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LBP Form No.

PROGRAMMED APPROPRIATION & OBLIGATION


BY OBJECT OF EXPENDITURES
Office/Department
: MUNICIPAL ENGINEER
Project/Activity
:
Funds/Special Account : General Fund

Municipality:

Account
Code
(2)

Object of Expenditures
(1)
1. Current Operating Expenditures
1.1 Personal Services
Salaries & Wages - Regular
Personnel Economic Relief Allowance (PERA)
Additional Compensation (ADCOM)
Representation Allowance (RA)
Transportation Allowance (TA)
Year End Bonus
Life & Retirement Insurance Contributions
PAG-IBIG Contributions
PHILHEALTH Contributions
ECC Contributions
Vacation & Sick Leave Benefits
Other Personnel Benefits
Total Personal Services
1.2 Maint. & Other Operating Expenditures
Office Supplies Expenses
Fuel, Oil and Lubricants Expenses
Travel Expenses
Postage and Deliveries
Telephone Expenses Mobile
Internet Expenses
Repair & Maint. Of Public Infrastructure
Repair & Maint. Of Buildings and Other Structure
Repair & Maint. Of Office Equipment
Repair & Maint. Of Construction Equipment
Other Maint. & Operating Expenses
Total Maint. & Other Operating Expenditures
2. Capital Outlay
Office Equipment
Total Capital Outlay
TOTAL APPROPRIATION

Prepared by:

Engr. EDRIS A. USMAN


Department Head

Past Year 2009


(Actual)
(3)

LANTAWAN

Current Year 2010


(Estimates)
(4)

Budget Year 2011


(Estimates)
(5)

701
707
708
710
711
714
721
722
723
724
737
749

1,920,996.00
90,000.00
270,000.00
51,840.00
51,840.00
235,083.00
230,520.00
38,420.00
22,650.00
5,400.00
12,472.00
3,000.00
2,932,221.00

1,920,996.00
90,000.00
270,000.00
51,840.00
51,840.00
235,083.00
230,520.00
38,420.00
23,400.00
5,400.00
78,518.00
3,000.00
2,999,017.00

1,920,996.00
360,000.00
-051,840.00
51,840.00
235,083.00
230,520.00
38,420.00
23,400.00
5,400.00
58,579.00
3,000.00
2,979,078.00

751
757
766
772
774
775
801
805
807
817
989

23,437.00
189,408.00
122,429.00
2,344.00
30,000.00
-050,000.00
1,000,000.00
3,516.00
68,957.00
41,031.00
1,531,122.00

23,437.00
189,408.00
122,429.00
2,344.00
30,000.00
12,000.00
50,000.00
1,000,000.00
3,516.00
68,957.00
41,031.00
1,543,122.00

23,437.00
189,408.00
122,429.00
2,344.00
30,000.00
12,000.00
1,823,511.00
1,000,000.00
3,516.00
68,957.00
41,031.00
3,316,633.00

207

40,000.00
40,000.00

40,000.00
40,000.00

40,000.00
40,000.00

4,503,343.00

4,582,139.00

6,335,711.00

Approved by:

Reviewed:

Hja. NENA L. NAMLA


Municipal Budget Officer

RUSTAM M. ISMAEL
Local Chief Executive

LBP Form No. 3

PROGRAMMED APPROPRIATION & OBLIGATION


BY OBJECT OF EXPENDITURES
Office/Department
: MUNICIPAL ENGINEER
Project/Activity
:
Funds/Special Account : General Fund

Municipality:

Account
Code
(2)

Object of Expenditures
(1)
1. Current Operating Expenditures
1.1 Personal Services
Salaries & Wages - Regular
Personnel Economic Relief Allowance (PERA)
Additional Compensation (ADCOM)
Representation Allowance (RA)
Transportation Allowance (TA)
Year End Bonus
Life & Retirement Insurance Contributions
PAG-IBIG Contributions
PHILHEALTH Contributions
ECC Contributions
Terminal Leave Benefits
Other Personnel Benefits
Total Personal Services
1.2 Maint. & Other Operating Expenditures
Office Supplies Expenses
Fuel, Oil and Lubricants Expenses
Travel Expenses
Postage and Deliveries
Telephone Expenses Mobile
Internet Expenses
Repair & Maint. Of Public Infrastructure
Repair & Maint. Of Buildings and Other Structure
Repair & Maint. Of Office Equipment
Repair & Maint. Of Construction Equipment
Other Maint. & Operating Expenses
Total Maint. & Other Operating Expenditures
2. Capital Outlay
Office Equipment
Total Capital Outlay
TOTAL APPROPRIATION

Prepared by:

Engr. EDRIS A. USMAN


Department Head

Past Year 2010


(Actual)
(3)

LANTAWAN

Current Year 2011


(Estimates)
(4)

Budget Year 2012


(Estimates)
(5)

701
707
708
710
711
714
721
722
723
724
737
749

1,920,996.00
90,000.00
270,000.00
51,840.00
51,840.00
235,083.00
230,520.00
38,420.00
23,400.00
5,400.00
78,518.00
3,000.00
2,999,017.00

1,920,996.00
360,000.00
-051,840.00
51,840.00
235,083.00
230,520.00
38,420.00
23,400.00
5,400.00
58,579.00
3,000.00
2,979,078.00

1,591,044.00
264,000.00
-052,800.00
52,800.00
187,587.00
190,926.00
31,821.00
19,200.00
11,938.00
206,897.00
-02,609,013.00

751
757
766
772
774
775
801
805
807
817
989

23,437.00
189,408.00
122,429.00
2,344.00
30,000.00
12,000.00
50,000.00
1,000,000.00
3,516.00
68,957.00
41,031.00
1,543,122.00

23,437.00
189,408.00
122,429.00
2,344.00
30,000.00
12,000.00
1,823,511.00
1,000,000.00
3,516.00
68,957.00
41,031.00
3,316,633.00

11,719.00
1,006,460.00
61,215.00
1,172.00
30,000.00
12,000.00
-0300,000.00
-0236,237.00
20,516.00
1,679,319.00

207

40,000.00
40,000.00

40,000.00
40,000.00

4,582,139.00

6,335,711.00

-0-04,288,332.00

Approved by:

Reviewed:

Hja. NENA L. NAMLA


Municipal Budget Officer

RUSTAM M. ISMAEL
Local Chief Executive

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