Good Housekeeping Reorts

Programs and Courses Status Link
SEF UTILIZATION 1st Quarter 2016 2016 Download
Report on Fund Utilization of Disaster Risk Reduction and Management Fund 1st Qtr 2016 2016 Download
Financial Reports Trust Fund March 2016 2016 Download
SUPPLEMENTAL PROCUREMENT PLAN 1st Quarter 2016 2016 Download
Detailed Statement of Income and Expenses January 2016 2016 Download
Detailed Statement of Income and Expenses February 2016 2016 Download
Consolidated Statement of Income and Expenses January 2016 2016 Download
Consolidated Statement of Income and Expenses February 2016 2016 Download
UNLIQUIDATED CASH ADVANCES(Officers and Employees) TF as of March 31, 2016 2016 Download
UNLIQUIDATED CASH ADVANCES(Other Receivables) SEF as of March 31, 2016 2016 Download
UNLIQUIDATED CASH ADVANCES(Other Receivables) TF as of March 31, 2016 2016 Download
UNLIQUIDATED CASH ADVANCES(Operating Expenses) TF as of March 31, 2016 2016 Download
20% COMPONENT OF THE IRA UTILIZATION 1st Quarter 2016 2016 Download
GOODS AND SERVICES BID-OUT 1st Quarter 2016 2016 Download
UNLIQUIDATED CASH ADVANCE(Other Receivables) GF March 31, 2016 2016 Download
UNLIQUIDATED CASH ADVANCES(Schedule of Due from Officers and Employees) GF March 31, 2016 2016 Download
UNLIQUIDATED CASH ADVANCES(Schedule of Advances to Special Disbursing Officers) GF March 31, 2016 2016 Download
SUPPLEMENTAL PROCUREMENT PLAN NO. 03 2nd Quarter 2015 2015 Download
SUPPLEMENTAL PROCUREMENT PLAN NO. 6,7,8,9 3rd Quarter 2015 2015 Download
Statement of Income and Expenses SEF 3rd Quarter 2016 2015 Download
Statement of Cash Flows SEF Dec 2014 to Sep 30 2015 2015 Download
REPORT OF SEF UTILIZATION 3rd Quarter 2015 2015 Download
REPORT OF SEF UTILIZATION 3rd Quarter 2015 as of Sep 31, 2015 2015 Download
CONSOLIDATED QUARTERLY REPORT ON GOVERNMENT PROJECTS, PROGRAMS or ACTIVITIES TF as of Sep 30,2015 2015 Download
REPORT ON FUND UTILIZATION OF DISASTER RISK REDUCTION AND MANAGEMENT FUND January to September 2015 2015 Download
GOODS AND SERVICES BID-OUT 1st Quarter 2015 2015 Download
APCPI Report Bids and Awards Committee 3rd Quarter 2015 2015 Download
UNLIQUIDATED CASH ADVANCE(Other Receivables) TF September 30, 2015 2015 Download
UNLIQUIDATED CASH ADVANCE(Other Receivables) SEF September 30, 2015 2015 Download
UNLIQUIDATED CASH ADVANCE(Other Receivables) GF September 30, 2015 2015 Download
UNLIQUIDATED CASH ADVANCE(Schedule of Due from Officers and Employees) TF September 30, 2015 2015 Download
UNLIQUIDATED CASH ADVANCE(Schedule of Due from Officers and Employees) GF September 30, 2015 2015 Download
UNLIQUIDATED CASH ADVANCE(Schedule of Due from Disbursing Officers) TF September 30, 2015 2015 Download
UNLIQUIDATED CASH ADVANCE(Schedule of Due from Disbursing Officers) GF September 30, 2015 2015 Download
CONSOLIDATED QUARTERLY REPORT ON GOVERNMENT PROJECTS, PROGRAMS OR ACTIVITIES TF Utilization 4th Qtr 2015 2015 Download
SUPPLEMENTAL PROCUREMENT PLAN NO. 10,11,12,13,14,15 and 16 4th Quarter 2015 2015 Download
20% COMPONENT OF THE IRA UTILIZATION Dec 31, 2015 2015 Download
GOODS AND SERVICES BID-OUT 4th Quarter 2015 2015 Download
Statement of Cash Flows TF Dec 31, 2015 4th Quarter 2015 Download
REPORT ON FUND UTILIZATION OF DISASTER RISK REDUCTION AND MANAGEMENT FUND 4th Quarter 2015 2015 Download
MANPOWER COMPLEMENT 4th Quarter 2015 2015 Download
REPORT OF SEF UTILIZATION 4th Quarter 2015 2015 Download
Statement of Cash Flows SEF Dec 31 2014 to Dec 31 2015 2015 Download
Statement of Cash Flows TF Dec 31 2014 to Dec 31 2015 2015 Download
Statement of Cash Flows GF December 31, 2014 To September 30, 2015 2015 Download
20% COMPONENT OF THE IRA UTILIZATION as of Sep 30, 2015 2015 Download
Statement of Cash Flows Month Ended March 31, 2015 2015 Download
REPORT ON FUND UTILIZATION OF DISASTER RISK REDUCTION AND MANAGEMENT FUND 2nd Quarter 2015 Download
REPORT ON FUND UTILIZATION OF DISASTER RISK REDUCTION AND MANAGEMENT FUND 3rd Quarter 2015 Download
GOODS AND SERVICES BID-OUT 2nd Quarter 2015 Download
REPORT ON FUND UTILIZATION OF DISASTER RISK REDUCTION AND MANAGEMENT FUND 1st Quarter 2015 Download
MANPOWER COMPLEMENT 1st Quarter 2015 2015 Download
REPORT OF SEF UTILIZATION 1st Quarter 2015 2015 Download
REPORT OF SEF UTILIZATION 2nd Quarter 2015 2015 Download
UNLIQUIDATED CASH ADVANCE(Schedule of Due from Officers and Employees) TF March 31, 2015 2015 Download
UNLIQUIDATED CASH ADVANCE(Schedule of Due from Officers and Employees) GF March 31, 2015 2015 Download
CONSOLIDATED QUARTERLY REPORT ON GOVERNMENT PROJECTS, PROGRAMS or ACTIVITIES TF as of Sep 30, 2014 2014 Download