Full Disclosure Policy Reports

Document TypePeriodDownload Links
20% Component of the Internal Revenue Allotment UtilizationQ2 2016Excel File
Abstract of Bids as CalculatedQ2 2016View Link
PO / NOA / NTP2016View Link
Bid Results on Civil Works, Goods and Services, Consulting Services Q2 2016Excel File
Manpower ComplementQ2 2016Excel File
LDRRM Fund UtilizationQ2 2016Excel File
Local Government Support FundQ2 2016Excel File
Report of Receipts and Revenues GFQ2 2016Excel File
Report of Receipts and Revenues SEFQ2 2016Excel File
SEF Income and Expenditure EstimatesQ2 2016Excel File
SEF UtilizationQ2 2016Excel File
Statement of Cash FlowQ2 2016Excel File
Statement of Debt ServiceQ2 2016Excel File
Statement of Receipts and ExpendituresQ2 2016Excel File
Trust Fund UtilizationQ2 2016Excel File
Unliquidated Cash AdvancesQ2 2016Excel File
Statement of Receipts and Expenditures Q1 2016Excel File
Supplemental Procurement Plan No.1Year 2016Excel File
Abstract of Bids as CalculatedQ1 2016View Link
Bid Results on Civil Works, Goods and Services, Consulting Services (1st Quarter)Q1 2016Excel File
20% Component of the Internal Revenue Allotment UtilizationQ1 2016Excel File
LDRRM Fund UtilizationQ1 2016Excel File
Local Government Support FundQ1 2016Excel File
Report of Receipts and Revenues GFQ1 2016Excel File
Report of Receipts and Revenues SEFQ1 2016Excel File
SEF UtilizationQ1 2016Excel File
Statement of Cash FlowQ1 2016Excel File
Statement of Debt ServiceQ1 2016Excel File
Trust Fund UtilizationQ1 2016Excel File
Manpower ComplementQ1 2016Excel File
Unliquidated Cash AdvancesQ1 2016Excel File
SEF Income and Expenditure ExtimatesYear 2016Excel File
Annual GAD ReportYear 2016Excel File
Annual Budget ReportYear 2016Excel File
Annual Procurement PlanYear 2016Excel File
Statement of Receipts and ExpenditureYear 2016Excel File
Statement of Debt ServiceQ4 2015Excel File
Statement of Cash FlowQ4 2015Excel File
Special Education Fund UtilizationQ4 2015Excel File
Trust Fund UtilizationQ4 2015Excel File
Bid Results on Civil Works and Goods and Services Q4 2015Excel File
20% Component of the Internal Revenue Allotment UtilizationQ4 2015Excel File
LDRRM Fund UtilizationQ4 2015Excel File
Unliquidated Cash AdvancesQ4 2015Excel File
Manpower Complement Q4 2015Excel File
Supplemental Procurement PlanQ4 2015Excel File
Statement of Debt ServiceQ3 2015Excel File
Reports on Receipts and RevenuesQ3 2015Excel File
Supplemental Procurement PlanQ3 2015Excel File
Manpower Complement Q3 2015Excel File
Unliquidated Cash AdvancesQ3 2015Excel File
LDRRM Fund UtilizationQ3 2015Excel File
20% Component of the Internal Revenue Allotment UtilizationQ3 2015Excel File
Bid Results on Civil Works and Goods and Services Q3 2015Excel File
Trust Fund UtilizationQ3 2015Excel File
Special Education Fund UtilizationQ3 2015Excel File
Quarterly Statement of CashflowQ3 2015Excel File
Statement of Debt ServiceQ2 2015Excel File
Reports on Receipts and RevenuesQ2 2015Excel File
Supplemental Procurement PlanQ2 2015Excel File
Manpower Complement Q2 2015Excel File
Unliquidated Cash AdvancesQ2 2015Excel File
LDRRM Fund UtilizationQ2 2015Excel File
20% Component of the Internal Revenue Allotment UtilizationQ2 2015Excel File
Bid Results on Civil Works and Goods and Services Q2 2015Excel File
Trust Fund UtilizationQ2 2015Excel File
Special Education Fund UtilizationQ2 2015Excel File
Quarterly Statement of CashflowQ2 2015Excel File
Supplemental Procurement PlanQ1 2015Excel File
Manpower Complement Q1 2015Excel File
Unliquidated Cash Advances Q1 2015Excel File
LDRRM Fund UtilizationQ1 2015Excel File
20% Component of the Internal Revenue Allotment Utilization Q1 2015Excel File
Bid Results on Civil Works and Goods and Services Q1 2015Excel File
Trust Fund UtilizationQ1 2015Excel File
Special Education Fund UtilizationQ1 2015Excel File
Quarterly Statement of CashflowQ1 2015Excel File
GAD Accomplishment ReportCY 2015Excel File
Statement of Receipts and ExpendituresCY 2015Excel File
Procurement Monitoring Report - 1st SemesterCY 2015PDF File View
Annual Procurement PlanCY 2015PDF File View
Annual Budget Report CY 2015Excel File
Statement of Debt ServiceCY 2014Excel File
Quarterly Statement of Cash FlowQ4 2014Excel File
Special Education Fund Utilization Q4 2014Excel File
Trust Fund UtilizationQ4 2014Excel File
Bid Results on Civil Works and Goods and Services Q4 2014Excel File
20% Component of the Internal Revenue Allotment Utilization Q4 2014Excel File
LDRRM Fund UtilizationQ4 2014Excel File
Unliquidated Cash Advances Q4 2014Excel File
Manpower Complement Q4 2014Excel File
Supplemental Procurement PlanQ4 2014Excel File
Quarterly Statement of Cash FlowQ3 2014Excel File
Special Education Fund Utilization Q3 2014Excel File
Trust Fund UtilizationQ3 2014Excel File
Bid Results on Civil Works and Goods and Services Q3 2014Excel File
20% Component of the Internal Revenue Allotment Utilization Q3 2014Excel File
LDRRM Fund UtilizationQ3 2014Excel File
Unliquidated Cash Advances Q3 2014Excel File
Manpower Complement Q3 2014Excel File
Supplemental Procurement PlanQ3 2014Excel File
Quarterly Statement of Cash FlowQ2 2014Excel File
Special Education Fund Utilization Q2 2014Excel File
Trust Fund UtilizationQ2 2014Excel File
Bid Results on Civil Works and Goods and Services Q2 2014Excel File
20% Component of the Internal Revenue Allotment Utilization Q2 2014Excel File
LDRRM Fund UtilizationQ2 2014Excel File
Unliquidated Cash Advances Q2 2014Excel File
Manpower Complement Q2 2014Excel File
Supplemental Procurement Plan Q2 2014Excel File
Statement of Debt Service Q2 2014Excel File
Statement of Receipts and Expenditures Q2 2014Excel File
SEF Statement of Income and Expenses Q2 2014Excel File
Quarterly Statement of Cash FlowQ1 2014PDF File
Special Education Fund Utilization Q1 2014PDF File
Trust Fund Utilization Q1 2014PDF File
Bid Results on Civil Works and Goods and Services Q1 2014Zip File
20% Component of the Internal Revenue Allotment Utilization Q1 2014PDF File
LDRRM Fund Utilization Q1 2014PDF File
Unliquidated Cash Advances Q1 2014PDF File
Manpower Complement Q1 2014MS EXCEL File
Supplemental Procurement Plan Q1 2014MS EXCEL File
Report on Government Programs, Projects and ActivitiesQ1 2014PDF File
Statement of Debt Service Q1 2014PDF File
Statement of Receipts and Expenditures Q1 2014MS EXCEL File
Annual Budget CY 2014File Server 1
Annual Procurement Plan CY 2014File Server 1
Statement of Debt Service CY 2013File Server 1
Annual GAD Report CY 2013File Server 1
Statement of Receipts and Expenditures CY 2013File Server 1
Quarterly Statement of Cash Flow Q4 2013File Server 1
Special Education Fund Utilization Q4 2013File Server 1
Trust Fund Utilization Q4 2013File Server 1
Bid Results on Civil Works and Goods and Services Q4 2013File Server 1
20% Component of the Internal Revenue Allotment Utilization Q4 2013File Server 1
LDRRM Fund Utilization Q4 2013File Server 1
Unliquidated Cash Advances Q4 2013File Server 1
Manpower Complement Q4 2013File Server 1
Supplemental Procurement Plan Q4 2013File Server 1
Report on Government Programs, Projects and ActivitiesQ4 2013File Server 1

These reports can also be viewed at all bulletin boards inside our CityHall and SP Building lobbies. Also posted in conspicuous places like in Tagum Cultural Trade Center, Public Market or through DILG Full Disclosure Policy Portal

Please view our remote archive page here.