:: Office of the SB Secretary

LBPF Form No. 3

PROGRAMMED APPROPRIATION and OBLIGATION by OBJECT of EXPENDITURES OFFICE/SPECIAL PURPOSE 
APPROPRIATIONS : OFFICE OF THE SECRETARY TO THE SANGGUNIANG BAYAN/ GENERAL FUND

OBJECT OF EXPENDITURES (1)Account Code (2)Past Year 2009 Actual (3)Current Year 2010 Estimate (4)Budget Year 2011 Proposed (5)
1.0 CURRENT OPERATING EXPENDITURES
1.1 Personal Services
Salaries and Wages-Regular 701
278,904.00   344,988.00    411,060.00
PERA 711
24,000.00    24,000.00      24,000.00
Representation Allow.(RA)
713
57,510.00    59,400.00      59,400.00
Transportation Allow.(TA)
714
57,510.00    59,400.00      59,400.00
Clothing Allowance
715
4,000.00      4,000.00       4,000.00
Productivity Incentive Bonus
717
2,000.00      2,000.00       2,000.00
Other Bonuses & Allowances
719
10,000.00
Cash Gift
724
5,000.00      5,000.00       5,000.00
Year End Bonus
725
23,242.00     28,749.00     34,255.00
Life & Retirement Cont.
731
33,468.48     41,400.00     49,328.00
PAG-IBIG Contributions
732
1,200.00       1,200.00      1,200.00
PHILHEALTH Cont.
733
3,450.00       3,750.00      3,750.00
ECC Contributions
734
1,200.00       1,200.00      1,200.00
Total Personal Services
501,484.48    575,087.00   654,593.00
1.2 Maint. & Other Operating Expenditures
Travel Expenses
751
26,694.00     45,000.00    45,000.00
Training & Seminar Expenses
753
4,000.00     10,000.00    10,000.00
Office Supplies Expense
755
20,073.20     20,000.00    20,000.00
Other Supplies Expenses
765
827.00       2,000.00     2,000.00
Postage & Deliveries
771
-2,000.00     2,000.00
Telephone Expense-Landline
772
933.74
Telephone Expense-Mobile
773
7,198.00      7,200.00    14,400.00
Membership Dues & Cont. to Org.
778
Transportation & Delivery Expenses
784
250.00
General Services
795
44,180.00   50,000.00
Janitorial Services
796
55,000.00
Repair & Maint.-Office Equipment
821
Repair & Maint.-Furnitures & Fix.
822
Repair & Maint.-IT Equipt. & Soft.
823
500.00      1,000.00     1,000.00
Repair & Maint.-Com. Equipment
829
1,650.00
Repair & Maint.-Motor Vehicles
841
5,000.00     5,000.00
Other MOE
969
26,500.00     5,000.00     5,000.00
Total MOOE
132,805.94   152,200.00 154,400.00
Total COE
634,290.42   727,287.00 808,993.00
2.0 CAPITAL OUTLAY
Furnitures & Fixtures
222
-       10,000.00              -
IT Equipment & Software
223
7,770.00                -               -
Total Capital Outlay
7,770.00     10,000.00              -
Total Expenditures/Appropriations
642,060.42  737,287.00   808,993.00
Prepared by:


ORIGINAL SIGNED
REINA FATIMA G. BATIANCILA
Municipal Gov't. Department Head I



Reviewed by:
APPROVED:                                              


ORIGINAL SIGNED                          
IAN CHRISTOPHER G. ESCARIO             Municipal Mayor

ORIGINAL SIGNED

DORIVIC S. GIGANTE-ESPINA
Mun. Gov't. Department Head I-Budget