Mountain Province | Official Website

Full Disclosure

2017 Full Disclosure

Annual Budget Report
Statement of Debt Service
Annual GAD Accomplishment Report
Statement of Receipts and Expenditures
Annual Procurment Plan
First Quarter Report
Unliquidated Cash Advances
Trust Fund Utilization
Report of Special Education Fund Utilization
Manpower Complement
Local Disaster Risk Reduction and Mangement Fund Utilization (LDRRMF)
Quarterly Statement of Cash Flow
BID Results on Civil Works, Goods and Services, and Consulting Services
Supplemental Procurment Plan
20% Component of the Internal Revenue Allotment Utilization

2016 Full Disclosure

Annual Budget Report
Statement of Debt Service
Annual GAD Accomplishment Report
Statement of Receipts and Expenditures
Annual Procurment Plan
First Quarter Report
Unliquidated Cash Advances
Trust Fund Utilization
Report of Special Education Fund Utilization
Manpower Complement
Local Disaster Risk Reduction and Mangement Fund Utilization (LDRRMF)
Quarterly Statement of Cash Flow
BID Results on Civil Works, Goods and Services, and Consulting Services
Supplemental Procurment Plan
20% Component of the Internal Revenue Allotment Utilization
Second Quarter Report
20% Component of the Internal Revenue Allotment Utilization
Unliquidated Cash Advances
Trust Fund Utilization
Report of Special Education Fund Utilization
Manpower Complement
Local Disaster Risk Reduction and Management Fund Utilization (LDRRMF)
Quarterly Statement of Cash Flow
Bid Results on Civil Works, Goods and Services, and Consulting Services
Suplemental Procurement Plan
Third Quarter Report
20% Component of the Internal Revenue Allotment Utilization
Unliquidated Cash Advances
Trust Fund Utilization
Report of Special Education Fund Utilization
Manpower Complement
Local Disaster Risk Reduction and Management Fund Utilization (LDRRMF)
Quarterly Statement of Cash Flow
Bid Results on Civil Works, Goods and Services, and Consulting Services
Suplemental Procurement Plan
Fourth Quarter Report
20% Component of the Internal Revenue Allotment Utilization
Unliquidated Cash Advances
Trust Fund Utilization
Report of Special Education Fund Utilization
Manpower Complement
Local Disaster Risk Reduction and Management Fund Utilization (LDRRMF)
Quarterly Statement of Cash Flow
Bid Results on Civil Works, Goods and Services, and Consulting Services
Suplemental Procurement Plan

2015 Full Disclosure

Annual Budget Report
Annual Procurement Plan
Statement of Debt Service
Annual GAD Accomplishment Report
Statement of Receipts and Expenditures
First Quarter Report
Manpower Complement
Supplemental Procurement Plan
Unliquidated Cash Advances
Quarterly Statement of Cash Flow
Report of SEF Utilization
Trust Fund (PDAF) Utilization
Bid Results on Civil Works and Goods and Consulting Services
20% Component of the IRA Utilization
Report of LDRRMF Utilization
Second Quarter Report
Manpower Complement
Supplemental Procurement Plan
Unliquidated Cash Advances
Quarterly Statement of Cash Flow
Report of SEF Utilization
Trust Fund (PDAF) Utilization
Bid Results on Civil Works and Goods and Consulting Services
20% Component of the IRA Utilization
Report of LDRRMF Utilization
Third Quarter Report
Manpower Complement
Supplemental Procurement Plan
Unliquidated Cash Advances
Quarterly Statement of Cash Flow
Report of SEF Utilization
Trust Fund (PDAF) Utilization
Bid Results on Civil Works and Goods and Consulting Services
20% Component of the IRA Utilization
Report of LDRRMF Utilization
Fourth Quarter Report
Manpower Complement
Supplemental Procurement Plan
Unliquidated Cash Advances
Quarterly Statement of Cash Flow
Report of SEF Utilization
Trust Fund (PDAF) Utilization
Bid Results on Civil Works and Goods and Consulting Services
20% Component of the IRA Utilization
Report of LDRRMF Utilization

2014 Full Disclosure

Annual Budget Report
Annual Procurement Plan
SEF Income and Expenditure Estimates
Statement of Debt Service
Annual GAD Accomplishment Report
Statement of Receipts and Expenditures
First Quarter Report
Manpower Complement
Supplemental Procurement Plan
Unliquidated Cash Advances
Quarterly Statement of Cash Flow
Report of SEF Utilization
Trust Fund (PDAF) Utilization
Bid Results on Civil Works and Goods and Consulting Services
20% Component of the IRA Utilization
Report of LDRRMF Utilization
Second Quarter Report
Manpower Complement
Supplemental Procurement Plan
Unliquidated Cash Advances
Quarterly Statement of Cash Flow
Report of SEF Utilization
Trust Fund (PDAF) Utilization
Bid Results on Civil Works and Goods and Consulting Services
20% Component of the IRA Utilization
Report of LDRRMF Utilization
Third Quarter Report
Manpower Complement
Supplemental Procurement Plan
Unliquidated Cash Advances
Quarterly Statement of Cash Flow
Report of SEF Utilization
Trust Fund (PDAF) Utilization
Bid Results on Civil Works and Goods and Consulting Services
20% Component of the IRA Utilization
Report of LDRRMF Utilization
Fourth Quarter Report
Manpower Complement
Supplemental Procurement Plan
Unliquidated Cash Advances
Quarterly Statement of Cash Flow
Report of SEF Utilization
Trust Fund (PDAF) Utilization
Bid Results on Civil Works and Goods and Consulting Services
20% Component of the IRA Utilization
Report of LDRRMF Utilization

2013 Full Disclosure

Annual Budget Report
Annual Procurement Plan
SEF Income and Expenditure Estimates
Statement of Debt Service
Annual GAD Accomplishment Report
Statement of Receipts and Expenditures
First Quarter Report
Quarterly Statement of Cash Flow
Items To Bid
Report of SEF Utilization
Trust Fund (PDAF) Utilization
Bid Results on Civil Works and Goods and Consulting Services
Abstract of Bids as Calculated
20% Component of the IRA Utilization
Report of LDRRMF Utilization
Second Quarter Report
Quarterly Statement of Cash Flow
Items To Bid
Report of SEF Utilization
Trust Fund (PDAF) Utilization
Bid Results on Civil Works and Goods and Consulting Services
Abstract of Bids as Calculated
20% Component of the IRA Utilization
Report of LDRRMF Utilization
Third Quarter Report
Quarterly Statement of Cash Flow
Items To Bid
Report of SEF Utilization
Trust Fund (PDAF) Utilization
Bid Results on Civil Works and Goods and Consulting Services
Abstract of Bids as Calculated
20% Component of the IRA Utilization
Report of LDRRMF Utiliztion
Fourth Quarter Report
Manpower Compliment
Supplemental Procurement Plan
Unliquadated Cash Advances
Quarterly Statement of Cash Flow
Items To Bid
Report of SEF Utilization
Trust Fund (PDAF) Utilization
Bid Results on Civil Works and Goods and Consulting Services
Abstract of Bids as Calculated
20% Component of the IRA Utilization
Report of LDRRMF Utiliztion

2012 Full Disclosure

Annual Budget Report
Annual Procurement Plan
SEF Income and Expenditure Estimates
Statement of Debt Service
Annual GAD Accomplishment Report
Statement of Receipts and Expenditures
First Quarter Report
Annual Budget Report
Annual Procurement Plan
SEF Income and Expenditure Estimates
Statement of Debt Service
Annual GAD Accomplishment Report
Statement of Receipts and Expenditures
Second Quarter Report
Quarterly Statement of Cash Flow
Items To Bid
Report of SEF Utilization
Trust Fund (PDAF) Utilization
Bid Results on Civil Works and Goods and Consulting Services
Abstract of Bids as Calculated
20% Component of the IRA Utilization
Report of LDRRMF Utilization
Third Quarter Report
Quarterly Statement of Cash Flow
Items To Bid
Report of SEF Utilization
Trust Fund (PDAF) Utilization
Bid Results on Civil Works and Goods and Consulting Services
Abstract of Bids as Calculated
20% Component of the IRA Utilization
Report of LDRRMF Utiliztion
Fourth Quarter Report
Quarterly Statement of Cash Flow
Items To Bid
Report of SEF Utilization
Trust Fund (PDAF) Utilization
Bid Results on Civil Works and Goods and Consulting Services
Abstract of Bids as Calculated
20% Component of the IRA Utilization
Report of LDRRMF Utiliztion