Full Disclosure Policy
2024
2023
1st Quarter
2nd Quarter
3rd Quarter
4th Quarter
1st Quarter
- 20% NTAU Q1 2023
- AGDAR 2022 V.3
- AGDAR 2022 V3 New Template
- AGDAR 2022
- Annual Budget 2023
- APP 2023
- Bid Results Q1 2023
- LDRRMF Utilization Q1 2023
- Manpower Complement Q1 2023
- NTAU 20% Q1 2023 copy 2
- NTAU 20% Q1 2023 copy
- NTAU 20% Q1 2023
- SEF Utilization Q1 2023
- SIPB Q1 2023
- SPP 2022
- SRE_CASTILLEJOS_Q1_2023
- Statement of Cashflows Q1 2023
- Trust Fund Utilization Q1 2023
- UCA Q1 2023
2nd Quarter
3rd Quarter
4th Quarter
2022
1st Quarter
2nd Quarter
3rd Quarter
4th Quarter
1st Quarter
2nd Quarter
3rd Quarter
4th Quarter
2021
1st Quarter
2nd Quarter
3rd Quarter
4th Quarter
1st Quarter
2nd Quarter
3rd Quarter
4th Quarter
- FDP Form 1 Annual Budget 2022
- FDP Form 2 SIPB 2021
- FDP Form 3 SRE 2021
- FDP Form 4 APP 2022
- FDP Form 5 GAD Accomplishment Report 2021
- FDP Form 6 Trust Fund Utilization Q4 2021
- FDP Form 7 20% DF Utilization Q4 2021
- FDP Form 8 LDRRMF Utilization Q4 2021
- FDP Form 9 Cash Flows Q4 2021
- FDP Form 10 Bid Result Q4 2021
- FDP Form 11 SEF Utilization Q4 2021
- FDP Form 12 UCA Q4 2021
- FDP Form 13 Human Resource Complement Q4 2021
- FDP Form 14 Supp.Procurement Plan 2021
2020
Annual
2019
Annual
2018
Annual
1st Quarter
2nd Quarter
3rd Quarter
4th Quarter
Annual
1st Quarter
- 20% Component of the Internal Revenue Allotment Utilization
- Bid Results on Civil Works, Goods and Service, and Consulting Services
- Cash Flow GF
- Cash Flow SEF
- Cash Flow Trust
- Local Risk Reduction and Management Fund Utilization
- Manpower Complement
- Report of Special Education Fund Utilization
- Supplemental Procurement Plan
- Trust Fund Utilization
- Unliquidated Cash Advances
2nd Quarter
- 20% Component of the Internal Revenue Allotment Utilization
- Bid Results on Civil Works, Goods and Service, and Consulting Services
- Cash Flow
- Local Risk Reduction and Management Fund Utilization
- Manpower Complement
- Report of Special Education Fund Utilization
- Supplemental Procurement Plan
- Trust Fund Utilization
- Unliquidated Cash Advances
3rd Quarter
- 20% Component of the Internal Revenue Allotment Utilization
- Bid Results on Civil Works, Goods and Service, and Consulting Services
- Cash Flow
- Local Risk Reduction and Management Fund Utilization
- Manpower Complement
- Report of Special Education Fund Utilization
- Supplemental Procurement Plan
- Trust Fund Utilization
- Unliquidated Cash Advances
4th Quarter
- 20% Component of the Internal Revenue Allotment Utilization
- Bid Results on Civil Works, Goods and Service, and Consulting Services
- GAD Accomplishment Report
- Local Risk Reduction and Management Fund Utilization
- Manpower Complement
- Report of Special Education Fund Utilization
- Statement of Receipts Expenditure
- Statement of Cash Flow
- Supplemental Procurement Plan
- Trust Fund Utilization
- Unliquidated Cash Advances
2017
Annual
1st Quarter
2nd Quarter
3rd Quarter
4th Quarter
Annual
1st Quarter
- 20% Component of the Internal Revenue Allotment Utilization
- Bid Results on Civil Works, Goods and Service, and Consulting Services
- Cash Flow GF
- Cash Flow SEF
- Cash Flow Trust
- Local Risk Reduction and Management Fund Utilization
- Manpower Complement
- Report of Special Education Fund Utilization
- Supplemental Procurement Plan
- Trust Fund Utilization
- Unliquidated Cash Advances General Fund
- Unliquidated Cash Advances SEF
- Unliquidated Cash Advances Trust Fund
2nd Quarter
- 20% Component of the Internal Revenue Allotment Utilization
- Bid Results on Civil Works, Goods and Service, and Consulting Services
- Cash Flow GF
- Cash Flow SEF
- Cash Flow Trust
- Local Risk Reduction and Management Fund Utilization
- Manpower Complement
- Report of Special Education Fund Utilization
- Supplemental Procurement Plan
- Trust Fund Utilization
- Unliquidated Cash Advances
3rd Quarter
- 20% Component of the Internal Revenue Allotment Utilization
- Bid Results on Civil Works, Goods and Service, and Consulting Services
- Cash Flow GF
- Cash Flow SEF
- Cash Flow Trust
- Local Risk Reduction and Management Fund Utilization
- Manpower Complement
- Report of Special Education Fund Utilization
- Supplemental Procurement Plan
- Trust Fund Utilization
- Unliquidated Cash Advances
4th Quarter
- 20% Component of the Internal Revenue Allotment Utilization
- Bid Results on Civil Works, Goods and Service, and Consulting Services
- Cash Flow
- GAD Accomplishment
- Local Risk Reduction and Management Fund Utilization
- Manpower Complement
- SEF Utilization
- Trust Fund Utilization
- Statement of Debt Service
- Statement of Receipts and Expenditures
- Supplemental Procurement Plan
- Unliquidated Cash Advances
2016
Annual
1st Quarter
2nd Quarter
3rd Quarter
4th Quarter
Annual
1st Quarter
- 20% Component of the Internal Revenue Allotment Utilization
- Bid Results on Civil Works, Goods and Service, and Consulting Services
- Local Risk Reduction and Management Fund Utilization
- Manpower Complement
- Quarterly Statement of Cash Flow
- Report of Special Education Fund Utilization
- Supplemental Procurement Plan
- Trust Fund Utilization
- Unliquidated Cash Advances
2nd Quarter
- 20% Component of the Internal Revenue Allotment Utilization
- Bid Results on Civil Works, Goods and Service, and Consulting Services
- Quarterly Statement of Cash Flow
- Local Risk Reduction and Management Fund Utilization
- Manpower Complement
- Report of Special Education Fund Utilization
- Supplemental Procurement Plan
- Trust Fund Utilization
- Unliquidated Cash Advances
3rd Quarter
- 20% Component of the Internal Revenue Allotment Utilization
- Bid Results on Civil Works, Goods and Service, and Consulting Services
- Cash Flow GF
- Cash Flow SEF
- Cash Flow Trust
- Local Risk Reduction and Management Fund Utilization
- Manpower Complement
- Report of Special Education Fund Utilization
- Supplemental Procurement Plan
- Unliquidated Cash Advances
4th Quarter
- 20% Component of the Internal Revenue Allotment Utilization
- Bid Results on Civil Works, Goods and Service, and Consulting Services
- Cash Flow SEF
- Cash Flow Trust Fund Utilization
- Local Risk Reduction and Management Fund Utilization
- Manpower Complement
- Statement of Debt Service
- Statement of Receipts and Expenditures
- Supplemental Procurement Plan
- Trust Fund Utilization
2015
Annual
1st Quarter
2nd Quarter
3rd Quarter
4th Quarter
Annual
1st Quarter
2nd Quarter
Content Pending
3rd Quarter
- 20% Component of the Internal Revenue Allotment Utilization
- Bid Results on Civil Works, Goods and Service, and Consulting Services
- Local Risk Reduction and Management Fund Utilization
- Manpower Complement
- Report of Special Education Fund Utilization
- Supplemental Procurement Plan
- Trust Fund Utilization
- Unliquidated Cash Advances
4th Quarter
- 20% Component of the Internal Revenue Allotment Utilization
- Bid Results on Civil Works, Goods and Service, and Consulting Services
- Local Risk Reduction and Management Fund Utilization
- Manpower Complement
- Report of Special Education Fund Utilization
- Supplemental Procurement Plan
- Trust Fund Utilization
- Unliquidated Cash Advances
2020
Annual
2022
1st Quarter
2nd Quarter
3rd Quarter
4th Quarter
1st Quarter
2nd Quarter
3rd Quarter
4th Quarter