Full Disclosure Policy

2021

QUARTERLY

20% Component of the Internal Revenue Allotment Utilization
  • 1st Quarter
  • 2nd Quarter
  • 3rd Quarter
  • 4th Quarter
Abstract of Bids as Calculated
  • 1st Quarter
  • 2nd Quarter
  • 3rd Quarter
  • 4th Quarter
Bid Results on Civil Works and Goods and Consulting Services
  • 1st Quarter
  • 2nd Quarter
  • 3rd Quarter
  • 4th Quarter
Items to Bid
  • 1st Quarter
  • 2nd Quarter
  • 3rd Quarter
  • 4th Quarter
Manpower Complement (MANCOM)
  • 1st Quarter
  • 2nd Quarter
  • 3rd Quarter
  • 4th Quarter
Quarterly Statement of Cash Flow
  • 1st Quarter
  • 2nd Quarter
  • 3rd Quarter
  • 4th Quarter
Report of Local Disaster Risk Reduction and Management Fund Utilization (LDRRMF)
  • 1st Quarter
  • 2nd Quarter
  • 3rd Quarter
  • 4th Quarter
Report of Special Education Fund Utilization
  • 1st Quarter
  • 2nd Quarter
  • 3rd Quarter
  • 4th Quarter
Supplemental Procurement Plan
  • 1st Quarter
  • 2nd Quarter
  • 3rd Quarter
  • 4th Quarter
Trust Fund (PDAF) Utilization
  • 1st Quarter
  • 2nd Quarter
  • 3rd Quarter
  • 4th Quarter
Unliquidated Cash Advances (UCA)
  • 1st Quarter
  • 2nd Quarter
  • 3rd Quarter
  • 4th Quarter
Bayanihan Grant to Cities and Municipalities

ANNUALLY

2020

QUARTERLY

20% Component of the Internal Revenue Allotment Utilization Abstract of Bids as Calculated Bid Results on Civil Works and Goods and Consulting Services Items to Bid Manpower Complement (MANCOM) Quarterly Statement of Cash Flow Report of Local Disaster Risk Reduction and Management Fund Utilization (LDRRMF) Report of Special Education Fund Utilization Supplemental Procurement Plan Trust Fund (PDAF) Utilization Unliquidated Cash Advances (UCA) Bayanihan Grant to Cities and Municipalities

ANNUALLY

2019

QUARTERLY

20% Component of the Internal Revenue Allotment Utilization Abstract of Bids as Calculated Bid Results on Civil Works and Goods and Consulting Services Items to Bid Manpower Complement (MANCOM) Quarterly Statement of Cash Flow Report of Local Disaster Risk Reduction and Management Fund Utilization (LDRRMF) Report of Special Education Fund Utilization Supplemental Procurement Plan Trust Fund (PDAF) Utilization Unliquidated Cash Advances (UCA)
TypeFileDateSize

xlsx
2019 Annual Procurement Plan (Consolidated) 10:19 pm 04/30/202036M

pdf
Annual Budget 2019 10:19 pm 04/30/20202.1M

xlsx
GAD Plan and Budget 2019 10:19 pm 04/30/2020101.5k

pdf
Gender and Development Accomplishment Report 2019 10:19 pm 04/30/2020429.6k

xlsx
Special Education Fund 2019 10:19 pm 04/30/202051.7k

xlsx
Statement of Debt Service December 2019 10:19 pm 04/30/202095.1k

pdf
Statement of IPB 2019 10:19 pm 04/30/2020486.5k

pdf
Statement of Receipts and Expenditures 2019 10:19 pm 04/30/202096.9k
Download

2018

QUARTERLY

20% Component of the Internal Revenue Allotment Utilization Abstract of Bids as Calculated Bid Results on Civil Works and Goods and Consulting Services Items to Bid Manpower Complement (MANCOM) Quarterly Statement of Cash Flow Report of Local Disaster Risk Reduction and Management Fund Utilization (LDRRMF) Report of Special Education Fund Utilization Supplemental Procurement Plan Trust Fund (PDAF) Utilization Unliquidated Cash Advances (UCA) Statement of Receipts And Expenditures

ANNUALLY

2017

QUARTERLY

20% Component of the Internal Revenue Allotment Utilization Abstract of Bids as Calculated Bid Results on Civil Works and Goods and Consulting Services Items to Bid Manpower Complement (MANCOM) Quarterly Statement of Cash Flow Report of Local Disaster Risk Reduction and Management Fund Utilization (LDRRMF) Report of Special Education Fund Utilization Supplemental Procurement Plan Trust Fund (PDAF) Utilization Unliquidated Cash Advances (UCA) Statement of Receipts And Expenditures

ANNUALLY

2016

QUARTERLY

20% Component of the Internal Revenue Allotment Utilization Abstract of Bids as Calculated Bid Results on Civil Works and Goods and Consulting Services Items to Bid Manpower Complement (MANCOM) Quarterly Statement of Cash Flow Report of Local Disaster Risk Reduction and Management Fund Utilization (LDRRMF) Report of Special Education Fund Utilization Supplemental Procurement Plan Trust Fund (PDAF) Utilization Unliquidated Cash Advances (UCA) Statement of Receipts And Expenditures

ANNUALLY

2015

QUARTERLY

20% Component of the Internal Revenue Allotment Utilization Abstract of Bids as Calculated Bid Results on Civil Works and Goods and Consulting Services Items to Bid Manpower Complement (MANCOM) Quarterly Statement of Cash Flow Report of Local Disaster Risk Reduction and Management Fund Utilization (LDRRMF) Report of Special Education Fund Utilization Supplemental Procurement Plan Trust Fund (PDAF) Utilization Unliquidated Cash Advances (UCA) Statement of Receipts And Expenditures

ANNUALLY

#Serbisyong
NERIVI

Contact Info

QUEZON STREET, PAG-ASA DISTRICT, TALAVERA, NUEVA ECIJA, 3114
www.talavera.gov.ph
(044) 940 – 8700

Emergency Hotline

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