.70 |
5,001,632.65 |
5,501,083.15 |
Gender Fund RA-7192 (EO 273) |
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0.00 |
0.00 |
0.00 |
SUB TOTAL |
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23,708,714.53 |
24,284,563.25 |
26,696,365.75 |
TOTAL |
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76,876,136.42 |
90,297,321.39 |
110,020,799.32 |
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CERTIFIED
STATEMENT OF RECEIPTS |
General
Fund |
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SOURCES OF FUNDS |
Account Code |
Past Year 2014
Actual |
Current Year
2015 (Estimates) |
Budget Year 2016 (Proposal) |
1.0
Beginning Balance |
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2.0
receipts |
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A.
Local (Internal) Sources |
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1. Tax Revenue |
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a. Real Property Tax |
523 |
945,857.22 |
1,030,000.00 |
1,133,000.00 |
b. Special Education Tax |
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c. Other Local Taxes |
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1. Community Tax |
583 |
361,127.15 |
400,000.00 |
440,000.00 |
TOTAL TAX REVENUE |
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1,306,984.37 |
1,430,000.00 |
1,573,000.00 |
2.
Non-Tax Revenue |
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a. Regulatory Fees |
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1. License Fees |
551 |
77,995.19 |
275,000.00 |
382,500.00 |
2. Permit Fees |
556 |
498,312.77 |
535,000.00 |
564,000.00 |
3. Other Fees |
568 |
577,052.00 |
563,000.00 |
609,500.00 |
b. Business and Service Income |
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1,016,446.64 |
907,500.00 |
998,250.00 |
c. Other Income/Receipts |
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224,627.00 |
185,500.00 |
196,000.00 |
TOTAL NON-TAX REVENUE |
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2,394,433.60 |
2,466,000.00 |
2,750,250.00 |
B. External Sources |
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1. Share from National Internal
Revenue |
541 |
84,217,308.00 |
96,136,653.00 |
105,698,413.00 |
Taxes (IRA) |
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2. Share from GOCCs |
645 |
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3. Other Share from National Tax |
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Collection |
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a. Share from Ecozone |
642 |
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b. Share from EVAT |
643 |
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c. Share from National Wealth |
644 |
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d. Share from Tobacco Excise Tax |
646 |
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4. Extraordinary Receipts |
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a. Grants and Donations |
649 |
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b. Other Subsidy Income |
639 |
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5. Inter-Local Transfers |
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a. Subsidy from LGUs |
636 |
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b. Subsidy from Other Funds |
638 |
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6. Capital/Investments Receipts |
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a. Gain on Sale of Assets |
623 |
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b. Gain on Investments |
624 |
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TOTAL EXTERNAL
SOURCES |
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84,217,308.00 |
96,136,653.00 |
105,698,413.00 |
C. Receipts from Loans & Borrowings |
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TOTAL RECEIPTS |
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87,918,725.97 |
100,032,653.00 |
110,021,663.00 |
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TOTAL AVAILABLE
rESOUrCES |
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87,918,725.97 |
100,032,653.00 |
110,021,663.00 |
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