LBP FRM 2 Program Appropriation and Obligation by Object MTO1091

Page 1

LBP Form No. 3

PROGRAMMED APPROPRIATION AND OBLIGATION BY OBJECT OF EXPENDITURE

Office/Department Function Project/ Activity Fund/Special Account

Municipal Treasurer General Services Treasury Services General Account Code (2)

Object of Expenditure (1) 1.0 Current Operating Expenditures 1.1 Personal Services Salaries and Wages Personnel Economic Relief Allowance Representation Allowance Traveling Allowance Clothing Allowance Mid Year & Year End Bonus Cash Gift Life and Retirement Insurance Contributions

PAG-IBIG Contributions PHILHEALTH Contributions ECC Contributions Productivity Enhancement Incentives Total Personal Services 1.2 Maintenance & Other Operating Expenditures Traveling Expenses Training Expenses Office Supplies Expenses Accountable Forms Expenses Gasoline, Oil & Lubricants Expenses Postage and Deliveries Telephone Expenses-mobile Auditing Services Repairs and Maint.-Office Equipment Repairs and Maint.-IT Equipment & Software

Repairs and Maint.-Motor Vehicles Other Maint. & Operating Expenses Total Maint. & Other Oper. Expenditures

Past year 2018 (3)

Current Year 2019 (4)

Budget Year 2020 (5)

5-01-01-010 P 5-01-02-010 5-01-02-020 5-01-02-030 5-01-02-040 5-01-02-140 5-01-02-150 5-01-03-010 5-01-03-020 5-01-03-030 5-01-03-040 5-01-04-990 P

2,396,550.48 236,387.41 113,000.00 113,000.00 54,000.00 388,405.00 50,000.00 287,763.37 47,960.56 28,419.13 11,690.73 40,000.00 3,767,176.68

P

2,626,206.60 240,000.00 120,000.00 120,000.00 60,000.00 438,132.00 50,000.00 315,144.79 52,524.13 29,430.39 12,000.00

P

2,631,500.98 240,000.00 120,000.00 120,000.00 60,000.00 435,474.00 50,000.00 315,780.12 52,217.22 30,214.91 11,916.96

P

4,063,437.91

P

4,067,104.19

5-02-01-010 P 5-02-02-010 5-02-03-010 5-02-03-020 5-02-03-090 5-02-05-010 5-02-05-020 5-02-11-020 5-02-13-990 5-02-13-990 5-02-13-060 5-02-99-990 P

39,119.56 43,600.00 148,647.89 202,237.50 84,386.96 0.00 0.00 36,244.00 3,700.00 0.00 24,412.34 256,379.00 838,727.25

P

P

1,145,000.00 1,145,000.00

P P

5,750,903.93

P

2.0 Capital Outlay Total Capital Outlay TOTAL APPROPRIATIONS

P

22,000.00 P 27,500.00 110,000.00 165,000.00 70,000.00 9,900.00 0.00 30,000.00 5,500.00 33,000.00 55,000.00 330,000.00 857,900.00 P

0.00 4,921,337.91 P

22,000.00 27,500.00 110,000.00 165,000.00 70,000.00 9,900.00 18,000.00 30,000.00 5,500.00 33,000.00 55,000.00 330,000.00 875,900.00

0.00 4,943,004.19

We hereby certify to the reasonable probability of collection of the estimated income for the Budget Year based on the present economic conditions and subsisting tax ordinances. Prepared by:

JOSELITO A. LONG-GAT Acting Treasurer

Reviewed by:

FILOMENA S. ACIDERA Budget Officer

Approved by:

FRITZIE ANN KAYE DELA CRUZ-GAPASIN Mayor


Turn static files into dynamic content formats.

Create a flipbook
Issuu converts static files into: digital portfolios, online yearbooks, online catalogs, digital photo albums and more. Sign up and create your flipbook.