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Annex 37

Republic of the Philippines


SK of Barangay CABANGTALAN, Sinait, Ilocos Sur

Quarterly Statement of Receipts and Payments


For the quarter ended September 30, 2022

Receipts
Subsidy from Barangay 162,461.60
Grants and Donations in Cash
with Specific Purpose -
without Specific Purpose -
Total Receipts for the year 162,461.60

Less: Payments
Maintenance and Other Operating Expenses
Office Supplies Expenses -
Semi-Expendable Property Expenses 28,812.00
Other Supplies and Materials Expenses -
Remittance of taxes
Total Maintenance and Other Operating Expenses 28,812.00

Capital Outlay
Office Equipment -
Information and Communications Technology Equipment -
Total Capital Outlay -

Cash Advances, Net -

Total Payments for the year 28,812.00


Increase/(Decrease) in Cash for the year 133,649.60

Add/Less: Others
Total Increase/(Decrease) in Cash for the year 133,649.60

Cash at beginning of Quarter


Cash on Hand -

Cash in Bank 82,903.49

Cash at end of Quarter 216,553.09

Breakdown of Cash at end of quarter


Cash on Hand
Cash in Bank 216,553.09
Prepared and certified correct by:

REYNA AGAYANI September 30, 2022


Annex 37
SK Treasurer Date

Approved by:

MERYLL MAY IBERA September 30, 2022


SK Chairperson Date
Annex 37

Republic of the Philippines


SK of Barangay CABANGTALAN, Sinait, Ilocos Sur

Quarterly Statement of Receipts and Payments


For the quarter ended September 30, 2022

Receipts
Subsidy from Barangay
Grants and Donations in Cash
with Specific Purpose -
without Specific Purpose -
Total Receipts for the year -

Less: Payments
Maintenance and Other Operating Expenses
Office Supplies Expenses -
Semi-Expendable Property Expenses
Other Supplies and Materials Expenses -
Remittance of taxes 588.00
Total Maintenance and Other Operating Expenses 588.00

Capital Outlay
Sports Equipment 147,607.40
-
Total Capital Outlay 147,607.40

Cash Advances, Net -

Total Payments for the year 148,195.40


Increase/(Decrease) in Cash for the year - 148,195.40

Add/Less: Others
Total Increase/(Decrease) in Cash for the year - 148,195.40

Cash at beginning of Quarter


Cash on Hand -

Cash in Bank 216,553.09 9


Cash at end of Quarter 68,357.69

Breakdown of Cash at end of quarter


Cash on Hand
Cash in Bank 68,357.69
Prepared and certified correct by:

REYNA AGAYANI December 31, 2022


Annex 37
SK Treasurer Date

Approved by:

MERYLL MAY IBERA December 31, 2022


SK Chairperson Date
Annex 37

Republic of the Philippines


SK of Barangay CABANGTALAN, Sinait, Ilocos Sur

Quarterly Statement of Receipts and Payments


For the quarter ended March 31, 2022

Receipts
Subsidy from Barangay
Grants and Donations in Cash
with Specific Purpose -
without Specific Purpose -
Total Receipts for the year -

Less: Payments
Maintenance and Other Operating Expenses
Office Supplies Expenses 4,995.00
Semi-Expendable Property Expenses 89,155.00
Other Supplies and Materials Expenses -
Remittance of taxes 2,790.50
Total Maintenance and Other Operating Expenses 96,940.50

Capital Outlay
Sports Equipment -
Other Property Equipment 45,000.00
Total Capital Outlay 45,000.00

Cash Advances, Net -

Total Payments for the year 141,940.50


Increase/(Decrease) in Cash for the year - 141,940.50

Add/Less: Others
Total Increase/(Decrease) in Cash for the year - 141,940.50

Cash at beginning of Quarter


Cash on Hand -

Cash in Bank 224,843.99

Cash at end of Quarter 82,903.49

Breakdown of Cash at end of quarter


Cash on Hand
Cash in Bank 82,903.49
Prepared and certified correct by:

REYNA AGAYANI March 31, 2022


Annex 37
SK Treasurer Date

Approved by:

MERYLL MAY IBERA March 31, 2022


SK Chairperson Date
Annex 37

Republic of the Philippines


SK of Barangay CABANGTALAN, Sinait, Ilocos Sur

Quarterly Statement of Receipts and Payments


For the quarter ended June 30, 2022

Receipts
Subsidy from Barangay
Grants and Donations in Cash
with Specific Purpose -
without Specific Purpose -
Total Receipts for the year -

Less: Payments
Maintenance and Other Operating Expenses
Office Supplies Expenses
Semi-Expendable Property Expenses
Other Supplies and Materials Expenses
Remittance of taxes
Total Maintenance and Other Operating Expenses -

Capital Outlay
Sports Equipment -
Other Property Equipment
Total Capital Outlay -

Cash Advances, Net -

Total Payments for the year -


Increase/(Decrease) in Cash for the year -

Add/Less: Others
Total Increase/(Decrease) in Cash for the year -

Cash at beginning of Quarter


Cash on Hand -

Cash in Bank 82,903.49

Cash at end of Quarter 82,903.49

Breakdown of Cash at end of quarter


Cash on Hand
Cash in Bank 82,903.49
Prepared and certified correct by:

REYNA AGAYANI June 30, 2022


Annex 37
SK Treasurer Date

Approved by:

MERYLL MAY IBERA June 30, 2022


SK Chairperson Date
Annex 37

Republic of the Philippines


SK of Barangay CABANGTALAN, Sinait, Ilocos Sur

Quarterly Statement of Receipts and Payments


For the quarter ended September 30, 2022

Receipts
Subsidy from Barangay 162,461.60
Grants and Donations in Cash
with Specific Purpose -
without Specific Purpose -
Total Receipts for the year 162,461.60

Less: Payments
Maintenance and Other Operating Expenses
Office Supplies Expenses
Semi-Expendable Property Expenses 28,812.00
Other Supplies and Materials Expenses -
Remittance of taxes
Total Maintenance and Other Operating Expenses 28,812.00

Capital Outlay
Sports Equipment -
Other Property Equipment
Total Capital Outlay -

Cash Advances, Net -

Total Payments for the year 28,812.00


Increase/(Decrease) in Cash for the year 133,649.60

Add/Less: Others
Total Increase/(Decrease) in Cash for the year 133,649.60

Cash at beginning of Quarter


Cash on Hand -

Cash in Bank 82,903.49

Cash at end of Quarter 216,553.09

Breakdown of Cash at end of quarter


Cash on Hand
Cash in Bank 216,553.09
Prepared and certified correct by:

REYNA AGAYANI September 30,2022


Annex 37
SK Treasurer Date

Approved by:

MERYLL MAY IBERA September 30,2022


SK Chairperson Date
Annex 37

Republic of the Philippines


SK of Barangay CABANGTALAN, Sinait, Ilocos Sur

Quarterly Statement of Receipts and Payments


For the quarter ended December 31, 2022

Receipts
Subsidy from Barangay
Grants and Donations in Cash
with Specific Purpose -
without Specific Purpose -
Total Receipts for the year -

Less: Payments
Maintenance and Other Operating Expenses
Office Supplies Expenses
Semi-Expendable Property Expenses 588.00
Other Supplies and Materials Expenses -
Remittance of taxes
Total Maintenance and Other Operating Expenses 588.00

Capital Outlay
Sports Equipment 147,607.40
Other Property Equipment
Total Capital Outlay 147,607.40

Cash Advances, Net -

Total Payments for the year 148,195.40


Increase/(Decrease) in Cash for the year - 148,195.40

Add/Less: Others
Total Increase/(Decrease) in Cash for the year - 148,195.40

Cash at beginning of Quarter


Cash on Hand -

Cash in Bank 216,553.09

Cash at end of Quarter 68,357.69

Breakdown of Cash at end of quarter


Cash on Hand
Cash in Bank 68,357.69
Prepared and certified correct by:

REYNA AGAYANI December 31, 2022


Annex 37
SK Treasurer Date

Approved by:

MERYLL MAY IBERA December 31, 2022


SK Chairperson Date

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