
Full Disclosure Policy
2018
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
- 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
- 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
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