RECORD OF ESTIMATED AND ACTUAL INCOME
Barangay: City/Municipality:
Barangay Treasurer: Province:
Date Particulars Reference No. Total
A. Income Estimates
B. Actual Collections
D ACTUAL INCOME
Page No.:
Income Accounts
RECORD OF APPROPRIATIONS AND OBLIGATIONS
Barangay: City/Municipality:
Chairman on Committee on Appropriations: Province:
Fund Source:
Reference Personnel Services Maintenance & Other Operating Expe
Total
Date No.
A.
Appropriations
B. Obligations
LIGATIONS
Page No.:
er Operating Expenses Financial Expenses Capital Outlay
Barangay __________________
Bato, Leyte
Statement of Appropriations, Obligations and Balances
As of ___________________
(In Philippine Peso)
Appropriations
Function/Program/Project Obligations Balances
Code Original Supplemental Final
I. Current Year Appropriations
Personnel Services
Maintenance and Other Operating Expenses
Financial Expenses
Capital Outlay
20% Development Fund
10% Sangguniang Kabataan Fund
5% LDRRMF
II. Continuing Appropriations
Capital Outlay
20% Development Fund
Certified Correct: Noted By:
__________________________________ ________________________________
Chairman, Committee on Appropriations Punong Barangay
____________________ ____________________
Date Date
REGISTRY OF SPECIAL TRUST FUND
Barangay: City/Municipality: Page No.:
Chairman on Committee on Appropriations: Province:
Purpose:
Details of Appropriations Details of Charges
Date Particulars Ref. Amount Year
-1 -2 -3 -4 -5 -6 -7 -8 -9 -10
e No.:
-11
REPORT OF COLLECTIONS AND REMITTANCES
Name of Collecting Officer: ________________ Date: ____________
Barangay: _____________________________ RCR No.: _________
City/Municipality: ________________________
Province: ______________________________
A. COLLECTIONS
Official Receipt
Payor Nature of Collection Amounts
Date Number
TOTAL
B. SUMMARY OF COLLECTIONS
List of Checks
Beginning Balance _____________ 20 ___ P
Add: Collections Check No. Payee Amount
Cash
Checks
Total
C. ACCOUNTABILITY FOR ACCOUNTABLE FORMS
Beginning Balance Receipt Issued Ending Balance
Name of Form and No. Inclusive Serial No. Inclusive Serial No. Inclusive Serial No.
Qty Qty Qty Qty
From To From To From To From To
With Money Value:
Cash Tickets
Without Money Value:
Official Receipts
D. CERTIFICATION: E. ACKNOWLEDGMENT:
I hereby certify that the foregoing Report of Collections and Remittances and
I hereby certify that this Report of Collections and Remittances; and Accountable Forms
Accountable Forms including cash and supporting documents have been
including supporting documents are true and correct received.
___________________________ ____________ _______________________ ___________
Deputized Barangay Collector Date Deputized Barangay Collector Date
REPORT OF COLLECTIONS AND DEPOSITS
Name of Barangay Treasurer: ________________________ Date: _________________
Barangay: ________________________________________ RCD No.: ______________
A. COLLECTIONS
Official Receipt/RCR
Payor Nature of Collection Amounts
Date Number
TOTAL
B. DEPOSITS
Bank/Branch Reference Amount
TOTAL
C. ACCOUNTABILITY FOR ACCOUNTABLE FORMS
Beginning Balance Receipt Issued Ending Balance
Name of Form and No. Inclusive Serial No. Inclusive Serial No. Inclusive Serial No. Inclusive Serial No.
Qty Qty Qty Qty
From To From To From To From
With Money Value:
Cash Tickets
Without Money Value:
Official Receipts
D. CERTIFICATION:
I hereby certify that this Report of Collections and Deposits; and Accountable Forms including supporting documents are true and correct
_____________________ ___________
Barangay Treasurer Date
E. ACCOUNTING ENTRIES
Account Title Account Code Debit Credit
Prepared by: Ronie M. Gesurem Approved by: Maria Roquesa J. Saveron, CPA
Barangay Bookkeeper Municipal Accountant
alance
sive Serial No.
To
Credit
CASHBOOK
Barangay: ________________________________________
Barangay Treasurer: ________________________________
Calendar Year: ____________________________________
Cash in Local Treasury Cash in Bank
Date Particulars Reference Check
Collection Deposit Balance Deposit Balance
Issued
CERTIFICATION
I hereby certify that the foregoing
deposits/remittances and balances
Cash Advances, and Petty Cash a
Cash Advance Petty Cash
Disburse- Receipt/
Receipt Balance Payments Balance
ments Replenishment
FICATION:
foregoing is a correct and complete record of all my collections,
d balances of my accounts in the Cash – In Local Treasury, Cash in Bank,
tty Cash as of _________________.
___________________
Name and Signature
____________
Date
REPORT OF ACCOUNTABILITY FOR ACCOUNTABLE FORMS
For the Month of _________, 20____
Barangay: _______________________________ City/Municipality: ________________
Barangay Treasurer: _______________________ Province: ______________________
Beginning Balance Receipt
Name of Form Inclusive Serial Nos. Inclusive Serial Nos.
QTY QTY
From To From To
A. With Money Value
Cash Tickets
B. Without Money Value
Official Receipts
Checks
CERTIFICATION:
I hereby certify that the foregoing is a true statement of all accountable forms received, issued and
transferred by me during the above-stated period and the correctness of the beginning balances.
__________________________________ __________________
(Name and Signature) Date
Barangay Treasurer
R ACCOUNTABLE FORMS
___, 20____
________ RAAF No. ________________
________
Issued Ending Balance
Inclusive Serial Nos. Inclusive Serial Nos.
QTY QTY
From To From To
d and
s.
Disbursement Voucher
Barangay: City/Municipality: DV No. :
Payee: Province: Date :
Address: TIN : Fund:
Particulars Amount
A. Certified as to existence of B. Certified As to availability of C. Certified as to validity,
appropriation for obligation funds for the purpose, and propriety, and legality of claim and
completeness and propriety of approved for payment:
supporting documents
_______________________ _________________________ _________________________
(Signature Over Printed Name) (Signature Over Printed Name) (Signature Over Printed Name)
Chairman, Committee on Appropriation Barangay Treasurer Punong Barangay
Date : ____________ Date : _____________ Date : ______________
D. Received Payment:
Check No.:
___________________________ Bank Name:__________ Date: __________
Signature Over Printed Name OR No.: _____________
E. Accounting Entries
Account Account Code Debit Credit
Prepared By:
RONIE M. GESUREM ______________
Barangay Bookkeeper Date
Approved By:
MARIA ROQUESA J. SAVERON, CPA _______________
Municipal Accountant Date
ACKNOWLEDGEMENT RECEIPT FOR DONATED PROPERTY, EQUIPMENT,
SUPPLIES AND MATERIALS
Barangay : Date :
Province/City/Municipality : ARDPESM No.:
Donor’s Name :
Authorized Representative :
Address:
Quantity Unit Description
Total
Purpose of Donation:
Received the donated articles for the purpose stated above.
Printed Name and Signature of the Punong Barangay/
Authorized Representative
Conforme:
Printed Name and Signature of the Donor/
Authorized Representative
ERTY, EQUIPMENT,
Value
STOCK CARD
Supplies: Supplies Number:
Description:
Issuance
Date Reference Quantity Received
Quantity Received by
umber:
Balance
REQUISITION AND ISSUE SLIP
Entity Name :
Division : _______________________________________________ Responsibility Center Code : ______
Office : ________________________________________________ RIS No. :
Requisition Stock Available?
Stock No. Unit Description Quantity Yes No
Purpose:
Requested by: Approved by: Issued by:
Signature :
Printed Name :
Designation :
Date :
AO 6/15/02
Appendix 63
E SLIP
Fund Cluster :
ponsibility Center Code : ______________________
Issue
Quantity Remarks
Issued by: Received by:
INVENTORY CUSTODIAN SLIP
Barangay: City/Municipality: ICS No.:
Tel. No.: Province:
Estimated
Quantity Unit Description
Useful Life
Received by: Issued by:
(Signature over Printed Name) (Signature over Printed Name)
Recipient Barangay Treasurer
____________ ____________
Date Date
INVENTORY CUSTODIAN SLIP
Barangay: City/Municipality: ICS No.:
Tel. No.: Province:
Estimated
Quantity Unit Description
Useful Life
Received by: Issued by:
(Signature over Printed Name) (Signature over Printed Name)
Recipient Barangay Treasurer
____________ ____________
Date Date
SUMMARY OF SUPPLIES AND MATERIALS ISSUED
__________________________________________
Barangay, City/Municipality, Province
For the Period _________________ to __________
No.:
Requisition and Issue Slip Numbers Total
ITEM Unit of
Quantity Issued Quantity Unit Cost Total Cost
Measurement
No. Description -1 -2 -3 -4 -5 -6 -7 -8 -9 -10 -11 Issued
Prepared by: Certified by: Posted in the SLC by/date:
_______________________ _______________________ _______________________
Clerk Supply Officer Accounting Clerk
REPORT ON INVENTORY OF SUPPLIES AND MATERIALS
As of ______________________
Barangay: City/Municipality:
Tel. No.: Province:
(Date of Assumption)
For which ________________________ ___________________ is accountable, having assumed accountability on _______________
(Name of Accountable Officer) (Official/Desination)
ON HAND SHORTAGE/ OVERAGE
STOCK UNIT OF UNIT BALANCE PER
ARTICLE DESCRIPTION PER COUNT REMARKS
NUBMER MEASURE VALUE CARD (Quantity)
(Quantity)
Quantity Value
Prepared by: Approved by:
Signature over Printed Name Signature over Printed Name Signature over Printed Name
Barangay Treasurer Punong Barangay or Representative Punong Barangay
Member, Inventory Committee Chairman, Inventory Committee
_______________ _______________ _______________
Date Date Date
REMARKS
er Printed Name
arangay
_________
Date
Barangay: PROPERTY ACKNOWLEDGEMENT RECEIPT Barangay: PROPERT
City/Municipality: PAR No.:
Tel. No.: Province: Tel. No.:
Quantity Unit Description Property No. Date Acquired Cost Quantity
Received by: Issued by: Received by:
____________________________ ____________________________ _____________________
Signature over Printed Name Signature over Printed Name Signature over Printed
Recipient/User Barangay Treasurer Recipient/User
_________________ _________________ _______________
Date Date Date
PROPERTY ACKNOWLEDGEMENT RECEIPT
City/Municipality: PAR No.:
Tel. No.: Province:
Unit Description Property No. Date Acquired Cost
Received by: Issued by:
____________________________ ____________________________
Signature over Printed Name Signature over Printed Name
Recipient/User Barangay Treasurer
_________________ _________________
Date Date
PROPERTY/EQUIPMENT CARD
______________________________________
Barangay, City/Municipality, Province
Property NO.
Property/Equipment: Property/Equipment:
Location: Location:
Description: Classification: Description:
Date of Purchase Particulars Cost Improvement/Repairs Transfers/etc. Total Date of Purchase
PROPERTY/EQUIPMENT CARD
______________________________________
Barangay, City/Municipality, Province
Property NO.
uipment:
Classification:
Particulars Cost Improvement/Repairs Transfers/etc. Total
Report on Inventory of Property and Equipment
As of ___________________________
Barangay: City/Municipality:
Tel. No.: __________________________ Province:
For which _________________________________ is accountable
(Name of Accountable Officer)(Official Designation)
Property Balance On Hand Shortage/Overage
Unit of
Article Description /ICS Unit Value PEC per count
Measure
Number (Quantity) (Quantity) Quantity Value
Part A – Property and equipment covered by PAR
Part B – Property and equipment covered by ICS
Prepared by: Approved by:
________________________ __________________________
_____________________________
Signature over Printed Name Signature over Printed Name Signature over Printed Name
Barangay Treasurer Punong Barangay or Representative Punong Barangay
Member, Inventory Committee Chairman, Inventory Committee
__________________ __________________
Date Date
Remarks
________
Name
y
__
BIOLOGICAL ASSETS PROPERTY CARD
Barangay: __________________________________________
Accountable Officer: _________________________________
Biological Asset :
Description :
Additions Reductions
Date Reference Purchase Birth Sale Transfer Death
Qty. Qty. Qty. Qty. Selling Price Qty. Qty.
RTY CARD
City/Municipality: ___________________________
Province: _________________________________
BAPC No.
Balance
Fair Value Remarks
Qty. Qty. Amount
QUARTERLY REPORT OF BIOLOGICAL ASSETS
________________________________________
(Type of Biological Asset)
As at _______________________
Accountable Officer: Barangay: Province:
Official Designation: City/Municipality:
Balance Per Card Additions Reductions Balance Per Card
BAPC No. Description Per Last Report Purchase Birth Price Adustment Total Sale Death Total End of the Period Remarks
Cost/ Fair Cost/ Fair Cost/ Fair Cost/ Fair
Qty. Fair Value Qty. Cost Qty. Fair Value Qty. Qty. Qty. Selling Price Qty. Fair Value Qty. Qty. Qty. Fair Value
Value Value Value Value
PAYROLL
Period Covered: _______________________
Barangay: __________________________________ City/ Municipality: __________
Barangay Treasurer: __________________________ Province: _________________
Compensation
No. Name Position Salaries & Other
Honoraria
Wages Benefits
A. Certified as to availability of appropriation for B. Certified as to availability of funds and C. Certified as to validity, proprie
obligation in the amount of ____________. completeness and propriety of supporting documents. claim and approved for payment.
Signature: ___________________ Signature: ____________________ Signature: __________________
Printed Name: Printed Name: Printed Name:
Position: Chairman, Comm. On Appropriations Position: Barangay Treasurer Position: Punong Barangay
Date: Date: Date:
E. Accounting Entries
Account Title Account Code Debit
LL
_______________
__________ Payroll: ___________________
__________
n Deductions Net
BIR Amount Signature of Recipient
Total withholding Total
Tax Due
fied as to validity, propriety, and legality of D. Certified that each official/ employee whose name
d approved for payment. appears on the above roll has been paid the amount stated
opposite his name.
e: _____________________ Signature: _____________________
Name: Printed Name:
: Punong Barangay Position: Barangay Treasurer
Date:
Debit Credit Prepared By:
RONIE M. GESUREM _______
Barangay Bookkeeper Date
Approved by:
MARIA ROQUESA J. SAVERON, CPA _______
Municipal Accountant Date