Date JEV Number General Journal CITY OF CEBU Debit General
Transcription
Date JEV Number General Journal CITY OF CEBU Debit General
Date Jan JEV Number 4 General Journal CITY OF CEBU Debit 2010-01-000151 Cash - Disbursing Officers General Fund 103 Cash in Bank - Local Currency , Current Account 4,964,000.00 111 4,964,000.00 Grant of Cash Advance - YUTICO, LAURICE M. FOR THE PAYMENT OF FINANCIAL ASSISTANCE TO SENIOR CITIZEN FOR CY 2009. Ck#697948 Jan 4 2010-01-000154 Accounts Payable 401 135,400.00 Cash in Bank - Local Currency , Current Account 111 120,167.49 Due to BIR 412 8,462.51 Performance/Bidders/Bail Bonds Payable 427 6,770.00 Payment for Training Expenses TAMBULI BEACH RESORT PAYMENT OF FOOD AND ACCOMODATION DURING THE CITY GOV'T ASSESSMENT AND TEAM ENHANCEMENT FOR TRAINORS. CHECK # 241517 CTV # 16192 = P 118,187.49 - TAMBULI BEACH RESORT CHECK # 241518 CTV # Jan 4 2010-01-000163 Accounts Payable 401 35,000.00 Cash in Bank - Local Currency , Current Account 111 35,000.00 Payment for Training Expenses HIDDEN VALLEY RESORT PAYMENT OF ACCOMODATION EXPENSES W/ ADD'L SNACKS & FUNCTION ROOM FOR THE STRATEGIC PLANNING OF THE OFFICE OF THE CITY ACCOUNTANT . CHECK # 241741 CTV # 16913 = P 34,587.50 - HIDDEN VALLEY RES Jan 4 2010-01-000167 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Jan 4 401 Cash in Bank - Local Currency , Current Account Jan 4 4 401 326,457.35 Due to BIR 412 20,661.85 439 38,568.80 Payment for Other Maintenance and Other Operating Expenses - PETER SPORTS & CRAFT PAYMENT OF PLAQUES & LOYALTY PINS GIVEN DURING CITY GOVERNMENT EMPLOYEES. CHECK # 241880 CTV # 17296 = P 318,666.59 - PETER SPORT & CRAFT CHECK # 241907 CT 2010-01-000188 Accounts Payable 401 2010-01-000189 Accounts Payable 401 Due to BIR 4 3,390.00 111 3,208.39 412 181.61 Payment for Repairs and Maintenance of Office Equipment and Furniture and Fixtures - TRISALES BUSINESS SYSTEMS CORP. CHECK # 241895 CTV # 17311 = P 3,147.76 - TRISALES BUSINESS SYSTEWMS CORP. CHECK # 2418 Cash in Bank - Local Currency , Current Account Jan 385,688.00 111 Due to BIR 4 643,571.36 Cash in Bank - Local Currency , Current Account Cash in Bank - Local Currency , Current Account Jan 679,999.92 111 412 36,428.56 Cash Purchase of Property, Plant and Equipment - SUAREZ ARTS METAL TECHNOLOGY PAYMENT OF 1 PC. PRES. GLORIA MACAPAGAL SCHOOL AND OTHER ITEM. CHECK # 241803 CTV # 17059 = P 630,158.86. - SUAREZ ARTS METAL TECHNOLOGY CHECK # 241804 CTV # 170 2010-01-000185 Accounts Payable Other Payables Jan 60,192.85 412 3,407.15 Payment for Purchase of Inventories, Supplies and Materials for Stock - SECC COMPUTER SALES PAYMENT OF OFFICE SUPPLIES . CHECK # 241799 CTV # 17055 = P 59,397.85 - SECC COMPUTER SALES CHECK # 241800 CTV # 17056 = 795.00 - CEBU 2010-01-000182 Accounts Payable Due to BIR 63,600.00 111 PAYMENT OF PHOTOCOPIER SPARE PARTS. 19,200.00 111 18,240.00 412 960.00 Payment for Other Maintenance and Other Operating Expenses - LOLA MARY'S CATERING PAYMENT OF FOODS FOR SPECIAL LOCAL HIRING ON SEPTEMBER 05 , 2009 & SEPTEMBER 19 , 2009 OF DMDP. CHECK # 241989 CTV # 17569 = P 16,972.00 - LOLA MARYS CATERING SERV 2010-01-000192 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 111 34,601.60 29,287.79 Due to BIR Other Payables Jan 4 412 2010-01-000193 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Jan 4 401 Cash in Bank - Local Currency , Current Account Jan 4 4 4 13,480.00 111 401 Cash in Bank - Local Currency , Current Account Jan 61,517.85 12,757.85 412 722.15 Payment for Other Maintenance and Other Operating Expenses - PETER SPORTS & CRAFT SALES INC. PURCHASE OF EIGHT ( 8 ) PCS. PLAQUES AS INTER -SCHOOL BANGGA SA KINAADMAN 2009" CHECK # 210683 CTV # 16980 = P 12,517.14 - PETER SPORTS & CRAFT SALES I 2010-01-000201 Accounts Payable Due to BIR 65,000.00 111 401 Cash in Bank - Local Currency , Current Account Jan 2,137.70 412 3,482.15 Cash Purchase of Property, Plant and Equipment ASIAN HOME APPLIANCE CENTER CO. PAYMENT OF 2 UNITS UPRIGHT CHILLER AS PER P.O. NO. 1158 DTD 09-01-09. CHECK # 210326 CTV # 15419 = P 60,357.14 - ASIAN HOME APPLIANCE CENTER CO. CHECK # 210237 CT 2010-01-000199 Accounts Payable Due to BIR 2,258.70 111 412 121.00 Payment for Other Maintenance and Other Operating Expenses CEBU DE ORO EDUCATION SUPPLY TO PAYMENT OF SUPPLIES FOR SPES / 09 OF DEPT. OF MANPOWER DEV. & PLACEMENT . CHECK # 241985 CTV # 17565 = P 2,097.37 - CEBU DE ORO EDUCATIONAL SUPPLY CHECK 2010-01-000196 Accounts Payable Due to BIR 1,853.65 439 3,460.16 Payment for Training Expenses SACHEM MARKETING TO PAYMENT OF 6 PCS. ALL PURPOSE PLASTIC CONTAINER 5"X7"5" WITH LID CHECK # 241969 CTV # 17549 = P 28,669.90 - SACHEM MARKETING CHECK # 241970 CTV # 17550 = 617.89 - CEBU CITY TREAS 1,124,420.00 111 1,064,183.22 412 60,236.78 Payment for Purchase of Inventories, Supplies and Materials Directly Issued to End-User - KIMBERSUN LUMBER AND CONSTRUCTION SUPPLY PAYMENT OF 5380 CUM GARBAGE SOIL COVER ( ANAPOG ). CHECK # 210842 CTV # 17373 = P 1,047,173.35 - KIMBERSUN LUMBER 2010-01-000208 Accounts Payable 401 353,802.15 Cash in Bank - Local Currency , Current Account 111 317,158.35 Due to BIR 412 18,953.69 Performance/Bidders/Bail Bonds Payable 427 17,690.11 Payment for Accounts Payable of SCR VENTURES CORP. Paymentof 1 kit alkaline phosphatase rgt and other items CHECK # 712638 CTV # 17378 P 313,999.40 - SCR VENTURES CORP. CHECK # 712640 CTV # 17380 3,158.95 - CEBU CITY TREASURER Ck#71264 Jan 4 2010-01-000209 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Jan 4 401 Cash in Bank - Local Currency , Current Account Jan 4 111 908.57 412 51.43 Payment for Purchase of Inventories, Supplies and Materials for Stock - BEROVAN MARKETING PAYMENT OF 80 PACKS COTTON APPLICATOR NON- STERIL 100'S TO BE USED IN CEBU CITY MEDICAL CENTER. CHECK # 712622 CTV # 16806 = P 891.43 - BEROVAN MARKET 2010-01-000210 Accounts Payable Due to BIR 960.00 85,935.50 111 81,331.81 412 4,603.69 Payment for Accounts Payable - WASHINGTON GROCERY Payment for the various items used by Cremdec Training Center CHECK # 675841 CTV # 17406 P 79,797.25 WASHINGTON GROCERY CHECK # 675842 CTV # 17407 1,534.56 - CEBU CITY TREASURER - for paymen 2010-01-000219 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 111 360.00 320.56 Due to BIR 412 19.28 Performance/Bidders/Bail Bonds Payable 427 18.00 Other Payables Jan 4 439 2.16 Payment for Purchase of Inventories, Supplies and Materials for Stock - FAR EASTERN DRUGS PAYMENT OF 3 DOZEN SUTURE NEEDLE 1/ 2 CIRCLE TO BE USED IN CEBU CITY MEDICAL CENTER. CHECK # 712646 CTV # 17581 = P 314.13 - FAR EASTERN DRUGS CHECK # 7 2010-01-000230 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account Due to GSIS Jan 4 113.68 111 92.37 413 21.31 Payment for Due to Officers and Employees - ROMERO T. VELAYO PAYMENT OF SALARY STEP INCREMENT COVERING THE PERIOD OF DECEMBER 16 - 31, 2009. Ck#241993 2010-01-000236 Due to Officers and Employees 403 18,000.00 Cash in Bank - Local Currency , Current Account 111 16,200.00 Due to BIR 412 1,800.00 Payment for Professional Services - ANTONIO A.AVILA,JR. CONSULTANCY FEE FOR THE MONTH OF NOVEMBER, 2009. Ck#241981 Jan 4 2010-01-000238 Due to Officers and Employees 403 1,064.00 Cash in Bank - Local Currency , Current Account 111 1,064.00 Payment for Due to Officers and Employees - MARJORIE R. MEDALLE FOR PAYMENT OF TRANSPORTATION EXPENSES NCOVERING THE PERIOD FROM OCTOBER 1 NOVEMBER 30, 2009. Ck#241980 Jan 4 2010-01-000240 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account Due to GSIS Jan 4 132.16 111 107.38 413 24.78 Payment for Due to Officers and Employees - ALBERTO L. BAGUIO FOR THE PAYMENT OF SALARY STEP INCREMENT COVERING THE PERIOD FROM DECEMBER 16 - 31, 2009. Ck#241978 2010-01-000242 Due to Officers and Employees 403 5,950.74 Cash in Bank - Local Currency , Current Account 111 5,950.74 Payment for Due to Officers and Employees - JANET LIBARIOS PAYMENT BACK - TO - WORK AS CLERK I AT THE RATE OF P7, 307.00 PER MONTH, EFFECFFTIVE NOVEMBER 17, 2009 - DECEMBER 11, 2009. Ck#241975 Jan 4 2010-01-000244 Due to Officers and Employees 403 36,000.00 Cash in Bank - Local Currency , Current Account 111 32,400.00 Due to BIR 412 3,600.00 Payment for Professional Services - PHILIP ZAFRA FOR THE PAYMENT OF CONSULTANCY FEE FOR THE MONTHOF AUGUST 1 - NOVEMBER 30, 2009. Ck#241968 Jan 4 2010-01-000245 Due to Officers and Employees 403 9,000.00 Cash in Bank - Local Currency , Current Account 111 8,100.00 Due to BIR 412 900.00 Payment for Professional Services - PHILIP ZAFRA FOR THE PAYMENT OF CONSULTANCY FEE FOR THE MONTH OF JULY 1 - 31, 2009. Ck#241967 Jan 4 2010-01-000246 Due to LGUs 418 6,000.00 Cash in Bank - Local Currency , Current Account 111 6,000.00 Payment for Inter-Agency Payable - BARANGAY PAHINA SAN NICOLAS FINANCIAL ASSISTANCE FOR THE FOODS SERVED DURING THE ANNUAL ANNIVERSARY. Ck#241966 Jan 4 2010-01-000249 Due to Officers and Employees Cash in Bank - Local Currency , Current Account 403 111 6,201.00 6,201.00 Payment / Reimbursement of Travelling Expenses - FE A. CABUGAO FOR REIMBURSEMENT OF TRAVELLING EXPENSES AND PER DIEM FOR HER ATTENDANCE TO THE 2009 NATIONAL POPOULATION CONGRESS ON NOVEMBER 25, 2009. Ck#241965 Jan 4 2010-01-000250 Due to Other NGAs 416 5,000.00 Cash in Bank - Local Currency , Current Account 111 5,000.00 Payment of Allowances, Bonus and Other Compensation - JOCELYN TEJANO PAYMENT OF MABOLO ELEMENTARY SCHOOL CHILDREN'S RONDALLA DURING THE DON SERGIO OSMEÑA SR. ON SEPTEMBER 9, 2009. Ck#241963 Jan 4 2010-01-000251 Due to Officers and Employees 403 10,800.00 Cash in Bank - Local Currency , Current Account 111 10,800.00 Payment / Reimbursement of Travelling Expenses - RAFAEL CHRISTOPHER I. YAP REIMBURSEMENT OF TRAVELLING EXPENSES INCURRED FOR AUGUST 17 - NOVEMBER 26, 2009. Ck#241962 Jan 4 2010-01-000252 Due to Officers and Employees 403 2,700.00 Cash in Bank - Local Currency , Current Account 111 2,700.00 Payment / Reimbursement of Travelling Expenses - MARY ANN W. SUSON REIMBURSEMENT OF TRAVELLING EXPENSES INCURED FOR THE MONTH OF AUGUST 17 - 28, 2009. Ck#241961 Jan 4 2010-01-000253 Due to Officers and Employees 403 8,100.00 Cash in Bank - Local Currency , Current Account 111 8,100.00 Payment / Reimbursement of Travelling Expenses - MARY ANN W. SUSON REIMBURSEMENT OF TRAVELLING EXPENSES INCURRED FOR THE MONTH OF SEPTEMBER 1 NOVEMBER 26, 2009. Ck#241960 Jan 4 2010-01-000254 Due to Officers and Employees 403 10,800.00 Cash in Bank - Local Currency , Current Account 111 10,800.00 Payment / Reimbursement of Travelling Expenses - FERDINAND CAÑETE REIMBURSEMENT OF TRAVELLING EXPENSES INCURRED FOR THE MONTH OF AUGUST 17 NOVEMBER 26, 2009. Ck#241959 Jan 4 2010-01-000255 Due to Officers and Employees 403 15,000.00 Cash in Bank - Local Currency , Current Account 111 13,500.00 Due to BIR 412 1,500.00 Payment for Professional Services - FREDERICK T. RIVERA CONSULTANCY FEE ON REVENUE FOR THE MONTH OF DECEMBER, 2009. Ck#241958 Jan 4 2010-01-000256 Due to Officers and Employees 403 15,000.00 Cash in Bank - Local Currency , Current Account 111 13,500.00 Due to BIR 412 1,500.00 Payment for Professional Services - HENRY E. BACALTOS SALARY AS CONSULT FOR THE MONTH OF DECEMBER, 2009. Ck#241957 Jan 4 2010-01-000257 Due to Other NGAs 416 Cash in Bank - Local Currency , Current Account Due to BIR Jan 4 100,000.00 111 90,000.00 412 10,000.00 Payment for Professional Services - JONIFER DULTRA TO PAYMENT OF BOXING OFFICIATING SERVICES RENDERED DURING THE PABOKSING SA BARANGAY IN THE DIFFERENT VENUES. Ck#241955 2010-01-000258 Due to Officers and Employees 403 18,000.00 Cash in Bank - Local Currency , Current Account 111 16,200.00 Due to BIR 412 1,800.00 Payment for Professional Services - LEGASPI, MANUEL P. CONSULTANCY FEE FOR THE MONTH OF NOVEMBER, 2009. Ck#241954 Jan 4 2010-01-000259 Accounts Payable 401 5,000.00 Cash in Bank - Local Currency , Current Account 111 5,000.00 Payment of Allowances, Bonus and Other Compensation - GLENN CAVERTE HONORARIUM OF SAN ISIDRO DANCE GUILD DURING THE NATIONAL HEROES DAY ON AUGUST 27 - 29, 2009. Ck#241951 Jan 4 2010-01-000260 Due to Officers and Employees 403 2,806.85 Cash in Bank - Local Currency , Current Account 111 2,806.85 Payment for Communication Expenses - DIONISIO S. GUALIZA REIMBURSEMENT OF MONTHLY SUBSCRIPTION FEE FROM SMART COMMUNICATIONS FOR THE PERIOD OF OCTOBER 10 - NOVEMBER 9, 2009. Ck#241950 Jan 4 2010-01-000261 Due to Officers and Employees 403 2,500.00 Cash in Bank - Local Currency , Current Account 111 2,500.00 Payment for Communication Expenses - CESAR ENRIQUEZ REIMBURSEMENT OF GLOBE TELECOM FOR THE PERIOD FROM OCTOBER 21 - NOVEMBER 20, 2009. Ck#241949 Jan 4 2010-01-000262 Due to Officers and Employees 403 700.00 Cash in Bank - Local Currency , Current Account 111 Payment for Communication Expenses - ROGELIO A. LEGASPI Ck#241948 Jan 4 2010-01-000263 Due to Officers and Employees 403 700.00 REIMBURSEMENT OF GLOBE COMMUNICATION SERVICES FOR THE MONTH OF NOVEMBER, 2009. 1,800.00 Cash in Bank - Local Currency , Current Account 111 1,800.00 Payment for Communication Expenses - FRITZGERALD D. HERRERA REIMBURSEMENT OF COMMUNICATION SERVICES FOR THE PERIOD SEPTEMBER 10 - OCTOBER 9, 2009. Ck#241945 Jan 4 2010-01-000265 Accounts Payable 401 27,000.00 Cash in Bank - Local Currency , Current Account 111 25,312.50 Due to BIR 412 1,687.50 Payment for Other Maintenance and Other Operating Expenses - CEBU RED CARPET CATERING SERVICES PAYMENT OF VARIOUS FOOD. Ck#241944 Jan 4 2010-01-000266 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Jan 4 43,200.00 111 40,500.00 412 2,700.00 Payment for Other Maintenance and Other Operating Expenses - CEBU RED CARPET CATERING SERVICES TO PAYMENT REPRESENTING THE PURCHASE OF LUNCH BUFFET Ck#241942 2010-01-000267 Due to LGUs 418 150,050.00 Cash in Bank - Local Currency , Current Account 111 150,050.00 Payment for Other Maintenance and Other Operating Expenses - BARANGAY POBLACION PARDO FINANCIAL ASSISTANCE TO DEFRAY CASH PRIZES & OFFICIATING FEES FOR CHRISTMAS LEAGUE TOURNAMENT CY - 2009. Ck#241939 Jan 4 2010-01-000268 Due to Officers and Employees 403 3,000.00 Cash in Bank - Local Currency , Current Account 111 3,000.00 Payment / Reimbursement of Travelling Expenses - ANJUN A. CUGAY REIMBURSEMENT OF TRAVELLING EXPENSES INCURRED FROM OCTOBER - NOVEMBER, 2009. Ck#241936 Jan 4 2010-01-000269 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 168.00 111 168.00 Payment / Reimbursement of Travelling Expenses - DANILO G. PAEZ REIMBURSEMENT OF TRAVELLING EXPENSES FOR SEPTEMBER 1 - DECEMBER 11, 2009. Ck#241935 Jan 4 2010-01-000270 Due to Officers and Employees 403 1,240.00 Cash in Bank - Local Currency , Current Account 111 1,240.00 Payment / Reimbursement of Travelling Expenses - EDWIN C. MANLOSA REIMBURSEMENT OF TRAVELLING EXPENSES FOR NOVEMBER 1 - 30, 2009. Ck#241934 Jan 4 2010-01-000271 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 1,199.47 111 1,199.47 Payment for Communication Expenses - RONALDO D. MALACORA REIMBURSEMENT OF COMMUNICATION SERVICES FROM OCTOBER 10 - NOVEMBER 9, 2009. Ck#241933 Jan 4 2010-01-000272 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 4,993.49 111 4,993.49 Payment for Communication Expenses - CHRISTOPHER I. ALIX REIMBURSEMENT OF CELLULAR PHONE BILL FOR OCTOBER 10 - NOVEMBER 9, 2009. Ck#241932 Jan 4 2010-01-000273 Due to Officers and Employees 403 490.11 Cash in Bank - Local Currency , Current Account 111 490.11 Payment for Communication Expenses - MR. JED RONALD R. FILOTEO TO REIMBURSE THE MONTHLY CELLULAR PHONEBILL COVERING THE PERIOD FROM OCTOBER 10 TO NOVEMBER 09, 2009 Ck#241931 Jan 4 2010-01-000274 Due to Officers and Employees 403 2,500.00 Cash in Bank - Local Currency , Current Account 111 2,500.00 Payment for Communication Expenses - APOLLO P. DANTE REIMBURSEMENT OF PAYMENT OF COMMUNICATION SERVICES FOR THE MONTH OF OCTOBER, 2009. Ck#241930 Jan 4 2010-01-000275 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 1,000.00 111 1,000.00 Payment for Communication Expenses - MA. MARGARET B. LABELLA REIMBURSEMENT OF PHONE BILL FOR THE MONTH OF NOVEMBER, 2009. Ck#241929 Jan 4 2010-01-000276 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 1,000.00 111 1,000.00 Payment for Communication Expenses - MARICHU B. BORRES REIMBURSEMENT OF COMMUNICATION SERVICES FOR THE MONTH OF NOVEMBER 1 - 30, 2009. Ck#241928 Jan 4 2010-01-000277 Due to Officers and Employees 403 990.00 Cash in Bank - Local Currency , Current Account 111 990.00 Payment for Communication Expenses - HADRIANA A. SAMSON REIMBURSEMENT OF PAYMENT FOR COMMUN ICATION SERVICES FOR THE MONTH OF OCTOBER, 2009. Ck#241926 Jan 4 2010-01-000278 Due to Officers and Employees 403 1,000.00 Cash in Bank - Local Currency , Current Account 111 1,000.00 Payment for Communication Expenses - JOHN PAUL C. GELASQUE REIMBURSEMENT OF PAYMENT OF COMMUNICATION ALLOWANCE FOR THE MONTH OF DECEMBER, 2009. Ck#241925 Jan 4 2010-01-000282 Due to Officers and Employees 4 2010-01-001255 Accounts Payable 4,778.65 111 3,815.10 Due to GSIS 413 730.69 Due to PAG-IBIG 414 132.86 Due to PHILHEALTH Jan 403 Cash in Bank - Local Currency , Current Account 415 100.00 Payment for Due to Officers and Employees - REDENTOR A. BETITO FOR THE PAYMENT FOR FIRST SALARY UNDER THE OFFICE OF THE MAYOR FOR NOVEMBER 16 - 30, 2009. Ck#241977 401 157,242.62 Cash in Bank - Local Currency , Current Account 111 143,203.10 Due to BIR 412 14,039.52 Payment for Accounts Payable- YUTIVO CORPORATION PAYMENT OF OFFICE SPACE RENTAL FOR DECEMBER 2009. Ck#697936 Jan 4 2010-01-001258 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 1,400.00 111 1,400.00 Payment for Due to Officers and Employees - ARNEL C. QUIJANO PAYMENT OF TRAVELLING EXPENSES FOR NOV. 1-30, 2009. Ck#675294 Jan 4 2010-01-001259 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 1,190.00 111 1,190.00 Payment for Due to Officers and Employees - LONESITA B. OLANDAG TO PAYMENT OF TRAVELLING EXPENSES FOR NOV. 1 TO 30, 2009. Ck#675295 Jan 4 2010-01-001260 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 840.00 111 840.00 Payment for Due to Officers and Employees- ALBERTO DACAYANA JR. PAYMENT OF TRAVELLING EXPENSES FOR NOV. 1-30, 2009. Ck#675296 Jan 4 2010-01-001261 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 1,400.00 111 1,400.00 Payment for Due to Officers and Employees - ROGELIO B. RESURRECION PAYMENT OF TRAVELING EXPENSES FOR NOV. 1-30, 2009. Ck#675297 Jan 4 2010-01-001262 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 2,500.00 111 2,500.00 Payment for Due to Officers and Employees - DILAO, CASANDRA PAYMENT OF COMMUNICATION SERVICE FOR AUG. TO DEC. 2009. Ck#698966 Jan 4 2010-01-001264 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 300.00 111 300.00 Payment for Due to Officers and Employees- CIMAGALA, ROSALIMA PAYMENT OF COMMUNICATION SERVICE FOR DECEMBER 2009. Ck#698967 Jan 4 2010-01-001265 Due to Officers and Employees 403 30,000.00 Cash in Bank - Local Currency , Current Account 111 27,000.00 Due to BIR 412 3,000.00 Payment for Due to Officers and Employees- MOSQUEDA, MILAGROS PAYMENT OF CONSULTANCY SERVICE FOR AUG. TO SEPT. 2009. Ck#210118 Jan 4 2010-01-001267 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 650.00 111 650.00 Payment for Due to Officers and Employees- RALPH J. SEVILLA REPLENISHMENT OF PETTY CASH FUND. Ck#210728 Jan 4 2010-01-001270 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 5,526.98 111 5,526.98 Payment for Communication Expenses- NICOMEDES S. LEONOR JR PAYMENT FOR JULY 10 TO AUG. 9, 2009. Ck#241530 Jan 4 2010-01-001271 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 3,500.00 111 3,500.00 Payment for Communication Expenses- NICOMEDES S. LEONOR JR. PAYMENT FOR SEPT. 10, 2009 TO OCTOBER 09, 2009. Ck#241536 Jan 4 2010-01-001272 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 111 5,000.00 5,000.00 Payment of Medical and Burial Assistance - HAZEL VILLANUEVA PAYMENT OF BURIAL ASSISTANCE . Ck#241715 Jan 4 2010-01-001275 Due to Officers and Employees 403 36,000.00 Cash in Bank - Local Currency , Current Account 111 32,400.00 Due to BIR 412 3,600.00 Payment for Due to Officers and Employees- BENJAMIN MILITAR PAYMENT OF CONSULTANCY SERVICES FOR SEPT. TO OCTOBER 2009. Ck#241812 Jan 4 2010-01-001276 Accounts Payable 401 111 464,002.41 Due to BIR 412 29,367.24 Other Payables Jan 4 439 54,818.85 Payment for Accounts Payable- PENTAX HARDWARE INC. TO PAYMENT OF 15 GALLONS ACRYLIC JET BLACK PAINTERS AND OTHER ITEMS. CHECK # 241837 CTV# 17124 = 454,660.60 - PENTAX HARDWARE INC. CHECK # 241838 CTV# 17125 = 9,341.81 - CEBU CI 2010-01-001278 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Jan 4 548,188.50 Cash in Bank - Local Currency , Current Account 45,820.00 111 43,365.35 412 2,454.65 Payment for Accounts Payable - R. ROBINS BUILDERS SUPPLY TO PAYMENT OF 36 SETS BOLT HIGH TENSILE WITH NUT AND LOCK WASHER AND OTHER ITEMS. CHECK # 241887 - CTV # 17303 - 41,749.80 - R. ROBINS BUILDERS SUPPLY CHECK # 241888 - CTV # 17 2010-01-001279 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 8,000.00 111 8,000.00 Payment of Medical and Burial Assistance - ESTRELLA RUAYA PAYMENT OF MEDICAL ASSISTANCE. Ck#241862 Jan 4 2010-01-001280 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Medical and Burial Assistance - LYDIA TOLEDO PAYMENT OF BURIAL ASSISTANCE . Ck#241863 Jan 4 2010-01-001281 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Medical and Burial Assistance - JOSE SONSONA PAYMENT OF BURIAL ASSISTANCE. Ck#241865 Jan 4 2010-01-001282 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Jan 4 3,850.00 111 3,643.75 412 206.25 Payment for Purchase of Inventories, Supplies and Materials Directly Issued to End-User- PETERSPORTS AND CRAFT SALES TO PAYMENT OF COMPACT DISC, PLAQUES AND CERTIFICATES. Ck#241879 2010-01-001418 Due to Officers and Employees Prior Years' Adjustments Cash in Bank - Local Currency , Current Account 403 2,492.00 684 7,300.00 111 2,492.00 Due from Officers and Employees 123 7,300.00 Payment for Due to Officers and Employees- JESS ANTHONY A. DELA CRUZ REIMBURSEMENT OF ACTUAL TRAVEL EXPENSES IN BAGUIO CITY ON APRIL 26-30, 2009. Ck#241731 Jan 4 2010-01-001419 Due to LGUs 418 Cash in Bank - Local Currency , Current Account 111 6,000.00 6,000.00 Payment for Inter-Agency Payable - BARANGAY INAYAWAN TO RELEASE THE FINANCIAL ASSITSANCE FOR LUPON PERSONNEL FOR JULY TO SEPT. 2009. Ck#241864 Jan 4 2010-01-001420 Due to LGUs 418 Cash in Bank - Local Currency , Current Account 360,062.75 111 360,062.75 Payment for Inter-Agency Payable- BARANGAY BINALIW FINANCIAL ASSISTANCE FOR COMMUNITY MICRO ASSISTANCE PROGRAM. Ck#210793 Jan 4 2010-01-001421 Due to LGUs 418 10,000.00 Cash in Bank - Local Currency , Current Account 111 Payment for Inter-Agency Payable- BARANGAY INAYAWAN 2009. Ck#241766 Jan 4 2010-01-001422 Due to LGUs 418 Cash in Bank - Local Currency , Current Account 10,000.00 PAYMENT OF CASH PRIZE FOR BEST UNIFORM DURING THE OENING OF THE CBEU CITY GAMES ON DEC. 12, 294,186.00 111 294,186.00 Payment for Inter-Agency Payable- BARANGAY MALUBOG FINANCIAL ASSISTANCE FOR COMMUNITY MICRO ASSISTANCE PROGRAM. Ck#210695 Jan 4 2010-01-001429 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Jan 4 838,760.00 111 793,826.43 412 44,933.57 Payment for Accounts Payable- IHRAN ENTERPRISES PAYMENT OF SUPPLY AND DELIVERY OF 2 HYDRAUVAC , ASSY., GENUINE & OTHER ITEMS. CHECK # 697930 CTV # 17470 - P 782,948.35 - IHRAN ENTERPRISES CHECK # 697931 CTV # 17471 10,878.08 - CEBU 2010-01-001430 Accounts Payable 401 1,883,283.25 Cash in Bank - Local Currency , Current Account 111 1,782,393.08 Due to BIR 412 100,890.17 Payment for Accounts Payable- SACHEM MARKETING TO PAYMENT OF 12 CS BAG TRASH 30 X37 AND OTHER ITEMS. Jan 4 2010-01-001431 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Jan 4 401 Cash in Bank - Local Currency , Current Account Jan 4 255,200.00 111 239,250.00 412 15,950.00 Payment for Accounts Payable- TUGBUNGAN VILLAGE GARDEN RESORT PAYMENT OF 4400 PAX OF P.M. SNACKS . CHECK # 697917 CTV # 17424 - P 236,713.60 TUGBUNGAN VILLAGE GARDEN RESORT CHECK # 697916 CTV # 17423 2,536.40 - CITY TREASURER FOR 2010-01-001432 Accounts Payable Due to BIR Ck#697912 162,000.00 111 151,875.00 412 10,125.00 Payment for Accounts Payable- CEBU RED CARPET CATERING SERVICES INC. PAYMENT OF VARIOUS FOOD ITEMS SERVED DURING INAGUARAL SESSION OF CITY COUNCIL ON JULY 1, 2009. CHECK # 697932 CTV # 17472 - P148,583.00 - CEBU RED CARPET CATERING CHECK # 6 2010-01-001433 Accounts Payable 401 118,160.00 Cash in Bank - Local Currency , Current Account 111 104,867.00 Due to BIR 412 7,385.00 Performance/Bidders/Bail Bonds Payable 427 5,908.00 Payment for Accounts Payable - INDUSTIRAL INSPECTION PAYMENT OF FOR SOIL DRILLING AT BARANGAY SINSIN, CEBU CITY CHECK # 697947 CTV # 17487 - P 101,897.00 - INDUSTRIAL INSPECTION CHECK # 697938 CTV # 17478 2,970.00 - CEBU CITY TRE Jan 4 2010-01-001434 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR 111 2,855,658.55 2,677,179.89 412 178,478.66 Payment for Accounts Payable- DAKAY CONSTRUCTION AND DEVELOPMENT CORP. 3RD PARTIAL PAYMENT OF 90.007 % WORK ACCOMPLISHMENT OF CONTRACT FOR CONSTRUCTION OF WATERLINE AND SEWERLINE ALONG POND F, SOUTH ROAD PROPERTIES, CEBU CITY. CHECK # 697946 CTV Jan 4 2010-01-001435 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Jan 4 610,732.51 111 572,561.73 412 38,170.78 Payment for Accounts Payable- GELA CONSTRUCTION 1ST AND FINAL PAYMENT OF 100% WORK ACCOMPLISHMENT OF CONTRACT FOR THE CONSTRUCTION OF CONCRETE LINED CANAL WITH COVER AT LUCIO LOPEZ DRIVE HOMEOWNERS ASSOCIATION, BARANGAY CALAMBA, CEBU CITY. CHECK # 6 2010-01-001436 Accounts Payable 401 84,000.00 Cash in Bank - Local Currency , Current Account 111 74,550.00 Due to BIR 412 5,250.00 Performance/Bidders/Bail Bonds Payable 427 4,200.00 Payment for Accounts Payable - TUGBUNGAN VILLAGE GARDEN RESORT/ALTA CEBU VILLAGE GARDEN RESORT TO PAYEMNT OF FOOD AND DRINKS CHECK # 697944 CTV # 17484 - P 73,230.00 - TUGBUNGAN VILLAGE GARDEN RESORT CHECK # 697945 CTV # 17485 1,320 Jan 4 2010-01-001437 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 2,500.00 111 2,500.00 Payment for Due to Officers and Employees - DANILO GABIANA PAYMENT OF COMMUNICATION SERVICE FOR OCT. 6 TO NOV. 5, 2009. Ck#499207 Jan 4 2010-01-001438 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Medical and Burial Assistance- MERCEDITA LEYSON PAYMENT OF BURIAL ASSISTANCE . Ck#625082 Jan 4 2010-01-001875 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Jan 4 378,120.86 111 354,488.30 412 23,632.56 Payment for Accounts Payable - JEGMA CONSTRUCTION & DEVELOPMENT CORP. 3rd and final payment of 99.69% good as 100% work accomplishment of Contract for the Construction of Pulang-bato- Pit-os Bridge, Brgy. Pulangbato and Bgy. Pit-os, Cebu City Check # 2010-01-002233 Due to LGUs 418 Cash in Bank - Local Currency , Current Account 74,080.00 111 74,080.00 Payment for Inter-Agency Payable - BARANGAY LUZ PAYMENT OF HONORARIUM OF GARBAGE WORKERS JULY - AUGUST, 2009. Ck#241947 Jan 4 2010-01-002250 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Jan 4 401 Cash in Bank - Local Currency , Current Account Jan 5 1,995.00 412 105.00 Payment for Accounts Payable - LOLA MARY'S CATERING SERVICES PAYMENT FOR FIFTEEN (15) PAX MEAL FOR THE CONDUCT OF CHILDREN'S CONGRESS CELEBRATION CONTEST ON OCTOBER 12, 2009. Ck#241991 2010-01-002251 Accounts Payable Due to BIR 2,100.00 111 30,500.00 111 28,975.00 412 1,525.00 Payment for Accounts Payable - LOLA MARY'S CATERING SERVICES PAYMENT OF 25 PAX SNACKS FOR MEETINGS OF CEBU FEDERATION OF BARANGAY CHILDRENS ORGANIZATION ON MAY - SEPTEMBER, 2009. Ck#241992 2010-01-001035 Due to Officers and Employees 403 16,166.31 Cash in Bank - Local Currency , Current Account 111 13,916.02 Due to BIR 412 2,250.29 Payment for Due to Officers and Employees - BUAL, EMILIANA L. ET AL AS OVERTIME PAY FOR DECEMBER, 2009. Jan 5 2010-01-001036 Due to Officers and Employees 403 12,091.88 Cash in Bank - Local Currency , Current Account 111 10,882.69 Due to BIR 412 1,209.19 Payment for Due to Officers and Employees - ALMODIEL, MARYLOU A. ET AL AS 0VERTIME PAY FOR DECEMBER, 2009. Jan 6 2010-01-000590 Due to BIR 412 Cash in Bank - Local Currency , Current Account 9,531.57 111 9,531.57 Refund of Excess Employees Taxes, Loans and Premiums - ALBARACIN, ERLINDA DP. AS WITHHOLDING TAX REFUND FOR 2009. Jan 6 2010-01-000591 Due to Officers and Employees 403 11,307.00 Cash in Bank - Local Currency , Current Account 111 10,792.00 Other Payables 439 515.00 Payment for Due to Officers and Employees - AMAYA, MAXIMILLAN A. ET AL AS SALARY FOR DECEMBER 16-31, 2009 Jan 6 2010-01-000592 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 8,374.00 111 8,374.00 Payment for Due to Officers and Employees - NAYAD, MARIA MARGARITA A. AS SALARY FOR DECEMBER 16-31, 2009. Jan 6 2010-01-000593 Due to Officers and Employees 403 92,993.24 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 1,764.17 Due to GSIS 413 18,975.92 Due to PAG-IBIG 414 6,223.35 Due to PHILHEALTH 415 1,750.00 439 6,600.00 Other Payables 57,679.80 Payment for Due to Officers and Employees - ANUB, ERMELINDA M. ET AL AS SALARIES FOR DECEMBER 1-31, 2009. Jan 6 2010-01-000595 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 38,416.50 111 38,416.50 Payment for Due to Officers and Employees - BARRERA, BARBARA N. ET AL AS SALARIES FOR DECEMBER 16-31, 2009. Jan 6 2010-01-000596 Due to Officers and Employees 403 20,424.16 Cash in Bank - Local Currency , Current Account 111 15,496.10 Due to GSIS 413 4,228.06 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 400.00 Other Payables 439 100.00 Payment for Due to Officers and Employees - YONGOT, RHODIFI A. AS SALARY FOR DECEMBER 1-31, 2009. Jan 6 2010-01-000597 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 7,100.00 111 7,100.00 Payment for Due to Officers and Employees - ALCANTAR, HENRY C. ET AL AS TRAVELLING EXPENSES FOR SEPTEMBER, 2009. Jan 6 2010-01-000598 Due to Other NGAs 416 Cash in Bank - Local Currency , Current Account 16,000.00 111 16,000.00 Grant of Subsidies and Donations - ABELLANA, ROMEO T. ET AL AS INCENTIVE ALLOWANCE FOR DECEMBER, 2009 (STATION 5) Jan 6 2010-01-000599 Due to Other NGAs 416 17,000.00 Cash in Bank - Local Currency , Current Account 111 17,000.00 Grant of Subsidies and Donations - ABATAYO, HENRY D. ET AL AS INCENTIVE ALLOWANCE FOR DECEMBER, 2009 (STATION 7) Jan 6 2010-01-000890 Due to BIR 412 Cash in Bank - Local Currency , Current Account Due to BIR Jan 6 3,410,725.14 111 3,368,414.59 412 42,310.55 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare)- LBP-PLAZA BRANCH FOR CREDIT TO THE ACCOUNT OF BIR REMITTANCE FOR DECEMBER 2009 Ck#697949 2010-01-000891 Due to BIR 412 1,714,284.68 Cash in Bank - Local Currency , Current Account 111 1,714,284.68 Remittance of Taxes Withheld from Suppliers, Contractors and Other Creditors-LBP -PLAZA BRANCH FOR CREDIT TO THE ACCOUNT OF BIR REMITTANCE OF FRINCHISE TAX, PERCENTAGE ABD WITHHOLDING VAT FOR DECEMBER 2009. Ck#697950 Jan 6 2010-01-000892 Due to Other Funds 424 10,644,315.00 Cash in Bank - Local Currency , Current Account 111 10,644,315.00 Payment for Intra-Agency Payable- TRUST FUND PROPER TO TRANSFER THE AMOUNT WHICH WAS ERRONEOUSLY DEPOSITED TO GF- PROPER ACCOUNT INSTEAD TO TO TRUST FUND-PROPER ACCOUNT WHICH REPRESENTS FINANCIAL ASSISTANCE TO KILOS ASENSO PROGRAM AUTHORIZED UND Jan 6 2010-01-000893 Due to Other Funds 424 1,000,000.00 Cash in Bank - Local Currency , Current Account 111 1,000,000.00 Payment for Intra-Agency Payable - TRUST FUND-PDAF TO TRANSFER THE AMOUNT WHICH WAS ERRONEOUSLY DEPOSITED TO GENERAL FUND PROPER ACCOUNT INSTEAD TO TRUST FUND -PDAF ACCOUNT FOR AMOUNT AUTHORIZED UNDER SARO NO. ROCS-08-05537 DTD. 06/23/2008 Ck#697955 Jan 6 2010-01-000894 Other Payables 439 1,147,863.56 Cash in Bank - Local Currency , Current Account 111 1,147,863.56 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare) - CEBU CFI COMMUNITY COOPERATIVE REMITTANCE FOR DECEMBER 2009. Ck#697956 Jan 6 2010-01-000895 Due to GSIS 413 Cash in Bank - Local Currency , Current Account 11,044,257.53 111 11,044,257.53 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare) - GSIS REMITTANCE FOR DECEMBER 2009. Ck#697957 Jan 6 2010-01-000896 Due to LGUs 418 Cash in Bank - Local Currency , Current Account 99,559.15 111 99,559.15 Payment for Inter-Agency Payable - BARANGAY TABUNAN REAL PROPERTY TAX SHARE FOR JULY TO SEPT. 2009. Ck#241998 Jan 6 2010-01-000897 Due to LGUs 418 Cash in Bank - Local Currency , Current Account 105,496.85 111 105,496.85 Payment for Inter-Agency Payable - BARANGAY SUBA REAL PROPERTY TAX SHARE FOR JULY TO SEPT. 2009. Ck#242001 Jan 6 2010-01-000946 Due to BIR 412 557,884.21 Cash in Bank - Local Currency , Current Account 111 557,884.21 Remittance of Taxes Withheld from Suppliers, Contractors and Other Creditors-LBP-PLAZA BRANCH FOR CREDIT TO THE ACCOUNT OF BIR REMITTANCE OF EXPANDED WITHHOLDING TAX FOR DECEMBER 2009. Ck#697951 Jan 6 2010-01-000953 Due to LGUs 418 Cash in Bank - Local Currency , Current Account 111 217,853.07 217,853.07 Payment for Inter-Agency Payable- BARANGAY SAWANG CALERO REALTY TAX SHARE FOR FOR JULY TO SEPT. 2009. Ck#242002 Jan 6 2010-01-000955 Due to LGUs 418 Cash in Bank - Local Currency , Current Account 114,801.06 111 114,801.06 Payment for Inter-Agency Payable- BARANGAY TO-ONG REALTY TAX SHARE FOR JULY TO SEPT. 2009. Ck#242003 Jan 6 2010-01-000956 Due to LGUs 418 Cash in Bank - Local Currency , Current Account 99,724.44 111 99,724.44 Payment for Inter-Agency Payable- BARANGAY SINSIN REALTY TAX SHARE FOR JULY TO SEPT. 2009. Ck#242006 Jan 6 2010-01-000957 Due to PAG-IBIG Due from Officers and Employees 414 1,564.52 123 0.20 Cash in Bank - Local Currency , Current Account 111 1,564.72 Refund of Excess Employees Taxes, Loans and Premiums- ERAS AGUSTIN TO REFUND THE PAG-IBIG LOAN PAYMENT FOR NOV. 2009. NOTE: AMOUNT OF CHECK ISSUED = P1,564.72 AMOUNT OF CLAIM PAV NO. 22000 = 1,564.52 Jan 6 2010-01-000958 Due to PAG-IBIG 414 Cash in Bank - Local Currency , Current Account 1,060.55 111 1,060.55 Refund of Excess Employees Taxes, Loans and Premiums - VICENTE SY JR. TO REFUND THE PAG-IBIG LOAN PAYMENT FOR NOVEMBER 2009. Ck#242009 Jan 6 2010-01-000960 Performance/Bidders/Bail Bonds Payable Other Payables 427 7,683.00 439 15,366.00 Cash in Bank - Local Currency , Current Account 111 23,049.00 Refund of Performance Bond to Contractor- PENTAX HARDWARE TO REFUND THE PERFORMANCE BOND AND RETENTION WARRANTY UNDER PAV # 16268 DATED 09/16/09 Ck#242010 Jan 6 2010-01-000961 Other Payables 439 Cash in Bank - Local Currency , Current Account 3,292.00 111 3,292.00 Refund of Excess Employees Taxes, Loans and Premiums- BRENDA COLINA TO REFUND THE BCCI LOAN PAYMENT FOR DECEMBER 2009. Ck#242011 Jan 6 2010-01-000962 Due from Other Funds 144 1,000.00 Cash in Bank - Local Currency , Current Account 111 1,000.00 Refund of Performance Bond to Contractor- ALMA CABASA TO REFUND THE PAYMENT OF CASH BOND UNDER OFFICIAL RECIEPT # 8564469 DATED 01/13/09 (NOTE: TRUST FUND - PROPER ERRONEOUSLY PAID BY GF-PROPER) Ck#242013 Jan 6 2010-01-000964 Performance/Bidders/Bail Bonds Payable 427 140,000.00 Cash in Bank - Local Currency , Current Account 111 140,000.00 Refund of Performance Bond to Contractor- PASAJERO MOTORS TO REFUND THE BID SECURITY FOR BID NO. B-09-538 UNDER OFFICIAL RECIEPT # 9473122 DATED 10/27/09 Ck#242018 Jan 6 2010-01-000966 Advances to Officers and Employees 148 Cash in Bank - Local Currency , Current Account 121,000.00 111 121,000.00 Grant of Cash Advance- LORNA LOGICO FOR LTO REGISTRATION OF 61 UNITS CITY OWNED VEHICLE FOR YR 2010. Ck#242019 Jan 6 2010-01-000968 Due to BIR 412 246,179.73 Cash in Bank - Local Currency , Current Account 111 246,179.73 Remittance of Taxes Withheld from Suppliers, Contractors and Other Creditors -LBP-PLAZA BRANCH FOR CREDIT TO THE ACCOUNT OF BIR REMITTANCE OF FRANCHISE TAX, PERCENTAGE TAX AND WITHHOLDING-VAT FOR DECEMBER 2009. Ck#712648 Jan 6 2010-01-000969 Due to BIR 412 Cash in Bank - Local Currency , Current Account 111 435,798.06 435,798.06 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare)-LBP-PLAZA BRANCH FOR CREDIT TO THE ACCOUNT OF BIR REMITTANCE OF WITHHOLDING TAX ON COMPENSATION FOR DECEMBER 2009. Ck#712649 Jan 6 2010-01-000970 Due to BIR 412 90,973.77 Cash in Bank - Local Currency , Current Account 111 90,973.77 Remittance of Taxes Withheld from Suppliers, Contractors and Other Creditors - LBP-PLAZA BRANCH FOR CREDIT TO THE ACCOUNT OF BIR REMITTANCE OF EXPANDED WITHHOLDING TAX FOR DECEMBER 2009. Ck#712650 Jan 6 2010-01-000972 Other Payables 439 139,666.00 Cash in Bank - Local Currency , Current Account 111 139,666.00 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare) - CEBU CFI COMMUNITY COOPERATIVE REMITTANCE FOR DECEMBER 2009. Ck#712651 Jan 6 2010-01-000973 Other Payables 439 30,306.31 Cash in Bank - Local Currency , Current Account 111 30,306.31 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare) - BAYANIHAN MULTIPURPOSE COOPERATIVE REMITTANCE FOR DECEMBER 2009. Ck#712652 Jan 6 2010-01-000974 Due to GSIS 413 Cash in Bank - Local Currency , Current Account 1,523,728.89 111 1,523,728.89 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare) - GSIS REMITTANCE FOR DECEMBER 2009 Jan 6 2010-01-000976 Due to BIR 412 Ck#712653 323,695.68 Cash in Bank - Local Currency , Current Account 111 323,695.68 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare)- LBP -PLAZA BRANCH FOR CREDIT TO THE ACCOUNT OF BIR REMITTANCE OF WITHHOLDING TAX ON COMPENSATION FOR DECEMBER 2009. Ck#703666 Jan 6 2010-01-000977 Due to BIR 412 54,780.41 Cash in Bank - Local Currency , Current Account 111 54,780.41 Remittance of Taxes Withheld from Suppliers, Contractors and Other Creditors- LBP-PLAZA BRANCH FOR CREDIT TO THE ACCOUNT OF BIR REMITTANCE OF EXPANDED WITHHOLDING TAX FOR DECEMBER 2009. Ck#703665 Jan 6 2010-01-001044 Due to Other NGAs 416 Cash in Bank - Local Currency , Current Account 16,000.00 111 16,000.00 Grant of Subsidies and Donations - ABELLANA, ROMEO T. ET AL AS INCENTIVE ALLOWANCE FOR NOVEMBER, 2009. Jan 6 2010-01-001045 Due to Other NGAs 416 Cash in Bank - Local Currency , Current Account 22,666.66 111 22,666.66 Grant of Subsidies and Donations - ACOP, JOSE EDWARD V. ET AL AS INCENTIVE ALLOWANCE FOR NOVEMVER, 2009 Jan 6 2010-01-001046 Due to Other NGAs 416 Cash in Bank - Local Currency , Current Account 20,820.00 111 20,820.00 Grant of Subsidies and Donations - ALALIM, DARRYL M. ET AL AS INCENTIVE ALLOWANCE FOR OCTOBER, 2009. Jan 6 2010-01-001047 Due to Officers and Employees 403 36,855.46 Cash in Bank - Local Currency , Current Account 111 24,821.63 Due to BIR 412 2,628.95 Due to GSIS 413 5,865.88 Due to PAG-IBIG 414 600.00 Due to PHILHEALTH 415 625.00 Other Payables 439 2,314.00 Payment for Due to Officers and Employees - ALOLOD, MARIVIC G. ET AL AS SALARIES FOR DECEMBER 1-31, 2009. Jan 6 2010-01-001048 Due to BIR 412 Cash in Bank - Local Currency , Current Account 119.86 111 119.86 Refund of Excess Employees Taxes, Loans and Premiums - TABOADA, ANACLETO A. AS WITTHOLDING TAX REFUND FOR 2009. Jan 6 2010-01-001049 Due to BIR 412 Cash in Bank - Local Currency , Current Account 410.45 111 410.45 Refund of Excess Employees Taxes, Loans and Premiums - ARDIMER, BENGIE B. AS WITHHOLDING TAX REFUND FOR 2009. Jan 6 2010-01-001050 Due to BIR 412 Cash in Bank - Local Currency , Current Account 2,187.84 111 2,187.84 Refund of Excess Employees Taxes, Loans and Premiums - ARDISA, RUFINO P. ET AL AS WITHHOLDING TAX REFUND FOR 2009. Jan 6 2010-01-001051 Due to Officers and Employees 403 16,036.40 Cash in Bank - Local Currency , Current Account 111 4,287.44 Due to BIR 412 1,663.83 Due to GSIS 413 4,992.89 Due to PAG-IBIG 414 938.37 Due to PHILHEALTH 415 300.00 Other Payables 439 3,853.87 Payment for Due to Officers and Employees - ALBARRACIN, NYMPHA A. AS SALARY FOR DECEMBER 1-31, 2009. Jan 6 2010-01-001052 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 4,220.00 111 4,220.00 Payment for Due to Officers and Employees - CUYNO, ERWIN A. ET AL AS TRAVELLING ALLOWANCE FOR OCTOBER, 2009. Jan 6 2010-01-001054 Due to Officers and Employees 403 10,444.41 Cash in Bank - Local Currency , Current Account 111 6,541.09 Due to BIR 412 1,920.78 Due to GSIS 413 1,607.54 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 175.00 Payment for Due to Officers and Employees - TORRES, MARCELINO S. AS SALARY FOR DECEMBER 1-31, 2009. Jan 6 2010-01-001055 Due to BIR 412 Cash in Bank - Local Currency , Current Account 63,902.93 111 63,902.93 Refund of Excess Employees Taxes, Loans and Premiums - BECARI, MAE JOAN L. ET AL WITHHOLDING TAX REFUND FOR 2009. Jan 6 2010-01-001089 Due to BIR 412 131,121.32 Cash in Bank - Local Currency , Current Account 111 131,121.32 Remittance of Taxes Withheld from Suppliers, Contractors and Other Creditors-LBP-PLAZA BRANCH FOR CREDIT TO THE ACCOUNT OF BIR REMITTANCE OF FRANCHINSE TAX, PERCENTAGE TAX AND WITHHOLDING VAT FOR DECEMBER 2009. Ck#703667 Jan 6 2010-01-001090 Other Payables 439 Cash in Bank - Local Currency , Current Account 111 41,797.40 41,797.40 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare)- BAYANIHAN MULTIPURPOSE COOPERATIVE REMITTANCE FOR DECEMBER 2009. Ck#703668 Jan 6 2010-01-001091 Due to GSIS 413 Cash in Bank - Local Currency , Current Account 1,532,663.05 111 1,532,663.05 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare)- GSIS REMITTANCE FOR DECEMBER 2009. Ck#703669 Jan 6 2010-01-001092 Due to BIR 412 29,664.83 Cash in Bank - Local Currency , Current Account 111 29,664.83 Remittance of Taxes Withheld from Suppliers, Contractors and Other Creditors- LBP-PLAZA BRANCH FOR CREDIT TO THE ACCOUNT OF BIR REMITTANCE OF FRANCHISE, PERCENTAGE AND WITHOLDING-VAT FOR DECEMBER 2009. Ck#698968 Jan 6 2010-01-001093 Due to BIR 412 33,101.29 Cash in Bank - Local Currency , Current Account 111 33,101.29 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare)-LBP-PLAZA BRANCH FOR CREDIT TO THE ACCOUNT OF BIR REMITTANCE OF WITHHOLDING TAX ON COMPENSATION FOR DECEMBER 2009 Ck#698969 Jan 6 2010-01-001098 Due to BIR 412 7,251.72 Cash in Bank - Local Currency , Current Account 111 7,251.72 Remittance of Taxes Withheld from Suppliers, Contractors and Other Creditors- LBP-PLAZA BRANCH FOR CREDIT TO THE ACCOUNT OF BIR REMITTANCE OF EXPANDED WITHHOLDING TAX FOR DEC. 2009. Ck#698970 Jan 6 2010-01-001108 Other Payables 439 2,500.00 Cash in Bank - Local Currency , Current Account 111 2,500.00 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare)- CEBU CFI COMMUNITY COOPERATIVE REMITTANCE FOR DECEMBER 2009. Ck#698971 Jan 6 2010-01-001109 Other Payables 439 1,200.00 Cash in Bank - Local Currency , Current Account 111 1,200.00 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare) - BAYANIHAN MULTIPURPOSE COOPERATIVE REMITTANCE FOR DECEMBER 2009. Ck#698972 Jan 6 2010-01-001111 Due to GSIS 413 Cash in Bank - Local Currency , Current Account 166,695.59 111 166,695.59 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare)- GSIS REMITTANCE FOR DECEMBER 2009. Ck#698973 Jan 6 2010-01-001114 Due to BIR 412 2,593.25 Cash in Bank - Local Currency , Current Account 111 2,593.25 Remittance of Taxes Withheld from Suppliers, Contractors and Other Creditors- LBP-PLAZA BRANCH FOR CREDIT TO THE ACCOUNT OF BIR REMITTANCE OF FRANCHISE, PERCENTAGE AND WITHHOLDING VAT FOR DECEMBER 2009. Ck#675298 Jan 6 2010-01-001165 Due to BIR 412 1,862.00 Cash in Bank - Local Currency , Current Account 111 1,862.00 Remittance of Taxes Withheld from Suppliers, Contractors and Other Creditors- LBP-PLAZA BRANCH FOR CREDIT TO THE ACCOUNT OF BIR REMITTANCE OF EXPANDED WITHHOLDING TAX FOR DEC. 2009 Ck#675299 Jan 6 2010-01-001173 Due to BIR 412 41,733.43 Cash in Bank - Local Currency , Current Account 111 41,733.43 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare)- LBP-PLAZA BRANCH FOR CREDIT TO THE ACCOUNT OF BIR REMITTANCE OF WITHHOLDING TAX ON COMPENSATION FOR DECEMBER 2009. Ck#675300 Jan 6 2010-01-001174 Other Payables 439 67,102.61 Cash in Bank - Local Currency , Current Account 111 67,102.61 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare)- CEBU CFI COMMUNITY COOPERATIVE REMITTANCE FOR DECEMBER 2009. Ck#675302 Jan 6 2010-01-001181 Other Payables 439 26,987.05 Cash in Bank - Local Currency , Current Account 111 26,987.05 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare)- BAYANIHAN MULTI PURPOSE COOOPERATIVE REMITTANCE FOR DEC. 2009. Ck#675303 Jan 6 2010-01-001218 Due to GSIS 413 Cash in Bank - Local Currency , Current Account 403,772.56 111 403,772.56 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare)- GSIS REMITTANCE FOR DECEMBER 2009. Ck#675304 Jan 6 2010-01-001221 Due to BIR 412 6,218.41 Cash in Bank - Local Currency , Current Account 111 6,218.41 Remittance of Taxes Withheld from Suppliers, Contractors and Other Creditors- LBP-PLAZA BRANCH FOR CREDIT TO THE ACCOUNT OF BIR REMMITTANCE OF FRANCHISE, PERCENTAGE AND WITHHOLDING -VAT FOR DECEMBER 2009. Ck#499208 Jan 6 2010-01-001223 Due to BIR 412 48,913.37 Cash in Bank - Local Currency , Current Account 111 48,913.37 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare)-LBP-PLAZA BRANCH FOR CREDIT TO THE ACCOUNT OF BIR REMITTANCE OF WITHHOLDING TAX ON COMPENSATION FOR DECEMBER 2009. Ck#499209 Jan 6 2010-01-001226 Due to BIR 412 1,243.69 Cash in Bank - Local Currency , Current Account 111 1,243.69 Remittance of Taxes Withheld from Suppliers, Contractors and Other Creditors- LBP-PLAZA BRANCH FOR CREDIT TO THE ACCOUNT OF BIR REMITTANCE OF EXPANDED WITHHOLDING TAX FOR DECEMBER 2009. Ck#499210 Jan 6 2010-01-001227 Other Payables 439 1,440.00 Cash in Bank - Local Currency , Current Account 111 1,440.00 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare) - CEBU CFI COMMUNITY COOPERATIVE REMITTANCE FOR DECEMBER 2009 Ck#499211 Jan 6 2010-01-001229 Due to GSIS 413 Cash in Bank - Local Currency , Current Account 137,815.85 111 137,815.85 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare)- GSIS REMITTANCE FOR DECEMBER 2009. Ck#499212 Jan 6 2010-01-001231 Due to BIR 412 6,035.86 Cash in Bank - Local Currency , Current Account 111 6,035.86 Remittance of Taxes Withheld from Suppliers, Contractors and Other Creditors- LBP-PLAZA BRANCH FOR CREDIT TO THE ACCOUNT OF BIR REMITTANCE OF FRANCHISE, PERCENTAGE AND WITHHOLDING VAT FOR DECEMBER 2009. Ck#675847 Jan 6 2010-01-001232 Due to BIR 412 5,358.60 Cash in Bank - Local Currency , Current Account 111 5,358.60 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare) - LBP-PLAZA BRANCH FOR CREDIT TO THE ACCOUNT OF BIR REMITTANCE OF WITHHOLDING TAX ON COMPENSATION FOR DECEMBER 2009. Ck#675848 Jan 6 2010-01-001233 Due to BIR 412 Cash in Bank - Local Currency , Current Account 111 6,475.50 6,475.50 Remittance of Taxes Withheld from Suppliers, Contractors and Other Creditors-LBP-PLAZA BRANCH FOR CREDIT TO THE ACCOUNT OF BIR REMITTANCE OF EXPANDED WITHHOLDING TAX FOR DECEMBER 2009. Ck#675849 Jan 6 2010-01-001234 Other Payables 439 4,965.00 Cash in Bank - Local Currency , Current Account 111 4,965.00 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare)- CEBU CFI COMMUNITY COOPERATIVE REMITTANCE FOR DECEMBER 2009. Ck#675850 Jan 6 2010-01-001235 Due to GSIS 413 Cash in Bank - Local Currency , Current Account 78,261.94 111 78,261.94 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare)- GSIS REMITTANCE FOR DECEMBER 2009. Ck#675851 Jan 6 2010-01-001236 Due to BIR 412 195,498.21 Cash in Bank - Local Currency , Current Account 111 195,498.21 Remittance of Taxes Withheld from Suppliers, Contractors and Other Creditors- LBP-PLAZA BRANCH FOR CREDIT TO THE ACCOUNT OF BIR REMITTANCE OF EXPANDED WITHHOLDING TAX FOR DECEMBER 2009. Ck#703162 Jan 6 2010-01-001237 Due to BIR 412 845,790.59 Cash in Bank - Local Currency , Current Account 111 845,790.59 Remittance of Taxes Withheld from Suppliers, Contractors and Other Creditors - LBP-PLAZA BRANCH FOR CREDIT TO THE ACCOUNT OF BIR REMITTANCE OF FRANCHISE, PERCENTAGE AND WITHHOLDING-VAT FOR DECEMBER 2009. Ck#703163 Jan 6 2010-01-001238 Due to BIR 412 150.00 Cash in Bank - Local Currency , Current Account 111 150.00 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare) - LBP-PLAZA BRANCH FOR CREDIT TO THE ACCOUNT OF BIR REMITTANCE OF WITHHOLDING TAX ON COMPENSATION FOR DECEMBER 2009. Ck#703164 Jan 6 2010-01-001239 Due to GSIS 413 Cash in Bank - Local Currency , Current Account 5,847.13 111 5,847.13 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare) - GSIS REMITTANCE FOR DECEMBER 2009. Ck#510482 Jan 7 2010-01-000285 Other Payables 439 80,212.00 Cash in Bank - Local Currency , Current Account 111 80,212.00 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare)- CCMC EMPLOYEES MULTI PURPOSE COOP. REMITTANCE FOR DECEMBER, 2009. Ck#697958 Jan 7 2010-01-000286 Other Payables 439 711,653.23 Cash in Bank - Local Currency , Current Account 111 711,653.23 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare) - BAYANIHAN MULTIPURPOSE COOPERATIVE REMITTANCE FOR DECEMBER, 2009. Ck#697959 Jan 7 2010-01-000287 Due to PAG-IBIG 414 Cash in Bank - Local Currency , Current Account 2,748,278.23 111 2,748,278.23 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare) -HOME DEV'T MUTUAL FUND REMITTANCE FOR DECEMBER 2009. Jan 7 2010-01-000288 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 3,000.00 111 3,000.00 Payment of Allowances, Bonus and Other Compensation- OFELIA M. OLIVA PAYMENT OF CASH INCENTIVE BONUS. Ck#210858 Jan 7 2010-01-000289 Due to Officers and Employees 403 5,000.00 Ck#697960 Cash in Bank - Local Currency , Current Account 111 5,000.00 Payment of Allowances, Bonus and Other Compensation - OFELIA M. OLIVA PAYMENT OF PERFORMANCE ENCHANCEMENT INCENTIVE FOR YR. 2009. Jan 7 2010-01-000290 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account Ck#210859 2,000.00 111 2,000.00 Refund of Performance Bond to Contractor- SACHEM MARKETING TO REFUND THE BID SECURITY UNDER OFFICIAL RECIEPT # 9247294 DATED 08/27/09 Jan 7 2010-01-000291 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 1,050.00 111 1,050.00 Refund of Performance Bond to Contractor- SACHEM MARKETING TO REFUND THE BID SECURITY UNDER OFFICIAL RECIEPT # 9322018 DATED 08/28/09 Jan 7 2010-01-000292 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 7 2010-01-000293 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account Ck#242021 2,000.00 111 2,000.00 Refund of Performance Bond to Contractor - SACHEM MARKETING TO REFUND THE BID SECURITY UNDER OFFICIAL RECIEPT # 9201337 DATED 07/30/09 Jan Ck#242020 Ck#242022 500.00 111 500.00 Refund of Performance Bond to Contractor - SACHEM MARKETING TO REFUND THE BID SECURITY UNDER OFFICIAL RECEIPT # 9368728 DTD 09/25/09. Ck#242023 Jan 7 2010-01-000294 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 43,000.00 111 43,000.00 Refund of Performance Bond to Contractor - SACHEM MARKETING TO REFUND THE BID SECURITY UNDER OFFICIAL RECIEPT #8985825 DTD 05/12/09. Ck#242024 Jan 7 2010-01-000295 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 8,000.00 111 8,000.00 Refund of Performance Bond to Contractor - SACHEM MARKETING TO REFUND THE BID SECURITY UNDER OFFICIAL RECEIPT # 9422205 DTD 10/09/09 Ck#242025 Jan 7 2010-01-000296 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 1,000.00 111 1,000.00 Refund of Performance Bond to Contractor - SACHEM MARKETING TO REFUND THE BID SECURITY UNDER OFFICIAL RECEIPT # 8751243 DATED 03/03/09 Jan 7 2010-01-000297 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account Ck#242026 1,400.00 111 1,400.00 Refund of Performance Bond to Contractor - SACHEM MARKETING TO REFUND THE BID SECURITY UNDER OFFICIAL RECEIPT # 9422204 DATED 10/09/09. Ck#242027 Jan 7 2010-01-000298 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 3,000.00 111 3,000.00 Refund of Performance Bond to Contractor- SACHEM MARKETING TO REFUND THE BID SECURITY UNDER OFFICIAL RECIEPT # 9422201 DATED 10/09/09 Jan 7 2010-01-000299 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account Ck#242028 1,300.00 111 1,300.00 Refund of Performance Bond to Contractor- SACHEM MARKETING TO REFUND THE BID SECURITY UNDER OFFICIAL RECEIPT # 9419740 DATED 10/02/09. Ck#242029 Jan 7 2010-01-000300 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 111 8,500.00 8,500.00 Refund of Performance Bond to Contractor - SACHEM MARKETING TO REFUND THE BID SECURITY UNDER OFFICIAL RECEIPT # 9294946 DATED 09/03/09. Ck#242030 Jan 7 2010-01-000301 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 1,000.00 111 1,000.00 Refund of Performance Bond to Contractor- SACHEM MARKETING TO REFUND THE BID SECURITY UNDER OFFICIAL RECEIPT # 8855407 DATED 04/01/09 Ck#242031 Jan 7 2010-01-000302 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 2,000.00 111 2,000.00 Refund of Performance Bond to Contractor - SACHEM MARKETING TO REFUND THE BID SECURITY UNDER OFFICIAL RECEIPT 9420370 DATED 10/06/09 Ck#242032 Jan 7 2010-01-000303 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 1,620.00 111 1,620.00 Refund of Performance Bond to Contractor - SACHEM MARKETING TO REFUND THE BID SECURITY UNDER OFFICIAL RECEIPT # 9465217 DATED 10/29/09 Ck#242033 Jan 7 2010-01-000304 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 2,100.00 111 2,100.00 Refund of Performance Bond to Contractor - SACHEM MARKETING TO REFUND THE BID SECURITY UNDER OFFICIAL RECEIPT # 9420371 DATED 10/06/09 Jan 7 2010-01-000305 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 620.00 111 620.00 Refund of Performance Bond to Contractor - SACHEM MARKETING TO REFUND THE BID SECURITY UNDER OFFICIAL RECEIPT # 9420369 DATED 10/06/09 Jan 7 2010-01-000306 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account Ck#242034 Ck#242035 5,220.00 111 5,220.00 Refund of Performance Bond to Contractor- SACHEM MARKETING TO REFUND THE BID SECUIRTY UNDER OFFICIAL RECEIPT NO. 9067209 DTD. 06/16/2009. Ck#242040 Jan 7 2010-01-000307 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 3,000.00 111 3,000.00 Refund of Performance Bond to Contractor - SACHEM MARKETING TO REFUND THE BID SECURITY UNDER OFFICAL RECEIPT # 9046565 DATED 05/28/09 Jan 7 2010-01-000308 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account Ck#242041 3,000.00 111 3,000.00 Refund of Performance Bond to Contractor - SACHEM MARKETING TO REFUND THE BID SECURITY UNDER OFFICIAL RECEIPT # 9046559 DATED 05/28/09 . Ck#242042 Jan 7 2010-01-000309 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 3,200.00 111 3,200.00 Refund of Performance Bond to Contractor- SACHEM MARKETING TO REFUND THE BID SECURITY UNDER OFFICIAL RECEIPT # 8635962 DATED 04/16/09 Jan 7 2010-01-000310 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 32,000.00 111 32,000.00 Refund of Performance Bond to Contractor - SACHEM MARKETING TO REFUND THE BID SECURITY UNDER OFFICIAL RECEIPT # 885504 DATED 04/01/09 Jan 7 2010-01-000311 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 7 2010-01-000312 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 111 Ck#242037 2,050.00 111 2,050.00 Refund of Performance Bond to Contractor - SACHEM MARKETING TO REFUND THE BID SECURITY UNDER OFFICIAL RECEIPT # 9088041 DATED 06/10/09 Jan Ck#242036 Ck#242038 1,000.00 1,000.00 Refund of Performance Bond to Contractor - SACHEM MARKETING TO REFUND THE BID SECURITY UNDER OFFICIAL RECEIPT # 9172822 DATED 07/14/09 Ck#242039 Jan 7 2010-01-000313 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 3,000.00 111 3,000.00 Refund of Performance Bond to Contractor - SACHEM MARKETING TO REFUND THE BID SECURITY UNDER OFFICIAL RECEIPT # 9368726 DATED 09/25/09 Jan 7 2010-01-000314 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account Ck#242043 3,500.00 111 3,500.00 Refund of Performance Bond to Contractor - SACHEM MARKETING TO REFUND THE BID SECURITY UNDER OFFICIAL RECEIPT # 9172820 DATED 07/14/09 Ck#242044 Jan 7 2010-01-000315 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 2,500.00 111 2,500.00 Refund of Performance Bond to Contractor - SACHEM MARKETING TO REFUND THE BID SECURITY UNDER OFFICIAL RECEIPT # 9203509 DATED 07/28/09. Ck#242045 Jan 7 2010-01-000316 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 4,000.00 111 4,000.00 Refund of Performance Bond to Contractor - SACHEM MARKETING TO REFUND THE BID SECURITY UNDER OFFICIAL RECEIPT #9172819 DATED 07/14/09 Jan 7 2010-01-000317 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 150.00 111 150.00 Refund of Performance Bond to Contractor - SACHEM MARKETING TO REFUND THE BID SECURITY UNDER OFFICIAL RECEIPT # 9418695 DATED 09/30/09 Jan 7 2010-01-000318 Performance/Bidders/Bail Bonds Payable 427 Ck#242046 Ck#242047 1,300.00 Cash in Bank - Local Currency , Current Account 111 1,300.00 Refund of Performance Bond to Contractor- SACHEM MARKETING TO REFUND THE BID SECURITY UNDER OFFICIAL RECIEPT # 9368727 DATED 09/25/09 Ck#242048 Jan 7 2010-01-000319 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 21,481.10 111 21,481.10 Refund of Performance Bond to Contractor - PHILCOPY CORP. TO REFUND THE PERFOMANCE BOND UNDER OFFICIAL RECIEPT # 9313356 DATED 09/01/09 Jan 7 2010-01-000320 Other Payables 439 4,869.60 Cash in Bank - Local Currency , Current Account 111 Refund of Performance Bond to Contractor - PENTAX HARDWARE 12/03/09 Ck#242050 Jan 7 2010-01-000321 Performance/Bidders/Bail Bonds Payable 427 Ck#242049 4,869.60 TO REFUND THE RETENTION WARRANTY UNDER AV # 14671 DATED 09/03/09 AND CTV # 16038 DTD 4,200.00 Cash in Bank - Local Currency , Current Account 111 4,200.00 Refund of Performance Bond to Contractor - LOLA MARY'S CATERING TO REFUND THE PERFRMANCE B0ND UNDER PAV# 01799 DATED01/29/09 AND CTV# 15547 DATED 11/20/09 Ck#242051 Jan 7 2010-01-000322 Performance/Bidders/Bail Bonds Payable 427 4,338.50 Cash in Bank - Local Currency , Current Account 111 4,338.50 Refund of Performance Bond to Contractor - UPTOWN INDUSTRIAL SALES, INC. TO REFUND THE BID SECURITY UNDER OFFICIAL RECEIPT # 9294940 DATED 090309 Ck#242052 Jan 7 2010-01-000323 Performance/Bidders/Bail Bonds Payable 427 1,759.33 Cash in Bank - Local Currency , Current Account 111 1,759.33 Refund of Performance Bond to Contractor - UPTOWN INDUSTRIAL SALES INC. TO REFUND THE PERFORMANCE BOND UNDER OFFICIAL RECEIPT # 9472769 DATED 10-2109. Ck#242053 Jan 7 2010-01-000324 Due to Officers and Employees 403 1,032.00 Cash in Bank - Local Currency , Current Account 111 1,032.00 Payment / Reimbursement for Miscellaneous, Extra-ordinary / Confidential Expenses - FRANCISCO L. FERNANDEZ LUNCHEON MEETING OF E-ENGAS . Ck#242054 Jan 7 2010-01-000325 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account TO PAYMENT OF FOOD AND DRINKS DURING THE 1,000.00 111 1,000.00 Payment of Allowances, Bonus and Other Compensation- CUGAY ANJUN ET AL TO PAYMENT OF CHRISTMAS INCENTIVES 2009. Ck#242055 Jan 7 2010-01-000326 Due to Officers and Employees 403 6,250.00 Cash in Bank - Local Currency , Current Account 111 6,250.00 Payment of Allowances, Bonus and Other Compensation - BERNALDEZ, JOSEPH ET AL / ABELLANOSA, RICO P. ET AL TO PAYMENT OF CHRISTMAS INCENTIVE 2009. Ck#242056 Jan 7 2010-01-000327 Due to Officers and Employees 403 5,724.40 Cash in Bank - Local Currency , Current Account 111 4,588.13 Due to GSIS 413 876.85 Due to PAG-IBIG 414 159.42 Due to PHILHEALTH 415 100.00 Payment of Salaries and Wages thru Bank- MARY ANN N. CUEVAS TO PAYMENT FOR DEC. 16-31,2009. Jan 7 2010-01-000328 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account Ck#242057 500.00 111 500.00 Payment of Allowances, Bonus and Other Compensation - BORDAJE, AILEEN ET AL TO PAYMENT OF CHRISTMAS INCENTIVES YR. 2009. Ck#242059 Jan 7 2010-01-000329 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 1,290.00 111 1,290.00 Refund of Performance Bond to Contractor - SACHEM MARKETING TO REFUND THE BID SECURITY UNDER OFFICIAL RECIEPT # 9067212 DATED 06/16/09 Jan 7 2010-01-000330 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 650.00 111 650.00 Refund of Performance Bond to Contractor - SACHEM MARKETING TO REFUND THE BID SECURITY UNDER OFFICIAL RECEiPT # 9067385 DATED 06/18/09 Jan 7 2010-01-000331 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account Ck#242060 Ck#242061 3,000.00 111 3,000.00 Refund of Performance Bond to Contractor- SACHEM MARKETING TO REFUND THE BID SECURITY UNDER OFFICIAL RECEIPT #9124034 DATED 06/23/09. Ck#242062 Jan 7 2010-01-000332 Performance/Bidders/Bail Bonds Payable 427 700.00 Cash in Bank - Local Currency , Current Account 111 700.00 Refund of Performance Bond to Contractor - SACHEM MARKETING TO REFUND THE BID SECURITY UNDER OFFICIAL RECEIPT # 9172823 DATED 07/14/09 (NOTE: TAKEN UP UNDER THIS ACCOUNT) Ck#242063 Jan 7 2010-01-000333 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 2,100.00 111 2,100.00 Refund of Performance Bond to Contractor- SACHEM MARKETING TO REFUND THE BID SECURITY UNDER OFFICIAL RECEIPT # 8855406 DATED 04/01/09. Ck#242064 Jan 7 2010-01-000334 Performance/Bidders/Bail Bonds Payable 427 150.00 Cash in Bank - Local Currency , Current Account 111 150.00 Refund of Performance Bond to Contractor - SACHEM MARKETING TO REFUND THE BID SECURITY UNDER OFFICIAL RECEIPT # 8903709 DATED 04/21/09 Jan 7 2010-01-000335 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account Ck#242065 240.00 111 240.00 Refund of Performance Bond to Contractor - SACHEM MARKETING TO REFUND THE BID SECURITY UNDER OFFICIAL RECEIPT #9201331 DATED 07/30/09. Ck#242066 Jan 7 2010-01-000336 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 10,000.00 111 10,000.00 Refund of Performance Bond to Contractor - SACHEM MARKETING TO REFUND BID SECURITY UNDER OFFICIAL RECEIPT # 9124807 DATED 07/07/09 Ck#242067 Jan 7 2010-01-000337 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 6,500.00 111 6,500.00 Refund of Performance Bond to Contractor - SACHEM MARKETING TO REFUND THE BID SECURITY UNDER OFFICIAL RECEIPT # 9422202 DATED 10/09/09 Ck#242068 Jan 7 2010-01-000338 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 33,000.00 111 33,000.00 Refund of Performance Bond to Contractor - SACHEM MARKETING TO REFUND THE BID SECURITY UNDER OFFICIAL RECEIPT 3 9473123 DAED 10/27/09 Ck#242069 Jan 7 2010-01-000339 Other Payables 439 1,598,206.00 Cash in Bank - Local Currency , Current Account 111 1,598,206.00 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare) - CCMC EMPLOYEES MULTI- PURPOSE COOP REMITTANCE FOR DECEMBER, 2009. Ck#712654 Jan 7 2010-01-000340 Due to Officers and Employees 403 350.00 Cash in Bank - Local Currency , Current Account 111 350.00 Payment of Allowances, Bonus and Other Compensation- EDGAR C. ABELGAS TO PAYMENT OF SUBSISTENCE AND LAUNDRY ALLOWANCE FOR OCTOBER 2009. Ck#712656 Jan 7 2010-01-000341 Due to PAG-IBIG 414 Cash in Bank - Local Currency , Current Account 274,071.41 111 274,071.41 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare) - HOME DEV. MUTUAL FUND REMITTANCE FOR DECEMBER 2009 Ck#712655 Jan 7 2010-01-000342 Due to PAG-IBIG 414 Cash in Bank - Local Currency , Current Account 547,781.35 111 547,781.35 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare) - HOME DEV. MUTUAL FUND REMITTANCE FOR DECEMBER 2009. Ck#703670 Jan 7 2010-01-000343 Due to PAG-IBIG 414 Cash in Bank - Local Currency , Current Account 56,257.14 111 56,257.14 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare) - HOME DEV'T MUTUAL FUND REMITTANCE FOR DECEMBER 2009. Ck#698974 Jan 7 2010-01-000344 Due to PAG-IBIG 414 Cash in Bank - Local Currency , Current Account 127,538.71 111 127,538.71 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare) - HOME DEV'T MUTUAL FUND REMITTANCE FOR DECEMBER 2009. Ck#675305 Jan 7 2010-01-000345 Due to PAG-IBIG 414 Cash in Bank - Local Currency , Current Account 111 57,015.53 57,015.53 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare) - HOME DEV'T MUTUAL FUND REMITTANCE FOR DECEMBER 2009 . Ck#499214 Jan 7 2010-01-000346 Other Payables 439 17,870.97 Cash in Bank - Local Currency , Current Account 111 17,870.97 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare) - BAYANIHAN MULTIPURPOSE COOPERATIVE Ck#499215 Jan 7 2010-01-000347 Other Payables 439 REMITTANCE FOR DECEMBER 2009. 2,850.00 Cash in Bank - Local Currency , Current Account 111 2,850.00 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare) - BAYANIHAN MULTIPURPOSE COOPERATIVE REMITTANCE FOR DECEMBER 2009. Ck#675852 Jan 7 2010-01-000348 Due to PAG-IBIG 414 Cash in Bank - Local Currency , Current Account 17,892.90 111 17,892.90 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare)- HOME DEV'T MUTUAL FUND REMITTANCE FOR DECEMBER 2009. Ck#675853 Jan 7 2010-01-000349 Due to PAG-IBIG 414 Cash in Bank - Local Currency , Current Account 4,103.73 111 4,103.73 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare) - HOME DEV'T MUTUAL FUND REMITTANCE FOR DECEMBER 2009. Ck#510483 Jan 7 2010-01-000601 Due to Officers and Employees 403 55,261.76 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 30,946.29 2,924.39 Due to GSIS 413 18,491.08 Due to PAG-IBIG 414 800.00 Due to PHILHEALTH 415 2,100.00 Payment for Due to Officers and Employees - BARING, ANNA LEAH A. ET AL AS SALARIES FOR DECEMBER 1-15, 2009. Jan 7 2010-01-000602 Due to Officers and Employees 403 91,969.00 Cash in Bank - Local Currency , Current Account 111 89,969.00 Other Payables 439 2,000.00 Payment for Due to Officers and Employees - CAMONGGOL, MARY ESTER Y. ET AL AS SALARY FOR DECEMBER 16-31, 2009. Jan 7 2010-01-000603 Due to Officers and Employees 403 93,765.66 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 46,261.36 5,038.43 Due to GSIS 413 23,979.02 Due to PAG-IBIG 414 9,398.42 Due to PHILHEALTH 415 1,575.00 Other Payables 439 7,513.43 Payment for Due to Officers and Employees - CAPACITE, ELSIE V. ET AL AS SALARIES FOR DECEMBER 1-31, 2009. Jan 7 2010-01-000605 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 3,000.00 111 3,000.00 Payment for Due to Officers and Employees - BERONQUE, AL L. ET AL AS PRODUCTIVITY BONUS FOR 2008. Jan 7 2010-01-000606 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 111 59,341.00 59,341.00 Payment for Due to Officers and Employees - AUREO, CRISTALENE F. ET AL AS SALARIES FOR DECEMBER 16-31, 2009. Jan 7 2010-01-000607 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 50,725.00 111 50,725.00 Payment for Due to Officers and Employees - ABADIANO, LEONOR G. ET AL AS SUBSISTENCE AND LAUNDRY ALLOWANCE FOR NOVEMBER, 2009. Jan 8 2010-01-000035 Prior Years' Adjustments 684 9,000.00 Cash in Bank - Local Currency , Current Account 111 9,000.00 Payment for Training Expenses - PHILIPPINE COUNCILORS LEAGUE, payment for the registration fee of Councilor Rodrigo Abellanosa to the 2009 Philippine Councilors League last December 11-13, 2009 Ck#241629 Jan 8 2010-01-000037 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 500.00 111 500.00 Refund of Performance Bond to Contractor - CRISMARK GEN. MERCHANDISE, withdraw of performance bond Ck#208968 Jan 8 2010-01-000211 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Allowances, Bonus and Other Compensation - FRANCISCO L. FERNANDEZ payment of productivity enhancement incentives for the year 2009. Ck#210860 Jan 8 2010-01-000212 Accounts Payable 401 111 30,028.92 Due to BIR 412 1,900.56 Other Payables Jan 8 35,477.20 Cash in Bank - Local Currency , Current Account 439 3,547.72 Cash Purchase of Property, Plant and Equipment - CEBU D & F ENTERPRISES payment for 2 pcs. Corkboard with Frame 3 ft. x 2 ft., 3 bottles ink for whiteboard pilot pen - black color 30 ml. and other office supplies. CHECK NO: 210861 CTV 194 P 29,319.3 2010-01-000213 Due to PAG-IBIG 414 Cash in Bank - Local Currency , Current Account 2,793.37 111 2,793.37 Refund of Excess Employees Taxes, Loans and Premiums - TOMAKIN, JUFRENA P. Jan 8 2010-01-000264 Other Payables 439 Cash in Bank - Local Currency , Current Account Due to BIR Jan 8 refund of Pag-ibig Loan for the month of November 2009. Ck#242070 68,854.20 111 53,703.55 412 15,150.65 Payment of Allowances, Bonus and Other Compensation - FERNANDEZ, FRANCISCO L. ET AL Payment of honorarium of BAC members, TWG and Secretariat for the month of December 2009. Ck#242071 2010-01-000381 Due to BIR 412 Cash in Bank - Local Currency , Current Account 6,617.00 111 6,617.00 Refund of Excess Employees Taxes, Loans and Premiums - CABARON, CHONA M. ET AL AS WITHHOLDING TAX REFUND FOR 2009. Jan 8 2010-01-000382 Due to BIR 412 Cash in Bank - Local Currency , Current Account 6,504.11 111 6,504.11 Refund of Excess Employees Taxes, Loans and Premiums - BADAYOS, ANGELITO V. ET AL AS WITHHOLDING TAX REFUND FOR 2009. Jan 8 2010-01-000383 Due to BIR 412 Cash in Bank - Local Currency , Current Account 4,304.01 111 4,304.01 Refund of Excess Employees Taxes, Loans and Premiums - CABRERA, MARIO J. ET AL AS WITHHOLDING TAX REFUND FOR 2009. Jan 8 2010-01-000384 Due to BIR 412 237.90 Cash in Bank - Local Currency , Current Account 111 237.90 Refund of Excess Employees Taxes, Loans and Premiums - RAGASAJO, MONTE CARLA SJ. AS WITHHOLDING TAX REFUND FOR 2009. Jan 8 2010-01-000385 Due to Officers and Employees 403 38,836.42 Cash in Bank - Local Currency , Current Account 111 25,281.76 Due to BIR 412 1,414.34 Due to GSIS 413 9,703.50 Due to PAG-IBIG 414 1,786.82 Due to PHILHEALTH 415 650.00 Payment for Due to Officers and Employees - GORRES, MARGIE D. ET AL FOR DECEMBER 1-31, 2009. Jan 8 2010-01-000386 Due to Officers and Employees 403 34,609.50 Cash in Bank - Local Currency , Current Account 111 33,006.50 Other Payables 439 1,603.00 Payment for Due to Officers and Employees - AGATON, RHEA JANE G. ET AL FOR DECEMBER 16-31, 2009 Jan 8 2010-01-000387 Due to Officers and Employees 403 65,679.31 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 39,884.23 1,823.21 Due to GSIS 413 15,482.96 Due to PAG-IBIG 414 2,914.91 Due to PHILHEALTH 415 1,175.00 Other Payables 439 4,399.00 Payment for Due to Officers and Employees - BERONQUE, AL L. ET.AL. FOR DECEMBER 1-31, 2009. Jan 8 2010-01-000388 Due to Officers and Employees 403 21,386.11 Cash in Bank - Local Currency , Current Account 111 8,488.58 Due to BIR 412 2,331.55 Due to GSIS 413 3,678.98 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 425.00 Other Payables 439 6,262.00 Payment for Due to Officers and Employees - SABAN, VICTORIANO D. FOR DECEMBER 1-31, 2009. Jan 8 2010-01-000389 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 60,000.00 111 60,000.00 Payment for Due to Officers and Employees - ABARQUEZ, ALFONSO C. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-000390 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 120,000.00 111 120,000.00 Payment for Due to Officers and Employees - ABORDO, OSCAR S. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-000391 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 65,000.00 111 65,000.00 Payment for Due to Officers and Employees - ABUGAN, PORTIA A. ET AL AS PRODUCTIVITY ENCHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-000392 Due to Officers and Employees 403 110,000.00 Cash in Bank - Local Currency , Current Account 111 110,000.00 Payment for Due to Officers and Employees - ABELLA, MAY A. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-000393 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 197,000.00 111 197,000.00 Payment for Due to Officers and Employees - ABELLANA, ANTONIETTA G. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-000394 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 10,000.00 111 10,000.00 Payment for Due to Officers and Employees - NAYAD, MARIA MARGARITA A. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-000395 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 335,000.00 111 335,000.00 Payment for Due to Officers and Employees - ABELLA, PONCIANO R. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-000396 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 40,000.00 111 40,000.00 Payment for Due to Officers and Employees - ABENOJA, LUISITO D. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-000397 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 80,000.00 111 80,000.00 Payment for Due to Officers and Employees - ARCHE, ANDRES U. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-000398 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 25,000.00 111 25,000.00 Payment for Due to Officers and Employees - CABUNGCAL, NORMA V. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-000399 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 210,000.00 111 210,000.00 Payment for Due to Officers and Employees - ARCILLO, RENARIO J. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-000400 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 145,000.00 111 145,000.00 Payment for Due to Officers and Employees - ALEGADO, JAMES O. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-000401 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 245,000.00 111 245,000.00 Payment for Due to Officers and Employees - ABAD, LOLITA Q. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-000402 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 105,000.00 111 105,000.00 Payment for Due to Officers and Employees - ALCUIZAR, SNRTA MARIE TRECE A. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-000403 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 111 15,000.00 15,000.00 Payment for Due to Officers and Employees - BANONO, ROMEO P. ET AL.AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-000404 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 600,000.00 111 600,000.00 Payment for Due to Officers and Employees - ABASTILLAS, EPIFANIAR. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-000405 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 35,000.00 111 35,000.00 Payment for Due to Officers and Employees - ABADIA, JONATHAN A. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-000406 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 90,000.00 111 90,000.00 Payment for Due to Officers and Employees - ASPACIO, MARIA ELENA G. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-000407 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 730,000.00 111 730,000.00 Payment for Due to Officers and Employees-ABADIANO LENOR, ET.AL. AS PRODUCTIVITY ENCHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-000408 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 30,000.00 111 30,000.00 Payment for Due to Officers and Employees - ALBUTRA, ORLANDO C. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-000409 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 278,000.00 111 278,000.00 Payment for Due to Officers and Employees - ABELLAR, ESMERALDO T. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-000410 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 45,000.00 111 45,000.00 Payment for Due to Officers and Employees - ABASIA, ROY F. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVE FOR 2009. Jan 8 2010-01-000411 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 128,000.00 111 128,000.00 Payment for Due to Officers and Employees - ABELLA, JEYNO V. ET AL AS PRODUCIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-000412 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 15,000.00 111 15,000.00 Payment for Due to Officers and Employees - ABONG, FELIXBERTO P. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-000413 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 139,500.00 111 139,500.00 Payment for Due to Officers and Employees - ABELLA, ANANIAS JR. D. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-000414 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 350.00 111 350.00 Payment for Due to Officers and Employees - PONCE, NINFA O. AS SUBSISTENCE AND LAUNDRY ALLOWANCE FOR NOVEMBER, 2009. Jan 8 2010-01-000415 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 111 700.00 700.00 Payment for Due to Officers and Employees - LOPEZ, MARY GRACE S. ET AL AS SUBSISTENCE AND LAUNDRY ALLOWANCE FOR NOVEMBER, 2009. Jan 8 2010-01-000416 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 293.19 111 293.19 Payment for Due to Officers and Employees - OYBENES, JECEBEL Z. ET AL AS HAZARD PAY FOR NOVEMBER, 2009. Jan 8 2010-01-000418 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 13,675.00 111 13,675.00 Payment for Due to Officers and Employees - ABERION, YVONNE M. ET AL AS SUBSISTENCE AND LAUNDERY ALLOWANCE FOR NOVEMBER, 2009. Jan 8 2010-01-000419 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 661.35 111 661.35 Payment for Due to Officers and Employees - BONTILAO, ALYTH A. ET AL AS HAZARD PAY FOR NOVEMBER, 2009. Jan 8 2010-01-000421 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 2,350.00 111 2,350.00 Payment for Due to Officers and Employees - BONTILAO, ALYTH A. ET AL AS SUBSISTENCE AND LAUNDRY ALLOWANCE FOR NOVEMBER, 2009. Jan 8 2010-01-000423 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 1,400.00 111 1,400.00 Payment for Due to Officers and Employees - BORRES, ROBERTO JR. T. AS SUBSISTENCE AND LAUNDRY ALLOWANCE FOR NOVEMBER, 2009. Jan 8 2010-01-000426 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 45,000.00 111 45,000.00 Payment for Due to Officers and Employees -CAÑA, ROMEO DC. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-000427 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 45,000.00 111 45,000.00 Payment for Due to Officers and Employees - ARACAN, FILOMENA M. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-000431 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 95,000.00 111 95,000.00 Payment for Due to Officers and Employees - ANG, JEROME G. ET AL AS PERFORMANCE ENHANCEMENT INCENTIVE FOR 2009. Jan 8 2010-01-000432 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 385,000.00 111 385,000.00 Payment for Due to Officers and Employees - ABELLA, FRANCISCA Y. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-000434 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 85,000.00 111 85,000.00 Payment for Due to Officers and Employees - ADLAWAN, RUFINA A. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-000435 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 53,000.00 111 53,000.00 Payment for Due to Officers and Employees - BAGUIO, SERGIO B. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-000436 Due to Officers and Employees Cash in Bank - Local Currency , Current Account 403 111 5,000.00 5,000.00 Payment for Due to Officers and Employees - OSMEÑA, TOMAS DR. AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-000437 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 250,000.00 111 250,000.00 Payment for Due to Officers and Employees - ABABON, MARIBETH V. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-000438 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 222,000.00 111 222,000.00 Payment for Due to Officers and Employees - ABELLA, ROGER Y. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-000439 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 180,000.00 111 180,000.00 Payment for Due to Officers and Employees - BARDOS, FILOMENA N. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-000440 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 45,000.00 111 45,000.00 Payment for Due to Officers and Employees - ABARQUEZ, JANE C. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-000441 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 295,000.00 111 295,000.00 Payment for Due to Officers and Employees - ADLAWAN, PHOEBE INA, ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-000442 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 85,000.00 111 85,000.00 Payment for Due to Officers and Employees- ABELLANOSA, RODRIGO A. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-000444 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment for Due to Officers and Employees - SANAPO, RENE B. AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-000445 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 5,653.50 111 5,653.50 Payment for Due to Officers and Employees - FAELNAR, AMBROSIO V. AS SALARY FOR DECEMBER 16-31, 2009 Jan 8 2010-01-000446 Due to BIR 412 Cash in Bank - Local Currency , Current Account 3,003.85 111 3,003.85 Refund of Excess Employees Taxes, Loans and Premiums - OCAÑADA, ESTEBAN L. AS WITHHOLDING TAX REFUND FOR 2009. Jan 8 2010-01-000447 Due to BIR 412 Cash in Bank - Local Currency , Current Account 3,056.86 111 3,056.86 Refund of Excess Employees Taxes, Loans and Premiums - OBERES, MARIO V. ET AL AS WITHHOLDING TAX REFUND FOR 2009. Jan 8 2010-01-000448 Due to Officers and Employees 403 21,168.96 Cash in Bank - Local Currency , Current Account 111 9,769.51 Due to BIR 412 591.38 Due to GSIS 413 4,308.07 Due to PAG-IBIG 414 500.00 Due to PHILHEALTH 415 400.00 Other Payables 439 5,600.00 Payment for Due to Officers and Employees - ARTES, NOEL B. ET AL AS SALARY FOR DECEMBER 1-31, 2009. Jan 8 2010-01-000450 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 500.00 111 500.00 Payment for Due to Officers and Employees - CORTES, LANI F. AS CASH INCENTIVES FOR 2009. Jan 8 2010-01-000462 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 100,000.00 111 100,000.00 Payment for Due to Officers and Employees - ABELLA, EUSEBIO A. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-000463 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 195,000.00 111 195,000.00 Payment for Due to Officers and Employees - ABELLANA, ROLANDO DV. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-000464 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 65,000.00 111 65,000.00 Payment for Due to Officers and Employees - ABBU, GLESILDA T. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-000465 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 554,000.00 111 554,000.00 Payment for Due to Officers and Employees - ABAINZA, ANGELES C. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-000466 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 235,000.00 111 235,000.00 Payment for Due to Officers and Employees - ABENDAN, RABI V. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-000467 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 320,000.00 111 320,000.00 Payment for Due to Officers and Employees - ABADILLA, NERISSA B. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-000468 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 360,000.00 111 360,000.00 Payment for Due to Officers and Employees - ABANGAN, GRENILO R. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-000469 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 90,000.00 111 90,000.00 Payment for Due to Officers and Employees - ALICAYA, VON BRYAN M. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-000470 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 200,000.00 111 200,000.00 Payment for Due to Officers and Employees - ABERION, YVONNE M. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-000471 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 111 460,000.00 460,000.00 Payment for Due to Officers and Employees - ABELLA, JOSEPHINE T. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-000474 Due to Officers and Employees 403 38,693.50 Cash in Bank - Local Currency , Current Account 111 38,343.50 Other Payables 439 350.00 Payment for Due to Officers and Employees - BACULAO, ELEMP A. ET AL AS SALARY FOR DECEMBER 16-31, 2009. Jan 8 2010-01-000475 Due to Officers and Employees 403 14,278.65 Cash in Bank - Local Currency , Current Account 111 9,527.47 Due to GSIS 413 2,411.18 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 275.00 439 1,865.00 Other Payables Payment for Due to Officers and Employees - NAVASCUES, SHELLANI A. AS SALARY FOR DECEMBER 1-31, 2009. Jan 8 2010-01-000476 Due to Officers and Employees 403 11,012.77 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 4,499.99 565.95 Due to GSIS 413 3,354.28 Due to PAG-IBIG 414 1,917.55 Due to PHILHEALTH 415 175.00 Other Payables 439 500.00 Payment for Due to Officers and Employees - RADAZA, ARNULFO P. AS SALARY FOR DECEMBER 1-31, 2009 (1ST, 2ND, 3RD & 4TH WEEK) Jan 8 2010-01-000480 Due from Other Funds 144 Cash in Bank - Local Currency , Current Account 1,260.00 111 1,260.00 Payment for Due to Officers and Employees - INEZ, EDGAR B. AS REIMBURSEMENT OF TRAVELLING EXPENSES FOR OCTOBER, 2009 Jan 8 2010-01-000484 Due from Other Funds 144 Cash in Bank - Local Currency , Current Account 1,260.00 111 1,260.00 Payment for Due to Officers and Employees - TACATANI, VICENTE E. AS REIMBURSMENT OF TRAVELLING EXPENSES FOR SEPTEMBER, 2009. Jan 8 2010-01-000488 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 18,460.50 111 18,460.50 Payment for Due to Officers and Employees - DEBALUCOS, ROLAND B. ET AL AS YEAR-END BONUS AND CASH GIFT FOR 2009. Jan 8 2010-01-000489 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 150.00 111 150.00 Payment for Due to Officers and Employees - ROSCO, SULPICIO RUPERTO B. ET AL AS HAZARD PAY FOR DECEMBER, 2009. Jan 8 2010-01-000491 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 15,000.00 111 15,000.00 Payment for Due to Officers and Employees - CANARES, GRACIA NENITA B. ET AL AS LOYALTY BONUS Jan 8 2010-01-000492 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 111 1,750.00 1,750.00 Payment for Due to Officers and Employees - CABATINO, MAY ROSALIE P. ET AL AS SUBSISTENCE AND LAUNDRY ALLOWANCE FOR OCTOBER, 2009. Jan 8 2010-01-000493 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 3,572.49 111 3,572.49 Payment for Due to Officers and Employees - AVENIDO, RICHEL Z. ET AL AS HAZARD PAY FOR NOVEMBER, 2009. Jan 8 2010-01-000495 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment for Due to Officers and Employees - BALDERIAN, EUFEMIA P. AS LOYALTY BONUS Jan 8 2010-01-000496 Due to Officers and Employees 403 10,000.00 Cash in Bank - Local Currency , Current Account 111 5,000.00 Other Payables 439 5,000.00 Payment for Due to Officers and Employees - MANIGOS, SOLOMON A. ET AL AS LOYALTY BONUS Jan 8 2010-01-000497 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 105,000.00 111 105,000.00 Payment for Due to Officers and Employees - BACALSO, SCEPIO Y. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-000500 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 475,000.00 111 475,000.00 Payment for Due to Officers and Employees-ABELLA URBANO, ET.AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-000501 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 65,000.00 111 65,000.00 Payment for Due to Officers and Employees - CORTES, SERAPION , JR. L. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-000502 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 2,500.00 111 2,500.00 Payment for Due to Officers and Employees - ALIBAY, NUMERITO C. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-000503 Due to Officers and Employees 403 64,121.90 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 31,158.65 3,782.08 Due to GSIS 413 20,149.04 Due to PAG-IBIG 414 4,403.38 Due to PHILHEALTH 415 1,150.00 Other Payables 439 3,478.75 Payment for Due to Officers and Employees - BARITUA, GRACE O. ET AL AS SALARY FOR DECEMBER 1-31, 2009. Jan 8 2010-01-000504 Due to Officers and Employees 403 23,988.41 Cash in Bank - Local Currency , Current Account 111 16,961.82 Due to BIR 412 2,160.37 Due to GSIS 413 4,191.22 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 475.00 Payment for Due to Officers and Employees - LIM, RICHELLE R. AS SALARIES FOR DECEMBER 1-31, 2009. Jan 8 2010-01-000506 Due to Officers and Employees 403 16,627.76 Cash in Bank - Local Currency , Current Account 111 13,350.68 Due to GSIS 413 2,777.08 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 300.00 Payment for Due to Officers and Employees - LAPIZ, MERRYVIEVE C. AS SALARIES FOR DECEMBER 1-31, 2009. Jan 8 2010-01-000881 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 4,613.04 111 4,613.04 Payment for Due to Officers and Employees - ARCHIVAL, ROBINA P. ET AL AS HAZARD PAY FOR OCTOBER, 2009. Jan 8 2010-01-001115 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment for Due to Officers and Employees - BONTUYAN, EVANGELINE M. AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-001116 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 190,000.00 111 190,000.00 Payment for Due to Officers and Employees - AJUL, ABDULAJID T. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-001118 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 200,000.00 111 200,000.00 Payment for Due to Officers and Employees - ABELLANA, FELIX N. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-001119 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 20,000.00 111 20,000.00 Payment for Due to Officers and Employees - BORRES, ROBERTO JR. T. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-001122 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 25,000.00 111 25,000.00 Payment for Due to Officers and Employees - BONTILAO, ALYTH A. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-001125 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 52,900.00 111 52,900.00 Payment for Due to Officers and Employees - ABADIANO, EARL G. ET AL AS SUBSISTENCE AND LAUNDRY ALLOWANCE FOR NOVEMBER, 2009. Jan 8 2010-01-001126 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 500.00 111 500.00 Payment for Due to Officers and Employees - LANUARIAS, HYDEE S. AS TRAVELLING ALLOWANCE FOR NOVEMBER, 2009. Jan 8 2010-01-001127 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 500.00 111 500.00 Payment for Due to Officers and Employees - LANURIAS, HYDEE S. AS TRAVELLING ALLOWANCE FOR DECEMBER, 2009. Jan 8 2010-01-001128 Due to BIR 412 Cash in Bank - Local Currency , Current Account 1,116.09 111 1,116.09 Refund of Excess Employees Taxes, Loans and Premiums - BALAGA, MEYRICK RICARDO A. AS WITHHOLDING TAX REFUND FOR 2009. Jan 8 2010-01-001129 Due to Officers and Employees 403 10,000.00 Cash in Bank - Local Currency , Current Account 111 10,000.00 Payment for Due to Officers and Employees - BERRAME, ALAN M. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-001308 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 90,000.00 111 90,000.00 Payment for Due to Officers and Employees - ABELLA, ALYN A. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-001319 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 85,000.00 111 85,000.00 Payment for Due to Officers and Employees - ALCANTARA, BRENT M. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-001320 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 145,000.00 111 145,000.00 Payment for Due to Officers and Employees - ANTIPORTA, BENJAMIN Q. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-001321 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 80,000.00 111 80,000.00 Payment for Due to Officers and Employees - ALESNA, ALEXANDER M. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-001323 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 100,000.00 111 100,000.00 Payment for Due to Officers and Employees - ABAN, ELEAZAR S. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-001324 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 55,000.00 111 55,000.00 Payment for Due to Officers and Employees - ABELLA, LOLITA N. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009, Jan 8 2010-01-001325 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 75,000.00 111 75,000.00 Payment for Due to Officers and Employees - ABELLA, ANTONIO JR. T. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-001326 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 50,000.00 111 50,000.00 Payment for Due to Officers and Employees - AMAYA, MAXIMILLAN A. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-001327 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 10,000.00 111 10,000.00 Payment for Due to Officers and Employees - BORDAJE, AILEEN B. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-001328 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 205,000.00 111 205,000.00 Payment for Due to Officers and Employees - ABELLA, MYRA A. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-001329 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 111 205,000.00 205,000.00 Payment for Due to Officers and Employees - ABANO, JOSELITO N. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-001330 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 213,500.00 111 213,500.00 Payment for Due to Officers and Employees - ABADIA, MA. FATIMA E. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-001332 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 129,000.00 111 129,000.00 Payment for Due to Officers and Employees - ALARDE, AIDA F. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-001333 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 40,000.00 111 40,000.00 Payment for Due to Officers and Employees - ABATAYO, EVANGELINE T. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-001334 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 110,000.00 111 110,000.00 Payment for Due to Officers and Employees - ARNIBAL, RICHIE Y. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-001336 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 25,000.00 111 25,000.00 Payment for Due to Officers and Employees - BAGUIO, SILVERIANA L. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-001337 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 70,000.00 111 70,000.00 Payment for Due to Officers and Employees - ABASTAS, VIRGILIO B. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-001338 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 25,000.00 111 25,000.00 Payment for Due to Officers and Employees - CASTANEDA, NORMAN D. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-001339 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 10,000.00 111 10,000.00 Payment for Due to Officers and Employees - DIÑO, DOMINIC A. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-001340 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 380,000.00 111 380,000.00 Payment for Due to Officers and Employees - ABALLE, FELIX B. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-001366 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 532.00 111 532.00 Payment for Due to Officers and Employees - BACALAN, DANILO A. AS TRAVELLING ALLOWANCE FOR NOVEMBER, 2009. Jan 8 2010-01-001368 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 20,000.00 111 20,000.00 Payment for Due to Officers and Employees - BALCON, MARIO B. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-001369 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 111 20,000.00 20,000.00 Payment for Due to Officers and Employees - ALCESTO, VICENTE G. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-001372 Due to Officers and Employees 403 40,924.05 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 28,306.44 1,206.15 Due to GSIS 413 10,086.46 Due to PAG-IBIG 414 600.00 Due to PHILHEALTH 415 725.00 Payment for Due to Officers and Employees - OPAY, JEFF MIKOL A. ET AL AS SALARIES FOR DECEMBER 1-31, 2009 Jan 8 2010-01-001374 Due to Other NGAs 416 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Grant of Subsidies and Donations - ANDALES, DIOSDADO P. ET AL AS INCENTIVE ALLOWANCE FOR NOVEMBER, 2009. Jan 8 2010-01-001381 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 75,000.00 111 75,000.00 Payment for Due to Officers and Employees - ARCILLA, LORDE L. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-001383 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 40,000.00 111 40,000.00 Payment for Due to Officers and Employees - ARDIMER, BENGIE B. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009 Jan 8 2010-01-001385 Due to Other NGAs 416 Cash in Bank - Local Currency , Current Account 143,865.95 111 143,865.95 Grant of Subsidies and Donations - ABAYAN VILMA B. ET AL AS INCENTIVE ALLOWANCE FOR NOVEMBER, 2009. Jan 8 2010-01-001386 Due to Other NGAs 416 Cash in Bank - Local Currency , Current Account 10,703.00 111 10,703.00 Grant of Subsidies and Donations - AMOR, ROLANDO F. ET AL AS INCENTIVE ALLOWANCE FOR NOVEMBER, 2009. Jan 8 2010-01-001389 Due to Other NGAs 416 Cash in Bank - Local Currency , Current Account 16,000.00 111 16,000.00 Grant of Subsidies and Donations - BADOY MARIALOLITA C. ET AL AS INCENTIVE ALLOWANCE FOR NOVEMBER, 2009. Jan 8 2010-01-001390 Due to Other NGAs 416 Cash in Bank - Local Currency , Current Account 22,000.00 111 22,000.00 Grant of Subsidies and Donations - ABESIA, ELMER I. ET AL AS INCENTIVE ALLOWANCE FOR OCTOBER, 2009. Jan 8 2010-01-001878 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 320,000.00 111 320,000.00 Payment for Due to Officers and Employees - ABARQUEZ, EDGAR S. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 8 2010-01-001881 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 2,000.00 111 2,000.00 Payment for Due to Officers and Employees - CARUZCA, VINCENT A. AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 11 2010-01-000214 Due to Officers and Employees Cash in Bank - Local Currency , Current Account 403 111 800.00 800.00 Payment for Other Maintenance and Other Operating Expenses - KAHULUGAN, CYNTHIA M. League of Secretary to the Sangguniang, Inc. at the Golden Peak Hotel last November 20 Jan 11 2010-01-000215 Due to Officers and Employees 403 Reimbursement for payment of registration fee for the monthly meeting of the Phil. 122.08 Cash in Bank - Local Currency , Current Account 111 99.19 Due to GSIS 413 22.89 Payment of Salaries and Wages thru Bank - YBAÑEZ, JONAS of DPS Payment of salary step increment covering the period from December 16 to 31, 2009. Ck#210864 Jan 11 2010-01-000216 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 3,692.00 111 3,692.00 Payment of Allowances, Bonus and Other Compensation - MATULAC, WARLITO S. Jan 11 2010-01-000217 Due to Officers and Employees 403 246.55 Cash in Bank - Local Currency , Current Account 111 200.32 Due to GSIS 413 46.23 Payment of Salaries and Wages thru Bank - ABENOJA, LUISITO D. Jan 11 2010-01-000218 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account Due to GSIS Jan 11 Payment of new salary adjustment effective November 04, 2009. Ck#210866 122.08 111 99.19 413 Payment of Salaries and Wages thru Bank - JOSE PARDILLO ABELGAS Ck#210867 2010-01-000220 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 111 Life and Retirement Insurance Contributions 731 22.89 Payment of salary step increment as electrician of DPS covering the period December 16 - 31, 2009. 7,786.45 7,728.37 58.08 Payment of Salaries and Wages thru Bank - PAÑARES, MARK LEMAR B. Jan 11 2010-01-000221 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account Due to BIR Jan 11 2010-01-000222 Due to Officers and Employees Salary for the month of November 16 - 30, 2009. Ck#210870 12,000.00 111 10,800.00 412 Payment for Professional Services - SULTAN NAIF AYAON R. PUNUT 2009. Ck#210871 403 Cash in Bank - Local Currency , Current Account 1,200.00 Payment of consultancy fee as consultant for the Muslim Communities of Cebu for the month of November 12,000.00 111 12,000.00 Payment of Allowances, Bonus and Other Compensation - MAGNO, FIDEL T. Jan 11 2010-01-000223 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 11 2010-01-000224 Accounts Payable 401 Payment of representation and transportation allowance for the month of December 2009. Ck#210872 25,000.00 111 Grant of Subsidies and Donations - PASTORA G. DIGNOS Jan Payment of year-end bonus & cash gift CY 2009. Ck#210865 25,000.00 Payment of burial assistance for Cebuano War Veterans. Ck#210873 800,000.00 Cash in Bank - Local Currency , Current Account 111 677,142.85 Due to BIR 412 42,857.15 Other Payables 439 80,000.00 Payment for Purchase of Inventories, Supplies and Materials for Stock - LUCKY HEALTH MARKETING City Health Department. CHECK NO: 210878 CTV 240 P 664,428.56 LUCKY HEALTH M Payment of 50,000 pcs. x-ray envelopes with logo and etc. for the use of Cebu Jan 11 2010-01-000225 Accounts Payable 401 111 184,614.54 Due to BIR 412 11,684.46 Other Payables Jan 11 439 21,811.00 Payment for Purchase of Inventories, Supplies and Materials for Stock - COPYLANDIA OFFICE SYSTEMS CORP. CHECK NO: 210880 CTV 242 P 180,719.72 COPYLANDIA OFFICE SYSTEMS CORP. CHECK NO: 21088 2010-01-000227 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Jan 11 2010-01-000228 Accounts Payable 11 11 297,670.00 111 439 Cash in Bank - Local Currency , Current Account Jan 190,800.00 281,723.40 412 15,946.60 Payment for Purchase of Inventories, Supplies and Materials for Stock - SACHEM MARKETING Payment of 554 record book 500 pp and other items. CHECK NO. 116062 CTV 250 P 276,372.15 BEROVAN MARKETING CHECK NO. 116063 CTV 251 5,351.25 CEBU CI 2010-01-000229 Other Payables Due to BIR 201,600.00 111 401 Due to BIR Payment of 30 pcs. ink risograph copylandia model :RA5900. 412 10,800.00 Payment for Purchase of Inventories, Supplies and Materials for Stock - BEROVAN MARKETING INC. Payment of 5,600 carpulesdental anesthesia 2% with adrenalin for use in the Cebu City Health Department. CHECK NO. 116056 CTV 244 P 187,170.00 BEROVAN MARK Cash in Bank - Local Currency , Current Account Jan 218,110.00 Cash in Bank - Local Currency , Current Account 114,455.00 111 107,301.56 412 7,153.44 Payment for Other Liabilities - ONE STOP TOWING SERVICES payment of towing fee for October 01-03, 2009. CHECK NO. 703671 CTV 258 P 94,926.56 ONE STOP TOWING SERVICES CHECK NO. 703672 CTV 259 P 12,375.00 CEBU CITY TREASURER - PAYMENT OF TAX Ck 2010-01-000231 Other Payables 439 185,045.00 Cash in Bank - Local Currency , Current Account 111 173,479.68 Due to BIR 412 11,565.32 Payment for Other Liabilities - ONE STOP TOWING SERVICES Payment of towing fees from October 19 to 24, 2009. Jan 11 2010-01-000234 Other Payables 439 Ck#703673 173,390.00 Cash in Bank - Local Currency , Current Account 111 162,553.12 Due to BIR 412 10,836.88 Payment for Other Liabilities - ONE STOP TOWING SERVICES Payment of towing fees from October 26 to 31, 2009. Ck#703674 Jan 11 2010-01-000237 Other Payables 439 1,530.00 Cash in Bank - Local Currency , Current Account 111 1,434.40 Due to BIR 412 95.60 Payment for Other Liabilities - ONE STOP TOWING SERVICES Payment of Towing fee for May 29, 2009. Ck#703675 Jan 11 2010-01-000239 Other Payables 439 Cash in Bank - Local Currency , Current Account Due to BIR Jan 11 106,250.00 111 99,609.36 412 6,640.64 Payment for Other Liabilities - ROAD WARRIORS TOWING AND MOTOR SERVICES Payment of towing fees from December 07 to 12, 2009. CHECK NO. 703676 CTV 263 P 94,164.36 ROAD WARRIORS TOWING AND MOTOR SERVICES CHECK NO. 703677 CTV 264 P 5,445.00 CEBU 2010-01-000241 Other Payables 439 Cash in Bank - Local Currency , Current Account 111 119,850.00 112,359.40 Due to BIR 412 7,490.60 Payment for Other Liabilities - ROAD WARRIORS TOWING AND MOTOR SERVICES Jan 11 2010-01-000243 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Jan 11 4,570,405.00 111 2010-01-000247 Due to Other NGAs 416 2010-01-000248 Due to Other NGAs 416 Cash in Bank - Local Currency , Current Account 11 2010-01-000509 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 2,125.00 Payment of representation allowance as Cebu City Fire Marshal for the month of November 2009. Ck#210868 2,125.00 111 Grant of Subsidies and Donations - ESMAEL C. CODILLA Jan 2,125.00 111 Grant of Subsidies and Donations - ESMAEL C. CODILLA 11 4,325,561.87 412 244,843.13 Payment for Purchase of Inventories, Supplies and Materials for Stock - PHIL ASIA RESOURCES & DEV'T. CORP. Payment of 97.45 M.T. Bitumen for the use in the repair & maintenance of various City Streets. CHECK NO. 703167 CTV 277 P 4,307,561.87 PHIL ASIA Cash in Bank - Local Currency , Current Account Jan Payment of Towing fees from December 01 to 05, 2009. Ck#703678 2,125.00 Payment of representation allowance as Cebu City Fire Marshal for the month of December 2009. Ck#210869 2,076.88 111 2,076.88 Payment for Due to Officers and Employees - CABINGATAN, EMMA B. ET AL AS HAZARD PAY FOR NOVEMBER, 2009. Jan 11 2010-01-000510 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 145,000.00 111 145,000.00 Payment for Due to Officers and Employees - ABUEVA, DENNIS S. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 11 2010-01-000511 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 70,000.00 111 70,000.00 Payment for Due to Officers and Employees - ADLAO, CONDRADO D. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 11 2010-01-000513 Due to Officers and Employees 403 43,172.96 Cash in Bank - Local Currency , Current Account 111 19,060.06 Due to BIR 412 9,157.69 Due to GSIS 413 9,217.74 Due to PAG-IBIG 414 3,337.47 Due to PHILHEALTH 415 700.00 Other Payables 439 1,700.00 Payment for Due to Officers and Employees - ALCOS, PRIMITIVA P. ET AL AS SALARIES FOR DECEMBER 1-31, 2009 (1ST & 2ND HALF) Jan 11 2010-01-000514 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 45,000.00 111 45,000.00 Payment for Due to Officers and Employees - AGUILAR, NICEA D. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 11 2010-01-000516 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 20,000.00 111 20,000.00 Payment for Due to Officers and Employees - PACANA, KHADAFY IAN P. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 11 2010-01-000518 Due to Officers and Employees 403 8,374.00 Cash in Bank - Local Currency , Current Account 111 8,374.00 Payment for Due to Officers and Employees - LOPEZ, PRECIOUS JOJIE LYNNE O. AS SALARIES FOR DECEMBER 16-31, 2009. Jan 11 2010-01-000525 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 40,000.00 111 40,000.00 Payment for Due to Officers and Employees - CAVADA, IMMACULADA M. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 11 2010-01-000576 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 100,000.00 111 100,000.00 Payment for Due to Officers and Employees - ARDIMER, AGNES G. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 11 2010-01-000577 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 690,000.00 111 690,000.00 Payment for Due to Officers and Employees - ABABON, JOCELYN A. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 11 2010-01-000578 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 1,010,000.00 111 1,010,000.00 Payment for Due to Officers and Employees - ABASALO, HERLIE PIA ET AL AS PAYMENT OF PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 11 2010-01-000579 Due to Officers and Employees 403 9,454.78 Cash in Bank - Local Currency , Current Account 111 7,292.78 Due to GSIS 413 1,467.72 Due to PAG-IBIG 414 544.28 415 150.00 Due to PHILHEALTH Payment for Due to Officers and Employees - MANATAD, JESUS T. AS SALARIES FOR JULY, 2009 Jan 11 2010-01-000580 Due to Officers and Employees 403 5,351.50 Cash in Bank - Local Currency , Current Account 111 5,251.50 Other Payables 439 100.00 Payment for Due to Officers and Employees - TABARES, DIVINA R. AS SALARY FOR DECEMBER 16-31, 2009. Jan 11 2010-01-000581 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 8,374.00 111 8,374.00 Payment for Due to Officers and Employees - DELGADO, GIOVANNI G. AS SALARY FOR DECEMBER 16-31, 2009 Jan 11 2010-01-000582 Due to Officers and Employees 403 11,283.80 Cash in Bank - Local Currency , Current Account 111 9,060.62 Due to GSIS 413 1,823.18 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 200.00 Payment for Due to Officers and Employees - PANSACALA, JONAS C. AS SALARY FOR DECEMBER 1-31, 2009. Jan 11 2010-01-000583 Due to Officers and Employees 403 10,444.41 Cash in Bank - Local Currency , Current Account 111 8,461.87 Due to GSIS 413 1,607.54 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 175.00 Payment for Due to Officers and Employees - FIGUERAS, ILDEBRANDO A. AS SALARY FOR DECEMBER 1-31, 2009. Jan 11 2010-01-000584 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 60,000.00 111 60,000.00 Payment for Due to Officers and Employees - ABELLA, EDGARDO N. ET AL AS PRODUCTIVITY OF ENHANCEMENT INCENTIVES FOR 2009. Jan 11 2010-01-000585 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 40,000.00 111 40,000.00 Payment for Due to Officers and Employees - ALBORES, RICA G. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 11 2010-01-000586 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 2,500.00 111 2,500.00 Payment for Due to Officers and Employees - APALLA, EDWIN L. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 11 2010-01-000587 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 30,000.00 111 30,000.00 Payment for Due to Officers and Employees - CUIZON, WILFREDO JR. R. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 11 2010-01-000588 Due to Officers and Employees 403 191,385.23 Cash in Bank - Local Currency , Current Account 111 Due from Officers and Employees 123 154,101.80 2,000.00 Due to BIR 412 35,283.43 Payment for Due to Officers and Employees - ABADIA, MA. FATIMA E. ET AL AS OVERTIME PAY FOR DECEMBER, 2009. Jan 11 2010-01-000989 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 45,000.00 111 45,000.00 Payment for Due to Officers and Employees - ABELGAS, BELONA O. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 11 2010-01-000990 Due to Officers and Employees 403 4,589.04 Cash in Bank - Local Currency , Current Account 111 3,800.52 Due to BIR 412 788.52 Payment for Due to Officers and Employees - ABENOJA, LUISITO D. ET AL AS OVERTIME PAY FOR DECEMBER, 2009. Jan 11 2010-01-000991 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment for Due to Officers and Employees - GARRIDO, ESTERLITA T. AS LOYALTY BONUS Jan 11 2010-01-000992 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 25,000.00 111 25,000.00 Payment for Due to Officers and Employees - CAMPOMANES, MARIE FE A. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 11 2010-01-000993 Due to Officers and Employees 403 44,646.43 Cash in Bank - Local Currency , Current Account 111 26,290.80 Due to BIR 412 3,446.91 Due to GSIS 413 9,222.82 Due to PAG-IBIG 414 2,935.90 Due to PHILHEALTH 415 750.00 Other Payables 439 2,000.00 Payment for Due to Officers and Employees - ARANCO, AKTHLENE CHING ET AL FOR DECEMBER 1-31, 2009 Jan 11 2010-01-001058 Due to Officers and Employees 403 8,047.63 Cash in Bank - Local Currency , Current Account 111 6,517.12 Due to GSIS 413 1,205.51 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 125.00 Payment for Due to Officers and Employees - CUGAY, ANJUN A. AS SALARY FOR DECEMBER 1-31, 2009. Jan 11 2010-01-001065 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 130,000.00 111 130,000.00 Payment for Due to Officers and Employees - ABELLANA, MA. ELENA F. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 11 2010-01-001071 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 170,000.00 111 170,000.00 Payment for Due to Officers and Employees - ALBARACIN, ERLINDA DP. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 11 2010-01-001073 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 20,717.50 111 20,717.50 Payment for Due to Officers and Employees - ANOBA, ANTHONY TOM A. ET AL AS SALARY FOR DECEMBER 16-31, 2009. Jan 11 2010-01-001076 Due to Officers and Employees 403 10,444.41 Cash in Bank - Local Currency , Current Account 111 8,461.87 Due to GSIS 413 1,607.54 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 175.00 Payment for Due to Officers and Employees - SUNGAHID, ERIC ALTAIRE P AS SALARY FOR DECEMBER 1-31, 2009. Jan 11 2010-01-001079 Due to Officers and Employees 403 1,289.10 Cash in Bank - Local Currency , Current Account 111 1,175.45 Due to BIR 412 113.65 Payment for Due to Officers and Employees - ENJAMBRE, GILBERT R. ET AL AS OVERTIME PAY FOR DECEMBER, 2009. Jan 11 2010-01-001080 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 2,500.00 111 2,500.00 Payment for Due to Officers and Employees - CADAR, ALI P. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 11 2010-01-001081 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 205,000.00 111 205,000.00 Payment for Due to Officers and Employees - ARDISA, RUFINO P. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 11 2010-01-001082 Due to Officers and Employees 403 57,337.48 Cash in Bank - Local Currency , Current Account 111 49,843.50 Due to BIR 412 7,493.98 Payment for Due to Officers and Employees - ABAÑO, JOSELITO N. ET AL AS OVERTIME PAY FOR DECEMBER, 2009. Jan 11 2010-01-001083 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 120,000.00 111 120,000.00 Payment for Due to Officers and Employees - ACENAS, MARIE FARLASH SALESHIE S. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 11 2010-01-001084 Due to Officers and Employees 403 15,747.85 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 5,562.88 202.07 Due to GSIS 413 3,648.90 Due to PAG-IBIG 414 600.00 Due to PHILHEALTH 415 300.00 Other Payables 439 5,434.00 Payment for Due to Officers and Employees - ACENAS, MARIE FARLASH SALESHIE S. AS SALARY FOR DECEMBER 1-31, 2009. Jan 11 2010-01-001085 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 185,500.00 111 185,500.00 Payment for Due to Officers and Employees - ABELLA, MELINDA A. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 11 2010-01-001087 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 735,500.00 111 735,500.00 Payment for Due to Officers and Employees - ABADIANO, EARL G. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 11 2010-01-001088 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 815,000.00 111 815,000.00 Payment for Due to Officers and Employees - ABARCO, BENJAMIN JR. G. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 11 2010-01-001099 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 1,155,000.00 111 1,155,000.00 Payment for Due to Officers and Employees - ABADEJOS, RODULFO C. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 11 2010-01-001100 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 70,000.00 111 70,000.00 Payment for Due to Officers and Employees - ADLAWAN, TIBURCIO U. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 11 2010-01-001101 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 525,000.00 111 525,000.00 Payment for Due to Officers and Employees - ABELGAS, JAYME C. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 11 2010-01-001102 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 60,000.00 111 60,000.00 Payment for Due to Officers and Employees - ABELGAS, JOSE P. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 11 2010-01-001103 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 60,000.00 111 60,000.00 Payment for Due to Officers and Employees - ARDIMER, JULITO L. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 11 2010-01-001342 Due to Other NGAs 416 Cash in Bank - Local Currency , Current Account 111 13,000.00 13,000.00 Grant of Subsidies and Donations - BATOBALONOS, ALEJANDRO P. ET AL AS INCENTIVE ALLOWANCE FOR NOVEMBER, 2009 (STATION 10) Jan 11 2010-01-001343 Due to Other NGAs 416 Cash in Bank - Local Currency , Current Account 16,000.00 111 16,000.00 Grant of Subsidies and Donations - ABELGAS, ARNEL FRANCIS E. ET AL AS INCENTIVE ALLOWANCE FOR NOVEMBER, 2009. Jan 11 2010-01-001345 Due to Other NGAs 416 Cash in Bank - Local Currency , Current Account 16,000.00 111 16,000.00 Grant of Subsidies and Donations - ANDALES, RICARDO B. ET AL AS INCENTIVE ALLOWANCE FOR NOVEMBER, 2009 (STATION 1) Jan 11 2010-01-001346 Due to Other NGAs 416 Cash in Bank - Local Currency , Current Account 28,833.00 111 28,833.00 Grant of Subsidies and Donations - AGDA, MARIO JR. M. ET.AL. AS INCENTIVE ALLOWANCE FOR NOVEMBER, 2009 (STATION 4) Jan 11 2010-01-001348 Due to Other NGAs 416 Cash in Bank - Local Currency , Current Account 69,000.00 111 69,000.00 Grant of Subsidies and Donations - ABATAYO, EDWARD R. ET AL AS INCENTIVE ALLOWANCE FOR OCTOBER, 2009 (SSG) Jan 11 2010-01-001350 Due to Officers and Employees 403 15,819.12 Cash in Bank - Local Currency , Current Account 111 11,109.52 Due to BIR 412 1,584.14 Due to GSIS 413 2,625.46 Due to PAG-IBIG 414 200.00 415 300.00 Due to PHILHEALTH Payment for Due to Officers and Employees - COLINA, VERNIZ T. AS SALARY FOR DECEMBER 1-31, 2009 (1ST & 2ND HALF) Jan 11 2010-01-001352 Due to Officers and Employees 403 26,269.66 Cash in Bank - Local Currency , Current Account 111 7,048.27 Due to BIR 412 1,174.91 Due to GSIS 413 8,836.35 Due to PAG-IBIG 414 2,436.13 Due to PHILHEALTH 415 475.00 Other Payables 439 6,299.00 Payment for Due to Officers and Employees - CHUA, OPHELIA O. ET AL AS SALARY FOR DECEMBER 1-31, 2009. Jan 11 2010-01-001353 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 350.00 111 350.00 Payment for Due to Officers and Employees - BONTUYAN, EVANGELINE M. AS SUBSISTENCE AND LAUNDRY ALLOWANCE FOR NOVEMBER, 2009. Jan 11 2010-01-001354 Due to Officers and Employees 403 Other Payables 10,000.00 439 10,000.00 Payment for Due to Officers and Employees - DANTE, JOEL P. ET AL AS LOYALTY PAY Jan 11 2010-01-001355 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 111 947.73 947.73 Payment for Due to Officers and Employees - ALPUERTO, DANNY V. ET AL AS HAZARD PAY FOR NOVEMBER, 2009. Jan 11 2010-01-001357 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 7,637.50 111 7,637.50 Payment for Due to Officers and Employees - MANULAT, FORTUNATO JR. B. AS SALARY FOR DECEMBER 16-31, 2009. Jan 11 2010-01-001360 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 995,000.00 111 995,000.00 Payment for Due to Officers and Employees - ABALA, FRANCISCO S. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 11 2010-01-001361 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 525,000.00 111 525,000.00 Payment for Due to Officers and Employees - ABAIS, RICARDO D. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 11 2010-01-001363 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 780,000.00 111 780,000.00 Payment for Due to Officers and Employees - MACASUHOT, TIMOTEO U. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 12 2010-01-001015 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 50,000.00 111 50,000.00 Payment for Due to Officers and Employees - ALIÑO, EVERNESTO JR. W. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 12 2010-01-001017 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 20,000.00 111 20,000.00 Payment for Due to Officers and Employees - ABATAYO, NESTOR C. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009., Jan 12 2010-01-001018 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 10,149.00 111 10,149.00 Payment for Due to Officers and Employees - BONTILAO, GLENN G. ET AL AS SALARIES FOR DECEMBER 16-31, 2009 Jan 12 2010-01-001019 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 55,000.00 111 55,000.00 Payment for Due to Officers and Employees - ABELLANOSA, RICO P. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 12 2010-01-001020 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 2,000.00 111 2,000.00 Payment for Due to Officers and Employees - ALIT, DEXTER G. ET AL AS PRODUCTIVITY ENHANCEMENT INCETIVES FOR 2009. Jan 12 2010-01-001021 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 8,500.00 111 8,500.00 Payment for Due to Officers and Employees - ALCOSEBA, RAMONITO S. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 12 2010-01-001023 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 2,228.95 111 2,228.95 Payment for Due to Officers and Employees - TARAN, LAURIANO JR. C. AS OVERTIME PAY FOR OCTOBER, 2009. Jan 12 2010-01-001024 Due to Officers and Employees 403 14,960.60 Cash in Bank - Local Currency , Current Account 111 4,830.65 Due to BIR 412 1,174.57 Due to GSIS 413 5,388.46 Due to PAG-IBIG 414 700.00 Due to PHILHEALTH 415 275.00 Other Payables 439 2,591.92 Payment for Due to Officers and Employees - ESPINA, ARTURO A. AS SALARY FOR DECEMBER 1-31, 2009. Jan 12 2010-01-001025 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 5,074.50 111 5,074.50 Payment for Due to Officers and Employees - ENGLIS, TEOFANES C. AS SALARY FOR DECEMBER 16-31, 2009 Jan 12 2010-01-001026 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 8,374.00 111 8,374.00 Payment for Due to Officers and Employees - DESCARTIN, MICHELLE M. AS SALARY FOR DECEMBER 16-31, 2009. Jan 12 2010-01-001027 Due to Officers and Employees 403 16,627.76 Cash in Bank - Local Currency , Current Account 111 12,326.41 Due to BIR 412 1,024.27 Due to GSIS 413 2,777.08 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 300.00 Payment for Due to Officers and Employees - MONTELLANO, REYLIE LIZA S. AS SALARY FOR DECEMBER 1-31, 2009. Jan 12 2010-01-001028 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 480.00 111 480.00 Payment for Due to Officers and Employees - QUIRANTE, LORETTO Z. AS TRAVELLING ALLOWANCE FOR NOVEMBER, 2009. Jan 12 2010-01-001029 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 114.30 111 114.30 Payment for Due to Officers and Employees - TAN, NEIL T. AS HAZARD PAY FOR OCTOBER, 2009. Jan 12 2010-01-001030 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 150.00 111 150.00 Payment for Due to Officers and Employees - TAN, NEIL T. AS HAZARD PAY FOR SEPTEMBER, 2009. Jan 12 2010-01-001031 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 664.15 111 664.15 Payment for Due to Officers and Employees - ATILLO, EMMA B. ET AL AS HAZARD PAY FOR NOVEMBER, 2009. Jan 12 2010-01-001032 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 2,314.50 111 2,314.50 Payment for Due to Officers and Employees - ANABIEZA, NILDA R. ET AL AS HAZARD PAY FOR OCTOBER, 2009. Jan 12 2010-01-001033 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 4,485.36 111 4,485.36 Payment for Due to Officers and Employees - ARCHIVAL, ROBINA P. ET AL AS HAZARD PAY FOR NOVEMBER, 2009. Jan 12 2010-01-001034 Due to Officers and Employees 403 9,157.25 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 5,654.30 633.66 Due to GSIS 413 1,775.34 Due to PAG-IBIG 414 943.95 Due to PHILHEALTH 415 150.00 Payment for Due to Officers and Employees - DELOS SANTOS, MA CARMENCITA N. AS SALARY FOR DECEMBER 1-31, 2009. Jan 12 2010-01-001037 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment for Due to Officers and Employees - SANGAG, BENJAMIN P. AS LOYALTY BONUS Jan 12 2010-01-001038 Due from Other Funds 144 Cash in Bank - Local Currency , Current Account 4,323.00 111 4,323.00 Payment for Due to Officers and Employees - BARINO, TEODORO C. AS TRAVELLING ALLOWANCE FOR NOVEMBER, 2009. Jan 12 2010-01-001040 Due to Officers and Employees 403 29,309.76 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 18,939.84 999.89 Due to GSIS 413 6,415.93 Due to PAG-IBIG 414 1,579.10 Due to PHILHEALTH 415 475.00 Other Payables 439 900.00 Payment for Due to Officers and Employees - ABELARDE, AUGUSTUS G. ET AL AS SALARIES FOR DECEMBER 1-31, 2009. Jan 12 2010-01-001041 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 53,000.00 111 53,000.00 Payment for Due to Officers and Employees - ABELLA, MARIE VELLE P. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 12 2010-01-001042 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 5,945.50 111 5,945.50 Payment for Due to Officers and Employees - GEPIGA, JENNIFER M. ET AL AS SALARY FOR DECEMBER 16-31, 2009. Jan 12 2010-01-001043 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 1,000.00 111 1,000.00 Payment for Due to Officers and Employees - ABELLA, MELINDA A. ET AL AS TRAVELLING ALLOWANCE FOR DECEMBER, 2009. Jan 12 2010-01-001131 Due to Other NGAs 416 Cash in Bank - Local Currency , Current Account 64,525.00 111 63,284.00 Prior Years' Adjustments 684 1,241.00 Grant of Subsidies and Donations - ABELLA, CRISANTO R. ET AL AS INCENTIVE ALLOWANCE FOR SEPTEMBER, 2009. ACCT. 684: 505.00 GARLICO ALVERASTINE 736.00 Jan 12 2010-01-001133 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account JOJIT C. RANILE P 3,500.00 111 3,500.00 Payment for Communication Expenses - CESA, EUSTAQUIO B. Reimbursement for communication expenses covering the period from October 10 to November 09, 2009 Ck#210882 Jan 12 2010-01-001134 Due to Other NGAs 416 29,000.00 Cash in Bank - Local Currency , Current Account 111 29,000.00 Grant of Subsidies and Donations - AGDA, MARIO JR. M. ET AL AS INCENTIVE ALLOWANCE FOR DECEMBER, 2009. Jan 12 2010-01-001137 Due to BIR 412 Cash in Bank - Local Currency , Current Account 6,670.10 111 6,670.10 Refund of Excess Employees Taxes, Loans and Premiums - POCOT, MERILA M. ASA WITHHOLDING TAX REFUND FOR 2009. Jan 12 2010-01-001138 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 6,900.00 111 6,900.00 Payment for Due to Officers and Employees - ASPACIO, MARIA ELENA G. ET AL AS SUBSISTENCE AND LAUNDRY ALLOWANCE FOR NOVEMBER, 2009. Jan 12 2010-01-001140 Other Payables 439 Cash in Bank - Local Currency , Current Account 137,314.44 111 137,314.44 Refund of Guaranty Deposit / Retention Fee - CEBU D & F ENTERPRISES Jan 12 2010-01-001142 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account Withdrawal of 10% retention fee with PAV # 19975 dtd. Dec. 04, 2009. Ck#210883 540.00 111 540.00 Payment for Due to Officers and Employees - QUIRANTE, LORETTO Z. AS TRAVELLING ALLOWANCE FOR OCTOBER, 2009. Jan 12 2010-01-001143 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 420.00 111 420.00 Payment for Due to Officers and Employees - QUIRANTE, LORETTO Z. AS TRAVELLING ALLOWANCE FOR SEPTEMBER, 2009. Jan 12 2010-01-001145 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 7,900.50 111 7,900.50 Payment for Due to Officers and Employees - JIMENEZ, VERONICA I. AS 50% YEAR END BONUS/CASH GIFT FOR 2009. Jan 12 2010-01-001147 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 3,720.00 111 3,720.00 Payment for Due to Officers and Employees - CUYNO, ERWIN A. ET AL AS TRAVELLING ALLOWANCE FOR NOVEMBER, 2009. Jan 12 2010-01-001148 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 6,160.00 111 6,160.00 Payment for Due to Officers and Employees - ALCANTARA, HENRY C. ET AL AS TRAVELLING EXPENSES FOR AUGUST 1-31, 2009. Jan 12 2010-01-001149 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 68,657.22 111 68,657.22 Refund of Performance Bond to Contractor - CEBU D & F ENTERPRISES Jan 12 2010-01-001151 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account Withdrawal of 5% Performance Bond with PAV # 19975 dtd. Dec. 04, 2009. Ck#210884 1,000.00 111 1,000.00 Payment for Due to Officers and Employees - ABELLA, MELINDA A. ET AL AS TRAVELLING ALLOWANCE FOR NOVEMBER, 2009. Jan 12 2010-01-001152 Accounts Payable 401 320,388.25 Cash in Bank - Local Currency , Current Account 111 303,224.59 Due to BIR 412 17,163.66 Payment for Other Maintenance and Other Operating Expenses - ANGEL'S SPORTSWEAR bull twill); 50 pcs. T-shirts with collar and cuff, plain cutting with logo embroider Jan 12 2010-01-001155 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account Payment of 100 pcs. Bull Cap with embroider, combination/personalized logo (material : 644.00 111 644.00 Payment / Reimbursement of Travelling Expenses - YBAÑEZ, JONAS. Payment of transportation expenses as Acting Foreman of DPS for the month of July 2009. Ck#116069 Jan 12 2010-01-001157 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 2,000.00 111 2,000.00 Payment / Reimbursement of Travelling Expenses - SEBES, RICARDO P. Reimbursement of travelling expenses incurred for the month of November 2009. Ck#116070 Jan 12 2010-01-001163 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 2,700.00 111 2,700.00 Payment / Reimbursement of Travelling Expenses - ATTY. RICO ABELLANOSA. Reimbursement of travelling expenses incurred for the month of November 2009. Ck#116071 Jan 12 2010-01-001166 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 2,700.00 111 2,700.00 Payment / Reimbursement of Travelling Expenses - ATTY. JERONE CASTILLO. Reimbursement of travel expenses incurred for the month of October 2009. Ck#116072 Jan 12 2010-01-001168 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 8,100.00 111 8,100.00 Payment / Reimbursement of Travelling Expenses - LIM, RICHELLE R. Jan 12 2010-01-001172 Due to Officers and Employees 403 Reimbursement of travelling expenses incurred from September 03 to November 27, 2009. Ck#116073 1,064.00 Cash in Bank - Local Currency , Current Account 111 1,064.00 Payment / Reimbursement of Travelling Expenses - BERING, RONALDO. Payment of transportation expenses as follow-upper of DPS covering the period from october to November 2009. Ck#116074 Jan 12 2010-01-001175 Due to Officers and Employees 403 42,619.74 Cash in Bank - Local Currency , Current Account 111 42,619.74 Payment / Reimbursement of Travelling Expenses - JAKOSALEM, SYLVAN B. Reimbursement of travelling expenses incurred by the Cebu Ctiy Karatedo Team during the 22nd National Karatedo Championship held in Cabatuan, Iloilo City last May 06 to 10, 2009. Ck# Jan 12 2010-01-001183 Due to Officers and Employees 403 1,176.00 Cash in Bank - Local Currency , Current Account 111 1,176.00 Payment / Reimbursement of Travelling Expenses - ANIÑON, DIONISIO. Payment of transportation expenses as foremen of DPS covering the period from October to November 2009. Ck#116076 Jan 12 2010-01-001185 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 2,700.00 111 2,700.00 Payment / Reimbursement of Travelling Expenses - ATTY. ELEODORO DIAZ IV. Reimbursement of travelling expenses incurred for the month of October 2009. Ck#116077 Jan 12 2010-01-001189 Due to Officers and Employees 403 1,120.00 Cash in Bank - Local Currency , Current Account 111 1,120.00 Payment / Reimbursement of Travelling Expenses - YBAÑEZ, JONAS. Payment of transportation expenses as foreman of DPS covering the period from October to November 2009. Ck#116078 Jan 12 2010-01-001193 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 111 2,988,000.00 2,827,928.57 Due to BIR Jan 12 412 160,071.43 Cash Purchase of Property, Plant and Equipment - PASAJERO MOTORS CORP. Payment for six (6) units factory reconditioned 6 wheeler Garbage Dumptruck to be used by Brgys. Adlaon, Malubog, Sto. Niño, Guba, Apas and Calamba. CHECK NO. 116094 - CTV # 323 P 2010-01-001205 Due to Officers and Employees 403 1,000.00 Cash in Bank - Local Currency , Current Account 111 1,000.00 Payment for Communication Expenses - SATINA, CAMILA P. Reimbursement of office mobile phone pre paid cards that is used to communicate in mountain barangays for the month of December 2009. Ck#116082 Jan 12 2010-01-001240 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 1,843.00 111 1,843.00 Payment for Communication Expenses - ATTY. RICO ABELLANOSA. Reimbursement for communication expenses incurred from Sept. 06 to October 05, 2009. Ck#116083 Jan 12 2010-01-001241 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 1,800.00 111 1,800.00 Payment for Communication Expenses - JAGMOC, GINA M. Jan 12 2010-01-001359 Performance/Bidders/Bail Bonds Payable Other Payables Reimbursement for payment of communication expenses incurred from October 01 to December 31, 2009. Ck#116086 427 21,463.25 439 42,926.50 Cash in Bank - Local Currency , Current Account 111 64,389.75 Refund of Performance Bond to Contractor - PENTAX HARDWARE. Withdrawal of Performance bond and 10 % retention under PAV # 12965 dtd. 07/31/09 and CTV # 16036 dtd. 12/03/09. Ck#116087 Jan 12 2010-01-001362 Due to Officers and Employees 403 3,500.00 Cash in Bank - Local Currency , Current Account 111 3,500.00 Payment for Communication Expenses - ATTY. RALPH J. SEVILLA Reimbursement for communication expenses in Globe Communication incurred from August 16 to Sept. 15, 2009 and Smart Communication incurred from August 10 to Sept. 09, 2009. Ck#116088 Jan 12 2010-01-001364 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 2,263.99 111 2,263.99 Payment for Communication Expenses - BRIONES, NELFA R. Jan 12 2010-01-001365 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account Reimbursement for payment of Globe Telecom incurred from November 24 to December 23, 2009. Ck#116089 1,000.00 111 1,000.00 Payment for Communication Expenses - MAHUSAY, LUCIA C. Jan 12 2010-01-001367 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account Reimbursement for communication services incurred for the month of December 2009. Ck#116090 3,500.00 111 3,500.00 Payment for Communication Expenses - CUBERO, ESTER E. Jan 12 2010-01-001370 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account Reimbursement for payment of Globe Communication expenses incurred for the month of November 2009. Ck#116092 1,800.00 111 1,800.00 Payment for Communication Expenses - GUMIA, MARIETTA L. Jan 12 2010-01-001373 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 111 Reimbursement for communication expenses incurred from October 21 to November 20, 2009. Ck#116095 9,846.70 9,846.70 Payment of Allowances, Bonus and Other Compensation - MA. ADA A. VELOSO Payment of 1/2 Year End Bonus and Cash Gift plus salary differential. Ck#116096 Jan 12 2010-01-001376 Due to Other NGAs 416 Cash in Bank - Local Currency , Current Account 46,670.00 111 46,670.00 Grant of Subsidies and Donations - ABALO, HENRY A. ET AL AS INCENTIVE ALLOWANCE FOR DECEMBER, 2009. Jan 12 2010-01-001378 Due to Other NGAs 416 Cash in Bank - Local Currency , Current Account 16,000.00 111 16,000.00 Grant of Subsidies and Donations - AMPER, GALO M. ET AL AS INCENTIVE ALLOWANCE FOR NOVEMBER, 2009. Jan 12 2010-01-001379 Due to Other NGAs 416 Cash in Bank - Local Currency , Current Account 23,000.00 111 23,000.00 Grant of Subsidies and Donations - ACOP, JOSE EDWARD V. ET AL AS INCENTIVE ALLOWANCE FOR DECEMBER, 2009. Jan 12 2010-01-001380 Due to Other NGAs 416 Cash in Bank - Local Currency , Current Account 16,000.00 111 16,000.00 Grant of Subsidies and Donations - ABELGAS, ARNEL FRANCIS E. ET AL AS INCENTIVE ALLOWANCE FOR DECEMBER, 2009. Jan 12 2010-01-001384 Accounts Payable Due to Officers and Employees 401 6,500.00 403 63,000.00 Cash in Bank - Local Currency , Current Account 111 60,050.00 Due to BIR 412 9,450.00 Payment of Allowances, Bonus and Other Compensation - ARCHIVAL, NESTOR ET AL. Honorarium for Solid Waste Management for the month of January to June 2009. Ck#116097 Jan 12 2010-01-001387 Due to Officers and Employees 403 36,000.00 Cash in Bank - Local Currency , Current Account 111 32,400.00 Due to BIR 412 3,600.00 Payment for Professional Services - ATTY. RAYMOND L. BERTULFO. Payment of consultancy services incurred for the month of August to November 2009. Ck#116098 Jan 12 2010-01-001439 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 31,425.00 111 31,425.00 Payment for Due to Officers and Employees - ABELLA, JOSEPHINE T. ET AL AS SUBSISTENCE AND LAUNDRY ALLOWANCE FOR NOVEMBER, 2009. Jan 12 2010-01-001440 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 1,400.00 111 1,400.00 Payment for Due to Officers and Employees - BORRES, ROBERTO JR. T. ET AL AS SUBSISTENCE AND LAUNDRY ALLOWANCE FOR DECEMBER, 2009. Jan 12 2010-01-001441 Due to Officers and Employees 403 10,444.41 Cash in Bank - Local Currency , Current Account 111 8,297.63 Due to BIR 412 164.24 Due to GSIS 413 1,607.54 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 175.00 Payment for Due to Officers and Employees - FRIAS, JEMAR R. AS SALARY FOR DECEMBER 1-31, 2009. Jan 12 2010-01-001442 Due to Officers and Employees 403 10,444.41 Cash in Bank - Local Currency , Current Account 111 7,494.43 Due to BIR 412 967.44 Due to GSIS 413 1,607.54 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 175.00 Payment for Due to Officers and Employees - ANOBA, RODELYN E. AS SALARY FOR DECEMBER 1-31, 2009. Jan 12 2010-01-001443 Due from Other Funds 144 Cash in Bank - Local Currency , Current Account 1,320.00 111 1,320.00 Payment for Due to Officers and Employees - INEZ, EDGAR B. AS REIMBURSEMENT OF TRAVELLING EXPENSES FOR NOVEMBER, 2009. Jan 12 2010-01-001444 Due to Officers and Employees 403 31,858.72 Cash in Bank - Local Currency , Current Account 111 17,203.11 Due to BIR 412 998.53 Due to GSIS 413 5,810.08 Due to PAG-IBIG 414 400.00 Due to PHILHEALTH 415 600.00 Other Payables 439 6,847.00 Payment for Due to Officers and Employees - REYNALDO, JEREMIAH ANTHONY T. AS SALARY FOR DECEMBER 1-31, 2009 Jan 12 2010-01-001445 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 750.00 111 750.00 Payment for Due to Officers and Employees - BONTILAO, ALYTH A. ET AL AS HAZRARD PAY FOR DECEMBER, 2009. Jan 12 2010-01-001521 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 150.00 111 150.00 Payment for Due to Officers and Employees - TAN, NIEL T. AS HAZARD PAY FOR AUGUST, 2009. Jan 12 2010-01-001522 Due to Officers and Employees 403 78,455.69 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 45,115.59 6,401.67 Due to GSIS 413 15,815.44 Due to PAG-IBIG 414 3,982.99 Due to PHILHEALTH 415 1,400.00 Other Payables 439 5,740.00 Payment for Due to Officers and Employees - BINONDO, ARNOLD D. ET AL AS SALARIES FOR DECEMBER 1-31, 2009. Jan 12 2010-01-001523 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 13,240.00 111 13,240.00 Payment for Due to Officers and Employees - ALCANTARA, HENRY C. ET AL AS TRAVELLING ALLOWANCE FOR NOVEMBER, 2009. Jan 12 2010-01-001524 Due to BIR 412 Cash in Bank - Local Currency , Current Account 11,565.64 111 11,565.64 Refund of Excess Employees Taxes, Loans and Premiums - ARANCO, KATHLENE C. ET AL AS WITHHOLDING TAX REFUND FOR 2009. Jan 12 2010-01-002120 Due to Other NGAs 416 Cash in Bank - Local Currency , Current Account 111 146,000.00 146,000.00 Grant of Subsidies and Donations - ABAYAN, VILMA B. ET AL AS INCENTIVE ALLOWANCE FOR DECEMBER, 2009. Jan 12 2010-01-002123 Due to Other NGAs 416 Cash in Bank - Local Currency , Current Account 11,000.00 111 11,000.00 Grant of Subsidies and Donations - AMOR, ROLANDO F. ET AL AS INCENTIVE ALLOWANCE FOR DECEMBER, 2009. Jan 12 2010-01-002124 Due to Other NGAs 416 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Grant of Subsidies and Donations - ANDALES, DIOSDADO P. ET AL AS INCENTIVE ALLOWANCE FOR DECEMBER, 2009 (STATION 11) Jan 12 2010-01-002125 Due to Other NGAs 416 Cash in Bank - Local Currency , Current Account 22,000.00 111 22,000.00 Grant of Subsidies and Donations - ALALIM, DARRYL M. ET AL AS INCENTIVE ALLOWANCE FOR DECEMBER, 02009 (STATION 3) Jan 12 2010-01-002131 Due to Other NGAs 416 Cash in Bank - Local Currency , Current Account 22,000.00 111 22,000.00 Grant of Subsidies and Donations - ALALIM, DARRYL M. ET AL AS INCENTIVE ALLOWANCE FOR DECEMBER, 2009 (STATION 3) Jan 12 2010-01-002158 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 321,500.00 111 321,500.00 Payment for Due to Officers and Employees - ABABA, ROMULO P. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 13 2010-01-000738 Due to Other NGAs 416 Cash in Bank - Local Currency , Current Account 18,000.00 111 18,000.00 Grant of Subsidies and Donations - AVANZADO, MANSUETO B. ET AL AS INCENTIVE ALLOWANCE FOR NOVEMBER, 2009 (STATION 11) Jan 13 2010-01-000741 Due to Other NGAs 416 Cash in Bank - Local Currency , Current Account 18,000.00 111 18,000.00 Grant of Subsidies and Donations - AVANZADO, MANSUETO B. ET AL AS INCENTIVE ALLOWANCE FOR DECEMBER, 2009 (STATION 11) Jan 13 2010-01-000742 Due to Other NGAs 416 Cash in Bank - Local Currency , Current Account 8,000.00 111 8,000.00 Grant of Subsidies and Donations - ANDALES, DIOSDADO P. ET AL AS INCENTIVE ALLOWANCE FOR OCTOBER, 2009 (STATION 11) Jan 13 2010-01-000744 Due to BIR 412 Cash in Bank - Local Currency , Current Account 2,939.29 111 2,939.29 Refund of Excess Employees Taxes, Loans and Premiums - GELBOLINGO, CIELITO C. AS WITHHOLDING TAX REFUND FOR 2009. Jan 13 2010-01-000745 Due to Officers and Employees 403 4,165.91 Cash in Bank - Local Currency , Current Account 111 3,749.32 Due to BIR 412 416.59 Payment for Due to Officers and Employees - COLINA, BRENDA A. AS OVERTIME PAY FOR OCTOBER 1-31, 2009. Jan 13 2010-01-000748 Due to BIR 412 Cash in Bank - Local Currency , Current Account 27,077.70 111 27,077.70 Refund of Excess Employees Taxes, Loans and Premiums - ABELLANA, MA. LUISA C. ET AL AS WITHHOLDING TAX REFUND FOR 2009. Jan 13 2010-01-000750 Due to BIR 412 Cash in Bank - Local Currency , Current Account 111 13,122.23 13,122.23 Refund of Excess Employees Taxes, Loans and Premiums - ABELLANOSA, CORAZON M. ET AL AS EXCESS OF WITHHOLDING TAX FOR 2009. Jan 13 2010-01-000752 Due to Officers and Employees 403 15,047.26 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 6,967.49 94.12 Due to GSIS 413 3,510.65 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 275.00 Other Payables 439 4,000.00 Payment for Due to Officers and Employees - RAMAS, SARAH JANE B. ET AL AS SALARY FOR DECEMBER 1-31, 2009. Jan 13 2010-01-000757 Due to Officers and Employees 403 33,781.17 Cash in Bank - Local Currency , Current Account 111 25,544.25 Due to BIR 412 1,578.68 Due to GSIS 413 5,633.24 Due to PAG-IBIG 414 400.00 Due to PHILHEALTH 415 625.00 Payment for Due to Officers and Employees - FLORES, CYNTHIA M. ET AL AS SALARIES FOR DECEMBER 1-31, 2009. Jan 13 2010-01-000758 Due to Officers and Employees 403 29,421.16 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 16,243.66 1,832.92 Due to GSIS 413 10,069.58 Due to PAG-IBIG 414 750.00 Due to PHILHEALTH 415 525.00 Payment for Due to Officers and Employees - BUCOG, IDA E. ET AL AS SALARIES FOR DECEMBER 1-31, 2009. Jan 13 2010-01-000759 Due to Officers and Employees 403 4,999.00 Cash in Bank - Local Currency , Current Account 111 4,499.10 Due to BIR 412 499.90 Payment for Due to Officers and Employees - DELOS REYES, LEO G. AS OVERTIME PAY FOR DECEMBER, 2009. Jan 13 2010-01-000760 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 85,000.00 111 85,000.00 Payment for Due to Officers and Employees - AGUILAR, JOVENCIO A. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 13 2010-01-000761 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 960.00 111 960.00 Payment for Due to Officers and Employees - SANROJO, NELYN P. AS TRAVELLING EXPENSES FOR OCTOBER, 2009. Jan 13 2010-01-000762 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 322.00 111 322.00 Payment for Due to Officers and Employees - ARICAYOS, NICOLEN JR. S. AS TRAVELLING ALLOWANCE FOR NOVEMBER, 2009. Jan 13 2010-01-000764 Due to Officers and Employees 403 14,127.56 Cash in Bank - Local Currency , Current Account 111 8,600.20 Due to BIR 412 764.38 Due to GSIS 413 3,812.98 Due to PAG-IBIG 414 700.00 Due to PHILHEALTH 415 250.00 Payment for Due to Officers and Employees - SARMIENTO, ELRICH C. ET AL AS SALARY FOR DECEMBER 1-31, 2009. Jan 13 2010-01-000771 Due to Officers and Employees 403 6,665.45 Cash in Bank - Local Currency , Current Account 111 5,998.90 Due to BIR 412 666.55 Payment for Due to Officers and Employees - COLINA, BRENDA A. ET AL AS OVERTIME PAY FOR AUGUST 1-31, 2009. Jan 13 2010-01-000773 Due to BIR 412 Cash in Bank - Local Currency , Current Account 5,924.47 111 5,924.47 Refund of Excess Employees Taxes, Loans and Premiums - ACENAS, MARIE FARLASH SALESHIE S. ET AL AS WITHHOLDING TAX REFUND FOR 2009. Jan 13 2010-01-000775 Due to BIR 412 Cash in Bank - Local Currency , Current Account 3,340.77 111 3,340.77 Refund of Excess Employees Taxes, Loans and Premiums - ALIÑO, EVERISTO SR. L. ET AL AS WITHHOLDING TAX REFUND FOR 2009. Jan 13 2010-01-000776 Due to BIR 412 Cash in Bank - Local Currency , Current Account 29,263.72 111 29,263.72 Refund of Excess Employees Taxes, Loans and Premiums - BILLONES, JULIET M. ET AL AS WITHHOLDING TAX REFUND FOR 2009. Jan 13 2010-01-000778 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 115,000.00 111 115,000.00 Payment for Due to Officers and Employees - ABOBO, JIMMY B. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 13 2010-01-000779 Due to Other NGAs 416 Cash in Bank - Local Currency , Current Account 13,000.00 111 13,000.00 Grant of Subsidies and Donations - BATOBALONOS, ALEJANDRO P. ET AL AS INCENTIVE ALLOWANCE FOR DECEMBER, 2009 (STATION 10) Jan 13 2010-01-000781 Due to Other NGAs 416 Cash in Bank - Local Currency , Current Account 17,670.00 111 17,670.00 Grant of Subsidies and Donations - ABELGAS, ARNEL FRANCIS E. ET AL AS INCENTIVE ALLOWANCE FOR JULY, 2009 (STATION 3) Jan 13 2010-01-000782 Due to Other NGAs 416 Cash in Bank - Local Currency , Current Account 13,000.00 111 13,000.00 Grant of Subsidies and Donations - ANGUIT, ERIC R. ET AL AS INCENTIVE ALLOWANCE FOR DECEMBER, 2009 (BJMP) Jan 13 2010-01-000785 Due to Other NGAs 416 Cash in Bank - Local Currency , Current Account 65,251.00 111 63,317.00 Prior Years' Adjustments 684 1,934.00 Grant of Subsidies and Donations - ABELLA, CRISANTO R. ET AL AS INCENTIVE ALLOWANCE FOR OCTOBER, 2009 (MPG) ACCT 684: P1,000.00 GARLICO ALVERASTINE 934.00 Jan 13 2010-01-000790 Due to Officers and Employees 403 11,829.86 Cash in Bank - Local Currency , Current Account 111 9,116.34 Due to GSIS 413 2,313.52 JOJIT C. RANILE Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 200.00 Payment for Due to Officers and Employees - TANAYA, EDGARDO M. ET AL AS SALARY FOR DECEMBER 1-31, 2009. Jan 13 2010-01-000792 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 28,010.00 111 28,010.00 Payment for Due to Officers and Employees - AJUL, ABDULAJID T. ET AL AS SUBSISTENCE AND LAUNDRY ALLOWANCE FOR NOVEMBER, 2009. Jan 13 2010-01-000871 Representation Allowance (RA) 713 6,300.00 Cash in Bank - Local Currency , Current Account 111 6,100.00 Due from Officers and Employees 123 200.00 Payment of Allowances, Bonus and Other Compensation - OLIVA, OFELIA M. Payment of representation allowance for the month of January 2010. Ck#210887 Jan 13 2010-01-000874 Representation Allowance (RA) Transportation Allowance (TA) 713 5,500.00 714 5,500.00 Cash in Bank - Local Currency , Current Account 111 11,000.00 Payment of Allowances, Bonus and Other Compensation - CAMARILLO, TESSIE C. Payment of representation and transportation allowance as Asst. City Treasurer for Operation for the month of January 2010. Ck#210888 Jan 13 2010-01-000875 Representation Allowance (RA) Transportation Allowance (TA) 713 5,500.00 714 5,500.00 Cash in Bank - Local Currency , Current Account 111 11,000.00 Payment of Allowances, Bonus and Other Compensation - VILLARETE, EMMA C. Payment for representation and transportation allowance as Asst. City Treasurer for Administration for the month of January 2010. Ck#210889 Jan 13 2010-01-000878 Representation Allowance (RA) Transportation Allowance (TA) 713 5,500.00 714 5,500.00 Cash in Bank - Local Currency , Current Account 111 11,000.00 Payment of Allowances, Bonus and Other Compensation - JIMENEA, CELSO ESTEBAN F. the month of January 2010. Ck#210890 Jan 13 2010-01-000882 Representation Allowance (RA) 713 Payment of representation and transportation allowance as Personnel Officer of HRDO for 5,500.00 Cash in Bank - Local Currency , Current Account 111 5,500.00 Payment of Allowances, Bonus and Other Compensation - ANG, JEROME GO Payment of representation allowance as City Gov't. Asst. Dept. Head II for the month of January 2010. Ck#210891 Jan 13 2010-01-000884 Representation Allowance (RA) 713 6,300.00 Cash in Bank - Local Currency , Current Account 111 6,300.00 Payment of Allowances, Bonus and Other Compensation - GUALIZA, DIONISIO S. Payment of representation allowance as City Government Dept. Head II for the month ot January 2010. Ck#210892 Jan 13 2010-01-000898 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Jan 13 345,800.00 111 324,187.50 412 21,612.50 Payment for Purchase of Inventories, Supplies and Materials for Stock - KIMBERSUN LUMBER & CONST. SUPPLY. Payment of 350 cu. m. washed sand for the use inmanufacturing of culverts, footpaths and precast Check No. 242075 CTV No. 357 = P 318,012.50 - K 2010-01-000899 Accounts Payable 401 538,663.80 Cash in Bank - Local Currency , Current Account 111 482,873.62 Due to BIR 412 28,856.99 Performance/Bidders/Bail Bonds Payable 427 26,933.19 Payment for Purchase of Inventories, Supplies and Materials for Stock - SACHEM MARKETING. Payment of twelve (12) pcs. tubeless tires 205 R 16, 8 PR (INDIA) and other items. Check No. 242077 CTV No. 359 = P473,659.37 - Sachem Marketing Check No. 24 Jan 13 2010-01-000900 Performance/Bidders/Bail Bonds Payable 427 1,188.23 Cash in Bank - Local Currency , Current Account 111 1,188.23 Refund of Performance Bond to Contractor - UPTOWN INDUSTRIAL SALES INC. Withdrawal of performance bond under PR NO. 09-1263 under O. R. No. 9246016 dtd. 07/31/2009 Ck#116101 Jan 13 2010-01-000901 Other Payables 439 99,500.00 Cash in Bank - Local Currency , Current Account 111 99,500.00 Refund of Performance Bond to Contractor - UPTOWN INDUSTRIAL SALES INC. Withdrawal of BID security for BID NO. B-09-050 under O. R. No. 8751056 dated 02/26/09 Ck#116102 Jan 13 2010-01-000902 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 600.00 111 600.00 Refund of Performance Bond to Contractor - SACHEM MARKETING. Withdrawal of BID security for BID NO. B-09-124-4 under O. R. No. 8855405 dtd. 04/01/2009 Ck#116104 Jan 13 2010-01-000903 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 1,100.00 111 1,100.00 Refund of Performance Bond to Contractor - SACHEM MARKETING. Withdrawal of BID security for BID NO. B-09-148. Ck#116105 Jan 13 2010-01-000904 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 550.00 111 550.00 Refund of Performance Bond to Contractor - SACHEM MARKETING. Withdrawal of BID security for BID NO. B-09-149. Ck#116106 Jan 13 2010-01-000905 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 550.00 111 550.00 Refund of Performance Bond to Contractor - SACHEM MARKETING. Withdrawal of BID security for BID NO. B-09-149-1. Ck#116107 Jan 13 2010-01-000907 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 8,150.00 111 8,150.00 Refund of Performance Bond to Contractor - SACHEM MARKETING. Withdrawal of BID security for BID NO. B-09-150. Ck#116108 Jan 13 2010-01-000908 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 10,000.00 111 10,000.00 Refund of Performance Bond to Contractor - SACHEM MARKETING. Withdrawal of BID security for BID NO. B-09-162. Ck#116109 Jan 13 2010-01-000909 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 41,600.00 111 41,600.00 Refund of Performance Bond to Contractor - PASAJERO MOTOR'S. Withdrawal of BID security for BID NO. B-09-509. Ck#116110 Jan 13 2010-01-000910 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 211,000.00 111 211,000.00 Refund of Performance Bond to Contractor - PASAJERO MOTOR'S. Withdrawal of BID security for BID NO. B-09-521. Ck#116111 Jan 13 2010-01-000911 Performance/Bidders/Bail Bonds Payable Cash in Bank - Local Currency , Current Account 427 111 18,000.00 18,000.00 Refund of Performance Bond to Contractor - PSAJERO MOTOR'S. Withdrawal of BID security for BID NO. B-09-504. Ck#116112 Jan 13 2010-01-000912 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 14,100.00 111 14,100.00 Refund of Performance Bond to Contractor - SACHEM MARKETING. Withdrawal of BID security for BID NO. B-09-491-6. Ck#116113 Jan 13 2010-01-000913 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 1,700.00 111 1,700.00 Refund of Performance Bond to Contractor - SACHEM MARKETING. Withdrawal of BID security for BID NO. B-09-215. Ck#116114 Jan 13 2010-01-000914 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 1,250.00 111 1,250.00 Refund of Performance Bond to Contractor - SACHEM MARKETING. Withdrawal of BID security of BID NO. B-09-479. Ck#116115 Jan 13 2010-01-000915 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 240.00 111 240.00 Refund of Performance Bond to Contractor - BEROVAN MARKETING, INC. To withdraw Performance bond with PR NO. 09-476 under O. R. No. 9282035 dtd. 08/18/2009 Ck#116116 Jan 13 2010-01-000917 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 9,625.00 111 9,625.00 Refund of Performance Bond to Contractor -BEROVAN MARKETING. Withdrawal of BID security for BID NO. B-09-041 under O.R. No.8718302 dtd. 02/13/2009. Ck#116117 Jan 13 2010-01-000918 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 495.00 111 495.00 Refund of Performance Bond to Contractor - BEROVAN MARKETING. Withdrawal of Performance Bond with PR NO. 307 under O. R. No. 9046293 dtd. 05/26/2009. Ck#116118 Jan 13 2010-01-000919 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 4,600.00 111 4,600.00 Refund of Performance Bond to Contractor - SECC COMPUTER SALES. Payment of performance bond under PAV NO. 12687 and PO NO. 454. Ck#116121 Jan 13 2010-01-000920 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 444.55 111 444.55 Refund of Performance Bond to Contractor - CEBU DE ORO EDUC. SUPPLY. Refund of performance bond under P.O. NO. 527. Ck#116122 Jan 13 2010-01-000922 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account Due to BIR Jan 13 90,000.00 111 81,000.00 412 9,000.00 Payment for Professional Services - ATTY. PROCOPIO E. FERNANDEZ Payment of consultant fee as consultant on Cooperative and Livelihood Development for the months of July to November 2009. Ck#116125 2010-01-000923 Due to Officers and Employees 403 1,000.00 Cash in Bank - Local Currency , Current Account 111 1,000.00 Payment of Allowances, Bonus and Other Compensation - DR. ALICE T, UTLANG. Payment of honorarium as Abattoir administrator (CCMA) for the month of December 2009. Ck#116126 Jan 13 2010-01-000924 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 111 2,000.00 2,000.00 Payment of Allowances, Bonus and Other Compensation - PUJADAS, JULIANA S. Ck#116127 Jan 13 2010-01-000925 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account Due to GSIS Jan 13 403 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 Payment for Professional Services - ABELLA, CALIXTA C. Jan 13 122.08 111 99.19 413 Payment of Salaries and Wages thru Bank - CAPUNO, ERNESTO P. Ck#116128 2010-01-000927 Due to Officers and Employees 2010-01-000928 Representation Allowance (RA) 713 Cash in Bank - Local Currency , Current Account Payment of honorarium as houseparent of DSWS for the month of November 16 to 30, 2009. 22.89 Payment of salary step increment as Metro Aid II of DPS covering the period from December 16 to 31, 2009. 10,000.00 9,000.00 1,000.00 Payment of consultancy services for the month of December 2009. Ck#116131 5,500.00 111 5,500.00 Payment of Allowances, Bonus and Other Compensation - CUGAY, AGAPITO F. JR. Payment of representation allowance for the month of January 2010. Ck#116132 Jan 13 2010-01-000930 Representation Allowance (RA) Transportation Allowance (TA) 713 6,300.00 714 6,300.00 Cash in Bank - Local Currency , Current Account 111 12,600.00 Payment of Allowances, Bonus and Other Compensation - ABATAYO, EVANGELINE T. Payment of representation and transportation allowance for the month of January 2010. Ck#116133 Jan 13 2010-01-000931 Representation Allowance (RA) Subsistence, Laundry and Quarter Allowance Cash in Bank - Local Currency , Current Account 713 8,700.00 716 8,734.75 111 17,434.75 Payment of Allowances, Bonus and Other Compensation - OSMEÑA, TOMAS R. Jan 13 2010-01-000932 Representation Allowance (RA) Transportation Allowance (TA) 713 5,500.00 714 5,500.00 Payment of representation and housing allowance for the month of January 2010. Ck#116134 Cash in Bank - Local Currency , Current Account 111 11,000.00 Payment of Allowances, Bonus and Other Compensation - REZABA, AGRIPINA E. Payment of representation and transportation allowance for the month of January 2010. Ck#116136 Jan 13 2010-01-000935 Representation Allowance (RA) Transportation Allowance (TA) 713 6,300.00 714 6,300.00 Cash in Bank - Local Currency , Current Account 111 12,600.00 Payment of Allowances, Bonus and Other Compensation - RENTUZA, ARLENE O. Payment of representation and transportation allowance for the month of January 2010. Ck#116137 Jan 13 2010-01-000938 Representation Allowance (RA) 713 Cash in Bank - Local Currency , Current Account 6,300.00 111 6,300.00 Payment of Allowances, Bonus and Other Compensation - DR. ALICE T. UTLANG. Payment of representation allowance for the month of January 2010. Ck#116138 Jan 13 2010-01-000940 Representation Allowance (RA) Transportation Allowance (TA) Cash in Bank - Local Currency , Current Account 713 5,500.00 714 5,500.00 111 11,000.00 Payment of Allowances, Bonus and Other Compensation - JALUAGE, VICENTA M. Payment of representation and transportation allowance for the month of January 2010. Ck#116139 Jan 13 2010-01-000941 Representation Allowance (RA) Transportation Allowance (TA) 713 6,300.00 714 6,300.00 Cash in Bank - Local Currency , Current Account 111 12,600.00 Payment of Allowances, Bonus and Other Compensation - ATTY. JOSEPH U. BERNALDEZ. Payment of representation and transportation allowance for the month of January 2010. Ck#116140 Jan 14 2010-01-000551 Salaries and Wages - Regular 701 862,180.28 Life and Retirement Insurance Contributions 731 140,725.80 PAG-IBIG Contributions 732 9,300.00 PHILHEALTH Contributions 733 14,025.00 ECC Contributions 734 9,936.97 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 310,584.00 92,079.03 Due to GSIS 413 412,844.26 Due to PAG-IBIG 414 88,145.64 Due to PHILHEALTH 415 28,050.00 Other Payables 439 104,465.12 Payment of Salaries and Wages thru Bank - ABASTILLAS, EPIFANIA R. ET AL FOR JANUARY 1-31, 2010 (1ST & 2ND WEEK) Jan 14 2010-01-000554 Due to Other NGAs 416 Cash in Bank - Local Currency , Current Account 20,000.00 111 20,000.00 Grant of Subsidies and Donations - AMBOS, TEMESTOCLES R. ET AL AS INCENTIVE ALLOWANCE FOR DECEMBER, 2009 Jan 14 2010-01-000558 Due to Other NGAs 416 Cash in Bank - Local Currency , Current Account 22,000.00 111 22,000.00 Grant of Subsidies and Donations - ABESIA, ELMER I. ET AL AS INCENTIVE ALLOWANCE FOR DECEMBER, 2009. Jan 14 2010-01-000609 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 1,020.00 111 1,020.00 Payment for Due to Officers and Employees - SABLE, ISAGANI C. AS REIMBURSEMENT OF TRAVELLING ALLOWANCE FOR OCTOBER, 2009. Jan 14 2010-01-000611 Due from Other Funds 144 Cash in Bank - Local Currency , Current Account 1,140.00 111 1,140.00 Payment for Due to Officers and Employees - INEZ, EDGAR B. AS REIMBURSEMENT OF TRAVELLING EXPENSES FOR SEPTEMBER, 2009. Jan 14 2010-01-000615 Due from Other Funds 144 Cash in Bank - Local Currency , Current Account 1,200.00 111 1,200.00 Payment for Due to Officers and Employee - INEZ, EDGAR B. AS REIMBURSEMENT OF TRAVELLING EXPENSES FOR AUGUST, 2009. Jan 14 2010-01-000617 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 8,238.00 111 8,238.00 Payment for Due to Officers and Employees - ABASIA, GREGORIO JR. R. ET AL AS TRAVELLING ALLOWANCE FOR NOVEMBER, 2009. Jan 14 2010-01-000619 Due to Officers and Employees Cash in Bank - Local Currency , Current Account 403 111 13,975.00 13,975.00 Payment for Due to Officers and Employees - ABELLANA, FELIX N. ET AL AS SUBSISTENCE AND LAUNDRY ALLOWANCE FOR NOVEMBER, 2009. Jan 14 2010-01-000621 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 700.00 111 700.00 Payment for Due to Officers and Employees - MALBAROSA JADE Z. ET AL. AS SUBSISTENCE AND LAUNDRY ALLOWANCE FOR NOVEMBER, 2009. Jan 14 2010-01-000622 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 804.56 111 804.56 Payment for Due to Officers and Employees - ALPUERTO, DANNY V. ET AL AS HAZARD PAY FOR OCTOBER, 2009. Jan 14 2010-01-000626 Due to Officers and Employees 403 8,582.76 Cash in Bank - Local Currency , Current Account 111 4,077.79 Due to GSIS 413 2,571.26 Due to PAG-IBIG 414 1,808.71 Due to PHILHEALTH 415 125.00 Payment for Due to Officers and Employees - CABILLON, PRIMO M. AS SALARY FOR DECEMBER 1-31, 2009. Jan 14 2010-01-000629 Salaries and Wages - Regular 701 171,918.80 Life and Retirement Insurance Contributions 731 26,643.48 PAG-IBIG Contributions 732 1,800.00 PHILHEALTH Contributions 733 2,675.00 ECC Contributions 734 1,923.28 Cash in Bank - Local Currency , Current Account 111 50,111.00 Due to BIR 412 19,220.89 Due to GSIS 413 89,824.70 Due to PAG-IBIG 414 15,438.97 Due to PHILHEALTH 415 5,350.00 Other Payables 439 25,015.00 Payment of Salaries and Wages thru Bank - ANG, JEROME G. ET AL FOR JANUARY 1-31, 2010 (1ST & 2ND WEEK) Jan 14 2010-01-000635 Salaries and Wages - Regular 701 139,777.39 Life and Retirement Insurance Contributions 731 20,854.80 PAG-IBIG Contributions 732 1,600.00 PHILHEALTH Contributions 733 2,112.50 ECC Contributions 734 1,710.37 Cash - Disbursing Officers 103 200.00 Cash in Bank - Local Currency , Current Account 111 34,020.00 Due to BIR 412 10,875.80 Due to GSIS 413 74,773.39 Due to PAG-IBIG 414 21,727.87 Due to PHILHEALTH 415 4,225.00 Other Payables 439 20,233.00 Payment of Salaries and Wages thru Bank - ADLAWAN, RUFINA A. ET AL FOR JANUARY 1-31, 2010 (1ST & 2ND WEEK) Jan 14 2010-01-000637 Due to Officers and Employees 403 10,444.41 Cash in Bank - Local Currency , Current Account 111 8,461.87 Due to GSIS 413 1,607.54 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 175.00 Payment for Due to Officers and Employees - BETITO, REDENTOR A. AS SALARIES FOR DECEMBER 1-31, 2009. Jan 14 2010-01-000639 Due to Other NGAs 416 Cash in Bank - Local Currency , Current Account 16,000.00 111 16,000.00 Grant of Subsidies and Donations - AMPER, GALO M. ET AL AS INCENTIVE ALLOWANCE FOR DECEMBER 2009 (STATION 9) Jan 14 2010-01-000641 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 681.80 111 681.80 Payment for Due to Officers and Employees - BONTILAO, ALYTH A. ET AL AS HAZARD FOR OCTOBER, 2009. Jan 14 2010-01-000643 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 139.77 111 139.77 Payment for Due to Officers and Employees - ROSCO, SULPICIO RUPERTO B. AS HAZARD PAY FOR OCTOBER, 2009. Jan 14 2010-01-000645 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 350.00 111 350.00 Payment for Due to Officers and Employees - PONCE, NINFA O. AS SUBSISTENCE AND LAUNDRY ALLOWANCE FOR OCTOBER, 2009. Jan 14 2010-01-000647 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 245.44 111 245.44 Payment for Due to Officers and Employees - OYBENES, JECEBEL Z. ET.AL AS HAZARD PAY FOR OCTOBER, 2009. Jan 14 2010-01-000650 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 531.80 111 531.80 Payment for Due to Officers and Employees - BORRES, ROBERTO JR. T. ET AL AS HAZARD FOR NOVEMBER, 2009. Jan 14 2010-01-000652 Due to BIR 412 Cash in Bank - Local Currency , Current Account 4,706.41 111 4,706.41 Refund of Excess Employees Taxes, Loans and Premiums - BACALSO, SCEPIO Y. ET AL AS EXCESS WITHHOLDING TAX FOR 2009. Jan 14 2010-01-000654 Due to BIR 412 Cash in Bank - Local Currency , Current Account 18,669.81 111 18,669.81 Refund of Excess Employees Taxes, Loans and Premiums - ARRANCHADO, VIOLETA C. ET AL AS EXCESS WITHHOLDING TAX FOR 2009. Jan 14 2010-01-000655 Due from Other Funds 144 Cash in Bank - Local Currency , Current Account 1,020.00 111 1,020.00 Payment for Due to Officers and Employees - TACATANI, VICENTE JR. E. AS REIMBURSEMENT OF TRAVELLING EXPENSES FOR NOVEMBER, 2009. Jan 14 2010-01-000660 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 1,575.00 111 1,575.00 Payment for Due to Officers and Employees - ESMA, SHERWIN B. ET AL AS SUBSISTENCE AND LAUNDRY ALLOWANCE FOR OCTOBER, 2009. Jan 14 2010-01-000661 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 111 504.00 504.00 Payment for Due to Officers and Employees - BACALAN, DANILO A. AS TRAVELLING EXPENSES FOR DECEMBER 1-31, 2009. Jan 14 2010-01-000662 Due to Officers and Employees 403 5,651.25 Cash in Bank - Local Currency , Current Account 111 5,651.25 Payment for Due to Officers and Employees - MAGNO, FIDEL T. AS REIMBURSEMENT OF TRAVELLING EXPENSES AND PER DIEM ON OFFICIAL TRIP TO TAGBILARAN, BOHOL FOR ATTENDING THE REGIONAL FEDERATION OF PESO MANAGERS FOR CENTRAL VISAYAS CONVENTION AT BOHOL RESORT TA Jan 14 2010-01-000664 Due to Officers and Employees 403 11,261.83 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 7,790.46 171.73 Due to GSIS 413 2,899.64 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 200.00 Payment for Due to Officers and Employees - DE JESUS, MARIA LIBERTY D. AS SALARY FOR DECEMBER 1-31, 2009. Jan 14 2010-01-000666 Due to Officers and Employees 403 42,716.56 Cash in Bank - Local Currency , Current Account 111 20,066.90 Due to BIR 412 1,119.68 Due to GSIS 413 14,182.24 Due to PAG-IBIG 414 5,672.74 Due to PHILHEALTH 415 675.00 Other Payables 439 1,000.00 Payment for Due to Officers and Employees - ARIOSA, BIENVENIDO S. ET AL AS SALARY FOR DECEMBER 1-31, 2009. Jan 14 2010-01-000667 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 1,260.00 111 1,260.00 Payment for Due to Officers and Employees - MAKINANO, WILHELMINA V. AS TRAVELLING ALLOWANCE FOR NOVEMBER, 2009. Jan 14 2010-01-000690 Salaries and Wages - Regular 701 140,003.23 Life and Retirement Insurance Contributions 731 22,146.36 PAG-IBIG Contributions 732 1,900.00 PHILHEALTH Contributions 733 2,200.00 ECC Contributions 734 2,011.79 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 44,563.00 7,990.73 Due to GSIS 413 85,384.70 Due to PAG-IBIG 414 16,594.07 Due to PHILHEALTH 415 4,400.00 Other Payables 439 9,328.88 Payment of Salaries and Wages thru Bank - ASPACIO, MARIA ELENA G. ET AL FOR JANUARY 1-31, 2010 (1ST & 2ND WEEK) Jan 14 2010-01-000691 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 15,358.00 111 15,358.00 Payment for Due to Officers and Employees - CADAR, ALI P. ET AL AS SALARIES FOR DECEMBER 16-31, 2009 Jan 14 2010-01-000692 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 111 21,169.00 21,169.00 Payment for Due to Officers and Employees - APALLA, EDWIN L ET AL AS SALARIES FOR DECEMBER 16-31, 2009 Jan 14 2010-01-000694 Due to Officers and Employees 403 11,400.64 Cash in Bank - Local Currency , Current Account 111 3,949.72 Due to BIR 412 1,650.94 Due to GSIS 413 3,895.55 Due to PAG-IBIG 414 864.43 Due to PHILHEALTH 415 200.00 Other Payables 439 840.00 Payment for Due to Officers and Employees - PULGO, MA. MELISSA G. AS SALARIES FOR DECEMBER 1-31, 2009 Jan 14 2010-01-000695 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 16,874.00 111 16,874.00 Payment of Salaries and Wages thru Bank - ARCILLA, LORDE L. ET AL FOR JANUARY 1-31, 2009 (2ND WEEK) Jan 14 2010-01-000696 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 18,191.00 111 18,191.00 Payment of Salaries and Wages thru Bank - ABELLA, EUSEBIO A. ET AL FOR JANUARY 1-31, 2009 (2ND WEEK) Jan 14 2010-01-000697 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 53,749.00 111 53,749.00 Payment of Salaries and Wages thru Bank - ABELLA, FRANCISCA Y. ET AL FOR JANUARY 1-31, 2010 (2ND WEEK) Jan 14 2010-01-000699 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 13,220.00 111 13,220.00 Payment of Salaries and Wages thru Bank - ABELGAS, JOSE P. ET AL FOR JANUARY 1-31, 2010 (2ND WEEK) Jan 14 2010-01-000702 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 15,210.00 111 15,210.00 Payment of Salaries and Wages thru Bank - ARACAN, FILOMENA M. ET AL FOR JANUARY 1-31, 2010 (2ND WEEK) Jan 14 2010-01-000704 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 3,936.00 111 3,936.00 Payment of Salaries and Wages thru Bank - DAYONDON, ANTONIO D. ET AL FOR JANUARY 1-31, 2009 (2ND WEEK) Jan 14 2010-01-000706 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 20,907.00 111 20,907.00 Payment of Salaries and Wages thru Bank - ABELLA, ANTONIO, JR. T. ET AL FOR JANUARY 1-31, 2010 (2ND WEEK) Jan 14 2010-01-000708 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 48,129.00 111 48,129.00 Payment of Salaries and Wages thru Bank - ABADIA, MA. FATIMA E. ET AL FOR JANUARY 1-31, 2009 (2ND WEEK) Jan 14 2010-01-000709 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 13,617.00 111 13,617.00 Payment of Salaries and Wages thru Bank - ABENOJA, LUISITO D. ET AL FOR JANUARY 1- 31, 2010 (2ND WEEK) Jan 14 2010-01-000710 Salaries and Wages - Regular 701 38,069.00 Cash in Bank - Local Currency , Current Account 111 38,069.00 Payment of Salaries and Wages thru Bank - ALIVIO, NICANOR E. ET AL FOR JANUARY 1-31, 2010 (2ND WEEK) Jan 14 2010-01-000711 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 31,503.00 111 31,503.00 Payment of Salaries and Wages thru Bank - ABOBO, JIMMY B. ET AL FOR JANUARY 1-31, 2010 (2ND WEEK) Jan 14 2010-01-000717 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 33,459.00 111 33,459.00 Payment of Salaries and Wages thru Bank - ABORDO, OSCAR S. ET AL FOR JANUARY 1-31, 2010 (2ND WEEK) Jan 14 2010-01-000718 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 6,786.00 111 6,786.00 Payment of Salaries and Wages thru Bank - CAÑA, ROMEO DC. ET AL FOR JANUARY 1-31, 2010 (2ND WEEK) Jan 14 2010-01-000719 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 21,064.00 111 21,064.00 Payment of Salaries and Wages thru Bank - ABELGAS, BELONA O. ET AL FOR JANUARY 1-31, 2010 (2ND WEEK) Jan 14 2010-01-000720 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 1,806.00 111 1,806.00 Payment of Salaries and Wages thru Bank - BORDAJE, AILEEN B. ET AL FOR JANUARY 1-31, 2010 (2ND WEEK) Jan 14 2010-01-000721 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 49,115.00 111 49,115.00 Payment of Salaries and Wages thru Bank - ABELLA, MYRA A. ET AL FOR JANUARY 1-31, 2010 (2ND WEEK) Jan 14 2010-01-000723 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 15,372.00 111 15,372.00 Payment of Salaries and Wages thru Bank - AGUILAR, NICEA D. ET AL FOR JANUARY 1-31, 2010 (2ND WEEK) Jan 14 2010-01-000725 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 16,351.00 111 16,351.00 Payment of Salaries and Wages thru Bank - ABASTAS, VIRGILIO B. ET AL FOR JANUARY 1-31, 2010 (2ND WEEK) Jan 14 2010-01-000726 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 5,718.00 111 5,718.00 Payment of Salaries and Wages thru Bank - OSMEÑA, TOMAS DR. FOR JANUARY 1-31, 2009 (2ND WEEK) Jan 14 2010-01-000727 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 6,102.00 111 6,102.00 Payment of Salaries and Wages thru Bank - CAMPOMANES, MARIE FE A. ET AL FOR JANUARY 1-31, 2010 (2ND WEEK) Jan 14 2010-01-000730 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 111 552.40 552.40 Payment for Due to Officers and Employees - ATILLO, EMMA B. ET AL AS HAZARD PAY FOR OCTOER, 2009. Jan 14 2010-01-000731 Due to Officers and Employees 403 4,409.41 Cash in Bank - Local Currency , Current Account 111 3,400.23 Due to GSIS 413 769.30 Due to PAG-IBIG 414 139.88 Due to PHILHEALTH 415 100.00 Payment for Due to Officers and Employees - TRAQUILINO, MARSHA A. AS SALARIES FOR NOVEMBER 1-30,2009. Jan 14 2010-01-000732 Due to Officers and Employees 403 6,680.24 Cash in Bank - Local Currency , Current Account 111 5,238.20 Due to GSIS 413 1,117.04 Due to PAG-IBIG 414 200.00 415 125.00 Due to PHILHEALTH Payment for Due to Officers and Employees - TRAQUILINO, MARSHA A. AS SALARIES FOR DECEMBER 1-31, 2009 Jan 14 2010-01-000734 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 350.00 111 350.00 Payment for Due to Officers and Employees - AUREO, CRISTALENE F.ET AL AS SUBSISTENCE AND LAUNDRY ALLOWANCE FOR OCTOBER 16-31, 2009. Jan 14 2010-01-000791 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account Due to BIR Jan 14 3,000.00 111 2,100.00 412 Payment of Allowances, Bonus and Other Compensation - BAÑACIA, NAGIEL B. SRP Executive Director and Protocol Officer. Ck#210893 2010-01-000793 Representation Allowance (RA) Transportation Allowance (TA) Cash in Bank - Local Currency , Current Account 713 5,500.00 714 5,500.00 111 11,000.00 Payment of Allowances, Bonus and Other Compensation - GUMIA, MARIETTA L. Jan 14 2010-01-000794 Representation Allowance (RA) Transportation Allowance (TA) 900.00 Payment of honorarium for the month of May to July 2009 as Public Information Officer Concurrent 713 6,300.00 714 6,300.00 payment of representation and transportation allowance for the month of January 2010 Ck#116141 Cash in Bank - Local Currency , Current Account 111 12,600.00 Payment of Allowances, Bonus and Other Compensation - FERNANDEZ, FRANCISCO L. Payment of representation and transportation allowance for the month of January 2010 as City Administrator. Ck#116142 Jan 14 2010-01-000795 Representation Allowance (RA) Transportation Allowance (TA) 713 6,300.00 714 6,300.00 Cash in Bank - Local Currency , Current Account 111 12,600.00 Payment of Allowances, Bonus and Other Compensation - ARTAJO, WILLIAM CRIS V. Payment of representation and transportation allowance for the month of January 2010 as Dep't. Head of MICS. Ck#116143 Jan 14 2010-01-000796 Representation Allowance (RA) Transportation Allowance (TA) 713 6,300.00 714 6,300.00 Cash in Bank - Local Currency , Current Account 111 12,600.00 Payment of Allowances, Bonus and Other Compensation - BRIONES, NELFA R. Payment of representation and transportation allowance for the month of January 2010 as City Budget Officer. Ck#116144 Jan 14 2010-01-000797 Representation Allowance (RA) 713 6,300.00 Transportation Allowance (TA) 714 6,300.00 Cash in Bank - Local Currency , Current Account 111 Payment of Allowances, Bonus and Other Compensation - MAGNO, FIDEL T. Head II of DMDP. Ck#116145 Jan 14 2010-01-000798 Representation Allowance (RA) Transportation Allowance (TA) 713 6,300.00 714 6,300.00 12,600.00 Payment of representation and transportation allowance for the month of January 2010 as OIC-Dep't. Cash in Bank - Local Currency , Current Account 111 12,600.00 Payment of Allowances, Bonus and Other Compensation - CUBERO, ESTER E. Payment of representation and transportation allowance for the month of January 2010 as OIC of General Services Offices. Ck#116146 Jan 14 2010-01-000799 Representation Allowance (RA) Transportation Allowance (TA) Cash in Bank - Local Currency , Current Account 713 6,300.00 714 6,300.00 111 12,600.00 Payment of Allowances, Bonus and Other Compensation - ARDOSA, ROLANDO Payment of representation and transportation allowance for the month of January 2010. Ck#116147 Jan 14 2010-01-000800 Representation Allowance (RA) Transportation Allowance (TA) 713 5,500.00 714 5,500.00 Cash in Bank - Local Currency , Current Account 111 11,000.00 Payment of Allowances, Bonus and Other Compensation - KAHULUGAN, CYNTHIA M. Payment of representation and transportation allowance for the month of January 2010 as Asst. City Secretary of SP. Ck#116148 Jan 14 2010-01-000801 Representation Allowance (RA) 713 Cash in Bank - Local Currency , Current Account 5,500.00 111 5,500.00 Payment of Allowances, Bonus and Other Compensation - MORELOS, VERONICA A. Jan 14 2010-01-000802 Representation Allowance (RA) Transportation Allowance (TA) 713 6,300.00 714 6,300.00 Payment of representation allowance for the month of January 2010. Ck#116149 Cash in Bank - Local Currency , Current Account 111 12,600.00 Payment of Allowances, Bonus and Other Compensation - POBLETE, JOSE MARIE N. Payment of representation and transportation allowance for the month of January 2010 as City Secretary of SP - Cebu City. Ck#116150 Jan 14 2010-01-000803 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 111 Due to GSIS 413 648.48 526.89 121.59 Payment of Salaries and Wages thru Bank - CUGAY, DEEJAY Jan 14 2010-01-000804 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 36,000.00 32,400.00 3,600.00 Payment for Professional Services - ATTY. BENJAMIN MILITAR Jan 14 2010-01-000805 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account Due to BIR Jan 14 2010-01-000806 Due to Officers and Employees Payment of salary differential from utility worker I to utility worker II from December 16 to 31, 2009. Ck#116151 Payment of cosultancy fee for the month of November & December 2009. Ck#116152 12,168.55 111 11,600.00 412 Payment of Salaries and Wages thru Bank - CABASE, LAUREAN JO F. 2009). Ck#116153 403 115.56 568.55 Payment of BTW within maternity period for the month of December 2009 (maternity leave Nov. 2 to Dec. 31, Cash in Bank - Local Currency , Current Account 111 93.90 Due to GSIS 413 21.66 Payment of Salaries and Wages thru Bank - BANQUICIO, DAISY T. Payment of the new salary adjustment effective Dec. 21, 2009 as Clerk IV with salary grade 8 step 6. Ck#116154 Jan 14 2010-01-000807 Due to Officers and Employees 403 6,701.10 Cash in Bank - Local Currency , Current Account 111 5,361.16 Due to GSIS 413 1,053.96 Due to PAG-IBIG 414 185.98 Due to PHILHEALTH 415 100.00 Payment of Salaries and Wages thru Bank - ENEMECIO, EDITO M. II Jan 14 2010-01-000808 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account Due to GSIS Jan 14 1,933.62 111 1,571.07 413 Payment of Salaries and Wages thru Bank - ADLAWAN, PHOEBE INA Ck#116156 2010-01-000809 Due to PAG-IBIG 414 Cash in Bank - Local Currency , Current Account Payment of first salary for the month of December 14 to 31, 2009 at the office of the City Attorney. Ck#116155 362.55 Payment of salary differential from Dec. 16 to 31, 2009 from Admin. Officer I to Budget officer II grade 15. 1,500.00 111 1,500.00 Refund of Excess Employees Taxes, Loans and Premiums - MINGUITO, CORAZON Jan 14 2010-01-000810 Accounts Payable 401 14 111 142,409.48 Due to BIR 412 9,023.92 14 439 17,013.10 Payment for Purchase of Inventories, Supplies and Materials for Stock - M. CARANGUE ENT. & PRESS Payment of 2 pcs. Form # 32 (A) City Accountant Record Book and other items CHECK NO. 116163 CTV# 453 P 141,281.49 M. CARANGUE ENT. & PRESS. CHECK NO. 2010-01-000811 Accounts Payable 401 34,950.00 Cash in Bank - Local Currency , Current Account 111 29,512.78 Due to BIR 412 1,872.32 Other Payables Jan 168,446.50 Cash in Bank - Local Currency , Current Account Other Payables Jan Refund of Pag-ibig loan deduction for the month of December 2009. Ck#116157 439 3,564.90 Payment for Purchase of Inventories, Supplies and Materials for Stock - PHILCOPY CORP. P 28,388.67 - PHILCOPY CORP. CHECK NO. 116168 CTV# 458 P 624.11 - CEBU 2010-01-000816 Due to Officers and Employees 403 Payment of 10 carts toner-kyocera mita machine 1815. CHECK NO. 116167 CTV# 457 5,952.00 Cash in Bank - Local Currency , Current Account 111 5,952.00 Payment / Reimbursement of Travelling Expenses - FERNANDEZ, FRANCISCO L. Reimbursement of expenses incurred for transportation and per diem for an official business travel in Manila last July 24, 2009. Ck#116174 Jan 14 2010-01-000818 Due to Officers and Employees 403 10,800.00 Cash in Bank - Local Currency , Current Account 111 10,800.00 Payment / Reimbursement of Travelling Expenses - FELICIANO M. ALINSON JR. Reimbursemesnt of travelling expenses incurred for the month of August 17 to Nov. 26, 2009. Ck#116175 Jan 14 2010-01-000819 Prior Years' Adjustments 684 Cash in Bank - Local Currency , Current Account 111 Grant of Subsidies and Donations - BRGY. BONBON 6,500.00 6,500.00 Financial Assistance of Day Care Worker for the month of October to December 2008. Ck#116177 Jan 14 2010-01-000820 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 616.00 111 616.00 Payment / Reimbursement of Travelling Expenses - MINGUITO, CORAZON Jan 14 2010-01-000821 Due to Officers and Employees 403 Payment of transportation expenses for the month of July 2009. Ck#116178 7,522.00 Cash in Bank - Local Currency , Current Account 111 Payment / Reimbursement of Travelling Expenses - MARIE VELLE P. ABELLA last October 8, 2009. Ck#116179 Jan 14 2010-01-000822 Due to Officers and Employees 403 7,522.00 Reimbursement of expenses incurred for transportation and per diem for an official business in Manila 644.00 Cash in Bank - Local Currency , Current Account 111 616.00 Prior Years' Adjustments 684 28.00 Payment / Reimbursement of Travelling Expenses - ROSAGENIA, MARILOU Payment of transportation expenses as foreman for the month of July 2009. Ck#116180 Jan 14 2010-01-000823 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 111 Prior Years' Adjustments 684 644.00 616.00 28.00 Payment / Reimbursement of Travelling Expenses - YBURAN, FERNANDO Jan 14 2010-01-000827 Salaries and Wages - Regular 701 1,832,362.26 Life and Retirement Insurance Contributions 731 290,092.56 PAG-IBIG Contributions 732 14,300.00 PHILHEALTH Contributions 733 29,187.50 ECC Contributions 734 21,320.54 Payment of transportation expenses as Acting Foreman for the month of July 2009. Ck#116181 Cash in Bank - Local Currency , Current Account 111 585,145.00 Due to BIR 412 214,020.94 Due to GSIS 413 962,029.53 Due to PAG-IBIG 414 116,954.20 Due to PHILHEALTH 415 58,375.00 Other Payables 439 250,738.19 Payment of Salaries and Wages thru Bank - ABADIANO, LEONOR G. ET AL FOR JANUARY 1-31, 2009 (1ST & 2ND WEEK) Jan 14 2010-01-000828 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 1,337.00 111 1,337.00 Payment / Reimbursement of Travelling Expenses - EMPUERTO, BENJARED R. Jan 14 2010-01-000829 Salaries and Wages - Regular 701 53,018.34 Life and Retirement Insurance Contributions 731 8,088.24 PAG-IBIG Contributions 732 700.00 PHILHEALTH Contributions 733 800.00 ECC Contributions 734 843.89 Reimbursement of travelling allowance for the month of December 2009. Ck#116184 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 14,387.00 5,994.29 Due to GSIS 413 29,706.20 Due to PAG-IBIG 414 4,397.98 Due to PHILHEALTH 415 1,600.00 Other Payables 439 7,365.00 Payment of Salaries and Wages thru Bank - ABARQUEZ, JANE C. ET AL FOR JANUARY 1-31, 2010 (1ST & 2ND WEEK) Jan 14 2010-01-000831 Due to Officers and Employees 403 1,148.00 Cash in Bank - Local Currency , Current Account 111 1,148.00 Payment / Reimbursement of Travelling Expenses - NAMBATAC, ROGELIO Payment of transportation expenses as foreman of DPS for the month of October to November 2009. Ck#116185 Jan 14 2010-01-000832 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Jan 14 61,377.12 111 58,089.06 412 3,288.06 Payment for Purchase of Inventories, Supplies and Materials Directly Issued to End-User - TRICOM DYNAMICS INC. Payment of 22 pcs. toner for Toshiba Digital Copier E Studio 200T2500 and other items. Ck#116186 2010-01-000833 Representation Allowance (RA) Transportation Allowance (TA) 713 5,500.00 714 5,500.00 Cash in Bank - Local Currency , Current Account 111 11,000.00 Payment of Allowances, Bonus and Other Compensation - MA. SUZANNE O. ARDOSA of CCMC. Payment of representation & transportation allowance as acting Asst. Chief of Hospital for Admin. Services for the month of January 2010. Ck#712659 Jan 14 2010-01-000835 Due to Officers and Employees 403 350.00 Cash in Bank - Local Currency , Current Account 111 350.00 Payment of Allowances, Bonus and Other Compensation - ABELGAS, EDGAR C. of CCMC. Payment of subsistence and laundry allowance for the month of December 2009. Ck#712660 Jan 14 2010-01-000837 Due to Officers and Employees 403 27,559.64 Cash in Bank - Local Currency , Current Account 111 22,006.27 Due to GSIS 413 4,803.37 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 550.00 Payment of Salaries and Wages thru Bank - ABELGAS, EDGAR C. of CCMC. Payment of salary as Medical Specialist I for the month of December 2009. Ck#712661 Jan 14 2010-01-000839 Salaries and Wages - Regular 701 73,713.86 Life and Retirement Insurance Contributions 731 14,920.20 PAG-IBIG Contributions 732 1,200.00 PHILHEALTH Contributions 733 1,487.50 ECC Contributions 734 1,531.71 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 16,877.00 4,177.60 Due to GSIS 413 52,609.08 Due to PAG-IBIG 414 11,419.59 Due to PHILHEALTH 415 2,975.00 Other Payables 439 4,795.00 Payment of Salaries and Wages thru Bank - ARCILLA, LORDE L. ET AL FOR JANUARY 1-31, 2010 (1ST WEEK) Jan 14 2010-01-000843 Salaries and Wages - Regular 701 151,671.75 Life and Retirement Insurance Contributions 731 24,748.44 PAG-IBIG Contributions 732 2,000.00 PHILHEALTH Contributions 733 2,487.50 ECC Contributions 734 2,298.93 Cash - Disbursing Officers 103 200.00 Cash in Bank - Local Currency , Current Account 111 18,196.00 Due to BIR 412 10,398.61 Due to GSIS 413 90,110.56 Due to PAG-IBIG 414 27,194.45 Due to PHILHEALTH 415 4,975.00 Other Payables 439 32,132.00 Payment of Salaries and Wages thru Bank - ABELLA, EUSEBIO A. ET AL FOR JANUARY 1-31, 2010 (1ST WEEK) Jan 14 2010-01-000844 Due to Officers and Employees 403 757.80 Cash in Bank - Local Currency , Current Account 111 757.80 Payment for Taxes, Premiums and Other Fees - UY, ROSALINA C. of CCMC. Reimbursement for payment of the increase fidelity bond premiums for dietary section of CCMC. Ck#712662 Jan 14 2010-01-000845 Salaries and Wages - Regular 701 409,269.07 Life and Retirement Insurance Contributions 731 68,460.36 PAG-IBIG Contributions 732 7,100.00 PHILHEALTH Contributions 733 6,575.00 ECC Contributions 734 9,083.05 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 53,764.00 18,127.70 Due to GSIS 413 262,348.21 Due to PAG-IBIG 414 84,170.29 Due to PHILHEALTH 415 13,150.00 Other Payables 439 68,927.28 Payment of Salaries and Wages thru Bank - ABELLA, FRANCISCA Y. ET AL FOR JANUARY 1-31, 2010 (1ST WEEK) Jan 14 2010-01-000846 Salaries and Wages - Regular 701 82,651.23 Life and Retirement Insurance Contributions 731 14,677.20 PAG-IBIG Contributions 732 1,100.00 PHILHEALTH Contributions 733 1,450.00 ECC Contributions 734 1,537.15 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 13,223.00 5,531.87 Due to GSIS 413 50,370.46 Due to PAG-IBIG 414 10,939.25 Due to PHILHEALTH 415 2,900.00 Other Payables 439 18,451.00 Payment of Salaries and Wages thru Bank - ABELGAS, JOSE P. ET AL FOR JANUARY 1-31, 2010 (1ST WEEK) Jan 14 2010-01-000848 Due to Officers and Employees 403 8,948.07 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 3,348.86 405.88 Due to GSIS 413 2,385.26 Due to PAG-IBIG 414 1,658.07 Due to PHILHEALTH 415 150.00 Other Payables 439 1,000.00 Payment for Due to Officers and Employees - MARQUEZ, EMMA P. AS SALARY FOR DECEMBER 1-31, 2009. Jan 14 2010-01-000849 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 6,500.00 111 6,500.00 Payment for Due to Officers and Employees - FAELNAR, AMBROSIO V. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 14 2010-01-000851 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Jan 14 5,106,400.00 111 4,832,842.85 412 273,557.15 Payment for Purchase of Inventories, Supplies and Materials for Stock - PHIL. ASIA RESOURCES & DEV'T. CORP. Payment of 491 drums of Bitumen for repair & maintenance of various City Streets. CHECK NO. 703173 CTV# 490 P 4,814,842.85 PHIL. ASIA RESOURCE 2010-01-000852 Due to Officers and Employees 403 19,584.10 Cash in Bank - Local Currency , Current Account 111 13,211.10 Due to GSIS 413 4,062.53 Due to PAG-IBIG 414 2,010.47 415 300.00 Due to PHILHEALTH Payment for Due to Officers and Employees - MANATAD, JESUS T. ET AL AS SALARIES FOR DECEMBER 1-31, 2009. Jan 14 2010-01-000854 Due to Officers and Employees 403 11,104.33 Cash in Bank - Local Currency , Current Account 111 7,875.89 Due to GSIS 413 1,924.91 Due to PAG-IBIG 414 1,128.53 Due to PHILHEALTH 415 175.00 Payment for Due to Officers and Employees - ALBORES, RICA G. ET AL AS SALARIES FOR DECEMBER 1-31, 2009. Jan 14 2010-01-000856 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 6,390.00 111 6,390.00 Payment for Due to Officers and Employees - ABELLA, JEYNO V. ET AL AS TRAVELLING EXPENSES FOR NOVEMBER, 2009. Jan 14 2010-01-000858 Due to Officers and Employees 403 7,310.26 Cash in Bank - Local Currency , Current Account 111 3,030.57 Due to GSIS 413 1,539.71 Due to PAG-IBIG 414 414.98 Due to PHILHEALTH 415 125.00 Other Payables 439 2,200.00 Payment for Due to Officers and Employees - ENGLATERA, JENIFER R. AS SALARY FOR NOVEMBER 1-30, 2009. Jan 14 2010-01-000860 Accounts Payable 401 51,744.00 Cash in Bank - Local Currency , Current Account 111 43,335.60 Due to BIR 412 3,234.00 Performance/Bidders/Bail Bonds Payable 427 Payment for Accounts Payable - OTIS E & M COMPANY INC. Ck#116183 Jan 14 2010-01-000861 Due to Officers and Employees Cash in Bank - Local Currency , Current Account 403 111 5,174.40 Payment of service maintenance fee of the two (2) elevators installed in Annex Bldg. from January to June 2009. 73,992.32 54,821.99 Due to BIR 412 539.49 Due to GSIS 413 14,253.04 Due to PAG-IBIG 414 3,127.80 Due to PHILHEALTH 415 1,250.00 Payment for Due to Officers and Employees - GEREBESE, REDEN P. ET AL AS SALARIES FOR DECEMBER 1-31, 2009. Jan 14 2010-01-000863 Due to Officers and Employees 403 9,882.84 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 3,300.14 625.94 Due to GSIS 413 2,630.76 Due to PAG-IBIG 414 1,776.00 Due to PHILHEALTH 415 150.00 Other Payables 439 1,400.00 Payment for Due to Officers and Employees - LLESOL, JOCELYN A. AS SALRIES FOR DECEMBER 1-31, 2009. Jan 14 2010-01-000864 Due to Officers and Employees 403 14,735.90 Cash in Bank - Local Currency , Current Account 111 3,158.15 Due to BIR 412 1,339.16 Due to GSIS 413 5,263.59 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 275.00 Other Payables 439 4,500.00 Payment for Due to Officers and Employees - YLANAN, OFELIA B. AS SALARIES FOR DECEMBER 1-31, 2009. Jan 14 2010-01-000865 Due to Officers and Employees 403 31,436.50 Cash in Bank - Local Currency , Current Account 111 18,794.32 Due to BIR 412 2,625.00 Due to GSIS 413 9,192.18 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 625.00 Payment for Due to Officers and Employees - ENRIGUEZ, KENNETH CARMELITA M. AS SALARY FOR DECEMBER 1-31, 2009. Jan 14 2010-01-000866 Representation Allowance (RA) 713 Cash in Bank - Local Currency , Current Account 107,100.00 111 107,100.00 Payment of Allowances, Bonus and Other Compensation - ABELLANOSA, RODRIGO A. ET AL REPRESENTATION ALLOWANCE FOR JANUARY, 2010. Jan 14 2010-01-000867 Salaries and Wages - Regular 701 22,412.34 Life and Retirement Insurance Contributions 731 4,106.28 PAG-IBIG Contributions 732 500.00 PHILHEALTH Contributions 733 412.50 ECC Contributions 734 582.74 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 2,443.22 Due to GSIS 413 15,374.08 Due to PAG-IBIG 414 5,434.56 415 825.00 Due to PHILHEALTH 3,937.00 Payment of Salaries and Wages thru Bank - DAYONDON, ANTONIO D. ET AL FOR JANUARY 1-31, 2010 (1ST WEEK) Jan 14 2010-01-000868 Salaries and Wages - Regular 701 131,729.86 Life and Retirement Insurance Contributions 731 23,333.88 PAG-IBIG Contributions 732 1,400.00 PHILHEALTH Contributions 733 2,337.50 ECC Contributions 734 1,522.56 Cash in Bank - Local Currency , Current Account 111 20,910.00 Due to BIR 412 13,750.23 Due to GSIS 413 74,416.13 Due to PAG-IBIG 414 17,055.44 Due to PHILHEALTH 415 4,675.00 439 29,517.00 Other Payables Payment of Salaries and Wages thru Bank - ABELLA, ANTONIO JR. T. ET AL FOR JANUARY 1-31, 2010 (1ST WEEK) Jan 14 2010-01-000872 Salaries and Wages - Regular 701 64,820.57 Life and Retirement Insurance Contributions 731 13,254.00 PAG-IBIG Contributions 732 800.00 PHILHEALTH Contributions 733 1,262.50 ECC Contributions 734 807.18 Cash in Bank - Local Currency , Current Account 111 15,212.00 Due from Officers and Employees 123 1,000.00 Due to BIR 412 7,908.03 Due to GSIS 413 41,978.91 Due to PAG-IBIG 414 9,020.31 Due to PHILHEALTH 415 2,525.00 Other Payables 439 3,300.00 Payment of Salaries and Wages thru Bank - ARACAN, FILOMENA M. ET AL FOR JANUARY 1-31, 2010 (1ST WEEK) Jan 14 2010-01-000876 Salaries and Wages - Regular 701 224,766.66 Life and Retirement Insurance Contributions 731 44,297.88 PAG-IBIG Contributions 732 2,600.00 PHILHEALTH Contributions 733 4,437.50 ECC Contributions 734 2,803.69 Cash in Bank - Local Currency , Current Account 111 48,135.00 Due to BIR 412 31,239.46 Due to GSIS 413 130,722.51 Due to PAG-IBIG 414 25,223.76 Due to PHILHEALTH 415 8,875.00 Other Payables 439 34,710.00 Payment of Salaries and Wages thru Bank - ABADIA, MA. FATIMA E. ET AL FOR JANUARY 1-31, 2010 (1ST WEEK) Jan 14 2010-01-000934 Salaries and Wages - Regular 701 82,908.64 Life and Retirement Insurance Contributions 731 14,850.96 PAG-IBIG Contributions 732 600.00 PHILHEALTH Contributions 733 1,512.50 ECC Contributions 734 600.00 Cash in Bank - Local Currency , Current Account 111 13,617.00 Due to BIR 412 13,060.99 Due to GSIS 413 48,585.43 Due to PAG-IBIG 414 6,517.68 Due to PHILHEALTH 415 3,025.00 Other Payables 439 15,666.00 Payment of Salaries and Wages thru Bank - ABENOJA, LUISITO D. ET AL FOR JANUARY 1-31,2009 Jan 14 2010-01-000936 Salaries and Wages - Regular 701 156,159.92 Life and Retirement Insurance Contributions 731 32,444.04 PAG-IBIG Contributions 732 2,400.00 PHILHEALTH Contributions 733 3,250.00 ECC Contributions 734 2,683.55 Cash in Bank - Local Currency , Current Account 111 38,077.00 Due to BIR 412 16,129.08 Due to GSIS 413 98,133.13 Due to PAG-IBIG 414 21,996.30 Due to PHILHEALTH 415 6,500.00 Other Payables 439 16,102.00 (1ST WEEK) Payment of Salaries and Wages thru Bank - ALIVIO, NICANOR E. ET AL FOR JANUARY 1-31, 2010 (1ST WEEK) Jan 14 2010-01-000939 Salaries and Wages - Regular 701 153,370.14 Life and Retirement Insurance Contributions 731 29,745.24 PAG-IBIG Contributions 732 2,300.00 PHILHEALTH Contributions 733 2,987.50 ECC Contributions 734 2,651.75 Cash in Bank - Local Currency , Current Account 111 31,513.00 Due to BIR 412 14,380.72 Due to GSIS 413 92,489.46 Due to PAG-IBIG 414 29,302.09 Due to PHILHEALTH 415 5,975.00 Other Payables 439 17,394.36 Payment of Salaries and Wages thru Bank - ABOBO, JIMMY B. ET AL FOR JANUARY 1-31, 2010 (1ST WEEK) Jan 14 2010-01-000983 Salaries and Wages - Regular 701 193,959.24 Life and Retirement Insurance Contributions 731 35,320.20 PAG-IBIG Contributions 732 2,100.00 PHILHEALTH Contributions 733 3,562.50 ECC Contributions 734 2,191.09 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 33,464.00 29,978.77 Due to GSIS 413 116,870.79 Due to PAG-IBIG 414 19,710.08 Due to PHILHEALTH 415 7,125.00 Other Payables 439 29,984.39 Payment of Salaries and Wages thru Bank - ABORDO, OSCAR S. ET AL FOR JANUARY 1-31, 2010 (1ST WEEK) Jan 14 2010-01-000987 Salaries and Wages - Regular 701 41,957.18 Life and Retirement Insurance Contributions 731 7,477.44 PAG-IBIG Contributions 732 800.00 PHILHEALTH Contributions 733 725.00 ECC Contributions 734 939.14 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 6,787.00 1,700.00 Due to GSIS 413 29,080.52 Due to PAG-IBIG 414 6,371.24 Due to PHILHEALTH 415 1,450.00 Other Payables 439 6,510.00 Payment of Salaries and Wages thru Bank - CAÑA, ROMEO DC. ET AL FOR JANUARY 1-31, 2010 (1ST WEEK) Jan 14 2010-01-000994 Salaries and Wages - Regular 701 92,982.60 Life and Retirement Insurance Contributions 731 18,740.64 PAG-IBIG Contributions 732 900.00 PHILHEALTH Contributions 733 1,900.00 ECC Contributions 734 900.00 Cash in Bank - Local Currency , Current Account 111 21,068.00 Due to BIR 412 14,438.96 Due to GSIS 413 58,230.43 Due to PAG-IBIG 414 7,212.10 Due to PHILHEALTH 415 3,800.00 Other Payables 439 10,673.75 Payment of Salaries and Wages thru Bank - ABELGAS, BELONA O. ET AL FOR JANUARY 1-31, 2010 (1ST WEEK) Jan 14 2010-01-000995 Salaries and Wages - Regular 701 10,981.43 Life and Retirement Insurance Contributions 731 2,040.00 PAG-IBIG Contributions 732 200.00 PHILHEALTH Contributions 733 200.00 ECC Contributions 734 170.00 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 1,807.00 900.00 Due to GSIS 413 6,384.43 Due to PAG-IBIG 414 3,100.00 Due to PHILHEALTH 415 400.00 Other Payables 439 1,000.00 Payment of Salaries and Wages thru Bank - BORDAJE, AILEEN B. ET AL FOR JANUARY 1-31, 2010 (1ST WEEK) Jan 14 2010-01-000996 Salaries and Wages - Regular 701 283,130.61 Life and Retirement Insurance Contributions 731 51,655.32 PAG-IBIG Contributions 732 3,200.00 PHILHEALTH Contributions 733 5,212.50 ECC Contributions 734 3,201.86 Cash in Bank - Local Currency , Current Account 111 49,120.00 Due to BIR 412 27,852.31 Due to GSIS 413 167,413.01 Due to PAG-IBIG 414 28,045.72 Due to PHILHEALTH 415 10,425.00 Other Payables 439 63,544.25 Payment of Salaries and Wages thru Bank - ABELLA, MYRA A. ET AL FOR JANUARY 1-31, 2010 (1ST WEEK) Jan 14 2010-01-000998 Salaries and Wages - Regular 701 60,266.87 Life and Retirement Insurance Contributions 731 12,765.72 PAG-IBIG Contributions 732 900.00 PHILHEALTH Contributions 733 1,287.50 ECC Contributions 734 961.66 Cash in Bank - Local Currency , Current Account 111 15,374.00 Due to BIR 412 7,893.63 Due to GSIS 413 36,227.24 Due to PAG-IBIG 414 6,609.77 Due to PHILHEALTH 415 2,575.00 Other Payables 439 7,502.11 Payment of Salaries and Wages thru Bank - AGUILAR, NICEA D. ET AL FOR JANUARY 1-31, 2010 (1ST WEEK) Jan 14 2010-01-001011 Salaries and Wages - Regular 701 63,368.26 Life and Retirement Insurance Contributions 731 13,490.40 PAG-IBIG Contributions 732 1,400.00 PHILHEALTH Contributions 733 1,312.50 ECC Contributions 734 1,519.21 Cash in Bank - Local Currency , Current Account 111 16,355.00 Due to BIR 412 4,031.90 Due to GSIS 413 43,200.29 Due to PAG-IBIG 414 9,715.18 Due to PHILHEALTH 415 2,625.00 Other Payables 439 5,163.00 Payment of Salaries and Wages thru Bank - ABASTAS, VIRGILIO B. ET AL FOR JANUARY 1-31, 2010 (1ST WEEK) Jan 14 2010-01-001014 Salaries and Wages - Regular 701 17,784.18 Life and Retirement Insurance Contributions 731 4,192.68 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 375.00 ECC Contributions 734 100.00 Cash - Disbursing Officers 103 1,000.00 Cash in Bank - Local Currency , Current Account 111 5,718.00 Due to BIR 412 7,446.67 Due to GSIS 413 7,437.19 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 750.00 Payment of Salaries and Wages thru Bank - OSMEÑA, TOMAS DR. FOR JANUARY 1-31, 2010 (1ST WEEK) Jan 14 2010-01-001016 Salaries and Wages - Regular 701 26,591.92 Life and Retirement Insurance Contributions 731 5,387.76 PAG-IBIG Contributions 732 500.00 PHILHEALTH Contributions 733 525.00 ECC Contributions 734 602.42 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 6,105.00 2,545.07 Due to GSIS 413 18,977.99 Due to PAG-IBIG 414 3,629.04 Due to PHILHEALTH 415 1,050.00 Other Payables 439 1,300.00 Payment of Salaries and Wages thru Bank - CAMPOMANES, MARIE FE ET AL FOR JANUARY 1-31, 2010 (1ST WEEK) Jan 15 2010-01-000942 Salaries and Wages - Regular 701 228,956.57 Life and Retirement Insurance Contributions 731 47,981.52 PAG-IBIG Contributions 732 2,900.00 PHILHEALTH Contributions 733 4,850.00 ECC Contributions 734 2,992.87 Cash - Disbursing Officers 103 300.00 Cash in Bank - Local Currency , Current Account 111 56,974.00 Due to BIR 412 28,237.68 Due to GSIS 413 133,113.45 Due to PAG-IBIG 414 22,933.83 Due to PHILHEALTH 415 9,700.00 Other Payables 439 36,422.00 Payment of Salaries and Wages thru Bank - ANTIPORTA, BENJAMIN Q. ET AL FOR JANUARY 1-31, 2010 (1ST WEEK) Jan 15 2010-01-000944 Salaries and Wages - Regular 701 36,517.28 Life and Retirement Insurance Contributions 731 6,841.56 PAG-IBIG Contributions 732 700.00 PHILHEALTH Contributions 733 662.50 ECC Contributions 734 777.19 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 6,836.00 1,565.58 Due to GSIS 413 25,614.61 Due to PAG-IBIG 414 5,851.34 Due to PHILHEALTH 415 1,325.00 Other Payables 439 4,306.00 Payment of Salaries and Wages thru Bank - ABADIA, JONATHAN A. ET AL FOR JANUARY 1-31, 2010 (1ST WEEK) Jan 15 2010-01-000978 Salaries and Wages - Regular 701 119,138.42 Life and Retirement Insurance Contributions 731 20,100.72 PAG-IBIG Contributions 732 1,600.00 PHILHEALTH Contributions 733 2,000.00 ECC Contributions 734 1,781.45 Cash in Bank - Local Currency , Current Account 111 Due from Officers and Employees 123 16,126.00 500.00 Due to BIR 412 6,185.53 Due to GSIS 413 68,636.60 Due to PAG-IBIG 414 12,198.73 Due to PHILHEALTH 415 4,000.00 Other Payables 439 36,973.73 Payment of Salaries and Wages thru Bank - ALESNA, ALEXANDER M. ET AL FOR JANUARY 1-31, 2010 (1ST WEEK) Jan 15 2010-01-000979 Salaries and Wages - Casual 705 38,284.24 Life and Retirement Insurance Contributions 731 6,524.28 PAG-IBIG Contributions 732 700.00 PHILHEALTH Contributions 733 650.00 ECC Contributions 734 667.28 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 15,480.24 1,545.64 Due to GSIS 413 22,547.83 Due to PAG-IBIG 414 4,652.09 Due to PHILHEALTH 415 1,300.00 Other Payables 439 1,300.00 Payment of Salaries and Wages thru Bank - AZNAR, ARSENIA Q. ET AL FOR JANUARY 1-31, 2010 (1ST HALF) Jan 15 2010-01-000980 Salaries and Wages - Regular 701 28,207.54 Life and Retirement Insurance Contributions 731 5,705.40 PAG-IBIG Contributions 732 300.00 PHILHEALTH Contributions 733 575.00 ECC Contributions 734 326.01 Cash in Bank - Local Currency , Current Account 111 6,447.00 Due to BIR 412 2,926.47 Due to GSIS 413 13,559.59 Due to PAG-IBIG 414 5,079.89 Due to PHILHEALTH 415 1,150.00 Other Payables 439 5,951.00 Payment of Salaries and Wages thru Bank - ABONG, FELIXBERTO P. ET AL FOR JANUARY 1-31, 2010 (1ST WEEK) Jan 15 2010-01-000981 Salaries and Wages - Casual 705 33,628.20 Life and Retirement Insurance Contributions 731 6,106.56 PAG-IBIG Contributions 732 600.00 PHILHEALTH Contributions 733 600.00 ECC Contributions 734 523.28 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 17,259.83 1,469.86 Due to GSIS 413 17,518.35 Due to PAG-IBIG 414 1,400.00 Due to PHILHEALTH 415 1,200.00 Other Payables 439 2,610.00 Payment of Salaries and Wages thru Bank - DEJILLAS, RITA MAE R. ET AL FOR JANUARY 1-31, 2010 (1ST HALF) Jan 15 2010-01-000982 Salaries and Wages - Casual 705 102,260.01 Life and Retirement Insurance Contributions 731 18,128.16 PAG-IBIG Contributions 732 1,400.00 PHILHEALTH Contributions 733 1,825.00 ECC Contributions 734 1,481.31 Cash in Bank - Local Currency , Current Account 111 47,548.00 Due to BIR 412 11,719.84 Due to GSIS 413 51,706.32 Due to PAG-IBIG 414 8,620.32 Due to PHILHEALTH 415 3,650.00 Other Payables 439 1,850.00 Payment of Salaries and Wages thru Bank - ARCHE, ANDRES U. ET AL FOR JANUARY 1-31, 2010 (1ST HALF) Jan 15 2010-01-000984 Salaries and Wages - Casual 705 205,388.76 Life and Retirement Insurance Contributions 731 39,096.12 PAG-IBIG Contributions 732 3,900.00 PHILHEALTH Contributions 733 3,912.50 ECC Contributions 734 3,394.18 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 111,602.28 9,674.25 Due to GSIS 413 89,660.19 Due to PAG-IBIG 414 24,624.84 Due to PHILHEALTH 415 7,825.00 Other Payables 439 12,305.00 Payment of Salaries and Wages thru Bank - ABAD, LOLITA Q. ET AL FOR JANUARY 1-31, 2010 (1ST HALF) Jan 15 2010-01-000985 Salaries and Wages - Regular 701 367,619.78 Life and Retirement Insurance Contributions 731 68,364.24 PAG-IBIG Contributions 732 5,800.00 PHILHEALTH Contributions 733 6,787.50 ECC Contributions 734 6,103.24 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 67,383.00 24,860.55 Due to GSIS 413 214,844.37 Due to PAG-IBIG 414 61,070.63 Due to PHILHEALTH 415 13,575.00 Other Payables 439 72,941.21 Payment of Salaries and Wages thru Bank - ABADILLA, NERISSA B. ET AL FOR JANUARY 1-31, 2010 (1ST WEEK) Jan 15 2010-01-000986 Salaries and Wages - Regular 701 15,406.63 Life and Retirement Insurance Contributions 731 2,774.40 PAG-IBIG Contributions 732 300.00 PHILHEALTH Contributions 733 262.50 ECC Contributions 734 349.51 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 2,572.00 326.42 Due to GSIS 413 11,459.89 Due to PAG-IBIG 414 1,299.73 Due to PHILHEALTH 415 525.00 Other Payables 439 2,910.00 Payment of Salaries and Wages thru Bank - BANONO, ROMEO P. ET AL FOR JANUARY 1-31, 2010 (1ST WEEK) Jan 15 2010-01-000988 Due to Officers and Employees 403 14,407.54 Cash in Bank - Local Currency , Current Account 111 11,852.02 Due to BIR 412 2,555.52 Payment for Due to Officers and Employees - ARANDA, ROLANDO M. ET AL AS OVERTIME PAY FOR NOVEMBER, 2009. Jan 15 2010-01-001104 Other Maintenance and Other Operating Expenses 969 20,000.00 Cash in Bank - Local Currency , Current Account 111 20,000.00 Payment for Other Maintenance and Other Operating Expenses - NORMAN NAVARRO - 2ND PRIZE CHOREOGRAPHER FREE INTERPRETATION CATEGORY - PAYMENT OF CASH PRIZE DURING CY 2010 SINULOG FESTIVAL. Ck#697961 Jan 15 2010-01-001105 Other Maintenance and Other Operating Expenses 969 500,000.00 Cash in Bank - Local Currency , Current Account 111 500,000.00 Payment for Other Maintenance and Other Operating Expenses - JENNIFER W. TAN - 1ST PRIZE WINNER STREET DANCING CATEGORY - PAYMENT OF CASH PRIZE DURING THE CY 2010 SINULOG FESTIVAL. Ck#697962 Jan 15 2010-01-001107 Other Maintenance and Other Operating Expenses 969 300,000.00 Cash in Bank - Local Currency , Current Account 111 300,000.00 Payment for Other Maintenance and Other Operating Expenses - NORMAN NAVARRO PAYMENT OF CASH PRIZE TO THE 2ND PLACE WINNER OF STREET DANCING CATEGORY DURING THE CY 2010 SINULOG FESTIVAL. Ck#697963 Jan 15 2010-01-001110 Other Maintenance and Other Operating Expenses 969 30,000.00 Cash in Bank - Local Currency , Current Account 111 30,000.00 Payment for Other Maintenance and Other Operating Expenses - MARK BARRY LUCHE PAYMENT OF CASH PRIZE AS 1ST PLACE CHOREOGRAPHER OF FREE INTERPRETATION CATEGORY DURING THE CY 2010 SINULOG FESTIVAL. Ck#697964 Jan 15 2010-01-001113 Other Maintenance and Other Operating Expenses 969 5,000.00 Cash in Bank - Local Currency , Current Account 111 5,000.00 Payment for Other Maintenance and Other Operating Expenses - ANGELOU MANAPSAL PYMT. OF CASH PRIZE TO THE 5TH PLACE CHOREOGRAPHER SINULOG BASED CATEGORY DURING SINULOG FESTIVAL 2010. Ck#697965 Jan 15 2010-01-001117 Other Maintenance and Other Operating Expenses 969 10,000.00 Cash in Bank - Local Currency , Current Account 111 10,000.00 Payment for Other Maintenance and Other Operating Expenses - MANUEL CAALIM PAYMENT OF CASH PRIZE TO THE 4TH PLACE CHOREOGRAPHER SINULOG BASED CATEGORY - SINULOG FESTIVAL 2010. Ck#697967 Jan 15 2010-01-001120 Other Maintenance and Other Operating Expenses 969 20,000.00 Cash in Bank - Local Currency , Current Account 111 20,000.00 Payment for Other Maintenance and Other Operating Expenses - WALTER BETITO PAYMENT OF CASH PRIZE TO THE 2ND PLACE CHOREOGRAPHER SINULOG BASED CATEGORY - SINULOG FESTIVAL 2010. Ck#697969 Jan 15 2010-01-001121 Other Maintenance and Other Operating Expenses 969 15,000.00 Cash in Bank - Local Currency , Current Account 111 15,000.00 Payment for Other Maintenance and Other Operating Expenses - KATHRYN ESTENZO PAYMENT OF CASH PRIZE TO THE 3RD PLACE CHOREGRAPHER SINULOG BASED CATEGORY - SINULOG FESTIVAL 2010. Ck#697970 Jan 15 2010-01-001123 Other Maintenance and Other Operating Expenses 969 200,000.00 Cash in Bank - Local Currency , Current Account 111 200,000.00 Payment for Other Maintenance and Other Operating Expenses - MOHAMAD KHALID DIMAPORO PAYMENT OF CASH PRIZE TO THE 3RD PLACE WINNER IN THE STREET DANCING CATEGORY - SINULOG FESTIVAL 2010. Ck#697971 Jan 15 2010-01-001124 Other Maintenance and Other Operating Expenses 969 500,000.00 Cash in Bank - Local Currency , Current Account 111 500,000.00 Payment for Other Maintenance and Other Operating Expenses -JENNIFER W. TAN PAYMENT OF CASH PRIZE TO THE 1ST PLACE IN THE SINULOG BASED CATEGORY SINULOG FESTIVAL 2010. Ck#697972 Jan 15 2010-01-001130 Other Maintenance and Other Operating Expenses 969 300,000.00 Cash in Bank - Local Currency , Current Account 111 300,000.00 Payment for Other Maintenance and Other Operating Expenses - WALTER BETITO PAYMENT OF CASH PRIZE TO THE 2ND PRIZE WINNER IN THE SINULOG BASED CATEGORY - SINULOG FESTIVAL 2010. Ck#697973 Jan 15 2010-01-001132 Other Maintenance and Other Operating Expenses 969 200,000.00 Cash in Bank - Local Currency , Current Account 111 200,000.00 Payment for Other Maintenance and Other Operating Expenses - AIDA BABAO PAYMENT OF CASH PRIZE AS 3RD PRIZE WINNER SINULOG BASED CATEGORY - SINULOG FESTIVAL 2010. Ck#697975 Jan 15 2010-01-001135 Other Maintenance and Other Operating Expenses 969 150,000.00 Cash in Bank - Local Currency , Current Account 111 150,000.00 Payment for Other Maintenance and Other Operating Expenses - MARY ANN DE LOS SANTOS PAYMENT OF CASH PRIZE TO THE 4TH PRIZE WINNER IN THE SINULOG BASED CATEGORY CY 2010 SINULOG FESTIVAL. Ck#697976 Jan 15 2010-01-001141 Other Maintenance and Other Operating Expenses 969 100,000.00 Cash in Bank - Local Currency , Current Account 111 100,000.00 Payment for Other Maintenance and Other Operating Expenses - MARITES V. PATIÑO PAYMENT OF CASH PRIZE TO THE 5TH PRIZE WINNER IN THE SINULOG BASED CATEFORY - CY 2010 SINULOG FESTIVAL. Ck#697977 Jan 15 2010-01-001144 Other Maintenance and Other Operating Expenses 969 100,000.00 Cash in Bank - Local Currency , Current Account 111 100,000.00 Payment for Other Maintenance and Other Operating Expenses -AIDA BABAO PAYMENT OF CASH PRIZE TO THE WINNER IN THE BEST COSTUME SB CATEGORY DURING CY 2010 SINULOG FESTIVAL. Ck#697978 Jan 15 2010-01-001146 Other Maintenance and Other Operating Expenses 969 500,000.00 Cash in Bank - Local Currency , Current Account 111 500,000.00 Payment for Other Maintenance and Other Operating Expenses- JOSHUR JUDD LANETE PAYMENT OF CASH PRIZE TO THE 1ST PRIZE WINNER IN THE FREE INTERPRETATION CATEGORY DURING CY 2010 SINULOG FESTIVAL. Ck#697979 Jan 15 2010-01-001150 Other Maintenance and Other Operating Expenses 969 300,000.00 Cash in Bank - Local Currency , Current Account 111 300,000.00 Payment for Other Maintenance and Other Operating Expenses - NORMAN NAVARRO PAYMENT OF CASH PRIZE TO THE 2ND PRIZE WINNER IN THE FREE INTERPRETATION CATEGORY CY 2010 SINULOG FESTIVAL. Ck#697980 Jan 15 2010-01-001153 Other Maintenance and Other Operating Expenses 969 200,000.00 Cash in Bank - Local Currency , Current Account 111 200,000.00 Payment for Other Maintenance and Other Operating Expenses -JOE RECALEX ALINGASA JR. PAYMENT OF CASH PRIZE TO THE 3RD PLACE WINNER IN THE FREE INTERPRETATION CATEGORY - SINULOG FESTIVAL 2010. Ck#697982 Jan 15 2010-01-001154 Other Maintenance and Other Operating Expenses 969 150,000.00 Cash in Bank - Local Currency , Current Account 111 150,000.00 Payment for Other Maintenance and Other Operating Expenses-MOHAMD KHALID DIMAPORO PAYMENT OF CASH PRIZE TO THE 4TH PRIZE WINNER IN THE FREE INTERPRETATION CATEGORYDURING SINULOG FESTIVAL 2010. Ck#697983 Jan 15 2010-01-001156 Other Maintenance and Other Operating Expenses Cash in Bank - Local Currency , Current Account 969 111 100,000.00 100,000.00 Payment for Other Maintenance and Other Operating Expenses - JOCELYN TEJANO PAYMENT OF CASH PRIZE TO THE 5TH PLACE WINNER IN THE FREE INTERPRETATION CATEGORYDURING SINULOG FESTIVAL 2010. Ck#697984 Jan 15 2010-01-001158 Other Maintenance and Other Operating Expenses 969 15,000.00 Cash in Bank - Local Currency , Current Account 111 15,000.00 Payment for Other Maintenance and Other Operating Expenses -VICTOR CUENCO PAYMENT OF CASH PRIZE TO THE 3RD PRIZE WINNER CHOREOGRAPHER IN THE FREE INTERPRETATION CATEGORY DURING SINULOG FESTIVAL 2010. Ck#697986 Jan 15 2010-01-001159 Other Maintenance and Other Operating Expenses 969 10,000.00 Cash in Bank - Local Currency , Current Account 111 10,000.00 Payment for Other Maintenance and Other Operating Expenses - NEIL VON LAURETE PAYMENT OF CASH PRIZE TO THE 4TH PRIZE WINNER - CHOREOGRAPHER IN THE FREE INTERPRETATION CATEGORY DURING SINULOG FESTIVAL 2010. Ck#697987 Jan 15 2010-01-001160 Other Maintenance and Other Operating Expenses 969 5,000.00 Cash in Bank - Local Currency , Current Account 111 5,000.00 Payment for Other Maintenance and Other Operating Expenses - MAXIMAR CUSTUDIO PAYMENT OF CASH PRIZE TO THE 5TH PRIZE WINNER- CHOREOGRAPHER IN THE FREE INTERPRETATION CATEGORY DURING SINULOG FESTIVAL 2010. Ck#697988 Jan 15 2010-01-001161 Other Maintenance and Other Operating Expenses 969 100,000.00 Cash in Bank - Local Currency , Current Account 111 100,000.00 Payment for Other Maintenance and Other Operating Expenses - JOE RECALEX ALINGASA JR. PAYMENT OF CASH PRIZE TO THE BEST IN COSTUME - FREE INTERPRETATION CATEGORY DURING SINULOG FESTIVAL 2010. Ck#697989 Jan 15 2010-01-001164 Other Maintenance and Other Operating Expenses 969 150,000.00 Cash in Bank - Local Currency , Current Account 111 150,000.00 Payment for Other Maintenance and Other Operating Expenses - INTERNATIONAL PHARMACEUTICAL INC. PAYMENT OF CASH PRIZE TO THE 1ST PRIZE WINNER IN THE FLOAT CATEGORY DURING SINULOG FESTIVAL 2010. Ck#697990 Jan 15 2010-01-001167 Other Maintenance and Other Operating Expenses 969 100,000.00 Cash in Bank - Local Currency , Current Account 111 100,000.00 Payment for Other Maintenance and Other Operating Expenses - VIRGINIA FOODS INC. PAYMENT OF CASH PRIZE TO THE 2ND PRIZE WINNER - FLOAT CATEGORY DUIRING SINULOG FESTIVAL 2010. Ck#697991 Jan 15 2010-01-001169 Other Maintenance and Other Operating Expenses 969 50,000.00 Cash in Bank - Local Currency , Current Account 111 50,000.00 Payment for Other Maintenance and Other Operating Expenses - LBC PAYMENT OF CASH PRIZE TO THE 3RD PRIZE WINNER - FLOAT CATEGORY DURING SINULOG FESTIVAL 2010. Ck#697992 Jan 15 2010-01-001170 Other Maintenance and Other Operating Expenses 969 50,000.00 Cash in Bank - Local Currency , Current Account 111 50,000.00 Payment for Other Maintenance and Other Operating Expenses - SILVER WING MOTORS PAYMENT OF CASH PRIZE TO THE 1ST PRIZE WINNER - ARCH/DECOR CATEGORY DURING SINULOG FESTIVAL 2010. Ck#697993 Jan 15 2010-01-001171 Other Maintenance and Other Operating Expenses 969 30,000.00 Cash in Bank - Local Currency , Current Account 111 30,000.00 Payment for Other Maintenance and Other Operating Expenses -SOUTHERN PARTNERS AND FAIR TRADE CENTER PAYMENT OF CASH PRIZE TO THE 2ND PRIZE WINNER IN THE ARCH/DECOR CATEGORY DURING CY 2010 SINULOG FESTIVAL. Ck#697994 Jan 15 2010-01-001176 Other Maintenance and Other Operating Expenses 969 50,000.00 Cash in Bank - Local Currency , Current Account 111 50,000.00 Payment for Other Maintenance and Other Operating Expenses -GIOVANNI ABOS PAYMENT OF CASH PRIZE TO THE 1ST PRIZE WINNER IN THE HIGANTE CATEGORY DURING SINULOG FESTIVAL 2010. Ck#697996 Jan 15 2010-01-001179 Other Maintenance and Other Operating Expenses 969 30,000.00 Cash in Bank - Local Currency , Current Account 111 30,000.00 Payment for Other Maintenance and Other Operating Expenses - ARNULFO ENJAMBRE PAYMENT OF CASH PRIZE TO THE 2ND PLACE WINNER IN THE HIGANTE CATEGORY DURING SINULOG FESTIVAL 2010. Ck#697997 Jan 15 2010-01-001180 Other Maintenance and Other Operating Expenses 969 20,000.00 Cash in Bank - Local Currency , Current Account 111 20,000.00 Payment for Other Maintenance and Other Operating Expenses -ARNULFO ENJAMBRE PAYMENTOF CASH PRIZE TO THE 3RD PLACE WINNER IN THE HIGANTE CATEGORY DURING SINULOG FESTIVAL 2010. Ck#697998 Jan 15 2010-01-001182 Other Maintenance and Other Operating Expenses 969 50,000.00 Cash in Bank - Local Currency , Current Account 111 50,000.00 Payment for Other Maintenance and Other Operating Expenses - PIERRE FAMADOR PAYMENT OF CASH PRIZE TO THE 1ST PLACE WINNER IN THE PUPPETEERS CATEGORY DURING SINULOG FESTIVAL 2010. Ck#697999 Jan 15 2010-01-001186 Other Maintenance and Other Operating Expenses 969 30,000.00 Cash in Bank - Local Currency , Current Account 111 30,000.00 Payment for Other Maintenance and Other Operating Expenses - PIERRE A. FAMADOR PAYMENT OF CASH PRIZE TO THE 2ND PLACE WINNER IN THE PUPETEERS CATEGORY DURING SINULOG FESTIVAL 2010. Ck#698000 Jan 15 2010-01-001188 Other Maintenance and Other Operating Expenses 969 20,000.00 Cash in Bank - Local Currency , Current Account 111 20,000.00 Payment for Other Maintenance and Other Operating Expenses - JEANE LANZADERAS PAYMENT OF CASH PRIZE TO THE 3RD PLACE WINNER INTHE PUPPETEERS CATEGORY DURING THE SINULOG FESTIVAL 2010. Ck#698001 Jan 15 2010-01-001191 Other Maintenance and Other Operating Expenses 969 30,000.00 Cash in Bank - Local Currency , Current Account 111 30,000.00 Payment for Other Maintenance and Other Operating Expenses - EMILIO PASCUAL PAYMENT OF CASH PRIZE TO THE 1ST PLACE WINNER - CHOREOGRAPHER SINULOG BASED CATEGORY DURING SINULOG FESTIVAL 2010. Ck#698003 Jan 15 2010-01-001192 Cash - Disbursing Officers 103 5,094,000.00 Cash in Bank - Local Currency , Current Account 111 5,094,000.00 Grant of Cash Advance - AGAPITA M. CESA FOR THE PRIZES AND FINANCIAL ASSISTANCE TO THE VARIOUS ACTIVITIES /CONTESTS DURING THE CY 2010 SINULOG FESTIVAL. Ck#698005 Jan 15 2010-01-001211 Representation Allowance (RA) Transportation Allowance (TA) Cash in Bank - Local Currency , Current Account 713 5,500.00 714 5,500.00 111 11,000.00 Payment of Allowances, Bonus and Other Compensation -- RENE B. SANAPO REPRESENTATION AND TRANSPORTATION ALLOWANCE - JANUARY 2010. Ck#242079 Jan 15 2010-01-001217 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 3,789.76 111 3,789.76 Payment for Due to Officers and Employees - LEA OUANIO JAPSON REIMBURSEMENT OF PAYMENT TO SMART OCTOBER 10 - NOVEMBER 9, 2009. Ck#242081 Jan 15 2010-01-001219 Due to Officers and Employees 403 1,000.00 Cash in Bank - Local Currency , Current Account 111 1,000.00 Payment for Due to Officers and Employees - JESS ANTHONY DELA CRUZ REIMBURSEMENT OF PAYMENT MADE TO GLOBE TELECOM - SEPT. 27 - OCTOBER 26, 2009. Ck#242083 Jan 15 2010-01-001309 Due to Officers and Employees 403 599.62 Cash in Bank - Local Currency , Current Account 111 599.62 Payment for Due to Officers and Employees - DOMINIC A DIÑ0 REIMBURSEMENT OF MONTHLY CELL. PHONE BILL FOR THE PERIOD OCTOPBER 10 - NOVEMBER 9, 2009 Ck#242084 Jan 15 2010-01-001311 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 25,000.00 111 25,000.00 Grant of Subsidies and Donations-ANGELINA A. DUMAGUIT BURIAL ASSISTANCE OF THE LATE VETERAN BENITO R. DUMAGUIT. Ck#242085 Jan 15 2010-01-001312 Advances to Officers and Employees 148 Cash in Bank - Local Currency , Current Account 400,000.00 111 400,000.00 Grant of Cash Advance - TOMAS R. OSMEÑA TO CASH ADVANCE TO DEFRAY EXPENSES TO BE INCURRED IN CONNECTION WITH OPLAN CHARGER. Ck#242086 Jan 15 2010-01-001317 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Jan 15 401 Cash in Bank - Local Currency , Current Account Jan 15 15 26,600.00 672,940.00 111 636,889.65 412 36,050.35 Payment for Accounts Payable - CEBU PROGRESS COMMERCIAL PAYMENT OF 136 REGULAR AUDIENCE CHAIRS AND 12 ABS WRITING TABELE 242095 - CTV NO. 560 = P625,877.06 - CEBU PROGRESS COMMERCIAL CHECK NO. 242090 - CTV NO. 5 2010-01-001391 Due to Officers and Employees 403 5,965.21 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 3,000.16 249.65 Due to GSIS 413 1,639.19 Due to PAG-IBIG 414 976.21 Due to PHILHEALTH 415 100.00 Payment for Due to Officers and Employees - SALDUA, RUDY G. AS SALARY FOR DECEMBER 1-31, 2009. Jan 15 = P1,114.29 - SACHEM MARKETING 28,000.00 111 401 Cash in Bank - Local Currency , Current Account Jan CK # 242087 - CTV # 552 412 1,400.00 Payment for Accounts Payable - LOLA MARY'S EATERY PAYMENT OF 400 PAX OF SNACKS SERVED DURING INERSCHOOL BANGGA SA KINAADMAN ACTIVITYLAST JULY 24, 2009 CHECK NO. 242091 - CTV NO. 556 = 25,900.00 - LOLA MARY'S EATERY CHECK NO. 242092 2010-01-001335 Accounts Payable Due to BIR 1,135.72 412 64.28 Payment for Accounts Payable - SACHEM MARKETING PAYMENT OF CD (CD BLANK RW - REWRITABLE) CK # 242088 - CTV # 553 = 21.43 - CEBU CITY TREASURER - FOR PYMT. OF LOCAL TAX. 2010-01-001331 Accounts Payable Due to BIR 1,200.00 111 2010-01-001393 Salaries and Wages - Casual 705 117,595.11 Life and Retirement Insurance Contributions 731 19,524.48 PAG-IBIG Contributions 732 1,800.00 PHILHEALTH Contributions 733 1,975.00 ECC Contributions 734 1,609.35 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 43,258.95 4,695.15 Due to GSIS 413 73,285.00 Due to PAG-IBIG 414 14,214.84 Due to PHILHEALTH 415 3,950.00 Other Payables 439 3,100.00 CHECK NO. Payment of Salaries and Wages thru Bank - ARDIMER, AGNES G. ET AL FOR JANUARY 1-31, 2010 (1ST HALF) Jan 15 2010-01-001394 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 7,649.00 111 7,649.00 Payment of Salaries and Wages thru Bank - ALBUTRA, ORLANDO C. ET AL FOR JANUARY 1-31, 2010 (2ND WEEK) Jan 15 2010-01-001395 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 9,759.00 111 9,759.00 Payment of Salaries and Wages thru Bank - BAGUIO, SERGIO B. ET AL FOR JANUARY 1-31, 2010 (2ND WEEK) Jan 15 2010-01-001396 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 5,739.00 111 5,739.00 Payment of Salaries and Wages thru Bank - BAGUIO, SILVERIANA L. ET AL FOR JANUARY 1-31, 2010 (2ND WEEK) Jan 15 2010-01-001397 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 359.00 111 359.00 Payment of Salaries and Wages thru Bank - UNDANG, JOCELYN G. FOR JANUARY 1-31, 2010 (2ND WEEK) Jan 15 2010-01-001398 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 1,398.00 111 1,398.00 Payment of Salaries and Wages thru Bank - TENCHAVEZ, RONNIE L. FOR JANUARY 1-31, 2010 (2ND WEEK) Jan 15 2010-01-001399 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 8,240.00 111 8,240.00 Payment of Salaries and Wages thru Bank - DIÑO, DOMINIC A. ET AL FOR JANUARY 1-31, 2010 (2ND WEEK) Jan 15 2010-01-001400 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 31,110.00 111 31,110.00 Payment of Salaries and Wages thru Bank - ALCUIZAR, SNRTA MARIE TRECE R. ET AL FOR JANUARY 1-31, 2010 (2ND WEEK) Jan 15 2010-01-001402 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 86,961.00 111 86,961.00 Payment of Salaries and Wages thru Bank - ABELLANOSA, RODRIGO A. ET AL FOR JANUARY 1-31, 2010 (2ND WEEK) Jan 15 2010-01-001403 Salaries and Wages - Regular 701 13,538.32 Life and Retirement Insurance Contributions 731 2,112.84 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 212.50 ECC Contributions 734 261.39 Cash in Bank - Local Currency , Current Account 111 4,069.00 Due to BIR 412 2,084.75 Due to GSIS 413 7,509.38 Due to PAG-IBIG 414 599.92 Due to PHILHEALTH 415 425.00 Other Payables 439 1,537.00 Payment of Salaries and Wages thru Bank - BONTUYAN ,EVANGELINE M. FOR JANUARY 1-31, 2010 (1ST & 2ND WEEK) Jan 15 2010-01-001404 Salaries and Wages - Regular 701 466,155.53 Life and Retirement Insurance Contributions 731 66,226.68 PAG-IBIG Contributions 732 4,000.00 PHILHEALTH Contributions 733 6,650.00 ECC Contributions 734 5,320.39 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 85,755.00 48,564.41 Due to GSIS 413 170,285.58 Due to PAG-IBIG 414 43,736.61 Due to PHILHEALTH 415 13,300.00 Other Payables 439 186,711.00 Payment of Salaries and Wages thru Bank - ABERION, YVONNE M. ET AL FOR JANUARY 1-31, 2010 (1ST & 2ND WEEK) Jan 15 2010-01-001405 Salaries and Wages - Regular 701 66,060.63 Life and Retirement Insurance Contributions 731 9,397.92 PAG-IBIG Contributions 732 500.00 PHILHEALTH Contributions 733 950.00 ECC Contributions 734 974.50 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 6,937.93 Due to GSIS 413 23,326.64 Due to PAG-IBIG 414 9,024.48 Due to PHILHEALTH 415 1,900.00 439 24,436.00 Other Payables 12,258.00 Payment of Salaries and Wages thru Bank - BONTILAO, ALYTH A. ET AL FOR JANUARY 1-31, 2009 (1ST & 2ND WEEK) Jan 15 2010-01-001407 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 6,832.00 111 6,832.00 Payment of Salaries and Wages thru Bank - ABADIA, JONATHAN A. ET AL FOR JANUARY 1-31, 2010 (2ND WEEK) Jan 15 2010-01-001408 Due to Officers and Employees 403 8,490.42 Cash in Bank - Local Currency , Current Account 111 4,829.46 Due to GSIS 413 1,984.91 Due to PAG-IBIG 414 921.05 Due to PHILHEALTH 415 125.00 Other Payables 439 630.00 Payment for Due to Officers and Employees - GUERRA, SHAREE ANN R. AS SALARY FOR DECEMBER 1-31, 2009. Jan 15 2010-01-001409 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 56,965.00 111 56,965.00 Payment of Salaries and Wages thru Bank - ANTIPORTA, BENJAMIN Q. ET AL FOR JANUARY 1-31, 2010 (2ND WEEK) Jan 15 2010-01-001410 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 16,123.00 111 16,123.00 Payment of Salaries and Wages thru Bank - ALESNA, ALEXANDER M. ET AL FOR JANUARY 1-31, 2010 (2ND WEEK) Jan 15 2010-01-001411 Salaries and Wages - Regular 701 6,446.00 Cash in Bank - Local Currency , Current Account 111 6,446.00 Payment of Salaries and Wages thru Bank - ABONG, FELIXBERTO P. ET AL FOR JANUARY 1-31, 2010 (2ND WEEK) Jan 15 2010-01-001412 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 1,666.66 111 1,666.66 Payment for Due to Officers and Employees - FIGUERAS, ILDEBRANDO A. AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 15 2010-01-001413 Salaries and Wages - Casual 705 170,958.22 Life and Retirement Insurance Contributions 731 29,455.20 PAG-IBIG Contributions 732 3,400.00 PHILHEALTH Contributions 733 2,950.00 ECC Contributions 734 2,766.90 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 66,050.84 6,751.26 Due to GSIS 413 89,895.53 Due to PAG-IBIG 414 39,032.69 Due to PHILHEALTH 415 5,900.00 Other Payables 439 1,900.00 Payment of Salaries and Wages thru Bank - BARDOS, FILOMENA N. ET AL FOR JANUARY 1-31, 2010 (1ST HALF) Jan 15 2010-01-001414 Due to Officers and Employees 403 20,175.84 Cash in Bank - Local Currency , Current Account 111 13,267.10 Due to BIR 412 575.00 Due to GSIS 413 3,746.24 Due to PAG-IBIG 414 400.00 Due to PHILHEALTH 415 325.00 Other Payables 439 1,862.50 Payment for Due to Officers and Employees - ABELLANOSA, CORAZON M. ET AL AS SALARY FOR DECEMBER 1-31, 2009. Jan 15 2010-01-001415 Due to Officers and Employees 403 9,166.86 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 575.00 Due to GSIS 413 1,980.97 Due to PAG-IBIG 414 200.00 415 150.00 Due to PHILHEALTH 6,260.89 Payment for Due to Officers and Employees - ABELLANOSA, CORAZON M. AS SALARY FOR NOVEMBER 1-31, 2009. Jan 15 2010-01-001416 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 2,572.00 111 2,572.00 Payment of Salaries and Wages thru Bank - BANONO, ROMEO P. ET AL FOR JANUARY 1-31, 2010 (2ND WEEK) Jan 15 2010-01-001417 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 67,368.00 111 67,368.00 Payment of Salaries and Wages thru Bank - ABADILLA, NERISSA B. ET AL FOR JANUARY 1-31, 2010 (2ND WEEK) Jan 15 2010-01-001451 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) 701 16,093.00 711 2,000.00 Life and Retirement Insurance Contributions 731 1,931.16 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 200.00 ECC Contributions 734 100.00 Cash in Bank - Local Currency , Current Account 111 14,326.05 Due to BIR 412 1,170.05 Due to GSIS 413 4,228.06 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 400.00 Other Payables 439 100.00 Payment of Salaries and Wages thru Bank - YONGOT , RHODIFI A. PAYMENT OF SALARY FOR THE MONTH OF JANUARY 2010. Ck#242097 Jan 15 2010-01-001453 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 20,000.00 111 20,000.00 Payment for Due to Officers and Employees - OFELIA OLIVA REIMBURSEMENT OF HIOSPITAL BILL & MEDICINES . Ck#116187 Jan 15 2010-01-001457 Accounts Payable 401 267,720.00 Cash in Bank - Local Currency , Current Account 111 267,720.00 Cash Purchase of Property, Plant and Equipment - ISAGANI G. REGIS PARTIAL PAYMENT OF OF A PARCEL OF LAND LOCATED IN QUIOT, CEBU CITY UNDER TCT#183912 OWNED BY NICANORA GABUYA AND AQUILINA GABUYA WITH AN AREA OF 184 SQ. METERS MORE OR LESS WHICH IS US Jan 15 2010-01-001459 Advances to Officers and Employees 148 130,000.00 Cash in Bank - Local Currency , Current Account 111 130,000.00 Grant of Cash Advance -ROSALINA C. UY CASH ADVANCE FOR DAILY MARKETING PURCHASES FOR DIETARY SECTION FOR THE PERIOD JANUARY 6 -FEBRUARY 28, 2010. Ck#712665 Jan 15 2010-01-001461 Due to Officers and Employees 403 18,000.00 Cash in Bank - Local Currency , Current Account 111 16,200.00 Due to BIR 412 1,800.00 Payment for Due to Officers and Employees - RODOLFO ROMAN T. BIGORNIA CONSULTANCY HONORARIUM FOR THE MONTH OF NOVEMBER 1-30, 2009. Ck#712666 Jan 15 2010-01-001463 Due to Officers and Employees 403 11,104.33 Cash in Bank - Local Currency , Current Account 111 8,993.31 Due to GSIS 413 1,736.02 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 175.00 Payment for Due to Officers and Employees - CAHUTAY, ROSENDO C. PAYMENT OF SALARY FOR THE PERIOD DECEMBER 1 - 31, 2009. Ck#712667 Jan 15 2010-01-001465 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Jan 15 1,200.00 111 1,135.72 412 64.28 Payment for Accounts Payable - SECC COMPUTER SALES PYMT. OF VARIOUS OFFICE SUPPLIES UNDER PR#09-787 DTD. 6-25-2009 & PO#1134. CTV NO. 575 = P1,120.72 - SECC COMPUTER SALES CHECK NO. 698977 CTV NO. 576 = 2010-01-001467 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment for Other Maintenance and Other Operating Expenses - MARIB ETH SALA DAÑO Jan 15 2010-01-001519 Salaries and Wages - Regular 701 648,598.22 BURIAL ASSISTANCE. Ck#242096 CHECK NO. 698976 Life and Retirement Insurance Contributions 731 PAG-IBIG Contributions 732 101,766.12 9,300.00 PHILHEALTH Contributions 733 10,100.00 ECC Contributions 734 10,795.53 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 199,495.00 26,355.57 Due to GSIS 413 344,506.71 Due to PAG-IBIG 414 112,756.87 Due to PHILHEALTH 415 20,200.00 Other Payables 439 77,245.72 Payment of Salaries and Wages thru Bank - ABELLA, URBANO JR. R. ET AL FOR JANUARY 1-31, 2010 (1ST & 2ND WEEK) Jan 15 2010-01-001520 Salaries and Wages - Regular 701 3,787.92 Life and Retirement Insurance Contributions 731 814.56 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 75.00 ECC Contributions 734 104.36 Cash in Bank - Local Currency , Current Account 111 3,002.00 Due to GSIS 413 1,529.84 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 150.00 Payment of Salaries and Wages thru Bank - BARTIQUIN, CONCEPCION O. FOR JANUARY 1-31, 2010 (1ST & 2ND WEEK) Jan 15 2010-01-001528 Salaries and Wages - Regular 701 31,416.85 Life and Retirement Insurance Contributions 731 6,523.20 PAG-IBIG Contributions 732 600.00 PHILHEALTH Contributions 733 637.50 ECC Contributions 734 603.19 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 7,650.00 1,392.70 Due to GSIS 413 19,970.31 Due to PAG-IBIG 414 8,652.73 Due to PHILHEALTH 415 1,275.00 Other Payables 439 840.00 Payment of Salaries and Wages thru Bank - ALBUTRA, ORLANDO C. ET AL FOR JANUARY 1-31, 2010 (1ST WEEK) Jan 15 2010-01-001529 Salaries and Wages - Regular 701 58,136.89 Life and Retirement Insurance Contributions 731 10,489.68 PAG-IBIG Contributions 732 1,000.00 PHILHEALTH Contributions 733 1,037.50 ECC Contributions 734 1,097.23 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 9,763.00 5,297.71 Due to GSIS 413 36,699.09 Due to PAG-IBIG 414 6,346.23 Due to PHILHEALTH 415 2,075.00 Other Payables 439 11,580.27 Payment of Salaries and Wages thru Bank - BAGUIO, SERGIO B. ET AL FOR JANUARY 1-31, 2010 (1ST WEEK) Jan 15 2010-01-001530 Salaries and Wages - Regular 701 25,780.17 Life and Retirement Insurance Contributions 731 5,159.16 PAG-IBIG Contributions 732 500.00 PHILHEALTH Contributions 733 512.50 ECC Contributions 734 429.93 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 5,739.00 1,210.00 Due to GSIS 413 12,159.80 Due to PAG-IBIG 414 3,238.87 Due to PHILHEALTH 415 1,025.00 Other Payables 439 9,009.09 Payment of Salaries and Wages thru Bank - BAGUIO, SILVERIANA L. ET AL FOR JANUARY 1-31, 2010 (1ST WEEK) Jan 15 2010-01-001531 Salaries and Wages - Regular 701 6,229.87 Life and Retirement Insurance Contributions 731 876.84 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 87.50 ECC Contributions 734 73.07 Cash in Bank - Local Currency , Current Account 111 359.00 Due to GSIS 413 5,860.64 Due to PAG-IBIG 414 972.64 415 175.00 Due to PHILHEALTH Payment of Salaries and Wages thru Bank - UNDANG, JOCELYN G. FOR JANUARY 1-31, 2010 (1ST WEEK) Jan 15 2010-01-001534 Salaries and Wages - Regular 701 3,112.95 Life and Retirement Insurance Contributions 731 876.84 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 87.50 ECC Contributions 734 73.07 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 1,398.00 869.82 Due to GSIS 413 1,607.54 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 175.00 Payment of Salaries and Wages thru Bank - TENCHAVEZ, RONNIE L. FOR JANUARY 1-31, 2010 (1ST WEEK) Jan 15 2010-01-001535 Salaries and Wages - Regular 701 27,380.93 Life and Retirement Insurance Contributions 731 6,252.00 PAG-IBIG Contributions 732 200.00 PHILHEALTH Contributions 733 637.50 ECC Contributions 734 200.00 Cash in Bank - Local Currency , Current Account 111 8,240.00 Due to BIR 412 9,822.54 Due to GSIS 413 13,716.28 Due to PAG-IBIG 414 1,616.61 Due to PHILHEALTH 415 1,275.00 Payment of Salaries and Wages thru Bank - DIÑO, DOMINIC A. ET AL FOR JANUARY 1-31, 2010 (1ST WEEK) Jan 15 2010-01-001537 Salaries and Wages - Regular 701 165,578.36 Life and Retirement Insurance Contributions 731 31,068.24 PAG-IBIG Contributions 732 1,900.00 PHILHEALTH Contributions 733 3,137.50 ECC Contributions 734 1,973.00 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 31,112.00 20,911.62 Due to GSIS 413 109,435.78 Due to PAG-IBIG 414 17,123.70 Due to PHILHEALTH 415 6,275.00 Other Payables 439 18,799.00 Payment of Salaries and Wages thru Bank - ALCUIZAR, SNRTA MARIE TRECE R. ET AL FOR JANUARY 1-31, 2010 (1ST WEEK) Jan 15 2010-01-001538 Salaries and Wages - Regular 701 220,904.25 Life and Retirement Insurance Contributions 731 57,813.60 PAG-IBIG Contributions 732 1,600.00 PHILHEALTH Contributions 733 5,600.00 ECC Contributions 734 1,700.00 Cash in Bank - Local Currency , Current Account 111 86,963.00 Receivables - Disallowances/Charges 146 1,000.00 Due to BIR 412 52,512.48 Due to GSIS 413 121,317.69 Due to PAG-IBIG 414 8,241.68 Due to PHILHEALTH 415 11,200.00 Other Payables Jan 15 439 6,383.00 Payment of Salaries and Wages thru Bank - ABELLANOSA, RODRIGO A. ET AL FOR JANUARY 1-31, 2010 (1ST WEEK) DISALLOWANCE: P1,000.00 2010-01-001539 Due to Officers and Employees 403 10,487.68 Cash in Bank - Local Currency , Current Account 111 8,467.89 Due to GSIS 413 1,644.79 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 175.00 Payment for Due to Officers and Employees - SABLE, JESSICA T. AS SALARY FOR DECEMBER 1-31, 2009. Jan 15 2010-01-001540 Salaries and Wages - Regular 701 123,798.96 Life and Retirement Insurance Contributions 731 18,729.12 PAG-IBIG Contributions 732 2,000.00 PHILHEALTH Contributions 733 1,837.50 ECC Contributions 734 2,200.66 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 32,285.00 2,707.17 Due to GSIS 413 73,125.11 Due to PAG-IBIG 414 22,189.16 CHRISTOPHER I. ALIX Due to PHILHEALTH 415 3,675.00 Other Payables 439 14,584.80 Payment of Salaries and Wages thru Bank - ABAN, ELEAZAR S. ET AL FOR JANUARY 1-31, 2010 (1ST & 2ND WEEK) Jan 15 2010-01-001541 Salaries and Wages - Regular 701 102,182.71 Life and Retirement Insurance Contributions 731 15,548.76 PAG-IBIG Contributions 732 1,100.00 PHILHEALTH Contributions 733 1,550.00 ECC Contributions 734 1,215.44 Cash in Bank - Local Currency , Current Account 111 27,393.00 Due to BIR 412 4,715.01 Due to GSIS 413 47,211.14 Due to PAG-IBIG 414 9,719.49 Due to PHILHEALTH 415 3,100.00 Other Payables 439 29,458.27 Payment of Salaries and Wages thru Bank - ABELLA, LOLITA N. ET AL FOR JANUARY 1-31, 2010 (1ST & 2ND WEEK) Jan 15 2010-01-001542 Salaries and Wages - Casual 705 10,223.10 Life and Retirement Insurance Contributions 731 1,931.16 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 200.00 ECC Contributions 734 100.00 Cash in Bank - Local Currency , Current Account 111 5,869.90 Due to BIR 412 1,577.26 Due to GSIS 413 4,507.10 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 400.00 Payment of Salaries and Wages thru Bank - CALVO, MARIO DENNIS A. FOR JANUARY 1-31, 2010 (1ST HALF) Jan 15 2010-01-001543 Other Personnel Benefits 749 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Allowances, Bonus and Other Compensation - OUANO, JETT Q. AS LOYALTY BONUS Jan 15 2010-01-001546 Salaries and Wages - Casual 705 62,850.02 Life and Retirement Insurance Contributions 731 11,187.60 PAG-IBIG Contributions 732 1,200.00 PHILHEALTH Contributions 733 1,100.00 ECC Contributions 734 1,065.17 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 24,715.75 1,034.11 Due to GSIS 413 34,920.16 Due to PAG-IBIG 414 10,573.77 Due to PHILHEALTH 415 2,200.00 Other Payables 439 3,959.00 Payment of Salaries and Wages thru Bank - ALARDE, AIDA F. ET AL FOR JANUARY 1-31, 2010B (1ST HALF) Jan 15 2010-01-001549 Salaries and Wages - Casual 705 21,299.98 Life and Retirement Insurance Contributions 731 3,368.40 PAG-IBIG Contributions 732 400.00 PHILHEALTH Contributions 733 337.50 ECC Contributions 734 354.84 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 6,770.01 610.62 Due to GSIS 413 12,188.58 Due to PAG-IBIG 414 2,782.51 Due to PHILHEALTH 415 675.00 Other Payables 439 2,734.00 Payment of Salaries and Wages thru Bank - PACAÑA, KHADAFY IAN P. ET AL FOR JANUARY 1-31, 2010 (1ST HALF) Jan 15 2010-01-001554 Salaries and Wages - Casual 705 306,105.32 Life and Retirement Insurance Contributions 731 58,487.64 PAG-IBIG Contributions 732 4,500.00 PHILHEALTH Contributions 733 5,837.50 ECC Contributions 734 4,487.63 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 178,821.74 31,362.70 Due to GSIS 413 136,852.18 Due to PAG-IBIG 414 18,639.47 Due to PHILHEALTH 415 11,675.00 Other Payables 439 2,067.00 Payment of Salaries and Wages thru Bank - ABENDAN, RABI V. ET AL FOR JANUARY 1-31, 2010 (1ST HALF) Jan 15 2010-01-001557 Due to BIR 412 Cash in Bank - Local Currency , Current Account 1,181.78 111 1,181.78 Refund of Excess Employees Taxes, Loans and Premiums - ABATAYO, NESTOR C. AS EXCESS WITHHOLDING TAX FOR 2009. Jan 15 2010-01-001559 Due to Officers and Employees 403 10,018.59 Cash in Bank - Local Currency , Current Account 111 6,770.10 Due to GSIS 413 2,373.49 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 175.00 439 500.00 Other Payables Payment for Due to Officers and Employees - VEJAGAN, JUSTINA L. AS SALARY FOR DECEMBER 1-31, 2009 . Jan 15 2010-01-001561 Salaries and Wages - Casual 705 424,410.09 Life and Retirement Insurance Contributions 731 77,010.36 PAG-IBIG Contributions 732 6,000.00 PHILHEALTH Contributions 733 7,712.50 ECC Contributions 734 5,983.08 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 211,052.96 46,374.89 Due to GSIS 413 193,747.25 Due to PAG-IBIG 414 37,514.43 Due to PHILHEALTH 415 15,425.00 Other Payables 439 17,001.50 Payment of Salaries and Wages thru Bank - ABANGAN, GRENILO R. FOR JANUARY 1-31, 2010 (1ST HALF) Jan 18 2010-01-000155 Representation Allowance (RA) 713 6,300.00 Cash in Bank - Local Currency , Current Account 111 6,300.00 Payment of Allowances, Bonus and Other Compensation - GO, MYRNA R. of CCMC payment of representation allowance as Acting Chief of Hospital for the month of January 2010. Ck#712668 Jan 18 2010-01-000156 Due to Officers and Employees 403 18,000.00 Cash in Bank - Local Currency , Current Account 111 16,200.00 Due to BIR 412 1,800.00 Payment for Professional Services - KINTANAR, VICENTE A. JR. payment of consultancy services for the month of December 2009. Ck#116203 Jan 18 2010-01-000160 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Jan 18 6,600.00 111 6,270.00 412 330.00 Payment for Other Maintenance and Other Operating Expenses - GREEN VILLAGE STORE P 6,105.00 Cebu City Treasury - Check No. 116202 CTV # 606 - P 165.00 Ck#1162 2010-01-000164 Accounts Payable 401 Cash in Bank - Local Currency , Current Account payment of packed lunch (60pax). Green Village Store - Check No. 116201 CTV # 605 - 5,000.00 111 5,000.00 Grant of Subsidies and Donations - GALUNO, JUDITH A. of Brgy. Inayawan, claim of burial assistance. Ck#116200 Jan 18 2010-01-000165 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Grant of Subsidies and Donations - ALDAYA, BONIFACIO C. of Brgy Kinasang-an, burial assistance. Ck#116199 Jan 18 2010-01-000166 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Grant of Subsidies and Donations - YANONG, ANACLETA V. of Brgy. Basak San Nicolas, burial assistance. Ck#116197 Jan 18 2010-01-000168 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Grant of Subsidies and Donations - JOSOL, DEMETRIA of Brgy. Labangon, burial assistance. Ck#116196 Jan 18 2010-01-000169 Due to Other NGAs 416 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Grant of Subsidies and Donations - ABEJO, GREGORIO of Brgy. Pasil, burial assistance. Ck#116195 Jan 18 2010-01-000170 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 3,500.00 111 3,500.00 Payment for Communication Expenses - ARTAJO, WILLIAM CRIS reimbursement of communication expenses for the month of November to December 2009. Ck#116194 Jan 18 2010-01-000171 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 1,148.00 111 1,148.00 Payment / Reimbursement of Travelling Expenses - EGONIA, MAGDALENA payment of transportation expenses for the month of October to November 2009. Ck#116193 Jan 18 2010-01-000172 Representation Allowance (RA) 713 6,300.00 Transportation Allowance (TA) 714 6,300.00 Cash in Bank - Local Currency , Current Account 111 12,600.00 Payment of Allowances, Bonus and Other Compensation - SEVILLA, RALPH J. of HRDO, payment of representation and transportation allowance for the month of January 2010. Ck#116191 Jan 18 2010-01-000173 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment for Other Maintenance and Other Operating Expenses - BELLO, LUCENA of Brgy. Mambaling, burial assistance. Ck#698006 Jan 18 2010-01-000589 Salaries and Wages - Regular 701 107,723.95 Life and Retirement Insurance Contributions 731 16,086.96 PAG-IBIG Contributions 732 1,200.00 PHILHEALTH Contributions 733 1,600.00 ECC Contributions 734 1,323.50 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 26,335.00 8,351.45 Due to GSIS 413 55,913.96 Due to PAG-IBIG 414 10,322.13 Due to PHILHEALTH 415 3,200.00 Other Payables 439 23,811.87 Payment of Salaries and Wages thru Bank - ABBU, GLESILDA T. ET AL FOR JANUARY 1-31, 2010 (1ST & 2ND WEEK) Jan 18 2010-01-000594 Due to Officers and Employees 403 19,781.34 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 803.61 Due to GSIS 413 5,812.25 Due to PAG-IBIG 414 2,359.55 Due to PHILHEALTH 415 300.00 439 1,850.00 Other Payables 8,655.93 Payment of Salaries and Wages thru Bank - ABABON, MARIBETH V. ET AL FOR DECEMBER 1-31, 2009. Jan 18 2010-01-000604 Salaries and Wages - Regular 701 373,215.58 Life and Retirement Insurance Contributions 731 57,808.92 PAG-IBIG Contributions 732 3,600.00 PHILHEALTH Contributions 733 5,737.50 ECC Contributions 734 3,764.06 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 108,543.00 29,769.84 Due to GSIS 413 171,383.19 Due to PAG-IBIG 414 42,979.55 Due to PHILHEALTH 415 11,475.00 Other Payables 439 79,975.48 Payment of Salaries and Wages thru Bank - ABELLANA, ROLANDO DV. ET AL FOR JANUARY 1-31, 2010 (1ST & 2ND WEEK) Jan 18 2010-01-000608 Due to Officers and Employees 403 59,802.73 Cash in Bank - Local Currency , Current Account 111 48,089.85 Due to GSIS 413 9,837.88 Due to PAG-IBIG 414 800.00 Due to PHILHEALTH 415 1,075.00 Payment of Salaries and Wages thru Bank - ALCOSEBA, RAMONITO S.-I. ET AL FOR DECEMBER 1-31, 2009. Jan 18 2010-01-000612 Fidelity Bond Premiums 892 52,500.00 Cash in Bank - Local Currency , Current Account 111 52,500.00 Payment for Taxes, Premiums and Other Fees - BUREAU OF THE TREASURY Payment of Fidelity Bond Premium of Ms Laurice M. Yutico, Cashier I office of the City Treasurer. Ck#697702 Jan 18 2010-01-000614 Due to LGUs 418 Cash in Bank - Local Currency , Current Account Grant of Subsidies and Donations - BRGY. PASIL Jan 18 2010-01-000618 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Jan 18 30,000.00 111 30,000.00 Payment of financial assistance in connection with the My City Games Program. Ck#697836 109,120.00 111 103,274.28 412 5,845.72 Payment for Other Maintenance and Other Operating Expenses - IMPERIAL APPLIANCE CORP. Payment of three (3) units LCD TV : LCD-32K30 (32 "HD Panel, HD ready, Eco mode with saving PIP (1tuner) Bass expander) and other items. CHECK NO. 697925 WITH CTV # 2010-01-000620 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Medical and Burial Assistance - MAG-ASO, ALICIA of Brgy. Banilad, burial assistance. Ck#188112 Jan 18 2010-01-000623 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Medical and Burial Assistance - LINABOG, NORISA of Brgy. Tinago, burial assistance. Ck#624957 Jan 18 2010-01-000624 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Medical and Burial Assistance - GIMENO, EMMYLOU of Brgy. Kamagayan, burial assistance. Ck#625085 Jan 18 2010-01-000625 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Medical and Burial Assistance - IBARITA, ANNA MARIE of Brgy. Kasambagan, burial assistance. Ck#188195 Jan 18 2010-01-000627 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Medical and Burial Assistance - DUMO, JULIETA of Brgy. Lorega, burial assistance. Ck#188679 Jan 18 2010-01-000628 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account Due to BIR Jan 18 2010-01-000631 Accounts Payable 27,000.00 111 24,300.00 412 Payment for Professional Services - ATTY. LYNNA P. ADVIENTO Ck#188910 401 2,700.00 Payment of consultant fee as consultant on Committee on Youth and Sports Development from April to June 2009. 1,000.00 Cash in Bank - Local Currency , Current Account 111 1,000.00 Payment for Other Maintenance and Other Operating Expenses - GENERALAO, ROMUALDO to 29, 2009 at Ayala Activity Center, Cebu Business Park. Ck#209618 Payment of services as EMCEE during the National Heroes Days Activity last August 27 Jan 18 2010-01-000632 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Medical and Burial Assistance - ALBINO, LUZVIMINDA of Brgy. Duljo Fatima, burial assistance. Ck#210425 Jan 18 2010-01-000633 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 921.01 111 921.01 Payment for Communication Expenses - VILLARETE, NIGEL PAUL Jan 18 2010-01-000636 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Reimbursement of communication expenses from Sept. 26 to Oct. 25, 2009. Ck#210717 5,000.00 111 5,000.00 Grant of Subsidies and Donations - DEGAMO, CARMEN of Brgy. Duljo Fatima, burial assistance. Ck#210703 Jan 18 2010-01-000640 Accounts Payable 401 29,400.00 Cash in Bank - Local Currency , Current Account 111 29,400.00 Payment for Other Maintenance and Other Operating Expenses - DAEMCO Payment of 60 pax foods for the Corn Husk Handicraft Training of the Rural Improvement Club last Nov. 20 and 21, 2008 at the City Agriculture Department. CHECK NO. 210798 WITH CTV # Jan 18 2010-01-000642 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 10,000.00 111 10,000.00 Payment of Medical and Burial Assistance - BACULI, MERCEDES of Brgy. Babag, medical assistance. Ck#239719 Jan 18 2010-01-000646 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Medical and Burial Assistance - DONAIRE, ROWENA of Brgy. Kasambagan, burial assistance. Ck#239895 Jan 18 2010-01-000649 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Medical and Burial Assistance - TRUYA, FHELMA of Brgy. Sambag I, medical assistance. Ck#240008 Jan 18 2010-01-000651 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Medical and Burial Assistance - DOLLOSO, ASUNCION of Brgy. Kamputhaw, burial assistance. Ck#240089 Jan 18 2010-01-000653 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 1,200.00 111 1,200.00 Payment / Reimbursement of Travelling Expenses - NAVARRO, RANDY A. Jan 18 2010-01-000656 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Payment of transportation expenses for the month of July 2009. Ck#241633 5,000.00 111 5,000.00 Grant of Subsidies and Donations - CANADA, HERMES of Brgy. Pob. Pardo, burial assistance. Ck#241717 Jan 18 2010-01-000658 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 7,800.00 111 7,800.00 Payment of Allowances, Bonus and Other Compensation - RAMA, MICHAEL L. Jan 18 2010-01-000663 Salaries and Wages - Casual 705 76,622.56 Payment of representation allowance for the month of December 2009. Ck#241734 Life and Retirement Insurance Contributions 731 13,681.68 PAG-IBIG Contributions 732 1,400.00 PHILHEALTH Contributions 733 1,362.50 ECC Contributions 734 1,112.66 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 36,891.46 2,087.80 Due to GSIS 413 41,574.16 Due to PAG-IBIG 414 10,900.98 Due to PHILHEALTH 415 2,725.00 Payment of Salaries and Wages thru Bank - ALICAYA, VON BRYAN M. ET AL FOR JANUARY 1-31, 2010 (1ST HALF) Jan 18 2010-01-000665 Salaries and Wages - Casual 705 205,048.55 Life and Retirement Insurance Contributions 731 36,700.68 PAG-IBIG Contributions 732 2,400.00 PHILHEALTH Contributions 733 3,675.00 ECC Contributions 734 2,298.12 Cash in Bank - Local Currency , Current Account 111 100,790.43 Due to BIR 412 46,053.11 Due to GSIS 413 88,799.82 Due to PAG-IBIG 414 7,128.99 Due to PHILHEALTH 415 7,350.00 Payment of Salaries and Wages thru Bank - AGUHAR, ANTHONY V. ET AL FOR JANUARY 1-31, 2010 (1ST HALF) Jan 18 2010-01-000668 Due to LGUs 418 Cash in Bank - Local Currency , Current Account 45,000.00 111 45,000.00 Grant of Subsidies and Donations - BRGY. PASIL Jan 18 2010-01-000671 Salaries and Wages - Casual Financial assistance for Lupon Tagapamayapa from January to September 2009. Ck#241726 705 103,889.98 Life and Retirement Insurance Contributions 731 18,238.32 PAG-IBIG Contributions 732 1,300.00 PHILHEALTH Contributions 733 1,837.50 ECC Contributions 734 1,283.31 Cash in Bank - Local Currency , Current Account 111 43,490.05 Due to BIR 412 11,620.47 Due to GSIS 413 53,798.95 Due to PAG-IBIG 414 12,664.64 Due to PHILHEALTH 415 3,675.00 Other Payables 439 1,300.00 Payment of Salaries and Wages thru Bank - ABUGAN, PORTIA A. ET AL FOR JANUARY 1-31, 2010 (1ST HALF) Jan 18 2010-01-000672 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Payment for Training Expenses - CREMDEC Jan 18 2010-01-000674 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 60,000.00 111 111 60,000.00 Payment of foods and accomodation for values orientation workshop seminar last Sept. 23 to 25, 2009. Ck#241845 5,000.00 5,000.00 Grant of Subsidies and Donations - CONSTANCIA, GLENDA B. of Brgy. Pob. Pardo, burial assistance. Ck#241861 Jan 18 2010-01-000676 Due to Officers and Employees 403 15,862.20 Cash in Bank - Local Currency , Current Account 111 14,275.98 Due to BIR 412 1,586.22 Payment of Allowances, Bonus and Other Compensation - ALEGADO, JAMES O. ET AL AS OVERTIME PAY FOR NOVEMBER, 2009. Jan 18 2010-01-000678 Due to Officers and Employees 403 16,975.84 Cash in Bank - Local Currency , Current Account 111 13,970.54 Due to BIR 412 3,005.30 Payment of Allowances, Bonus and Other Compensation - ARANDA, ROLANDO M. ET AL AS OVERTIME PAY FOR AUGUST, 2009. Jan 18 2010-01-000680 Other Personnel Benefits 749 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Allowances, Bonus and Other Compensation - MACAPAAR, ELSA CORAZON D. AS LOYALTY BONUS . Jan 18 2010-01-000681 Salaries and Wages - Casual 705 119,837.19 Life and Retirement Insurance Contributions 731 18,588.60 PAG-IBIG Contributions 732 2,100.00 PHILHEALTH Contributions 733 1,850.00 ECC Contributions 734 1,631.07 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 32,867.79 2,818.27 Due to GSIS 413 80,638.23 Due to PAG-IBIG 414 21,132.57 Due to PHILHEALTH 415 3,700.00 Other Payables 439 2,850.00 Payment of Salaries and Wages thru Bank - ARNIBAL, RICHIE Y. ET AL FOR JANUARY 1-31, 2010 (1ST HALF) Jan 18 2010-01-000682 Due to Other NGAs 416 5,000.00 Cash in Bank - Local Currency , Current Account 111 5,000.00 Payment for Other Maintenance and Other Operating Expenses - BETITO, WALTER Payment for honorarium of Abellana Dance Troupe during the National Heroes Days last August 27 to 29, 2009. Ck#241952 Jan 18 2010-01-000683 Due to Other NGAs 416 5,000.00 Cash in Bank - Local Currency , Current Account 111 5,000.00 Payment for Other Maintenance and Other Operating Expenses - BENDULO, FEBELYN Payment of services to Pardo Elementary School Children's Rondalla during the National Heroes Days last August 27 to 29, 2007. Ck#241964 Jan 18 2010-01-000684 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account Due to BIR Jan 18 18,000.00 111 16,200.00 412 1,800.00 Payment for Professional Services - PESQUERA, JOCELYN G. Payment representing consultancy fee as consultant on Budget & Finance International & Local Gov't. Relations & Special Legislative Concerns of the office of the Mayor for the month of November 2 2010-01-000685 Due to Other NGAs 416 10,000.00 Cash in Bank - Local Currency , Current Account 111 9,000.00 Due to BIR 412 1,000.00 Grant of Subsidies and Donations - ATTY. MARCHEL C. SARNO Payment of allowance as election officer for the month of November to December 2009. Ck#241983 Jan 18 2010-01-000686 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Medical and Burial Assistance - WONG, ELDA of Brgy. Sambag 2, medical assistance. Ck#241653 Jan 18 2010-01-000687 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 8,037.50 111 6,693.50 Prior Years' Adjustments 684 1,344.00 Payment for Other Maintenance and Other Operating Expenses - LIMOSNERO, ALDWIN Q. Ck#241723 Jan 18 2010-01-000688 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Replenishment of petty cash fund at the office of the city planning and development. 2,000.00 111 2,000.00 Payment of Medical and Burial Assistance - DEL CORO, EMELINA of Brgy. Tinago, burial assistance. Ck#188913 Jan 18 2010-01-000689 Accounts Payable 401 40,500.00 Cash in Bank - Local Currency , Current Account 111 35,943.75 Due to BIR 412 2,531.25 Performance/Bidders/Bail Bonds Payable 427 2,025.00 Payment for Other Maintenance and Other Operating Expenses - PORT SEAFOOD RESTAURANT INC. roast pork with honey, chicken/pork humba, stir fry mixed vegetables, drunken shrimp Jan 18 2010-01-000693 Salaries and Wages - Regular 701 27,302.54 Life and Retirement Insurance Contributions 731 4,444.80 PAG-IBIG Contributions 732 300.00 PHILHEALTH Contributions 733 450.00 ECC Contributions 734 291.50 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 1,977.32 Due to GSIS 413 12,329.90 Due to PAG-IBIG 414 2,630.00 Due to PHILHEALTH 415 900.00 Other Payables 439 5,212.62 Payment of 135 pax dinner buffet (mango fruit, ceasar's salad, spicy chicken, 9,739.00 Payment of Salaries and Wages thru Bank - CABAHUG, FLORA T. ET AL FOR JANUARY 1-31, 2010 (1ST & 2ND WEEK) Jan 18 2010-01-000698 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Jan 18 18 9,375.00 412 625.00 Payment of Medical and Burial Assistance - CEBU PURICULTURE CENTER & MATERNITY HOUSE INC. Payment for medical assistance for Jose Ugbinada of Brgy. Sambag 2. CHECK NO. 209920 CTV # 14446-4 P 9,218.25 - CEBU PURICULTURE CENTER & MATERNITY HOUSE INC. 2010-01-000701 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 Payment for Utility Expenses - VISAYAN ELECTRIC CO. Jan 10,000.00 111 2010-01-000703 Due to Officers and Employees Cash in Bank - Local Currency , Current Account 403 111 39,396.58 37,786.90 1,609.68 Payment of energy consumption incurred for the month of December 2009. Ck#698961 5,000.00 5,000.00 Payment of Allowances, Bonus and Other Compensation - MARQUESTO, JONI A. AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 18 2010-01-000705 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 4,006.13 111 4,006.13 Refund of Performance Bond to Contractor - CENTRADE HARDWARE CORP. Jan 18 2010-01-000713 Due to Officers and Employees 403 Payment of 5% performance bond under PAV # 15196 dtd. 09/15/09. Ck#242016 350.00 Cash in Bank - Local Currency , Current Account 111 350.00 Payment of Allowances, Bonus and Other Compensation - ABELGAS, EDGAR C. of CCMC. Payment of subsistence and laundry allowance for the month of November 2009. Ck#712657 Jan 18 2010-01-000715 Due to Other NGAs 416 Cash in Bank - Local Currency , Current Account 22,000.00 111 22,000.00 Grant of Subsidies and Donations - ABESIA, ELMER I. ET AL AS INCENTIVE ALLOWANCE FOR NOVEMBER, 2009. Jan 18 2010-01-000722 Salaries and Wages - Casual 705 41,865.26 Life and Retirement Insurance Contributions 731 7,335.72 PAG-IBIG Contributions 732 900.00 PHILHEALTH Contributions 733 737.50 ECC Contributions 734 806.58 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 18,285.73 852.26 Due to GSIS 413 23,213.53 Due to PAG-IBIG 414 7,818.54 Due to PHILHEALTH 415 1,475.00 Payment of Salaries and Wages thru Bank - ABASIA, ROY F. ET AL FOR JANUARY 1-31, 2010 (1ST HALF) Jan 18 2010-01-000733 Salaries and Wages - Casual 705 196,844.53 Life and Retirement Insurance Contributions 731 34,559.52 PAG-IBIG Contributions 732 2,600.00 PHILHEALTH Contributions 733 3,450.00 ECC Contributions 734 2,479.13 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 89,501.48 12,954.72 Due to GSIS 413 102,329.73 Due to PAG-IBIG 414 20,405.25 Due to PHILHEALTH 415 6,900.00 Other Payables 439 7,842.00 Payment of Salaries and Wages thru Bank - ABAÑO, JOSELITO N. ET AL FOR JANUARY 1-31, 2010 (1ST HALF) Jan 18 2010-01-000735 Due to Officers and Employees 403 15,592.99 Cash in Bank - Local Currency , Current Account 111 12,829.29 Due to BIR 412 2,763.70 Payment of Allowances, Bonus and Other Compensation - ARANDA, ROLANDO M. ET AL AS OVERTIME PAY FOR OCTOBER, 2009. Jan 18 2010-01-000736 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 111 47,407.89 44,780.09 Due to BIR Jan 18 412 2,627.80 Payment for Repairs and Maintenance of Transportation Equipment - FAST AUTOWORLD PHILIPPINES CORP. Ck#241890 2010-01-000737 Due to Officers and Employees 403 Payment of one (1) lot overhaul rack and pinion assy & other items 16,608.67 Cash in Bank - Local Currency , Current Account 111 13,643.76 Due to BIR 412 2,964.91 Payment of Allowances, Bonus and Other Compensation - ARANDA, ROLANDO M. ET AL AS OVERTIME PAY FOR SEPTEMBER, 2009. Jan 18 2010-01-000739 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Jan 18 42,967.86 111 40,565.12 412 2,402.74 Payment for Repairs and Maintenance of Transportation Equipment - FAST AUTOWORLD PHILIPPINES CORP. 09-691dtd. 06/03/09 and PO # 869 dtd. 07/10/09. CHECK NO. 241891 CTV # 17307 P 39,081 2010-01-000740 Due to Officers and Employees 403 Payment of one (1) lot replace A/C hose and other items with PR # 10,907.43 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 6,194.23 58.55 Due to GSIS 413 3,854.65 Due to PAG-IBIG 414 400.00 Due to PHILHEALTH 415 400.00 Payment of Salaries and Wages thru Bank - AMANTE, RITCHEL A. ET AL AS SALARY FOR DECEMBER 1-15, 2009. Jan 18 2010-01-000743 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Jan 18 5,527.95 111 5,222.31 412 305.64 Payment for Repairs and Maintenance of Transportation Equipment - TOYOTA CEBU CITY INC. items CHECK NO. 241899 CTV # 17315 P 5,101.35 - TOYOTA CEBU CITY INC. CHECK 2010-01-000747 Prior Years' Adjustments 684 Payment of supply labor and materials of one (1) lot 30,000 km check up and other 36,493.48 Cash in Bank - Local Currency , Current Account 111 29,682.36 Due to GSIS 413 5,411.12 Due to PAG-IBIG 414 800.00 Due to PHILHEALTH 415 600.00 Payment of Salaries and Wages thru Bank - BALASABAS, FELIPE A. ET AL AS SALARY FOR DECEMBER 1-31, 2009. Jan 18 2010-01-000751 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 18,863.00 111 18,863.00 Payment of Salaries and Wages thru Bank - ABARQUEZ, ALFONSO C. ET AL FOR JANUARY 1-31, 2010 (2ND WEEK) Jan 18 2010-01-000754 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 45,456.00 111 45,456.00 Payment of Salaries and Wages thru Bank - ABELLANA, MA. ELENA F. ET AL FOR JANUARY 1-31, 2010 (2ND WEEK) Jan 18 2010-01-000756 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 111 16,246.00 16,246.00 Payment of Salaries and Wages thru Bank - ABATAYO, EVANGELINE T. ET AL FOR JANUARY 1-31, 2010 (2ND WEEK) Jan 18 2010-01-000763 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 18,521.00 111 18,521.00 Payment of Salaries and Wages thru Bank - ABELLANOSA, RICO P. ET AL FOR JANUARY 1-31, 2010 (2ND WEEK) Jan 18 2010-01-000765 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 1,734.00 111 1,734.00 Payment of Salaries and Wages thru Bank - BERING, SUSAN B. FOR JANUARY 1-31, 2010 (2ND WEEK) Jan 18 2010-01-000767 Due to LGUs 418 Cash in Bank - Local Currency , Current Account Payment for Inter-Agency Payable - BRGY. SAN JOSE Jan 18 2010-01-000768 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 115,348.75 111 115,348.75 Payment for Community Micro Assistance Program (CMAP) for improvement of SK office. Ck#241915 56,063.00 111 56,063.00 Payment of Salaries and Wages thru Bank - ABAD, FERNANDO Q. ET AL FOR JANUARY 1-31, 2010 (2ND WEEK) Jan 18 2010-01-001056 Due to Officers and Employees 403 9,749.39 Cash in Bank - Local Currency , Current Account 111 7,574.73 Due to GSIS 413 1,474.66 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 150.00 Other Payables 439 350.00 Payment for Due to Officers and Employees - ATILLO, LIGAYA S. AS SALARY FOR OCTOBER 1-31, 2009. Jan 18 2010-01-001057 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 2,374.05 111 2,374.05 Payment for Due to Officers and Employees - AUREO, CRISTALENE F. ET AL AS HAZARD PAY FOR NOVEMBER, 2009. Jan 18 2010-01-001059 Salaries and Wages - Regular 701 134,743.23 Life and Retirement Insurance Contributions 731 22,018.68 PAG-IBIG Contributions 732 1,600.00 PHILHEALTH Contributions 733 2,162.50 ECC Contributions 734 1,526.82 Cash in Bank - Local Currency , Current Account 111 48,757.00 Due to BIR 412 11,706.46 Due to GSIS 413 69,397.29 Due to PAG-IBIG 414 15,998.01 Due to PHILHEALTH 415 4,325.00 Other Payables 439 11,867.47 Payment of Salaries and Wages thru Bank - ALCANTARA, BRENT M. ET AL FOR JANUARY 1-31, 2010 (1ST & 2ND WEEK) Jan 18 2010-01-001060 Salaries and Wages - Regular 701 230,137.63 Life and Retirement Insurance Contributions 731 35,022.72 PAG-IBIG Contributions 732 2,500.00 PHILHEALTH Contributions 733 3,550.00 ECC Contributions 734 2,579.79 Cash in Bank - Local Currency , Current Account 111 61,726.00 Receivables - Disallowances/Charges 146 10.23 Due to BIR 412 25,255.68 Due to GSIS 413 114,641.35 Due to PAG-IBIG 414 28,662.88 Due to PHILHEALTH 415 7,100.00 Other Payables Jan 18 439 36,394.00 Payment of Salaries and Wages thru Bank - ABELLA, JEYNO V. ET AL FOR JANUARY 1-31, 2010 (1ST& 2ND WEEK) DISALLOWANCE: ======= 2010-01-001061 Other Payables 439 Cash in Bank - Local Currency , Current Account 30,108.85 111 30,108.85 Payment of Allowances, Bonus and Other Compensation - ABATOL, JEFFERSON D. ET AL AS OVERTIME PAY FOR DECEMBER, 2009. Jan 18 2010-01-001062 Salaries and Wages - Regular 701 501,371.60 Life and Retirement Insurance Contributions 731 73,885.08 PAG-IBIG Contributions 732 3,900.00 PHILHEALTH Contributions 733 7,425.00 ECC Contributions 734 8,591.94 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 114,358.00 62,879.59 Due to GSIS 413 181,223.74 Due to PAG-IBIG 414 35,525.29 Due to PHILHEALTH 415 14,850.00 Other Payables 439 186,337.00 Payment of Salaries and Wages thru Bank - ABELLANA, FELIX N. ET AL FOR JANUARY 1-31, 2010 (1ST & 2ND WEEK) Jan 18 2010-01-001063 Due to Officers and Employees 403 6,801.77 Cash in Bank - Local Currency , Current Account 111 5,102.76 Due to GSIS 413 1,056.85 Due to PAG-IBIG 414 192.16 Due to PHILHEALTH 415 100.00 Other Payables 439 350.00 Payment for Due to Officers and Employees - ATILLO, LIGAYA S. AS SALARY FOR SEPTEMBER 1-30, 2009. Jan 18 2010-01-001064 Due to Officers and Employees 403 8,060.69 Cash in Bank - Local Currency , Current Account 111 6,148.88 Due to GSIS 413 1,236.81 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 125.00 Other Payables 439 350.00 Payment for Due to Officers and Employees - ATILLO, LIGAYA S. AS SALARY FOR AUGUST 1-31, 2009. Jan 18 2010-01-001070 Due to Officers and Employees 403 5,584.32 Cash in Bank - Local Currency , Current Account 111 4,088.63 Due to GSIS 413 884.81 Due to PAG-IBIG 414 160.88 Due to PHILHEALTH 415 100.00 Other Payables 439 350.00 FEFERICO C. LIGARAY P10.23 Payment for Due to Officers and Employees - ATILLO, LIGAYA S. AS SALARY FOR NOVEMBER 1-30, 2009. Jan 18 2010-01-001072 Due to Officers and Employees 403 5,932.16 Cash in Bank - Local Currency , Current Account 111 3,754.57 Due to BIR 412 973.82 Due to GSIS 413 933.95 Due to PAG-IBIG 414 169.82 Due to PHILHEALTH 415 100.00 Payment for Due to Officers and Employees - LOGA, CLARO JR. C. AS SALARY FOR NOVEMBER 1-30, 2009. Jan 18 2010-01-001074 Due to Officers and Employees 403 18,660.68 Cash in Bank - Local Currency , Current Account 111 11,404.67 Due to BIR 412 1,868.87 Due to GSIS 413 3,469.30 Due to PAG-IBIG 414 1,517.84 Due to PHILHEALTH 415 300.00 Other Payables 439 100.00 Payment for Due to Officers and Employees - BACULI, RANDY G. AS SALARY FOR DECEMBER 1-31,2009. Jan 18 2010-01-001075 Due to Officers and Employees 403 19,498.78 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 10,644.62 777.78 Due to GSIS 413 6,076.84 Due to PAG-IBIG 414 1,699.54 Due to PHILHEALTH 415 300.00 Payment for Due to Officers and Employees - MANATAD, JUDILYN T. ET AL AS SALARY FOR DECEMBER 1-31, 2009. Jan 18 2010-01-001077 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 6,153.50 111 6,153.50 Payment for Due to Officers and Employees - LUAREZ, SHELITO M. AS YEAR -END BONUSCASH GIFT FOR 2009. Jan 18 2010-01-001078 Due to Officers and Employees 403 8,971.82 Cash in Bank - Local Currency , Current Account 111 3,319.99 Due to BIR 412 1,404.23 Due to GSIS 413 2,312.21 Due to PAG-IBIG 414 1,785.39 Due to PHILHEALTH 415 150.00 Payment for Due to Officers and Employees - ROMERO, EDDIE A. AS SALARY FOR DECEMBER 1-31, 2009. Jan 18 2010-01-001094 Salaries and Wages - Casual 705 287,802.07 Life and Retirement Insurance Contributions 731 48,844.32 PAG-IBIG Contributions 732 6,000.00 PHILHEALTH Contributions 733 4,925.00 ECC Contributions 734 5,573.37 Cash in Bank - Local Currency , Current Account 111 117,533.87 Due to BIR 412 6,830.07 Due to GSIS 413 164,436.23 Due to PAG-IBIG 414 54,494.59 Due to PHILHEALTH 415 9,850.00 Payment of Salaries and Wages thru Bank - ABARQUEZ, EDGAR S. ET AL FOR JANUARY 1-31, 2009 (1ST HALF) Jan 18 2010-01-001097 Salaries and Wages - Casual 705 190,654.14 Life and Retirement Insurance Contributions 731 31,382.40 PAG-IBIG Contributions 732 3,600.00 PHILHEALTH Contributions 733 3,162.50 ECC Contributions 734 3,230.30 Cash in Bank - Local Currency , Current Account 111 68,265.79 Due to BIR 412 2,588.50 Due to GSIS 413 121,069.26 Due to PAG-IBIG 414 32,980.79 Due to PHILHEALTH 415 6,325.00 Other Payables 439 800.00 Payment of Salaries and Wages thru Bank - ABELLANA, ANTONIETTA G. ET AL FOR JANUARY 1-31, 2010 (1ST HALF) Jan 18 2010-01-001106 Salaries and Wages - Regular 701 17,839.10 Life and Retirement Insurance Contributions 731 2,630.52 PAG-IBIG Contributions 732 300.00 PHILHEALTH Contributions 733 262.50 ECC Contributions 734 302.00 Cash in Bank - Local Currency , Current Account 111 4,084.00 Due to GSIS 413 11,076.95 Due to PAG-IBIG 414 5,018.17 Due to PHILHEALTH 415 525.00 Other Payables 439 630.00 Payment of Salaries and Wages thru Bank - ALIÑO, EVERISTO SR. L. ET AL FOR JANUARY 1-31, 2010 (1ST & 2ND WEEK) Jan 18 2010-01-001112 Salaries and Wages - Casual 705 237,739.40 Life and Retirement Insurance Contributions 731 41,723.16 PAG-IBIG Contributions 732 4,700.00 PHILHEALTH Contributions 733 4,125.00 ECC Contributions 734 4,832.56 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 107,896.74 4,886.00 Due to GSIS 413 132,660.12 Due to PAG-IBIG 414 38,927.26 Due to PHILHEALTH 415 8,250.00 Other Payables 439 500.00 Payment of Salaries and Wages thru Bank - ABELLAR, ESMERALDO T. ET AL FOR JANUARY 1-31, 2010 (1ST HALF) Jan 18 2010-01-001136 Salaries and Wages - Casual 705 69,304.23 Life and Retirement Insurance Contributions 731 13,007.64 PAG-IBIG Contributions 732 700.00 PHILHEALTH Contributions 733 1,325.00 ECC Contributions 734 687.41 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 35,857.78 7,200.03 Due to GSIS 413 35,423.76 Due to PAG-IBIG 414 3,892.71 Due to PHILHEALTH 415 2,650.00 Payment of Salaries and Wages thru Bank - ALINSON, FELICIANO JR. M. ET AL FOR JANUARY 1-31, 2010 (1ST HALF) Jan 18 2010-01-001139 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment for Due to Officers and Employees - QUERUBIN, ROGELIO DC. AS LOYALTY BONUS Jan 18 2010-01-001178 Salaries and Wages - Regular 701 113,913.95 Life and Retirement Insurance Contributions 731 20,459.64 PAG-IBIG Contributions 732 1,100.00 PHILHEALTH Contributions 733 2,062.50 ECC Contributions 734 1,977.17 Cash in Bank - Local Currency , Current Account 111 18,864.00 Due to BIR 412 16,254.92 Due to GSIS 413 58,360.35 Due to PAG-IBIG 414 11,571.99 Due to PHILHEALTH 415 4,125.00 Other Payables 439 30,337.00 Payment of Salaries and Wages thru Bank - ABARQUEZ, ALFONSO C. ET AL FOR JANUARY 1-31, 2010 (1ST WEEK) Jan 18 2010-01-001190 Salaries and Wages - Regular 701 242,116.68 Life and Retirement Insurance Contributions 731 45,417.00 PAG-IBIG Contributions 732 2,600.00 PHILHEALTH Contributions 733 4,562.50 ECC Contributions 734 2,546.06 Cash in Bank - Local Currency , Current Account 111 Due from Officers and Employees 123 45,462.00 500.00 Due to BIR 412 45,955.10 Due to GSIS 413 135,241.02 Due to PAG-IBIG 414 27,040.12 Due to PHILHEALTH 415 9,125.00 Other Payables 439 33,919.00 Payment of Salaries and Wages thru Bank - ABELLANA, MA. ELENA F. ET AL FOR JANUARY 1-31, 2010 (1ST WEEK) Jan 18 2010-01-001206 Salaries and Wages - Regular 701 85,298.04 Life and Retirement Insurance Contributions 731 16,083.84 PAG-IBIG Contributions 732 900.00 PHILHEALTH Contributions 733 1,625.00 ECC Contributions 734 1,022.71 Cash in Bank - Local Currency , Current Account 111 16,250.00 Due to BIR 412 15,352.92 Due to GSIS 413 49,292.98 Due to PAG-IBIG 414 6,891.19 Due to PHILHEALTH 415 3,250.00 Other Payables 439 13,892.50 Payment of Salaries and Wages thru Bank - ABATAYO, EVANGELINE T. ET AL FOR JANUARY 1-31, 2010 (1ST WEEK) Jan 18 2010-01-001224 Salaries and Wages - Regular 701 69,977.29 Life and Retirement Insurance Contributions 731 15,064.32 PAG-IBIG Contributions 732 900.00 PHILHEALTH Contributions 733 1,525.00 ECC Contributions 734 913.09 Cash in Bank - Local Currency , Current Account 111 18,522.00 Due to BIR 412 10,393.52 Due to GSIS 413 42,414.03 Due to PAG-IBIG 414 5,950.15 Due to PHILHEALTH 415 3,050.00 Other Payables 439 8,050.00 Payment of Salaries and Wages thru Bank - ABELLANOSA, RICO P. ET AL FOR JANUARY 1-31, 2010 (1ST WEEK) Jan 18 2010-01-001228 Salaries and Wages - Regular 701 2,861.67 Life and Retirement Insurance Contributions 731 967.56 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 100.00 ECC Contributions 734 123.99 Cash in Bank - Local Currency , Current Account 111 1,734.00 Due to GSIS 413 1,817.22 Due to PAG-IBIG 414 402.00 Due to PHILHEALTH 415 200.00 Payment of Salaries and Wages thru Bank - BERING, SUSAN B. FOR JANUARY 1-31, 2010 (1ST WEEK) Jan 18 2010-01-001230 Salaries and Wages - Regular 701 322,558.42 Life and Retirement Insurance Contributions 731 58,889.28 PAG-IBIG Contributions 732 4,900.00 PHILHEALTH Contributions 733 5,850.00 ECC Contributions 734 5,463.62 Cash in Bank - Local Currency , Current Account 111 56,076.00 Due to BIR 412 20,055.03 Due to GSIS 413 196,113.72 Due to PAG-IBIG 414 39,815.57 Due to PHILHEALTH 415 11,700.00 Other Payables 439 73,901.00 Payment of Salaries and Wages thru Bank - ABAD, FERNANDO Q. ET AL FOR JANUARY 1-31, 2010 (1ST WEEK) Jan 19 2010-01-000152 Due to Officers and Employees 403 8,174.77 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 4,411.30 302.18 Due to GSIS 413 1,636.29 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 125.00 Other Payables 439 1,500.00 Payment of Salaries and Wages thru Bank - TAMPOS, NORMA S. FOR DECEMBER 1-31, 2009. Jan 19 2010-01-000162 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 72,000.00 111 72,000.00 Payment of Allowances, Bonus and Other Compensation - ABASOLO, HERLIE PIA ET AL AS SUBSISTENCE & LAUNDRY ALLOWANCE FOR NOVEMBER, 2009. Jan 19 2010-01-000279 Due to Officers and Employees 403 9,123.37 Cash in Bank - Local Currency , Current Account 111 7,420.59 Due to GSIS 413 1,352.78 Due to PAG-IBIG 414 200.00 415 150.00 Due to PHILHEALTH Payment of Salaries and Wages thru Bank - BONTUYAN, CYNTHIA IRENE R. FOR SALARY DECEMBER 1-31, 2009. Jan 19 2010-01-000280 Due to Officers and Employees 403 5,653.50 Cash in Bank - Local Currency , Current Account 111 3,903.50 Other Payables 439 1,750.00 Payment of Salaries and Wages thru Bank - LEDESMA, SUSANA B. FOR DECEMBER 16-31, 2009. Jan 19 2010-01-000281 Salaries and Wages - Casual 705 505,193.72 Life and Retirement Insurance Contributions 731 91,533.96 PAG-IBIG Contributions 732 8,600.00 PHILHEALTH Contributions 733 9,175.00 ECC Contributions 734 7,674.84 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 247,016.59 34,230.16 Due to GSIS 413 249,675.30 Due to PAG-IBIG 414 62,604.47 Due to PHILHEALTH 415 18,350.00 Other Payables 439 10,301.00 Payment of Salaries and Wages thru Bank- ABAINZA, ANGELES C. ET AL FOR JANUARY 1-31, 2010 (1ST HALF) Jan 19 2010-01-000283 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 139.77 111 139.77 Payment of Allowances, Bonus and Other Compensation - ROSCO, SULPICIO RUPERTO B. AS HAZARD PAY FOR SEPTEMBER, 2009. Jan 19 2010-01-000284 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 981.81 111 981.81 Payment of Allowances, Bonus and Other Compensation - ALPUERTO, DANNY V. ET AL AS HAZARD PAY FOR SEPTEMBER, 2009. Jan 19 2010-01-000350 Accounts Payable 401 63,000.00 Cash in Bank - Local Currency , Current Account 111 56,700.00 Due to BIR 412 3,150.00 Performance/Bidders/Bail Bonds Payable 427 3,150.00 Payment for Accounts Payable - LOLA MARY'S CATERING SERIVES PARTIAL PAYMENT FOR LUNCH OF 60 PARTICIPANTS OF THE 18 DAY CORN BASED FARMER SCIENTIST TRAINING PROGRAM ON JULY TO AUGUST 2009. CHECK NO. 242098 CTV NO. 623 - P55,320.00 - LOLA MARY'S CATERIN Jan 19 2010-01-000351 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Jan 19 401 Cash in Bank - Local Currency , Current Account Jan 19 401 Cash in Bank - Local Currency , Current Account Jan 19 19 27,500.00 111 401 Cash in Bank - Local Currency , Current Account Jan 6,650.00 26,026.78 412 1,473.22 Payment for Accounts Payable - PHIL. COMPAKBOARD INC. PAYMENT OF HOUSING MATERIALS DISTRIBUTED TO FIRE VICTIMS IN BRGY. PUNTA PRINCESA CEBU CITY. CHECK NO. 242104 CTV NO. 629 - P25,614.28 - PHIL. COMPAKBOARD CHECK NO. 242105 CTV NO. 630 412.5 2010-01-000354 Accounts Payable Due to BIR 7,000.00 111 412 350.00 Payment for Accounts Payable - LOLA MARY'S CATERING SERVICES TO PAYMENT OF SNACKS SERVED TO 100 PARTICIPANTS DURING THE LAUNCHING ACTIVITY OF THE MANGO PRODUCTION TRAINING. CHECK NO. 242102 CTV NO. 627 - P6,475.00 - LOLA MARY'S CATERING SERVICES CHEC 2010-01-000353 Accounts Payable Due to BIR 53,403.18 412 3,022.82 Payment for Accounts Payable - R. ROBINS BUILDERS SUPPLY TO PAYMENT OF 90 PCS. SPRAY PAINt AND OTHER ITEMS. CHECK NO. 242100 CTV NO. 625 - P52,395.57 R. ROBINS BUILDERS SUPPLY CHECK NO. 242101 CTV NO. 626 - 1,007.61 - CEBU CITY TREASURER - FOR P 2010-01-000352 Accounts Payable Due to BIR 56,426.00 111 119,800.00 111 113,382.15 412 6,417.85 Payment for Accounts Payable- NEW DATCHE PHILS. TRADERS CORP. TO PAYMENT OF 4 UNITS IWATA EVAPORATIVE AIRCONDITIONING. CHECK NO. 242108 CTV NO. 633 - P111,242.86 - NEW DATCHE PHILS. CHECK NO. 242109 CTV NO. 634 2,139.29 - CEBU CITY TREASURER - 2010-01-000360 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 10,000.00 111 10,000.00 Payment of Medical and Burial Assistance - ARLYNE NOVILLA TO PAYMENT OF MEDICAL ASSISTANCE. Ck#242116 Jan 19 2010-01-000361 Due to LGUs 418 Cash in Bank - Local Currency , Current Account 850,000.00 111 850,000.00 Payment for Inter-Agency Payable -BARANGAY TALAMBAN TRANSFER OF FUNDS REPRESENTING BURIAL ASSISTANCE PROGRAM. Ck#116206 Jan 19 2010-01-000362 Due to LGUs 418 Cash in Bank - Local Currency , Current Account 700,000.00 111 700,000.00 Payment for Inter-Agency Payable - BARANGAY BUSAY TRANSFER OF FUNDS FOR THE IMPLEMENTATION OF THE BURIAL ASSISTANCE PROGRAM. Ck#116207 Jan 19 2010-01-000363 Due to LGUs 418 Cash in Bank - Local Currency , Current Account 1,000,000.00 111 1,000,000.00 Payment for Inter-Agency Payable - BARANGAY COGON-RAMOS TRANSFER OF FUNDS FOR THE IMPLEMENTATION OF THE BURIAL ASSISTANCE PROGRAM. Ck#116208 Jan 19 2010-01-000364 Due to LGUs 418 Cash in Bank - Local Currency , Current Account 224,623.00 111 224,623.00 Grant of Subsidies and Donations- BARANGAY ADLAON FOR COMMUNITY MICRO ASSISTANCE PROGRAM. Ck#116209 Jan 19 2010-01-000365 Due to LGUs 418 Cash in Bank - Local Currency , Current Account 111 53,917.00 53,917.00 Payment for Inter-Agency Payable - BARANGAY SAN ROQUE FOR THE COMMUNITY MICRO ASSISTANCE PROGRAM. Ck#116210 Jan 19 2010-01-000366 Due to LGUs 418 Cash in Bank - Local Currency , Current Account 60,000.00 111 60,000.00 Payment for Inter-Agency Payable- BARANGAY GUBA O RELEASE THE FINANCIAL ASSISTANCE FOR CASH PRIZES OF SINULOG DANCE CONTEST. Ck#116211 Jan 19 2010-01-000367 Due to LGUs 418 Cash in Bank - Local Currency , Current Account 10,000.00 111 10,000.00 Payment for Inter-Agency Payable - BARANGAY GUBA TO RELEASE THE FINANCIAL ASSISTANCE FOR CASH PRIZE OF BASKETBALL LEAGUE 2009. Jan 19 2010-01-000368 Due to LGUs 418 Ck#116212 70,600.00 Cash in Bank - Local Currency , Current Account 111 70,600.00 Payment for Inter-Agency Payable- BARANGAY BUDLA-AN TO RELEASE THE FINANCIAL ASSISTANCE FOR CASH PRIZES OF BASKETBALL AND VOLEYBALL TOURNAMENT YEAR 2009. Ck#116213 Jan 19 2010-01-000369 Due to LGUs 418 79,400.00 Cash in Bank - Local Currency , Current Account 111 79,400.00 Payment for Inter-Agency Payable - BARANGAY BASAK SAN NICOLAS TO RELEASE THE FINANCIAL ASSISTANCE FOR CASH PRIZE OF BASKETBALL TOURNAMENT OF CY 2009. Ck#116215 Jan 19 2010-01-000370 Due to LGUs 418 Cash in Bank - Local Currency , Current Account 42,000.00 111 42,000.00 Payment for Inter-Agency Payable- BARANGAY APAS TO RELEASE THE FINANCIAL ASSISTANCE FOR CASH PRIZES OF BASKETBALL TOURNAMENT CY 2009. Jan 19 2010-01-000372 Accounts Payable 401 Jan 19 111 23,540.87 Due to BIR 412 1,489.93 439 2,781.20 Payment for Accounts Payable - OF TRUST MARKETING & AUTO SUPPLY TO PAYMENT OF 1 SET WINDOW MECHANISM. CHECK NO. 703681 CTV NO. 660 - P22,045.87 TRUST MARKETING CHECK NO. 703682 CTV NO. 661 495.00 - CEBU CITY TREASURER - FOR PAYMENT OF LOC 2010-01-000373 Other Payables 439 Cash in Bank - Local Currency , Current Account Due to BIR Jan 19 27,812.00 Cash in Bank - Local Currency , Current Account Other Payables 119,255.00 111 111,801.55 412 7,453.45 Payment for Other Liabilities- ROAD WARRIORS TOWING SERVICES TO PAYMENT OF TOWING FEES FOR DEC. 14,15,16,17,18, & 19, 2009. CHECK NO. 703684 CTV NO. 663 P107,841.55 - ROAD WARRIORS CHECK NO. 703685 CTV NO. 664 3,960.00 - CEBU CITY TREASUR 2010-01-000374 Other Payables 439 51,255.00 Cash in Bank - Local Currency , Current Account 111 48,051.56 Due to BIR 412 3,203.44 Payment for Other Liabilities - ROAD WARRIORS TOWING AND MOTOR SERVICES TO PAYMENT OF TOWING FEES FOR DEC. 21, 22, 23 & 28, 2009. Ck#703687 Jan 19 2010-01-000375 Due to Other NGAs 416 Cash in Bank - Local Currency , Current Account 2,000.00 111 2,000.00 Payment for Other Maintenance and Other Operating Expenses- EDWIN C. CADUNGOG Jan 19 Ck#116216 2010-01-000376 Accounts Payable 401 TO PAYMENT OF HONORARIUM FOR OCT. 23-25, 2009 Ck#675855 111,842.88 Cash in Bank - Local Currency , Current Account 111 106,839.44 Due to BIR 412 5,003.44 Payment for Utility Expenses - VISAYAN ELECTRIC COMPANY PAYMENT OF ENERGY CONSUMPTION FOR DECEMBER 2009. Ck#675307 Jan 19 2010-01-000473 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 559.10 111 559.10 Payment of Allowances, Bonus and Other Compensation - BORRES, ROBERTO JR. T. ET AL AS HAZARD PAY FOR OCTOBER, 2009. Jan 19 2010-01-000479 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 3,983.55 111 3,983.55 Payment of Allowances, Bonus and Other Compensation - AVENIDO, RICHEL Z. ET AL AS HAZARD PAY FOR OCTOBER, 2009. Jan 19 2010-01-000481 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 350.00 111 350.00 Payment of Allowances, Bonus and Other Compensation - BONTUYAN, EVANGELINE M. AS SUBSISTENCE & LAUNDRY ALLOWANCE FOR DECEMBER, 2009. Jan 19 2010-01-000505 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 350.00 111 350.00 Payment of Allowances, Bonus and Other Compensation - PONCE, NINFA O. AS SUBSISTENCE & LAUNDRY ALLOWANCE FOR DECEMBER, 2009. Jan 19 2010-01-000507 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 700.00 111 700.00 Payment of Allowances, Bonus and Other Compensation - LOPEZ, MARY GRACE S. ET AL AS SUBSISTENCE & LAUNDRY ALLOWANCE FOR DECEMBER, 20009. Jan 19 2010-01-000519 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 4,087.50 111 4,087.50 Payment of Allowances, Bonus and Other Compensation - AVENIDO, RITCHEL Z. ET AL AS HAZARD PAY FOR SEPTEMBER, 2009. Jan 19 2010-01-000521 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 2,350.00 111 2,350.00 Payment of Allowances, Bonus and Other Compensation - BONTILAO, ALYTH A. ET AL AS SUBSISTENCE & LAUNDRY ALLOWANCE FOR DECEMBER, 2009. Jan 19 2010-01-000523 Other Personnel Benefits 749 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Allowances, Bonus and Other Compensation - VILLARANTE, ARTURO F. AS LOYALTY BONUS Jan 19 2010-01-000528 Due to Officers and Employees 403 8,147.29 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 3,153.12 20.00 Due to GSIS 413 3,126.34 Due to PAG-IBIG 414 1,722.83 Due to PHILHEALTH 415 125.00 Payment of Salaries and Wages thru Bank - CHUA, FELIX V. FOR DECEMBER 1-31, 2009. Jan 19 2010-01-000530 Salaries and Wages - Casual 705 28,608.96 Life and Retirement Insurance Contributions 731 5,190.12 PAG-IBIG Contributions 732 500.00 PHILHEALTH Contributions 733 525.00 ECC Contributions 734 420.56 Cash in Bank - Local Currency , Current Account 111 12,162.06 Due to BIR 412 1,524.38 Due to GSIS 413 12,996.60 Due to PAG-IBIG 414 2,311.60 Due to PHILHEALTH 415 1,050.00 Other Payables 439 5,200.00 Payment of Salaries and Wages thru Bank - CASTAÑEDA, NORMAN D. ET AL FOR JANUARY 1-31, 2010 (1ST HALF) Jan 19 2010-01-000533 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 13,650.00 111 13,650.00 Payment of Allowances, Bonus and Other Compensation - ABELLA, MELINDA A. ET AL AS SUBSISTENCE & LAUNDRY ALLOWANCE FOR NOVEMBER, 2009. Jan 19 2010-01-001199 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 1,120.00 111 1,120.00 Payment for Due to Officers and Employees- CORAZON MINGUITO PAYMENT OF TRANSPORTATION EXPENSES FOR AUG. 1 TO SEPT. 30, 2009. Ck#116217 Jan 19 2010-01-001200 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 13,000.00 111 13,000.00 Payment for Due to Officers and Employees - FRANCISCO L. FERNANDEZ REIMBURSEMENT FOR PAYMENT OF FOOD AND DRINKS. Ck#242114 Jan 19 2010-01-001201 Due to Officers and Employees 403 11,000.00 Cash in Bank - Local Currency , Current Account 111 11,000.00 Payment for Due to Officers and Employees - LYNDON B.J. BASAN TO PAYMENT OF REPRESENTATION AND TRANSPORTATION ALLOWANCE FOR NOVEMBER 2009. Ck#242113 Jan 19 2010-01-001202 Due to Officers and Employees 403 11,000.00 Cash in Bank - Local Currency , Current Account 111 11,000.00 Payment for Due to Officers and Employees - LYDON B.J. BASAN TO PAYMENT OF REPRESENTATION AND TRANSPORTATION ALLOWANCE FOR DECEMBER 2009. Ck#242112 Jan 19 2010-01-001203 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment for Due to Officers and Employees- CONCEPCION L. ERMAC PAYMENT OF PRODUCTIVITY ENCHANCEMENT INCENTIVE FOR CY 2009. Ck#242111 Jan 19 2010-01-001204 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 10,446.00 111 10,446.00 Payment for Due to Officers and Employees - FLORENCIO NACARIO TO PAYMENT OF YEAR END BONUS 2009 OF LATE ALLAN NACARIO Ck#242110 Jan 20 2010-01-001207 Due to Officers and Employees 403 3,830.89 Cash in Bank - Local Currency , Current Account 111 3,830.89 Payment for Due to Officers and Employees-TOMAS R. OSMEÑA Communication services for mobile phone # 9173299999 covering the period from November 13 to December 12, 2009. Ck#116218 Jan 20 2010-01-001209 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 3,000.00 111 3,000.00 Payment for Due to Officers and Employees-LEIZEL C. GONZAGA Communication services covering the period October 10 to November 09, 2009. Ck#116219 Jan 20 2010-01-001210 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 111 5,000.00 5,000.00 Grant of Subsidies and Donations-DOMINADOR C. BADAYOS Burial Assistance charged against supplemental budget 7. Ck#116220 Jan 20 2010-01-001214 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Grant of Subsidies and Donations-VICENTE V. MEJO Burial Assistance Ck#116221 Jan 20 2010-01-001215 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Grant of Subsidies and Donations-CECILIO INOBAYAN Burial Assistance Ck#116222 Jan 20 2010-01-001216 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Grant of Subsidies and Donations-JULIET MISA PITOGO Burial Assistance Ck#116223 Jan 20 2010-01-001220 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Grant of Subsidies and Donations-MARGARITA DESIERTO Burial Assistance Ck#116224 Jan 20 2010-01-001222 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Grant of Subsidies and Donations-LUISITO YARES CAGA-ANAN Burial Assistance Ck#116226 Jan 20 2010-01-001310 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 3,500.00 111 3,500.00 Payment for Due to Officers and Employees-EUGENE FAELNAR, JR., et, al...... Christmas Party Incentives for Cebu City Employees. Ck#116227 Jan 20 2010-01-001313 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 2,034.00 111 2,034.00 Payment of Salaries and Wages thru Bank - BONTUYAN, EVANGELINE M. FOR JANUARY 1-31,2010 (3RD WEEK) Jan 20 2010-01-001314 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 57,164.00 111 57,164.00 Payment of Salaries and Wages thru Bank - ABELLLANA, FELIX N. ET AL FOR JANUARY 1-31, 2010 (3RD WEEK) Jan 20 2010-01-001315 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 42,863.00 111 42,863.00 Payment of Salaries and Wages thru Bank - ABERION, YVONNE M. ET AL FOR JANUARY 1-31, 2010 (3RD WEEK) Jan 20 2010-01-001316 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 6,127.00 111 6,127.00 Payment of Salaries and Wages thru Bank - BONTILAO, ALYTH A. ET AL FOR JANUARY 1-31, 2010 (3RD WEEK) Jan 20 2010-01-001318 Salaries and Wages - Casual 705 506,230.98 Life and Retirement Insurance Contributions 731 76,445.40 PAG-IBIG Contributions 732 9,500.00 PHILHEALTH Contributions 733 7,175.00 ECC Contributions 734 10,486.48 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 121,656.50 5,824.79 Due to GSIS 413 346,504.55 Due to PAG-IBIG 414 121,502.02 Due to PHILHEALTH 415 14,350.00 Payment of Salaries and Wages thru Bank - ABELGAS, JAIME C. ET AL FOR JANUARY 1-31, 2010 (1ST HALF) Jan 20 2010-01-001322 Salaries and Wages - Casual 705 58,809.08 Life and Retirement Insurance Contributions 731 9,087.48 PAG-IBIG Contributions 732 900.00 PHILHEALTH Contributions 733 862.50 ECC Contributions 734 1,229.22 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 16,819.93 1,858.62 Due to GSIS 413 35,582.18 Due to PAG-IBIG 414 9,727.55 Due to PHILHEALTH 415 1,725.00 Other Payables 439 5,175.00 Payment of Salaries and Wages thru Bank - ALIÑO, EVERNESTO, JR. W. ET AL FOR JANUARY 1-31, 2010 (1ST HALF) Jan 20 2010-01-001341 Accounts Payable Due to Officers and Employees 401 18,000.00 403 18,000.00 Cash in Bank - Local Currency , Current Account 111 30,700.00 Due to BIR 412 5,300.00 Payment of Allowances, Bonus and Other Compensation-HON. NESTOR D. ARCHIVAL et al Honorarium - Technical Infrastructure committee for the month of July 2009. Ck#116228 Jan 20 2010-01-001344 Due to Other NGAs 416 Cash in Bank - Local Currency , Current Account 6,375.00 111 6,375.00 Grant of Subsidies and Donations-P/SUPT. PATROCINIO A. COMENDADOR JR. Payment of Representation Allowance from October to December 2009. Ck#116229 Jan 20 2010-01-001347 Due to Officers and Employees 403 3,878.46 Cash in Bank - Local Currency , Current Account 111 2,941.09 Due to GSIS 413 637.37 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 100.00 Payment for Due to Officers and Employees-INTING, JACQUELINE A. First salary for the period November 23-31, 2009. Ck#116230 Jan 20 2010-01-001349 Due to Officers and Employees 403 3,878.46 Cash in Bank - Local Currency , Current Account 111 2,941.09 Due to GSIS 413 637.37 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 100.00 Payment for Due to Officers and Employees-Fuentes, Debbie B. First salary for the period November 23-31, 2009. Ck#116231 Jan 20 2010-01-001351 Salaries and Wages - Casual Life and Retirement Insurance Contributions 705 420,395.30 731 65,734.92 PAG-IBIG Contributions 732 7,400.00 PHILHEALTH Contributions 733 6,537.50 ECC Contributions 734 7,972.03 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 124,295.78 8,047.57 Due to GSIS 413 256,515.60 Due to PAG-IBIG 414 98,905.80 Due to PHILHEALTH 415 13,075.00 Other Payables 439 7,200.00 Payment of Salaries and Wages thru Bank - ABALLE, FELIX B. ET AL FOR JANUARY 1-31, 2010 (1ST HALF) Jan 20 2010-01-001356 Due to Officers and Employees 403 10,493.13 Cash in Bank - Local Currency , Current Account 111 8,461.87 Due to GSIS 413 1,656.26 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 175.00 Payment for Due to Officers and Employees-ERANA, JOEVE R. Salary as Utility worker II for the period from December 1-31, 2009. Ck#116232 Jan 20 2010-01-001358 Due to Officers and Employees 403 36,000.00 Cash in Bank - Local Currency , Current Account 111 32,400.00 Due to BIR 412 3,600.00 Payment for Due to Officers and Employees-GERRY A. MARQUEZ Consultancy fee for the month of November and December 2009. Ck#116233 Jan 20 2010-01-001371 Accounts Payable 401 111 5,228,285.72 Due to BIR 412 310,714.28 Other Payables Jan 20 5,800,000.00 Cash in Bank - Local Currency , Current Account 439 261,000.00 Payment for Accounts Payable-UPTOWN INDUSTRIAL SALES INC. For 1 unit Backhoe loader per P.R.# 09-010 dated January 6, 2009 and P.O.# 340 dated April 13, 2009. Note: check # 242118-ctv# 700- P 5,208,785.72 - UPTOWN INDUSTRIAL SALES INC. check # 2010-01-001375 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Medical and Burial Assistance-JOSELITO C. BENITEZ BURIAL ASSISTANCE Ck#242120 Jan 20 2010-01-001377 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 6,974.86 111 6,974.86 Payment for Due to Officers and Employees-SUSANA J. SANTIAGO Representing payment of BTW w/in Maternity period November 1 to December 13, 2009. Ck#675856 Jan 20 2010-01-001392 Salaries and Wages - Casual 705 61,340.07 Life and Retirement Insurance Contributions 731 9,367.32 PAG-IBIG Contributions 732 1,100.00 PHILHEALTH Contributions 733 937.50 ECC Contributions 734 1,063.52 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 15,920.94 1,090.56 Due to GSIS 413 39,618.13 Due to PAG-IBIG 414 15,303.78 Due to PHILHEALTH 415 1,875.00 Payment of Salaries and Wages thru Bank - ARDIMER, JULITO L. ET AL FOR JANUARY 1-31, 2010 (1ST HALF) Jan 20 2010-01-001401 Salaries and Wages - Casual 705 212,083.00 Life and Retirement Insurance Contributions 731 33,995.28 PAG-IBIG Contributions 732 4,400.00 PHILHEALTH Contributions 733 3,437.50 ECC Contributions 734 4,067.08 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 70,410.99 2,300.79 Due to GSIS 413 136,554.34 Due to PAG-IBIG 414 41,841.74 Due to PHILHEALTH 415 6,875.00 Payment of Salaries and Wages thru Bank - ABELLA, ROGER Y. ET AL FOR JANUARY 1-31, 2010 (1ST HALF) Jan 20 2010-01-001406 Due to Officers and Employees Due to Other NGAs Cash in Bank - Local Currency , Current Account 403 1,000.00 416 198,000.00 111 199,000.00 Grant of Subsidies and Donations - ABABON, JERRY L. ET AL AS INCENTIVE ALOOWANCE FOR NOVEMBER, 2009 (BFP) Jan 20 2010-01-001565 Salaries and Wages - Casual 705 290,176.30 Life and Retirement Insurance Contributions 731 55,458.36 PAG-IBIG Contributions 732 5,400.00 PHILHEALTH Contributions 733 5,525.00 ECC Contributions 734 5,340.03 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 159,442.71 12,435.00 Due to GSIS 413 128,368.52 Due to PAG-IBIG 414 49,163.46 Due to PHILHEALTH 415 11,050.00 Other Payables 439 1,440.00 Payment of Salaries and Wages thru Bank - ABABA, ROMULO P. ET AL FOR JANUARY 1-31, 2010 (1ST HALF) Jan 20 2010-01-001571 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 1,500.00 111 1,500.00 Payment of Salaries and Wages thru Bank - BARTIQUIN, CONCEPCION O. FOR JANUARY 1-31, 2010 (3RD WEEK) Jan 20 2010-01-001574 Salaries and Wages - Casual 705 88,257.70 Life and Retirement Insurance Contributions 731 14,915.28 PAG-IBIG Contributions 732 1,800.00 PHILHEALTH Contributions 733 1,500.00 ECC Contributions 734 1,623.45 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 34,579.03 826.08 Due to GSIS 413 50,856.51 Due to PAG-IBIG 414 16,984.81 Due to PHILHEALTH 415 3,000.00 Other Payables 439 1,850.00 Payment of Salaries and Wages thru Bank - BACALSO, SCEPIO Y. ET AL FOR JANUARY 1-31, 2010 (1ST HALF) Jan 20 2010-01-001576 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 951.00 111 951.00 Payment for Due to Officers and Employees - AMIAS, NICOLAS JR. C. AS TRAVELLING ALLOWANCE FOR NOVEMBER, 2009. Jan 20 2010-01-001578 Due to Officers and Employees 403 1,040.00 Cash in Bank - Local Currency , Current Account 111 1,020.00 Prior Years' Adjustments 684 20.00 Payment for Due to Officers and Employees-MARTINEZ DIOSDADA ET.AL. AS TRAVELLING ALLOWANCE FOR OCTOBER 2009. Jan 20 2010-01-001579 Due to Other NGAs 416 Cash in Bank - Local Currency , Current Account 16,000.00 111 16,000.00 Grant of Subsidies and Donations - ANDALES, RICARDO B. ET AL AS INCENTIVE ALLOWANCE FOR DECEMBER, 2009 (STATION 1) Jan 20 2010-01-001581 Due to Other NGAs 416 Cash in Bank - Local Currency , Current Account 73,000.00 111 73,000.00 Grant of Subsidies and Donations - ABATAYO, EDWARD R. ET AL AS INCENTIVE ALLOWANCE FOR NOVEMBER, 2009. Jan 20 2010-01-001582 Due to Other NGAs 416 Cash in Bank - Local Currency , Current Account 20,000.00 111 20,000.00 Grant of Subsidies and Donations - AMBOS, TEMESTOCLES R. ET AL AS INCENTIVE ALLOWANCE FOR NOVEMBER, 2009 (PNP, MARITIME OFFICE) Jan 20 2010-01-001586 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 22,274.00 111 22,274.00 Payment of Salaries and Wages thru Bank - ASPACIO, MARIA ELENA G. ET AL FOR JANUARY 1-31, 2010 (3RD WEEK) Jan 20 2010-01-001628 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 33,454.00 111 33,454.00 Payment of Salaries and Wages thru Bank - ABORDO, OSCAR S. ET AL FOR JANUARY 1-31, 2010 (3RD WEEK) Jan 20 2010-01-001631 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 6,783.00 111 6,783.00 Payment of Salaries and Wages thru Bank - CAÑA, ROMEO DC. ET AL FOR JANUARY 1-31, 2010 (3RD WEEK) Jan 20 2010-01-001632 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 7,647.00 111 7,647.00 Payment of Salaries and Wages thru Bank - ALBUTRA, ORLANDO C. ET AL FOR JANUARY 1-31, 2010 (3RD WEEK) Jan 20 2010-01-001633 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 15,208.00 111 15,208.00 Payment of Salaries and Wages thru Bank - ARACAN, FILOMENA M. ET AL FOR JANUARY 1-31, 2010 (3RD WEEK) Jan 20 2010-01-001635 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 111 3,934.00 3,934.00 Payment of Salaries and Wages thru Bank - DAYONDON, ANTONIO D. ET AL FOR JANUARY 1-31, 2010 (3RD WEEK) Jan 20 2010-01-001636 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 16,873.00 111 16,873.00 Payment of Salaries and Wages thru Bank - ARCILLA, LORDE L. ET AL FOR JANUARY 1-31, 2010 (3RD WEEK) Jan 20 2010-01-001637 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 24,371.00 111 24,371.00 Payment of Salaries and Wages thru Bank - ALCANTARA, BRENT M. ET AL FOR JANUARY 1-31, 2010 (3RD WEEK) Jan 20 2010-01-001639 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 9,758.00 111 9,758.00 Payment of Salaries and Wages thru Bank - BAGUIO, SERGIO B. ET AL FOR JANUARY 1-31, 2010 (3RD WEEK) Jan 20 2010-01-001642 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 30,855.00 111 30,855.00 Payment of Salaries and Wages thru Bank - ABELLA, JEYNO V. ET AL FOR JANUARY 1-31, 2010 (3RD WEEK) Jan 20 2010-01-001644 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 20,906.00 111 20,906.00 Payment of Salaries and Wages thru Bank - ABELLA, ANTONIO JR. T. ET AL FOR JANUARY 1-31, 2010 (3RD WEEK) Jan 20 2010-01-001646 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 1,806.00 111 1,806.00 Payment of Salaries and Wages thru Bank - BORDAJE, AILEEN B. ET AL FOR JANUARY 1-31, 2010 (3RD WEEK) Jan 20 2010-01-001649 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 49,102.00 111 49,102.00 Payment of Salaries and Wages thru Bank - ABELLA, MYRA A. ET AL FOR JANUARY 1-31, 2010 (3RD WEEK) Jan 20 2010-01-001653 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 15,371.00 111 15,371.00 Payment of Salaries and Wages thru Bank - AGUILAR, NICEA D. ET AL FOR JANUARY 1-31, 2010 (3RD WEEK) Jan 20 2010-01-001655 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 13,616.00 111 13,616.00 Payment of Salaries and Wages thru Bank - ABENOJA, LUISITO D. ET. AL FOR JANUARY 1-31, 2010 (3RD WEEK) Jan 20 2010-01-001676 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 5,737.00 111 5,737.00 Payment of Salaries and Wages thru Bank - BAGUIO, SILVERIANA C. ETAL FOR JANUARY 1-31, 2010 (3RD WEEK) Jan 20 2010-01-001681 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 16,348.00 111 16,348.00 Payment of Salaries and Wages thru Bank - ABASTAS, VIRGILIO B. ET AL FOR JANUARY 1-31, 2010 (3RD WEEK) Jan 20 2010-01-001685 Salaries and Wages - Regular Cash in Bank - Local Currency , Current Account 701 111 38,067.00 38,067.00 Payment of Salaries and Wages thru Bank - ALIVIO, NICANOR E. ET AL FOR JANUARY 1-31, 2010 (3RD WEEK) Jan 20 2010-01-001689 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 5,718.00 111 5,718.00 Payment of Salaries and Wages thru Bank - OSMEÑA, TOMAS DR. FOR JANUARY 1-31, 2010 (3RD WEEK) Jan 20 2010-01-001695 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 359.00 111 359.00 Payment of Salaries and Wages thru Bank - UNDANG JOCELYN G. FOR JANUARY 1-31, 2010 (3RD WEEK) Jan 20 2010-01-001700 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 1,398.00 111 1,398.00 Payment of Salaries and Wages thru Bank - TENCHAVEZ, RONNIE L. ET AL FOR JANUARY 1-31, 2010 (3RD WEEK) Jan 20 2010-01-001702 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 8,239.00 111 8,239.00 Payment of Salaries and Wages thru Bank - DIÑO, DOMINIC A. ET AL FOR JANUARY 1-31, 2010 (3RD WEK). Jan 20 2010-01-001710 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 155,254.00 111 155,254.00 Payment of Salaries and Wages thru Bank - ABASTILLAS, EPIFANIA R. ET AL FOR JANUARY 1-31, 2010 (3RD WEEK) Jan 20 2010-01-001712 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 7,191.00 111 7,191.00 Payment of Salaries and Wages thru Bank - ABARQUEZ, JANE C. ET AL FOR JANUARY 1-31, 2010 (3RD WEEK) Jan 20 2010-01-001714 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 31,499.00 111 31,499.00 Payment of Salaries and Wages thru Bank - ABOBO, JIMMY B. ET AL FOR JANUARY 1-31, 2010 (3RD WEEK) Jan 20 2010-01-001715 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 31,103.00 111 31,103.00 Payment of Salaries and Wages thru Bank - ALCUIZAR, SNRTA MARIE TRECE R. ET AL FOR JANUARY 1-31, 2010 (3RD WEEK) Jan 20 2010-01-001716 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 86,953.00 111 86,953.00 Payment of Salaries and Wages thru Bank - ABELLANOSA, RODRIGO A. ET AL FOR JANUARY 1-31, 2010 (3RD WEEK) Jan 20 2010-01-001717 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 18,859.00 111 18,859.00 Payment of Salaries and Wages thru Bank - ABARQUEZ, ALFONSO C. ET AL FOR JANUARY 1-31, 2010 (3RD WEEK) Jan 20 2010-01-001718 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 6,831.00 111 6,831.00 Payment of Salaries and Wages thru Bank - ABADIA, JONATHAN A. ET AL FOR JANUARY 1-31, 2010 (3RD WEEK) Jan 20 2010-01-001719 Salaries and Wages - Regular 701 2,040.00 Cash in Bank - Local Currency , Current Account 111 2,040.00 Payment of Salaries and Wages thru Bank - ALIÑO, EVERISTO SR. L. ET AL FOR JANUARY 1-31, 2010 (3RD WEEK) Jan 20 2010-01-001721 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 292,518.00 111 292,518.00 Payment of Salaries and Wages thru Bank - ABADIANO, LEONOR G. ET AL FOR JANUARY 1-31, 2010 (3RD WEEK) Jan 20 2010-01-001722 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 18,184.00 111 18,184.00 Payment of Salaries and Wages thru Bank - ABELLA, EUSEBIO A. ET AL FOR JANUARY 1-31, 2010 (3RD WEEK) Jan 20 2010-01-001726 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 25,052.00 111 25,052.00 Payment of Salaries and Wages thru Bank - ANG, JEROME G. ET AL FOR JANUARY 1-31, 2010 (3RD WEEK) Jan 20 2010-01-001727 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 53,733.00 111 53,733.00 Payment of Salaries and Wages thru Bank - ABELLA, FRANCISCA Y. ET AL FOR JANUARY 1-31, 2010 (3RD WEEK) Jan 20 2010-01-001728 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 13,219.00 111 13,219.00 Payment of Salaries and Wages thru Bank - ABELGAS, JOSE P. ET AL FOR JANUARY 1-31, 2010 (3RD WEEK) Jan 20 2010-01-001729 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 45,450.00 111 45,450.00 Payment of Salaries and Wages thru Bank - ABELLANA, MA. ELENA F. ET AL FOR JANUARY 1-31, 2010 (3RD WEEK) Jan 20 2010-01-001730 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 56,959.00 111 56,959.00 Payment of Salaries and Wages thru Bank - ANTIPORTA, BENJAMIN Q. ET AL FOR JANUARY 1-31, 2010 (3RD WEEK) Jan 20 2010-01-001732 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 16,119.00 111 16,119.00 Payment of Salaries and Wages thru Bank - ALESNA, ALEXANDER M. ET AL FOR JANUARY 1-31, 2010 (3RD WEEK) Jan 20 2010-01-001733 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 17,005.00 111 17,005.00 Payment of Salaries and Wages thru Bank - ADLAWAN, RUFINA A. ET AL FOR JANUARY 1-31, 2010 (3RD WEEK) Jan 20 2010-01-001734 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 16,134.00 111 16,134.00 Payment of Salaries and Wages thru Bank - ABAN, ELEAZAR S. ET AL FOR JANUARY 1-31, 2010 (3RD WEEK) Jan 20 2010-01-001735 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 111 13,694.00 13,694.00 Payment of Salaries and Wages thru Bank - ABELLA, LOLITA N. ET AL FOR JANUARY 1-31, 2010 (3RD WEEK) Jan 20 2010-01-001740 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 21,061.00 111 21,061.00 Payment of Salaries and Wages thru Bank - ABELGAS, BELONA O. ET AL FOR JANUARY 1-31, 2010 (3RD WEEK) Jan 20 2010-01-001742 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 48,124.00 111 48,124.00 Payment of Salaries and Wages thru Bank - ABADIA, MA. FATIMA E. ET AL FOR JANUARY 1-31, 2010 (3RD WEEK) Jan 20 2010-01-001757 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 6,445.00 111 6,445.00 Payment of Salaries and Wages thru Bank - ABONG, FELIXBERTO P. ET AL FOR JANUARY 1-31, 2010 (3RD WEEK) Jan 20 2010-01-001760 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 54,256.00 111 54,256.00 Payment of Salaries and Wages thru Bank - ABELLANA, ROLANDO DV. ET AL FOR JANUARY 1-31, 2010 (3RD WEEK) Jan 20 2010-01-001761 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 13,167.00 111 13,167.00 Payment of Salaries and Wages thru Bank - ABBU, GLESILDA T. ET AL FOR JANUARY 1-31, 2010 (3RD WEEK) Jan 20 2010-01-001771 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 16,242.00 111 16,242.00 Payment of Salaries and Wages thru Bank - ABATAYO, EVANGELINE T. ET AL FOR JANUARY 1-31, 2010 (3RD WEEK) Jan 20 2010-01-001772 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 18,519.00 111 18,519.00 Payment of Salaries and Wages thru Bank - ABELLANOSA, RICO P. ET AL FOR JANUARY 1-31, 2010 (3RD WEEK) Jan 20 2010-01-001776 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 1,734.00 111 1,734.00 Payment of Salaries and Wages thru Bank - BERING, SUSAN B. ET AL FOR JANUARY 1-31, 2010 (3RD WEEK) Jan 20 2010-01-001777 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 6,102.00 111 6,102.00 Payment of Salaries and Wages thru Bank - CAMPOMANES, MARIE FE A. ET AL FOR JANUARY 1-31, 2010 (3RD WEEK) Jan 20 2010-01-001788 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 56,055.00 111 56,055.00 Payment of Salaries and Wages thru Bank - ABAD, FERNANDO Q. ET AL FOR JANUARY 1-31, 2010 (3RD WEEK) Jan 20 2010-01-001790 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 67,352.00 111 67,352.00 Payment of Salaries and Wages thru Bank - ABADILLA, NERISSA B. ET AL FOR JANUARY 1-31, 2010 (3RD WEEK) Jan 20 2010-01-001792 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 111 2,570.00 2,570.00 Payment of Salaries and Wages thru Bank - BANONO, ROMEO P. ET AL FOR JANUARY 1-31, 2010 (3RD WEEK) Jan 20 2010-01-001794 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 4,868.00 111 4,868.00 Payment of Salaries and Wages thru Bank - CABAHUG, FLORA T. ET AL FOR JANUARY 1-31, 2010 (3RD WEEK) Jan 20 2010-01-001820 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 2,186.20 111 2,186.20 Payment for Due to Officers and Employees - AUREO, CRISTALENE F. ET AL AS HAZARD PAY FOR OCTOBER, 2009. Jan 20 2010-01-001821 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 5,351.50 111 5,351.50 Payment for Due to Officers and Employees - GORNE, CAYETANO JR. E. FOR DECEMBER 16-31, 2009. Jan 20 2010-01-001824 Due to Officers and Employees 403 11,022.81 Cash in Bank - Local Currency , Current Account 111 7,261.05 Due to GSIS 413 3,186.76 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 175.00 Other Payables 439 200.00 Payment for Due to Officers and Employees - CORRO, ENRICK A. FOR DECEMBER 1-31, 2009 Jan 20 2010-01-001847 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 5,390.00 111 5,390.00 Payment for Due to Officers and Employees - CABULAO, REX AQUARIUS A. ET AL AS TRAVELLING ALLOWANCE FOR DECEMBER, 2009. Jan 20 2010-01-001848 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 12,343.50 111 12,343.50 Payment for Due to Officers and Employees - AMANTE, RITCHEL A. ET AL FOR DECEMBER 16-31, 2010. Jan 20 2010-01-001852 Due to Officers and Employees 403 9,286.68 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 5,166.34 574.99 Due to GSIS 413 2,095.35 Due to PAG-IBIG 414 800.00 Due to PHILHEALTH 415 150.00 Other Payables 439 500.00 Payment for Due to Officers and Employees - HOLGANZA, SERGIO N. FOR DECEMBER 1-31, 2009. Jan 20 2010-01-001853 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 20,000.00 111 20,000.00 Payment for Due to Officers and Employees - CUGAY, ANJUN A. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009 Jan 20 2010-01-001855 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 22,615.37 111 22,615.37 Payment for Due to Officers and Employees - BAGUIO, MARCELINA M. ET AL AS OVERTIME PAY NOVEMBER, 2009. Jan 20 2010-01-001856 Due to Officers and Employees 403 6,703.70 Cash in Bank - Local Currency , Current Account 111 6,377.92 Due to BIR 412 325.78 Payment for Due to Officers and Employees - GEREBESE, REDEN P. ET AL ASOVERTIME PAY FOR NOVEMBER, 2009. Jan 20 2010-01-001873 Due to Officers and Employees 403 5,832.27 Cash in Bank - Local Currency , Current Account 111 5,249.04 Due to BIR 412 583.23 Payment for Due to Officers and Employees - COLINA, BRENDA A. AS OVERTIME PAY FOR SEPTEMBER, 2009. Jan 20 2010-01-003469 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 99,714.00 111 99,714.00 Payment of Salaries and Wages thru Bank - ABELLA, URBANO JR. R. ET AL FOR JANUARY 1-31, 2010 (3RD WEEK). Jan 21 2010-01-000174 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 500.00 111 500.00 Refund of Performance Bond to Contractor - SACHEM MARKETING To withdraw BID security for BID NO: B-09-282 under O. R. No. 9067386 dtd. 06/18/2009. Ck#210895 Jan 21 2010-01-000175 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 29,100.00 111 29,100.00 Refund of Performance Bond to Contractor - PASAJERO MOTOR'S Jan 21 2010-01-000176 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 84,200.00 111 84,200.00 Refund of Performance Bond to Contractor - PENTAX HARDWARE Jan 21 2010-01-000177 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 21 2010-01-000178 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account to withdraw BID security for BID NO: B-09-551. Ck#210897 2,750.00 111 2,750.00 Refund of Performance Bond to Contractor - SACHEM MARKETING Jan to withdraw BID security for BID NO: B-09-524. Ck#210896 to withdraw BID security fir BID NO: B-09-563-1. Ck#210898 2,045.00 111 2,045.00 Refund of Performance Bond to Contractor - PENTAX HARDWARE to withdraw BID security for BID NO: B-09-553. Ck#210899 Jan 21 2010-01-000179 Due to PAG-IBIG 414 Cash in Bank - Local Currency , Current Account 1,525.18 111 1,525.18 Refund of Excess Employees Taxes, Loans and Premiums - BACALSO, SCEPIO Jan 21 2010-01-000180 Telephone Expenses - Mobile 773 Cash in Bank - Local Currency , Current Account refund payment of Pag-ibig Loan for the month of January 2010. Ck#210900 3,899.00 111 3,899.00 Payment for Communication Expenses - AGAPITO F. CUGAY JR. reimbursement for communication expenses for the month of December 10, 2009 to January 09, 2010. Ck#210901 Jan 21 2010-01-000181 Due to Officers and Employees 403 52,250.00 Cash in Bank - Local Currency , Current Account 111 52,250.00 Payment / Reimbursement for Miscellaneous, Extra-ordinary / Confidential Expenses - FERNANDEZ, FRANCISCO reimbursement for payment of snacks served during the massive distribution of Financial Assistance to Senior Citizen last November 7, 2009. Ck#2109 Jan 21 2010-01-000183 Due to Officers and Employees 403 3,916.04 Cash in Bank - Local Currency , Current Account 111 3,007.76 Due to GSIS 413 633.28 Due to PAG-IBIG 414 100.00 Due to PHILHEALTH 415 175.00 Payment of Salaries and Wages thru Bank - RESURRECCION, MAELEN S. For the December 04-15, 2009. Ck#210903 Jan 21 2010-01-000184 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account Due to BIR Jan 21 18,000.00 111 16,200.00 412 1,800.00 Payment for Professional Services - LIBRADO O. MACARAYA JR. payment of consultancy fee as consultant to the City Mayor for parks & playground commission for the month of December 2009. Ck#210904 2010-01-000186 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment for Other Maintenance and Other Operating Expenses - BORDEN, MERLITA of Brgy. Mabolo, burial assistance. Ck#210905 Jan 21 2010-01-000187 Other Payables 439 Cash in Bank - Local Currency , Current Account 1,975.00 111 1,975.00 Refund of Excess Employees Taxes, Loans and Premiums - BALCON, LUCILA Jan 21 2010-01-000190 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Jan 21 refund of BCCI Loan payment for the month of January 2010. Ck#210908 83,600.00 111 80,256.00 412 3,344.00 Payment for Other Maintenance and Other Operating Expenses - HASSAN, ONAWAL M. payment of 300 pcs. chicken and other items served during 2nd Annual Festival for Muslim Community last November 27, 2009. REF: CHECK NO. 116234 CTV 732 P 63,892.70 - ON 2010-01-000191 Representation Allowance (RA) 713 Cash in Bank - Local Currency , Current Account 5,500.00 111 5,500.00 Payment of Allowances, Bonus and Other Compensation - YLANAN, JOSEFA T. payment of representation allowance for the month of January 2010. Ck#116236 Jan 21 2010-01-000194 Representation Allowance (RA) Transportation Allowance (TA) 713 5,500.00 714 5,500.00 Cash in Bank - Local Currency , Current Account 111 11,000.00 Payment of Allowances, Bonus and Other Compensation - ENCABO, MA. CONCEPCION T. payment of representation and transportation allowance for the month of January 2010. Ck#116237 Jan 21 2010-01-000195 Representation Allowance (RA) Transportation Allowance (TA) 713 6,300.00 714 6,300.00 Cash in Bank - Local Currency , Current Account 111 12,600.00 Payment of Allowances, Bonus and Other Compensation - VILLARETE, NIGEL PAUL C. payment of representation and transportation allowance for the month of January 2010. Ck#116238 Jan 21 2010-01-000197 Representation Allowance (RA) Transportation Allowance (TA) Cash in Bank - Local Currency , Current Account 713 5,500.00 714 5,500.00 111 11,000.00 Payment of Allowances, Bonus and Other Compensation - GONZAGA, LEIZL C. Jan 21 2010-01-000198 Representation Allowance (RA) 713 5,500.00 payment of representation and transportation allowance for the month of January 2010. Ck#116239 Cash in Bank - Local Currency , Current Account 111 5,500.00 Payment of Allowances, Bonus and Other Compensation - KENNETH CARMELITA M. ENRIQUEZ Jan 21 2010-01-000200 Other Payables 439 payment of representation allowance for the month of January 2010. Ck#116240 1,000.00 Cash in Bank - Local Currency , Current Account 111 1,000.00 Refund of Excess Employees Taxes, Loans and Premiums - AMORES, MIGRENIO V. refund of BCCI loan payment due to erroneous salary deduction for the month of January 2010. Ck#116243 Jan 21 2010-01-000202 Representation Allowance (RA) 713 Cash in Bank - Local Currency , Current Account 6,300.00 111 6,300.00 Payment of Allowances, Bonus and Other Compensation - BACLAYON, JOELITO L. Jan 21 2010-01-000203 Due to Officers and Employees 403 payment of representation allowance for the month of January 2010. Ck#116244 36,000.00 Cash in Bank - Local Currency , Current Account 111 32,400.00 Due to BIR 412 3,600.00 Payment for Professional Services - JAPSON, FRANCISCO C. payment of consultant fee for the month of October and November 2009. Ck#116245 Jan 21 2010-01-000204 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 4,276.41 111 4,276.41 Payment for Communication Expenses - CABARRUBIAS, ROBERTO A. reimbursement of communication expenses for the month of October & November 2009. Ck#116247 Jan 21 2010-01-000205 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 2,400.00 111 2,400.00 Payment / Reimbursement of Travelling Expenses - ABELLA, MARIE VELLE P. Jan 21 2010-01-000207 Other Payables 439 Cash in Bank - Local Currency , Current Account reimbursement of traveling expenses incurred for the month of August 17 to 28, 2009. Ck#116248 3,018.00 111 3,018.00 Refund of Guaranty Deposit / Retention Fee - CEBU STAR SALES refund of 10% warranty deposit. Ck#703175 Jan 21 2010-01-000485 Due to Officers and Employees 403 3,040.69 Cash in Bank - Local Currency , Current Account 111 3,040.69 Payment of Salaries and Wages thru Bank - CUIZON, PAROLITO of DEPW - J.O. Payment of salary for the month of December 01-15, 2009 (B16). REF: PAV # 21184 with CTV # 17617 DTD. 12/31/2009. Ck#116242 Jan 21 2010-01-000487 Due to Officers and Employees 403 3,080.00 Cash in Bank - Local Currency , Current Account 111 3,080.00 Payment of Salaries and Wages thru Bank - FEROLIN, WILDEMAR of DEPW J.O. Payment of salary for the month of December 01-15, 2009 (B16). REF: PAV # 21184 WITH CTV # 17617 DTD. 12/31/2009. Ck#116241 Jan 21 2010-01-000769 Salaries and Wages - Regular 701 5,960.50 Life and Retirement Insurance Contributions 731 1,430.52 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 137.50 ECC Contributions 734 100.00 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 2,824.01 487.42 Due to GSIS 413 2,942.09 Due to PAG-IBIG 414 Due to PHILHEALTH 415 200.00 275.00 Other Payables 439 1,000.00 Payment of Salaries and Wages thru Bank - BANQUICIO, DAISY T. FOR JANUARY 1-15, 2010. Jan 21 2010-01-000780 Due to Officers and Employees 403 11,012.77 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 565.95 Due to GSIS 413 3,354.28 Due to PAG-IBIG 414 1,917.55 Due to PHILHEALTH 415 175.00 439 500.00 Other Payables 4,499.99 Payment of Salaries and Wages thru Bank - RADAZA, ARNULFO P. FOR NOVEMBER 1-30, 2009. Jan 21 2010-01-000784 Salaries and Wages - Casual 705 85,268.73 Life and Retirement Insurance Contributions 731 14,402.76 PAG-IBIG Contributions 732 1,200.00 PHILHEALTH Contributions 733 1,425.00 ECC Contributions 734 1,103.09 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 34,054.24 5,196.78 Due to GSIS 413 41,804.41 Due to PAG-IBIG 414 10,973.15 Due to PHILHEALTH 415 2,850.00 Other Payables 439 8,521.00 Payment of Salaries and Wages thru Bank - ABELLA, EDGARDO N. ET AL FOR JANUARY 1-31, 2010 (1ST HALF) Jan 21 2010-01-000786 Salaries and Wages - Casual 705 154,416.34 Life and Retirement Insurance Contributions 731 27,165.72 PAG-IBIG Contributions 732 2,800.00 PHILHEALTH Contributions 733 2,712.50 ECC Contributions 734 2,756.50 Cash in Bank - Local Currency , Current Account 111 71,964.67 Due to BIR 412 5,841.40 Due to GSIS 413 89,272.51 Due to PAG-IBIG 414 17,347.48 Due to PHILHEALTH 415 5,425.00 Payment of Salaries and Wages thru Bank - ABUEVA, DENNIS S. ET AL FOR JANUARY 1-31, 2010 (1ST HALF) Jan 21 2010-01-000787 Salaries and Wages - Casual 705 62,484.15 Life and Retirement Insurance Contributions 731 11,350.08 PAG-IBIG Contributions 732 700.00 PHILHEALTH Contributions 733 1,137.50 ECC Contributions 734 700.00 Cash in Bank - Local Currency , Current Account 111 30,149.83 Due to BIR 412 6,827.20 Due to GSIS 413 30,017.15 Due to PAG-IBIG 414 4,018.55 Due to PHILHEALTH 415 2,275.00 Other Payables 439 3,084.00 Payment of Salaries and Wages thru Bank - BACALSO, ANNABELLE A. ET AL FOR JANUARY 1-31, 2010 (1ST HALF) Jan 21 2010-01-000788 Salaries and Wages - Casual 705 70,569.24 Life and Retirement Insurance Contributions 731 12,048.84 PAG-IBIG Contributions 732 1,400.00 PHILHEALTH Contributions 733 1,200.00 ECC Contributions 734 1,376.75 Cash in Bank - Local Currency , Current Account 111 29,137.77 Due to BIR 412 1,034.17 Due to GSIS 413 32,898.63 Due to PAG-IBIG 414 9,814.26 Due to PHILHEALTH 415 2,400.00 Other Payables 439 11,310.00 Payment of Salaries and Wages thru Bank - ADLAO, CONRADO D. ET AL FOR JANUARY 1-31, 2010 (1ST HALF) Jan 21 2010-01-000789 Salaries and Wages - Casual 705 24,654.14 Life and Retirement Insurance Contributions 731 3,898.44 PAG-IBIG Contributions 732 500.00 PHILHEALTH Contributions 733 387.50 ECC Contributions 734 488.87 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 7,532.85 79.02 Due to GSIS 413 12,329.75 Due to PAG-IBIG 414 4,178.33 Due to PHILHEALTH 415 775.00 Other Payables 439 5,034.00 Payment of Salaries and Wages thru Bank - CUIZON , WILFREDO JR. R. ET AL FOR JANUARY 1-31, 2010 (1ST HALF) Jan 21 2010-01-000906 Salaries and Wages - Regular 701 15,043.75 Life and Retirement Insurance Contributions 731 2,061.36 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 212.50 ECC Contributions 734 100.00 Cash in Bank - Local Currency , Current Account 111 6,405.00 Due to BIR 412 1,791.34 Due to GSIS 413 8,096.27 Due to PAG-IBIG 414 800.00 Due to PHILHEALTH 415 425.00 Payment of Salaries and Wages thru Bank - YBAÑEZ, MARIA LUZ L. FOR JANUARY 1-31, 2010 (1ST, 2ND & 3RD WEEK) Jan 21 2010-01-000916 Salaries and Wages - Casual 705 108,746.15 Life and Retirement Insurance Contributions 731 18,609.72 PAG-IBIG Contributions 732 2,000.00 PHILHEALTH Contributions 733 1,825.00 ECC Contributions 734 1,999.08 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 45,234.86 3,475.29 Due to GSIS 413 66,549.43 Due to PAG-IBIG 414 14,270.37 Due to PHILHEALTH 415 3,650.00 Payment of Salaries and Wages thru Bank - ABELLA, MAY A. ET AL FOR JANUARY 1-31, 2010 (1ST HALF) Jan 21 2010-01-000921 Salaries and Wages - Casual 705 1,067,863.89 Life and Retirement Insurance Contributions 731 157,248.00 PAG-IBIG Contributions 732 19,500.00 PHILHEALTH Contributions 733 14,712.50 ECC Contributions 734 21,830.05 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 234,367.67 11,566.22 Due to GSIS 413 746,854.89 Due to PAG-IBIG 414 258,940.66 Due to PHILHEALTH 415 29,425.00 Payment of Salaries and Wages thru Bank - ABADEJOS, RODULFO C. ET AL FOR JANUARY 1-31, 2010 (1ST HALF) Jan 21 2010-01-000926 Due to BIR 412 Cash in Bank - Local Currency , Current Account 47,521.94 111 47,521.94 Refund of Excess Employees Taxes, Loans and Premiums - ABELLANA, ROSENDO F. ET AL AS WITHHOLDING TAX REFUND FOR 2009 Jan 21 2010-01-000929 Salaries and Wages - Casual 705 163,112.53 Life and Retirement Insurance Contributions 731 27,045.60 PAG-IBIG Contributions 732 2,800.00 PHILHEALTH Contributions 733 2,637.50 ECC Contributions 734 2,684.01 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 61,167.50 3,698.92 Due to GSIS 413 95,132.03 Due to PAG-IBIG 414 33,006.19 Due to PHILHEALTH 415 5,275.00 Payment of Salaries and Wages thru Bank - ALEGADO, JAMES O. ET AL FOR JANUARY 1-31, 2010 (1ST HALF) Jan 21 2010-01-000933 Salaries and Wages - Casual 705 548,562.77 Life and Retirement Insurance Contributions 731 95,470.92 PAG-IBIG Contributions 732 9,700.00 PHILHEALTH Contributions 733 9,512.50 ECC Contributions 734 8,892.44 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 24,178.02 Due to GSIS 413 282,564.81 Due to PAG-IBIG 414 114,036.50 415 19,025.00 Due to PHILHEALTH 232,334.30 Payment of Salaries and Wages thru Bank - ABAIS, RICARDO D. ET AL FOR JANUARY 1-31, 2010 (1ST HALF) Jan 21 2010-01-000937 Salaries and Wages - Casual 705 534,866.13 Life and Retirement Insurance Contributions 731 97,536.12 PAG-IBIG Contributions 732 12,000.00 PHILHEALTH Contributions 733 9,100.00 ECC Contributions 734 8,153.17 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 273,644.88 11,736.69 Due to GSIS 413 287,864.22 Due to PAG-IBIG 414 70,209.63 Due to PHILHEALTH 415 18,200.00 Payment of Salaries and Wages thru Bank - ABABON, JOCELYN D. ET AL FOR JANUARY 1-31, 2010 (1ST HALF) Jan 21 2010-01-000943 Salaries and Wages - Casual 705 1,141,457.12 Life and Retirement Insurance Contributions 731 196,727.52 PAG-IBIG Contributions 732 14,300.00 PHILHEALTH Contributions 733 20,000.00 ECC Contributions 734 15,923.24 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 72,815.47 Due to GSIS 413 665,955.48 Due to PAG-IBIG 414 114,183.05 Due to PHILHEALTH 415 40,000.00 439 20,315.00 Other Payables 475,138.88 Payment of Salaries and Wages thru Bank - ABADIANO, EARL G. ET AL FOR JANUARY 1-31, 2010 (1ST HALF) Jan 21 2010-01-000945 Salaries and Wages - Casual 705 10,960.50 Life and Retirement Insurance Contributions 731 2,630.52 PAG-IBIG Contributions 732 300.00 PHILHEALTH Contributions 733 262.50 ECC Contributions 734 267.93 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 4,376.95 375.70 Due to GSIS 413 7,961.27 Due to PAG-IBIG 414 1,182.53 Due to PHILHEALTH 415 525.00 Payment of Salaries and Wages thru Bank - AMAYA, MAXIMILLAN A. ET AL FOR JANUARY 1-15, 2010. Jan 21 2010-01-000947 Due to Officers and Employees 403 12,295.08 Cash in Bank - Local Currency , Current Account 111 11,065.57 Due to BIR 412 1,229.51 Payment for Due to Officers and Employees - CABULAO, REX AQUARIUS A. ET AL AS OVERTIME PAY FOR DECEMBER, 2009. Jan 21 2010-01-000948 Due to Officers and Employees 403 17,996.01 Cash in Bank - Local Currency , Current Account 111 15,995.30 Due to BIR 412 2,000.71 Payment for Due to Officers and Employees - ALSOLA, VIVENCIO M. ET AL AS OVERTIME PAY FOR NOVEMBER, 2009. Jan 21 2010-01-000949 Salaries and Wages - Casual 705 48,077.65 Life and Retirement Insurance Contributions 731 7,971.84 PAG-IBIG Contributions 732 700.00 PHILHEALTH Contributions 733 800.00 ECC Contributions 734 755.90 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 4,169.49 Due to GSIS 413 26,628.30 Due to PAG-IBIG 414 6,743.24 Due to PHILHEALTH 415 1,600.00 439 2,660.00 Other Payables 16,504.36 Payment of Salaries and Wages thru Bank - ARDIMER, BENGIE B. ET AL FOR JANUARY 1-31, 2010 (1ST HALF) Jan 21 2010-01-000950 Salaries and Wages - Casual 705 207,180.34 Life and Retirement Insurance Contributions 731 34,685.16 PAG-IBIG Contributions 732 3,900.00 PHILHEALTH Contributions 733 3,475.00 ECC Contributions 734 4,149.11 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 79,392.36 6,970.00 Due to GSIS 413 120,091.96 Due to PAG-IBIG 414 33,419.29 Due to PHILHEALTH 415 6,950.00 Other Payables 439 6,566.00 Payment of Salaries and Wages thru Bank - ARDISA, RUFINO P. ET AL FOR JANUARY 1-31, 2010 (1ST HALF) Jan 21 2010-01-000951 Salaries and Wages - Casual 705 47,285.00 Life and Retirement Insurance Contributions 731 11,348.40 PAG-IBIG Contributions 732 1,000.00 PHILHEALTH Contributions 733 1,125.00 ECC Contributions 734 897.14 Cash in Bank - Local Currency , Current Account 111 25,883.54 Due to BIR 412 2,144.65 Due to GSIS 413 26,244.48 Due to PAG-IBIG 414 5,132.87 Due to PHILHEALTH 415 2,250.00 Payment of Salaries and Wages thru Bank - ABELLANOSA, CHERRY ANN B. ET AL FOR JANUARY 1-15, 2010. Jan 21 2010-01-000952 Salaries and Wages - Regular 701 32,983.50 Life and Retirement Insurance Contributions 731 7,916.04 PAG-IBIG Contributions 732 500.00 PHILHEALTH Contributions 733 787.50 ECC Contributions 734 500.00 Cash in Bank - Local Currency , Current Account 111 17,513.79 Due to BIR 412 4,642.25 Due to GSIS 413 16,698.30 Due to PAG-IBIG 414 2,257.70 Due to PHILHEALTH 415 1,575.00 Payment of Salaries and Wages thru Bank - AGATON, RHEA JANE G. ET AL FOR JANUARY 1-15, 2010. Jan 21 2010-01-000954 Salaries and Wages - Casual 705 4,076.07 Life and Retirement Insurance Contributions 731 876.84 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 87.50 ECC Contributions 734 73.07 Cash in Bank - Local Currency , Current Account 111 3,230.94 Due to GSIS 413 1,607.54 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 175.00 Payment of Salaries and Wages thru Bank - CAMO, NOLITA A. FOR JANUARY 1-31, 2010 (1ST HALF) Jan 21 2010-01-000959 Salaries and Wages - Casual 705 7,349.38 Life and Retirement Insurance Contributions 731 1,264.56 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 125.00 ECC Contributions 734 100.00 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 3,188.62 812.34 Due to GSIS 413 2,312.98 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 250.00 Other Payables 439 2,175.00 Payment of Salaries and Wages thru Bank - EMIA, MARK E. FOR JANUARY 1-31, 2010 (1ST HALF) Jan 21 2010-01-000963 Salaries and Wages - Casual 705 44,618.00 Life and Retirement Insurance Contributions 731 10,708.32 PAG-IBIG Contributions 732 700.00 PHILHEALTH Contributions 733 1,050.00 ECC Contributions 734 700.00 Cash in Bank - Local Currency , Current Account 111 24,566.87 Due to BIR 412 7,169.89 Due to GSIS 413 19,439.56 Due to PAG-IBIG 414 1,400.00 Due to PHILHEALTH 415 2,100.00 Other Payables 439 3,100.00 Payment of Salaries and Wages thru Bank - CANUMAY, JENNIFER B. ET AL FOR JANUARY 1-15, 2010. Jan 21 2010-01-000965 Salaries and Wages - Casual 705 188,336.48 Life and Retirement Insurance Contributions 731 32,082.12 PAG-IBIG Contributions 732 3,100.00 PHILHEALTH Contributions 733 3,212.50 ECC Contributions 734 3,203.29 Cash in Bank - Local Currency , Current Account 111 74,945.77 Due to BIR 412 8,168.38 Due to GSIS 413 114,227.09 Due to PAG-IBIG 414 19,190.15 Due to PHILHEALTH 415 6,425.00 Other Payables 439 6,978.00 Payment of Salaries and Wages thru Bank - ABELLA, MELINDA A. ET AL FOR JANUARY 1-31, 2010 (1ST HALF) Jan 21 2010-01-000967 Salaries and Wages - Casual 705 20,763.00 Life and Retirement Insurance Contributions 731 4,983.12 PAG-IBIG Contributions 732 600.00 PHILHEALTH Contributions 733 500.00 ECC Contributions 734 493.53 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 11,119.31 386.29 Due to GSIS 413 11,208.35 Due to PAG-IBIG 414 3,625.70 Due to PHILHEALTH 415 1,000.00 Payment of Salaries and Wages thru Bank - BARRERA, BARBARA N. ET AL FOR JANUARY 1-15, 2010. Jan 22 2010-01-000377 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Medical and Burial Assistance - VIRGINIA PUGOY PAYMENT OF BURIAL ASSISTANCE. Ck#698008 Jan 22 2010-01-000378 Cash - Disbursing Officers 103 Cash in Bank - Local Currency , Current Account 1,557,874.30 111 1,557,874.30 Grant of Cash Advance - HEIDELITA S. CABRERA FOR PAYMENT OF SALARIES. Ck#698012 Jan 22 2010-01-000379 Due to Other Funds 424 Cash in Bank - Local Currency , Current Account 4,718,204.60 111 4,718,204.60 Payment for Intra-Agency Payable - SPECIAL EDUCATION FUND TO TRANSFER THE REAL PROERTY TAX SHARE FOR NOVEMBER 2009 . Ck#698013 Jan 22 2010-01-000422 Accounts Payable 401 18,000.00 Cash in Bank - Local Currency , Current Account 111 16,200.00 Due to BIR 412 1,800.00 Payment for Professional Services - LINDY C. MORRELL TO PAYMENT FOR NOVEMBER AND DECEMBER 2009. Ck#210912 Jan 22 2010-01-000424 Due to Officers and Employees 403 18,000.00 Cash in Bank - Local Currency , Current Account 111 16,200.00 Due to BIR 412 1,800.00 Payment for Professional Services - PROCOPIO E. FERNANDEZ TO PAYMENT FOR DECEMBER 2009. Ck#210913 Jan 22 2010-01-000425 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 18,000.00 16,200.00 1,800.00 Payment for Professional Services- NAVASCUES, BELINDA K. Jan 22 2010-01-000428 Due to Officers and Employees 403 TO PAYMENT FOR DECEMBER 2009. Ck#210914 45,000.00 Cash in Bank - Local Currency , Current Account 111 40,500.00 Due to BIR 412 4,500.00 Payment for Professional Services- MA. LYNNA . ADVENTO TO PAYMENT FOR AUGUST TO DECEMBER 2009. Ck#210915 Jan 22 2010-01-000429 Due to GSIS 413 Cash in Bank - Local Currency , Current Account 4,000.00 111 4,000.00 Refund of Excess Employees Taxes, Loans and Premiums- LYDIA T. LEYSON TO REFUND THE GSIS CONSOLIDATED LOAN PAYMENT OF JANUARY 2010. Ck#210916 Jan 22 2010-01-000430 Performance/Bidders/Bail Bonds Payable 427 20,540.00 Cash in Bank - Local Currency , Current Account 111 20,540.00 Refund of Performance Bond to Contractor- INFONET SOLUTIONS TO REFUND THE PERFORMANCE BOND UNDER OFFICIAL RECIEPT # 9465088 DATED OCTOBER 29,2009. Ck#210917 Jan 22 2010-01-000433 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 5,433.11 111 5,433.11 Payment of Salaries and Wages thru Bank - CABALSE LIBERATO TO PAYMENT FOR DEC. 1-19,2010. Ck#210918 Jan 22 2010-01-000456 Due to LGUs 418 Cash in Bank - Local Currency , Current Account 15,000.00 111 15,000.00 Grant of Subsidies and Donations - BARANGAY KALUBIHAN TO RELEASE THE FINANCIAL ASSISTANCE FOR JULY 2009. Ck#242123 Jan 22 2010-01-000457 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Medical and Burial Assistance- MYRA A. ABELLA TO PAYMENT OF MEDICAL ASSISTANCE . Ck#242124 Jan 22 2010-01-000458 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 2,500.00 111 2,500.00 Payment for Communication Expenses - FAUSTINO C. TIBON PAYMENT FOR OCT. 24 TO NOV. 23, 2009. Ck#242125 Jan 22 2010-01-000459 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Medical and Burial Assistance - ALBERTA M. RABADON TO PAYMENT OF BURIAL ASSISTANCE Ck#242127 Jan 22 2010-01-000460 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Medical and Burial Assistance - MERCEDES L. JUEZAN TO PAYMENT OF BURIAL ASSISTANCE. Ck#242128 Jan 22 2010-01-000522 Due to Officers and Employees 403 3,000.00 Cash in Bank - Local Currency , Current Account 111 3,000.00 Payment for Communication Expenses- KENNETH CARMELITA M. ENRIQUEZ REIMBURSEMENT FOR PAYMENT OF COMMUNICATION SERVICES FOR OCT. 21 TO NOVEMBER 20, 2009. Ck#242129 Jan 22 2010-01-000524 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 1,000.00 111 1,000.00 Payment for Communication Expenses - ALVIN ROSTHELO T. SANTILLANA REIMBURSEMENT FOR PAYMENT OF PREPAID CARDS FOR NOVEMBER 2009. Ck#242130 Jan 22 2010-01-000526 Due to GSIS 413 Cash in Bank - Local Currency , Current Account 111 1,708.21 1,708.21 Refund of Excess Employees Taxes, Loans and Premiums - ROSARIO D. BOYBANTING TO REFUND THE GSIS CONSOLIDATED LOAN PAYMENT OF JAN. 2010. Ck#242132 Jan 22 2010-01-000527 Due to Officers and Employees 403 18,000.00 Cash in Bank - Local Currency , Current Account 111 16,200.00 Due to BIR 412 1,800.00 Payment for Professional Services- JEFFREY LLANTO TO PAYMENT FOR OCTOBER TO NOVEMBER 2009. Ck#242133 Jan 22 2010-01-000529 Accounts Payable 401 111 134,467.87 Due to BIR 412 8,510.63 Other Payables Jan 22 158,865.00 Cash in Bank - Local Currency , Current Account 439 15,886.50 Payment for Accounts Payable - PETERSPORTS & CRAFT SALES PAYMENT OF 4 PAIRS SPURRING GLOVES. PURE LEATHER. CHECK # 242134 CTV # 797 = P 131,290.57 - PETERSPORTS CHECK # 242136 CTV # 799 3,177.30 - CEBU CITY TREASURER - FOR LOCAL 2010-01-000531 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Medical and Burial Assistance - MA. LESTER YBAÑEZ TO PAYMENT OF BURIAL ASSISTANCE. Ck#242138 Jan 22 2010-01-000532 Due to Officers and Employees 403 18,000.00 Cash in Bank - Local Currency , Current Account 111 16,200.00 Due to BIR 412 1,800.00 Payment for Professional Services - RODOLFO ROMAN T. BIGORNIA TO PAYMENT FOR DEC. 1-31, 2009. Ck#712669 Jan 22 2010-01-000534 Cash - Disbursing Officers 103 Cash in Bank - Local Currency , Current Account 379,740.00 111 379,740.00 Grant of Cash Advance - HEIDELITA S. CABRERA FOR PAYMENT OF HONORARIUM. Ck#712670 Jan 22 2010-01-000536 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 1,500.00 111 1,500.00 Payment for Communication Expenses - ZAMORA, MA. ANTONIA TO PAYMENT FOR AUGUST TO DECEMBER 2009. Ck#698978 Jan 22 2010-01-000537 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Jan 22 401 Cash in Bank - Local Currency , Current Account Jan 22 2010-01-000997 Salaries and Wages - Casual 1,029,281.63 412 68,618.77 Cash Payment for Progress Billing of Contractors for Public Infrastructures- WIN CONSTRUCTION TO 1ST AND FINAL PAYMENT OF 100% WORK ACCOMPLISMENT OF CONTRACT FOR CONSTRUCTION OF RETAINING WALL (KAPASAR BENEFICIARIES) IN BRGY. BUDLAAN, CEBU CITY CHECK 2010-01-000538 Accounts Payable Due to BIR 1,097,900.40 111 199,500.00 111 189,525.00 412 9,975.00 Payment for Accounts Payable - AISLINN CATERING SERVICES TO PAYMENT FOR PACKED MEALS. CHECKED # 703179 CTV # 819 = P 186,775.00 - AISLINN CATERING CHECKED # 703180 CTV # 820 = 2,750.00 - CEBU CITY TREASURER - FOR PAYMEN 705 98,572.99 Life and Retirement Insurance Contributions 731 19,708.68 PAG-IBIG Contributions 732 1,300.00 PHILHEALTH Contributions 733 2,037.50 ECC Contributions 734 2,480.65 Cash in Bank - Local Currency , Current Account 111 50,377.06 Due to BIR 412 10,357.10 Due to GSIS 413 44,006.31 Due to PAG-IBIG 414 5,292.35 Due to PHILHEALTH 415 4,075.00 Other Payables 439 9,992.00 Payment of Salaries and Wages thru Bank - ABELLA, ALYN A. ET AL FOR JANUARY 1-31, 2010 (1ST HALF) Jan 22 2010-01-000999 Salaries and Wages - Casual 705 7,307.00 Life and Retirement Insurance Contributions 731 1,753.68 PAG-IBIG Contributions 732 200.00 PHILHEALTH Contributions 733 175.00 ECC Contributions 734 146.14 Cash in Bank - Local Currency , Current Account 111 5,277.86 Due to GSIS 413 3,553.96 Due to PAG-IBIG 414 400.00 Due to PHILHEALTH 415 350.00 Payment of Salaries and Wages thru Bank - FAELNAR, AMBROSIO V. ET AL FOR JANUARY 1-15, 2010 Jan 22 2010-01-001000 Salaries and Wages - Casual 705 183,106.68 Life and Retirement Insurance Contributions 731 32,197.92 PAG-IBIG Contributions 732 2,900.00 PHILHEALTH Contributions 733 3,100.00 ECC Contributions 734 2,457.94 Cash in Bank - Local Currency , Current Account 111 78,919.37 Due to BIR 412 12,953.08 Due to GSIS 413 92,091.98 Due to PAG-IBIG 414 19,779.32 Due to PHILHEALTH 415 6,200.00 Other Payables 439 13,818.79 Payment of Salaries and Wages thru Bank - ALBARRACIN, ERLINDA DP. ET AL FOR JANUARY 1-31, 2010 (1ST HALF) Jan 22 2010-01-001001 Due to Officers and Employees 403 5,163.91 Cash in Bank - Local Currency , Current Account 111 4,647.52 Due to BIR 412 516.39 Payment for Due to Officers and Employees - BARINO, TEODORO C. ET AL AS OVERTIME PAY FOR NOVEMBER, 2009. Jan 22 2010-01-001002 Due to Officers and Employees 403 80,133.98 Cash in Bank - Local Currency , Current Account 111 71,356.50 Due to BIR 412 8,777.48 Payment for Due to Officers and Employees - ABELLA, JEYNO V. ET AL AS OVERTIME PAY FOR DECEMBER, 2009. Jan 22 2010-01-001003 Due to Officers and Employees 403 420.12 Cash in Bank - Local Currency , Current Account 111 378.11 Due to BIR 412 42.01 Payment for Due to Officers and Employees - FELIPE, OLIVEROS T. AS OVERTIME PAY FOR NOVEMBER, 2009. Jan 22 2010-01-001008 Salaries and Wages - Casual 705 118,134.98 Life and Retirement Insurance Contributions 731 20,615.64 PAG-IBIG Contributions 732 2,400.00 PHILHEALTH Contributions 733 2,075.00 ECC Contributions 734 2,148.59 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 50,018.29 2,926.93 Due to GSIS 413 71,661.28 Due to PAG-IBIG 414 16,617.71 Due to PHILHEALTH 415 4,150.00 Payment of Salaries and Wages thru Bank - ABELLA, ANANIAS JR. D. ET AL FOR JANUARY 1-31, 2010 (1ST HALF) Jan 22 2010-01-001009 Salaries and Wages - Casual 705 57,496.00 Life and Retirement Insurance Contributions 731 13,799.04 PAG-IBIG Contributions 732 600.00 PHILHEALTH Contributions 733 1,400.00 ECC Contributions 734 573.07 Cash in Bank - Local Currency , Current Account 111 26,031.11 Due to BIR 412 15,018.15 Due to GSIS 413 28,568.85 Due to PAG-IBIG 414 1,450.00 Due to PHILHEALTH 415 2,800.00 Payment of Salaries and Wages thru Bank - ABELLA, MARIE VELLE P. ET AL FOR JANUARY 1-15, 2009 Jan 22 2010-01-001010 Due to Officers and Employees 403 10,444.41 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 8,451.47 10.40 Due to GSIS 413 1,607.54 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 175.00 Payment for Due to Officers and Employees - OCAMPO, ANICETO B. AS SALARY FOR DECEMBER 1-31, 2009. Jan 22 2010-01-001012 Salaries and Wages - Casual 705 56,128.00 Life and Retirement Insurance Contributions 731 13,470.72 PAG-IBIG Contributions 732 1,400.00 PHILHEALTH Contributions 733 1,350.00 ECC Contributions 734 1,036.36 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 41,614.96 1,510.00 Due to GSIS 413 24,610.12 Due to PAG-IBIG 414 2,950.00 Due to PHILHEALTH 415 2,700.00 Payment of Salaries and Wages thru Bank - ABELLA MARIA R. ET AL FOR JANUARY 1-15, 2010 Jan 22 2010-01-001013 Due to Officers and Employees 403 16,036.40 Cash in Bank - Local Currency , Current Account 111 11,041.92 Due to BIR 412 252.98 Due to GSIS 413 4,241.50 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 300.00 Payment for Due to Officers and Employees - ENCABO, JOSEPHINE B. AS SALARY FOR DECEMBER 1-31, 2009 . Jan 22 2010-01-001447 Salaries and Wages - Casual 705 39,916.50 Life and Retirement Insurance Contributions 731 9,579.96 PAG-IBIG Contributions 732 600.00 PHILHEALTH Contributions 733 950.00 ECC Contributions 734 600.00 Cash in Bank - Local Currency , Current Account 111 19,853.80 Due to BIR 412 6,800.16 Due to GSIS 413 18,392.50 Due to PAG-IBIG 414 1,200.00 Due to PHILHEALTH 415 1,900.00 Other Payables 439 3,500.00 Payment of Salaries and Wages thru Bank - BONTILAO, BOBSMEI NARCISO ET AL FOR JANUARY 1-15, 2010. Jan 22 2010-01-001450 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 8,374.00 111 8,374.00 Payment for Due to Officers and Employees - PAÑARES, MARK LEMAR B. AS SALARY FOR DECEMBER 16-31, 2009 Jan 22 2010-01-001452 Salaries and Wages - Regular 701 12,994.37 Life and Retirement Insurance Contributions 731 1,774.08 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 175.00 ECC Contributions 734 100.00 Cash in Bank - Local Currency , Current Account 111 5,367.00 Due to BIR 412 1,832.92 Due to GSIS 413 7,393.53 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 350.00 Payment of Salaries and Wages thru Bank - GARCIA, JO ANN F. FOR JANUARY 1-31, 2010 (IST, 2ND AND 3RD WEEK) Jan 22 2010-01-001458 Salaries and Wages - Regular 701 18,368.75 Life and Retirement Insurance Contributions 731 2,482.92 PAG-IBIG Contributions 732 200.00 PHILHEALTH Contributions 733 250.00 ECC Contributions 734 184.71 Cash in Bank - Local Currency , Current Account 111 6,967.00 Due to BIR 412 1,530.07 Due to GSIS 413 6,868.50 Due to PAG-IBIG 414 1,620.81 Due to PHILHEALTH 415 500.00 Other Payables 439 4,000.00 Payment of Salaries and Wages thru Bank - COLINA, BRENDA A. ET AL FOR JANUARY 1-31, 2010 (IST, 2ND & 3RD WEEK) Jan 22 2010-01-001460 Salaries and Wages - Regular 701 26,312.00 Life and Retirement Insurance Contributions 731 3,507.36 PAG-IBIG Contributions 732 400.00 PHILHEALTH Contributions 733 350.00 ECC Contributions 734 369.78 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 8,746.00 4,094.16 Due to GSIS 413 12,687.65 Due to PAG-IBIG 414 4,711.33 Due to PHILHEALTH 415 700.00 Payment of Salaries and Wages thru Bank - DELARA, NESTOR D. ET AL FOR JANUARY 1-31, 2010 (1ST, 2ND & 3RD WEEK) Jan 22 2010-01-001462 Salaries and Wages - Casual 705 21,040.00 Life and Retirement Insurance Contributions 731 5,049.60 PAG-IBIG Contributions 732 600.00 PHILHEALTH Contributions 733 500.00 ECC Contributions 734 454.68 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 14,644.11 700.00 Due to GSIS 413 9,730.16 Due to PAG-IBIG 414 1,570.01 Due to PHILHEALTH 415 1,000.00 Payment of Salaries and Wages thru Bank - BACULAO, ELEMP A. ET AL FOR JANUARY 1-15, 2010. Jan 22 2010-01-001466 Salaries and Wages - Casual 705 14,035.00 Life and Retirement Insurance Contributions 731 3,368.40 PAG-IBIG Contributions 732 400.00 PHILHEALTH Contributions 733 337.50 ECC Contributions 734 280.70 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 33.07 Due to GSIS 413 6,175.40 Due to PAG-IBIG 414 800.00 Due to PHILHEALTH 415 675.00 439 2,500.00 Other Payables 8,238.13 Payment of Salaries and Wages thru Bank - CARUZCA, VINCENT A. ET AL FOR JANUARY 1-15, 2010 Jan 22 2010-01-001468 Salaries and Wages - Contractual 706 10,780.52 Life and Retirement Insurance Contributions 731 1,614.72 PAG-IBIG Contributions 732 200.00 PHILHEALTH Contributions 733 162.50 ECC Contributions 734 193.60 Cash in Bank - Local Currency , Current Account 111 2,675.48 Due to GSIS 413 5,847.13 Due to PAG-IBIG 414 4,103.73 415 325.00 Due to PHILHEALTH Payment of Salaries and Wages thru Bank - BERRAME, ALLAN M. ET AL FOR JANUARY 1-31, 2010 (1ST HALF) Jan 22 2010-01-001469 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 600.00 111 600.00 Payment for Due to Officers and Employees - BORRES, ROBERTO JR. T. ET AL AS HAZARD PAY FOR DECEMBER, 2009. Jan 22 2010-01-001470 Due to Officers and Employees 403 11,117.48 Cash in Bank - Local Currency , Current Account 111 8,654.63 Due to GSIS 413 2,087.85 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 175.00 Payment for Due to Officers and Employees - ARITA, LEA B. FOR SEPTEMBER 1-30, 2009 Jan 22 2010-01-001471 Salaries and Wages - Casual 705 512,557.50 Life and Retirement Insurance Contributions 731 111,664.68 PAG-IBIG Contributions 732 9,000.00 PHILHEALTH Contributions 733 11,150.00 ECC Contributions 734 10,405.36 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 254,930.50 59,055.50 Due to GSIS 413 251,192.38 Due to PAG-IBIG 414 53,699.16 Due to PHILHEALTH 415 22,300.00 Other Payables 439 13,600.00 Payment of Salaries and Wages thru Bank - ABELLA, JOSEPHINE T. ET AL FOR JANUARY 1-31, 2010 (1ST HALF) Jan 22 2010-01-001472 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 1,050.00 111 1,050.00 Payment for Due to Officers and Employees - ALPUERTO, DANNY V. ET AL AS HAZARD FOR DECEMBER, 2009. Jan 22 2010-01-001473 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 72,450.00 111 72,450.00 Payment for Due to Officers and Employees - ABASOLO, HERLIE PIA ET AL AS SUBSISTENCE AND LAUNDRY ALLOWANCE FOR DECEMBER, 2009. Jan 22 2010-01-001474 Salaries and Wages - Regular 701 4,248.00 Life and Retirement Insurance Contributions 731 1,019.52 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 100.00 ECC Contributions 734 84.96 Cash in Bank - Local Currency , Current Account 111 1,716.72 Due to GSIS 413 2,898.01 Due to PAG-IBIG 414 737.75 Due to PHILHEALTH 415 200.00 Payment of Salaries and Wages thru Bank - ESCASINAS, CIRIO S. FOR JANUARY 1-15, 2010. Jan 22 2010-01-001475 Salaries and Wages - Casual 705 5,716.77 Life and Retirement Insurance Contributions 731 804.36 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 75.00 ECC Contributions 734 111.72 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 986.22 206.66 Due to GSIS 413 3,579.32 Due to PAG-IBIG 414 1,885.65 Due to PHILHEALTH 415 150.00 Payment of Salaries and Wages thru Bank - GIPUIT, SHIRLEY H. FOR JANUARY 1-31, 2010 (1ST HALF) Jan 22 2010-01-001476 Due to BIR 412 Cash in Bank - Local Currency , Current Account 30,320.81 111 30,320.81 Refund of Excess Employees Taxes, Loans and Premiums - ABELLA, SALOME M. ET AL AS WITHOLDING TAX REFUND FOR 2009 Jan 22 2010-01-001477 Salaries and Wages - Regular 701 14,323.00 Life and Retirement Insurance Contributions 731 3,437.52 PAG-IBIG Contributions 732 200.00 PHILHEALTH Contributions 733 350.00 ECC Contributions 734 200.00 Cash in Bank - Local Currency , Current Account 111 8,674.62 Due to BIR 412 2,520.24 Due to GSIS 413 6,215.66 Due to PAG-IBIG 414 400.00 Due to PHILHEALTH 415 700.00 Payment of Salaries and Wages thru Bank - BALITE, JEMINA MARIE P. ET AL FOR JANUARY 1-15, 2010. Jan 22 2010-01-001479 Salaries and Wages - Regular 701 11,763.50 Life and Retirement Insurance Contributions 731 2,823.24 PAG-IBIG Contributions 732 200.00 PHILHEALTH Contributions 733 287.50 ECC Contributions 734 192.04 Cash in Bank - Local Currency , Current Account 111 7,465.64 Due to BIR 412 1,692.93 Due to GSIS 413 5,132.71 Due to PAG-IBIG 414 400.00 415 575.00 Due to PHILHEALTH Payment of Salaries and Wages thru Bank - MAUREAL, ANITA M. ET AL FOR JANUARY 1-15, 2010. Jan 22 2010-01-001481 Salaries and Wages - Casual 705 184,186.67 Life and Retirement Insurance Contributions 731 31,689.48 PAG-IBIG Contributions 732 4,100.00 PHILHEALTH Contributions 733 3,212.50 ECC Contributions 734 3,832.99 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 79,692.42 3,724.49 Due to GSIS 413 105,589.74 Due to PAG-IBIG 414 27,711.53 Due to PHILHEALTH 415 6,425.00 Other Payables 439 3,878.46 Payment of Salaries and Wages thru Bank - ARCILLO, RENARIO J. ET AL FOR JANUARY 1-31, 2010 (1ST HALF). Jan 22 2010-01-001482 Due to BIR 412 Cash in Bank - Local Currency , Current Account 6,795.96 111 6,795.96 Refund of Excess Employees Taxes, Loans and Premiums - ABELLA, TEODORO C. ET AL AS WITHHOLDING TAX REFUND FOR YEAR 2009. Jan 22 2010-01-001484 Salaries and Wages - Casual 705 276,350.62 Life and Retirement Insurance Contributions 731 57,871.44 PAG-IBIG Contributions 732 6,600.00 PHILHEALTH Contributions 733 5,775.00 ECC Contributions 734 4,822.62 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 205,911.27 9,963.79 Due to GSIS 413 109,484.44 Due to PAG-IBIG 414 14,510.18 Due to PHILHEALTH 415 11,550.00 Payment of Salaries and Wages thru Bank - ABELLA, CHARLITO R. ET AL FOR JANUARY 1-31, 2010 (IST HALF) Jan 22 2010-01-001485 Salaries and Wages - Casual 705 651,134.84 Life and Retirement Insurance Contributions 731 112,545.60 PAG-IBIG Contributions 732 12,400.00 PHILHEALTH Contributions 733 11,175.00 ECC Contributions 734 9,378.80 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 277,855.37 13,746.79 Due to GSIS 413 348,946.53 Due to PAG-IBIG 414 133,735.55 Due to PHILHEALTH 415 22,350.00 Payment of Salaries and Wages thru Bank - MACASUHOT, TIMOTEO U. ET AL FOR JANUARY 1-31, 2010 (1ST HALF) Jan 22 2010-01-001486 Salaries and Wages - Casual 705 763,558.02 Life and Retirement Insurance Contributions 731 129,481.80 PAG-IBIG Contributions 732 14,200.00 PHILHEALTH Contributions 733 12,850.00 ECC Contributions 734 10,790.15 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 309,707.08 15,727.23 Due to GSIS 413 410,365.89 Due to PAG-IBIG 414 169,379.77 Due to PHILHEALTH 415 25,700.00 Payment of Salaries and Wages thru Bank - ABALA, FRANCISCO S. ET AL FOR JANUARY 1-31, 2010 (1ST HALF) Jan 22 2010-01-001487 Salaries and Wages - Casual 705 887,990.55 Life and Retirement Insurance Contributions 731 146,782.08 PAG-IBIG Contributions 732 15,700.00 PHILHEALTH Contributions 733 14,237.50 ECC Contributions 734 18,002.68 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 332,623.38 14,502.19 Due to GSIS 413 502,072.16 Due to PAG-IBIG 414 205,040.08 Due to PHILHEALTH 415 28,475.00 Payment of Salaries and Wages thru Bank - ABARCO, BENJAMIN JR. G. ET AL fOR JANUARY 1-31, 2010 (1ST HALF) Jan 22 2010-01-001488 Salaries and Wages - Casual 705 109,741.10 Life and Retirement Insurance Contributions 731 17,893.68 PAG-IBIG Contributions 732 1,600.00 PHILHEALTH Contributions 733 1,775.00 ECC Contributions 734 1,535.42 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 38,072.87 7,580.74 Due to GSIS 413 61,964.61 Due to PAG-IBIG 414 16,866.98 Due to PHILHEALTH 415 3,550.00 Other Payables 439 4,510.00 Payment of Salaries and Wages thru Bank - AGUILAR, JOVENCIO A. ET AL FOR JANUARY 1-31, 2010 (1ST HALF) Jan 22 2010-01-001489 Salaries and Wages - Regular 701 30,612.09 Life and Retirement Insurance Contributions 731 4,256.16 PAG-IBIG Contributions 732 400.00 PHILHEALTH Contributions 733 425.00 ECC Contributions 734 409.25 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 14,565.00 450.00 Due to GSIS 413 16,871.50 Due to PAG-IBIG 414 2,266.00 Due to PHILHEALTH 415 850.00 Other Payables 439 1,100.00 Payment of Salaries and Wages thru Bank - BALCON, MARIO B. ET AL FOR JANUARY 1-31, 2010 (1ST, 2ND & 3RD WEEK) Jan 22 2010-01-001490 Salaries and Wages - Casual 705 333,299.56 Life and Retirement Insurance Contributions 731 56,925.84 PAG-IBIG Contributions 732 6,400.00 PHILHEALTH Contributions 733 5,625.00 ECC Contributions 734 6,104.81 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 130,459.39 15,025.55 Due to GSIS 413 162,587.14 Due to PAG-IBIG 414 86,108.13 Due to PHILHEALTH 415 11,250.00 Other Payables 439 2,925.00 Payment of Salaries and Wages thru Bank - ABELLA, PONCIANO R. ET AL FOR JANUARY 1-31, 2010 (1ST HALF) Jan 22 2010-01-001491 Salaries and Wages - Casual 705 10,985.55 Life and Retirement Insurance Contributions 731 2,169.84 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 225.00 ECC Contributions 734 100.00 Cash in Bank - Local Currency , Current Account 111 7,096.46 Due to BIR 412 1,686.71 Due to GSIS 413 3,897.22 Due to PAG-IBIG 414 450.00 Due to PHILHEALTH 415 450.00 Payment of Salaries and Wages thru Bank - SANTIAGO, REYNALDO B. FOR JANUARY 1-31, 2010 (1ST HALF) Jan 22 2010-01-001912 Due to Officers and Employees 403 48,000.00 Cash in Bank - Local Currency , Current Account 111 43,200.00 Due to BIR 412 4,800.00 Payment for Due to Officers and Employees - REYNETTE CHRISTNME LIGARAY TO PAYMENT OF CONSULTANCY FEE FOR AUG. 1 TO NOV. 30, 2009. Ck#210911 Jan 22 2010-01-001913 Due to Officers and Employees 403 426.90 Cash in Bank - Local Currency , Current Account 111 277.49 Due to BIR 412 69.37 Due to GSIS 413 80.04 Payment for Due to Officers and Employees- EIRAH FAYE F. CASTAÑARES TO PAYMENT OF SALARY DIFFERENTIAL FOR DEC. 4-31, 2009. Ck#210919 Jan 22 2010-01-001914 Due to Officers and Employees 403 10,444.41 Cash in Bank - Local Currency , Current Account 111 8,461.87 Due to GSIS 413 1,607.54 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 175.00 Payment for Due to Officers and Employees - GERALDINE F. BAGUIO PAYMENT OF SALARY FOR DEC. 1-31, 2009. Ck#210920 Jan 22 2010-01-001916 Representation Allowance (RA) 713 Cash in Bank - Local Currency , Current Account 6,300.00 111 6,300.00 Payment of Allowances, Bonus and Other Compensation- FE A. CABUGAO TO PAYMENT OF REPRESENTATION ALLOWANCE FOR JAN. 2010. Ck#210921 Jan 22 2010-01-001917 Telephone Expenses - Mobile 773 Cash in Bank - Local Currency , Current Account 1,000.00 111 1,000.00 Payment for Communication Expenses- JOHN PAUL GELASQUE REIMBURSEMENT FOR PAYMENT FOR JAN. 2010. Ck#242121 Jan 22 2010-01-001918 Due to Other NGAs 416 Cash in Bank - Local Currency , Current Account 3,000.00 111 3,000.00 Payment for Communication Expenses- RODOLFO P. GOLEZ TO PAYMENT FOR NOV. 6 TO DEC. 5, 2009. Ck#242122 Jan 22 2010-01-001920 Due to Officers and Employees 403 5,646.32 Cash in Bank - Local Currency , Current Account 111 5,350.00 Due to BIR 412 296.32 Payment for Due to Officers and Employees- MARYJANE PAYOT TO PAYMENT OF MATERNITY LEAVE FROM NOV. 1 TO DEC. 31, 2009. Ck#675857 Jan 22 2010-01-002093 Salaries and Wages - Regular 701 14,064.50 Life and Retirement Insurance Contributions 731 3,375.48 PAG-IBIG Contributions 732 200.00 PHILHEALTH Contributions 733 350.00 ECC Contributions 734 200.00 Cash in Bank - Local Currency , Current Account 111 4,180.26 Due to BIR 412 2,565.36 Due to GSIS 413 7,473.34 Due to PAG-IBIG 414 1,421.02 Due to PHILHEALTH 415 700.00 Other Payables 439 1,850.00 Payment of Salaries and Wages thru Bank - ARTES, SARITA G. ET AL FOR JANUARY 1-15, 2010 (1ST HALF) Jan 22 2010-01-002094 Due to Officers and Employees 403 274,702.34 Cash in Bank - Local Currency , Current Account 111 242,791.55 Due to BIR 412 31,910.79 Payment for Due to Officers and Employees - ABELLA, PONCIANO R. ET AL AS OVERTIME PAY FOR DECEMBER, 2009. Jan 22 2010-01-002095 Due to Officers and Employees 403 80,283.20 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 34,526.53 7,346.15 Due to GSIS 413 19,290.39 Due to PAG-IBIG 414 4,162.20 Due to PHILHEALTH 415 1,475.00 Other Payables 439 13,482.93 Payment for Due to Officers and Employees - CLARIN, PETER PAUL A. ET AL AS SALARIES FOR DECEMBER 1-31, 2009. Jan 22 2010-01-002096 Salaries and Wages - Regular 701 30,797.76 Life and Retirement Insurance Contributions 731 4,217.76 PAG-IBIG Contributions 732 500.00 PHILHEALTH Contributions 733 412.50 ECC Contributions 734 540.50 Cash in Bank - Local Currency , Current Account 111 13,049.00 Due to BIR 412 1,170.23 Due to GSIS 413 12,696.25 Due to PAG-IBIG 414 4,728.04 Due to PHILHEALTH 415 825.00 Other Payables 439 4,000.00 Payment of Salaries and Wages thru Bank - CABUNGCAL, NORMA V. ET AL FOR JANUARY 1-31, 2010 (1ST, 2ND & 3RD WEEK) Jan 22 2010-01-002183 Prior Years' Adjustments 684 Cash in Bank - Local Currency , Current Account Due to BIR Jan 25 2010-01-000547 Performance/Bidders/Bail Bonds Payable 45,000.00 111 42,187.50 412 2,812.50 Payment for Other Maintenance and Other Operating Expenses- GRAND MAJESTIC CONVENTION CITY TO PAYMENT OF 150 PAX FOOD AND VENUE FOR COOP MONTH CELEBRATION. (CHARGED TO ACCOUNT 684 - NOT INCLUDED IN 2009 CERTIFIIED OBLIGATIONS) CHECK NO. 210909 CTV N 427 1,127,850.00 Cash in Bank - Local Currency , Current Account 111 1,127,850.00 Refund of Performance Bond to Contractor- JVF COMMERCIAL AND PROJECT DEV. SUPPORT SERVICES TO REFUND THE BID SECURITY UNDER OFFICIAL RECIEPT # 9473126 DATED 10/27/09 Ck#698014 Jan 25 2010-01-000548 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 2,255,700.00 111 2,255,700.00 Refund of Performance Bond to Contractor- PASAJERO MOTOR'S TO REFUND THE BID SECURITY UNDER OFFICIAL RECIEPT #9473125 DATED 10/27/09 Jan 25 2010-01-000555 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Jan 25 Ck#698015 240,000.00 111 225,000.00 412 15,000.00 Payment for Accounts Payable - HIDDEN PARADISE MOUNTAIN RESORT TO PAYMENT FOOD AND VENUE FURING THE STRATEGIC PLANNING OF GSO ON NOV. 12 TO 14, 2009. CHECK # 698017 CTV # 826 - P 221,040.00 - HIDDEN PARADISE CHECK # 698018 CTV # 827 3,9 2010-01-000556 Due to Officers and Employees 403 1,000.00 Cash in Bank - Local Currency , Current Account 111 1,000.00 Payment for Communication Expenses- CRISELDA C. LAZARTE REIMBRUSEMENT FOR PAYMENT OF COMMUNCIATION SERVICES FOR OCT. 10 TO NOV. 9, 2009. Ck#210922 Jan 25 2010-01-000561 Due to Officers and Employees 403 12,000.00 Cash in Bank - Local Currency , Current Account 111 10,800.00 Due to BIR 412 1,200.00 Payment for Communication Expenses- SULTAN NAIF AYAON PUNUT TO PAYMENT FOR DECEMBER 2009. Jan 25 2010-01-000565 Performance/Bidders/Bail Bonds Payable 427 Ck#210923 850.00 Cash in Bank - Local Currency , Current Account 111 850.00 Refund of Performance Bond to Contractor- TRISALES BUSINESS SYSTEM CORPORATION TO REFUND THE BID SECURITY UNDER OFFICIAL RECEIPT # 9203507 DATED 07/25/09 . Ck#210926 Jan 25 2010-01-000566 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 1,000.00 111 1,000.00 Refund of Performance Bond to Contractor - SACHEM MARKETING TO REFUND THE BID SECURITY UNDER OFFICIAL RECEIPT #8681432 DATED 02/04/09. Ck#210927 Jan 25 2010-01-000567 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 3,500.00 111 3,500.00 Refund of Performance Bond to Contractor - SACHEM MARKETING TO REFUND THE BID SECURITY UNDER OFFICIAL RECIEPT #8985823 DATED 05/12/09 Jan 25 2010-01-000569 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account Ck#210928 3,000.00 111 3,000.00 Payment of Allowances, Bonus and Other Compensation - WARLITO S. MATULAC TO PAYMENT OF CASH INCENTIVE YR. 2009. Ck#210929 Jan 25 2010-01-000570 Extraordinary Expenses 883 30,000.00 Cash in Bank - Local Currency , Current Account 111 30,000.00 Payment / Reimbursement for Miscellaneous, Extra-ordinary / Confidential Expenses - BARANGAY BUDLA-AN TO PAYMENT OF FINANCIAL ASSISTANCE FOR ANNUAL CULTRUAL FEAST ACTIVITIES CELEBRATION ON JAN. 31, 2010. Ck#210930 Jan 25 2010-01-000572 Due to LGUs 418 Cash in Bank - Local Currency , Current Account 111 5,000.00 5,000.00 Payment for Inter-Agency Payable- BARANGAY STO. NNO PAYMENT OF FINANCIAL ASSISTANCE FOR CHRISTMAS PARTY CELEBRATION. Ck#210931 Jan 25 2010-01-000573 Due to Officers and Employees 403 167,730.00 Cash in Bank - Local Currency , Current Account 111 167,730.00 Payment / Reimbursement for Miscellaneous, Extra-ordinary / Confidential Expenses - NAGIEL B. BAÑACIA T REIMBURSEMENT FOR PAYMENT FOR DINNER DURING THE CONSULTATION MAEETING OF MAYOR OSMENA WTIH BRGY. OFFICIALS Ck#210932 Jan 25 2010-01-000574 Accounts Payable 401 195,250.00 Cash in Bank - Local Currency , Current Account 111 175,725.00 Due to BIR 412 9,762.50 Performance/Bidders/Bail Bonds Payable 427 9,762.50 Payment for Accounts Payable - LOLA MARY'S CATERING TO PAYMENT OF 50 PAX FOOD. Ck#210933 Jan 25 2010-01-000575 Accounts Payable 401 111 82,315.18 Due to BIR 412 5,209.82 Other Payables Jan 25 439 9,725.00 Payment for Purchase of Inventories, Supplies and Materials Directly Issued to End-User - F.F. SIBI TO PAYMENT OF 50 BOX CONTINUOS FORM. CHECK # 242157 CTV # 860 - P 80,578.57 - F.F. SIBI CHECK # 242140 CTV # 843 1,736.61 - CEBU 2010-01-000634 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Jan 25 2010-01-000638 Accounts Payable 401 Due to BIR 25 6,000.00 111 5,760.00 412 240.00 Payment for Accounts Payable - JACOB TAILOR AND SPORTSWEAR TO PAYMENT OF 24 TSHIR WITH COLLAR. CTV # 846 CHECK # 242143 - P 5,667.50 - JACOB TAILOR CTV # 847 CHECK # 242144 92.50 - CEBU CITY TREASURER - FOR PAYMENT OF LOCAL TAX Ck#24 Cash in Bank - Local Currency , Current Account Jan 97,250.00 Cash in Bank - Local Currency , Current Account 4,470.00 111 4,230.54 412 239.46 Payment for Accounts Payable- PETER SPORTSCRAFT SALES INC. TO PAYMENT 3 (THREE) PLAQUES. CHECK # 242149 CTV # 852 - P 4,150.72 - PETER SPORTSCRAFT CHECK # 242150 CTV # 853 79.82 - CEBU CITY TREASURER - FOR PAYMENT OF LOCAL T 2010-01-000644 Due from Other Funds 144 5,682.64 Cash in Bank - Local Currency , Current Account 111 5,682.64 Payment for Accounts Payable - CEBU DE ORO EDUCATIONAL SUPPLY TO PAYMENT OF VARIOUS MATERIALS. CHECK # 242141 CTV # 844 = P5,569.44 - CEBU DE ORO EDUCATIONAL SUPPLY CHECK # 242142 CTV # 845 = 113.20 - CEBU CITY TREASURER - FOR PAYMENT OF LOCAL T Jan 25 2010-01-000659 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Jan 25 31,745.88 111 30,045.20 412 1,700.68 Payment for Repairs and Maintenance of Office Equipment and Furniture and Fixtures- PHILCOPY CORP. TO PAYMENT OF SPARE PARTS OF KYOCERA-MITA DIGITAL COPIER. CTV # 855 CHECK # 242152 - P 566.89 - CEBU CITY TREASURER - LOCAL TAX CTV # 856 CHECK 2010-01-000669 Due to Officers and Employees 403 18,000.00 Cash in Bank - Local Currency , Current Account 111 16,200.00 Due to BIR 412 1,800.00 Payment for Professional Services- EDISON JOHN A. ARRIOLA TO PAYMENT FOR NOV. TO DEC. 2009. Ck#242158 Jan 25 2010-01-000670 Due from Officers and Employees 123 Cash in Bank - Local Currency , Current Account 111 17,940.00 17,940.00 Grant of Cash Advance - ALICE T. UTLANG FOR TAVEL IN NAGA CITY ON FEB. 17-19, 2010. Ck#242159 Jan 25 2010-01-000673 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 254.00 111 254.00 Payment / Reimbursement of Travelling Expenses - BENNY BOY P. EVARDO TO PAYMENT OF TRAVELLING EXPENSES FOR NOV. AND DEC. 2009. Ck#242160 Jan 25 2010-01-000675 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Jan 25 401 Cash in Bank - Local Currency , Current Account Jan 25 99,928.12 412 9,796.88 Payment for Other Maintenance and Other Operating Expenses- WENTWORTH DEV. CORP TO PAYMENT OF SPACE RENTAL FOR DECEMBER 2009 CTV # 865 CHECK # 242162 - P 98,108.12 - WENTWORTH DEV. CORP. CTV # 866 CHECK # 242163 1,820.00 - CEBU CITY TREAS 2010-01-000679 Accounts Payable Due to BIR 109,725.00 111 9,328,000.00 111 8,828,285.72 412 499,714.28 Cash Purchase of Property, Plant and Equipment- PASAJERO MOTORS CORPORATION TO PAYMENT OF ELEVEN (11) UNITS RE-CONDITION 6 WHEELER FORWARD CARO TRUCK. CTV # 879 CHECK # 703181 - P 8,792,964.29 - PASAJERO MOTORS CTV # 880 CHECK # 703182 - 2010-01-000971 Due to Officers and Employees 403 11,117.48 Cash in Bank - Local Currency , Current Account 111 8,654.63 Due to GSIS 413 2,087.85 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 175.00 Payment for Due to Officers and Employees - ARITA, LEA B.-AS SALARY FOR DECEMBER 1-31, 2009 (1ST & 2ND HALF) Jan 25 2010-01-000975 Due to Officers and Employees 403 11,117.48 Cash in Bank - Local Currency , Current Account 111 8,654.63 Due to GSIS 413 2,087.85 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 175.00 Payment for Due to Officers and Employees - ARITA, LEA B. AS SALARY FOR OCTOBER 1-31, 2009 (1ST & 2ND HALF) Jan 25 2010-01-002059 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Jan 25 68,886.40 111 65,196.05 412 3,690.35 Payment for Purchase of Inventories, Supplies and Materials for Stock- OF CEBU SURGICAL & MEDICAL ENTERPRISE TO PAYMENT OF 100 VIALS ANTIBIOTIC METRONIDAZOLE. CHECK # 7126671 CTV # 871 - 64,453.55 - CEBU SURGICAL & MEDICAL ENTERPRISE CHECK 2010-01-002245 Salaries and Wages - Casual 705 7,599.00 Life and Retirement Insurance Contributions 731 1,823.76 PAG-IBIG Contributions 732 200.00 PHILHEALTH Contributions 733 175.00 ECC Contributions 734 273.02 Cash in Bank - Local Currency , Current Account 111 5,856.18 Due to GSIS 413 3,464.60 Due to PAG-IBIG 414 400.00 Due to PHILHEALTH 415 350.00 Payment of Salaries and Wages thru Bank - ALIT, DEXTER G. ET AL FOR JANUARY 1-15, 2010 Jan 25 2010-01-002256 Salaries and Wages - Casual 705 5,269.00 Life and Retirement Insurance Contributions 731 1,264.56 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 125.00 ECC Contributions 734 100.00 Cash in Bank - Local Currency , Current Account 111 3,906.69 Due to GSIS 413 2,501.87 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 250.00 Payment of Salaries and Wages thru Bank - PRIMACIO, CARLO B. FOR JANUARY 1-15, 2010 Jan 25 2010-01-002261 Salaries and Wages - Casual 705 11,358.00 Life and Retirement Insurance Contributions 731 2,725.92 PAG-IBIG Contributions 732 200.00 PHILHEALTH Contributions 733 275.00 ECC Contributions 734 192.04 Cash in Bank - Local Currency , Current Account 111 8,838.56 Due to GSIS 413 4,962.40 Due to PAG-IBIG 414 400.00 Due to PHILHEALTH 415 550.00 Payment of Salaries and Wages thru Bank-CADAR, ALI PANGKAT ET AL - DEPW-OBO, JAN. 1-15, 2010 - 1ST HALF Jan 25 2010-01-002302 Due to Officers and Employees 403 20,295.73 Cash in Bank - Local Currency , Current Account 111 18,266.20 Due to BIR 412 2,029.53 Payment for Due to Officers and Employees - CAÑETE, ANDRY C. ET AL AS OVERTIME PAY FOR DECEMBER, 2009 Jan 25 2010-01-002312 Due to Officers and Employees 403 5,396.21 Cash in Bank - Local Currency , Current Account 111 3,515.14 Due to BIR 412 451.77 Prior Years' Adjustments 684 1,429.30 Payment for Due to Officers and Employees - ARICAYOS, NICOLEN S. ET AL as Overtime Pay for November, 2009 ACCT 684: RAMON B. MANDOLADO 498.43 Jan 25 2010-01-002319 Salaries and Wages - Casual 705 10,094.50 Life and Retirement Insurance Contributions 731 2,422.68 PAG-IBIG Contributions 732 300.00 PHILHEALTH Contributions 733 237.50 ECC Contributions 734 283.89 Cash in Bank - Local Currency , Current Account 111 6,612.24 Due to GSIS 413 5,651.33 Due to PAG-IBIG 414 600.00 Due to PHILHEALTH 415 475.00 Payment of Salaries and Wages thru Bank - APALLA, EDWIN L. ET AL FOR JANUARY 1-15, 2010 Jan 25 2010-01-002323 Due to Officers and Employees Cash in Bank - Local Currency , Current Account 403 111 15,746.22 11,013.26 JOSE B. MANDOLADO P 498.43 Due to BIR 412 542.46 Due to GSIS 413 3,690.50 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 300.00 Payment for Due to Officers and Employees - ALINGASA, GLYNIS M. AS SALRY FOR DECEMBER 1-31, 2009 Jan 25 2010-01-002324 Other Personnel Benefits 749 Cash in Bank - Local Currency , Current Account 10,000.00 111 10,000.00 Payment of Salaries and Wages thru Bank - ELECCION, LOTIS C. AS LOYALTY BONUS Jan 25 2010-01-002331 Salaries and Wages - Casual 705 3,810.74 Life and Retirement Insurance Contributions 731 737.88 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 75.00 ECC Contributions 734 95.37 Cash in Bank - Local Currency , Current Account 111 1,404.52 Due to GSIS 413 2,679.95 Due to PAG-IBIG 414 584.52 Due to PHILHEALTH 415 150.00 Payment of Salaries and Wages thru Bank - TENEFRANCIA, NOLI G. FOR JANUARY 1-31, 2010 Jan 25 2010-01-002343 Salaries and Wages - Casual 705 5,850.19 Life and Retirement Insurance Contributions 731 1,181.76 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 112.50 ECC Contributions 734 98.48 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 650.00 Due to GSIS 413 3,394.13 Due to PAG-IBIG 414 1,076.00 Due to PHILHEALTH 415 225.00 (1ST HALF) 1,997.80 Payment of Salaries and Wages thru Bank - VELOSO, LYNETTE SOCORRO B. FOR JANUARY 1-31, 2010 (1ST HALF) Jan 25 2010-01-002350 Salaries and Wages - Casual 705 3,074.50 Life and Retirement Insurance Contributions 731 737.88 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 75.00 ECC Contributions 734 61.49 Cash in Bank - Local Currency , Current Account 111 2,346.09 Due to GSIS 413 1,352.78 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 150.00 Payment of Salaries and Wages thru Bank - TABAR, SHERWIN B. FOR JANUARY 1-15, 2010 Jan 25 2010-01-002357 Salaries and Wages - Casual 705 90,344.17 Life and Retirement Insurance Contributions 731 16,059.12 PAG-IBIG Contributions 732 1,300.00 PHILHEALTH Contributions 733 1,587.50 ECC Contributions 734 1,276.20 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 42,431.82 5,494.78 Due to GSIS 413 43,777.96 Due to PAG-IBIG 414 15,687.43 Due to PHILHEALTH 415 3,175.00 Payment of Salaries and Wages thru Bank - CORTES, SERAPION JR. L. ET AL FOR JANUARY 1-31, 2010 (1ST HALF) Jan 25 2010-01-002365 Due to Officers and Employees 403 10,444.41 Cash in Bank - Local Currency , Current Account 111 8,461.87 Due to GSIS 413 1,607.54 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 175.00 Payment for Due to Officers and Employees - IMBO, RENALYN C. AS SALARY FOR DECEMBER 1-31, 2009 Jan 25 2010-01-002367 Salaries and Wages - Casual 705 13,233.08 Life and Retirement Insurance Contributions 731 2,634.24 PAG-IBIG Contributions 732 200.00 PHILHEALTH Contributions 733 262.50 ECC Contributions 734 192.04 Cash in Bank - Local Currency , Current Account 111 8,718.92 Due to BIR 412 1,172.79 Due to GSIS 413 5,490.85 Due to PAG-IBIG 414 614.30 Due to PHILHEALTH 415 525.00 Payment of Salaries and Wages thru Bank - STA. CRUZ, MEVELYN A. ET AL FOR JANUARY1-31, 2010 (1ST HALF) Jan 25 2010-01-002369 Salaries and Wages - Casual 705 6,814.79 Life and Retirement Insurance Contributions 731 1,443.12 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 150.00 ECC Contributions 734 100.00 Cash in Bank - Local Currency , Current Account 111 5,211.21 Due to BIR 412 271.24 Due to GSIS 413 2,625.46 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 300.00 Payment of Salaries and Wages thru Bank - ALCESTO, VICENTE G. FOR JANUARY 1-31, 2010 (1ST HALF) Jan 25 2010-01-002373 Salaries and Wages - Casual 705 7,373.61 Life and Retirement Insurance Contributions 731 1,443.12 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 150.00 ECC Contributions 734 100.00 Cash in Bank - Local Currency , Current Account 111 4,652.38 Due to GSIS 413 3,414.35 Due to PAG-IBIG 414 800.00 Due to PHILHEALTH 415 300.00 Payment of Salaries and Wages thru Bank - BORDADORA, NORA G. FOR JANUARY 1-31, 2009 (1ST HALF) Jan 25 2010-01-002380 Salaries and Wages - Regular 701 12,703.43 Life and Retirement Insurance Contributions 731 1,753.68 PAG-IBIG Contributions 732 200.00 PHILHEALTH Contributions 733 175.00 ECC Contributions 734 176.59 Cash in Bank - Local Currency , Current Account 111 5,733.00 Due to BIR 412 187.85 Due to GSIS 413 6,447.42 Due to PAG-IBIG 414 2,290.43 Due to PHILHEALTH 415 350.00 Payment of Salaries and Wages thru Bank - GARCES, JOHN ARPY M. ET AL FOR JANUARY 1-31, 2010 (1ST, 2ND, & 3RD WEEK) Jan 25 2010-01-002453 Salaries and Wages - Casual 705 4,606.47 Life and Retirement Insurance Contributions 731 737.88 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 75.00 ECC Contributions 734 95.37 Cash in Bank - Local Currency , Current Account 111 702.52 Due to BIR 412 177.06 Due to GSIS 413 2,075.55 Due to PAG-IBIG 414 1,009.59 Due to PHILHEALTH 415 150.00 Other Payables 439 1,500.00 Payment of Salaries and Wages thru Bank - SALDUA, RUDY G. ET AL FOR JANUARY 1-15, 2010 Jan 25 2010-01-002479 Due to BIR 412 Cash in Bank - Local Currency , Current Account 5,154.17 111 5,154.17 Refund of Excess Employees Taxes, Loans and Premiums - ARCILLA, LORDE L. ET AL AS EXCESS WITHOLDING TAX FOR 2009 Jan 25 2010-01-002495 Salaries and Wages - Casual 705 12,877.00 Life and Retirement Insurance Contributions 731 3,090.48 PAG-IBIG Contributions 732 400.00 PHILHEALTH Contributions 733 312.50 ECC Contributions 734 351.70 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 7,721.48 168.00 Due to GSIS 413 6,098.72 Due to PAG-IBIG 414 2,418.48 Due to PHILHEALTH 415 625.00 Payment of Salaries and Wages thru Bank - ALMARIO, ERNESTO T. ET AL FOR JANUARY 1-15, 2010 Jan 25 2010-01-002501 Due to BIR 412 Cash in Bank - Local Currency , Current Account 111 13,949.45 13,949.45 Refund of Excess Employees Taxes, Loans and Premiums - ALMARIO, EDUARDO T. ET AL AS EXCESS WITHOLDING TAX FOR 2009 Jan 25 2010-01-002506 Salaries and Wages - Casual 705 12,958.77 Life and Retirement Insurance Contributions 731 2,770.68 PAG-IBIG Contributions 732 300.00 PHILHEALTH Contributions 733 262.50 ECC Contributions 734 230.89 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 188.00 Due to GSIS 413 5,079.58 Due to PAG-IBIG 414 600.00 415 525.00 Due to PHILHEALTH 10,130.26 Payment of Salaries and Wages thru Bank - CASAGAN, LOUIS HENDERSON T. ET AL FOR JANUARY 1-31, 20010 (1ST HALF) Jan 25 2010-01-002509 Salaries and Wages - Casual 705 10,236.52 Life and Retirement Insurance Contributions 731 1,753.68 PAG-IBIG Contributions 732 200.00 PHILHEALTH Contributions 733 175.00 ECC Contributions 734 146.14 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 375.70 Due to GSIS 413 6,317.64 Due to PAG-IBIG 414 1,090.51 415 350.00 Due to PHILHEALTH 4,377.49 Payment of Salaries and Wages thru Bank - PESQUERA, VIVIAN G. ET AL FOR JANUARY 1-31, 2009 (1ST HALF) Jan 25 2010-01-002512 Salaries and Wages - Regular 701 4,031.50 Life and Retirement Insurance Contributions 731 967.56 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 100.00 ECC Contributions 734 91.20 Cash in Bank - Local Currency , Current Account 111 19.75 Due to BIR 412 307.00 Due to GSIS 413 3,063.51 Due to PAG-IBIG 414 1,200.00 Due to PHILHEALTH 415 200.00 Other Payables 439 500.00 Payment of Salaries and Wages thru Bank - PRAJES, ROQUE SR. V. FOR JANUARY 1-15, 2010 Jan 25 2010-01-002522 Salaries and Wages - Casual 705 7,020.00 Life and Retirement Insurance Contributions 731 1,684.80 PAG-IBIG Contributions 732 200.00 PHILHEALTH Contributions 733 162.50 ECC Contributions 734 140.40 Cash in Bank - Local Currency , Current Account 111 3,893.90 Due to GSIS 413 3,088.80 Due to PAG-IBIG 414 400.00 Due to PHILHEALTH 415 325.00 Other Payables 439 1,500.00 Payment of Salaries and Wages thru Bank - ALOLOD, MARIVIC G. ET AL.FOR JANUARY 1-15, 2010 Jan 25 2010-01-002540 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 9,880.00 111 9,830.00 Prior Years' Adjustments 684 50.00 Payment for Due to Officers and Employees - ALCANTARA, HENRY C. ET AL AS TRAVELLING EXPENSES FOR OCTOBER 1-30, 2009 ACCOUNT 684: MAGALLON P50.00 Jan 25 2010-01-002542 Due to Officers and Employees 403 4,956.03 Cash in Bank - Local Currency , Current Account 111 3,783.16 Due to BIR 412 657.02 Prior Years' Adjustments 684 515.85 Payment for Due to Officers and Employees - GAGANI, EDWIN C. ET AL AS OVERTIME PAY FOR NOVEMBER, 2009 ACCOUNT 684: ======== Jan 25 2010-01-002854 Due from Other Funds 144 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment for Due to Officers and Employees - ARITA, LEAH B. AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 25 2010-01-002971 Due to Officers and Employees 403 1,320.00 Cash in Bank - Local Currency , Current Account 111 1,260.00 Prior Years' Adjustments 684 60.00 Payment for Due to Officers and Employees - MAKINANO, WILHELMINA V. AS TRAVELLING ALLOWANCE FOR DECEMBER, 2009 Jan 25 2010-01-002975 Salaries and Wages - Casual 705 6,149.00 Life and Retirement Insurance Contributions 731 1,475.76 PAG-IBIG Contributions 732 200.00 PHILHEALTH Contributions 733 150.00 ECC Contributions 734 122.98 Cash in Bank - Local Currency , Current Account 111 4,692.18 Due to GSIS 413 2,705.56 Due to PAG-IBIG 414 400.00 Due to PHILHEALTH 415 300.00 Payment of Salaries and Wages thru Bank - BONTILAO, GLENN G. ET.AL FOR JANUARY 1-15, 2009 Jan 25 2010-01-002981 Salaries and Wages - Regular GILDARDO J. 701 20,282.48 Life and Retirement Insurance Contributions 731 2,910.24 PAG-IBIG Contributions 732 300.00 PHILHEALTH Contributions 733 287.50 ECC Contributions 734 373.89 Cash in Bank - Local Currency , Current Account 111 11,910.00 Due to BIR 412 334.64 Due to GSIS 413 8,433.49 Due to PAG-IBIG 414 2,900.98 Due to PHILHEALTH 415 575.00 Payment of Salaries and Wages thru Bank - DEL ROSARIO, DYLAN P. ET AL FOR JANUARY 1-31, 2010 (1ST, 2ND & 3RD WEEK) EDWIN C. GAGANI P515.85 Jan 25 2010-01-002993 Salaries and Wages - Regular 701 8,235.82 Life and Retirement Insurance Contributions 731 1,219.20 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 125.00 ECC Contributions 734 100.00 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 561.42 Due to GSIS 413 2,283.60 Due to PAG-IBIG 414 412.00 Due to PHILHEALTH 415 250.00 439 500.00 Other Payables 5,773.00 Payment of Salaries and Wages thru Bank - CAÑETE, LEONIDA F. FOR JANUARY 1-31, 2010 (1ST, 2ND & 3RD WEEK) Jan 25 2010-01-002998 Salaries and Wages - Casual 705 3,653.50 Life and Retirement Insurance Contributions 731 876.84 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 87.50 ECC Contributions 734 73.07 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 245.23 Due to GSIS 413 1,607.54 Due to PAG-IBIG 414 1,001.00 415 175.00 Due to PHILHEALTH 1,762.14 Payment of Salaries and Wages thru Ban k -YNION, JOEFEL P. FOR JANUARY 1-15, 2010 Jan 25 2010-01-003003 Salaries and Wages - Casual 705 3,920.06 Life and Retirement Insurance Contributions 731 876.84 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 87.50 ECC Contributions 734 113.33 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 2,196.94 189.10 Due to GSIS 413 2,336.69 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 175.00 Payment of Salaries and Wages thru Bank - ZAPANTA, FELIXBERTO M. FOR JANUARY 1-31, 2010 (1ST HALF) 1ST HALF Jan 25 2010-01-003005 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment for Due to Officers and Employees - ALAYRE, ROGELIOP R. AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009 (TOURISM) Jan 26 2010-01-000472 Other Maintenance and Other Operating Expenses 969 500.00 Cash in Bank - Local Currency , Current Account 111 500.00 Payment for Taxes, Premiums and Other Fees - LBP - PLAZA BARANCH FOR CREDIT TO THE ACCOUNT OF B. I. R. ANNUAL REGISTRATION FEE FOR THE CALENDAR YEAR 2010 WITH PAYMENT FORM 0605. Ck#698019 Jan 26 2010-01-000477 Due to LGUs 418 3,500.00 Cash in Bank - Local Currency , Current Account 111 3,500.00 Payment for Inter-Agency Payable - BARANGAY BINALIW FINANCIAL ASSISTANCE FOR THEIR CHRISTMAS PARTY CELEBRATION LAST DECEMBER 15, 2009 HELD AT JOVEN'S GRILL Ck#116250 Jan 26 2010-01-000478 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Jan 26 401 Cash in Bank - Local Currency , Current Account Jan 26 2010-01-000490 Accounts Payable 26 26 26 554,925.00 111 401 Cash in Bank - Local Currency , Current Account Jan 28,392.85 520,242.18 412 34,682.82 Payment for Accounts Payable - GIEMACH TRADING / CFG - TBA DISTRIBUTION PAYMENT FOR 6 PCS. TIRE WITH FLAPS AND TUBE AND OTHER SUPPLIES CHECK # 116261: CTV # 899: P510, 810.15 - GIEMACH TRADING / CFG - TBA DISTRIBUTORS. CHECK # 116262: CTV # 900: P 9 2010-01-000498 Accounts Payable Due to BIR 30,000.00 111 401 Cash in Bank - Local Currency , Current Account Jan 30,285.72 412 1,607.15 Payment for Other Maintenance and Other Operating Expenses - ANGEL'S SPORTS WEAR FOR THE PAYMENT OF 200 T - SHIRT WITHOUT COLLAR YELLOW COLOR WITH LOGO OF BARANGAY CALAMBA. CHECK # 116257: CTV # 895: P27, 980.35 - ANGELS SPORTS WEAR. CHECK # 116258: 2010-01-000494 Accounts Payable Due to BIR 32,000.00 111 401 Due to BIR 8,452.50 412 1,714.28 Payment for Accounts Payable - R. ROBINS BUILDERS SUPPLY TO PAYMENT OF 100 PCS. MONOBLOCK CHAIRS WITH BACKREST FOR THE USE OF PERSONS WITH DISABILITY (PWD). NOTE: CHECK # 116253: CTV # 891: P29,714.29 - R. ROBINS BUILDERS SUPPLY. CHECK Cash in Bank - Local Currency , Current Account Jan 111 412 563.50 Payment for Other Maintenance and Other Operating Expenses - PORT SEAFOOD RESTAURANT TO PAYMENT FOR 35 PAX LUNCH GRILLED FOOD DURING THE VISIT OF THE MAYOR OF YEOSU CITY, KOREA NOTE: CHECK # 116251: CTV # 889: P8, 251.25 - PORT SEAFOOD RESTAURANT. 2010-01-000482 Accounts Payable Due to BIR 9,016.00 19,200.00 111 18,240.00 412 960.00 Payment for Other Maintenance and Other Operating Expenses - LOLA MARY'S CATERING SERVICES FOR THE PAYMENT OF FOODS FOR BARANGAY HIRING ON SEPTEMBER 26, 2009. CHECK # 116263: CTV # 901: P17, 760.00 - LOLA MARY'S CATERING SERCVICES. CHECK # 116264: CTV 2010-01-000499 Due to Officers and Employees 403 3,134.54 Cash in Bank - Local Currency , Current Account 111 2,366.35 Due to GSIS 413 493.19 Due to PAG-IBIG 414 100.00 Due to PHILHEALTH 415 175.00 Payment for Due to Officers and Employees - JAY C. NAYON, SR. FOR PAYMENT OF SALARY FOR NOVEMBER 20 - 30, 2009. Jan 26 2010-01-000508 Due to Officers and Employees 403 Ck#116265 979,736.51 Cash in Bank - Local Currency , Current Account 111 949,129.40 Other Payables 439 16,912.47 Prior Years' Adjustments 684 13,694.64 Payment for Due to Officers and Employees - LORENA A. CARCEDO PAYMENT OF RETIREMENT GRATUITY EFFECTIVE MAY 16, 2009. Ck#116266 Jan 26 2010-01-000512 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 111 147,200.00 138,431.10 Due to BIR Other Payables Jan 26 412 7,885.70 439 883.20 Payment for Repairs and Maintenance of Office Equipment and Furniture and Fixtures - EMCOR 2 UNITS AIRCONDITIONER FLOOR MOUNTED / SPLIT TYPE (FIVE TONER AIRCONDITIONER) (KFG - 70F - 1). CHECK # 242164: CTV # 905: P135, 487.10 - EMCOR. CHECK # 242165: C 2010-01-000515 Performance/Bidders/Bail Bonds Payable 427 6,637.50 Cash in Bank - Local Currency , Current Account 111 6,637.50 Refund of Performance Bond to Contractor - BEROVAN MARKETING, INC. TO WITHDRAW PERFORMANCE BOND P. R. NO.: 09 - 064 UNDER O. R. NO. 9112975 DTD. 06/25/2009. Ck#242167 Jan 26 2010-01-000517 Performance/Bidders/Bail Bonds Payable 427 14,962.55 Cash in Bank - Local Currency , Current Account 111 14,962.55 Refund of Performance Bond to Contractor - BEROVAN MARKETING, INC. TO WITHDRAW PERFORMANCE BOND 07/06/2009 Ck#242168 Jan 26 2010-01-000520 Performance/Bidders/Bail Bonds Payable 427 P. R. NO.: 09 - 413 UNDER O. R. NO. 9135010 DTD. 50.94 Cash in Bank - Local Currency , Current Account 111 50.94 Refund of Performance Bond to Contractor - CEBU D & F ENTERPRISES TO WITHDRAW PERFORMANCE BOND P. R. NO.: 09 - 600 UNDER O. R. NO. 9177468 DTD. 07/15/2009. Ck#242169 Jan 26 2010-01-000539 Performance/Bidders/Bail Bonds Payable 427 2,065.00 Cash in Bank - Local Currency , Current Account 111 2,065.00 Refund of Performance Bond to Contractor - INFOCOM TECH., INC. TO WITHDRAW PERFORMANCE BOND P. R. NO.: 09 - 089 UNDER O. R. NO. 9366567 DTD. 09/18/2009. (RECOREDED UNDER ACCOUNT 427-002) Ck#242170 Jan 26 2010-01-000540 Performance/Bidders/Bail Bonds Payable 427 10,848.45 Cash in Bank - Local Currency , Current Account 111 10,848.45 Refund of Performance Bond to Contractor - BEROVAN MARKETING, INC. TO WITHDRAW PERFORMANCE BOND P. R. NO.: 09 - 246 UNDER O. R. NO. 9145400 DTD. 06/30/2009 Ck#242171 Jan 26 2010-01-000541 Performance/Bidders/Bail Bonds Payable 427 1,992.00 Cash in Bank - Local Currency , Current Account 111 1,992.00 Refund of Performance Bond to Contractor - BEROVAN MARKETING, INC. TO WITHDRAW PERFORMANCE BOND P. R. NO.: 09 - 648 UNDER O. R. NO. 9247385 DTD. 08/27/2009 Ck#242172 Jan 26 2010-01-000542 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 57,753.80 111 57,753.80 Refund of Performance Bond to Contractor - berovan marketing, inc. to withdraw performance bond p. r. no.: 09 - 133 under o. r. no. 9112379 dtd. 06/19/2009 Ck#242173 Jan 26 2010-01-000543 Performance/Bidders/Bail Bonds Payable 427 13,958.00 Cash in Bank - Local Currency , Current Account 111 13,958.00 Refund of Performance Bond to Contractor - BEROVAN MARKETING, INC. TO WITHDRAW PERFORMANCE BOND P. R. NO.: 09 - 588 UNDER O. R. NO. 9203046 DTD.07/30/2009. Ck#242174 Jan 26 2010-01-000544 Due to Officers and Employees 403 10,444.41 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 8,274.02 187.85 Due to GSIS 413 1,607.54 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 175.00 Payment for Due to Officers and Employees - ESPINOSA, JUNAMAR E. TO PAYMENT 1ST SALARY FOR DECEMBER 1 - 31, 2009. Ck#242176 Jan 26 2010-01-000545 Due to LGUs 418 Cash in Bank - Local Currency , Current Account 27,200.00 111 27,200.00 Payment for Inter-Agency Payable - BARANGAY KAMPUTHAW FINANCIAL AIDE FOR CLEAN & GREEN PROGRAM FOR THE PERIOD JULY - AUGUST, 2009. Ck#242177 Jan 26 2010-01-000546 Due to LGUs 418 Cash in Bank - Local Currency , Current Account 40,800.00 111 40,800.00 Payment for Inter-Agency Payable BARANGAY KAMPUTHAW FINANCIAL AIDE FOR CLEAN & GREEN PROGRAM FOR THE PERIOD OF JANUARY - MARCH, 2009. Ck#242178 Jan 26 2010-01-000549 Prior Years' Adjustments 684 120,000.00 Cash in Bank - Local Currency , Current Account 111 120,000.00 Grant of Subsidies and Donations - BARANGAY KALUBIHAN FOR THE PAYMENT OF CLEAN & GREEN (GARBAGE COLLECTION) PROJECT PERSONNEL AS CITY FINANCIAL ASSISTANCE OF BARANGAY KALUBIHAN, C. C. PERIOD COVERED MAY - DECEMBER, 2007. Ck#242179 Jan 26 2010-01-000550 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Grant of Subsidies and Donations - MA. LUZ V. ARANAS FOR PAYMENT OF BURIAL ASSISTANCE. Ck#242181 Jan 26 2010-01-000552 Due from Officers and Employees 123 480.00 Cash in Bank - Local Currency , Current Account 111 480.00 Payment / Reimbursement of Travelling Expenses - JOSEPHINE Y. PAKSON REIMBURSEMENT OF OVER PAYMENT TO LIQUIDATION OF C. A. - TRAVEL PER OR # 9358751 DTD. 09/18/2009. Ck#242182 Jan 26 2010-01-000553 Due to Officers and Employees 403 1,800.00 Cash in Bank - Local Currency , Current Account 111 1,800.00 Payment for Communication Expenses - RAMON P. MONDERO AS REIMBURSEMENT OF COMMUNICATION SERVICES FOR THE PERIOD OCTOBER 19 - NOVEMBER 18, 2009. Ck#242183 Jan 26 2010-01-000557 Due to Other NGAs 416 Cash in Bank - Local Currency , Current Account Due to BIR Jan 26 10,000.00 111 9,000.00 412 1,000.00 Payment for Professional Services - ATTORNEY EDWIN O. CADUNGOG TO PAYMENT FOR ALLOWANCE AS ELECTION OFFICER FOR THE MONTH OF NOVEMBER DECEMBER, 2009. Ck#242185 2010-01-000559 Extraordinary Expenses 883 31,584.00 Cash in Bank - Local Currency , Current Account 111 31,584.00 Payment / Reimbursement for Miscellaneous, Extra-ordinary / Confidential Expenses - BARANGAY MAMBALING FINANCIAL ASSISTANCE TO BARANGAY MAMBALING FOR THEIR ANNUAL BARANGAY SINULOG MARDIGRAS CELEBRATION ON JANUARY 31, 2010. Ck#242186 Jan 26 2010-01-000562 Accounts Payable 401 111 1,185,445.55 Due to BIR 412 67,385.50 Other Payables Jan 26 1,257,862.50 Cash in Bank - Local Currency , Current Account 439 5,031.45 Payment for Purchase of Inventories, Supplies and Materials Directly Issued to End-User - BEROVAN MARKETING, INC. FOR 1000 VIALS ANTIBIOTICS CEFTRIAXONE 1 GM EFEKTON ETC. PER P. O. #582 DATED MAY 22, 2009. CHECK # 712679: CTV # 935: P 1,170,445.55 - B 2010-01-000563 Due to Officers and Employees 403 80,800.85 Cash in Bank - Local Currency , Current Account 111 42,347.00 Due to GSIS 413 38,453.85 Payment for Due to Officers and Employees - DELANAIE U. RAZA AS TERMINAL PAY FOR 84.218 DAYS FOR THE PERIOD OF MAY 1, 2008 - JULY 24, 2008. Ck#712681 Jan 26 2010-01-000568 Other Payables 439 Cash in Bank - Local Currency , Current Account Due to BIR Jan 26 217,370.00 111 203,784.37 412 13,585.63 Payment for Other Liabilities - ONE STOP TOWING SERVICES PAYMENT OF TOWING FEE FROM OCTOBER 05 - 10, 2009. CHECK # 703690: CTV # 943: P 199, 824.37 - ONE STOP TOWING SERVIC ES. CHECK # 703691: CTV # 944: P 3, 960.00 - CEBU CITY TREASURER. Ck 2010-01-000571 Due to Officers and Employees 403 6,234.92 Cash in Bank - Local Currency , Current Account 111 5,044.97 Due to GSIS 413 922.25 Due to PAG-IBIG 414 167.70 Due to PHILHEALTH 415 100.00 Payment for Due to Officers and Employees - jurvic b. gulane payment of first salary for december 14 - 31, 2009. Ck#712682 Jan 26 2010-01-000700 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 2,500.00 111 2,500.00 Payment for Communication Expenses - FAUSTINO TIBON REIMBURSEMENT FOR PAYMENT OF COMMUNICATION SERVICES FOR SEPT. 24 TO OCT. 23, 2009. Ck#210625 Jan 26 2010-01-000707 Due to Other NGAs 416 7,200.00 Cash in Bank - Local Currency , Current Account 111 7,200.00 Payment for Training Expenses- REGATA VII TO PAYMENT OF REGISTRATION FEE FOR THE YEAR END GENERAL ASSEMBLY AND PRE-PLANNING CONFERENCE ON DEC. 8-10, 2009. Ck#241679 Jan 26 2010-01-000712 Accounts Payable 401 111 6,790.07 Due to BIR 412 407.13 Performance/Bidders/Bail Bonds Payable 427 380.00 Other Payables Jan 26 439 22.80 Payment for Accounts Payable - NG KHAI DEVELOPMENT CORP. TO PAYMENT OF 1 SET H DESIGN JET 500PS. CHECK NO. 241833 CTV NO. 17120 = P6,154.36 - NG KHAI DEV. CORP. CHECK NO. 241834 CTV NO. 17121 = 635.71 - CEBU CITY TREASURER - FOR PAYMENT OF LOC 2010-01-000716 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Jan 26 2010-01-000724 Accounts Payable 401 Due to BIR 26 30,527.13 219,725.00 111 207,954.02 412 11,770.98 Payment for Accounts Payable- R. ROBINS BUILDERS SUPPLY TO PAYMENT OF VARIOUS CONSTRUCTION MATERIALS. CHECK NO. 242093 CTV NO. 558 = P204,030.36 R. ROBINS BUILDERS SUPPLY CHECK NO. 242094 CTV NO. 559 = 3,923.66 - CEBU CITY TREASURER - FOR PA 2010-01-000728 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR 32,255.08 111 412 1,727.95 Payment for Accounts Payable- OF R. ROBINS BUILDERS SUPPLY TO PAYMENT OF 20 PCS. BULB 100 WATTS AND OTHER ITEMS. CHECK NO. 116058 CTV NO. 246 = P29,951.15 - R. ROBINS BUILDERS SUPPLY CHECK NO. 116059 CTV NO. 247 = 575.98 - CEBU CITY TREAS Cash in Bank - Local Currency , Current Account Jan 7,600.00 Cash in Bank - Local Currency , Current Account 111 68,710.00 65,029.12 412 3,680.88 Payment for Accounts Payable - R. ROBINS BUILDERS SUPPLY TO PAYMENT OF 3600 PCS. EMPTY GANADOR SACK AND OTHER ITEMS. CHECK NO. 116060 CTV NO. 248 = P63,802.16 - R. ROBINS BUILDERS CHECK NO. 116061 CTV NO. 249 = 1,226.96 - CEBU CITY TREASURER - F Jan 26 2010-01-000729 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 2,000.00 111 2,000.00 Payment for Communication Expenses- ELEAZAR R. LIPANG REIMBURSEMENT FOR PAYMENT OF COMMUNICATION SERVICES FOR NOV. 1 TO DEC. 31, 2009. Ck#116084 Jan 26 2010-01-000746 Performance/Bidders/Bail Bonds Payable 427 498.95 Cash in Bank - Local Currency , Current Account 111 498.95 Refund of Performance Bond to Contractor- CEBU D & F ENTERPRISES TO REFUND THE PERFORMANCE BOND UNDER OFFICIAL RECIEPT # 9078460 DATED 06/11/09 (NOTE: TAKEN UP UNDER ACCT. 427-002) Ck#116100 Jan 26 2010-01-000749 Due to Other NGAs 416 54,000.00 Cash in Bank - Local Currency , Current Account 111 54,000.00 Payment for Training Expenses- REGATA PAYMENT OF REGISTRATION FEE FOR BLGF YEAR END ASSEMBLY AND PRE-PLANNING CONFERENCE ON DEC. 8 - 10, 2009. Ck#116103 Jan 26 2010-01-000753 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Jan 26 121,340.00 111 114,839.65 412 6,500.35 Payment for Accounts Payable - R. ROBINS BUILDERS SUPPLY TO PAYMENT OF VARIOUS CONSTRUCTION MATERIALS AND OTHER ITEMS. CHECK NO. 116170 CTV NO. 460 = P112,672.86 - R. ROBINS BUILDERS CHECK NO. 116171 CTV NO. 461 = 2,166.79 - CEBU CITY TREASURER 2010-01-000755 Prior Years' Adjustments 684 264,425.00 Cash in Bank - Local Currency , Current Account 111 237,038.12 Due to BIR 412 14,165.63 Performance/Bidders/Bail Bonds Payable 427 13,221.25 Payment for Other Maintenance and Other Operating Expenses- CEBU FAR EASTER DRUG INC. TO PAYMENT OF 1 UNIT DO METER, PORTABLE DIRECT TESTING AND OTHER ITEMS. CHECK NO. 116172 CTV NO. 462 - P232,316.24 - CEBU FAR EASTERN CHECK NO. 116173 CTV NO. 46 Jan 26 2010-01-000766 Representation Allowance (RA) Transportation Allowance (TA) 713 5,500.00 714 5,500.00 Cash in Bank - Local Currency , Current Account 111 11,000.00 Payment of Allowances, Bonus and Other Compensation - LYNDON B. J. BASAN TO PAYMENT OF REPRESENTATION AND TRANSPORTATION ALLOWANCE FOR JANUARY 2010. Ck#116192 Jan 26 2010-01-000777 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Jan 26 26 389,025.26 412 22,020.29 Payment for Accounts Payable - GALLEGO'S MERCHANDISING TO PAYMENT OF 10,289 LITERS OF DIESOLINE . CHECK NO. 698964 CTV NO. 17400 GALLEGO'S MERCHANDISING CHECK NO. 698965 CTV NO. 17900-A = 6,600.00 - CEBU CITY TREASURER - F 2010-01-000783 Accounts Payable 401 = P382,425.26 - 1,180.00 Cash in Bank - Local Currency , Current Account 111 1,109.71 Due to BIR 412 63.21 Other Payables Jan 411,045.55 111 439 7.08 Payment for Accounts Payable - R. ROBINS BUILDERS SUPPLY TO PAYMENT OF PURCHASED OF FLOOD LIGHT. CHECK NO. 703171 CTV NO. 411 - P1,088.64 - R. ROBINS BUILDERS CHECK NO. 703172 CTV NO. 412 21.07 - CEBU CITY TREASURER - FOR PAYMENT OF LOCAL T 2010-01-000812 Accounts Payable 401 88,380.00 Cash in Bank - Local Currency , Current Account 111 83,645.35 Due to BIR 412 4,734.65 Payment for Accounts Payable - ASIAN HOME APPLIANCE CENTER TO PAYMENT OF4 PCS OF FREESTANDING COOKER WITH 4 GAS BURNER AND OTHE R ITEMS. CHECK NO. 697927 CTV NO. 17463 - P82,067.14 - ASIAN HOME APPLIANCE CENTER CHECK NO. 697928 CTV NO. 17464 - 1, Jan 26 2010-01-000813 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 1,000.00 111 1,000.00 Payment for Communication Expenses- HENRY TUMALABCAD REIMBURSEMENT FOR PAYMENT OF CELLULAR PHONE BILL FOR OCT. 10, TO NOV. 9, 2009. Ck#116085 Jan 26 2010-01-000815 Accounts Payable 401 111 27,932.15 Due to BIR 412 1,767.85 Other Payables Jan 26 26 439 3,300.00 Payment for Accounts Payable- IHRAN ENTERPISES TO PAYMENT OF SPARE PARTS. CHECK NO. 116159 CTV NO. 449 - P27,519.65 - IHRAN ENTERPRISES CHECK NO. 116160 CTV NO. 450 412.50 - CEBU CITY TREASURER - FOR PAYMENT OF LOCAL TAX 2010-01-000817 Prior Years' Adjustments 684 111 53,604.32 Due to BIR 412 3,392.68 439 6,333.00 Payment for Accounts Payable- CEBU STAR SALES TO PAYMENT OF 25 PCS. USB FLASH DRIVE 8 GB AND OTHER ITEMS. CHECK NO. 116161 CTV NO. 451 - P52,473.43 CEBU STAR SALES CHECK NO. 116162 CTV NO. 452 1,130.89 - CEBU CITY TREASURER - FOR PAYMENT OF L 2010-01-000824 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Jan 26 63,330.00 Cash in Bank - Local Currency , Current Account Other Payables Jan 33,000.00 Cash in Bank - Local Currency , Current Account 105,354.75 111 98,770.09 412 6,584.66 Payment for Accounts Payable- STATEGIC SYNERGY INC. PAYMENT OF MAINTENANCE SERVICE ON IBM AS/400 ISERIES COMPUTER FOR AUG. TO OCT. 2009 CHECK NO. 116204 CTV NO. 608 - P96,790.09 - STRATEGIC SYNERGY INC. CHECK NO. 116205 CTV NO. 609 - 1,980.00 - 2010-01-000825 Due to Officers and Employees 403 15,000.00 Cash in Bank - Local Currency , Current Account 111 13,500.00 Due to BIR 412 1,500.00 Payment for Professional Services - VALERIANO S. AVILA TO PAYMENT FOR JULY 2009. Ck#241956 Jan 26 2010-01-000830 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 1,500.00 111 1,500.00 Payment for Accounts Payable- DONNA MAE NUEVO TO PAYMENT OF HONORARIUM FOR OCT. 23-25, 2009. Ck#675845 Jan 26 2010-01-000834 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 2,500.00 111 2,500.00 Payment for Accounts Payable- FATIMA TUDTUD TO PAYMENT OF HONORARIUM FOR OCT. 23-25, 2009. Ck#675846 Jan 26 2010-01-000836 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Jan 26 47,700.00 111 45,144.65 412 2,555.35 Cash Purchase of Property, Plant and Equipment- NUTECH MARKETING PAYMENT OF ALTEC LANSING SPEAKER AND LCD PROJECTOR EPSON EB-X7. CHECK NO. 703104 CTV NO. 15673 - P44,292.87 - NUTECH MARKETING CHECK NO. 703102 CTV NO. 15674 851.78 - CEB 2010-01-000840 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 111 19,721.40 19,721.40 Refund of Performance Bond to Contractor - NG KHAI DEV. CORP. TO REFUND THE PERFORMANCE BOND UNDER PAV # 1497 DATED JAN. 26,2009. Ck#703165 Jan 26 2010-01-000841 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 975.00 111 975.00 Payment for Communication Expenses - CARLO GIMENA REIMBURSEMENT FOR PAYMENT OF MONTHLY CELLULAR PHONE BILL FOR OCT.14 TO NOV. 6, 2009. Ck#703680 Jan 26 2010-01-000847 Due from Officers and Employees Accounts Payable 123 35.00 401 13,500.00 Cash in Bank - Local Currency , Current Account 111 13,535.00 Cash Purchase of Property, Plant and Equipment- LEILANI B. DEL VECHHIO TO FINAL AYMENT OF A PARCEL OF LAND LOCATED IN BRGY. GUADALUPE WHICH IS USED AS ROAD-RIGHT OF WAY LINKING GAUDALUPE AND LAHUG. CHECK NO. 619544 CTV NO. 13506 - 10/12/2009 = P13,145 Jan 26 2010-01-000853 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Medical and Burial Assistance- PORFERIA ALDAVE PAYMENT OF BURIAL ASSISTANCE . Ck#209468 Jan 26 2010-01-000855 Accounts Payable 401 10,000.00 Cash in Bank - Local Currency , Current Account 111 9,375.00 Due to BIR 412 625.00 Payment of Medical and Burial Assistance - CEBU DOCTORS HOSPITAL PAYMENT OF HOSPITAL BILL OF REGINA MERCEDES LINGAOLINGAO. Ck#209601 Jan 26 2010-01-000859 Due to Other NGAs 416 2,904.09 Cash in Bank - Local Currency , Current Account 111 2,904.09 Payment for Communication Expenses - NICOMEDES S. LEONOR JR. REIMBURSEMENT FOR PAYMENT OF COMMUNICATION SERVICES FOR APRIL 10 TO MAY 9, 2009. Ck#210641 Jan 26 2010-01-000862 Due to LGUs 418 Cash in Bank - Local Currency , Current Account 12,000.00 111 12,000.00 Payment for Inter-Agency Payable - BARANGAY KALUNASAN Jan 26 2010-01-000869 Accounts Payable 401 PAYMENT OF ANNUAL INTER BARANGAY BASKETBALL TOURNAMENT CY 2009. Ck#210700 16,500.00 Cash in Bank - Local Currency , Current Account 111 15,675.00 Due to BIR 412 825.00 Payment for Accounts Payable - GENE'S LECHON & FOODSHOPPE TO PAYMENT OF 100 PACKS AM SNACKS AND 100 PAX LUNCH BUFFET. Ck#210777 Jan 26 2010-01-000870 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Medical and Burial Assistance - ANN MARY PIL TO PAYMENT OF MEDICAL ASSISTANCE. Ck#210702 Jan 26 2010-01-000873 Due to Officers and Employees 403 30,000.00 Cash in Bank - Local Currency , Current Account 111 27,000.00 Due to BIR 412 3,000.00 Payment for Professional Services- VALERIANO S. AVILA CONSULTANCY FEE FOR AUGUST TO SEPTEMBER 2009. Ck#210834 Jan 26 2010-01-000877 Salaries and Wages - Regular 701 18,054.86 Life and Retirement Insurance Contributions 731 3,351.72 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 337.50 ECC Contributions 734 100.00 Cash in Bank - Local Currency , Current Account 111 9,877.00 Due to BIR 412 3,500.00 Due to GSIS 413 5,965.51 Due to PAG-IBIG 414 1,926.57 Due to PHILHEALTH 415 675.00 Payment of Salaries and Wages thru Bank - FRANCISCO L. FERNANDEZ TO PAYMENT FOR JAN. 1-31, 2010. (1ST & 2ND WEEK) Ck#210885 Jan 26 2010-01-000879 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 9,876.14 711 2,000.00 111 11,876.14 Payment of Salaries and Wages thru Bank - FRANCISCO L. FERNANDEZ TO PAYMENT FOR JAN. 1-31, 2010 (3RD AND 4TH WEEK) Ck#210886 Jan 26 2010-01-000883 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Jan 26 200,000.00 111 189,285.72 412 10,714.28 Cash Purchase of Property, Plant and Equipment-NUTECH MARKETING PAYMENT OF FIVE(5) UNITS DESKTOP COMPUTER . CHECK NO. 239182 CTV NO. 11851 P185,714.29 - NUTECH MARKETING CHECK NO. 239183 CTV NO. 11852 3,571.43 - CEBU CITY TREASURER - FOR PA 2010-01-000885 Accounts Payable 401 3,000.00 Cash in Bank - Local Currency , Current Account 111 2,812.50 Due to BIR 412 187.50 Payment of Medical and Burial Assistance - CEBU DOCTOR'S UNIVERSITY HOSPITAL TO PAYMENT OF HOSPITAL BILL OF EDITHA VERGARA Ck#239520 Jan 26 2010-01-000886 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Jan 26 26 38,178.93 412 2,161.07 Payment for Purchase of Inventories, Supplies and Materials Directly Issued to End-User- CHEMTRUST INDUSTRIAL SALES TO PAYMENT OF 8 BOTTLES CITRO BLAST AND OTHER ITEMS. CHECK NO. 241704 CTV NO. 16769 - P37,458.57 - CHEMTRUST INDUSTRIAL CHECK NO. 24 2010-01-000887 Accounts Payable 401 785,400.00 Cash in Bank - Local Currency , Current Account 111 664,785.00 Due to BIR 412 42,075.00 Other Payables Jan 40,340.00 111 439 78,540.00 Payment for Accounts Payable - CENTRADE HARDWARE TO PAYMENT OF 3,300 BAGS OF PORTLAND CEMENT CHECK NO. 241815 CTV NO. 17071 - P652,266.25 CENTRADE HARDWARE CHECK NO. 241816 CTV NO. 17072 - 12,518.75 - CEBU CITY TREASURER - FOR PAYMENT OF LOC 2010-01-000888 Other Payables 439 92,250.00 Cash in Bank - Local Currency , Current Account 111 92,250.00 Refund of Performance Bond to Contractor- TOPMOST INTERNATIONAL TRADE INC. TO REFUND THE RETENTION / WARRANTY UNDER PAV # 15163 DATED 11/13/09 Ck#242017 Jan 26 2010-01-000889 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Jan 26 2010-01-001053 Due to Officers and Employees 399,248.80 111 377,860.46 412 21,388.34 Payment for Accounts Payable- CENTRADE HARDWARE CORPORATION PAYMENT OF VARIOUS CONSTRUCTION MATERIALS . CHECK NO. 242073 CTV NO. 355 P370,731.02 - CENTRADE HARDWARE CHECK NO. 242074 CTV NO. 356 7,129.44 - CEBU CITY TREASURER - FOR PAYMENT 403 2,016.00 Cash in Bank - Local Currency , Current Account 111 2,016.00 Payment for Due to Officers and Employees - LORENA A. CARCEDO TO PAYMENT OF YEAR END BONUS YR. 2009. Ck#241979 Jan 26 2010-01-001066 Due to Officers and Employees 403 164.02 Cash in Bank - Local Currency , Current Account 111 133.27 Due to GSIS 413 30.75 Payment for Due to Officers and Employees- ENRIQUE S. BIAÑO PAYMENT OF SALARY DIFFERENTIAL FOR OCT. 22-31, 2009. Ck#628040 Jan 26 2010-01-001067 Due to Officers and Employees 403 640.53 Cash in Bank - Local Currency , Current Account 111 520.43 Due to GSIS 413 120.10 Payment for Due to Officers and Employees - TESSIE NATALIA CANONO TO PAYMENT OF SALARY DIFFERRENTIAL FOR SEPT. 18 TO OCT. 31, 2009. Ck#628039 Jan 26 2010-01-001068 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 500.00 111 500.00 Payment for Due to Officers and Employees - BEULAH C. TUGAO Jan 26 2010-01-001069 Due to Officers and Employees 403 PAYMENT OF CASH INCENTIVE BONUS. Ck#116158 7,055.32 Cash in Bank - Local Currency , Current Account 111 6,942.61 Prior Years' Adjustments 684 112.71 Payment for Due to Officers and Employees -ALMONICAR SAUL TO PAYMENT OF SALARY FOR MAY 16-31, 2009. Ck#627789 Jan 26 2010-01-001086 Due to Officers and Employees 403 352.24 Cash in Bank - Local Currency , Current Account 111 286.19 Due to GSIS 413 66.05 Payment for Due to Officers and Employees- KENNETH CARMELITA M. ENRIQUEZ TO PAYMENT OF SALARY DIFFERENCE FROM NOV. 16-30, 2009. Ck#242058 Jan 26 2010-01-001095 Due to Officers and Employees 403 582.96 Cash in Bank - Local Currency , Current Account 111 473.65 Due to GSIS 413 109.31 Payment for Due to Officers and Employees- RAYMOND R. OGAN TO PAYMENT OF SALARY DIFFERENTIAL FOR JUNE 16 TO JULY 31, 2009. Ck#188531 Jan 26 2010-01-001096 Due to Officers and Employees 403 118.83 Cash in Bank - Local Currency , Current Account 111 96.56 Due to GSIS 413 22.27 Payment for Due to Officers and Employees- MONTEHERMOSO, ANDRES TO PAYMENT OF SALARY DIFFERENTIAL FOR OCT. 21-31, 2009. Ck#209928 Jan 26 2010-01-001162 Due to Officers and Employees 403 3,000.00 Cash in Bank - Local Currency , Current Account 111 2,100.00 Due to BIR 412 900.00 Payment for Due to Officers and Employees- VERONICA MORELOS TO PAYMENT OF HONORARIUM FOR MAY TO JULY 2009. Ck#210894 Jan 26 2010-01-002007 Due from Officers and Employees 123 Cash in Bank - Local Currency , Current Account 8,200.00 111 8,200.00 Grant of Cash Advance- ROSALINA C. UY FOR TRAVEL IN ILO-ILO CITY ON JAN. 28 TO 30, 2010. Ck#712677 Jan 26 2010-01-002199 Salaries and Wages - Casual 705 6,374.00 Life and Retirement Insurance Contributions 731 1,529.76 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 150.00 ECC Contributions 734 100.00 Cash in Bank - Local Currency , Current Account 111 3,952.41 Due to BIR 412 1,024.27 Due to GSIS 413 2,777.08 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 300.00 Payment of Salaries and Wages thru Bank - JAYME, IVY MAE E. FOR JANUARY 1-15, 2010 Jan 26 2010-01-002286 Other Personnel Benefits 749 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Allowances, Bonus and Other Compensation - MAGALLON, GILDARDO J. AS LOYALTY BONUS. Jan 26 2010-01-002289 Due to Officers and Employees 403 10,054.00 Cash in Bank - Local Currency , Current Account 111 8,191.93 Due to BIR 412 1,862.07 Payment for Due to Officers and Employees - CARUZCA, VINCENT A. ET AL AS OVERTIME PAY FOR DECEMBER, 2009. Jan 26 2010-01-002291 Salaries and Wages - Casual 705 1,199,819.83 Life and Retirement Insurance Contributions 731 268,239.12 PAG-IBIG Contributions 732 17,800.00 PHILHEALTH Contributions 733 27,262.50 ECC Contributions 734 31,682.34 Cash in Bank - Local Currency , Current Account 111 689,910.27 Due to BIR 412 116,033.54 Due to GSIS 413 584,217.23 Due to PAG-IBIG 414 93,117.75 Due to PHILHEALTH 415 54,525.00 Other Payables 439 7,000.00 Payment of Salaries and Wages thru Bank - ABASOLO, HERLIE PIA ET AL FOR JANUARY 1-31, 2010 (1ST HALF) Jan 26 2010-01-002292 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 1,140.00 111 1,140.00 Payment for Due to Officers and Employees - ATILLO, RODULFO JR B. AS TRAVELLING EXPENSES FOR DECEMBER, 2009. Jan 26 2010-01-002342 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 325.00 111 325.00 Payment for Due to Officers and Employees - ARITA, LEA B. as Subsistence & laundry allowance for DECEMBER, 2009 Jan 26 2010-01-002346 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 350.00 111 350.00 Payment for Due to Officers and Employees - ARITA, LEA B. as Subsistence & laundry allowance for SEPTEMBER, 2009 Jan 26 2010-01-002353 Due to Officers and Employees Cash in Bank - Local Currency , Current Account 403 111 350.00 350.00 Payment for Due to Officers and Employees - ARITA, LEA B. as Subsistence & laundry allowance for AUGUST, 2009 Jan 26 2010-01-002359 Salaries and Wages - Casual 705 57,877.00 Life and Retirement Insurance Contributions 731 13,890.48 PAG-IBIG Contributions 732 1,600.00 PHILHEALTH Contributions 733 1,387.50 ECC Contributions 734 1,655.28 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 943.27 Due to GSIS 413 25,963.62 Due to PAG-IBIG 414 3,200.00 415 2,775.00 Due to PHILHEALTH 43,528.37 Payment of Salaries and Wages thru Bank - ADLAWAN, TIBURCIO U. ET AL FOR JANUARY 1-15, 2010. Jan 26 2010-01-002362 Salaries and Wages - Casual 705 77,084.50 Life and Retirement Insurance Contributions 731 18,500.28 PAG-IBIG Contributions 732 2,300.00 PHILHEALTH Contributions 733 1,725.00 ECC Contributions 734 2,569.56 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 826.68 Due to GSIS 413 34,945.05 Due to PAG-IBIG 414 5,625.12 415 3,450.00 Due to PHILHEALTH 57,332.49 Payment of Salaries and Wages thru Bank - ALVARICO, JULITO C. ET AL FOR JANUARY 1-15, 2010 Jan 26 2010-01-002366 Due to BIR 412 Cash in Bank - Local Currency , Current Account 456.57 111 456.57 Refund of Excess Employees Taxes, Loans and Premiums - CAVALIDA, ESTELA O. AS EXCESS WITHHOLDING TAX FOR 2009. Jan 26 2010-01-002370 Due to Officers and Employees 403 11,117.48 Cash in Bank - Local Currency , Current Account 111 8,654.63 Due to GSIS 413 2,087.85 Due to PAG-IBIG 414 200.00 415 175.00 Due to PHILHEALTH Payment for Due to Officers and Employees - ARITA, LEA B. AS SALARY FOR NOVEMBER 1-30, 2009 Jan 26 2010-01-002374 Due to BIR 412 Cash in Bank - Local Currency , Current Account 8,337.87 111 8,337.87 Refund of Excess Employees Taxes, Loans and Premiums - CINCO, ESPERIDION G. ET AL AS EXCESS WITHHOLDING TAX FOR 2009. Jan 26 2010-01-002375 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 350.00 111 350.00 Payment for Due to Officers and Employees - ARITA, LEA B. AS SUBSISTENCE & LAUNDRY ALLOWANCE FOR NOVEMBER, 2009 Jan 26 2010-01-002376 Due to BIR 412 Cash in Bank - Local Currency , Current Account 111 3,343.70 3,343.70 Refund of Excess Employees Taxes, Loans and Premiums - ALCESTO, VICENTE G. ET AL AS EXCESS WITHHOLDING TAX FOR 2009. Jan 26 2010-01-002377 Salaries and Wages - Casual 705 3,887.12 Life and Retirement Insurance Contributions 731 737.88 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 75.00 ECC Contributions 734 95.37 Cash in Bank - Local Currency , Current Account 111 1,719.82 Due to GSIS 413 2,125.55 Due to PAG-IBIG 414 900.00 Due to PHILHEALTH 415 150.00 Payment of Salaries and Wages thru Bank - SAAVEDRA, ANIE V. FOR JANUARY 1-31, 2010 (1ST HALF) Jan 26 2010-01-002379 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 3,742.31 111 3,742.31 Payment for Due to Officers and Employees - APURADO, ARNULFO P. AS OVERTIME PAY FOR4 NOVEMBER, 2009. Jan 26 2010-01-002389 Salaries and Wages - Regular 701 75,573.00 Life and Retirement Insurance Contributions 731 18,137.52 PAG-IBIG Contributions 732 1,300.00 PHILHEALTH Contributions 733 1,825.00 ECC Contributions 734 1,296.42 Cash in Bank - Local Currency , Current Account 111 48,755.00 Due to BIR 412 5,534.78 Due to GSIS 413 33,037.08 Due to PAG-IBIG 414 4,855.08 Due to PHILHEALTH 415 3,650.00 Other Payables 439 2,300.00 Payment of Salaries and Wages thru Bank - ABELGAS, INGRID R. ET AL FOR JANUARY 1-15, 2010. Jan 26 2010-01-002392 Salaries and Wages - Regular 701 6,863.00 Life and Retirement Insurance Contributions 731 1,647.12 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 162.50 ECC Contributions 734 100.00 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 4,784.16 241.00 Due to GSIS 413 3,322.46 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 325.00 Payment of Salaries and Wages thru Bank - BARANGAN, PHILLINE P. FOR JANUARY 1-15, 2010. Jan 26 2010-01-002429 Due to Officers and Employees 403 11,117.48 Cash in Bank - Local Currency , Current Account 111 8,654.63 Due to GSIS 413 2,087.85 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 175.00 Payment for Due to Officers and Employees - ARITTA, LEA B. AS SALARY FOR AUGUST 1-31, 2009 (1ST & 2ND HALF) Jan 26 2010-01-002724 Salaries and Wages - Casual 705 72,542.14 Life and Retirement Insurance Contributions 731 12,920.04 PAG-IBIG Contributions 732 1,000.00 PHILHEALTH Contributions 733 1,287.50 ECC Contributions 734 983.61 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 7,009.05 Due to GSIS 413 36,794.64 Due to PAG-IBIG 414 7,229.71 415 2,575.00 Due to PHILHEALTH 35,124.89 Payment of Salaries and Wages thru Bank - AGUHAR, ARLENE O. ET AL FOR JANUARY 1-31, 2010 (1ST HALF) Jan 26 2010-01-002822 Due to Officers and Employees 403 572,773.45 Cash in Bank - Local Currency , Current Account 111 466,726.92 Due to BIR 412 102,951.43 Prior Years' Adjustments 684 3,095.10 Payment for Due to Officers and Employees - ABADILLA, NERISSA B. ET AL AS OVERTIME PAY FOR DECEMBER, 2009. ACCOUNT 684: P3,095.10 == Jan 26 2010-01-003278 Due from Other Funds 144 Cash in Bank - Local Currency , Current Account JORDAN M. ROBILLOS 5,080.00 111 5,080.00 Payment for Due to Officers and Employees - BARINO, TEODORO C. ET AL AS REIMBURSEMENT OF TRAVEL EXPENSES FOR DECEMBER, 2009. Jan 26 2010-01-004625 Due to Other NGAs 416 Cash in Bank - Local Currency , Current Account 16,000.00 111 16,000.00 Grant of Subsidies and Donations - BADOY, MARIALOLITA C. ET AL AS INCENTIVE ALLOWANCE FOR DECEMBER, 2009 Jan 26 2010-01-004635 Due to Officers and Employees Due to Other NGAs Cash in Bank - Local Currency , Current Account 403 1,000.00 416 195,000.00 111 196,000.00 Grant of Subsidies and Donations - ABABON, JERRY L. ET AL AS INCENTIVE ALLOWANCE FOR DECEMBER, 2009 (BFP) Jan 27 2010-01-000101 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 1,500.00 111 1,500.00 Payment / Reimbursement of Travelling Expenses- CUGAY, ANJUN REIMBURSEMENT OF TRAVELLING EXPENSES- DEC. 1- 31, 2009 Ck#116267 Jan 27 2010-01-000102 Salaries and Wages - Regular Life and Retirement Insurance Contributions 701 622.26 731 74.67 Cash in Bank - Local Currency , Current Account 111 405.51 Due to BIR 412 160.75 Due to GSIS 413 130.67 Payment of Salaries and Wages thru Bank- GONZALES, JOSEFINA STEP INCREMENT DIFFERENTIAL- JANUARY 2- 31, 2010 Ck#116268 Jan 27 2010-01-000105 Due to Officers and Employees Cash in Bank - Local Currency , Current Account 403 111 500.00 500.00 Payment / Reimbursement for Miscellaneous, Extra-ordinary / Confidential Expenses- FERNANDEZ, FRANCISCO REIMBURSEMENT FOR COCO CLOTH AND PAINT DURING CELEBRATION OF EID AL-ADHA Ck#116269 Jan 27 2010-01-000112 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 2,700.00 111 2,700.00 Payment / Reimbursement of Travelling Expenses-CASTILLO, JERONE REIMBURSEMENT OF TRAVELLING EXPENSES- JULY 1-31, 2009 Ck#116270 Jan 27 2010-01-000115 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 8,100.00 111 8,100.00 Payment / Reimbursement of Travelling Expenses- ABELLA, MARIE VELLE REIMBURSEMENT OF TRAVELLING EXPENSES-SEPT. 1- NOV. 26, 2009 Ck#116271 Jan 27 2010-01-000135 Due from Officers and Employees 123 18,340.00 Cash in Bank - Local Currency , Current Account 111 18,340.00 Grant of Cash Advance- LAURENTE, JENNIFER FOR TRAVELLING EXPENSES IN ATTENDING THE 77TH PHIL. VETERINARY MEDICAL ASSN. (PVMA) ANNUAL SCIENTIFIC CONFERENCE ON FEB. 17- 19, 2010 AT NAGA CITY Ck#116284 Jan 27 2010-01-000136 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 1,000.00 111 1,000.00 Refund of Performance Bond to Contractor-SACHEM MARKETING TO WITHRAW BID SECURITY UNDER O. R. NO. 8985511 DTD. 05/07/2009 Ck#116274 Jan 27 2010-01-000139 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 4,600.00 111 4,600.00 Refund of Performance Bond to Contractor- SACHEM MARKETING TO WITHRAW BID SECURITY UNDER O. R. NO. 9463789 DATED 10/20/09 Ck#116272 Jan 27 2010-01-000140 Other Payables 439 225,570.00 Cash in Bank - Local Currency , Current Account 111 225,570.00 Refund of Performance Bond to Contractor- JVF COMMERCIAL AND PROJECT DEVELOPMENT SUPPORT SERVICES WITHDRAWAL OF BID DOCS FOR BID NO. B-09-486 UNDER O. R. NO. 9462137 DATED 10/14/2009 Ck#116273 Jan 27 2010-01-000141 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 3,000.00 111 3,000.00 Refund of Performance Bond to Contractor- SACHEM MARKETING TO WITHDRAW BID SECURITY UNDER O. R. NO. 9465213 DTD. 10/29/09 Ck#116275 Jan 27 2010-01-000143 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 4,250.00 111 4,250.00 Refund of Performance Bond to Contractor- SACHEM MARKETING TO WITHDRAW BID SECURITY UNDER O. R. NO. 9463791 DD. 10/20/09 Ck#116276 Jan 27 2010-01-000145 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 4,000.00 111 4,000.00 Refund of Performance Bond to Contractor- SACHEM MARKETING TO WITHDRAW BID SECURITY UNDER O. R. NO. 9366191 DTD. 09/17/2009 Ck#116277 Jan 27 2010-01-000146 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 13,500.00 111 13,500.00 Refund of Performance Bond to Contractor- SACHEM MARKETING TO WITHDRAW BID SECURITY UNDER O. R. NO. 9046570 DTD. 05/28/2009 Ck#116278 Jan 27 2010-01-000147 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 111 1,550.00 1,550.00 Refund of Performance Bond to Contractor SACHEM MARKETING TO WITHDRAW BID SECURITY UNDER O. R. NO. 9418694 DTD. 09/30/2009 Ck#116279 Jan 27 2010-01-000148 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 6,550.00 111 6,550.00 Refund of Performance Bond to Contractor- SACHEM MARKETING TO WITHDRAW BID SECURITY UNDER O. R. NO. 9465702 DTD. 11/03/2009 Ck#116280 Jan 27 2010-01-000149 Other Payables 439 Cash in Bank - Local Currency , Current Account 99,500.00 111 99,500.00 Refund of Performance Bond to Contractor- JVF COMMERCIAL TO BID SECURITY UNDER O. R. NO. 8751055 DTD. 02/26/2009 Ck#116281 Jan 27 2010-01-000150 Other Payables 439 Cash in Bank - Local Currency , Current Account 225,570.00 111 225,570.00 Refund of Performance Bond to Contractor- PASAJERO MOTOR'S TO WITHDRAW BID SECURITY UNDER O. R. NO. 9488431 DTD. 10/23/2009 Ck#242187 Jan 27 2010-01-000153 Cash - Disbursing Officers 103 Cash in Bank - Local Currency , Current Account 6,300.00 111 6,300.00 Grant of Cash Advance- CABRERA, HEIDELITA FOR PAYMENT OF APPROVED PAYROLLS Ck#703183 Jan 27 2010-01-000157 Subsidy to Other Funds 877 Cash in Bank - Local Currency , Current Account 20,000,000.00 111 20,000,000.00 Grant of Subsidies and Donations- GF- CITOM- SPECIAL ACCOUNT PARTIAL SUBSIDY Ck#698021 Jan 27 2010-01-000158 Subsidy to Other Funds 877 Cash in Bank - Local Currency , Current Account 20,000,000.00 111 20,000,000.00 Grant of Subsidies and Donations - GF- CCMC SPECIAL ACCOUNT PARTIAL SUBSIDY Ck#698020 Jan 27 2010-01-001779 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 22,275.77 711 38,000.00 111 60,275.77 Payment of Salaries and Wages thru Bank - ASPACIO, MARIA ELENA G. ET AL FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-001780 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 2,041.90 711 6,000.00 111 8,041.90 Payment of Salaries and Wages thru Bank - ALIÑO, EVERISTO SR. L. ET AL FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-001781 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) 701 292,557.74 711 286,000.00 Cash in Bank - Local Currency , Current Account 111 577,557.74 Other Payables 439 1,000.00 Payment of Salaries and Wages thru Bank - ABADIANO, LEONOR G. ET AL FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-001782 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 1,789.63 711 2,000.00 111 3,789.63 Payment of Salaries and Wages thru Bank - GARCIA, JO ANN F. FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-001784 Salaries and Wages - Regular 701 7,647.15 Personnel Economic Relief Allowance (PERA) 711 12,000.00 Cash in Bank - Local Currency , Current Account 111 18,647.15 Other Payables 439 1,000.00 Payment of Salaries and Wages thru Bank - ALBUTRA, ORLANDO C. ET AL FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-001786 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 2,916.00 711 8,000.00 111 10,916.00 Payment of Salaries and Wages thru Bank - DE LARA, NESTOR D. ET AL FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-001791 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) 701 24,374.77 711 32,000.00 Cash in Bank - Local Currency , Current Account 111 55,374.77 Other Payables 439 1,000.00 Payment of Salaries and Wages thru Bank - ALCANTARA, BRENT M. ET AL FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-001793 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 25,058.20 711 36,000.00 111 61,058.20 Payment of Salaries and Wages thru Bank - ANG, JEROME G. ET AL FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-001795 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) 701 45,452.32 711 52,000.00 Cash in Bank - Local Currency , Current Account 111 96,452.32 Other Payables 439 1,000.00 Payment of Salaries and Wages thru Bank - ABELLANA, MA. ELENA F. ET AL FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-001796 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 17,007.61 711 32,000.00 111 49,007.61 Payment of Salaries and Wages thru Bank - ADLAWAN, RUFINA A. ET AL FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-001797 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 20,906.14 711 28,000.00 111 48,906.14 Payment of Salaries and Wages thru Bank - ABELLA, ANTONIO JR, T. ET AL FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-001798 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 21,064.40 711 18,000.00 111 39,064.40 Payment of Salaries and Wages thru Bank - ABELGAS, BELONA O. ET AL FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-001799 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 4,855.91 711 8,000.00 111 12,855.91 Payment of Salaries and Wages thru Bank - BALCON, MARIO B. ET AL FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-001800 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) 701 49,113.39 711 64,000.00 Cash in Bank - Local Currency , Current Account 111 112,113.39 Other Payables 439 1,000.00 Payment of Salaries and Wages thru Bank - ABELLA, MYRA A. ET AL FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-001801 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) 701 48,129.34 711 52,000.00 Cash in Bank - Local Currency , Current Account 111 98,129.34 Other Payables 439 2,000.00 Payment of Salaries and Wages thru Bank - ABADIA, MA. FATIMA E. ET AL FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-001802 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 15,371.13 711 18,000.00 111 33,371.13 Payment of Salaries and Wages thru Bank - AGUILAR, NICEA D. ET AL FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-001803 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 6,446.46 711 6,000.00 111 12,446.46 Payment of Salaries and Wages thru Bank - ABONG, FELIXBERTO P. ET AL FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-001804 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 13,167.05 711 24,000.00 111 37,167.05 Payment of Salaries and Wages thru Bank - ABBU, GLESILDA T. ET AL FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-001805 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 2,134.25 711 2,000.00 111 4,134.25 Payment of Salaries and Wages thru Bank - YBAÑEZ, MARIA LUZ L. FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-001806 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) 701 16,245.96 711 18,000.00 Cash in Bank - Local Currency , Current Account 111 33,245.96 Other Payables 439 1,000.00 Payment of Salaries and Wages thru Bank - ABATAYO, EVANGELINE T. ET AL FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-001807 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 3,969.52 711 6,000.00 111 9,969.52 Payment of Salaries and Wages thru Bank - DEL ROSARIO, DYLAN P. ET AL FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-001808 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 18,518.71 711 18,000.00 111 36,518.71 Payment of Salaries and Wages thru Bank - ABELLANOSA, RICO P. ET AL FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-001809 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 5,736.83 711 10,000.00 111 15,736.83 Payment of Salaries and Wages thru Bank - BAGUIO, SILVERIANA L. ET AL FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-001810 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 5,718.82 711 1,500.00 111 7,218.82 Payment of Salaries and Wages thru Bank - OSMEÑA, TOMAS DR. FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-001811 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 1,398.05 711 2,000.00 111 3,398.05 Payment of Salaries and Wages thru Bank - TENCHAVEZ, RONNIE L. FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-001812 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 1,924.18 711 2,000.00 111 3,924.18 Payment of Salaries and Wages thru Bank - CAÑETE, LEONIDA F. FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-001813 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 6,102.08 711 10,000.00 111 16,102.08 Payment of Salaries and Wages thru Bank - CAMPOMANES, MARIE FE A. ET AL FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-001814 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 4,869.46 711 6,000.00 111 10,869.46 Payment of Salaries and Wages thru Bank - CABAHUG, FLORA T. ET AL FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-001815 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 67,362.22 711 116,000.00 111 183,362.22 Payment of Salaries and Wages thru Bank - ABADILLA, NERISSA B. ET AL FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-001816 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 2,322.25 711 4,000.00 111 6,322.25 Payment of Salaries and Wages thru Bank - COLINA, BRENDA A. FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-001817 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 1,910.57 711 4,000.00 111 5,910.57 Payment of Salaries and Wages thru Bank - GARCES, JOHN ARPY M. ET AL FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-001818 Salaries and Wages - Regular 701 86,961.75 Personnel Economic Relief Allowance (PERA) 711 Cash in Bank - Local Currency , Current Account 25,500.00 111 112,461.75 Payment of Salaries and Wages thru Bank - ABELLANOSA, RODRIGO A. ET AL FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-001835 Due to Other NGAs 416 Cash in Bank - Local Currency , Current Account 73,000.00 111 73,000.00 Grant of Subsidies and Donations - ABATAYO, EDWARD R. ET AL AS INCENTIVE ALLOWANCE FOR DECEMBER, 2009. Jan 27 2010-01-001836 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) 701 99,738.78 711 186,000.00 Cash in Bank - Local Currency , Current Account 111 272,838.78 Other Payables 439 12,900.00 Payment of Salaries and Wages thru Bank - ABELLA, URBANO JR, R. ET AL FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-001837 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 1,500.08 711 2,000.00 111 3,500.08 Payment of Salaries and Wages thru Bank - BARTIQUIN, CONCEPCION O. FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-001838 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 2,034.68 711 2,000.00 111 4,034.68 Payment of Salaries and Wages thru Bank - BONTUYAN, EVANGELINE M. FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-001839 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) 701 57,173.40 711 78,000.00 Cash in Bank - Local Currency , Current Account 111 119,173.40 Other Payables 439 16,000.00 Payment of Salaries and Wages thru Bank - ABELLANA, FELIX N. ET AL FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-001840 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) 701 42,870.47 711 80,000.00 Cash in Bank - Local Currency , Current Account 111 105,870.47 Other Payables 439 17,000.00 Payment of Salaries and Wages thru Bank - ABERION, YVONNE M. ET AL FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-001841 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) 701 6,128.37 711 10,000.00 Cash in Bank - Local Currency , Current Account 111 13,128.37 Other Payables 439 3,000.00 Payment of Salaries and Wages thru Bank - BONTILAO, ALYTH A. ET AL FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-001843 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 9,000.00 111 9,000.00 Payment for Due to Officers and Employees - BARING, ANNA LEAH A. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 27 2010-01-001845 Due to Officers and Employees 403 7,500.00 Cash in Bank - Local Currency , Current Account 111 7,500.00 Payment for Due to Officers and Employees - CABATINO MAY ROSALIE P. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 27 2010-01-001846 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 3,000.00 111 3,000.00 Payment for Due to Officers and Employees - MALBAROSA, JADE Z. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 27 2010-01-001849 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 50,627.27 111 50,627.27 Payment for Due to Officers and Employees - ABADIANO, LEONOR G. ET AL AS SUBSISTENCE AND LAUNDRY ALLOWANCE FOR DECEMBER, 2009. Jan 27 2010-01-001850 Salaries and Wages - Casual 705 9,252.75 Life and Retirement Insurance Contributions 731 1,821.72 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 187.50 ECC Contributions 734 100.00 Cash in Bank - Local Currency , Current Account 111 3,128.25 Due to BIR 412 2,000.00 Due to GSIS 413 5,058.97 Due to PAG-IBIG 414 899.75 Due to PHILHEALTH 415 375.00 Payment of Salaries and Wages thru Bank - ESPINA, JENNIFER B. FOR JANUARY 1-31, 2010 (1ST HALF) Jan 27 2010-01-001851 Salaries and Wages - Regular 701 13,726.00 Personnel Economic Relief Allowance (PERA) 711 2,000.00 Life and Retirement Insurance Contributions 731 1,647.12 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 162.50 ECC Contributions 734 100.00 Cash in Bank - Local Currency , Current Account 111 10,174.66 Due to BIR 412 1,485.48 Due to GSIS 413 5,550.48 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 325.00 Payment of Salaries and Wages thru Bank - RAGO, EDILBERTO C. FOR JANUARY 1-31, 2010 (1ST, 2ND, 3RD & 4TH WEEK) Jan 27 2010-01-001854 Salaries and Wages - Casual 705 6,450.39 Life and Retirement Insurance Contributions 731 1,181.76 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 112.50 ECC Contributions 734 98.48 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 520.71 Due to GSIS 413 3,599.80 Due to PAG-IBIG 414 200.00 415 225.00 Due to PHILHEALTH 3,397.62 Payment of Salaries and Wages thru Bank - ALAYRE, ROGELIO R. FOR JANUARY 1-31, 2010 (1ST HALF) Jan 27 2010-01-001858 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 15,000.00 111 15,000.00 Payment for Due to Officers and Employees - MONTAYRE, RALPH M. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 27 2010-01-001859 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 10,000.00 111 10,000.00 Payment for Due to Officers and Employees - GALLARDO, JUAN JR. N. AS LOYALTY BONUS. Jan 27 2010-01-001860 Other Personnel Benefits 749 Cash in Bank - Local Currency , Current Account 10,000.00 111 10,000.00 Payment of Allowances, Bonus and Other Compensation - CUIZON, ROGELIO S. ET AL AS LOYALTY BONUS. Jan 27 2010-01-001861 Other Personnel Benefits 749 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Allowances, Bonus and Other Compensation - LOGICO, LORNA C. AS LOYALTY BONUS. Jan 27 2010-01-001862 Other Personnel Benefits 749 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Allowances, Bonus and Other Compensation - LARESMA, JOSEPHINE A. AS LOYALTY BONUS . Jan 27 2010-01-001863 Other Personnel Benefits 749 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Allowances, Bonus and Other Compensation - JACA, CORNELIO C. AS LOYALTY BONUS Jan 27 2010-01-001865 Due to Officers and Employees 403 22,556.29 Cash in Bank - Local Currency , Current Account 111 10,498.94 Due to BIR 412 1,905.33 Due to GSIS 413 5,564.38 Due to PAG-IBIG 414 627.64 Due to PHILHEALTH 415 375.00 Other Payables 439 3,585.00 Payment for Due to Officers and Employees - SADILI, ARTHUR O. ET AL AS SALARY FOR DECEMBER 1-31, 2009. Jan 27 2010-01-001866 Salaries and Wages - Casual 705 9,448.50 Life and Retirement Insurance Contributions 731 2,267.64 PAG-IBIG Contributions 732 200.00 PHILHEALTH Contributions 733 225.00 ECC Contributions 734 161.49 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 6,339.27 983.50 Due to GSIS 413 4,129.86 Due to PAG-IBIG 414 400.00 Due to PHILHEALTH 415 450.00 Payment of Salaries and Wages thru Bank - ANOBA, ANTHONY TOM A. FOR JANUARY 1-15, 2010 Jan 27 2010-01-001867 Salaries and Wages - Regular 701 5,269.00 Life and Retirement Insurance Contributions 731 1,264.56 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 125.00 ECC Contributions 734 100.00 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 3,497.08 248.50 Due to GSIS 413 2,312.98 Due to PAG-IBIG 414 550.00 Due to PHILHEALTH 415 250.00 Payment of Salaries and Wages thru Bank - BASOY, FILIPINA A. FOR JANUARY 1-15, 2010 Jan 27 2010-01-001868 Salaries and Wages - Casual 705 3,074.50 Life and Retirement Insurance Contributions 731 737.88 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 75.00 ECC Contributions 734 95.37 Cash in Bank - Local Currency , Current Account 111 219.26 Due to GSIS 413 2,697.35 Due to PAG-IBIG 414 1,016.14 Due to PHILHEALTH 415 150.00 Payment of Salaries and Wages thru Bank - GONZALES, MARIO M. FOR JANUARY 1-15, 2010 Jan 27 2010-01-001869 Other Personnel Benefits 749 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Allowances, Bonus and Other Compensation - MOLDEZ, FREDISMINDO B. AS LOYALTY BONUS Jan 27 2010-01-001870 Salaries and Wages - Casual 705 12,696.60 Life and Retirement Insurance Contributions 731 2,630.52 PAG-IBIG Contributions 732 300.00 PHILHEALTH Contributions 733 262.50 ECC Contributions 734 219.21 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 9,224.42 465.19 Due to GSIS 413 4,822.62 Due to PAG-IBIG 414 1,071.60 Due to PHILHEALTH 415 525.00 Payment of Salaries and Wages thru Bank - MONROID, HENRY C. ET AL FOR JANUARY 1-31, 2010 (1ST HALF) Jan 27 2010-01-001871 Due to BIR 412 Cash in Bank - Local Currency , Current Account 679.56 111 679.56 Refund of Excess Employees Taxes, Loans and Premiums - YBAÑEZ, MANUEL SR. P. AS EXCESS WITHHOLDING TAX FOR 2009. Jan 27 2010-01-001872 Salaries and Wages - Casual 705 36,034.00 Life and Retirement Insurance Contributions 731 8,648.16 PAG-IBIG Contributions 732 600.00 PHILHEALTH Contributions 733 850.00 ECC Contributions 734 600.00 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 23,270.46 4,827.42 Due to GSIS 413 15,734.28 Due to PAG-IBIG 414 1,200.00 Due to PHILHEALTH 415 1,700.00 Payment of Salaries and Wages thru Bank - AUREO, CRISTALENE F. ET AL FOR JANUARY 1-15, 2010 Jan 27 2010-01-001877 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) 701 18,861.05 711 22,000.00 Cash in Bank - Local Currency , Current Account 111 34,861.05 Other Payables 439 6,000.00 Payment of Salaries and Wages thru Bank - ABARQUEZ, ALFONSO C. ET AL FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-001879 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 6,832.72 711 14,000.00 111 20,832.72 Payment of Salaries and Wages thru Bank - ABADIA, JONATHAN A. ET AL FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-001880 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 33,462.76 711 42,000.00 111 75,462.76 Payment of Salaries and Wages thru Bank - ABORDO, OSCAR S. ET AL FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-001882 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 6,785.82 711 16,000.00 111 22,785.82 Payment of Salaries and Wages thru Bank - CAÑA, ROMEO DC. ET AL FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-001883 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 15,211.43 711 16,000.00 111 31,211.43 Payment of Salaries and Wages thru Bank - ARACAN, FILOMENA M. ET AL FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-001884 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 3,936.66 711 10,000.00 111 13,936.66 Payment of Salaries and Wages thru Bank - DAYONDON, ANTONIO D. ET AL FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-001885 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 16,874.14 711 28,000.00 111 44,874.14 Payment of Salaries and Wages thru Bank - ARCILLA, LORDE L. ET AL FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-001886 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 18,190.25 711 40,000.00 111 58,190.25 Payment of Salaries and Wages thru Bank - ABELLA, EUSEBIO A. ET AL FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-001887 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) 701 53,751.93 711 142,000.00 Cash in Bank - Local Currency , Current Account 111 194,751.93 Other Payables 439 1,000.00 Payment of Salaries and Wages thru Bank - ABELLA, FRANCISCA Y. ET AL FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-001888 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 13,219.77 711 22,000.00 111 35,219.77 Payment of Salaries and Wages thru Bank - ABELGAS, JOSE P. ET AL FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-001889 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) 701 56,965.43 711 58,000.00 Cash in Bank - Local Currency , Current Account 111 112,965.43 Other Payables 439 2,000.00 Payment of Salaries and Wages thru Bank - ANTIPORTA, BENJAMIN Q. ET AL FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-001890 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) 701 16,125.58 711 32,000.00 Cash in Bank - Local Currency , Current Account 111 46,125.58 Other Payables 439 2,000.00 Payment of Salaries and Wages thru Bank - ALESNA, ALEXANDER M. ET AL FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-001891 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 9,760.11 711 20,000.00 111 29,760.11 Payment of Salaries and Wages thru Bank - BAGUIO, SERGIO B. ET AL FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-001892 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 30,863.37 711 50,000.00 111 80,863.37 Payment of Salaries and Wages thru Bank - ABELLA, JEYNO V. ET AL FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-001893 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 16,143.04 711 40,000.00 111 56,143.04 Payment of Salaries and Wages thru Bank - ABAN, ELEAZAR S. ET AL FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-001894 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) 701 13,696.29 711 22,000.00 Cash in Bank - Local Currency , Current Account 111 34,696.29 Other Payables 439 1,000.00 Payment of Salaries and Wages thru Bank - ABELLA, LOLITA N. ET AL FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-001895 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) 701 1,806.57 711 4,000.00 Cash in Bank - Local Currency , Current Account 111 5,806.57 Payment of Salaries and Wages thru Bank - BORDAJE, AILEEN B. ET AL FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-001896 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 54,269.42 711 72,000.00 111 126,269.42 Payment of Salaries and Wages thru Bank - ABELLANA, ROLANDO DV. ET AL FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-001897 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 13,616.36 711 12,000.00 111 25,616.36 Payment of Salaries and Wages thru Bank - ABENOJA, LUISITO D. ET AL FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-001900 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) 701 16,352.74 711 28,000.00 Cash in Bank - Local Currency , Current Account 111 42,352.74 Other Payables 439 2,000.00 Payment of Salaries and Wages thru Bank - ABASTAS, VIRGILIO B. ET AL FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-001907 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) 701 38,071.08 711 48,000.00 Cash in Bank - Local Currency , Current Account 111 85,071.08 Other Payables 439 1,000.00 Payment of Salaries and Wages thru Bank - ALIVIO, NICANOR E. ET AL FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-002030 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 359.13 711 2,000.00 111 2,359.13 Payment of Salaries and Wages thru Bank - UNDANG, JOCELYN G. FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-002031 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 1,733.33 711 2,000.00 111 3,733.33 Payment of Salaries and Wages thru Bank - BERING, SUSAN B. FOR JANUARY 1-31, 2010 (4TH WEK) Jan 27 2010-01-002032 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 8,240.07 711 3,500.00 111 11,740.07 Payment of Salaries and Wages thru Bank - DIÑO, DOMINIC A. ET AL FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-002033 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) 701 56,067.58 711 98,000.00 Cash in Bank - Local Currency , Current Account 111 146,067.58 Other Payables 439 8,000.00 Payment of Salaries and Wages thru Bank - ABAD, FERNANDO Q. ET AL FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-002034 Salaries and Wages - Regular 701 155,280.72 Personnel Economic Relief Allowance (PERA) 711 Cash in Bank - Local Currency , Current Account 186,000.00 111 341,280.72 Payment of Salaries and Wages thru Bank - ABASTILLAS, EPIFANIA R. ET AL FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-002036 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) 701 7,192.66 711 14,000.00 Cash in Bank - Local Currency , Current Account 111 20,192.66 Other Payables 439 1,000.00 Payment of Salaries and Wages thru Bank - ABARQUEZ, JANE C. ET AL FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-002037 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 2,571.37 711 6,000.00 111 8,571.37 Payment of Salaries and Wages thru Bank - BANONO, ROMEO P. ET AL FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-002038 Due to LGUs 418 Cash in Bank - Local Currency , Current Account 121,017.20 111 121,017.20 Payment for Inter-Agency Payable- Brgy. Budlaan Payment for Community Micro Assistance Program Ck#242190 Jan 27 2010-01-002039 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 31,504.86 711 46,000.00 111 77,504.86 Payment of Salaries and Wages thru Bank - ABOBO, JIMMY B. ET AL FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-002040 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 31,110.64 711 38,000.00 111 69,110.64 Payment of Salaries and Wages thru Bank - ALCUIZAR, SNRTA MARIE TRECE R. ET AL FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-002041 Due from Officers and Employees 123 18,340.00 Cash in Bank - Local Currency , Current Account 111 18,340.00 Grant of Cash Advance-DR. PILAR P. ROMEO For travelling expenses in attending the 77th Phil. Veterinary Medical Assn.(PVMA) Annual Scientific Conference on Feb. 17 - 19, 2010 at Naga City. Ck#116283 Jan 27 2010-01-002085 Due from Other Funds 144 107,750.00 Cash in Bank - Local Currency , Current Account 111 107,750.00 Payment for Due to Officers and Employees-GO, MYRNA R. ET AL- Christmas Party Dec. 2009 (GF-Proper erroneously paid under GF-CCMC) PAV # : 804 : 1315 250.00 :1316 Jan 27 2010-01-002097 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 4,350.24 711 10,000.00 111 14,350.24 Payment of Salaries and Wages thru Bank - CABUNGCAL, NORMA V. ET AL FOR JANUARY 1-31, 2010 (4TH WEEK) Jan 27 2010-01-002122 Salaries and Wages - Casual 705 6,516.97 Life and Retirement Insurance Contributions 731 1,264.56 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 125.00 P 250.00 ECC Contributions 734 100.00 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 4,021.03 180.00 Due to GSIS 413 2,630.00 Due to PAG-IBIG 414 1,025.50 Due to PHILHEALTH 415 250.00 Payment of Salaries and Wages thru Bank - TABAR, GEORGILA C. FOR JANUARY 1-31, 2010 (1ST HALF) Jan 28 2010-01-000100 Advances to Officers and Employees 148 Cash in Bank - Local Currency , Current Account 300,000.00 111 300,000.00 Grant of Cash Advance- JEROME G. ANG FOR PETTY OPERATING EXPENSES Ck#210935 Jan 28 2010-01-000103 Due to GSIS 413 Cash in Bank - Local Currency , Current Account 1,339.99 111 1,339.99 Refund of Excess Employees Taxes, Loans and Premiums- QUIROS, JULIET UY REFUND OF GSIS CONSOL LOAN -JANUARY, 2010 Ck#116313 Jan 28 2010-01-000104 Salaries and Wages - Regular Life and Retirement Insurance Contributions 701 319.04 731 38.29 Cash in Bank - Local Currency , Current Account 111 290.32 Due to GSIS 413 67.01 Payment of Salaries and Wages thru Bank- DR. ALMA S. CORPIN SALARY STEP INCREMENT FROM JAN. 16 - 31, 2010 Ck#116311 Jan 28 2010-01-000106 Representation Allowance (RA) 713 Cash in Bank - Local Currency , Current Account 6,300.00 111 6,300.00 Payment of Allowances, Bonus and Other Compensation- CATHERINE YSO REPRESENTATION ALLOWANCE - JANUARY, 2010 Jan 28 2010-01-000107 Due to GSIS 413 Cash in Bank - Local Currency , Current Account Ck#116309 1,591.00 111 1,591.00 Refund of Excess Employees Taxes, Loans and Premiums- ARSENIA Q. AZNAR REFUND OF GSIS CONSOL LOAN - JANUARY, 2010 Ck#116308 Jan 28 2010-01-000109 Due to PAG-IBIG 414 Cash in Bank - Local Currency , Current Account 704.00 111 704.00 Refund of Excess Employees Taxes, Loans and Premiums- RUEL JURCALES DELIMA REFUND THE PAG-IBIG MULTI PURPOSE LOAN - JAN., 2010 Jan 28 2010-01-000110 Representation Allowance (RA) Transportation Allowance (TA) Cash in Bank - Local Currency , Current Account 713 6,300.00 714 6,300.00 111 12,600.00 Payment of Allowances, Bonus and Other Compensation- EUSTAQUIO B. CESA REPRESENTATION & TRANSPORTATION ALLOW.- JAN. 2010 Jan 28 2010-01-000111 Due to Officers and Employees 403 Ck#116307 6,248.39 Cash in Bank - Local Currency , Current Account 111 4,735.63 Due to BIR 412 187.85 Due to GSIS 413 949.91 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 175.00 Payment of Salaries and Wages thru Bank- DURADO, BERNIE E. SALARY OF ONE UTILITY WORKER - DEC. 9- 31, 2009 Ck#116315 Ck#116305 Jan 28 2010-01-000113 Salaries and Wages - Regular Life and Retirement Insurance Contributions 701 319.04 731 38.29 Cash in Bank - Local Currency , Current Account 111 290.32 Due to GSIS 413 67.01 Payment of Salaries and Wages thru Bank- SUSAN ADLAWAN SALARY STEP INCREMENT FOR JAN. 16 - 31, 2010 Ck#116310 Jan 28 2010-01-000114 Salaries and Wages - Regular Life and Retirement Insurance Contributions 701 333.87 731 40.06 Cash in Bank - Local Currency , Current Account 111 303.82 Due to GSIS 413 70.11 Payment of Salaries and Wages thru Bank- EMAR MONTEJO SALARY DIFFERENTIAL - JANUARY 22-31, 2010 Jan 28 2010-01-000117 Salaries and Wages - Regular Life and Retirement Insurance Contributions 701 347.52 731 41.70 Cash in Bank - Local Currency , Current Account 111 316.24 Due to GSIS 413 72.98 Ck#116304 Payment of Salaries and Wages thru Bank- EDWIN VIVIAN V. QUIJANO SALARY DIFFIRENTIAL - JANUARY 05 - 31, 2010 Ck#116303 Jan 28 2010-01-000118 Salaries and Wages - Regular Life and Retirement Insurance Contributions 701 309.19 731 37.10 Cash in Bank - Local Currency , Current Account 111 281.36 Due to GSIS 413 64.93 Payment of Salaries and Wages thru Bank- RICARDO BACALSO SALARY DIFFERENTIAL - JANUARY 5-31, 2010 Jan 28 2010-01-000120 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account Ck#116302 5,000.00 111 5,000.00 Payment of Allowances, Bonus and Other Compensation- CAÑETE MILAGROS PERFORMANCE ENCHANCEMENT INCENTIVES - 2009 Ck#116299 Jan 28 2010-01-000121 Due to BIR 412 Cash in Bank - Local Currency , Current Account 6,368.30 111 6,368.30 Refund of Excess Employees Taxes, Loans and Premiums- MARIA LOURDES R. VILLAHERMOSA TAX REFUND - 2009 OF LATE CIPRIANA VILLAHERMOSA Ck#116297 Jan 28 2010-01-000122 Salaries and Wages - Regular Life and Retirement Insurance Contributions 701 219.68 731 26.36 Cash in Bank - Local Currency , Current Account 111 199.91 Due to GSIS 413 46.13 Payment of Salaries and Wages thru Bank- ARTAJO, WILLIAM CRIS SALARY DIFFERENTIAL - JAN 22-31, 2010 Ck#116295 Jan 28 2010-01-000123 Due to Officers and Employees 403 1,500.00 Cash in Bank - Local Currency , Current Account 111 1,000.00 Prior Years' Adjustments 684 500.00 Payment of Allowances, Bonus and Other Compensation- DINDO ALBERTO A. PARADELA PRODUCTIVITY INCENTIVE Ck#116292 Jan 28 2010-01-000124 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 111 3,000.00 3,000.00 Payment of Allowances, Bonus and Other Compensation - SANAIRAH D. PUNUT PRODUCTIVITY INCENTIVE Ck#116293 Jan 28 2010-01-000125 Due to Officers and Employees 403 12,613.02 Cash in Bank - Local Currency , Current Account 111 10,163.14 Due to GSIS 413 2,024.88 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 225.00 Payment of Salaries and Wages thru Bank - FIDELIS, DONALDO SALARY - JULY 1- 31, 2009 Ck#116301 Jan 28 2010-01-000126 Due to Officers and Employees 403 16,583.14 Cash in Bank - Local Currency , Current Account 111 13,314.43 Due to GSIS 413 2,768.71 Due to PAG-IBIG 414 300.00 415 200.00 Due to PHILHEALTH Payment of Salaries and Wages thru Bank- ESTRELLA G. MENCHAVEZ SALARY - DECEMBER 1-31, 2009 Ck#116294 Jan 28 2010-01-000127 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 750.00 111 750.00 Payment of Allowances, Bonus and Other Compensation- TRIFONE SODE PAYMENT OF HONORARIUM AS RESOURCE SPEAKER - DECEMBER 21-22, 2009 Ck#675859 Jan 28 2010-01-000128 Accounts Payable 401 111 15,385.41 Due to BIR 412 876.43 Other Payables Jan 28 28 439 98.16 Payment for Other Maintenance and Other Operating Expenses - TRISALES BUSINESS SYSTEM CORPORATION PAYMENT FOR OFFICE SUPPLIES # 1034 =P 15,093.27 - TRISALES BUSINESS SYSTEM CORPORATION CHECK # 242194 CTV # 1035 =P 2010-01-000129 Accounts Payable 401 111 318,744.65 Due to BIR 412 18,080.35 439 675.00 Payment for Purchase of Inventories, Supplies and Materials Directly Issued to End-User - SUAREZ ARTS AND METALS TECH PAYMENT FOR PLAQUES FOR TAXATION AWARD FEBRUARY 16, 2009 CHECK # 242191 CTV # 1032 = P309,504.65 - SUAREZ ARTS AND METALS TECH CH 2010-01-000130 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Jan 28 CHECK # 242193 CTV 337,500.00 Cash in Bank - Local Currency , Current Account Other Payables Jan 16,360.00 Cash in Bank - Local Currency , Current Account 1,871,710.00 111 1,771,439.81 412 100,270.19 Payment for Purchase of Inventories, Supplies and Materials Directly Issued to End-User- CEBU SURGICAL & MEDICAL ENTERPRISES- PAYMENT FOR 50 BOXES NONSTERIODAL / ANTI -INFLAMMATORY. CHECK # 242197 CTV # 1038 = P 1,763,939.81 - CEBU SURGICAL & MEDICA 2010-01-000131 Other Maintenance and Other Operating Expenses 969 10,000.00 Cash in Bank - Local Currency , Current Account 111 10,000.00 Payment for Other Maintenance and Other Operating Expenses- PHILIPPINE HEALTH INSURANCE CORPORATION PAYMENT FOR RENEWAL OF PHILHEALTH ACCREDITATION FEE OF YEAR 2010 Ck#712684 Jan 28 2010-01-000132 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR 111 30,000.00 28,125.01 412 1,874.99 Payment for Other Maintenance and Other Operating Expenses- PORT SEAFOODS RESTAURANT, INC. PAYMENT FOR 100 PAX DINNER BUFFET CHECK # 242195 CTV # 1036 = P 27,455.37- PORT SEAFOODS RESTAURANT, INC. CHECK # 242196 CTV # 1037 =P 669.64 - CEBU CI Jan 28 2010-01-000133 Other Payables 439 Cash in Bank - Local Currency , Current Account Due to BIR Jan 28 102,340.00 111 95,943.75 412 6,396.25 Payment for Other Liabilities- ROAD WARRIORS TOWING & MOTOR SERVICES TOWING FEES FROM DEC. 29, 2009, JAN. 04, 05, 06, 07, 08, 09, 2010 CTV # 1046 = P 93,963.75 - ROAD WARRIORS TOWING & MOTOR SERVICES CHECK # 703693 CT 2010-01-000134 Due to Officers and Employees 403 CHECK # 703692 15,841.00 Cash in Bank - Local Currency , Current Account 111 14,256.90 Due to BIR 412 1,584.10 Payment for Professional Services- PABLO S. TINGA CONSULTANCY FEE - DEC., 2009 Ck#116300 Jan 28 2010-01-000142 Due to Officers and Employees 403 16,530.41 Cash in Bank - Local Currency , Current Account 111 13,271.58 Due to GSIS 413 2,758.83 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 300.00 Payment of Salaries and Wages thru Bank- DEBBIE B. FUENTES SALARY - DEC 1- 31, 2009 Ck#116291 Jan 28 2010-01-000144 Due to Officers and Employees 403 10,444.41 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 8,274.02 187.85 Due to GSIS 413 1,607.54 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 175.00 Payment of Salaries and Wages thru Bank- COLONG, MOHAMMAD SALARY - DEC 1- 31, 2009 Ck#116314 Jan 28 2010-01-000159 Due to Officers and Employees 403 9,045.73 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 7,094.56 187.85 Due to GSIS 413 1,388.32 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 175.00 Payment of Salaries and Wages thru Bank- COLONG, MOHAMMAD SALARY - NOV. 1-30, 2009 Jan 28 2010-01-000161 Accounts Payable 401 24,000.00 Due to Officers and Employees 403 36,000.00 Due to Other NGAs 416 12,000.00 Cash in Bank - Local Currency , Current Account 111 61,400.00 Due to BIR 412 10,600.00 Ck#116290 Payment of Allowances, Bonus and Other Compensation- ARCHIVAL, NESTOR HONORARIUM - NOVEMBER & DECEMBER 2009 Ck#210934 Jan 28 2010-01-001283 Accounts Payable 401 113,615.00 Cash in Bank - Local Currency , Current Account 111 96,166.98 Due to BIR 412 6,086.52 Other Payables 439 11,361.50 Payment for Accounts Payable- INFONET SOLUTIONS INC. TO PAYMENT FOR RODUCTIVITY SOFTWARE-COMUTER AIDED DESIGN AUTOCAD. CHECK # 697934 - CTV# 17474 - 94,138.14 - INFONET SOLUTINS INC. CHECK # 697935 - CTV #17475 - 2,028.84 - CEBU CITY TREASURER F Jan 28 2010-01-001284 Due to Other NGAs 416 Cash in Bank - Local Currency , Current Account 2,000.00 111 2,000.00 Grant of Subsidies and Donations -ALFREDO M. PANDAAN PAYMENT OF INCENTIVE ALLOWANCE FOR AUG. 1 TO SEPT. 30, 2009. Ck#697719 Jan 28 2010-01-001287 Due to Other NGAs 416 Cash in Bank - Local Currency , Current Account 10,833.00 111 10,833.00 Payment / Reimbursement of Travelling Expenses- MANUEL PATALINGHUG REIMBURSEMENT FOR TRAVEL EXPENSES IN MANILA ON OCT. 14-16, 2009. Ck#116068 Jan 28 2010-01-001288 Performance/Bidders/Bail Bonds Payable 427 1,320.06 Cash in Bank - Local Currency , Current Account 111 1,320.06 Refund of Performance Bond to Contractor - THE FREEMAN NEWS WITHDRAWAL OF 5% SECURITY BOND UNDER OFFICIAL RECIEPT # 9135462 DATED 07/01/09 Ck#116129 Jan 28 2010-01-001289 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Jan 28 7,750.00 111 7,334.82 412 415.18 Payment for Accounts Payable -NEED INK SALES & SERVICES TO PAYMENT OF TESTING SUPPLIES. CHECK # 116165 CTV # 455 - 7,196.43 - NEED INK SALES & SERVICES CHECK # 116166 CTV # 456 138.39 - CEBU TREASURER - FOR PAYMENT OF LOCAL TAX 2010-01-001290 Due to LGUs 418 Cash in Bank - Local Currency , Current Account 107,538.48 111 107,538.48 Payment for Inter-Agency Payable - BARANGAY KASAMBAGAN FINANCIAL ASSISTANCE FOR COMMUNITY MICRO ASSISTANCE PROGRAM. Ck#116249 Jan 28 2010-01-001291 Prior Years' Adjustments 684 Cash in Bank - Local Currency , Current Account Due to BIR Jan 28 100,000.00 111 91,071.42 412 8,928.58 Payment for Accounts Payable- GOTIANUY REALTY CORP. TO PAYMENT OF RENTAL SPACE FOR FOR SEPT. 1 TO DECEMBER 31, 2008. CHECK # 116259 CTV# 897 89,428.56 GOTIANUY REALTY CORP. CHECK # 116260 CTV # 898 1,642.86 CITY TREASURER - 2010-01-001292 Performance/Bidders/Bail Bonds Payable Other Payables 427 12,685.00 439 25,370.00 Cash in Bank - Local Currency , Current Account 111 38,055.00 Refund of Performance Bond to Contractor - MAX COPY CENTER TO REFUND THE RETENTION WARRANTY AND PERFORMANCE BOND UNDER PAV # 15619 DATED 09/23/09 Ck#241807 Jan 28 2010-01-001293 Other Payables 439 Cash in Bank - Local Currency , Current Account 2,200.00 111 2,200.00 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare) - CITY SAVINGS BANK REMITTANCE FOR DECEMBER 2009. Ck#242012 Jan 28 2010-01-001294 Performance/Bidders/Bail Bonds Payable 427 3,190.00 Cash in Bank - Local Currency , Current Account 111 3,190.00 Refund of Performance Bond to Contractor - ALMAN PHARMACEUTICALS, INC. TO REFUND THE BID SECURITY UNDER OFFICIAL RECEIPT # 9420376 DATED 10/06/09 Ck#242014 Jan 28 2010-01-001295 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR 111 7,440.00 7,041.43 412 398.57 Payment for Accounts Payable- OF NEED INK SALES & SERVICES PAYMENT OF 3 PCS. OPTIUM OPT-TONER CARTRIDGE OPT-12A. CHECK # 242146 CTV # 849 6,953.41 - NEED INK SALES & SERVICES CHECK # 242145 CTV # 848 88.02 - CITY TREASURER - F Jan 28 2010-01-001298 Accounts Payable 401 25,300.00 Cash in Bank - Local Currency , Current Account 111 22,453.75 Due to BIR 412 1,581.25 Performance/Bidders/Bail Bonds Payable 427 1,265.00 Payment for Accounts Payable- RK EUSTAQUIO ENTERPRISES TO PAYMENT OF REAIR OF 11 UNITS STEEL CABINETS. CHECK # 210588 CTV# 16608 - 22,041.25 - R. K. EUSTAQUIO ENTP. CHECK # 210589 CTV# 16609 412.50 - CITY TREASURER - FOR PAYMENT Jan 28 2010-01-001299 Due to LGUs 418 Cash in Bank - Local Currency , Current Account 75,000.00 111 75,000.00 Payment for Inter-Agency Payable - BARANGAY CAPITOL SITE FINANCIAL ASSISTANCE FOR GABARGE COLLECTION PERSONNEL FOR JUNE TO AUGUST 2009. Ck#210735 Jan 28 2010-01-001300 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 40,461.02 111 40,461.02 Refund of Performance Bond to Contractor- GULF OIL PHILS. INC. REFUND THE BID SECURITY UNDER OFFICIAL RECIEPT # 9124799 DATED 07/07/09 Ck#210463 Jan 28 2010-01-001301 Due to LGUs 418 Cash in Bank - Local Currency , Current Account 19,800.00 111 19,800.00 Payment for Inter-Agency Payable - BARANGAY CAPITOL SITE FINANCIAL ASSISTANCE FOR THE BRGY. LUPON TAGAPAMAYAPA FOR NOV. TO DEC. 2008. Ck#210730 Jan 28 2010-01-001302 Due to LGUs 418 Cash in Bank - Local Currency , Current Account 17,000.00 111 17,000.00 Payment for Inter-Agency Payable - BARANGAY KASAMBAGAN FINANCIAL ASSISTANCE FOR THE BRGY. GARBAGE COLLECTOR FOR JULY TO AUGUST 2009. Ck#210734 Jan 28 2010-01-001303 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Jan 28 1,279,135.00 111 1,210,609.91 412 68,525.09 Payment for Accounts Payable- SACHEM MARKETING TO PAYMENT 300 PACKS GROCERY AND OTHER ITEMS CHECK # 210792 CTV # 17222 - 1,193,254.70 - SACHEM MARKETING CHECK # 210786 CTV # 17216 17,355.21 - CITY TREASURER - FOR PAYMENT OF LOCAL T 2010-01-001304 Accounts Payable 401 28,040.00 Cash in Bank - Local Currency , Current Account 111 25,135.85 Due to BIR 412 1,502.15 Performance/Bidders/Bail Bonds Payable 427 1,402.00 Payment for Accounts Payable- NEED INK SALES & SERVICES TO PAYMENT OF INK BLACK HP 1200 SERIES AND TONER . CHECK # 210876 CTV # 238 - 24,785.35 NEED INK SALES & SERVICES. CHECK # 210877 CTV # 239 350.50 - CITY TREASUER - FO Jan 28 2010-01-001305 Performance/Bidders/Bail Bonds Payable 427 750.00 Cash in Bank - Local Currency , Current Account 111 750.00 Refund of Performance Bond to Contractor - CENTRADE HARDWARE CORP. TO REFUND THE BID SECURITY UNDER OFFICIAL RECEIPT # 9366195 DATED 09/17/09 Ck#210924 Jan 28 2010-01-001306 Other Payables 439 Cash in Bank - Local Currency , Current Account 250.00 111 250.00 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare) - CITY SAVINGS BANK REMITTANCE FOR DECEMBER 2009. Ck#675301 Jan 28 2010-01-001307 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 111 1,483.36 1,417.14 - Due to BIR 412 Payment for Accounts Payable - PLDT Jan 28 2010-01-001423 Accounts Payable 401 28 111 514,998.00 Due to BIR 412 25,432.00 Performance/Bidders/Bail Bonds Payable 427 31,790.00 439 63,580.00 Payment for Accounts Payable- SEVILLER ART GLASS ENTERPRISES TO PAYMENT OF STAINED GLASS. CHECK # 619516 CTV # 12418 - 506,322.10 - SEVILLER ART GLASS ENTERPRISES. CHECK # 619517 CTV # 12419 8,675.90 - CITY TREASURER - FOR PAYMENT O 2010-01-001424 IT Equipment and Software 223 Cash in Bank - Local Currency , Current Account Due to BIR Jan 28 635,800.00 Cash in Bank - Local Currency , Current Account Other Payables Jan 66.22 PAYMENT FOR DEC. 5, 2009 TO JAN. 4, 2010 Ck#703688 127,500.00 111 120,669.65 412 6,830.35 Cash Purchase of Property, Plant and Equipment - SECC COMPUTER SALES TO PAYMENT OF 3 UNITS DESKTOP COMMPUTER AND OTHER ITEMS. CHECK # 703169 CTV # 279 - 119,075.90 - SEC COMPUTER SALES CHECK # 703170 CTV# 280 1,593.75 - CITY TR 2010-01-001425 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 20,720.00 111 20,720.00 Refund of Performance Bond to Contractor - FUJITSU PHILS. INC. TO REFUND THE PERFORMANCE BOND UNDER PAV # 08746 DATED 06/01/09 Ck#703176 Jan 28 2010-01-001426 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Jan 28 28 8,697.68 412 492.32 Payment for Accounts Payable- NEED INK SALES & SERVICES TO PAYMENT OF 2 CARTS TONER CAR LASERJET 1020 BLACK AND OTHER ITEMS. CHECK NO. 712619 CTV NO. 16803 = P8,533.57 - NEED INK SALES CHECK NO. 712620 CTV NO. 16804 = 164.11 - CEBU CITY TREASU 2010-01-001427 Accounts Payable 401 27,200.00 Cash in Bank - Local Currency , Current Account 111 25,498.05 Due to BIR 412 1,457.15 Other Payables Jan 9,190.00 111 439 244.80 Payment for Accounts Payable - MAX COPY CENTER PAYMENT OF 8 TUBES INK FOR RISOGRAPH AND OTHER ITEMS. CHECK # 712663 CTV # 568 - 24,954.05 - MAX COPY CENTER CHECK # 712664 CTV # 569 544.00 - CITY TREASURER - FOR PAYMENT OF LOCAL TA 2010-01-001428 Accounts Payable 401 1,048.78 Cash in Bank - Local Currency , Current Account 111 1,001.96 Due to BIR 412 46.82 Payment for Accounts Payable- PLDT PAYMENT FOR NOV. 17 TO DEC 16,2009 COMMUNICATION SERVICES Ck#712678 Jan 28 2010-01-001446 Accounts Payable 401 68,000.00 Cash in Bank - Local Currency , Current Account 111 60,350.00 Due to BIR 412 4,250.00 Performance/Bidders/Bail Bonds Payable 427 3,400.00 Payment for Accounts Payable- PARKLANE HOTEL PAYMENT OF BUFFET LUNCH AND S SNACKS WITH VENUE CHECK # 619506 HOTEL CHECK # 619507 CTV # 11907 - 1,357.14 - CEBU CITY TREASURER FOR PAYMENT OF LOCAL TAX Jan 28 2010-01-001448 Due to Other NGAs 416 CTV # 11906 - 58,992.86 -PARKLANE 3,000,000.00 Cash in Bank - Local Currency , Current Account 111 3,000,000.00 Payment of Medical and Burial Assistance - VICENTE SOTTO MEMORIAL MEDICAL CENTER FOR MEDICAL / FINANCIAL ASSISTANCE FOR THE CITY'S MEDICAL PROGRAM . Ck#698016 Jan 28 2010-01-001449 Due to LGUs 418 Cash in Bank - Local Currency , Current Account 139,665.00 111 139,665.00 Payment for Inter-Agency Payable - BARANGAY QUIOT RELEASE THE FINANCIAL ASSISTANCE FOR MICRO ASSISTANCE PROGRAM Ck#697891 Jan 28 2010-01-001454 Due to Officers and Employees 403 257.53 Cash in Bank - Local Currency , Current Account 111 209.25 Due to GSIS 413 48.28 Payment for Due to Officers and Employees - ERLINDA D. GUALIZA TO PAYMENT OF SALARY DIFFERENTIAL FOR OCT. 14-31, 2009. Ck#239816 Jan 28 2010-01-001455 Due to Other NGAs 416 Cash in Bank - Local Currency , Current Account 90,000.00 111 90,000.00 Payment for Inter-Agency Payable - NATIONAL FOOD AUTHORITY TO PAYMENT OF 60 SACKS OF RICE. Ck#210138 Jan 28 2010-01-002100 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 36,036.30 711 36,000.00 Cash in Bank - Local Currency , Current Account 111 69,279.03 Other Payables 439 2,757.27 Payment of Salaries and Wages thru Bank - BACALSO, SCEPIO Y. ET AL FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002101 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 45,108.89 711 36,000.00 Cash in Bank - Local Currency , Current Account 111 78,258.89 Other Payables 439 2,850.00 Payment of Salaries and Wages thru Bank - ARDIMER, AGNES G. ET AL FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002103 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 705 2,675.48 711 4,000.00 111 6,675.48 Payment of Salaries and Wages thru Bank - BERRAME, ALAN M. ET AL FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002106 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 1,035,506.17 711 356,000.00 Cash in Bank - Local Currency , Current Account 111 1,034,910.17 Other Payables 439 356,596.00 Payment of Salaries and Wages thru Bank - ABASOLO, HERLIE P ET AL FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002108 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 417,981.50 711 180,000.00 Cash in Bank - Local Currency , Current Account 111 424,930.50 Other Payables 439 173,051.00 Payment of Salaries and Wages thru Bank - ABELLA, JOSEPHINE T. ET AL FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002109 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 705 4,021.03 711 2,000.00 111 6,021.03 Payment of Salaries and Wages thru Bank - TABAR, GEORGILA C. FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002110 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 171,976.70 711 108,000.00 Cash in Bank - Local Currency , Current Account 111 262,442.70 Other Payables 439 17,534.00 Payment of Salaries and Wages thru Bank - ABABA, ROMULO P. ET AL FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002112 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 119,233.93 711 120,000.00 Cash in Bank - Local Currency , Current Account 111 237,533.93 Other Payables 439 1,700.00 Payment of Salaries and Wages thru Bank - ABARQUEZ, EDGAR S. ET AL FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002114 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 1,542.53 711 2,000.00 Cash in Bank - Local Currency , Current Account 111 2,702.53 Other Payables 439 840.00 Payment of Salaries and Wages thru Bank - SALDUA, RUDY G. FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002116 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 8,856.00 111 8,856.00 Payment for Due to Officers and Employees - ABASIA, GREGORIO JR. R. ET AL AS TRAVELLING ALLOWANCE FOR DECEMBER, 2009. Jan 28 2010-01-002126 Due to Officers and Employees 403 19,516.73 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 7,463.27 61.05 Due to GSIS 413 4,103.41 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 375.00 Other Payables 439 7,314.00 Payment for Due to Officers and Employees - DELOS REYES, RIZZA EUGENIA G. AS SALARY FOR DECEMBER 1-31, 2009. Jan 28 2010-01-002129 Other Personnel Benefits 749 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Allowances, Bonus and Other Compensation - OMEGA, WALTER M. AS LOYALTY BONUS. Jan 28 2010-01-002130 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment for Due to Officers and Employees - BATIQUIN, EDGAR T. AS LOYALTY BONUS Jan 28 2010-01-002133 Salaries and Wages - Regular 701 4,476.50 Life and Retirement Insurance Contributions 731 1,074.36 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 100.00 ECC Contributions 734 100.58 Cash in Bank - Local Currency , Current Account 111 1,431.84 Due to GSIS 413 3,419.60 Due to PAG-IBIG 414 800.00 Due to PHILHEALTH 415 200.00 Payment of Salaries and Wages thru Bank - LOPEZ, DANILO B. FOR JANUARY 1-15, 2009 (1ST HALF) Jan 28 2010-01-002134 Due to BIR 412 Cash in Bank - Local Currency , Current Account 1,804.83 111 1,804.83 Refund of Excess Employees Taxes, Loans and Premiums - LIM, NELSON G. AS EXCESS WITHHOLDING TAX FOR 2009. Jan 28 2010-01-002135 Other Personnel Benefits 749 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Allowances, Bonus and Other Compensation - MANTO, ALMA L. AS LOYALTY BONUS. Jan 28 2010-01-002137 Salaries and Wages - Regular 701 14,071.00 Personnel Economic Relief Allowance (PERA) 711 2,000.00 Life and Retirement Insurance Contributions 731 1,688.52 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 175.00 ECC Contributions 734 100.00 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 188.87 Due to GSIS 413 6,664.81 Due to PAG-IBIG 414 712.09 Due to PHILHEALTH 415 350.00 439 3,700.00 Other Payables 6,518.75 Payment of Salaries and Wages thru Bank - LAROA, CLEMENCIA M. FOR JANUARY 1-31, 2010 (1ST, 2ND, 3RD & 4TH WEEK) Jan 28 2010-01-002139 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 25,000.00 111 25,000.00 Payment for Due to Officers and Employees - BALASABAS, FELIPE A. ET AL AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 28 2010-01-002140 Due to Officers and Employees 403 9,668.61 Cash in Bank - Local Currency , Current Account 111 7,672.19 Due to GSIS 413 1,621.42 Due to PAG-IBIG 414 200.00 415 175.00 Due to PHILHEALTH Payment for Due to Officers and Employees - MEDECIELO, MICHAELA C. AS SALARY FOR DECEMBER 1-31, 2009. Jan 28 2010-01-002146 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment for Due to Officers and Employees - LOGA, CLARO JR. C. AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 28 2010-01-002148 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment for Due to Officers and Employees - LUAREZ, SHELITO M. AS PRODUCTIVITY ENHANCEMENT INCENTIVES FOR 2009. Jan 28 2010-01-002149 Due to BIR 412 Cash in Bank - Local Currency , Current Account 111 32,015.95 32,015.95 Refund of Excess Employees Taxes, Loans and Premiums - ABARQUEZ, MARIA SALOME Q. ET AL AS TAX REFUND FOR 2009. Jan 28 2010-01-002154 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 65,666.01 711 26,000.00 Cash in Bank - Local Currency , Current Account 111 73,377.01 Other Payables 439 18,289.00 Payment of Salaries and Wages thru Bank - ABELLA, ALYN A. ET AL FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002156 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 46,334.85 711 40,000.00 Cash in Bank - Local Currency , Current Account 111 85,234.85 Other Payables 439 1,100.00 Payment of Salaries and Wages thru Bank - ABELLA, MAY A. ET AL FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002157 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 335,193.45 711 314,000.00 Cash in Bank - Local Currency , Current Account 111 646,623.45 Other Payables 439 2,570.00 Payment of Salaries and Wages thru Bank - ABARCO, BENJAMIN JR, G. ET AL FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002160 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 242,536.11 711 390,000.00 Cash in Bank - Local Currency , Current Account 111 624,367.78 Other Payables 439 8,168.33 Payment of Salaries and Wages thru Bank - ABADEJOS, RODULFO C. ET AL FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002163 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 277,934.87 711 240,000.00 Cash in Bank - Local Currency , Current Account 111 512,644.87 Other Payables 439 5,290.00 Payment of Salaries and Wages thru Bank - ABABON, JOCELYN A. ET AL FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002166 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 315,456.98 711 284,000.00 Cash in Bank - Local Currency , Current Account 111 593,706.98 Other Payables 439 5,750.00 Payment of Salaries and Wages thru Bank - ABALA, FRANCISCO S. ET AL FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002173 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 247,028.23 711 194,000.00 Cash in Bank - Local Currency , Current Account 111 425,334.23 Other Payables 439 15,694.00 Payment of Salaries and Wages thru Bank - ABAIS, RICARDO D. ET AL FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002175 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 705 205,911.38 711 132,000.00 111 337,911.38 Payment of Salaries and Wages thru Bank - ABELLA, CHARLITO R. ET AL FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002177 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 130,814.02 711 190,000.00 Cash in Bank - Local Currency , Current Account 111 311,656.58 Other Payables 439 9,157.44 Payment of Salaries and Wages thru Bank - ABELGAS, JAIME C. ET AL FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002179 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 286,745.16 711 248,000.00 Cash in Bank - Local Currency , Current Account 111 525,855.16 Other Payables 439 8,890.00 Payment of Salaries and Wages thru Bank - MACASUHOT, TIMOTEO R. ET AL FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002180 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 85,209.32 711 58,000.00 Cash in Bank - Local Currency , Current Account 111 133,919.32 Other Payables 439 9,290.00 Payment of Salaries and Wages thru Bank - ALBARACIN, ERLINDA DP. ET AL FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002181 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 39,372.90 711 32,000.00 Cash in Bank - Local Currency , Current Account 111 70,072.90 Other Payables 439 1,300.00 Payment of Salaries and Wages thru Bank - AGUILAR, JOVENCIO A. ET AL FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002182 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 34,754.27 711 24,000.00 Cash in Bank - Local Currency , Current Account 111 58,054.27 Other Payables 439 700.00 Payment of Salaries and Wages thru Bank - ABELLA, EDGARDO N. ET AL FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002185 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 705 71,964.66 711 56,000.00 111 127,964.66 Payment of Salaries and Wages thru Bank - ABUEVA, DENNIS S. ET AL FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002186 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 30,379.98 711 24,000.00 Cash in Bank - Local Currency , Current Account 111 46,715.73 Other Payables 439 7,664.25 Payment of Salaries and Wages thru Bank - ALARDE, AIDA F. ET AL FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002187 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 53,662.02 711 48,000.00 Cash in Bank - Local Currency , Current Account 111 98,018.27 Other Payables 439 3,643.75 Payment of Salaries and Wages thru Bank - ABELLA, ANANIAS JR. D. ET AL FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002188 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 48,807.99 711 28,000.00 Cash in Bank - Local Currency , Current Account 111 75,547.99 Other Payables 439 1,260.00 Payment of Salaries and Wages thru Bank - ARCHE, ANDRES U. ET AL FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002189 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 497,938.88 711 286,000.00 Cash in Bank - Local Currency , Current Account 111 760,138.88 Other Payables 439 23,800.00 Payment of Salaries and Wages thru Bank - ABADIANO, EARL G. ET AL FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002190 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 181,291.68 711 90,000.00 Cash in Bank - Local Currency , Current Account 111 266,821.68 Other Payables 439 4,470.00 Payment of Salaries and Wages thru Bank - ABENDAN, RABI V. ET AL FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002192 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 74,501.78 711 68,000.00 Cash in Bank - Local Currency , Current Account 111 132,050.78 Other Payables 439 10,451.00 Payment of Salaries and Wages thru Bank - BARDOS, FILOMENA N. ET AL FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002193 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 217,342.91 711 120,000.00 Cash in Bank - Local Currency , Current Account 111 330,052.91 Other Payables 439 7,290.00 Payment of Salaries and Wages thru Bank - ABANGAN, GRENILO R. ET AL FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002194 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 48,096.02 711 26,000.00 Cash in Bank - Local Currency , Current Account 111 69,490.05 Other Payables 439 4,605.97 Payment of Salaries and Wages thru Bank - ABUGAN, PORTIA A. ET AL FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002195 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 705 100,790.45 711 48,000.00 111 148,790.45 Payment of Salaries and Wages thru Bank - AGUHAR, ANTHONY V. ET AL FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002196 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 62,267.47 711 56,000.00 Cash in Bank - Local Currency , Current Account 111 117,167.47 Other Payables 439 1,100.00 Payment of Salaries and Wages thru Bank - ALEGADO, JAMES O. ET AL FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002197 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 109,953.60 711 94,000.00 Cash in Bank - Local Currency , Current Account 111 197,896.60 Other Payables 439 6,057.00 Payment of Salaries and Wages thru Bank - ABELLAR, ESMERALDO T. ET AL FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002201 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 70,865.86 711 72,000.00 Cash in Bank - Local Currency , Current Account 111 140,265.86 Other Payables 439 2,600.00 Payment of Salaries and Wages thru Bank - ABELLANA, ANTONIETTA G. ET AL FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002206 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 81,862.66 711 78,000.00 Cash in Bank - Local Currency , Current Account 111 157,392.33 Other Payables 439 2,470.33 Payment of Salaries and Wages thru Bank - ARDISA, RUFINO P. ET AL FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002221 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 91,151.47 711 52,000.00 Cash in Bank - Local Currency , Current Account 111 141,501.47 Other Payables 439 1,650.00 Payment of Salaries and Wages thru Bank - ABAÑO, JOSELITO N. ET AL FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002222 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 141,082.44 711 128,000.00 Cash in Bank - Local Currency , Current Account 111 251,459.44 Other Payables 439 17,623.00 Payment of Salaries and Wages thru Bank - ABELLA, PONCIANO R. ET AL FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002223 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 35,067.81 711 42,000.00 Cash in Bank - Local Currency , Current Account 111 74,867.81 Other Payables 439 2,200.00 Payment of Salaries and Wages thru Bank - ARNIBAL, RICHIE Y. ET AL FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002225 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 257,589.28 711 172,000.00 Cash in Bank - Local Currency , Current Account 111 414,016.53 Other Payables 439 15,572.75 Payment of Salaries and Wages thru Bank - ABAINZA, ANGELES C. ET AL FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002226 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 705 5,928.25 711 2,000.00 111 5,128.25 Other Payables 439 2,800.00 Payment of Salaries and Wages thru Bank - ESPINA, JENNIFER B. FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002227 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 71,211.00 711 88,000.00 Cash in Bank - Local Currency , Current Account 111 158,411.00 Other Payables 439 800.00 Payment of Salaries and Wages thru Bank - ABELLA, ROGER Y. ET AL FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002228 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 79,892.33 711 82,000.00 Cash in Bank - Local Currency , Current Account 111 161,692.33 Other Payables 439 200.00 Payment of Salaries and Wages thru Bank - ARCILLO, RENARIO J. ET AL FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002229 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 705 35,124.86 711 20,000.00 111 55,124.86 Payment of Salaries and Wages thru Bank - AGUHAR, ARLENE O. ET AL FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002231 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 705 3,397.61 711 2,000.00 111 5,397.61 Payment of Salaries and Wages thru Bank - ALAYRE, ROGELIO R. FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002232 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 37,391.44 711 28,000.00 Cash in Bank - Local Currency , Current Account 111 64,891.44 Other Payables 439 500.00 Payment of Salaries and Wages thru Bank - ALICAYA, VON BRYAN M. ET AL FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002235 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 79,014.52 711 62,000.00 Cash in Bank - Local Currency , Current Account 111 136,945.77 Other Payables 439 4,068.75 Payment of Salaries and Wages thru Bank - ABELLA, MELINDA A. ET AL FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002237 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 127,395.70 711 148,000.00 Cash in Bank - Local Currency , Current Account 111 271,295.70 Other Payables 439 4,100.00 Payment of Salaries and Wages thru Bank - ABALLE, FELIX B. ET AL FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002239 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 705 4,377.48 711 4,000.00 111 8,377.48 Payment of Salaries and Wages thru Bank - PESQUERA, VIVIAN G. ET AL FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002240 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 705 10,130.23 711 6,000.00 111 16,130.23 Payment of Salaries and Wages thru Bank - CASAGAN, LOUIS HENDERSON T. ET AL FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002241 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 16,919.92 711 18,000.00 Cash in Bank - Local Currency , Current Account 111 34,819.92 Other Payables 439 100.00 Payment of Salaries and Wages thru Bank - ALIÑO, EVERNESTO JR. W. ET AL FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002243 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 19,265.74 711 18,000.00 Cash in Bank - Local Currency , Current Account 111 36,285.74 Other Payables 439 980.00 Payment of Salaries and Wages thru Bank - ABASIA, ROY F. ET AL FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002246 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 705 986.23 711 2,000.00 111 2,986.23 Payment of Salaries and Wages thru Bank - GIPUIT, SHIRLEY H. FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002248 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 18,354.35 711 14,000.00 Cash in Bank - Local Currency , Current Account 111 29,504.35 Other Payables 439 2,850.00 Payment of Salaries and Wages thru Bank - ARDIMER, BENGIE B. ET AL FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002258 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 32,099.85 711 14,000.00 Cash in Bank - Local Currency , Current Account 111 44,149.85 Other Payables 439 1,950.00 Payment of Salaries and Wages thru Bank - BACALSO, ANNABELLE A. ET AL FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002260 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 16,720.93 711 22,000.00 Cash in Bank - Local Currency , Current Account 111 37,920.93 Other Payables 439 800.00 Payment of Salaries and Wages thru Bank - ARDIMER, JULITO L. ET AL FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002265 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 29,837.76 711 28,000.00 Cash in Bank - Local Currency , Current Account 111 56,137.76 Other Payables 439 1,700.00 Payment of Salaries and Wages thru Bank - ADLAO, CONRADO D. ET AL FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002268 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 7,832.86 711 10,000.00 Cash in Bank - Local Currency , Current Account 111 17,532.86 Other Payables 439 300.00 Payment of Salaries and Wages thru Bank - CUIZON, WILFREDO JR. R. ET AL FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002271 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 16,084.76 711 14,000.00 Cash in Bank - Local Currency , Current Account 111 27,980.26 Other Payables 439 2,104.50 Payment of Salaries and Wages thru Bank - AZNAR, ARSENIA Q. ET AL FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002273 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 705 5,869.90 711 2,000.00 111 7,869.90 Payment of Salaries and Wages thru Bank - CALVO, MARIO DENNIS A. FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002275 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 705 3,230.93 711 2,000.00 111 5,230.93 Payment of Salaries and Wages thru Bank - CAMO, NOLITA A. FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002280 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 705 6,770.02 711 8,000.00 111 14,770.02 Payment of Salaries and Wages thru Bank - PACAÑA, KHADAFY IAN P. ET AL FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002295 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 2,261.88 711 2,000.00 Cash in Bank - Local Currency , Current Account 111 3,719.82 Other Payables 439 542.06 Payment of Salaries and Wages thru Bank - SAAVEDRA, ANIE V. FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002297 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 2,338.26 711 2,000.00 Cash in Bank - Local Currency , Current Account 111 3,404.51 Other Payables 439 933.75 Payment of Salaries and Wages thru Bank - TENEFRANCIA, NOLI G. FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002299 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 705 17,259.80 711 12,000.00 111 29,259.80 Payment of Salaries and Wages thru Bank - DEJILLAS, RITA MAE R. ET AL FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002303 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 705 39,092.77 711 14,000.00 111 48,857.77 Other Payables 439 4,235.00 Payment of Salaries and Wages thru Bank - ALINSON, FELICIANO JR. M. ET AL FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002307 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 3,997.81 711 2,000.00 Cash in Bank - Local Currency , Current Account 111 2,997.81 Other Payables 439 3,000.00 Payment of Salaries and Wages thru Bank - VELOSO, LYNETTE SOCORRO B. FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002310 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 14,642.04 711 10,000.00 Cash in Bank - Local Currency , Current Account 111 21,162.04 Other Payables 439 3,480.00 Payment of Salaries and Wages thru Bank - CASTAÑEDA, NORMAN D. ET AL FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002313 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 705 7,096.45 711 2,000.00 111 9,096.45 Payment of Salaries and Wages thru Bank - SANTIAGO, REYNALDO B. FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002336 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 43,481.83 711 26,000.00 Cash in Bank - Local Currency , Current Account 111 68,431.83 Other Payables 439 1,050.00 Payment of Salaries and Wages thru Bank - CORTES, SERAPION JR. L. ET AL FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002337 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 705 8,718.92 711 4,000.00 111 12,718.92 Payment of Salaries and Wages thru Bank - STA. CRUZ, MEVELYN A. ET AL FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002341 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 705 5,211.21 711 2,000.00 111 7,211.21 Payment of Salaries and Wages thru Bank - ALCESTO, VICENTE G. FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002344 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 705 4,652.39 711 2,000.00 111 6,652.39 Payment of Salaries and Wages thru Bank - BORDADORA, NORA G. ET AL FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002347 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 120,412.24 711 78,000.00 Cash in Bank - Local Currency , Current Account 111 187,602.24 Other Payables 439 10,810.00 Payment of Salaries and Wages thru Bank - ABAD, LOLITA Q. ET AL FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002351 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 3,386.94 711 2,000.00 Cash in Bank - Local Currency , Current Account 111 4,196.94 Other Payables 439 1,190.00 Payment of Salaries and Wages thru Bank - ZAPANTA, FELIXBERTO M. FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-002354 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 705 3,188.62 711 2,000.00 111 5,188.62 Payment of Salaries and Wages thru Bank - EMIA, MARK E. FOR JANUARY 1-31, 2010 (2ND HALF) Jan 28 2010-01-003777 Due to BIR 412 Cash in Bank - Local Currency , Current Account 1,322.77 111 1,322.77 Refund of Excess Employees Taxes, Loans and Premiums - OPOLENTISIMA, THELMA B. AS EXCESS WITHHOLDING TAX FOR 2009. Jan 28 2010-01-003778 Salaries and Wages - Casual 705 65,200.50 Life and Retirement Insurance Contributions 731 15,648.12 PAG-IBIG Contributions 732 700.00 PHILHEALTH Contributions 733 1,587.50 ECC Contributions 734 815.90 Cash in Bank - Local Currency , Current Account 111 36,000.54 Due to BIR 412 15,176.37 Due to GSIS 413 28,200.11 Due to PAG-IBIG 414 1,400.00 Due to PHILHEALTH 415 3,175.00 Payment of Salaries and Wages thru Bank - CAMONGGOL, MARY ESTER Y. ET AL FOR JANUARY 1-15, 2010 Jan 29 2010-01-001242 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 7,287.66 111 7,287.66 Payment for Due to Officers and Employees -FRANCISCO L. FERNANDEZ PAYMENT OF TRAVEL EXPENSES IN MANILA ON DECEMBER 1, 2009. Ck#210936 Jan 29 2010-01-001243 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 2,555.00 111 2,555.00 Payment for Due to Officers and Employees- JOSEH BERNALDEZ TO PAYMENT OF COMMUNICATION SERVICES FOR OCT. 21, TO NV. 20, 2009. Ck#116320 Jan 29 2010-01-001245 Due to Other NGAs 416 Cash in Bank - Local Currency , Current Account 2,500.00 111 2,500.00 Payment for Communication Expenses- OSCAR CAPACIO TO PAYMENT FOR OCT. 10 TO NOV. 9, 2009. Ck#116321 Jan 29 2010-01-001246 Accounts Payable 401 1,048.78 Cash in Bank - Local Currency , Current Account 111 1,001.96 Due to BIR 412 46.82 Payment for Accounts Payable- PLDT TO PAYMENTOF COMMUNICATION SERVICES FOR NOV. 16 TO DEC. 15, 2009. Ck#116324 Jan 29 2010-01-001247 Due to LGUs 418 Cash in Bank - Local Currency , Current Account 111 40,000.00 40,000.00 Payment for Inter-Agency Payable- BARANGAY SUBA Ck#116327 Jan 29 2010-01-001248 Accounts Payable 401 Cash in Bank - Local Currency , Current Account FINANCIAL ASSISTANCE OF BRGY SUBA GARBAGE COLLECTION PERSONNEL FOR JULY 1 TO AUGUST 31, 2009. 5,000.00 111 5,000.00 Payment of Medical and Burial Assistance- FRANCISCA SARAUM Jan 29 2010-01-001249 Accounts Payable 401 Cash in Bank - Local Currency , Current Account PAYMENT OF BURIAL ASSISTANCE. Ck#116328 5,000.00 111 5,000.00 Payment of Medical and Burial Assistance- GILBERT MENDOZA PAYMENT OF BURIAL ASSISTANCE. Ck#116329 Jan 29 2010-01-001250 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Medical and Burial Assistance- RODRIGO JUEZAN Jan 29 2010-01-001251 Due to GSIS 413 Cash in Bank - Local Currency , Current Account PAYMENT OF BURIAL ASSISTANCE. Ck#116330 1,687.23 111 1,687.23 Refund of Excess Employees Taxes, Loans and Premiums- BENEDICT SIMEON M. ALCANTARA REFUND THE GSIS CONSOLOAN PAYMENT FOR JANUARY 2010. Ck#116331 Jan 29 2010-01-001252 Due to PAG-IBIG 414 Cash in Bank - Local Currency , Current Account 1,522.12 111 1,522.12 Refund of Excess Employees Taxes, Loans and Premiums- SY, JOHNNY Jan 29 2010-01-001253 Accounts Payable 401 REFUND OF PAG-IBIG LOAN PAYMENT FOR JANUARY 2010. Ck#116332 7,037.04 Cash in Bank - Local Currency , Current Account 111 6,722.89 Due to BIR 412 314.15 Payment for Accounts Payable- PLDT PAYMENT OF COMMUNICATION SERVICE FOR DEC. 11, 2009 TO JAN. 10, 2010 Ck#703694 Jan 29 2010-01-001254 Accounts Payable 401 4,533.98 Cash in Bank - Local Currency , Current Account 111 4,331.57 Due to BIR 412 202.41 Payment for Accounts Payable- PLDT PAYMENT OF COMMUNICATION SERVICES FOR DEC. 17 2009 TO JAN. 16, 2010. Ck#703696 Jan 29 2010-01-002062 Due from LGUs 138 6.00 Cash in Bank - Local Currency , Current Account 111 6.00 Transfer of Funds to Other NGAs, GOCCs, LGUs, NGOs/POs for Implementation of Project (FINANCIAL ASSISTANCE) - To take up into account adjustment on JEV#2009-12-035993 representing financial assistance to Barangay Tisa which was inadvertently recorded. Jan 29 2010-01-002098 Other Personnel Benefits 749 Cash in Bank - Local Currency , Current Account 130,000.00 111 130,000.00 Payment of Allowances, Bonus and Other Compensation - ALFEREZ, MARILOU G. et al as Loyalty Bonus Jan 29 2010-01-002220 Salaries and Wages - Casual 705 135,552.00 Life and Retirement Insurance Contributions 731 32,532.48 PAG-IBIG Contributions 732 2,400.00 PHILHEALTH Contributions 733 3,325.00 ECC Contributions 734 2,515.03 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 96,693.00 8,217.48 Due to GSIS 413 59,785.55 Due to PAG-IBIG 414 4,978.48 Due to PHILHEALTH 415 6,650.00 Payment of Salaries and Wages thru Bank - ACAR, DEXTER RENA et al for January 1-15, 2010 Jan 29 2010-01-002437 Salaries and Wages - Casual 705 9,958.50 Life and Retirement Insurance Contributions 731 2,390.04 PAG-IBIG Contributions 732 200.00 PHILHEALTH Contributions 733 237.50 ECC Contributions 734 192.06 Cash in Bank - Local Currency , Current Account 111 7,389.79 Due to GSIS 413 4,713.31 Due to PAG-IBIG 414 400.00 Due to PHILHEALTH 415 475.00 Payment of Salaries and Wages thru Bank - ARITA, LEA B. et al for January 1-15, 2009 Jan 29 2010-01-002441 Other Personnel Benefits 749 Cash in Bank - Local Currency , Current Account 10,000.00 111 10,000.00 Payment of Allowances, Bonus and Other Compensation - CABUSAS, RICARDO G. ET AL AS LOYALTY BONUS Jan 29 2010-01-002443 Other Personnel Benefits 749 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Allowances, Bonus and Other Compensation - DELA VICTORIA, MATIAS L. AS LOYALTY BONUS Jan 29 2010-01-002449 Salaries and Wages - Casual 705 26,338.00 Personnel Economic Relief Allowance (PERA) 711 8,000.00 Life and Retirement Insurance Contributions 731 3,160.56 PAG-IBIG Contributions 732 400.00 PHILHEALTH Contributions 733 312.50 ECC Contributions 734 263.38 Cash in Bank - Local Currency , Current Account 111 23,484.63 Due to GSIS 413 5,794.36 Due to PAG-IBIG 414 4,398.14 Due to PHILHEALTH 415 625.00 Other Payables 439 4,172.31 Payment of Salaries and Wages thru Bank - BORRES, ROBERTO JR. T. et al for January 1-31, 2010 (1st and 2nd Half) Jan 29 2010-01-004928 Accounts Payable 401 Cash - Disbursing Officers Accounts Payable Jan 29 4,964,000.00 103 2,886,000.00 401 2,078,000.00 Payment for Other Maintenance and Other Operating Expenses - ABANTO, EVANGELINE ET. AL.... UNCLAIMED ADDITIONAL FINANCIAL ASSISTANCE FOR SENIOR CITIZENS OF CEBU CITY. Ref: 12/31/09 - JEV-2009-12-038374 12/31/09 - JEV-2009-12-038429 12/31/09 - 2010-01-006269 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 111 6,615.00 5,929.88 Due to BIR 412 354.37 Performance/Bidders/Bail Bonds Payable 427 330.75 Payment for Accounts Payable - SAM 23 payment for 100 tins beef loaf and other items which were distributed to the fire victims in barangay Sta. Cruz which occured last August 16, 2008 Ck#208531 Feb 1 2010-02-001478 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment for Other Maintenance and Other Operating Expenses - PETRA AMAD PAYMENT OF BURIAL ASSISTANCE Ck#698023 Feb 1 2010-02-001480 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Feb 1 1 316,989.22 412 17,942.78 Payment for Accounts Payable - KIMBERSUN LUMBER & CONSTRUCTION SUPPLY PAYMENT OF VARIOUS CONST. MATERIALS AND OTHER ITEMS 210937 - CTV NO. 1105 = P311,008.29 - KIMBERSUN LUMBER & CONST. SUPPLY CHECK NO. 210938 - CTV NO. 11 2010-02-001483 Accounts Payable 401 111 209,325.17 Due to BIR 412 13,248.43 439 24,730.40 Payment for Accounts Payable - CEBU D & ENTERPRISES PAYMENT OF POLO SHIRTS , LACOSTE MATERIAL WITH KNITTED COLLAR AND CUFF CTV NO. 1109 = P204,909.03 - CEBU D & F ENTERPRISES CHECK NO. 210940 CTV NO. 1108 = 4,4 2010-02-001525 Due to Officers and Employees 403 CHECK NO. 247,304.00 Cash in Bank - Local Currency , Current Account Other Payables Feb 334,932.00 111 CHECK NO. 210941 2,744.88 Cash in Bank - Local Currency , Current Account 111 2,744.88 Payment for Due to Officers and Employees - JEROME G. ANG REIMBURSEMENT FOR PAYMENT OF GLOBE COMM. SERVICES FOR THE MONTH OF NOVEMBER 1 - 30, 2009. Ck#210943 Feb 1 2010-02-001527 Other Payables 439 4,000.00 Cash in Bank - Local Currency , Current Account 111 4,000.00 Refund of Overpayment of Collection of Income/Receivable Accounts - CINDY GRENESSA C. MALASARTE O. R. NO. 8845512 DTD. 03/27/2009. Ck#210944 Feb 1 2010-02-001532 Due to Officers and Employees 403 REFUND RENTAL OF GARDEN SPACE AT FORT SAN PEDRO UNDER 4,800.79 Cash in Bank - Local Currency , Current Account 111 3,815.10 Due to GSIS 413 752.83 Due to PAG-IBIG 414 132.86 Due to PHILHEALTH 415 100.00 Payment of Salaries and Wages thru Bank - PAOLA MA. L. ALGARME PAYMENT OF FIRST SALARY FOR THE MONTH OF DEC. 1 - 31, 2009. Ck#210942 Feb 1 2010-02-001533 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 1,000.00 111 1,000.00 Payment for Due to Officers and Employees -MARE VAE F. REYES REIMBURSMENT OF COMM. SERV. FOR OCTOBER 10 - NOV. 9, 2009. Ck#210945 Feb 1 2010-02-001536 Insurance Expenses 893 3,250.00 Cash in Bank - Local Currency , Current Account 111 3,250.00 Payment for Taxes, Premiums and Other Fees- ESTER E. CUBERO REIMBURSEMENT FOR THE PAYMENT OF THE SMOKE EMISSION TEST OF 45 UNITS CITY-OWNED MOTOR VEHICLES Ck#210946 Feb 1 2010-02-001544 Due to Other NGAs 416 Cash in Bank - Local Currency , Current Account 111 3,500.00 3,500.00 Payment for Communication Expenses -NICOLAS C. SELLON REIMBURSEMENT OF SMART COMM. SERVICES FOR THE MONTH OF OCTOBER 10 - NOV. 9, 2009. Ck#210947 Feb 1 2010-02-001552 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 3,000.00 111 3,000.00 Payment for Due to Officers and Employees - LEIZL C.GONZAGA REIMBURSEMENT OF COMM. SEV. FOR THE MONTH OF DECMBER 2009. Ck#210948 Feb 1 2010-02-001556 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 1,223.91 111 1,223.91 Payment for Due to Officers and Employees - RONALDO D. MALACORA REIMBURSEMENT OF COMM. SERV. FOR NOV. 10 - DEC. 9, 2009. Ck#210949 Feb 1 2010-02-001559 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 3,500.00 111 3,500.00 Payment for Due to Officers and Employees - FE A. CABUGAO REIMBURSEMENT OF COMM. SERVICES FOR SEPT. 27-OCT. 26, 2009. Ck#210950 Feb 1 2010-02-001560 Due to Officers and Employees 403 27,000.00 Cash in Bank - Local Currency , Current Account 111 24,300.00 Due to BIR 412 2,700.00 Payment for Due to Officers and Employees - EDGARDO CANTON PAYMENT OF HONORARIUM AS CONSUTANT FOR OCT.1 - DEC. 31, 2009. Ck#210951 Feb 1 2010-02-001562 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 2,700.00 111 2,700.00 Payment for Due to Officers and Employees - RICO ABELLANOSA REIMB. OF TRAVELLING EXPENSES FOR THE MONTH OF DECEMBER 1 - 15, 2009. Ck#210952 Feb 1 2010-02-001564 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 2,700.00 111 2,700.00 Payment for Due to Officers and Employees - ELEODORO DIAZ IV REIMB. OF TRAVELLING EXPENSES FOR THE MONTH OF FEBRUARY 2-27, 2009. Ck#210953 Feb 1 2010-02-001567 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 1,116.00 111 1,116.00 Payment for Due to Officers and Employees - MANLOSA , EDWIN REIMB. OF TRAVELLING EXPENSES FROM DECEMBER 1 - 31, 2009. Ck#210955 Feb 1 2010-02-001572 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account Due to BIR Feb 1 18,000.00 111 16,200.00 412 1,800.00 Payment for Due to Officers and Employees - VIRGINIA TELESFORA B. REDELOSA, JR. PYMT. OF CONSULTANCY FEE FOR THE MONTH OF AUGUST - SEPTEMBER 2009. Ck#210956 2010-02-001573 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 3,660.00 111 3,660.00 Payment for Due to Officers and Employees - EUGENIO F. FAELNAR REIMB. OF COMM. SERV. OF GLOBE TELECOM FOR OCTOBER 27 - NOVEMBER 26, 2009. Ck#210957 Feb 1 2010-02-001575 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 2,902.50 111 2,902.50 Payment for Due to Officers and Employees- VERONICA A. MORELOS REIMB. OF COMM.SERVICES FROM NOV. 10- DEC.9, 2009. Ck#210959 Feb 1 2010-02-001583 Other Maintenance and Other Operating Expenses 969 3,600.00 Cash in Bank - Local Currency , Current Account 111 3,600.00 Payment for Training Expenses - JALUAGUE, VICENTA REIMB. OF REGISTRATION FEE INCURRED DURING 7TH INTL.NURSING CONFERENCE HELD ON JANUARY 7 -9, 2010. Ck#210960 Feb 1 2010-02-001588 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 18,000.00 16,200.00 1,800.00 Payment for Due to Officers and Employees - ALJOSEPH CEDEÑO Feb 1 2010-02-001589 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account CONSULTANCY FEE FOR THE MONTH OF DECEMBER 2009. Ck#210962 2,700.00 111 2,700.00 Payment for Due to Officers and Employees - JERONE CASTILLO REIMB. OF TRAVELLING EXPENSES FOR THE MONTH OF JANUARY 1 - 30, 2009. Ck#210963 Feb 1 2010-02-001590 Due to Officers and Employees 403 15,500.00 Cash in Bank - Local Currency , Current Account 111 12,600.00 Due to BIR 412 2,900.00 Payment for Due to Officers and Employees - FRANCISCO FERNANDEZ ET.AL. PYMT. OF HONORARIUM- MARKET AUTHORITY - DECEMBER 2009. Ck#210967 Feb 1 2010-02-001591 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Medical and Burial Assistance - ARLENE LADEZA PAYMENT OF BURIAL ASSISTANCE. Ck#210968 Feb 1 2010-02-001592 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Medical and Burial Assistance - HIPOLITO ZARATAN PYMT. OF BURIAL ASSISTANCE . Ck#210969 Feb 1 2010-02-001593 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Feb 1 53,000.00 111 50,350.00 412 2,650.00 Payment for Accounts Payable - LOLA MARY'S CATERING PAYMENT OF MEALS AND SNACKS PER PR#09-1253 DTD 10-15-2009. P48,842.50 - LOLA MARY'S CATERING SERVICES CHECK NO. 210972 CTV NO. 1140 = 1,507.50 - CEBU 2010-02-001659 Accounts Payable 401 CHECK NO. 210971 CTV NO. 1139 = 5,000.00 Cash in Bank - Local Currency , Current Account 111 5,000.00 Payment for Other Maintenance and Other Operating Expenses - SANCHEZ , METHUSELLAH PYMT. FOR UNDERPAID HONORARIUM FOR THE MONTH OF DECEMBER 2009. Ck#210961 Feb 1 2010-02-001662 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 25,000.00 111 25,000.00 Payment of Medical and Burial Assistance -RANULFO Z. CABUENAS PAYMENT OF BURIAL ASSISTANCE OF LATE VET. ESPERIDION CABUENAS. Ck#210965 Feb 1 2010-02-001671 Prior Years' Adjustments 684 Cash in Bank - Local Currency , Current Account Due to BIR Feb 1 2010-02-001673 Representation Allowance (RA) Transportation Allowance (TA) 157,912.00 111 149,452.43 412 8,459.57 Payment for Other Maintenance and Other Operating Expenses - SUGECO PYMT. OF 100 CYLINDERS ACETYLENE AND OTHER ITEMS P146,132.57 - SUGECO CHECK NO. 210974 CTV NO. 1142 = 2,819.86 - CEBU CITY TREA 713 6,300.00 714 6,300.00 CHECK NO. 210973 CTV NO. 1141 = Cash in Bank - Local Currency , Current Account 111 12,600.00 Payment of Allowances, Bonus and Other Compensation - WILLIAM CRIS V. ARTAJO PYMT. OF REPRESENTATION AND TRANSPORTATION ALLOWANCE FOR THE MONTH OF FEBRUARY 2010. Ck#210976 Feb 1 2010-02-001675 Representation Allowance (RA) Transportation Allowance (TA) 713 5,500.00 714 5,500.00 Cash in Bank - Local Currency , Current Account 111 11,000.00 Payment of Allowances, Bonus and Other Compensation - CELSO ESTEBAN F. JIMENEA PYMT. OF REPRESENTATION AND TRANSPORTATION ALLOWANCE FOR THE MONTH OF FEBRUARY 2010. Ck#210977 Feb 1 2010-02-001680 Representation Allowance (RA) 713 6,300.00 Cash in Bank - Local Currency , Current Account 111 6,300.00 Payment of Allowances, Bonus and Other Compensation - CATHERINE R. YSO PAYMENT OF REPRESENTATION ALLOWANCE FOR THE MONTH OF FEBRUARY 2010. Ck#210978 Feb 1 2010-02-001683 Representation Allowance (RA) Transportation Allowance (TA) 713 6,300.00 714 6,300.00 Cash in Bank - Local Currency , Current Account 111 12,600.00 Payment of Allowances, Bonus and Other Compensation - NIGEL PAUL C. VILLARETE PYMT. OF REPRESENTATION AND TRANS. ALLOW. FOR THE MONTH OF FEBRUARY 2010. Ck#210979 Feb 1 2010-02-001688 Representation Allowance (RA) Transportation Allowance (TA) 713 5,500.00 714 5,500.00 Cash in Bank - Local Currency , Current Account 111 11,000.00 Payment of Allowances, Bonus and Other Compensation - MA. CONCEPCION T. ENCABO PYMT. OF REP. AND TRANS. ALLOW. FOR THE MONTH OF FEBRUARY 2010. Ck#210980 Feb 1 2010-02-001694 Representation Allowance (RA) 713 5,500.00 Cash in Bank - Local Currency , Current Account 111 5,500.00 Payment of Allowances, Bonus and Other Compensation - VERONICA A. MORELOS PYMT. OF REPRESENTATION ALLOWANCE FOR THE MONTH OF FEBRUARY 2010. Ck#210981 Feb 1 2010-02-001698 Representation Allowance (RA) Transportation Allowance (TA) 713 6,300.00 714 6,300.00 Cash in Bank - Local Currency , Current Account 111 12,600.00 Payment of Allowances, Bonus and Other Compensation - FRANCISCO L. FERNANDEZ PYMT. OF REPRESENTATION AND TRANS. ALLOW. FOR THE MONTH OF FEBRUARY 2010. Ck#210982 Feb 1 2010-02-001704 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Feb 1 401 Cash in Bank - Local Currency , Current Account Feb 1 2010-02-001737 Due from Other Funds 88,036.78 412 4,983.22 Payment for Accounts Payable - SACHEM MARKETING PYMT. OF SUPPLY AND DELIVERY OF 10 ROLLS TEFLON, ETC. SACHEM MARKETING CHECK NO. 210984 CTV NO. 1152 = 1,661.07 - CEBI CITY TREASURER - FOR 2010-02-001731 Accounts Payable Due to BIR 93,020.00 111 CHECK NO. 210983 CTV NO. 1151 = P86,375.71 - 21,349.50 111 20,205.77 412 1,143.73 Payment for Accounts Payable - ANGEL'S SPORTSWEAR PAYMENT OF 129 T-SHIRTS PER PR#09-1083 DTD. 9-10-09. CHECK NO. 210985 CTV NO. 1153 = P19,958.27 ANGEL'S SPORTSWEAR CHECK NO. 210986 CTV NO. 1154 = 247.50 - CEBU CITY GOVERNMENT - FOR PAY 144 11,262.50 Cash in Bank - Local Currency , Current Account 111 11,262.50 Payment for Accounts Payable - TRISALES BUS. SYSTEMS CORP PAYMENT OF 5 BOTTLES TONER PER PR#09-787 DTD. 6-25-2009. (GF- ABATTOIR ERRONEOUSLY PAID BY GF-PROPER) CHECK NO. 242201 CTV NO. 1155 = P10,704.46 - TRISALES BUS. SYSTEMS CORP. CHECK NO. 242 Feb 1 2010-02-001738 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Feb 1 401 Cash in Bank - Local Currency , Current Account Feb 1 1 1 401 1 13,815.00 412 750.00 439 435.00 Payment for Accounts Payable - CRISMARK GENERAL MERCHANDISE PAYMENT OF TEN PIECES OF PLAQUES PER PR#09-1043 DTD8-28-2009. CHECK NO. 242209 CTV NO. 1163 = 13,515.00 - CRISMARK GEN. MDSE. CHECK NO. 242210 CTV NO. 1164 = 300.00 - CEBU CIT 2010-02-001775 Accounts Payable 401 1,794.00 Cash in Bank - Local Currency , Current Account 111 1,679.96 Due to BIR 412 96.10 439 17.94 Payment for Accounts Payable - CEBU DE ORO EDUCATIONAL SUPPLY PYMT. OF OFFICE SUPPLIES/MIMEOGRAPHING PAPER PER#09-412 DTD.3-27-09 CHECK NO. 242211 CTV NO. 1165 = P1,647.92 - CEBU DE ORO EDUCATIONAL SUPPLY CHECK NO. 242214 CTV NO. 1168 3 2010-02-001778 Accounts Payable 401 757.50 Cash in Bank - Local Currency , Current Account 111 685.85 Due to BIR 412 40.59 439 31.06 Payment for Accounts Payable - CEBU D & F ENTERPRISES PYMT. OF SUPPLIES FOR JOBS FAIR ON 6-20-2009 OF DMDP PER PR#04-576DTD. 5-6-2009. CHECK NO. 242215 CTV NO. 1169 = P672.32 - CEBU D & F ENTERPRISES CHECK NO. 242216 CTV NO. 1170 = 13.53 - C 2010-02-001783 Accounts Payable 401 Due to BIR 1 15,000.00 Due to BIR Cash in Bank - Local Currency , Current Account Feb 2,686.32 111 Other Payables Feb 2,865.41 111 Cash in Bank - Local Currency , Current Account Other Payables Feb 1,036.61 PAYMENT OF 1 PC. UNIT ASSY AND OTHER ITEMS PER PR#09-351 DTD. 3-13-2009 AND PO#944 DTD. 7- 412 179.09 Payment for Accounts Payable - THE FREEMAN PAYMENT OF NEWSPRINT PUBLICATION FOR THE 2009 LABOR DAY CELEBRATION OF CEBU CITY TRIPARTITE INDUSTRIAL PEACE COUNCIL. CHECK NO. 242207 CTV NO. 1161 = P2,667.13 - THE FREEMAN CHECK NO. 242208 CTV NO. 1162 2010-02-001773 Accounts Payable Other Payables Feb 18,313.39 412 Payment for Accounts Payable - TRISALES BUS. SYSTEMS CORP. 28-2009. Ck#242203 2010-02-001770 Accounts Payable Due to BIR 19,350.00 111 38,300.00 111 36,385.00 412 1,915.00 Payment for Accounts Payable - LOLA MARY'S CATERING SERVICES PYMT. OF FOODS FOR LOCAL JOBS FAIR OF DMDP PER PR#09-1039 DTD. 8-27-09. CHECK NO. 242217 CTV NO. 1171 = P35,105.75 - LOLA MARY'S CATERING CHECK NO.242218 CTV NO. 1172 = 1,279.25 - 2010-02-001785 Accounts Payable 401 14,625.00 Cash in Bank - Local Currency , Current Account 111 13,893.75 Due to BIR 412 731.25 Payment for Accounts Payable - LOLA MARY'S CATERING PAYMENT OF 75 PAX BUFFET LUNCH PER PR#09-1437-A DTD. 11-09-09. Feb 1 2010-02-001787 Accounts Payable 401 18,720.00 Cash in Bank - Local Currency , Current Account 111 17,717.15 Due to BIR 412 1,002.85 Ck#242219 Payment for Accounts Payable - CFG TBA DISTRIBUTORS PYMT. OF 4 PCS. TIRES PER PR#09-900-B DTD. 7-27-2009 & PO#1256 DTD. 09-18-2009 CHECK NO. 242222 CTV NO. 1176 = P17,382.29 - CFG TBA DISTRIBUTORS CHECK NO. 242221 CTV NO. 1175 = 334.86 Feb 1 2010-02-001789 Due to Officers and Employees 403 18,000.00 Cash in Bank - Local Currency , Current Account 111 16,200.00 Due to BIR 412 1,800.00 Payment for Due to Officers and Employees - JESUS DELA PDEÑA CONSULTANCY FEE FOR THE MONTH OF NOVEMBER 2009. Ck#242226 Feb 1 2010-02-001826 Accounts Payable 401 450,000.00 Cash in Bank - Local Currency , Current Account 111 399,375.00 Due to BIR 412 28,125.00 Performance/Bidders/Bail Bonds Payable 427 22,500.00 Payment for Accounts Payable - GRAND MAJESTIC CONVENTION CITY INC. PYMT. OF 450 PAX FOOD AND VENUE FOR THE CONDUCT OF SUMMIT ON CHILDREN CHECK NO.242227 CTV NO. 1181 = P394,607.14 - GRAND MAJESTIC CONVENTION CITY INC. CHECK NO.242228 CTV NO. 1182 Feb 1 2010-02-001827 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Feb 1 298,812.50 111 282,804.70 412 16,007.80 Payment for Accounts Payable - SACHEM MARKETING PYMT. OF 1500 REAMS PAPER MIMEO A4 ANE OTHER ITEMS PER PR#09-016 DTD. 1-6-09. CHECK NO.712685 CTV NO.1184 = P277,468.76 - SACHEM MARKETING CHECK NO.712686 CTV NO.1185 = 5,335.94 - CEBU CITY 2010-02-001828 Telephone Expenses - Mobile 773 Cash in Bank - Local Currency , Current Account 1,000.00 111 1,000.00 Payment for Communication Expenses - LYRMA S. SOLEDAD REIMB. OF COMM. SERVICES FOR THE MONTH OF DECEMBER 10, 2009 - JANUARY 9, 2010. Ck#712687 Feb 1 2010-02-001829 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 3,500.00 111 3,500.00 Payment for Due to Officers and Employees -MYRNA R. GO REIMB. OF COMM. SERVICES FOR NOV. 6 - DECEMBER 5, 2009. Ck#712688 Feb 1 2010-02-001830 Due to Officers and Employees 403 2,400.00 Cash in Bank - Local Currency , Current Account 111 2,400.00 Payment for Due to Officers and Employees - CHARLES A. CABATAÑA REIMB. OF PYMT. OF REGISTRATION FEE OF 15TH ANNUAL CONVENTION PHIL. ACADEMY OF MEDICAL SPECIALIST, INC. LAST NOV. 6 - 7, 2009. Ck#712689 Feb 1 2010-02-001831 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 1,120.00 111 1,120.00 Payment for Due to Officers and Employees - ARNEL C. QUIJANO REIMB. OF TRAVELLING EXPENSES FOR THE MONTH OF DEC. 1 - 31, 2009 Ck#675308 Feb 1 2010-02-001832 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 1,624.00 111 1,624.00 Payment for Due to Officers and Employees - VALERIANO F. CUGAY PYMT. OF TRAVELLING EXPENSES FOR NOVEMBER 1 - 30, 2009. Ck#675309 Feb 1 2010-02-001833 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 1,330.00 111 1,330.00 Payment for Due to Officers and Employees -ROGELIO B. RESURRECION REIMB. OF TRAVEL. EXPENSES FROM DEC, 1 - 31,. 2009. Ck#675310 Feb 1 2010-02-001834 Accounts Payable 401 22,750.00 Cash in Bank - Local Currency , Current Account 111 21,612.50 Due to BIR 412 1,137.50 Payment for Accounts Payable - LOLA MARY'S CATERING PAYMENT OF 65 PAX MEALS AND 2 SNACKS PER PR#09-718 DTD.06-09-2009. Feb 1 2010-02-002078 Due to BIR 412 Cash in Bank - Local Currency , Current Account 1,617.87 111 1,617.87 Refund of Excess Employees Taxes, Loans and Premiums - BINOLIARO, CESAR JR. M. AS EXCESS WITHHOLDING TAX FOR 2009 Feb 1 2010-02-002079 Due to BIR 412 Cash in Bank - Local Currency , Current Account 800.21 111 800.21 Refund of Excess Employees Taxes, Loans and Premiums - ARDIENTE, WILLY G. AS EXCESS WITHHOLDING TAX FOR 2009 Feb 1 2010-02-002080 Salaries and Wages - Regular 701 3,565.50 Life and Retirement Insurance Contributions 731 855.72 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 87.50 ECC Contributions 734 109.65 Cash in Bank - Local Currency , Current Account 111 953.06 Due to GSIS 413 1,945.84 Due to PAG-IBIG 414 1,144.47 Due to PHILHEALTH 415 175.00 Other Payables 439 500.00 Payment of Salaries and Wages thru Bank -VILLARANTE, JOHN GLENN A. FOR JANUARY 1-15, 2010 Feb 1 2010-02-002081 Salaries and Wages - Casual 705 13,406.00 Personnel Economic Relief Allowance (PERA) 711 4,000.00 Life and Retirement Insurance Contributions 731 1,608.72 PAG-IBIG Contributions 732 200.00 PHILHEALTH Contributions 733 150.00 ECC Contributions 734 223.44 Cash in Bank - Local Currency , Current Account 111 7,640.62 Due to GSIS 413 7,947.54 Due to PAG-IBIG 414 3,700.00 Due to PHILHEALTH 415 300.00 Payment of Salaries and Wages thru Bank - BANZON, EDUARDO A. ET AL FOR JANUARY 1-31, 2010 (1ST & 2ND HALF) Feb 1 2010-02-002082 Due to BIR 412 Cash in Bank - Local Currency , Current Account 7,391.11 111 7,391.11 Refund of Excess Employees Taxes, Loans and Premiums - ARCILLO, RENARIO J. ET AL AS EXCESS WITHHOLDING TAX FOR 2009. Feb 1 2010-02-002083 Due to Officers and Employees 403 11,117.48 Cash in Bank - Local Currency , Current Account 111 8,654.63 Due to GSIS 413 2,087.85 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 175.00 Payment for Due to Officers and Employees - ARITA, LEA B. AS SALARY FOR JULY 1-31, 2009. Feb 1 2010-02-002084 Salaries and Wages - Casual Life and Retirement Insurance Contributions 705 10,768.50 731 2,584.44 Ck#703193 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 262.50 ECC Contributions 734 100.00 Cash in Bank - Local Currency , Current Account 111 8,467.67 Due to GSIS 413 4,622.77 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 525.00 Payment of Salaries and Wages thru Bank - NIELO, VERNA PILAR S. FOR JANUARY 1-15, 2010 Feb 1 2010-02-002293 Due to Officers and Employees 403 5,287.23 Cash in Bank - Local Currency , Current Account 111 4,758.51 Due to BIR 412 528.72 Payment for Due to Officers and Employees - COLINA, BRENDA A. AS OVERTIME PAY FOR APRIL 1-30, 2009. Feb 1 2010-02-002298 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 13,650.00 111 13,650.00 Payment for Due to Officers and Employees - ABELLA, MELINDA A. ET AL AS SUBSISTENCE AND LAUNDRY ALLOWANCE FOR DECEMBER, 2009. Feb 1 2010-02-002300 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 53,050.00 111 53,050.00 Payment for Due to Officers and Employees - ABADIANO, EARL G. ET AL AS SUBSISTENCE AND LAUNDRY ALLOWANCE FOR DECEMBER, 2009. Feb 1 2010-02-002615 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Feb 2 401 Cash in Bank - Local Currency , Current Account Feb 2 111 4,275.00 412 225.00 Payment for Accounts Payable - SING.EEH.STEAM FUDZ HAUS PYMT. OF 30 PAX LUNCH AND OTHER ITEMS FOR COOP. MONTH CELEBRATION CHECK NO.242206 CTV NO. 1160 = P4,162.50 - SING. EEH. STEAM FUZ HAUS CHECK NO.242205 CTV NO. 1159 = 112.50 - CEBU 2010-02-001492 Accounts Payable Due to BIR 4,500.00 1,160,000.00 111 1,097,857.15 412 62,142.85 Payment for Accounts Payable- ATSUGI MOTOR SALES PAYMENT OF 2 UNITS FLAT BED CARGO TRUCK. CHECK # 116333 CTV # 1208 - 1,084,982.15 - ATSUGI MOTOR SALES CHECK # 116334 CTV # 1209 12,875.00 - CEBU CITY TREASURER FOR PAYMENT OF LOCAL TAX 2010-02-001493 Salaries and Wages - Regular Life and Retirement Insurance Contributions 701 173.00 731 20.76 Cash in Bank - Local Currency , Current Account 111 157.43 Due to GSIS 413 36.33 Payment of Salaries and Wages thru Bank- LUCIA A. ACHARON TO PAYMENT OF SALARY DIFFERENTIAL FOR JAN. 1-31, 2010. Ck#242230 Feb 2 2010-02-001494 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 10,000.00 111 10,000.00 Payment for Due to Officers and Employees - ADELINA PACANA TO PAYMENT OF MEDICAL ASSISTANCE. Ck#242231 Feb 2 2010-02-001495 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 111 5,000.00 5,000.00 Payment for Accounts Payable - ROSSANA A. GABIANA PAYMENT OF BURIAL ASSSITANCE. Ck#242232 Feb 2 2010-02-001496 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment for Accounts Payable - TERESITA RACUYA PAYMENT OF BURIAL ASSISTANCE. Ck#242234 Feb 2 2010-02-001497 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 800.00 111 800.00 Payment for Due to Officers and Employees- AGRIPINA REZABA REIMBURSEMENT FOR PAYMENT OF COMMUNICATION SERVICE FOR DECEMBER 2009. Ck#242235 Feb 2 2010-02-001498 Due to LGUs 418 Cash in Bank - Local Currency , Current Account 46,500.00 111 46,500.00 Payment for Inter-Agency Payable - BARANGAY DAY-AS FINANCIAL ASSISTANCE FOR BRGY DRIVER AND LOADER FOR APRIL TO JUNE 2009. Ck#242236 Feb 2 2010-02-001499 Due to Officers and Employees 403 18,000.00 Cash in Bank - Local Currency , Current Account 111 16,200.00 Due to BIR 412 1,800.00 Payment for Due to Officers and Employees - RENE GREGORIO V. BAUTISTA PAYMENT OF CONSULTANCY SERVICE FOR DECEMBER 2009. Ck#242237 Feb 2 2010-02-001500 Representation Allowance (RA) Transportation Allowance (TA) 713 5,500.00 714 5,500.00 Cash in Bank - Local Currency , Current Account 111 11,000.00 Payment of Allowances, Bonus and Other Compensation - AGRIPINA E. REZABA PAYMENT OF RERESENTATION AND TRANSPORTATION ALLOWANCE FOR JANUARY 2010. Ck#242238 Feb 2 2010-02-001501 Representation Allowance (RA) 713 Cash in Bank - Local Currency , Current Account 6,300.00 111 6,300.00 Payment of Allowances, Bonus and Other Compensation - FE A. CABUGAO PAYMENT OF REPRESENTATION ALLOWANCE FOR FEBRUARY 2010. Ck#242239 Feb 2 2010-02-001502 Representation Allowance (RA) Transportation Allowance (TA) 713 6,300.00 714 6,300.00 Cash in Bank - Local Currency , Current Account 111 12,600.00 Payment of Allowances, Bonus and Other Compensation - EVANGELINE T. ABATAYO TO PAYMENT OF REPRESENTATION AND TRANSPORTATION ALLOWANCE FOR FEBRUARY 2010. Ck#242240 Feb 2 2010-02-001503 Representation Allowance (RA) Transportation Allowance (TA) 713 5,500.00 714 5,500.00 Cash in Bank - Local Currency , Current Account 111 11,000.00 Payment of Allowances, Bonus and Other Compensation - MARIETTA L. GUMIA PAYMENT OF REPRESENTATION AND TRANSPORTATION ALLOWANCE FOR FEBRUARY 2010. Ck#242241 Feb 2 2010-02-001504 Due to Officers and Employees 403 9,000.00 Cash in Bank - Local Currency , Current Account 111 8,100.00 Due to BIR 412 900.00 Payment for Due to Officers and Employees - RAYMOND L. BERTULFO TO PAYMENT OF CONSULTANCY SERVICE FOR JULY 2009. Ck#242242 Feb 2 2010-02-001505 Due to Officers and Employees 403 18,000.00 Cash in Bank - Local Currency , Current Account 111 16,200.00 Due to BIR 412 1,800.00 Payment for Due to Officers and Employees - FRANCISCO C. JAPSON PAYMENT OF CONSULTANCY SERVICE FOR JULY 2009. Ck#242244 Feb 2 2010-02-001506 Due to Officers and Employees 403 54,000.00 Cash in Bank - Local Currency , Current Account 111 43,200.00 Due to BIR 412 10,800.00 Payment for Due to Officers and Employees - JOY AUGUSTUS G. YOUNG PAYMENT OF CONSULTANCY SERVICES FR OCT. TO DEC. 2009. Ck#242245 Feb 2 2010-02-001507 Due to GSIS 413 2,062.92 Cash in Bank - Local Currency , Current Account 111 2,062.92 Refund of Excess Employees Taxes, Loans and Premiums- ROA, DONNA BELLA D. REFUND THE GSIS CONSO LOAN AND ECARD PLUS LOAN PAYMENT FOR JANUARY 2010. Ck#242247 Feb 2 2010-02-001508 Due to GSIS 413 Cash in Bank - Local Currency , Current Account 2,047.37 111 2,047.37 Refund of Excess Employees Taxes, Loans and Premiums - OSTIA, ROGELIO B. TO REFUND THE GSIS CONSO LOAN PAYMENT OF JAN. 2010. Ck#242248 Feb 2 2010-02-001509 Due to GSIS 413 Cash in Bank - Local Currency , Current Account 1,200.00 111 1,200.00 Refund of Excess Employees Taxes, Loans and Premiums - MANSUKHANI, MOTHIRAM NABUA TO REFUND THE GISS CONSO LOAN PAYMENT OF JAN. 2010. Ck#242249 Feb 2 2010-02-001510 Accounts Payable 401 111 3,764.22 Due to BIR 412 213.30 Other Payables Feb 2 439 3.98 Payment for Accounts Payable - CEBU DE ORO EDUC. SUPLY TO PAYMENT OF SUPPLIES FOR JOB FAIR ON MAY 1, 2009. CHECK # 242250 - CTV # 1231 - P 3,682.19 CEBU DE ORO EDUC. SUPPLY CHECK # 244451 - CTV# 1232 82.03 - CEBU CITY TREASUER 2010-02-001511 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Feb 2 2 11,250.00 111 10,687.50 412 562.50 Payment for Accounts Payable - LOLA MARY'S CATERING TO PAYMENT OF LUNCH BUFFET AND SNACKS OF 50 PAX DURING THE GIRL CHOLD FORUM.3 CHECK # 242254 CTV # 1235 - P10,406.25 LOLA MARY'S CATERING CHECK # 242255 CTV # 1236 281.25 2010-02-001512 Accounts Payable 401 892,825.00 Cash in Bank - Local Currency , Current Account 111 755,712.59 Due to BIR 412 47,829.91 Other Payables Feb 3,981.50 Cash in Bank - Local Currency , Current Account 439 89,282.50 Payment for Accounts Payable - NEW PARDO ENTERPRISES PAYMENT OF SUPPLY AND DELIVERY OF 30 PCS BRAKE SHOE AND OTHER ITEMS. CHECK # 242256 CTV # 1237 - P 741,755.11 NEW PARDO ENTERPRISES CHECK # 242257 CTV # 1238 13,957.48 CEB 2010-02-001513 Representation Allowance (RA) Transportation Allowance (TA) 713 5,500.00 714 5,500.00 Cash in Bank - Local Currency , Current Account 111 11,000.00 Payment of Allowances, Bonus and Other Compensation- RENE B. SANAPO TO PAYMENT OF REPRESENTATION AND TRANSPORTATION ALLOWANCE FOR FEBRUARY2010. Ck#242258 Feb 2 2010-02-001514 Due to Officers and Employees 403 6,000.00 Cash in Bank - Local Currency , Current Account 111 4,800.00 Due to BIR 412 1,200.00 Payment for Due to Officers and Employees - DALUZ JOSE III ET AL TO PAYMENT OF HONORARIUM FOR OCT. TO DEC. 2009 Ck#242259 Feb 2 2010-02-001515 Representation Allowance (RA) 713 Cash in Bank - Local Currency , Current Account 5,500.00 111 5,500.00 Payment of Allowances, Bonus and Other Compensation - AGAPITO F. CUGAY JR. TO PAYMENT OF REPRESENTATION ALLOWANCE FOR FEBRUARY 2010 Ck#210987 Feb 2 2010-02-001516 Other Payables 439 Cash in Bank - Local Currency , Current Account 6,000.00 111 6,000.00 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare) - Philippine Postal Savings Bank Remittance for december 2009. Ck#210988 Feb 2 2010-02-001517 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Feb 2 54,828.00 111 51,890.78 412 2,937.22 Payment for Accounts Payable- SUGECO TO PAYMENT OF 24 CYLINDER LPG FOR USE IN CCMC DIETARY SECTION. CHECK # 712693 CTV # 1245 - P CITY TREASURER FOR PAYMENT OF LOCAL TAX CHECK # 712694 CTV # 1246 - 50,411.71 SUGECO CHEC 2010-02-001518 Advances to Officers and Employees 148 Cash in Bank - Local Currency , Current Account 979.07 CBEU 50,000.00 111 50,000.00 Grant of Cash Advance - ALICE T. UTLANG FOR EMERGENCY PURCHASES OF CITY MODERN ABATTOIR. Ck#698980 Feb 2 2010-02-001550 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 612.00 111 612.00 Payment for Accounts Payable- CEBU DE ORO EDUCATIONAL SUPPLY CORP. TO PAYMENT OF 50 PCS. ENVELOPE BROWN LONG AND OTHER ITEMS. Ck#703194 Feb 2 2010-02-001563 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Feb 2 Due to Officers and Employees Cash - Disbursing Officers Feb 2 37,500.00 412 2,500.00 Payment for Accounts Payable- SARROSA INTERNATIONAL HOTEL TO PAYMENT FOR BUFFET LUNCH A.M. SNACKS, PM. SNACKS . CHECK # 703195 CTV # 1256 36,922.50 - SARROSA INTERNATIONAL HOTEL CHECK # 703196 CTV # 1257 577.50 - CEB 2010-02-002086 Accounts Payable Due to BIR 40,000.00 111 401 3,000.00 403 4,000.00 103 6,300.00 412 700.00 Payment of Allowances, Bonus and Other Compensation-Atty. Ferdinand Cañete et, al...... Honorarium for resource persons during the Orientation of Barangay Anti-Mendicancy Task Force on September 17 and 24, 2009. 2010-02-002467 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 1,020.00 111 1,020.00 Payment for Due to Officers and Employees -SABLE, ISAGANI C. AS TRAVELLING ALLOWANCE FOR SEPTEMBER, 2009. Feb 2 2010-02-002476 Due to BIR 412 Cash in Bank - Local Currency , Current Account 641.17 111 641.17 Refund of Excess Employees Taxes, Loans and Premiums - LERIO, EMMA M. AS EXCESS WITHHOLDING TAX FOR 2009. Feb 2 2010-02-002491 Due to Officers and Employees 403 1,006.79 Cash in Bank - Local Currency , Current Account 111 906.11 Due to BIR 412 100.68 Payment for Due to Officers and Employees - CABULAO, REX AQUARIUS A.ET AL AS OVERTIME PAY FOR NOVEMBER, 2009. Feb 2 2010-02-002494 Due to BIR 412 Cash in Bank - Local Currency , Current Account 3,940.35 111 3,940.35 Refund of Excess Employees Taxes, Loans and Premiums - CABUNGCAL, NORMA V. ET AL AS EXCESS WITHHOLDING TAX FOR 2009. Feb 2 2010-02-002496 Due to Officers and Employees 403 3,332.73 Cash in Bank - Local Currency , Current Account 111 2,999.46 Due to BIR 412 333.27 Payment for Due to Officers and Employees - COLINA, BRENDA A. AS OVERTIME PAY FOR JULY 1-31, 2009. Feb 2 2010-02-002500 Salaries and Wages - Casual 705 12,748.00 Personnel Economic Relief Allowance (PERA) 711 2,000.00 Life and Retirement Insurance Contributions 731 1,529.76 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 150.00 ECC Contributions 734 100.00 Cash in Bank - Local Currency , Current Account 111 12,326.41 Due to BIR 412 1,024.27 Due to GSIS 413 2,777.08 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 300.00 Payment of Salaries and Wages thru Bank - LUPINA, LIEZEL O. FOR JANUARY 1-31, 2010 Feb 2 2010-02-002502 Salaries and Wages - Regular 701 25,196.00 Personnel Economic Relief Allowance (PERA) 711 2,000.00 Life and Retirement Insurance Contributions 731 3,023.52 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 312.50 ECC Contributions 734 100.00 Cash in Bank - Local Currency , Current Account 111 18,115.86 Due to BIR 412 2,700.00 Due to GSIS 413 5,391.16 Due to PAG-IBIG 414 1,400.00 Due to PHILHEALTH 415 625.00 Other Payables 439 2,500.00 Payment of Salaries and Wages thru Bank - SANAPO, RENE B. .FOR JANUARY 1-31, 2010. Feb 2 2010-02-002510 Salaries and Wages - Regular 701 16,758.00 Personnel Economic Relief Allowance (PERA) 711 2,000.00 Life and Retirement Insurance Contributions 731 2,010.96 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 200.00 ECC Contributions 734 100.00 Cash in Bank - Local Currency , Current Account 111 9,076.77 Due to BIR 412 1,284.12 Due to GSIS 413 4,308.07 Due to PAG-IBIG 414 500.00 Due to PHILHEALTH 415 400.00 Other Payables 439 5,600.00 Payment of Salaries and Wages thru Bank - ARTES, NOEL B. FOR JANUARY 1-31, 2010. Feb 2 2010-02-002513 Salaries and Wages - Regular 701 16,093.00 Personnel Economic Relief Allowance (PERA) 711 2,000.00 Life and Retirement Insurance Contributions 731 1,931.16 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 200.00 ECC Contributions 734 100.00 Cash in Bank - Local Currency , Current Account 111 13,739.80 Due to BIR 412 1,577.26 Due to GSIS 413 4,507.10 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 400.00 Payment of Salaries and Wages thru Bank - ADLWAN, PHOEBE INA FOR JANUARY 1-31, 2010 Feb 2 2010-02-002517 Salaries and Wages - Casual 705 20,055.00 Personnel Economic Relief Allowance (PERA) 711 4,000.00 Life and Retirement Insurance Contributions 731 2,406.60 PAG-IBIG Contributions 732 200.00 PHILHEALTH Contributions 733 237.50 ECC Contributions 734 173.07 Cash in Bank - Local Currency , Current Account 111 17,053.09 Due to BIR 412 989.06 Due to GSIS 413 8,005.86 Due to PAG-IBIG 414 549.16 Due to PHILHEALTH 415 475.00 Payment of Salaries and Wages thru Bank - CAVADA, IMMACULADA M. ET AL FOR JANUARY 1-31, 2010. Feb 2 2010-02-002519 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 5,960.50 711 2,000.00 111 7,960.50 Payment of Salaries and Wages thru Bank - BANQUICIO, DAISY T. FOR JANUARY 16-31, 2010 Feb 2 2010-02-004012 Due from Other Funds 144 Cash in Bank - Local Currency , Current Account 2,700.00 111 2,700.00 Payment for Due to Officers and Employees - INEZ, EDGAR B. ET AL AS TRAVELLING ALLOWANCE FOR DECEMBER, 2009. Feb 3 2010-02-002403 Due to Officers and Employees 403 54,000.00 Cash in Bank - Local Currency , Current Account 111 48,600.00 Due to BIR 412 5,400.00 Payment for Due to Officers and Employees - ROGELIO S.SERATO CONSULTANCY FEE FROM OCTOBER 1, 2009 - DECEMBER 31, 2009. Ck#210991 Feb 3 2010-02-002405 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 111 5,000.00 5,000.00 Payment for Due to Officers and Employees - OFELIA M. OLIVA REIMB. OF COMM. SERVICES FOR OCTOBER 24 - NOVEMBER 23, 2010. Ck#210989 Feb 3 2010-02-002406 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Medical and Burial Assistance - JULIETA MANGYAO PYMT. OF BURIAL ASSISTANCE. Ck#210990 Feb 3 2010-02-002408 Due to GSIS 413 Cash in Bank - Local Currency , Current Account 1,881.00 111 1,881.00 Refund of Excess Employees Taxes, Loans and Premiums - DEL MAR, JESS E. REFUND OF GSIS CONSOL LOAN FOR THE MONTH OF JANUARY 2010. Ck#242261 Feb 3 2010-02-002409 Due to GSIS 413 Cash in Bank - Local Currency , Current Account 1,228.88 111 1,228.88 Refund of Excess Employees Taxes, Loans and Premiums - CUIZON, ROGELIO S. REFUND OF GSIS CONSOL LOAN FOR THE MONTH OF JANUARY 2010. Ck#242262 Feb 3 2010-02-002411 Due to GSIS 413 Cash in Bank - Local Currency , Current Account 1,416.01 111 1,416.01 Refund of Excess Employees Taxes, Loans and Premiums - ABELGAS, JOSE F. REFUND OF GSIS CONSOL LOAN FOR THE MONTH OF JANUARY 2010. Ck#242263 Feb 3 2010-02-002413 Due to GSIS 413 Cash in Bank - Local Currency , Current Account 1,856.02 111 1,856.02 Refund of Excess Employees Taxes, Loans and Premiums - CLARIN, CLAUDIO A. REFUND OF GSIS CONSOL LOAN FOR THE MONTH OFJANUARY 2010. Ck#242264 Feb 3 2010-02-002439 Subsidy to National Government Agencies 871 Cash in Bank - Local Currency , Current Account 95,000.00 111 95,000.00 Grant of Subsidies and Donations - MIENRADO PAREDES ET.AL INCENTIVE ALLOWANCE FOR JANUARY 2010. Ck#242260 Feb 3 2010-02-002442 Due to GSIS 413 Cash in Bank - Local Currency , Current Account 2,069.43 111 2,069.43 Refund of Excess Employees Taxes, Loans and Premiums - ECONAS, DIOSCORO C. REFUND OF GSIS CONSOL LOAN FOR THE MONTH OF JANUARY 2010. Ck#242265 Feb 3 2010-02-002444 Due to GSIS 413 Cash in Bank - Local Currency , Current Account 800.00 111 800.00 Refund of Excess Employees Taxes, Loans and Premiums - RUDINAS, LUZMINDA REFUND OF GSIS CONSOL LOAN FOR THE MONTH OF JANUARY 2010. Ck#242266 Feb 3 2010-02-002445 Due to GSIS 413 Cash in Bank - Local Currency , Current Account 2,276.23 111 2,276.23 Refund of Excess Employees Taxes, Loans and Premiums - AMABA, WILLIAM B. REFUND OF GSIS CONSOL LOAN FOR THE MONTH OF JANUARY 2010. Ck#242267 Feb 3 2010-02-002446 Due to GSIS 413 Cash in Bank - Local Currency , Current Account 1,117.16 111 1,117.16 Refund of Excess Employees Taxes, Loans and Premiums - BATARILAN, WILLIAM M. REFUND OF GSIS CONSOL LOAN FOR THE MONTH OF JANUARY 2010. Ck#242268 Feb 3 2010-02-002448 Due to GSIS 413 Cash in Bank - Local Currency , Current Account 1,591.25 111 1,591.25 Refund of Excess Employees Taxes, Loans and Premiums - PRANZA , GILBERTO L. REFUND OF GSIS CONSOL LOAN FOR THE MONTH OF JANUARY 2010. Feb 3 2010-02-002451 Due to GSIS 413 Cash in Bank - Local Currency , Current Account 111 Ck#242269 1,300.00 1,300.00 Refund of Excess Employees Taxes, Loans and Premiums - TABAY, LIFELITO B. REFUND OF GSIS CONSOL LOAN FOR THE MONTH OF JANUARY 2010. Ck#242270 Feb 3 2010-02-002454 Due to GSIS 413 Cash in Bank - Local Currency , Current Account 2,214.72 111 2,214.72 Refund of Excess Employees Taxes, Loans and Premiums - CLIMACO, EDUARDO R. REFUND OF GSIS CONSOL LOAN FOR THE MONTH OF JANUARY 2010. Ck#242271 Feb 3 2010-02-002458 Due to GSIS 413 Cash in Bank - Local Currency , Current Account 1,487.80 111 1,487.80 Refund of Excess Employees Taxes, Loans and Premiums - GABUTAN , LUISA O. REFUND OF GSIS CONSOL LOAN FOR THE MONTH OF JANUARY 2010. Ck#242273 Feb 3 2010-02-002468 Due to Officers and Employees 403 4,000.00 Cash in Bank - Local Currency , Current Account 111 4,000.00 Payment for Due to Officers and Employees - JULIUS S. GOLOSINO REIMB. OF COMM. SERV. FROM SEPT. 10 - OCTOBER 9, 2010 & FROM OCTOBER 10 - NOVEMBER 10, 2009. Ck#242274 Feb 3 2010-02-002470 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 1,036.00 111 1,036.00 Payment for Due to Officers and Employees - MINGUITO, CORAZON PAYMENT OF TRANSPORTATION EXPENSES FROM OCTOBER 1 - NOVEMBER 30, 2009. Ck#242275 Feb 3 2010-02-002471 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 2,700.00 111 2,700.00 Payment for Due to Officers and Employees - RICHELLE R. LIM REIMBURSEMENT OF TRAVELLING EXPENSES FOR DEC. 1 - 22, 2009. Ck#242276 Feb 3 2010-02-002477 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 2,500.00 111 2,500.00 Payment for Due to Officers and Employees - APOLLO P. DANTE REIMB. PYMT. OF COMMUNICATION SERVICES FROM NOVEMBER 1 - 30, 2009. Ck#242278 Feb 3 2010-02-002478 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 1,800.00 111 1,800.00 Payment for Due to Officers and Employees - SAMSON N. GO REIMB. OF COMMUNICATION SERVICES FROM OCTOBER 10 - NOVEMBER 9, 2010. Ck#242279 Feb 3 2010-02-002482 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 3,500.00 111 3,500.00 Payment for Due to Officers and Employees - RAUL D. ALCOSEBA REIMB. OF GLOBE MOBILE PHONE CHARGES FROM NOVEMBER 24-DECEMBER 23, 2009. Ck#242280 Feb 3 2010-02-002484 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 2,012.79 111 2,012.79 Payment for Due to Officers and Employees -MARIETTA L. GUMIA REIMB. OF COMM. ALLOWANCE FROM NOVEMBER 21 - DECEMBER 20, 2009. Ck#242281 Feb 3 2010-02-002486 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 3,500.00 111 3,500.00 Payment for Due to Officers and Employees - RAUL D. ALCOSEBA REIMB. OF GLOBE MOBILE PHONE CHARGES FROMM OCT..24 - NOVEMBER 23, 2009. Ck#242282 Feb 3 2010-02-002516 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Medical and Burial Assistance - NICASIO NACARIO JR. -REIMB. PAYMENT OF HOSPITAL BILL. Ck#242284 Feb 3 2010-02-002520 Representation Allowance (RA) 713 6,300.00 Transportation Allowance (TA) 714 Cash in Bank - Local Currency , Current Account 6,300.00 111 12,600.00 Payment of Allowances, Bonus and Other Compensation - JOSE MARIE N. POBLETE RATA FOR THE MONTH OF FEBRUARY 2010. Ck#242288 Feb 3 2010-02-002523 Representation Allowance (RA) Transportation Allowance (TA) Cash in Bank - Local Currency , Current Account 713 5,500.00 714 5,500.00 111 11,000.00 Payment of Allowances, Bonus and Other Compensation -CYNTHIA M. KAHULUGAN RATA FOR THE MONTH OF FEBRUARY 2010. Ck#242289 Feb 3 2010-02-002526 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 3,845.46 111 3,845.46 Payment for Accounts Payable - WENTWORTH DEVELOPMENT CORP. PAYMENT OF WATER CONSUMPTION FOR THE PERIOD OF NOV.16 - DEEMBER 16, 2009.. Ck#242290 Feb 3 2010-02-002549 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 4,603.47 111 4,603.47 Payment for Accounts Payable - WENTWORTH DEV. CORP. WATER CONSUMPTION FOR THE PERIOD OCTOBER 16 - NOVEMBER 16, 2009. Ck#242291 Feb 3 2010-02-002550 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 65,373.68 111 65,373.68 Payment for Accounts Payable - WENTWORTH DEV. CORP. POWER CONSUMPTION FOR THE PERIOD OCTOBER 14 TO NOVEMBER 10, 2009. Ck#242292 Feb 3 2010-02-002551 Representation Allowance (RA) 713 Cash in Bank - Local Currency , Current Account 6,300.00 111 6,300.00 Payment of Allowances, Bonus and Other Compensation - ALICE T. UTLANG REPRESENTATION ALLOWANCE FOR THE MONTH OF FEBRUARY 2010. Ck#242293 Feb 3 2010-02-002552 Representation Allowance (RA) 713 6,300.00 Cash in Bank - Local Currency , Current Account 111 6,300.00 Payment of Allowances, Bonus and Other Compensation - JOELITO BACLAYON PAYMENT OF REPRESENTATION ALLOWANCE FOR THE MONTH OF FEBRUARY 2010. Ck#242295 Feb 3 2010-02-002553 Due to Officers and Employees 403 9,000.00 Cash in Bank - Local Currency , Current Account 111 8,100.00 Due to BIR 412 900.00 Payment for Due to Officers and Employees - JEFFREY LLANTO SALARY AS CONSULTANT FOR THE MONTH OF JULY 2009. Ck#242296 Feb 3 2010-02-002554 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 1,000.00 111 1,000.00 Payment for Due to Officers and Employees - ALICE T. UTLANG PAYMENT OF HONORARIUM FOR THE [PERIOD NOVEMBER 2009. Ck#242297 Feb 3 2010-02-002555 Due to Officers and Employees 403 18,000.00 Cash in Bank - Local Currency , Current Account 111 16,200.00 Due to BIR 412 1,800.00 Payment for Due to Officers and Employees -ORLANDO SECRETARIO CONSULTANCY FEE FOR THE MONTH OF DECEMBER 2009. Ck#242298 Feb 3 2010-02-002556 Representation Allowance (RA) Transportation Allowance (TA) Cash in Bank - Local Currency , Current Account 713 6,300.00 714 6,300.00 111 12,600.00 Payment of Allowances, Bonus and Other Compensation - ARLENE O. RENTUZA REPRESENTATION AND TRANSPORTATION ALLOWANCE FOR THE MONTH OF FEBRUARY 2010. Ck#242299 Feb 3 2010-02-002557 Representation Allowance (RA) Transportation Allowance (TA) 713 6,300.00 714 6,300.00 Cash in Bank - Local Currency , Current Account 111 12,600.00 Payment of Allowances, Bonus and Other Compensation - NELFA R. BRIONES PAYMENT OF REPRESENTATION AND TRANSPORTATION ALLOWANCE FOR THE MONTH OF FEBRUARY 2010. Ck#242300 Feb 3 2010-02-002558 Extraordinary Expenses 883 10,465.00 Cash in Bank - Local Currency , Current Account 111 10,465.00 Payment / Reimbursement for Miscellaneous, Extra-ordinary / Confidential Expenses - FRANCISCO L.FERNANDEZ REIMB. OF MEALS SERVED DURING DEPT. HEADS MEETING AT MAYOR'S CONFERENCE ROOM ON JANUARY 11, 2010. Ck#242301 Feb 3 2010-02-002559 Due to Officers and Employees 403 3,500.00 Cash in Bank - Local Currency , Current Account 111 3,500.00 Payment for Due to Officers and Employees - FRANCISCO L. FERNANDEZ REIMB. OF HONORARIUM PAID TO SUGBUWANON BAND FOR RENDERING A LIVE PERFORMANCE DURING THE CEBU CITY HALL CHRISTMAS PARTY CELEBRATION ON DECEMBER 18, 2009 AT PLAZA SUGBU. Ck#242302 Feb 3 2010-02-002560 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 1,644.00 111 1,644.00 Payment for Due to Officers and Employees -SAMSON N. GO REIMB. OF COMM. SERVICES FROM SEPTEMBER 10 - OCTOBER 9, 2009 Ck#242303 Feb 3 2010-02-002561 Due to Officers and Employees 403 4,000.00 Cash in Bank - Local Currency , Current Account 111 4,000.00 Payment for Due to Officers and Employees - EDGARDO C. LABELLA PYMT. OF MONTHLY CELLULAR PHONE BILL FOR THE MONTH OCTOBER 10 - NOVEMBER 9, 2009. Ck#242304 Feb 3 2010-02-002568 Internet Expenses 774 Cash in Bank - Local Currency , Current Account 1,000.00 111 1,000.00 Payment for Communication Expenses - NIGEL PAUL VILLARETE REIMB. FOR DSL SERVICE CHARGE FOR THE MONTH OF DEC.5, 2009 - JANUARY 4, 2010. Ck#242305 Feb 3 2010-02-002569 Due to Officers and Employees 403 1,834.80 Cash in Bank - Local Currency , Current Account 111 1,834.80 Payment for Due to Officers and Employees - WESLEY VINCENT SANTOS YÑIGO REIMB. OF PYMT. MADE FOR AUTHORIZED MONTHLY COMM. ALLOW. FOR THE MONTH OF OCTOBER & NOVEMBER 2009. Ck#242306 Feb 3 2010-02-002570 Due to Officers and Employees 403 2,672.48 Cash in Bank - Local Currency , Current Account 111 2,672.48 Payment for Due to Officers and Employees - MA. CONCEPCION T. ENCABO REIMB. OF COMMUNICATION SERVICES FOR THE PERIOD OCTOBER 10 - NOVEMBER 9, 2009. Ck#242307 Feb 3 2010-02-002571 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 800.00 111 800.00 Payment for Due to Officers and Employees - RUEL E. TAHOM REIMB. OF COMM. SERVICES FOR THE MONTH OF OCTOBER 10 - NOVEMBER 9, 2009. Ck#242308 Feb 3 2010-02-002581 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Medical and Burial Assistance - MARCITA CABANTE PAYMENT OF BURIAL ASSISTANCE. Ck#242309 Feb 3 2010-02-002584 Accounts Payable 401 117,180.00 Cash in Bank - Local Currency , Current Account 111 99,184.50 Due to BIR 412 6,277.50 Other Payables Feb 3 439 11,718.00 Payment for Accounts Payable - CEBU SURGICAL AND MEDICAL ENTERPRISES TO PAYMENT OF FERROUS SULFATE PER PR#09-814 DTD. 7-07-09. CHECK NO. 242312 CTV NO. 1319 = P97,782.00 - CEBU SURGICAL & MEDICAL ENTERPRISES CHECK NO. 242313 CTV NO. 1320 = 2010-02-002587 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Feb 3 401 Cash in Bank - Local Currency , Current Account Feb 3 401 Cash in Bank - Local Currency , Current Account Feb 3 55,009.20 111 52,062.28 412 2,946.92 Payment for Accounts Payable - SACHEM MARKETING PYMT. OF 12 BOTTLES ALCOHOL 70 ETHYL CHECK NO. 242318 CTV NO.1325 = P51,079.97 = SACHEM MARKETING CHECK NO. 242319 CTV NO.1326 = 982.31 = CEBU CITY TREASURER - FOR PAYMENT OF LOCAL TAX 2010-02-002596 Accounts Payable Due to BIR 13,770.53 412 779.47 Payment for Accounts Payable - TRISALES BUSINESS SYSTEM CORP. PAYMENT OF 1 PC. TONER TRANSPORT PIPE AND OTHER ITEMS CHECK NO. 242316 CTV NO. 1323 = P13,510.71 - TRISALES BUSINESS SYSTEMS CHECK NO. 242317 CTV NO. 1324 = 259.82 - CEBU C 2010-02-002590 Accounts Payable Due to BIR 14,550.00 111 32,125.00 111 30,404.02 412 1,720.98 Payment for Accounts Payable - VINZ MARKETING PAYMENT FOR AIRCON SUPPLY PER PO#1526 DTD. 10-26-2009 & PR#09-1171 DTD. 9-30-2009 CHECK NO. 242320 CTV NO. 1327 = P29,830.36 - VINZ MARKETING CHECK NO. 242321 CTV NO. 1328 = 573.66 - CEBU CI 2010-02-002604 Representation Allowance (RA) Subsistence, Laundry and Quarter Allowance 713 8,700.00 716 8,734.75 Cash in Bank - Local Currency , Current Account 111 17,434.75 Payment of Allowances, Bonus and Other Compensation - TOMAS R. OSMEÑA PAYMENT OF REPRESENTATION AND HOUSING ALLOWANCE FOR THE MONTH OF FEBRUARY 2010. Ck#116335 Feb 3 2010-02-002620 Due to Officers and Employees 403 4,000.00 Cash in Bank - Local Currency , Current Account 111 4,000.00 Payment for Due to Officers and Employees - EDWIN R. JAGMOC SR REIMB. OF MONTHLY CELLULAR PHONE BILL FOR THE MONTH OF OCTOBER 10- NOVEMBER 9, 2009. Ck#116336 Feb 3 2010-02-002622 Due to Officers and Employees 403 1,000.00 Cash in Bank - Local Currency , Current Account 111 1,000.00 Payment for Due to Officers and Employees - OLANI MARIE N. BONGATO REIMB. OF PYMT. MADE TO GLOBE TELECOM FOR THE MONTH OF NOVEMBER 6 - DECEMBER 5, 2009. Ck#116337 Feb 3 2010-02-002624 Due to Officers and Employees 403 811.02 Cash in Bank - Local Currency , Current Account 111 811.02 Payment for Due to Officers and Employees - JOCELYN BRIONES AVILA REIMB. OF MONTHLY CELL. PHONE BILL FOR THE MONTH OF NOVEMBER 10 - DECEMBER 9, 2009. Ck#116338 Feb 3 2010-02-002626 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 1,000.00 111 1,000.00 Payment for Due to Officers and Employees - GAGANI, EDWIN REIMB. OF CELL CARD ALLWANCE FOR THE MONTH AUGUST - DECEMBER 2009. Feb 3 2010-02-002628 Due to Officers and Employees Cash in Bank - Local Currency , Current Account 403 111 500.00 500.00 Ck#698981 Payment for Due to Officers and Employees - DAYONDON , MARY JANE REIMB. OF CELL CARD ALLOW. FOR THE MONTH OF AUGUST - DECEMBER 2009. Ck#698982 Feb 3 2010-02-002632 Due to Officers and Employees 403 2,000.00 Cash in Bank - Local Currency , Current Account 111 2,000.00 Payment for Due to Officers and Employees - VELASCO, EFIGENIA REIMB. OF CELLCARD MONTHLY ALLOWANCE FOR THE MONTH OF AUGUST - DECEMBER 2009. Ck#698983 Feb 3 2010-02-002637 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 500.00 111 500.00 Payment for Due to Officers and Employees - VALENZUELA, CECILIA REIMB. OF CELL. CARD ALLOWANDFOR THE MONTH OF NOV. - DECEMBER 9, 2009. Ck#698894 Feb 3 2010-02-002640 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 750.00 111 750.00 Payment for Due to Officers and Employees - CALUNGSUD, ANNALYN REIMB. OF CELL CARD ALLOW. FOR THE MONTH OF AUGUST - NOVEMBER 2009. Ck#698985 Feb 3 2010-02-002642 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 1,490.00 111 1,490.00 Payment for Due to Officers and Employees - ROMERO, PILAR REIMB. OF CELL CARD ALLOW. FOR THE MONTH OF AUGUST - DECEMBER 2009. Ck#698986 Feb 3 2010-02-002663 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 1,000.00 111 1,000.00 Payment for Due to Officers and Employees - EDGAR M. ROSAROSO EIMB. OF COMM. SERV. FOR THE MONTH OF DECEMBER 2009. Ck#675314 Feb 3 2010-02-002685 Accounts Payable 401 28,000.00 Due to Officers and Employees 403 16,600.00 Due to Other NGAs 416 1,400.00 Cash in Bank - Local Currency , Current Account Due to BIR Feb 3 Due to Officers and Employees Cash in Bank - Local Currency , Current Account Feb 3 2010-02-002702 Accounts Payable 34,000.00 403 13,000.00 111 40,400.00 401 7,000.00 Due to Officers and Employees 403 6,500.00 Due to Other NGAs 416 17,000.00 Due to BIR 3 401 412 6,600.00 Payment of Allowances, Bonus and Other Compensation - MICHAEL L. RAMA ET.AL. PAYMENT OF PLEB HONORARIUMS FOR THE MONTHS OF NOVEMBER AND DECEMBER 2009. Ck#116342 Cash in Bank - Local Currency , Current Account Feb 40,920.00 412 5,080.00 Payment of Allowances, Bonus and Other Compensation -AUGUSTUS G. PE JR. ET.AL. PAYMENT OF PEOPLE'S LAW ENFORCEMENT BOARD HONORARIUM FOR THE MONTH OF NOVEMBER AND DECEMBER 2009. Ck#116341 2010-02-002693 Accounts Payable Due to BIR 111 111 26,500.00 412 4,000.00 Payment of Allowances, Bonus and Other Compensation - MICHAEL L. RAMA PAYMENT OF PCAC HONORARIUM FOR THE MONTH OF NOVEMBER AND DECEMBER 2009. Ck#116343 2010-02-003518 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 111 2,745.94 2,745.94 Payment for Due to Officers and Employees - ARCE , RAQUEL BOHOL REIMB. OF MOBILE TELEPHONE FOR THE PERIOD OCTOBER 10 - NOVEMBER 9, 2009. Ck#675313 Feb 3 2010-02-003522 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 1,680.00 111 1,680.00 Payment for Due to Officers and Employees VALERIANO F. CUGAY REIMB. OF TRAVELLING EXPENSE FOR THE MONTH OF DECEMBER 1 - 31, 2009. Ck#675312 Feb 3 2010-02-003651 Due to Officers and Employees 403 11,829.86 Cash in Bank - Local Currency , Current Account 111 5,334.00 Due to BIR 412 1,882.34 Due to GSIS 413 3,213.52 Due to PAG-IBIG 414 1,200.00 Due to PHILHEALTH 415 200.00 Payment for Due to Officers and Employees - DEVOTA, CYRIL C. FOR DECEMBER 1-31, 2009 Feb 3 2010-02-003669 Due from Other Funds 144 18,502.68 Cash in Bank - Local Currency , Current Account 111 18,502.68 Payment for Accounts Payable - EMCOR, INC. PAYMENT OF ONE UNIT DIGITAL VIDEO CAMERA AND OTHER ITEMS PER PR#08-1189 DTD. 11-06-2009. (GF-LDF ERRONEOUSLY PAID BY GF-PROPER) CHECK NO. 242322 CTV NO. 1329 = P18,153.57 - EMCOR INC. CHECK NO. 242323 Feb 3 2010-02-006691 Salaries and Wages - Casual 705 53,503.00 Personnel Economic Relief Allowance (PERA) 711 12,000.00 Life and Retirement Insurance Contributions 731 6,420.36 PAG-IBIG Contributions 732 600.00 PHILHEALTH Contributions 733 650.00 ECC Contributions 734 563.53 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 43,092.57 1,571.53 Due to GSIS 413 16,007.96 Due to PAG-IBIG 414 6,056.83 Due to PHILHEALTH 415 1,300.00 Other Payables 439 5,708.00 Payment of Salaries and Wages thru Bank - ALGUNO, HERNANE A. ET AL FOR JANUARY 1-31, 2010. Feb 3 2010-02-006724 Due to Officers and Employees 403 1,869.17 Cash in Bank - Local Currency , Current Account 111 1,682.25 Due to BIR 412 186.92 Payment for Due to Officers and Employees - ABELLA, JEYNO V. ET AL AS OVERTIME PAY FOR NOVEMBER, 2009. Feb 3 2010-02-006725 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) 701 14,064.50 711 4,000.00 Cash in Bank - Local Currency , Current Account 111 17,064.50 Other Payables 439 1,000.00 Payment of Salaries and Wages thru Bank - ARTES, SARITA G. ET AL FOR JANUARY 16-31, 2010 Feb 3 2010-02-006727 Due to Officers and Employees 403 2,532.97 Cash in Bank - Local Currency , Current Account 111 2,279.67 Due to BIR 412 253.30 Payment for Due to Officers and Employees - ABASIA, GREGORIO R. AS OVERTIME PAY FOR DECEMBER, 2009. Feb 3 2010-02-006729 Due to Officers and Employees 403 3,870.82 Cash in Bank - Local Currency , Current Account 111 3,483.74 Due to BIR 412 387.08 Payment for Due to Officers and Employees - COLINA, BRENDA A. AS OVERTIME PAY FOR JUNE, 2009. Feb 3 2010-02-006730 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 654.80 111 654.80 Payment for Due to Officers and Employees - ATILLO, EMMA B. ET AL AS HAZARD PAY FOR DECEMBER, 2009. Feb 3 2010-02-006732 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 350.00 111 350.00 Payment for Due to Officers and Employees - ARITA, LEA B. AS SUBSISTENCE AND LAUNDRY ALLOWANCE FOR OCTOBER, 2009. Feb 3 2010-02-006734 Salaries and Wages - Casual 705 12,748.00 Personnel Economic Relief Allowance (PERA) 711 2,000.00 Life and Retirement Insurance Contributions 731 1,529.76 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 150.00 ECC Contributions 734 100.00 Cash in Bank - Local Currency , Current Account 111 11,485.68 Due to GSIS 413 2,777.08 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 300.00 Other Payables 439 1,865.00 Payment of Salaries and Wages thru Bank - NAVASCUEZ, SHELLANI A. FOR JANUARY 1-31, 2010. Feb 3 2010-02-006735 Due to Officers and Employees 403 4,865.43 Cash in Bank - Local Currency , Current Account 111 4,378.89 Due to BIR 412 486.54 Payment for Due to Officers and Employees - COLINA, BRENDA A. AS OVERTIME PAY FOR MAY, 2009. Feb 3 2010-02-006736 Salaries and Wages - Casual 705 3,945.50 Life and Retirement Insurance Contributions 731 946.92 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 87.50 ECC Contributions 734 138.69 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 2,214.27 21.05 Due to GSIS 413 1,795.80 Due to PAG-IBIG 414 1,012.49 Due to PHILHEALTH 415 175.00 Payment of Salaries and Wages thru Bank - GEPIGA, JENNIFER M. FOR JANUARY 1-15, 2010 Feb 3 2010-02-006737 Salaries and Wages - Regular 701 17,763.00 Personnel Economic Relief Allowance (PERA) 711 2,000.00 Life and Retirement Insurance Contributions 731 2,131.56 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 212.50 ECC Contributions 734 100.00 Cash in Bank - Local Currency , Current Account 111 9,258.28 Due to BIR 412 2,331.55 Due to GSIS 413 3,830.23 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 425.00 Other Payables 439 6,262.00 Payment of Salaries and Wages thru Bank - SABAN, VICTORIANO D. FOR JANUARY 1-31, 2010. Feb 3 2010-02-006738 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 6,900.00 111 6,900.00 Payment for Due to Officers and Employees - ASPACIO, MARIA ELENA G. ET AL AS SUBSISTENCE AND LAUNDRY ALLOWANCE FOR DECEMBER, 2009. Feb 3 2010-02-006740 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 2,200.00 111 2,200.00 Payment for Due to Officers and Employees - CABINGATAN, EMMA B. ET AL AS HAZARD PAY FOR DECEMBER, 2009. Feb 3 2010-02-006746 Salaries and Wages - Casual 705 7,307.00 Personnel Economic Relief Allowance (PERA) 711 2,000.00 Life and Retirement Insurance Contributions 731 876.84 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 87.50 ECC Contributions 734 73.07 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 8,271.87 190.00 Due to GSIS 413 1,607.54 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 175.00 Payment of Salaries and Wages thru Bank - CUEVAS, MARY ANN N. FOR JANUARY 1-31, 2010. Feb 3 2010-02-006748 Salaries and Wages - Regular 701 87,894.00 Personnel Economic Relief Allowance (PERA) 711 14,000.00 Life and Retirement Insurance Contributions 731 10,547.28 PAG-IBIG Contributions 732 700.00 PHILHEALTH Contributions 733 1,062.50 ECC Contributions 734 760.04 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 65,244.83 5,142.21 Due to GSIS 413 26,515.39 Due to PAG-IBIG 414 9,426.39 Due to PHILHEALTH 415 2,125.00 Other Payables 439 6,510.00 Payment of Salaries and Wages thru Bank - ANUB, ERMELINDA M. ET AL FOR JANUARY 1-31, 2010. Feb 3 2010-02-006750 Salaries and Wages - Regular 701 7,316.80 Personnel Economic Relief Allowance (PERA) 711 1,091.00 Life and Retirement Insurance Contributions 731 878.02 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 87.50 ECC Contributions 734 73.17 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 3,271.59 85.34 Due to GSIS 413 4,762.30 Due to PAG-IBIG 414 1,252.26 Due to PHILHEALTH 415 175.00 Payment of Salaries and Wages thru Bank - JIMENEZ, VERONICA I. FOR JANUARY 1-31, 2010. Feb 3 2010-02-006751 Other Personnel Benefits 749 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Allowances, Bonus and Other Compensation - MARTINOTE, CELESTINO S. AS LOYALTY BONUS (DGS) Feb 3 2010-02-006752 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) 701 32,983.50 711 10,000.00 Cash in Bank - Local Currency , Current Account 111 41,380.50 Other Payables 439 1,603.00 Payment of Salaries and Wages thru Bank - AGATON, RHEA JANE G. ET AL FOR JANUARY 16-31, 2010 Feb 3 2010-02-006753 Other Personnel Benefits 749 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Allowances, Bonus and Other Compensation - PIEZAS, CONRADO P. AS LOYALTY BONUS (CTO) Feb 3 2010-02-006754 Salaries and Wages - Casual 705 41,345.64 Personnel Economic Relief Allowance (PERA) 711 7,873.63 Life and Retirement Insurance Contributions 731 4,961.48 PAG-IBIG Contributions 732 400.00 PHILHEALTH Contributions 733 487.50 ECC Contributions 734 369.97 Cash in Bank - Local Currency , Current Account 111 35,510.00 Due to BIR 412 2,895.01 Due to GSIS 413 11,443.30 Due to PAG-IBIG 414 1,814.91 Due to PHILHEALTH 415 975.00 Other Payables 439 2,800.00 Payment of Salaries and Wages thru Bank - BERONQUE, AL L. ET AL FOR JANUARY 1-31, 2010 Feb 3 2010-02-006755 Due to Officers and Employees 403 14,869.93 Cash in Bank - Local Currency , Current Account 111 13,382.94 Due to BIR 412 1,486.99 Payment for Due to Officers and Employees - BORCES, RONALD ET.AL. AS OVERTIME PAY FOR DECEMBER 2009. Feb 3 2010-02-006756 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 27,946.00 711 6,000.00 Life and Retirement Insurance Contributions 731 3,353.52 PAG-IBIG Contributions 732 300.00 PHILHEALTH Contributions 733 325.00 ECC Contributions 734 300.70 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 18,367.19 417.15 Due to GSIS 413 12,991.31 Due to PAG-IBIG 414 2,286.82 Due to PHILHEALTH 415 650.00 Other Payables 439 3,512.75 Payment of Salaries and Wages thru Bank - MAGALLON, MIRASOL L. ET AL FOR JANUARY 1-31, 2010. Feb 3 2010-02-006758 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 47,285.00 711 20,000.00 Cash in Bank - Local Currency , Current Account 111 66,985.00 Other Payables 439 300.00 Payment of Salaries and Wages thru Bank - ABELLANOSA, CHERRY ANN B. ET AL FOR JANUARY 16-31, 2010 Feb 3 2010-02-006759 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 705 20,763.00 711 12,000.00 111 32,763.00 Payment of Salaries and Wages thru Bank - BARRERA, BARBARA N. ET AL FOR JANUARY 16-31, 2010 Feb 3 2010-02-006760 Salaries and Wages - Regular 701 58,969.52 Personnel Economic Relief Allowance (PERA) 711 9,786.41 Life and Retirement Insurance Contributions 731 7,076.34 PAG-IBIG Contributions 732 500.00 PHILHEALTH Contributions 733 712.50 ECC Contributions 734 500.00 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 3,708.20 Due to GSIS 413 17,573.07 Due to PAG-IBIG 414 3,402.01 Due to PHILHEALTH 415 1,425.00 439 9,103.00 Other Payables 42,333.49 Payment of Salaries and Wages thru Bank - JACA, ROMULO G. ET AL FOR JANUARY 1-31, 2010. Feb 4 2010-02-001585 Other Payables 439 Cash in Bank - Local Currency , Current Account 60,140.00 111 60,140.00 Payment of Allowances, Bonus and Other Compensation - CCMC EMPLOYEES MULTI-PURPOSE COOP REMITTANCE FOR JAN. 2010. Ck#698027 Feb 4 2010-02-001587 Other Payables 439 709,922.83 Cash in Bank - Local Currency , Current Account 111 709,922.83 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare) - BAYANIHAN MULTIPURPOSE COOPERATIVE REMITTANCE FOR JAN. 2010 Ck#698028 Feb 4 2010-02-001618 Due to Officers and Employees 403 1,835.00 Cash in Bank - Local Currency , Current Account 111 1,835.00 Payment for Due to Officers and Employees - RICO ABELLANOSA REIMBURSEMENT FOR PAYMENT OF COMMUNICATION SERVICES FOR OCT. 6 TO NOV. 5, 2009. Ck#698030 Feb 4 2010-02-001619 Cash - Disbursing Officers 103 Cash in Bank - Local Currency , Current Account 3,194,614.65 111 3,194,614.65 Grant of Cash Advance- OF LAURICE YUTICO FOR PAYMENT OF SALARIES, HONORARIUM, CASH PRIZES AND OTHERS. Ck#698033 Feb 4 2010-02-001630 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 1,000.00 111 1,000.00 Payment for Due to Officers and Employees- MARE VAE REYES REIMBURSEMENT FOR PAYMENT OF COMMUNICATION SERVICE FOR DEC. 2009. Ck#210992 Feb 4 2010-02-001643 Due to Officers and Employees 403 9,000.00 Cash in Bank - Local Currency , Current Account 111 8,100.00 Due to BIR 412 900.00 Payment for Due to Officers and Employees- ALLAN ORVIEN P. GEOTINA PAYMENT OF CONSULTANCY FEE FOR NOV. 1-30, 2009. Ck#210993 Feb 4 2010-02-001647 Due to Officers and Employees 403 9,000.00 Cash in Bank - Local Currency , Current Account 111 8,100.00 Due to BIR 412 900.00 Payment for Due to Officers and Employees- OF ALLAN ORVIEN P. GEOTINA TO PAYMENT OF CONSULTANCY FEE FOR DECEMBER 2009. Ck#210994 Feb 4 2010-02-001652 Due to Officers and Employees 403 9,000.00 Cash in Bank - Local Currency , Current Account 111 8,100.00 Due to BIR 412 900.00 Payment for Due to Officers and Employees- LINDY C. MORELL TO PAYMENT OF CONSULTANCY FEE FOR JULY 2009. Ck#210995 Feb 4 2010-02-001653 Due to Officers and Employees 403 18,000.00 Cash in Bank - Local Currency , Current Account 111 16,200.00 Due to BIR 412 1,800.00 Payment for Due to Officers and Employees- DARYLL BRETCH LARGO TO PAYMENT OF CONSULTANCY FEE FOR AUG 2009 AND NOVEMBER 2009. Ck#210996 Feb 4 2010-02-001654 Due to Officers and Employees 403 2,000.00 Cash in Bank - Local Currency , Current Account 111 2,000.00 Payment for Due to Officers and Employees - DENNIS NAVARRO TO PAYMENT FOR DRUM AND BUGLE SERVICE DURING CEBU CITY DAY CELEBRATION ON MAY 1, 2009. Ck#210997 Feb 4 2010-02-001657 Telephone Expenses - Mobile 773 Cash in Bank - Local Currency , Current Account 1,000.00 111 1,000.00 Payment for Communication Expenses - LUCIA C. MAHUSAY TO PAYMENT FOR JAN. 1-31, 2010. Ck#210998 Feb 4 2010-02-001660 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 841.94 111 841.94 Payment for Due to Officers and Employees- JED RONALD FILOTEO PAYMENT FOR COMMUNICATION SERVICE FOR NOV 1 TO DEC. 31, 2009. Ck#210999 Feb 4 2010-02-001661 Due to Officers and Employees Cash in Bank - Local Currency , Current Account 403 111 2,403.42 2,403.42 Payment for Due to Officers and Employees- VERONICA A. MORELOS REIMBRUSEMENT FOR PAYMENT OF COMMUNICATION SERVICES FOR OCTOBER 10 TO NOV. 9, 2009. Ck#211001 Feb 4 2010-02-001664 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 2,500.00 111 2,500.00 Payment for Due to Officers and Employees - CESAR J. ENRIQUEZ TO PAYMENT OF COMMUNICATION SERVICES FOR NOV. 21 TO DEC. 20, 2009. Ck#211002 Feb 4 2010-02-001666 Due to LGUs 418 Cash in Bank - Local Currency , Current Account 135,145.00 111 135,145.00 Payment for Inter-Agency Payable - BARANGAY KAMAGAYAN FINANCIAL ASSISTANCE FOR COMMUNITY MICRO ASSISTANCE PROGRAM. Ck#211003 Feb 4 2010-02-001668 Due to Officers and Employees 403 9,000.00 Cash in Bank - Local Currency , Current Account 111 8,100.00 Due to BIR 412 900.00 Payment for Due to Officers and Employees - EMMANUEL T. JUNTAR PAYMENT OF CONSULTANCY FEE FOR DEC. 2009. Ck#211006 Feb 4 2010-02-001670 Due to Officers and Employees 403 68,715.84 Cash in Bank - Local Currency , Current Account 111 68,715.84 Payment for Due to Officers and Employees - TOMAS R. OSMEÑA REIMBURSE THE PAYMENT OF SUNSTAR AND THE FREEMAN PUBLICATION OF RE: BRT VS LRT. Ck#211011 Feb 4 2010-02-001672 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 2,652.90 111 2,652.90 Payment for Due to Officers and Employees- DIONISIO S. GUALIZA PAYMENTOF COMMUNICATION SERVICE FOR NOV. 10 TO DEC. 9, 2009 Ck#211012 Feb 4 2010-02-001677 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 1,842.49 111 1,842.49 Payment for Due to Officers and Employees- RICO ABELLANOSA REIMBURSEMENT FOR PAYMENT OF COMMUNICATION SERVCE FOR NOV. 6 TO DEC. 5, 2009. Ck#211014 Feb 4 2010-02-001684 Due to Officers and Employees 403 1,193.82 Cash in Bank - Local Currency , Current Account 111 1,193.82 Payment for Due to Officers and Employees- LIBRADO O. MACARAYA JR. REIMBURSEMENT FOR PAYMENT OF COMMUNICATION SERVICE FOR NOVEMBER 2009 Ck#211015 Feb 4 2010-02-001693 Representation Allowance (RA) Transportation Allowance (TA) 713 5,500.00 714 5,500.00 Cash in Bank - Local Currency , Current Account 111 11,000.00 Payment of Allowances, Bonus and Other Compensation- TESSIE C. CAMARILLO PAYMENT OF REPRESENTATION AND TRANSPORTATION ALLOWANCE FOR FEBRUARY 2010. Ck#211023 Feb 4 2010-02-001697 Representation Allowance (RA) Transportation Allowance (TA) 713 6,300.00 714 6,300.00 Cash in Bank - Local Currency , Current Account 111 12,600.00 Payment of Allowances, Bonus and Other Compensation- EUSTAQUIO B. CESA PAYMENT OF REPRESENTATION AND TRANSPORTATION ALLOWANCE FOR FEBRUARY 2010. Ck#211024 Feb 4 2010-02-001701 Representation Allowance (RA) 713 6,300.00 Cash in Bank - Local Currency , Current Account 111 6,100.00 Due from Officers and Employees 123 200.00 Payment of Allowances, Bonus and Other Compensation- OFELIA M. OLIVA PAYMENT OF REPRSENTATION ALLOWANCE FOR FEBRUARY 2010. Ck#211025 Feb 4 2010-02-001706 Due to Officers and Employees 403 5,000.00 Cash in Bank - Local Currency , Current Account 111 3,500.00 Due to BIR 412 1,500.00 Payment for Due to Officers and Employees- NAGIEL B. BAÑACIA TO PAYMENT OF HONORARIUM FOR AUGUST TO DECEMBER 2009. Ck#211026 Feb 4 2010-02-001708 Due to Officers and Employees 403 5,000.00 Cash in Bank - Local Currency , Current Account 111 3,500.00 Due to BIR 412 1,500.00 Payment for Due to Officers and Employees -VERONICA A. MORELOS TO PAYMENT OF HONORARIUM FOR AUGUST TO DECEMBER 2009. Ck#211027 Feb 4 2010-02-001709 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 10,800.00 111 10,800.00 Refund of Performance Bond to Contractor - PENTAX HARDWARE PAYMENT OF BID SECURITY UNDER OFFICIAL RECIEPT # 9536698 DATED 11/10/09 Feb 4 2010-02-001711 Representation Allowance (RA) Transportation Allowance (TA) 713 6,300.00 714 6,300.00 Ck#211028 Cash in Bank - Local Currency , Current Account 111 12,600.00 Payment of Allowances, Bonus and Other Compensation - ARDOSA, ROLANDO PAYMENT OF REPRESENTATION AND TRANSPORTATION ALLOWANCE FOR FEBRUARY 2010. Ck#211030 Feb 4 2010-02-001713 Representation Allowance (RA) 713 Cash in Bank - Local Currency , Current Account 6,300.00 111 6,300.00 Payment of Allowances, Bonus and Other Compensation - DIONISIO S. GUALIZA TO PAYMENT OF REPRESENTATION ALLOWANCE FOR FEBRUARY 2010. Ck#211031 Feb 4 2010-02-001720 Representation Allowance (RA) 713 Cash in Bank - Local Currency , Current Account 5,500.00 111 5,500.00 Payment of Allowances, Bonus and Other Compensation- JEROME G. ANG TO PAYMENT OF REPRESENTATION ALLOWANCE FOR FEBRUARY 2010. Ck#211032 Feb 4 2010-02-001724 Representation Allowance (RA) Transportation Allowance (TA) 713 5,500.00 714 5,500.00 Cash in Bank - Local Currency , Current Account 111 11,000.00 Payment of Allowances, Bonus and Other Compensation- LEIZL C. GONZAGA TO PAYMENT OF REPRESENTATION AND TRANSPORTATION ALLOWANCE FOR FEBRUARY 2010. Ck#211033 Feb 4 2010-02-001739 Salaries and Wages - Casual 705 10,387.55 Personnel Economic Relief Allowance (PERA) 711 1,778.20 Life and Retirement Insurance Contributions 731 1,246.51 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 125.00 ECC Contributions 734 100.00 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 8,803.39 663.45 Due to GSIS 413 2,281.39 Due to PAG-IBIG 414 1,739.03 Due to PHILHEALTH 415 250.00 Payment of Salaries and Wages thru Bank - FORTUNATO, MANULAT JR. B. FOR JANUARY 1-31, 2010. Feb 4 2010-02-001741 Other Personnel Benefits 749 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Allowances, Bonus and Other Compensation - LOPEZ, VICENTE C. AS LOYALTY BONUS. Feb 4 2010-02-001743 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 4,248.00 711 2,000.00 111 6,248.00 Payment of Salaries and Wages thru Bank - ESCASINAS, CIRIO S. FOR JANUARY 16-31, 2010 Feb 4 2010-02-001744 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 7,020.00 711 4,000.00 Cash in Bank - Local Currency , Current Account 111 10,206.00 Other Payables 439 814.00 Payment of Salaries and Wages thru Bank - ALOLOD, MARIVIC G. ET AL FOR JANUARY 16-31, 2010 Feb 4 2010-02-001745 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 10,960.50 711 6,000.00 Cash in Bank - Local Currency , Current Account 111 16,445.50 Other Payables 439 515.00 Payment of Salaries and Wages thru Bank - AMAYA, MAXIMILAN A. ET AL FOR JANUARY 16-31, 2010 Feb 4 2010-02-001747 Salaries and Wages - Casual 705 16,008.43 Personnel Economic Relief Allowance (PERA) 711 3,958.56 Life and Retirement Insurance Contributions 731 1,921.01 PAG-IBIG Contributions 732 200.00 PHILHEALTH Contributions 733 187.50 ECC Contributions 734 160.09 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 13,546.56 620.65 Due to GSIS 413 5,338.32 Due to PAG-IBIG 414 1,215.06 Due to PHILHEALTH 415 375.00 Other Payables 439 1,340.00 Payment of Salaries and Wages thru Bank - ABELARDE, AUGUSTUS G. ET AL FOR JANUARY 1-31, 2010. Feb 4 2010-02-001748 Other Payables 439 290,294.00 Cash in Bank - Local Currency , Current Account 111 234,014.60 Due to BIR 412 56,279.40 Payment of Allowances, Bonus and Other Compensation - ABATAYO, EVANGELINE ET AL TO PAYMENT OF HONORARIUM FOR JAN. 20110. Ck#211034 Feb 4 2010-02-001749 Representation Allowance (RA) Transportation Allowance (TA) 713 5,500.00 714 5,500.00 Cash in Bank - Local Currency , Current Account 111 11,000.00 Payment of Allowances, Bonus and Other Compensation - EMMA C. VILLARETE TO PAYMENT OF REPRESENTATION AND TRANSPORTATION ALLOWANCE FOR FEBRUARY 2010. Ck#211036 Feb 4 2010-02-001750 Salaries and Wages - Regular 701 40,881.79 Personnel Economic Relief Allowance (PERA) 711 5,939.89 Life and Retirement Insurance Contributions 731 4,905.81 PAG-IBIG Contributions 732 300.00 PHILHEALTH Contributions 733 487.50 ECC Contributions 734 300.00 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 2,271.53 Due to GSIS 413 16,574.66 Due to PAG-IBIG 414 2,887.73 Due to PHILHEALTH 415 975.00 439 1,000.00 Other Payables 29,106.07 Payment of Salaries and Wages thru Bank - BARITUA, GRACE O. ET AL FOR JANUARY 1-31, 2010. Feb 4 2010-02-001751 Due from Officers and Employees 123 20,684.00 Cash in Bank - Local Currency , Current Account 111 20,684.00 Grant of Cash Advance - EMMA C. VILLARETE FOR TRAVEL IN BORACAY, AKLAN ON MAR. 10-12, 2010 TO ATTEND PHILLBO 14TH ANNUAL NATIONAL CONVENTION. Ck#211037 Feb 4 2010-02-001752 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 705 65,576.50 711 32,000.00 111 97,576.50 Payment of Salaries and Wages thru Bank - ABELLA, MARIE R. ET AL FOR JANUARY 16-31, 2010 Feb 4 2010-02-001753 Due from Officers and Employees 123 Cash in Bank - Local Currency , Current Account Grant of Cash Advance- CONNIE JANE CUYOS Feb 4 2010-02-001754 Due to BIR 412 Cash in Bank - Local Currency , Current Account 20,684.00 111 20,684.00 FOR TRAVEL IN BORACAY AKLAN ON MAR 10-12, 2010. Ck#211038 4,141.15 111 4,141.15 Refund of Excess Employees Taxes, Loans and Premiums - CAMPOMANES, MARIE FE A. ET AL AS EXCESS WITHHOLDING TAX FOR 2009. Feb 4 2010-02-001755 Due from Officers and Employees 123 Cash in Bank - Local Currency , Current Account 20,684.00 111 20,684.00 Grant of Cash Advance - JAY-AR V. PESCANTE FOR TRAVEL BORACAY, AKLAN ON MAR 10-12, 2010. Ck#211039 Feb 4 2010-02-001756 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 705 9,224.40 711 6,000.00 111 15,224.40 Payment of Salaries and Wages thru Bank - MONROID, HENRY C. ET AL FOR JANUARY 1-31, 2010 (2ND HALF) Feb 4 2010-02-001758 Due from Officers and Employees 123 Cash in Bank - Local Currency , Current Account 20,684.00 111 20,684.00 Grant of Cash Advance - VERONICA A. MORELOS FOR TRAVEL IN BORACAY AKLAN ON MAR 10-12, 2010. Ck#211040 Feb 4 2010-02-001759 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 18,897.00 711 4,000.00 Life and Retirement Insurance Contributions 731 2,267.64 PAG-IBIG Contributions 732 200.00 PHILHEALTH Contributions 733 225.00 ECC Contributions 734 195.37 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 14,601.13 682.95 Due to GSIS 413 8,179.94 Due to PAG-IBIG 414 1,870.99 Due to PHILHEALTH 415 450.00 Payment of Salaries and Wages thru Bank - AQUINO ROY RONALD C. ET AL FOR JANUARY 1-31, 2010. Feb 4 2010-02-001762 Due to Officers and Employees 403 5,839.83 Cash in Bank - Local Currency , Current Account 111 5,255.85 Due to BIR 412 583.98 Payment for Due to Officers and Employees - CASTINO, TEOFILA A. ET AL AS OVERTIME PAY FOR DECEMBER, 2009. Feb 4 2010-02-001763 Salaries and Wages - Casual 705 7,307.00 Personnel Economic Relief Allowance (PERA) 711 2,000.00 Life and Retirement Insurance Contributions 731 876.84 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 87.50 ECC Contributions 734 73.07 Cash in Bank - Local Currency , Current Account 111 8,461.87 Due to GSIS 413 1,607.54 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 175.00 Payment of Salaries and Wages thru Bank - FIGUERAS, ILDEBRANDO A. FOR JANUARY 1-31, 2010. Feb 4 2010-02-001764 Salaries and Wages - Casual 705 17,411.31 Personnel Economic Relief Allowance (PERA) 711 3,923.73 Life and Retirement Insurance Contributions 731 2,089.36 PAG-IBIG Contributions 732 200.00 PHILHEALTH Contributions 733 200.00 ECC Contributions 734 174.12 Cash in Bank - Local Currency , Current Account 111 12,979.27 Due to BIR 412 2,491.18 Due to GSIS 413 6,223.64 Due to PAG-IBIG 414 1,064.43 Due to PHILHEALTH 415 400.00 Other Payables 439 840.00 Payment of Salaries and Wages thru Bank - PULGO, MA. MELISSA G. ET AL FOR JANUARY 1-31, 2010. Feb 4 2010-02-001765 Due to Officers and Employees 403 54,000.00 Cash in Bank - Local Currency , Current Account 111 48,600.00 Due to BIR 412 5,400.00 Payment for Due to Officers and Employees - ED ANTONIO G. SUSON TO PAYMENT OF CONSULTANCY FEE FOR JAN. TO JUNE 2009. Ck#242324 Feb 4 2010-02-001766 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 57,318.50 711 20,000.00 111 77,318.50 Payment of Salaries and Wages thru Bank - ABELGAS, INGRID R. ET AL FOR JANUARY 16-31, 2010 Feb 4 2010-02-001767 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 33,952.00 711 12,000.00 111 45,952.00 Payment of Salaries and Wages thru Bank - ANGUS, ERWIN A. ET AL FOR JANUARY 16-31, 2010 Feb 4 2010-02-001768 Salaries and Wages - Casual 705 58,456.00 Personnel Economic Relief Allowance (PERA) 711 16,000.00 Life and Retirement Insurance Contributions 731 7,014.72 PAG-IBIG Contributions 732 800.00 PHILHEALTH Contributions 733 700.00 ECC Contributions 734 584.56 Cash in Bank - Local Currency , Current Account 111 67,694.96 Due to GSIS 413 12,860.32 Due to PAG-IBIG 414 1,600.00 Due to PHILHEALTH 415 1,400.00 Payment of Salaries and Wages thru Bank - DURADO, BERNIE E. ET AL FOR JANUARY 1-31, 2010. Feb 4 2010-02-001769 Other Payables 439 Cash in Bank - Local Currency , Current Account 4,103.00 111 4,103.00 Refund of Excess Employees Taxes, Loans and Premiums - ELIZABETH MAGDADARO TO REFUND THE BCCI LOAN PAYMENT OF JANUARY 2010. Ck#242325 Feb 4 2010-02-001822 Due to LGUs 418 Cash in Bank - Local Currency , Current Account 401,518.35 111 401,518.35 Payment for Inter-Agency Payable- BARANGAY MABOLO MICRO ASSISTANCE PROGRAM (CMAP) OF BARANGAY MABOLO Ck#242326 Feb 4 2010-02-001823 Due to LGUs 418 10,500.00 Cash in Bank - Local Currency , Current Account 111 10,500.00 Payment for Inter-Agency Payable - BARANGAY MABOLO FINANCIAL ASSISTANCE FOR CASH PRICES AND OFFICIATING FEES OF BASKETBALL TOURNAMENT CY 2009. Ck#242330 Feb 4 2010-02-001825 Other Payables 439 855,796.00 Cash in Bank - Local Currency , Current Account 111 855,796.00 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare) - CCMC EMPLOYEES MULTI-PURPOSE COOP REMITTANCE FOR JANUARY 2010. Ck#712701 Feb 4 2010-02-001874 Other Payables 439 30,306.31 Cash in Bank - Local Currency , Current Account 111 30,306.31 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare)- BAYANIHAN MULTIPURPOSE COOPERATIVE TO REMIT FOR JANUARY 2010. Ck#712702 Feb 4 2010-02-001876 Representation Allowance (RA) Transportation Allowance (TA) Cash in Bank - Local Currency , Current Account 713 5,500.00 714 5,500.00 111 11,000.00 Payment of Allowances, Bonus and Other Compensation - MA. SUZANNE O. ARDOSA TO PAYMENT OF REPRESENTATION AND TRANSPORTATION ALLOWANCE FOR FEB. 2010. Ck#712709 Feb 4 2010-02-001899 Due to Officers and Employees 403 19,647.00 Cash in Bank - Local Currency , Current Account 111 17,682.30 Due to BIR 412 1,964.70 Payment for Due to Officers and Employees - DARREL M. MACABATA TO PAYMENT OF HONORARIUM FOR DEC. 1-31, 2009. Ck#712710 Feb 4 2010-02-001902 Cash - Disbursing Officers 103 Cash in Bank - Local Currency , Current Account 143,584.35 111 143,584.35 Grant of Cash Advance - LAURICE YUTICO FOR PAYMENT OF HONORARIUM AND BONUS. Ck#712712 Feb 4 2010-02-001903 Other Payables 439 37,124.00 Cash in Bank - Local Currency , Current Account 111 37,124.00 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare) - BAYANIHAN MULTIPURPOSE COOPERATIVE REMITTANCE FOR JAN. 2010. Ck#703699 Feb 4 2010-02-001904 Other Payables 439 2,540.00 Cash in Bank - Local Currency , Current Account 111 2,540.00 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare) - BAYANIHAN MULTIPURPOSE COOPERATIVE REMITTANCE FOR JANUARY 2010. Ck#698988 Feb 4 2010-02-001905 Other Payables 439 2,850.00 Cash in Bank - Local Currency , Current Account 111 2,850.00 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare) - BAYANIHAN MULTI PURPOSE COOPERATIVE REMITTANCE FOR JANUARY 2010. Ck#675862 Feb 4 2010-02-001906 Other Payables 439 19,634.00 Cash in Bank - Local Currency , Current Account 111 19,634.00 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare) - BAYANIHAN MULITPURPOSE COOPERATIVE REMITTANCE FOR JANUARY 2010. Ck#499219 Feb 4 2010-02-001908 Other Payables 439 28,387.05 Cash in Bank - Local Currency , Current Account 111 28,387.05 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare)- BAYANIHAN MULTI URPOSE COOERATIVE REMITTANCE FOR JANUARY 2010. Ck#675317 Feb 4 2010-02-001909 Cash - Disbursing Officers 103 Cash in Bank - Local Currency , Current Account 16,950.00 111 16,950.00 Grant of Cash Advance - LAURICE YUTICO FOR PAYMENT OF SALARIES . Ck#703199 Feb 4 2010-02-002042 Salaries and Wages - Regular 701 7,307.00 Personnel Economic Relief Allowance (PERA) 711 2,000.00 Life and Retirement Insurance Contributions 731 876.84 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 87.50 ECC Contributions 734 98.23 Cash in Bank - Local Currency , Current Account 111 7,515.79 Due to BIR 412 68.30 Due to GSIS 413 2,510.48 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 175.00 Payment of Salaries and Wages thru Bank - PATENDOL, GEMILO G. FOR JANUARY 1-31, 2010 (1ST, 2ND, 3RD & 4TH WEEK) Feb 4 2010-02-002044 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 705 7,307.00 711 4,000.00 111 11,307.00 Payment of Salaries and Wages thru Bank - FAELNAR, AMBROSIO V. ET AL FOR JANUARY 16-31, 2010 Feb 4 2010-02-002045 Salaries and Wages - Regular 701 49,573.00 Personnel Economic Relief Allowance (PERA) 711 8,000.00 Life and Retirement Insurance Contributions 731 5,948.76 PAG-IBIG Contributions 732 400.00 PHILHEALTH Contributions 733 600.00 ECC Contributions 734 396.70 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 26,425.98 2,148.86 Due to GSIS 413 17,045.51 Due to PAG-IBIG 414 5,572.11 Due to PHILHEALTH 415 1,200.00 Other Payables 439 12,526.00 Payment of Salaries and Wages thru Bank - BUZON, FIDEL R. ET AL FOR JANUARY 1-31, 2010 . Feb 4 2010-02-002046 Salaries and Wages - Casual 705 11,653.72 Personnel Economic Relief Allowance (PERA) 711 1,939.54 Life and Retirement Insurance Contributions 731 1,398.45 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 137.50 ECC Contributions 734 100.00 Cash in Bank - Local Currency , Current Account 111 11,282.66 Due to BIR 412 1,024.27 Due to GSIS 413 2,547.28 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 275.00 Payment of Salaries and Wages thru Bank - OPAY, JEFF MIKOL A. FOR JANUARY 1-31, 2010. Feb 4 2010-02-002048 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 5,250.00 111 5,250.00 Payment for Due to Officers and Employees - ABELLA, ALYN A. ET AL AS SUBSISTENCE AND LAUNDRY ALLOWANCE FOR DECEMBER, 2009. Feb 4 2010-02-002052 Salaries and Wages - Regular 701 11,569.22 Personnel Economic Relief Allowance (PERA) 711 1,996.32 Life and Retirement Insurance Contributions 731 1,388.31 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 137.50 ECC Contributions 734 100.00 Cash in Bank - Local Currency , Current Account 111 5,476.26 Due to BIR 412 1,174.55 Due to GSIS 413 5,109.54 Due to PAG-IBIG 414 700.00 Due to PHILHEALTH 415 275.00 Other Payables 439 2,556.00 Payment of Salaries and Wages thru Bank - ESPINA, ARTURO A. FOR JANUARY 1-31, 2010 Feb 4 2010-02-002055 Salaries and Wages - Regular 701 7,310.00 Personnel Economic Relief Allowance (PERA) 711 2,000.00 Life and Retirement Insurance Contributions 731 877.20 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 87.50 ECC Contributions 734 113.38 Cash in Bank - Local Currency , Current Account 111 7,425.71 Due to GSIS 413 2,337.37 Due to PAG-IBIG 414 550.00 Due to PHILHEALTH 415 175.00 Payment of Salaries and Wages thru Bank - BUCOG, IDA E. FOR JANUARY 1-31, 2010 Feb 4 2010-02-002058 Salaries and Wages - Casual 705 18,447.00 Personnel Economic Relief Allowance (PERA) 711 6,000.00 Life and Retirement Insurance Contributions 731 2,213.64 PAG-IBIG Contributions 732 300.00 PHILHEALTH Contributions 733 225.00 ECC Contributions 734 252.23 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 17,474.63 182.00 Due to GSIS 413 7,781.24 Due to PAG-IBIG 414 1,550.00 Due to PHILHEALTH 415 450.00 Payment of Salaries and Wages thru Bank - ALVARAN, MARITES F. ET AL FOR JANUARY 1-31, 2010 Feb 4 2010-02-002066 Salaries and Wages - Casual 705 5,638.25 Personnel Economic Relief Allowance (PERA) 711 1,765.94 Life and Retirement Insurance Contributions 731 676.59 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 62.50 ECC Contributions 734 90.26 Cash in Bank - Local Currency , Current Account 111 4,694.31 Due to GSIS 413 1,963.18 Due to PAG-IBIG 414 921.05 Due to PHILHEALTH 415 125.00 Other Payables 439 630.00 Payment of Salaries and Wages thru Bank - GUERRA, SHAREE ANN R. FOR JANUARY 1-31, 2010 Feb 4 2010-02-002068 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) 701 8,471.00 711 2,000.00 Life and Retirement Insurance Contributions 731 1,016.52 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 100.00 ECC Contributions 734 84.71 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 6,525.04 368.00 Due to GSIS 413 3,891.19 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 200.00 Other Payables 439 588.00 Payment of Salaries and Wages thru Bank - CEMPRON, ROWENA B. FOR JANUARY 1-31, 2010 Feb 4 2010-02-002070 Salaries and Wages - Regular 701 6,788.00 Personnel Economic Relief Allowance (PERA) 711 2,000.00 Life and Retirement Insurance Contributions 731 814.56 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 75.00 ECC Contributions 734 112.03 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 140.62 Due to GSIS 413 2,181.19 Due to PAG-IBIG 414 800.00 Due to PHILHEALTH 415 150.00 439 500.00 Other Payables 6,117.78 Payment of Salaries and Wages thru Bank - HOLGANZA, SERGIO N. FOR JANUARY 1-31, 2010 Feb 4 2010-02-002072 Due to BIR 412 Cash in Bank - Local Currency , Current Account 2,199.78 111 2,199.78 Refund of Excess Employees Taxes, Loans and Premiums - JESENA, TERESITA E. AS EXCESS WITHHOLDING TAX FOR 2009 Feb 4 2010-02-002075 Salaries and Wages - Casual 705 35,251.05 Personnel Economic Relief Allowance (PERA) 711 5,895.94 Life and Retirement Insurance Contributions 731 4,230.12 PAG-IBIG Contributions 732 300.00 PHILHEALTH Contributions 733 425.00 ECC Contributions 734 290.21 Cash in Bank - Local Currency , Current Account 111 32,191.72 Due to BIR 412 2,524.40 Due to GSIS 413 9,900.98 Due to PAG-IBIG 414 925.22 Due to PHILHEALTH 415 850.00 Payment of Salaries and Wages thru Bank - LLAMEDO, LECEL R. ET AL FOR JANUARY 1-31, 2010 Feb 4 2010-02-002076 Salaries and Wages - Casual 705 123,314.00 Personnel Economic Relief Allowance (PERA) 711 20,000.00 Life and Retirement Insurance Contributions 731 14,797.68 PAG-IBIG Contributions 732 1,000.00 PHILHEALTH Contributions 733 1,462.50 ECC Contributions 734 1,002.49 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 117,988.41 8,194.16 Due to GSIS 413 30,219.97 Due to PAG-IBIG 414 2,149.13 Due to PHILHEALTH 415 2,925.00 Other Payables 439 100.00 Payment of Salaries and Wages thru Bank - ABIABI, CHRISTINE MARIE J. ET AL FOR JANUARY 1-31, 2010. Feb 4 2010-02-002077 Salaries and Wages - Casual 705 12,748.00 Personnel Economic Relief Allowance (PERA) 711 2,000.00 Life and Retirement Insurance Contributions 731 1,529.76 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 150.00 ECC Contributions 734 100.00 Cash in Bank - Local Currency , Current Account 111 12,326.41 Due to BIR 412 1,024.27 Due to GSIS 413 2,777.08 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 300.00 Payment of Salaries and Wages thru BankD- ESCARTIN, MICHELLE M. FOR JANUARY 1-31, 2010. Feb 5 2010-02-001940 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Feb 5 28,000.00 111 26,600.00 412 1,400.00 Payment for Accounts Payable - LOLA MARY'S CATERING SERVICES PYMT. FOR FOOD ( MORNING SNACKS, LUNCH AND AFTERNOON SNACKS ) SERVED TO GUESTS AND PARTICIPANTS OF THE CUTFLOWER EXHIBIT 2009. CHECK NO 211043 CTV NO. 1494 - P24,415.50 - LOLA MARY'S CATE 2010-02-001949 Accounts Payable 401 19,200.00 Cash in Bank - Local Currency , Current Account 111 18,240.00 Due to BIR 412 960.00 Payment for Accounts Payable - LOLA MARY'S CATERING SERVICES PYMT. OF FOODS FOR SPECIAL LOCAL HIRING ON AUGUST 8 & 22, 2009 P Ck#211045 Feb 5 2010-02-001954 Accounts Payable 401 96,250.00 Cash in Bank - Local Currency , Current Account 111 91,437.50 Due to BIR 412 4,812.50 Payment for Accounts Payable - LOLA MARY'S CATERING PAYMENT FOR LUNCH & 2 SNACKS DURING THE WOMEN'S SUMMIT 2009 Ck#211046 Feb 5 2010-02-001962 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Feb 5 165,170.00 111 156,321.61 412 8,848.39 Payment for Accounts Payable - R. ROBINS BUILDERS SUPPLY PYMT. OF SUPPLY & DELIVERY OF 15 GALLONS ACRYLIC TOP PER PR#09-174 DTD. 2-8-2009 & PO#920 DTD. 7-24-2009. CHECK NO. 211049 CTV NO. 1500 = P153,372.15 = R. ROBINS BUILDERS SUPPLY CHECK NO. 21 2010-02-001964 Representation Allowance (RA) Transportation Allowance (TA) Cash in Bank - Local Currency , Current Account 713 5,500.00 714 5,500.00 111 11,000.00 Payment of Allowances, Bonus and Other Compensation - JALUAGE, VICENTA MATHEU REPRESENTATION AND TRAVELLING ALLOW.-FEB. 1-28, 2010. Feb 5 2010-02-001966 Representation Allowance (RA) 713 Cash in Bank - Local Currency , Current Account 5,500.00 111 5,500.00 Payment of Allowances, Bonus and Other Compensation - JOSEFA T. YLANAN PYMT. OF REPRESENTATION ALLOW. - FEBRUARY 2010. Feb 5 2010-02-001968 Honoraria 720 Cash in Bank - Local Currency , Current Account Ck#211051 Ck#211052 1,000.00 111 1,000.00 Payment of Allowances, Bonus and Other Compensation - ALICE T. UTLANG PYMT.OF HONORARIUM FOR THE MONTH OF JANUARY 210. Ck#211053 Feb 5 2010-02-002049 Due to GSIS 413 Cash in Bank - Local Currency , Current Account 5,314.58 111 5,314.58 Refund of Excess Employees Taxes, Loans and Premiums - PO , STEVE A. - REFUND OF GSIS CONSOL LOAN FOR THE MONTH OF JANUARY 2010. Ck#211054 Feb 5 2010-02-002051 Salaries and Wages - Regular Life and Retirement Insurance Contributions 701 333.87 731 40.06 Cash in Bank - Local Currency , Current Account 111 303.82 Due to GSIS 413 70.11 Payment of Salaries and Wages thru Bank - ABORDO OSCAR S PAYMENT OF STEP INCREMENT FOR THE PERIOD JAUARY 2 - 31, 2010. Ck#211055 Feb 5 2010-02-002057 Salaries and Wages - Regular Life and Retirement Insurance Contributions 701 302.00 731 36.24 Cash in Bank - Local Currency , Current Account 111 274.82 Due to GSIS 413 63.42 Payment of Salaries and Wages thru Bank - LINDIO, JOSEPHINE PAYMENT OF STEP INCREMENT FOR JANUARY 1-31, 2010. Ck#211056 Feb 5 2010-02-002063 Salaries and Wages - Regular Life and Retirement Insurance Contributions 701 628.00 731 75.36 Cash in Bank - Local Currency , Current Account 111 571.48 Due to GSIS 413 131.88 Payment of Salaries and Wages thru Bank - BANAAG , MA. JESSICA A. PAYMENT OF STEP INCREMENT FOR THE PERIOD JANUARY 1 - 31, 2010. Ck#211058 Feb 5 2010-02-002064 Due to GSIS 413 Cash in Bank - Local Currency , Current Account 1,800.00 111 1,800.00 Refund of Excess Employees Taxes, Loans and Premiums - SIEGA JR. AGUSTIN REFUND OF GSIS CONSOL LOAN FOR THE MONTH OF JANUARY 2010. Feb 5 2010-02-002065 Salaries and Wages - Regular Life and Retirement Insurance Contributions 701 179.03 731 21.48 Cash in Bank - Local Currency , Current Account 111 162.92 Due to GSIS 413 37.59 Ck#211059 Payment of Salaries and Wages thru Bank - MANLUNAS , JACINTA TRENGIA PYMT. OF STEP INCREMENT FOR THE MONTH OF JANUARY 1 -31, 2010. Ck#211063 Feb 5 2010-02-002067 Salaries and Wages - Regular Life and Retirement Insurance Contributions 701 179.03 731 21.48 Cash in Bank - Local Currency , Current Account 111 162.92 Due to GSIS 413 37.59 Payment of Salaries and Wages thru Bank - CUTIMAR, ROGELIO TIIN PYMT.OF SALARY INCREMENT FROM JANUARY 2 - 31, 2010. Ck#211064 Feb 5 2010-02-002069 Salaries and Wages - Regular Life and Retirement Insurance Contributions 701 179.03 731 21.48 Cash in Bank - Local Currency , Current Account 111 162.92 Due to GSIS 413 37.59 Payment of Salaries and Wages thru Bank - EBRADA, ENRIQUE DELA CERNA PYMT. OF SALARY STEP INCREMENT FROM JANUARY 2 - 31, 2010. Ck#211065 Feb 5 2010-02-002073 Due to Officers and Employees 403 3,132.78 Cash in Bank - Local Currency , Current Account 111 2,322.86 Due to GSIS 413 509.92 Due to PAG-IBIG 414 200.00 415 100.00 Due to PHILHEALTH Payment for Due to Officers and Employees - SALIMBAGAT, GREVIC M. PYMT. OF FIRST SALARY FOR THE PERIOD NOVEMBER 24-30, 2009. Ck#211067 Feb 5 2010-02-002088 Representation Allowance (RA) Transportation Allowance (TA) 713 5,500.00 714 5,500.00 Cash in Bank - Local Currency , Current Account 111 11,000.00 Payment of Allowances, Bonus and Other Compensation - LYNDON B.J. BASAN PYMT. OF REPRESENTATION AND TRANS. ALLOW. FOR THE MONTH OF FEBRUARY 2010. Ck#211069 Feb 5 2010-02-002089 Due to GSIS 413 1,340.00 Cash in Bank - Local Currency , Current Account 111 1,340.00 Refund of Excess Employees Taxes, Loans and Premiums - MAGALLON, MIRASOL L. REFUND OF CONSOLIDATED LOAN OF GSIS FOR THE MONTH OF JANUARY 2010. Ck#242331 Feb 5 2010-02-002090 Due to Other NGAs 416 Cash in Bank - Local Currency , Current Account 11,633.00 111 11,433.00 Prior Years' Adjustments 684 200.00 Grant of Subsidies and Donations - GENEROSA LABRA REIMB. OF TRANS. EXPENSES PER DIEMS, ETC. WHILE ON OFFICIAL TRIP TO MANILA LAST OCTOBER 14-17, 2009. Ck#242333 Feb 5 2010-02-002091 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 1,000.00 111 1,000.00 Payment for Due to Officers and Employees - FERDINAND C. CAÑETE REIMBURSEMENT OF IBP MEMBERSHIP DUES FOR THE YEAR 2009. Ck#242334 Feb 5 2010-02-002092 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 1,000.00 111 1,000.00 Payment for Due to Officers and Employees - RAPHAEL CHRISTOPHER YAP REIMB. OF IBP MEMBERSHIP DUES FOR THE 2009. Ck#242335 Feb 5 2010-02-002107 Due to Officers and Employees 403 6,594.08 Cash in Bank - Local Currency , Current Account 111 6,594.08 Payment for Due to Officers and Employees - JOSE REY PACRES REIMB. OF TRAVEL EXPENSES INCURRED IN MANILA FOR OFFICIAL BUS. LAST NOVEMBER 20, 2009. Ck#242336 Feb 5 2010-02-002113 Due to Other NGAs 416 Cash in Bank - Local Currency , Current Account 111 11,633.00 11,433.00 Prior Years' Adjustments 684 200.00 Grant of Subsidies and Donations - ENRIQUETA BELARMINO REIMB. OF TRANSPORTATION EXPENSES, PER DIEMS REG. FEE AND OTHER INCIDENTAL EXPENSES INCURRECD WHILE ON OFFICIAL TRIP TO MANILA TO ATTEND THE PJA CONVENTION LAST OCTOBER 14 -17, 2009. Ck#242337 Feb 5 2010-02-002115 Due to Officers and Employees 403 487.24 Cash in Bank - Local Currency , Current Account 111 487.24 Payment for Due to Officers and Employees - GERALDINE E. DELA CERNA REIMB. TRAVEL EXPENSES FOR PUERTO PRINCESA , PALAWAN ON DEC. 15, 2009 TO ATTEND TOURISM STATISTICS TRAINING. Ck#242340 Feb 5 2010-02-002118 Due to Officers and Employees 403 3,635.55 Cash in Bank - Local Currency , Current Account 111 3,635.55 Payment for Due to Officers and Employees - JOSE C. DALUZ III REIMB. OF MONTHLY CELLULAR PHONE BILL FOR THE PERIOD OCTOBER 10 - NOVEMBER 9, 2010. Ck#242342 Feb 5 2010-02-002133 Due to LGUs 418 Cash in Bank - Local Currency , Current Account 18,000.00 111 18,000.00 Payment for Inter-Agency Payable - BRGY. MABOLO PYMT. FOR FINANCIAL ASSISTANCE FOR THEIR CRIME WATCH VOLUNTEER T-SHIRTS. Ck#242346 Feb 5 2010-02-002147 Accounts Payable 401 111 6,451.38 Due to BIR 412 367.11 Other Payables Feb 5 6,852.75 Cash in Bank - Local Currency , Current Account 439 34.26 Payment for Accounts Payable - CEBU DE ORO EDUCATIONAL SUPPLY PYMT. OF SUPPLIES FOR SPECIAL LOCAL HIRING OF DMDP ON AUGUST 8 & 22,2009 PER PR#09762 DTD.6-19-2009. CHECK NO. 242350 CTV NO. 1542 - P6,329.01 - CEBU DE ORO EDUC. SUPPLY CHECK NO. 24235 2010-02-002152 Accounts Payable 401 4,774.00 Cash in Bank - Local Currency , Current Account 111 4,470.93 Due to BIR 412 253.07 Prior Years' Adjustments 684 50.00 Payment for Accounts Payable -CEBU FAR EASTERN DRUG PYMT. OF 1 PC MORTAR & PESTLE MEDIUM & OTHER ITEMSPER PR#08-1043 DTD.9-30-08. CHECK NO. 712714 CTV NO. 1546 = P4,385.68 - CEBU FAR EASTERN CHECK NO. 712715 CTV NO. 1547 = 85.25 - CEBU CI Feb 5 2010-02-002159 Other Payables 439 Cash in Bank - Local Currency , Current Account Due to BIR Feb 5 401 Cash in Bank - Local Currency , Current Account Feb 5 111 162,960.94 412 10,864.06 Payment for Other Liabilities - ROAD WARRIORS TOWING AND MOTOR SERVICES FROM JANUARY 11, 12, 13, 14, 15, 16, & 17, 2010. CHECK NO. 703704 CTV NO. 1552 P159,000.94 - ROAD WARRIORS TOWING SERVICES CHECK NO. 703705 CTV NO. 1553 3,960..00 - CE 2010-02-002162 Accounts Payable Due to BIR 173,825.00 945,000.00 111 894,375.00 412 50,625.00 Payment for Accounts Payable - PASAJERO MOTORS CORPORATION PYMT. FOR THE PURCHASE OF ONE UNIT FACTORY RECONDITIONED SHUTTLE BUSPER PR#09-746 DTD. 6-17-2009 CHECK NO. 703200 CTV NO. 1559 = P879,718.75 - PASAJERO MOTORS CORPORATION CHECK NO. 703201 2010-02-002282 Due to Officers and Employees 403 16,627.76 Cash in Bank - Local Currency , Current Account 111 13,350.68 Due to GSIS 413 2,777.08 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 300.00 Payment of Salaries and Wages thru Bank - ABIABI, CHRISTINDE MARIE PAYMENT OF FIRST SALARY FOR THE MONTH OF DECEMBER 1 - 31, 2009. Ck#211068 Feb 5 2010-02-002762 Accounts Payable 401 100,000.00 Cash in Bank - Local Currency , Current Account 111 85,000.00 Due to BIR 412 10,000.00 Performance/Bidders/Bail Bonds Payable 427 5,000.00 Payment for Accounts Payable - FREELANCE PAYMENTOF UPDATING OF CHILD FRIENDLY MOVEMENT RELEASE PRINTS 10 DVD COPIES AND 10 VCD COPIES CHECK NO.703202 CTV NO. 1561 = P83,680.00 - FREELANCE CHECK NO.703203 CTV NO. 1562 = 1,320.00 - CEBU Feb 5 2010-02-002973 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 705 14,035.00 711 8,000.00 111 22,035.00 Payment of Salaries and Wages thru Bank - CARUZCA, VINCENT A. ET AL FOR JANUARY 16-31, 2010 Feb 5 2010-02-002977 Salaries and Wages - Casual 705 10,198.06 Personnel Economic Relief Allowance (PERA) 711 1,977.28 Life and Retirement Insurance Contributions 731 1,223.77 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 125.00 ECC Contributions 734 100.00 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 8,546.47 697.15 Due to GSIS 413 3,030.49 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 250.00 Other Payables 439 1,000.00 Payment of Salaries and Wages thru Bank - LARISMA, ALICIA C. FOR JANUARY1-31, 2010 Feb 5 2010-02-002983 Salaries and Wages - Casual 705 7,891.00 Personnel Economic Relief Allowance (PERA) 711 2,000.00 Life and Retirement Insurance Contributions 731 946.92 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 87.50 ECC Contributions 734 78.91 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 8,905.09 88.22 Due to GSIS 413 1,736.02 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 175.00 Payment of Salaries and Wages thru Bank - VILLARIN, CERELYN A. FOR JANUARY 1-31, 2010 Feb 5 2010-02-002989 Due to Officers and Employees Cash in Bank - Local Currency , Current Account 403 4,050.00 111 3,845.48 Prior Years' Adjustments 684 204.52 Payment of Allowances, Bonus and Other Compensation - AVENIDO, RICHEL Z. ET AL AS HAZARD PAY FOR DECEMBER, 2009 ACCOUNT 6384: CASTILLO P 6.81 JANINA FE B. DOMADO Feb 5 2010-02-002996 Salaries and Wages - Casual 705 13,456.00 Personnel Economic Relief Allowance (PERA) 711 4,000.00 Life and Retirement Insurance Contributions 731 1,614.72 PAG-IBIG Contributions 732 200.00 PHILHEALTH Contributions 733 162.50 ECC Contributions 734 168.44 JOAN KATHERINE K. Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 13,304.27 83.73 Due to GSIS 413 3,721.56 Due to PAG-IBIG 414 1,187.10 Due to PHILHEALTH 415 325.00 Other Payables 439 980.00 Payment of Salaries and Wages thru Bank- DELOS SANTOS, MA. CARMENCITA N. ET AL FOR JANUARY 1-31, 2010 Feb 5 2010-02-003002 Salaries and Wages - Regular 701 8,245.56 Personnel Economic Relief Allowance (PERA) 711 1,981.26 Life and Retirement Insurance Contributions 731 989.47 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 100.00 ECC Contributions 734 128.01 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 8,038.90 171.73 Due to GSIS 413 2,933.67 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 200.00 Payment of Salaries and Wages thru Bank - DE JESUS, MA. LIBERTY D. FOR JANUARY 1-31, 2010 Feb 5 2010-02-003006 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) 701 4,476.50 711 2,000.00 Cash in Bank - Local Currency , Current Account 111 5,476.50 Other Payables 439 1,000.00 Payment of Salaries and Wages thru Bank - LOPEZ, DANILO B. FOR JANUARY 16-31, 2010 Feb 5 2010-02-003009 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) 701 14,323.00 711 4,000.00 Cash in Bank - Local Currency , Current Account 111 18,323.00 Personnel Economic Relief Allowance (PERA) 711 0.00 Payment of Salaries and Wages thru Bank - BALITE, JEMINA MARIE P. ET AL FOR JAN UARY16-31, 2010 Feb 5 2010-02-003030 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 11,763.50 711 4,000.00 111 15,763.50 Payment of Salaries and Wages thru Bank - MAUREAL, ANITA M. ET AL FOR JANUARY 16-31, 2010 Feb 5 2010-02-003031 Other Personnel Benefits 749 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Allowances, Bonus and Other Compensation - JIMENEA, CELSO ESTEBAN F. AS LOYALTY BONUS (ADMIN) Feb 5 2010-02-003032 Due to BIR 412 Cash in Bank - Local Currency , Current Account 285.52 111 285.52 Refund of Excess Employees Taxes, Loans and Premiums - OUANO, JETT Q. AS EXCESS WITHHOLDING TAX FOR 2009. Feb 5 2010-02-003035 Salaries and Wages - Casual 705 57,496.00 Personnel Economic Relief Allowance (PERA) 711 12,000.00 Cash in Bank - Local Currency , Current Account 111 68,683.00 Other Payables 439 813.00 Payment of Salaries and Wages thru Bank - ABELLA, MARIE VELLE P. FOR JANUARY 16-31, 2010 Feb 5 2010-02-003037 Due to BIR 412 Cash in Bank - Local Currency , Current Account 2,785.89 111 2,785.89 Refund of Excess Employees Taxes, Loans and Premiums - ALLIN, ROMA ROCHELLE D. AS EXCESS WITHHOLDING TAX FOR 2009. Feb 5 2010-02-003098 Salaries and Wages - Regular 701 21,537.00 Personnel Economic Relief Allowance (PERA) 711 2,000.00 Life and Retirement Insurance Contributions 731 2,584.44 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 262.50 ECC Contributions 734 100.00 Cash in Bank - Local Currency , Current Account 111 18,510.46 Due to BIR 412 2,725.71 Due to GSIS 413 4,622.77 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 525.00 Payment of Salaries and Wages thru Bank - RAMOS, VERENA-EMMELINE R. FOR JANUARY 1-31, 2010 Feb 5 2010-02-003100 Due to Officers and Employees 403 838.50 Cash in Bank - Local Currency , Current Account 111 754.65 Due to BIR 412 83.85 Payment for Due to Officers and Employees - PEREZ, JONAS B. AS OVERTIME PAY FOR NOVEMBER, 2009 Feb 5 2010-02-003101 Other Personnel Benefits 749 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Allowances, Bonus and Other Compensation - CAPULE, JOEL A. AS LOYALTY BONUS (CHAC) Feb 5 2010-02-003103 Salaries and Wages - Casual 705 26,812.00 Personnel Economic Relief Allowance (PERA) 711 8,000.00 Life and Retirement Insurance Contributions 731 3,217.44 PAG-IBIG Contributions 732 400.00 PHILHEALTH Contributions 733 300.00 ECC Contributions 734 446.88 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 22,766.07 433.32 Due to GSIS 413 10,554.07 Due to PAG-IBIG 414 3,722.86 Due to PHILHEALTH 415 600.00 Other Payables 439 1,100.00 Payment of Salaries and Wages thru Bank - ABELLA, SALOME M. ET AL FOR JANUARY 1-31, 2010 Feb 5 2010-02-003104 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) 701 37,675.00 711 10,000.00 Life and Retirement Insurance Contributions 731 4,521.00 PAG-IBIG Contributions 732 500.00 PHILHEALTH Contributions 733 425.00 ECC Contributions 734 618.37 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 24,980.79 1,066.84 Due to GSIS 413 17,369.00 Due to PAG-IBIG 414 5,872.74 Due to PHILHEALTH 415 850.00 Other Payables 439 3,600.00 Payment of Salaries and Wages thru Bank - ARIOSA, BIENVENIDO S. ET AL FOR JANUARY 1-31, 2010 Feb 5 2010-02-003106 Due to Officers and Employees 403 1,265.61 Cash in Bank - Local Currency , Current Account 111 1,139.05 Due to BIR 412 126.56 Payment for Due to Officers and Employees - ENRIQUEZ, DARIO O. ET AL AS OVERTIME PAY FOR NOVEMBER, 2009 Feb 5 2010-02-003107 Due to Officers and Employees 403 1,490.42 Cash in Bank - Local Currency , Current Account 111 1,341.38 Due to BIR 412 149.04 Payment for Due to Officers and Employees - MAUREAL, ANITA M.AS OVERTIME PAY FOR DECEMBER, 2009 Feb 5 2010-02-003108 Due to Officers and Employees 403 10,588.55 Cash in Bank - Local Currency , Current Account 111 8,691.93 Due to BIR 412 1,896.62 Payment for Due to Officers and Employees - ARANDA, ROLANDO M. ET AL AS OVERTIME PAY FOR APRIL 4-28, 2009 Feb 5 2010-02-003152 Due to Officers and Employees 403 13,513.89 Cash in Bank - Local Currency , Current Account 111 11,108.47 Due to BIR 412 2,405.42 Payment for Due to Officers and Employees - ARANDA, ROLANDO M. ET AL AS OVERTIME PAY FOR JULY, 2009 Feb 5 2010-02-003154 Salaries and Wages - Casual 705 6,149.00 Personnel Economic Relief Allowance (PERA) 711 2,000.00 Life and Retirement Insurance Contributions 731 737.88 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 75.00 ECC Contributions 734 95.37 Cash in Bank - Local Currency , Current Account 111 5,175.66 Due to GSIS 413 2,414.55 Due to PAG-IBIG 414 717.04 Due to PHILHEALTH 415 150.00 Other Payables 439 700.00 Payment of Salaries and Wages thru Bank - BERCERO, MARISSA DC. FOR JANUARY 1-31, 2010 Feb 5 2010-02-003156 Due to Officers and Employees Cash in Bank - Local Currency , Current Account 403 111 7,706.18 6,164.94 Due to BIR 412 1,541.24 Payment for Due to Officers and Employees - ANDRINO, MAXIMO A. ET AL AS OVERTIME PAY FOR DECEMBER, 2009 Feb 5 2010-02-003164 Salaries and Wages - Regular 701 12,220.00 Personnel Economic Relief Allowance (PERA) 711 2,000.00 Life and Retirement Insurance Contributions 731 1,466.40 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 150.00 ECC Contributions 734 100.00 Cash in Bank - Local Currency , Current Account 111 5,794.80 Due to BIR 412 213.83 Due to GSIS 413 3,693.77 Due to PAG-IBIG 414 600.00 Due to PHILHEALTH 415 300.00 Other Payables 439 5,434.00 Payment of Salaries and Wages thru Bank - ACENAS, MARIE FARLASH SALESHIE S. FOR JANUARY 1-31, 2010 Feb 5 2010-02-003170 Salaries and Wages - Regular 701 6,788.00 Personnel Economic Relief Allowance (PERA) 711 2,000.00 Life and Retirement Insurance Contributions 731 814.56 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 75.00 ECC Contributions 734 113.08 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 5,671.52 141.88 Due to GSIS 413 1,877.24 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 150.00 Other Payables 439 1,850.00 Payment of Salaries and Wages thru Bank - ABABON, MARIBETH V. FOR JANUARY 1-31, 2010 Feb 5 2010-02-003177 Salaries and Wages - Regular 701 7,307.00 Personnel Economic Relief Allowance (PERA) 711 2,000.00 Life and Retirement Insurance Contributions 731 876.84 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 87.50 ECC Contributions 734 73.07 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 7,879.87 582.00 Due to GSIS 413 1,607.54 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 175.00 Payment of Salaries and Wages thru Bank - MONTERMOSO, LUCIL I. FOR JANUARY 1- 31, 2010 (1ST, 2ND, 3RD & 4TH WEEK) Feb 5 2010-02-003185 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 705 78,160.50 711 24,000.00 111 102,160.50 Payment of Salaries and Wages thru Bank - BONTILAO, BOBSMEI N. ET AL FOR JANUARY 16-31, 2010 Feb 5 2010-02-003192 Salaries and Wages - Casual 705 21,537.00 Personnel Economic Relief Allowance (PERA) 711 2,000.00 Life and Retirement Insurance Contributions 731 2,584.44 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 262.50 ECC Contributions 734 100.00 Cash in Bank - Local Currency , Current Account 111 18,510.46 Due to BIR 412 2,725.71 Due to GSIS 413 4,622.77 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 525.00 Payment of Salaries and Wages thru Bank - PIDOR, ASRI G. FOR JANUARY 1-31, 2010 Feb 5 2010-02-003195 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 705 5,269.00 711 2,000.00 111 7,269.00 Payment of Salaries and Wages thru Bank - PRIMACIO, CARLO B. FOR JANUARY 16-31, 2010 Feb 5 2010-02-003198 Salaries and Wages - Regular Life and Retirement Insurance Contributions 701 381.00 731 45.75 Cash in Bank - Local Currency , Current Account 111 346.71 Due to GSIS 413 80.04 Payment of Salaries and Wages thru Bank - CHARITY C. MARCOS PAYMENT OF SALARY STEP INCREMENT FROM JANUARY 1 - 31, 2010. Ck#211057 Feb 5 2010-02-003199 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 705 11,358.00 711 4,000.00 111 15,358.00 Payment of Salaries and Wages thru Bank- CADAR, ALI P. ET AL FOR JANUARY 16-31, 2010 Feb 5 2010-02-003204 Salaries and Wages - Casual 705 13,512.00 Personnel Economic Relief Allowance (PERA) 711 2,000.00 Life and Retirement Insurance Contributions 731 1,621.44 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 162.50 ECC Contributions 734 100.00 Cash in Bank - Local Currency , Current Account 111 9,788.45 Due to BIR 412 1,230.92 Due to GSIS 413 5,951.57 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 325.00 Payment of Salaries and Wages thru Bank - ALINGASA, GLYNIS MONDARTE FOR JANUARY 1-31, 2010 (1ST & 2ND HALF) Feb 5 2010-02-003208 Due to BIR 412 Cash in Bank - Local Currency , Current Account 111 3,057.91 3,057.91 Refund of Excess Employees Taxes, Loans and Premiums - RESTAURO, DOMINIC D. ET AL AS EXCESS WITHHOLDING TAX FOR 2009 Feb 5 2010-02-003213 Salaries and Wages - Regular 701 11,348.00 Personnel Economic Relief Allowance (PERA) 711 2,000.00 Life and Retirement Insurance Contributions 731 1,361.76 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 137.50 ECC Contributions 734 100.00 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 6,967.49 94.12 Due to GSIS 413 3,510.65 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 275.00 Other Payables 439 4,000.00 Payment of Salaries and Wages thru Bank - RAMAS, SARAH JANE B. FOR JANUARY 1-31, 2010 Feb 5 2010-02-003218 Salaries and Wages - Casual 705 14,614.00 Personnel Economic Relief Allowance (PERA) 711 4,000.00 Life and Retirement Insurance Contributions 731 1,753.68 PAG-IBIG Contributions 732 200.00 PHILHEALTH Contributions 733 175.00 ECC Contributions 734 194.86 Cash in Bank - Local Currency , Current Account 111 16,548.04 Due to BIR 412 375.70 Due to GSIS 413 3,263.80 Due to PAG-IBIG 414 400.00 Due to PHILHEALTH 415 350.00 Payment of Salaries and Wages thru Bank - PARRUCHU, LILIAN N. ET AL FOR JANUARY 1-31, 2010 Feb 5 2010-02-003220 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 7,599.00 711 4,000.00 Cash in Bank - Local Currency , Current Account 111 11,249.00 Other Payables 439 350.00 Payment of Salaries and Wages thru Bank - ALIT, DEXTER G. ET AL FOR JANUARY 16-31, 2009 Feb 5 2010-02-003223 Salaries and Wages - Regular 701 46,969.10 Personnel Economic Relief Allowance (PERA) 711 9,861.49 Life and Retirement Insurance Contributions 731 5,636.29 PAG-IBIG Contributions 732 500.00 PHILHEALTH Contributions 733 550.00 ECC Contributions 734 469.69 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 4,018.53 Due to GSIS 413 14,586.90 Due to PAG-IBIG 414 3,128.12 Due to PHILHEALTH 415 1,100.00 439 5,240.00 Other Payables 35,913.02 Payment of Salaries and Wages thru Bank - BINONDO, ARNOLD D. ET AL FOR JANUARY 1-31, 2010 Feb 5 2010-02-003226 Salaries and Wages - Regular 701 7,951.42 Personnel Economic Relief Allowance (PERA) 711 1,990.25 Life and Retirement Insurance Contributions 731 954.17 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 87.50 ECC Contributions 734 121.80 Cash in Bank - Local Currency , Current Account 111 4,337.86 Due to GSIS 413 2,630.28 Due to PAG-IBIG 414 1,200.00 Due to PHILHEALTH 415 175.00 439 2,862.00 Other Payables Payment of Salaries and Wages thru Bank - KALUBIRAN, JONAFEN W. FOR JANUARY 1-31, 2010 Feb 5 2010-02-003308 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 705 6,728.00 711 4,000.00 111 10,728.00 Payment of Salaries and Wages thru Bank - GONZALES, MARIO M. ET AL FOR JANUARY 16-31, 2010 Feb 5 2010-02-003312 Salaries and Wages - Regular 701 70,883.00 Personnel Economic Relief Allowance (PERA) 711 12,000.00 Life and Retirement Insurance Contributions 731 8,505.96 PAG-IBIG Contributions 732 600.00 PHILHEALTH Contributions 733 837.50 ECC Contributions 734 572.19 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 53,989.25 2,948.48 Due to GSIS 413 17,799.88 Due to PAG-IBIG 414 3,850.11 Due to PHILHEALTH 415 1,675.00 Other Payables 439 13,135.93 Payment of Salaries and Wages thru Bank - CLARIN, PETER PAUL A. ET AL FOR JANUARY 1-31, 2010 Feb 5 2010-02-003619 Salaries and Wages - Casual 705 40,913.00 Personnel Economic Relief Allowance (PERA) 711 10,000.00 Life and Retirement Insurance Contributions 731 4,909.56 PAG-IBIG Contributions 732 500.00 PHILHEALTH Contributions 733 487.50 ECC Contributions 734 449.39 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 35,535.61 796.45 Due to GSIS 413 14,570.61 Due to PAG-IBIG 414 3,381.78 Due to PHILHEALTH 415 975.00 Other Payables 439 2,000.00 Payment of Salaries and Wages thru Bank - ARANCO, KATHLENE C. FOR JANUARY 1 -31, 2010 Feb 8 2010-02-002386 Fidelity Bond Premiums 892 45,000.00 Cash in Bank - Local Currency , Current Account 111 45,000.00 Payment for Taxes, Premiums and Other Fees - BUREAU OF THE TREASURY TO PAYMENT OF FIDELITY BOND PREMUIM OF EDWIN CADUNGOG AND MARCHEL SARNO. Ck#698042 Feb 8 2010-02-002388 Subsidy to Local Government Units 874 Cash in Bank - Local Currency , Current Account 140,000.00 111 140,000.00 Grant of Subsidies and Donations - NICOLAS C. SELLON ET AL / ALEXANDER ACOSTA, ET. AL INCENTIVE ALLOWANCE FOR JANUARY, 2010. Ck#242352 Feb 8 2010-02-002391 Due to Officers and Employees 403 1,000.00 Cash in Bank - Local Currency , Current Account 111 1,000.00 Payment for Communication Expenses - MR. JOSEPH RYAN GO TO REIMBURSEMENT THE CELLULAR PHONE BILL FOR THE PERIOD FROM NOVEMBER 16 - DECEMBER 09, 2009. Ck#211073 Feb 8 2010-02-002393 Due to Officers and Employees 403 3,500.00 Cash in Bank - Local Currency , Current Account 111 Payment for Communication Expenses - JOELITO L. BACLAYON 15, 2009. Ck#211074 Feb 8 2010-02-002394 Due from Officers and Employees 123 3,500.00 REIMBURSEMENT OF COMMUNICATION SERVICES FOR THE PERIOD NOVEMBER 16, 2009 - DECEMBER 10,340.00 Cash in Bank - Local Currency , Current Account 111 10,340.00 Grant of Cash Advance -= LEIZL C. GONZAGA FOR THE TRAVELLING AND OTHER EXPENSES WHILE ATTENDING THE 77TH PHALTRA NATIONAL CONVENTION AND SEMINAR WORKSHOP ON FEBRUARY 16 - 19, 2010 AT THE SMX CONVENTION CENTER, SM MALL OF ASIA, PASAY CITY. Ck#211079 Feb 8 2010-02-002395 Due from Officers and Employees 123 10,340.00 Cash in Bank - Local Currency , Current Account 111 10,340.00 Grant of Cash Advance - HILARIO P. ALICANTE, JR. FOR THE TRAVELLING AND OTHER EXPENSES WHILE ATTENDING THE 77TH PHALTRA NATIONAL CONVENTION AND SEMINAR WORKSHOP ON FEBRUARY 16 - 19, 2010 AT THE SMX CONVENTION CENTER, SM MALL OF ASIA, PASAY CITY. Ck#2 Feb 8 2010-02-002396 Other Maintenance and Other Operating Expenses 969 18,000.00 Cash in Bank - Local Currency , Current Account 111 18,000.00 Payment for Training Expenses - PHILLBO, INC PAYMENT OF REGISTRATION FEES TO PHILLBO ANNUAL CONVENTION/SEMINAR TO BE HELD AT LA CARMELA DE BORACAY RESORT HOTEL ON MARCH 10 - 12, 2010 Ck#211081 Feb 8 2010-02-002397 Due to Officers and Employees 403 8,542.00 Cash in Bank - Local Currency , Current Account 111 6,926.75 Due to GSIS 413 1,315.25 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 100.00 Payment of Salaries and Wages thru Bank - EMILY A. CALLINO 1ST SALARY FROM DECEMBER 2 - 31, 2009. Ck#211082 Feb 8 2010-02-002398 Due to Officers and Employees 403 20,424.73 Cash in Bank - Local Currency , Current Account 111 16,514.50 Due to GSIS 413 3,104.33 Due to PAG-IBIG 414 455.90 Due to PHILHEALTH 415 350.00 Payment of Salaries and Wages thru Bank - EXPEDITHA CONCEPCION 1ST SALARY FROM OCTOBER 26 - DECEMBER 31, 2009. Ck#211083 Feb 8 2010-02-002399 Due to Officers and Employees Cash in Bank - Local Currency , Current Account 403 111 20,424.73 16,514.50 Due to GSIS 413 3,104.33 Due to PAG-IBIG 414 455.90 Due to PHILHEALTH 415 350.00 Payment of Salaries and Wages thru Bank - MARICAR V. PALACIO 1ST SALARY FOR THE PERIOD OCTOBER 26 - DECEMBER 31, 2009. Ck#211084 Feb 8 2010-02-002401 Representation Allowance (RA) Transportation Allowance (TA) 713 6,300.00 714 6,300.00 Cash in Bank - Local Currency , Current Account 111 12,600.00 Payment of Allowances, Bonus and Other Compensation - ATTY. JOSEPH U. BERNALDEZ PAYMENT OF RATA FEBRUARY, 2010. AS ACTING DEPARTMENT HEAD, LEGAL OFFICE, CEBU CITY. Ck#211088 Feb 8 2010-02-002404 Due to Officers and Employees 403 9,668.26 Cash in Bank - Local Currency , Current Account 111 7,723.37 Due to GSIS 413 1,569.89 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 175.00 Payment for Due to Officers and Employees - JAY C. NAYON, SR. 1ST SALARY FOR DECEMBER 1 - 31, 2009. Ck#211089 Feb 8 2010-02-002407 Due to Officers and Employees 403 8,000.00 Cash in Bank - Local Currency , Current Account 111 8,000.00 Payment / Reimbursement for Miscellaneous, Extra-ordinary / Confidential Expenses - FRANCISCO FERNANDEZ AS REIMBURSEMENT OF FOOD AND DRINKS SERVED DURING THE CHRISTMAS CELEBRATION OF COSAP TALENT ON DECEMBER 19, 2009. Ck#211090 Feb 8 2010-02-002410 Due to Officers and Employees 403 1,941.48 Cash in Bank - Local Currency , Current Account 111 1,496.05 Due to GSIS 413 292.29 Due to PAG-IBIG 414 53.14 Due to PHILHEALTH 415 100.00 Payment for Due to Officers and Employees - GRACE B. FIEL PAYMENT OF LAST SALARY DECEMBER 1 -4, 2009. Ck#211092 Feb 8 2010-02-002412 Performance/Bidders/Bail Bonds Payable 427 1,127,850.00 Cash in Bank - Local Currency , Current Account 111 1,127,850.00 Refund of Performance Bond to Contractor - RDAK TRANSPORT EQUIPMENT TO WITHDRAW BID SECURITY FOR BID NO. B - 09 - 486 UNDER O. R. NO. 9473124 DTD. 10/27/2009. Ck#211093 Feb 8 2010-02-002414 Performance/Bidders/Bail Bonds Payable 427 177.42 Cash in Bank - Local Currency , Current Account 111 177.42 Refund of Performance Bond to Contractor - SACHEM MARKETING TO WITHDRAW THE 5% PERFORMANCE BOND AS PAV # 00012851 DATED JULY 29, 2009; CTV #13971 DATED OCTOBER 20, 2009. Ck#211096 Feb 8 2010-02-002415 Performance/Bidders/Bail Bonds Payable 427 12,470.00 Cash in Bank - Local Currency , Current Account 111 12,470.00 Refund of Performance Bond to Contractor - VIC'S AGRI FARM TO WITHDRAW BID SECURITY FOR BID NO.: B - 09 - 559 UNDER O. R. NO. 9465215 DTD. 10/29/2009 Ck#211097 Feb 8 2010-02-002416 Performance/Bidders/Bail Bonds Payable 427 682.94 Cash in Bank - Local Currency , Current Account 111 682.94 Refund of Performance Bond to Contractor - SACHEM MARKETING TO WITHDRAW THE PERFORMANCE BOND UNDER PAV # 0010855 DATED JUNE 29, 2009 AND CTV # 13501 DATED OCTOBER 12, 2009. Ck#675868 Feb 8 2010-02-002425 Due to Other NGAs 416 2,000.00 Cash in Bank - Local Currency , Current Account 111 2,000.00 Grant of Subsidies and Donations -ABESIA, RICARDO JR. PAYMENT OF INCENTIVE ALLOWANCE DUE TO "CLOSED ACCOUNT" FOR MONTH OF SEPT. TO OCT. 2009. Ck#211086 Feb 8 2010-02-002426 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account Due to BIR Feb 8 46,000.00 111 41,400.00 412 4,600.00 Payment for Due to Officers and Employees - FERNANDEZ, FRANCISCO L. ET. AL. HONORARIUM FOR COMMITTEE ON AWARDS OFFICERS AND MEMBERS FOR NOVEMBER - DECEMBER, 2009. Ck#211091 2010-02-002931 Salaries and Wages - Casual 705 6,149.00 Personnel Economic Relief Allowance (PERA) 711 2,000.00 Life and Retirement Insurance Contributions 731 737.88 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 75.00 ECC Contributions 734 61.49 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 6,852.39 229.52 Due to GSIS 413 1,691.46 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 150.00 Payment of Salaries and Wages thru Bank - GO, REYNALADO JR. A. FOR JANUARY 1-31, 2010 . Feb 8 2010-02-002934 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) 701 4,031.50 711 2,000.00 Cash in Bank - Local Currency , Current Account 111 5,611.50 Other Payables 439 420.00 Payment of Salaries and Wages thru Bank - PRAJES, ROQUE SR. V. FOR JANUARY 16-31, 2010 Feb 8 2010-02-002936 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 705 3,945.50 711 2,000.00 111 5,945.50 Payment of Salaries and Wages thru Bank - GEPIGA, JENNIFER M. FOR JANUARY 16-31, 2010 Feb 8 2010-02-002940 Due to Officers and Employees 403 2,934.76 Cash in Bank - Local Currency , Current Account 111 2,354.36 Due to BIR 412 293.48 Prior Years' Adjustments 684 286.92 Payment for Due to Officers and Employees - NADAL, INOCENCIO JR. C.AS OVERTIME PAY FOR DECEMBER, 2009. Feb 8 2010-02-002941 Other Personnel Benefits 749 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Allowances, Bonus and Other Compensation - SABLE, CARLOS A. AS LOYALTY BONUS (CCMC-CN) Feb 8 2010-02-002943 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 705 12,877.00 711 8,000.00 111 20,877.00 Payment of Salaries and Wages thru Bank - ALMARIO, ERNESTO T. FOR JANUARY 16-31, 2010 Feb 8 2010-02-002947 Due to Officers and Employees 403 78,164.65 Cash in Bank - Local Currency , Current Account 111 70,198.48 Due to BIR 412 7,966.17 Payment for Due to Officers and Employees - ABARQUEZ, EDGAR S. ET AL AS OVERTIME PAY FOR DECEMBER, 2009. Feb 8 2010-02-002950 Salaries and Wages - Casual 705 14,614.00 Personnel Economic Relief Allowance (PERA) 711 4,000.00 Life and Retirement Insurance Contributions 731 1,753.68 PAG-IBIG Contributions 732 200.00 PHILHEALTH Contributions 733 175.00 ECC Contributions 734 146.14 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 9,164.74 380.00 Due to GSIS 413 3,215.08 Due to PAG-IBIG 414 400.00 Due to PHILHEALTH 415 350.00 Other Payables 439 7,379.00 Payment of Salaries and Wages thru Bank - FRIAS, JEMAR R. ET.AL. FOR JANUARY 1-31, 2010. Feb 8 2010-02-002951 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 705 21,040.00 711 12,000.00 111 33,040.00 Payment of Salaries and Wages thru Bank - BACULAO, ELEMP A. ET.AL. FOR JANUARY 16-31, 2010 Feb 8 2010-02-003011 Other Personnel Benefits 749 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Allowances, Bonus and Other Compensation - PICCIO, VIRGINIA L. AS LOYALTY BONUS. Feb 8 2010-02-003012 Salaries and Wages - Casual 705 9,204.00 Personnel Economic Relief Allowance (PERA) 711 2,000.00 Life and Retirement Insurance Contributions 731 1,104.48 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 112.50 ECC Contributions 734 92.04 Cash in Bank - Local Currency , Current Account 111 6,804.19 Due to GSIS 413 4,112.73 Due to PAG-IBIG 414 1,471.10 Due to PHILHEALTH 415 225.00 Payment of Salaries and Wages thru Bank - GALIDO, ROGER N. FOR JANUARY 1-31, 2010 (1ST & 2ND HALF) Feb 8 2010-02-003013 Salaries and Wages - Casual 705 7,307.00 Personnel Economic Relief Allowance (PERA) 711 2,000.00 Life and Retirement Insurance Contributions 731 876.84 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 87.50 ECC Contributions 734 73.07 Cash in Bank - Local Currency , Current Account 111 8,461.87 Due to GSIS 413 1,607.54 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 175.00 Payment of Salaries and Wages thru Bank - BAGUIO, GERALDINE F. FOR JANUARY 1-31, 2010. Feb 8 2010-02-003014 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 705 6,374.00 711 2,000.00 111 8,374.00 Payment of Salaries and Wages thru Bank - JAYME, IVY MAE E. FOR JANUARY 16-31, 2010 Feb 9 2010-02-001594 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 13,700.00 111 13,700.00 Payment for Due to Officers and Employees - ABERION, YVONNE M. ET AL AS SUBSISTENCE AND LAUNDRY ALLOWANCE FOR DECEMBER, 2009. Feb 9 2010-02-001595 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 14,000.00 111 14,000.00 Payment for Due to Officers and Employees - ABELLANA, FELIX N. ET AL AS SUBSISTENCE AND LAUNDRY ALLOWANCE FOR DECEMBER, 2009. Feb 9 2010-02-001634 Salaries and Wages - Casual 705 6,149.00 Personnel Economic Relief Allowance (PERA) 711 2,000.00 Life and Retirement Insurance Contributions 731 737.88 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 75.00 ECC Contributions 734 61.49 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 7,329.18 91.41 Due to GSIS 413 1,352.78 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 150.00 Payment of Salaries and Wages thru Ban - kBONTUYAN, CYNTHIA IRENE R. FOR JANUARY 1-31, 2010. Feb 9 2010-02-001638 Salaries and Wages - Casual 705 15,198.00 Personnel Economic Relief Allowance (PERA) 711 4,000.00 Life and Retirement Insurance Contributions 731 1,823.76 PAG-IBIG Contributions 732 200.00 PHILHEALTH Contributions 733 175.00 ECC Contributions 734 151.98 Cash in Bank - Local Currency , Current Account 111 17,455.18 Due to GSIS 413 3,343.56 Due to PAG-IBIG 414 400.00 Due to PHILHEALTH 415 350.00 Payment of Salaries and Wages thru Bank - NAYON, JAY SR.C. ET AL. FOR JANUARY 1-31, 2010. Feb 9 2010-02-001640 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) 701 24,816.00 711 6,000.00 Life and Retirement Insurance Contributions 731 2,977.92 PAG-IBIG Contributions 732 300.00 PHILHEALTH Contributions 733 287.50 ECC Contributions 734 310.27 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 13,616.57 2,082.83 Due to GSIS 413 10,006.29 Due to PAG-IBIG 414 2,176.00 Due to PHILHEALTH 415 575.00 Other Payables 439 6,235.00 Payment of Salaries and Wages thru Bank - ABELLANOSA, CORAZON M. ET.AL FOR JANUARY 1-31, 2010. Feb 9 2010-02-001645 Salaries and Wages - Regular 701 7,773.00 Personnel Economic Relief Allowance (PERA) 711 2,000.00 Life and Retirement Insurance Contributions 731 932.76 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 87.50 ECC Contributions 734 90.68 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 200.00 Due to GSIS 413 2,791.90 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 175.00 439 1,000.00 Other Payables 6,617.04 Payment of Salaries and Wages thru Bank - ABATAYO, NESTOR C. FOR JANUARY 1-31, 2010. Feb 9 2010-02-001648 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 705 10,094.50 711 6,000.00 111 16,094.50 Payment of Salaries and Wages thru Bank - APALLA, EDWIN L. ET AL FOR JANUARY 16-31, 2010 Feb 9 2010-02-001650 Salaries and Wages - Casual 705 12,748.00 Personnel Economic Relief Allowance (PERA) 711 2,000.00 Life and Retirement Insurance Contributions 731 1,529.76 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 150.00 ECC Contributions 734 100.00 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 12,524.21 826.47 Due to GSIS 413 2,777.08 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 300.00 Payment of Salaries and Wages thru Bank - PULGO, ROCHE I. FOR JANUARY 1-31, 2010 . Feb 9 2010-02-001669 Salaries and Wages - Casual 705 6,081.16 Personnel Economic Relief Allowance (PERA) 711 1,992.23 Life and Retirement Insurance Contributions 731 729.74 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 75.00 ECC Contributions 734 60.81 Cash in Bank - Local Currency , Current Account 111 7,208.09 Due to GSIS 413 1,337.85 Due to PAG-IBIG 414 343.00 Due to PHILHEALTH 415 150.00 Payment of Salaries and Wages thru Bank - STREEGAN, VANESSA KARIN G. FOR JANUARY 1-31, 2010. Feb 9 2010-02-001679 Salaries and Wages - Casual 705 12,748.00 Personnel Economic Relief Allowance (PERA) 711 2,000.00 Life and Retirement Insurance Contributions 731 1,529.76 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 150.00 ECC Contributions 734 100.00 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 12,800.68 550.00 Due to GSIS 413 2,777.08 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 300.00 Payment of Salaries and Wages thru Bank - TARIMAN, MARICAR D. FOR JANUARY 1-31, 2010. Feb 9 2010-02-001687 Overtime and Night Pay 723 167,234.92 Cash in Bank - Local Currency , Current Account 111 Due from Officers and Employees 123 134,068.69 2,087.04 Due to BIR 412 31,079.19 Payment of Allowances, Bonus and Other Compensation - ABADIA, MA. FATIMA E. ET AL AS OVERTIME PAY FOR JANUARY, 2010. Feb 9 2010-02-001691 Overtime and Night Pay 723 58,657.52 Cash in Bank - Local Currency , Current Account 111 52,393.71 Due to BIR 412 6,263.81 Payment of Allowances, Bonus and Other Compensation - ABAÑO, JOSELITO N. ET AL AS OVERTIME PAY FOR JANUARY, 2010. Feb 9 2010-02-001703 Salaries and Wages - Casual 705 56,140.00 Personnel Economic Relief Allowance (PERA) 711 16,000.00 Life and Retirement Insurance Contributions 731 6,736.80 PAG-IBIG Contributions 732 800.00 PHILHEALTH Contributions 733 675.00 ECC Contributions 734 635.54 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 57,391.33 1,197.77 Due to GSIS 413 14,591.19 Due to PAG-IBIG 414 5,757.05 Due to PHILHEALTH 415 1,350.00 Other Payables 439 700.00 Payment of Salaries and Wages thru Bank - ALESNA, BERNARDO S. ET AL FOR JANUARY 1-31, 2010. Feb 9 2010-02-001705 Salaries and Wages - Casual 705 107,248.00 Personnel Economic Relief Allowance (PERA) 711 32,000.00 Life and Retirement Insurance Contributions 731 12,869.76 PAG-IBIG Contributions 732 1,600.00 PHILHEALTH Contributions 733 1,200.00 ECC Contributions 734 1,072.48 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 1,946.67 Due to GSIS 413 33,737.29 Due to PAG-IBIG 414 9,242.46 Due to PHILHEALTH 415 2,400.00 439 750.00 Other Payables 107,913.82 Payment of Salaries and Wages thru Bank - ARCHIVAL, VIM A. ET AL FOR JANUARY 1-31, 2010. Feb 9 2010-02-001736 Salaries and Wages - Casual 705 43,842.00 Personnel Economic Relief Allowance (PERA) 711 12,000.00 Life and Retirement Insurance Contributions 731 5,261.04 PAG-IBIG Contributions 732 600.00 PHILHEALTH Contributions 733 525.00 ECC Contributions 734 438.42 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 38,939.98 1,585.93 Due to GSIS 413 14,133.23 Due to PAG-IBIG 414 5,978.62 Due to PHILHEALTH 415 1,050.00 Other Payables 439 978.70 Payment of Salaries and Wages thru Bank - CABORNAY, SYLVESTER J. ET AL FOR JANUARY 1-31, 2010. Feb 9 2010-02-001986 Performance/Bidders/Bail Bonds Payable 427 10,000.00 Cash in Bank - Local Currency , Current Account 111 10,000.00 Refund of Performance Bond to Contractor- M. CARANGUE ENTERPRISES AND PRESS TO REFUND THE BID SECURITY UNDER OFFICIAL RECIEPT #9537779 DATED 11/13/09. Ck#242354 Feb 9 2010-02-001987 Cash - Disbursing Officers 103 Cash in Bank - Local Currency , Current Account 1,169,460.51 111 1,169,460.51 Grant of Cash Advance- LAURICE YUTICO FOR PAYMENT OF SALARIES AND HONORARIUM. Ck#698044 Feb 9 2010-02-001988 Due to GSIS 413 Cash in Bank - Local Currency , Current Account 1,218.16 111 1,218.16 Refund of Excess Employees Taxes, Loans and Premiums - TINADOR PRISCELA R. TO REFUND THE GSIS CONSOLIDATED LOAN PAYMENT FOR JANUARY 2010. Ck#242355 Feb 9 2010-02-001989 Due to GSIS 413 Cash in Bank - Local Currency , Current Account 2,050.00 111 2,050.00 Refund of Excess Employees Taxes, Loans and Premiums - ABELLA TEODORO C. TO REFUND THE GSIS CONSOLIDATED LOAN PAYMENTS FOR JANUARY 2010. Ck#242356 Feb 9 2010-02-001990 Due to GSIS 413 1,713.24 Cash in Bank - Local Currency , Current Account 111 1,713.24 Refund of Excess Employees Taxes, Loans and Premiums- OUANO, CILU-JOEL TO REFUND THE GSIS CONSOLIDATED LOAN PAYMENT FOR JANUARY 2010. Ck#242357 Feb 9 2010-02-001991 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 2,071.25 111 2,071.25 Refund of Performance Bond to Contractor - SACHEM MARKETING TO WITDRAW THE PERFORMACE BOND UNDER PAV # 15085 DATED 09/04/09 Feb 9 2010-02-001992 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account Ck#242358 14,000.00 111 14,000.00 Refund of Performance Bond to Contractor - SACHEM MARKETING TO REFUND THE BID SECURITY UNDER OFFICIAL RECIEPT # 9537773 DATED 11/13/09 Feb 9 2010-02-001993 Performance/Bidders/Bail Bonds Payable Other Payables Cash in Bank - Local Currency , Current Account 427 21,064.90 439 42,129.80 111 Ck#242359 63,194.70 Refund of Performance Bond to Contractor- SACHEM MARKETING TO REFUND THE PERFORMANCE BOND AND RETENTION UNDER PAV# 14675 DATED 09/03/09 Ck#242360 Feb 9 2010-02-001994 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 15,024.50 111 15,024.50 Refund of Performance Bond to Contractor - SACHEM MARKETING TO REFUND THE PERFORMANCE BOND UNDER PAV # 2814 DATED 02/13/09 Ck#242361 Feb 9 2010-02-001995 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 443.88 111 443.88 Refund of Performance Bond to Contractor - SACHEM MARKETING TO REFUND THE PERFORMANCE BOND UNDER PAV # 12693 DATED 07/27/09 Feb 9 2010-02-001996 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account Ck#242362 400.00 111 400.00 Refund of Performance Bond to Contractor - SACHEM MARKETING TO REFUND THE BID SECURITY UNDER OFFICIAL RECIEPT # 9472978 DATED 10/23/09 Ck#242363 Feb 9 2010-02-001997 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 4,000.00 111 4,000.00 Refund of Performance Bond to Contractor - SACHEM MARKETING TO REFUND THE BID SECURITY UNDER OFFICIAL RECIEPT # 9537772 DATED 11/13/09 Ck#242364 Feb 9 2010-02-001998 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 7,000.00 111 7,000.00 Refund of Performance Bond to Contractor- SACHEM MARKETING TO REFUND THE BID SECURITY UNDER OFFICIAL RECIEPT # 9537771 DATED 11/13/09 Ck#242365 Feb 9 2010-02-001999 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 1,500.00 111 1,500.00 Refund of Performance Bond to Contractor- SACHEM MARKETING TO REFUND THE BID SECURITY UNDER OFFICIAL RECIEPT # 8824062 DATED 03/25/09 Feb 9 2010-02-002000 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account Ck#242366 1,350.00 111 1,350.00 Refund of Performance Bond to Contractor- SACHEM MAKETING TO REFUND THE BID SECURITY UNDER OFFICIAL RECIEPT # 9472979 DATED 10/28/09 Ck#242367 Feb 9 2010-02-002001 Salaries and Wages - Regular Life and Retirement Insurance Contributions 701 2,528.84 731 303.46 Cash in Bank - Local Currency , Current Account 111 2,301.24 Due to GSIS 413 531.06 Payment of Salaries and Wages thru Bank - DANILO GABIANA TO PAYMENT OF SALARY DIFFERENTIAL FOR JAN. 13-31, 2010. Ck#242368 Feb 9 2010-02-002002 Due to Officers and Employees 403 16,627.76 Cash in Bank - Local Currency , Current Account 111 13,350.68 Due to GSIS 413 2,777.08 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 300.00 Payment of Salaries and Wages thru Bank - SALIMBAGAT, GREVIC TO PAYMENT FOR DEC. 1-31, 2009. Ck#24369 Feb 9 2010-02-002003 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 3,000.00 111 3,000.00 Refund of Performance Bond to Contractor- PASAJERO MOTOR'S TO REFUND THE BID SECURITY UNDER OFFICIAL RECIEPT # 9537777 DATED 11/13/09 Feb 9 2010-02-002004 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account Ck#242370 16,000.00 111 16,000.00 Refund of Performance Bond to Contractor- HARLEY DAVE GEN. MDSE. TO REFUND THE BID SECURITY UNDER OFFICIAL RECIEPT # 9536692 DATED 11/10/09 Feb 9 2010-02-002005 Other Payables 439 Cash in Bank - Local Currency , Current Account 190,386.00 111 190,386.00 Refund of Performance Bond to Contractor - CENTRADE HARDWARE CORP. TO REFUND THE RETENTION WARRANTY UNDER PAV# 3213 DATED 02/20/09 Feb 9 2010-02-002006 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account Ck#242373 3,900.00 111 3,900.00 Refund of Performance Bond to Contractor- HARLEY DAVE GEN. MDSE. TO REFUND THE BID SECURITY UNDER OFFICIAL RECIEPT # 9465701 DATED 11/03/09 Feb 9 2010-02-002008 Other Maintenance and Other Operating Expenses 969 Ck#242371 Ck#242374 28,800.00 Cash in Bank - Local Currency , Current Account 111 28,800.00 Payment for Training Expenses- PHALTRA TO PAYMENT OF REGISTRATION FEE FOR THE PHALTRA 77TH NATIONAL CONVENTION ON FEB. 16 - 19, 2010 AT PASAY CITY. Ck#242375 Feb 9 2010-02-002009 Due from Officers and Employees 123 Cash in Bank - Local Currency , Current Account 5,119.40 111 5,119.40 Grant of Cash Advance- ADRIANITA J. DELIMA FOR TRAVEL IN BORACAY AKLAN ON MAR 10-12, 2010 TO ATTEND 14TH PHILLBO ANNUAL CONVENTION Ck#242376 Feb 9 2010-02-002010 Due from Officers and Employees 123 Cash in Bank - Local Currency , Current Account 5,319.10 111 5,319.10 Grant of Cash Advance- MARIETTA L. GUMIA FOR TRAVEL IN BORACAY, AKLAN ON MAR 10-12, 2010 TO ATTEND THE 14TH PHILLBO ANNUAL CONVENTION. Ck#242377 Feb 9 2010-02-002011 Due from Officers and Employees 123 5,119.40 Cash in Bank - Local Currency , Current Account 111 5,119.40 Grant of Cash Advance -PHOEBE INA P. ADLAWAN FOR TRAVEL IN BORACAY AKLAN ON MAR 10-12, 2010 TO ATTEND THE 14TH PHILLBO ANNUAL CONVENTION. Ck#242378 Feb 9 2010-02-002012 Due to Other NGAs 416 11,363.90 Cash in Bank - Local Currency , Current Account 111 11,163.90 Prior Years' Adjustments 684 200.00 Payment / Reimbursement of Travelling Expenses - RAPHAEL YRASTORZA REIMBURSEMENT OF TRAVEL EXPENSES IN MANILA ON OCT. 13-17, 2009. Ck#242379 Feb 9 2010-02-002013 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 6,325.00 111 6,325.00 Refund of Performance Bond to Contractor - PHILCOPY CORP. TO REFUND THE PERFORMANCE BOND UNDER OFFICIAL RECIEPT #9313358 DATED 09/01/2009 Feb 9 2010-02-002014 Due to Officers and Employees 403 Ck#242380 5,817.59 Cash in Bank - Local Currency , Current Account 111 4,654.52 Due to GSIS 413 876.85 Due to PAG-IBIG 414 100.00 Prior Years' Adjustments 684 186.22 Payment for Due to Officers and Employees- MAELEN S. RESURRECCION TO PAYMENT OF SALARY FOR DEC. 16-31, 2009. Ck#242381 Feb 9 2010-02-002015 Terminal Leave Benefits 742 59,523.52 Cash in Bank - Local Currency , Current Account 111 29,523.52 Other Payables 439 30,000.00 Payment of Terminal Leave BenefitS - ELENA JAKOSALEM PAYMENT FOR MAY 22 , 2009 TO FEB. 23, 2010. Feb 9 2010-02-002016 Other Payables 439 Cash in Bank - Local Currency , Current Account Ck#211098 118,406.70 111 118,406.70 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare)- philippine postal savings bank remittance for january 2010. Ck#211099 Feb 9 2010-02-002017 Due to PAG-IBIG 414 Cash in Bank - Local Currency , Current Account 250,883.66 111 250,883.66 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare) - HOME DEV. MUTUAL FUND REMITTANCE FOR JANUARY 2010 Ck#712721 Feb 9 2010-02-002018 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 24,815.27 111 24,815.27 Refund of Performance Bond to Contractor- CEBU SURGICAL AND MEDICAL ENT. REFUND THE PERFORMANCE BOND UNDER PAV # 10380 DATED 01/23/09 Feb 9 2010-02-002019 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account Ck#712722 12,407.63 111 12,407.63 Refund of Performance Bond to Contractor - CEBU SURGICAL AND MEDICAL ENT. TO REFUND THE PERFORMANCE BOND UNDER PAV # 10380 DATED 01/23/09 Feb 9 2010-02-002020 Due from Officers and Employees 123 Cash in Bank - Local Currency , Current Account Ck#712723 9,200.00 111 9,200.00 Grant of Cash Advance - NATHANIEL A. GO FOR TRAVEL IN MANILA ON FEBRUARY 18 TO 20, 2010 Ck#712724 Feb 9 2010-02-002021 Due to PAG-IBIG 414 Cash in Bank - Local Currency , Current Account 14,414.84 111 14,414.84 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare) - HOME DEV'T MUTUAL FUND REMITTANCE FOR JANUARY 2010. Ck#675870 Feb 9 2010-02-002022 Due to PAG-IBIG 414 Cash in Bank - Local Currency , Current Account 111 57,280.39 57,280.39 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare) - HOME DEV'T MUTUAL FUND REMITTANCE FOR JANUARY 2010 Ck#698992 Feb 9 2010-02-002023 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 378.41 111 378.41 Refund of Performance Bond to Contractor - SACHEM MARKETING TO REFUND THE PERFORMANCE BOND UNDER PAV #3289 DATED 02/23/09 Feb 9 2010-02-002025 Due to PAG-IBIG 414 Cash in Bank - Local Currency , Current Account Ck#499221 51,958.97 111 51,958.97 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare) - HOME DEV'T MUTUAL FUND REMITTANCE FOR JANUARY 2010. Ck#499223 Feb 9 2010-02-002027 Due to PAG-IBIG 414 Cash in Bank - Local Currency , Current Account 131,951.60 111 131,951.60 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare) - HOME DEV'T MUTUAL FUND REMITTANCE FOR JANUARY 2010. Ck#675322 Feb 9 2010-02-002028 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 1,400.00 111 1,400.00 Refund of Performance Bond to Contractor- SACHEM MARKETING TO REFUND THE PERFORMANCE BOND UNDER PAV # 17349 DATED 10/21/09 Ck#703205 Feb 9 2010-02-002029 Due to PAG-IBIG 414 Cash in Bank - Local Currency , Current Account 4,103.73 111 4,103.73 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare) - HOME DEV'T MUTUAL FUND REMITTANCE FOR JANUARY 2010 Ck#510486 Feb 10 2010-02-002732 Due to Other NGAs 416 Cash in Bank - Local Currency , Current Account 62,393.00 111 62,393.00 Grant of Subsidies and Donations - ABELLA, CRISANTO R. ET AL AS INCENTIVE ALLOWNACE FOR AUGUST, 2009. Feb 10 2010-02-002734 Salaries and Wages - Casual 705 53,624.00 Personnel Economic Relief Allowance (PERA) 711 16,000.00 Life and Retirement Insurance Contributions 731 6,434.88 PAG-IBIG Contributions 732 800.00 PHILHEALTH Contributions 733 600.00 ECC Contributions 734 893.76 Cash in Bank - Local Currency , Current Account 111 39,975.04 Due to BIR 412 206.67 Due to GSIS 413 25,186.53 Due to PAG-IBIG 414 11,784.40 Due to PHILHEALTH 415 1,200.00 Payment of Salaries and Wages thru Bank - ABELLANA, ROSENDO F. ET AL FOR JANUARY 1-31, 2010. Feb 10 2010-02-002736 Salaries and Wages - Casual 705 9,828.94 Personnel Economic Relief Allowance (PERA) 711 1,994.55 Life and Retirement Insurance Contributions 731 1,179.47 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 112.50 ECC Contributions 734 98.29 Cash in Bank - Local Currency , Current Account 111 6,518.69 Due to BIR 412 668.81 Due to GSIS 413 2,901.25 Due to PAG-IBIG 414 2,000.00 Due to PHILHEALTH 415 225.00 Other Payables 439 1,000.00 Payment of Salaries and Wages thru Bank - CAPITO, EVELYN B. FOR JANUARY 1-31, 2010. Feb 10 2010-02-002737 Salaries and Wages - Casual 705 6,149.00 Personnel Economic Relief Allowance (PERA) 711 2,000.00 Life and Retirement Insurance Contributions 731 737.88 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 75.00 ECC Contributions 734 102.49 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 7,329.39 91.20 Due to GSIS 413 1,393.78 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 150.00 Payment of Salaries and Wages thru Bank - GODIN, MARTIANIANO N. FOR JANUARY 1-31, 2010. Feb 10 2010-02-002739 Salaries and Wages - Casual 705 7,891.00 Personnel Economic Relief Allowance (PERA) 711 2,000.00 Life and Retirement Insurance Contributions 731 946.92 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 87.50 ECC Contributions 734 78.91 Cash in Bank - Local Currency , Current Account 111 7,875.89 Due to GSIS 413 1,924.91 Due to PAG-IBIG 414 1,128.53 Due to PHILHEALTH 415 175.00 Payment of Salaries and Wages thru Bank - ALBORES, RICA G. FOR JANUARY 1-31, 2010. Feb 10 2010-02-002741 Salaries and Wages - Regular 701 59,864.95 Life and Retirement Insurance Contributions 731 9,397.92 PAG-IBIG Contributions 732 500.00 PHILHEALTH Contributions 733 950.00 ECC Contributions 734 974.50 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 6,152.00 6,937.93 Due to GSIS 413 23,326.64 Due to PAG-IBIG 414 9,073.80 Due to PHILHEALTH 415 1,900.00 Other Payables 439 24,297.00 Payment of Salaries and Wages thru Bank - BONTILAO, ALYTH A. ET AL FOR FEBRUARY 1-28, 2010 (1ST WEEK) Feb 10 2010-02-002742 Salaries and Wages - Casual 705 15,181.00 Personnel Economic Relief Allowance (PERA) 711 2,000.00 Life and Retirement Insurance Contributions 731 1,821.72 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 187.50 ECC Contributions 734 210.24 Cash in Bank - Local Currency , Current Account 111 9,368.53 Due to GSIS 413 3,736.93 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 375.00 Other Payables 439 5,820.00 Payment of Salaries and Wages thru Bank - SOLON, ALMERA D. FOR JANUARY 1-31, 2010. Feb 10 2010-02-002744 Salaries and Wages - Casual 705 13,089.94 Personnel Economic Relief Allowance (PERA) 711 1,902.99 Life and Retirement Insurance Contributions 731 1,570.79 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 162.50 ECC Contributions 734 210.24 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 11,526.81 998.53 Due to GSIS 413 2,959.12 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 325.00 Other Payables 439 1,027.00 Payment of Salaries and Wages thru Bank - REYNALDO, JEREMIAH ANTHONY T. FOR JANUARY 1-31, 2010. Feb 10 2010-02-002746 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 705 20,727.00 711 6,000.00 111 26,727.00 Payment of Salaries and Wages thru Bank - ARITA, LEA B. ET AL FOR JANUARY 16-31, 2010 Feb 10 2010-02-002755 Salaries and Wages - Regular 701 6,958.00 Personnel Economic Relief Allowance (PERA) 711 2,000.00 Life and Retirement Insurance Contributions 731 834.96 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 75.00 ECC Contributions 734 106.98 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 6,157.36 160.74 Due to GSIS 413 1,906.84 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 150.00 Other Payables 439 1,500.00 Payment of Salaries and Wages thru Bank - TAMPOS, NORMA S. FOR JANUARY 1-31, 2010 Feb 10 2010-02-002758 Salaries and Wages - Regular 701 127,981.27 Life and Retirement Insurance Contributions 731 21,531.12 PAG-IBIG Contributions 732 1,900.00 PHILHEALTH Contributions 733 2,150.00 ECC Contributions 734 2,200.96 Cash - Disbursing Officers 103 200.00 Cash in Bank - Local Currency , Current Account 111 17,156.00 Due to BIR 412 7,541.01 Due to GSIS 413 78,130.77 Due to PAG-IBIG 414 26,635.57 Due to PHILHEALTH 415 4,300.00 Other Payables 439 21,800.00 Payment of Salaries and Wages thru Bank - ABELLA, EUSEBIO A. ET AL FOR FEBRUARY 1-28, 2010 (1ST WEEK) Feb 10 2010-02-002761 Salaries and Wages - Regular 701 92,982.60 Life and Retirement Insurance Contributions 731 18,740.64 PAG-IBIG Contributions 732 900.00 PHILHEALTH Contributions 733 1,900.00 ECC Contributions 734 900.00 Cash in Bank - Local Currency , Current Account 111 21,068.00 Due to BIR 412 14,438.96 Due to GSIS 413 58,230.43 Due to PAG-IBIG 414 7,212.10 Due to PHILHEALTH 415 3,800.00 Other Payables 439 10,673.75 Payment of Salaries and Wages thru Bank - ABELGAS, BELONA O. ET AL FOR FOR FEBRUARY 1-28, 2010 (1ST WEEK) Feb 10 2010-02-002764 Salaries and Wages - Regular 701 13,964.72 Life and Retirement Insurance Contributions 731 2,789.76 PAG-IBIG Contributions 732 300.00 PHILHEALTH Contributions 733 275.00 ECC Contributions 734 309.25 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 3,095.00 250.00 Due to GSIS 413 11,177.73 Due to PAG-IBIG 414 1,466.00 Due to PHILHEALTH 415 550.00 Other Payables 439 1,100.00 Payment of Salaries and Wages thru Bank - BALCON, MARIO B. ET AL FOR FEBRUARY 1-28, 2010 (1ST WEEK) Feb 10 2010-02-002774 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 83,812.50 711 50,000.00 Cash in Bank - Local Currency , Current Account 111 133,227.50 Other Payables 439 585.00 Payment of Salaries and Wages thru Bank - ALIBAY, NUMERITO C. ET AL FOR JANUARY 16-31, 2010 Feb 10 2010-02-002780 Salaries and Wages - Casual 705 10,538.00 Personnel Economic Relief Allowance (PERA) 711 2,000.00 Life and Retirement Insurance Contributions 731 1,264.56 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 125.00 ECC Contributions 734 100.00 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 9,785.69 301.00 Due to GSIS 413 3,340.55 Due to PAG-IBIG 414 450.32 Due to PHILHEALTH 415 250.00 Payment of Salaries and Wages thru Bank - DUMPIT, JOSEPHINE G. FOR JANUARY 1-31, 2010 (1ST & 2ND HALF) Feb 10 2010-02-002787 Salaries and Wages - Casual 705 39,766.00 Personnel Economic Relief Allowance (PERA) 711 10,000.00 Life and Retirement Insurance Contributions 731 4,771.92 PAG-IBIG Contributions 732 500.00 PHILHEALTH Contributions 733 475.00 ECC Contributions 734 392.28 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 44,601.66 10.40 Due to GSIS 413 8,743.14 Due to PAG-IBIG 414 1,600.00 Due to PHILHEALTH 415 950.00 Payment of Salaries and Wages thru Bank - ALGARME, PAOLO ML. ET AL FOR JANUARY 1-31, 2010. Feb 10 2010-02-002788 Other Payables 439 1,201,424.69 Cash in Bank - Local Currency , Current Account 111 1,201,424.69 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare) - CEBU CFI COMMUNITY COOPERATIVE TO REMIT JANUARY 2010 REPRESENTING CFI LOAN REMITTANCES OF THE CITY GOVERNMENT Ck#698045 Feb 10 2010-02-002789 Salaries and Wages - Casual 705 7,248.07 Personnel Economic Relief Allowance (PERA) 711 1,994.32 Life and Retirement Insurance Contributions 731 869.77 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 87.50 ECC Contributions 734 72.48 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 7,752.97 490.41 Due to GSIS 413 1,594.58 Due to PAG-IBIG 414 359.18 Due to PHILHEALTH 415 175.00 Payment of Salaries and Wages thru Bank - GAQUING, ARCHER D. FOR JANUARY 1-31, 2010. Feb 10 2010-02-002795 Salaries and Wages - Casual 705 13,456.00 Personnel Economic Relief Allowance (PERA) 711 4,000.00 Life and Retirement Insurance Contributions 731 1,614.72 PAG-IBIG Contributions 732 200.00 PHILHEALTH Contributions 733 162.50 ECC Contributions 734 175.55 Cash in Bank - Local Currency , Current Account 111 9,791.71 Due to BIR 412 445.61 Due to GSIS 413 6,853.75 Due to PAG-IBIG 414 1,664.70 Due to PHILHEALTH 415 325.00 Other Payables 439 528.00 Payment of Salaries and Wages thru Bank - CARPIO, ADELAIDA T. ET AL FOR JANUARY 1-31, 2010. Feb 10 2010-02-002807 Other Payables 439 2,200.00 Cash in Bank - Local Currency , Current Account 111 2,200.00 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare) - CITY SAVINGS BANK TO REMIT JANUARY 2010 REPRESENTING CITY SAVINGS LOAN REMITTANCE OF THE CITY GOVERNMENT OF CEBU . Ck#211101 Feb 10 2010-02-002810 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 51,149.00 711 28,000.00 Cash in Bank - Local Currency , Current Account 111 78,632.00 Other Payables 439 517.00 Payment of Salaries and Wages thru Bank - ADLAWAN, TIBURCIO U. ET AL FOR JANUARY 16-31, 2010 Feb 10 2010-02-002813 Other Payables 439 131,484.00 Cash in Bank - Local Currency , Current Account 111 131,484.00 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare) - CEBU CFI COMM. COOP. TO REMIT JANUARY 2010 REPRESENTING CFI LOAN REMITTANCE OF THE CITY GOVERNMENT. Ck#212725 Feb 10 2010-02-002814 Salaries and Wages - Casual 705 7,307.00 Personnel Economic Relief Allowance (PERA) 711 2,000.00 Life and Retirement Insurance Contributions 731 876.84 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 87.50 ECC Contributions 734 103.52 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 5,862.04 57.08 Due to GSIS 413 3,938.74 Due to PAG-IBIG 414 442.00 Due to PHILHEALTH 415 175.00 Payment of Salaries and Wages thru Bank - CRUEL, SHIELA L. FOR JANUARY 1-31, 2010. Feb 10 2010-02-002815 Other Payables 439 4,965.00 Cash in Bank - Local Currency , Current Account 111 4,965.00 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare) - CEBU CFI COMMUNITY COOP. TO REMIT JANUARY 2010 REPRESENTING CFI LOAN REMITTANCE OF THE CITY GOVERNMENT. Ck#675872 Feb 10 2010-02-002817 Other Payables 439 4,000.00 Cash in Bank - Local Currency , Current Account 111 4,000.00 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare) - CEBU CFI COMMUNITY COOP. TO REMIT JANUARY 2010 REPRESENTING LOAN REMITTANCES OF THE CITY GOVERNMENT . Ck#698995 Feb 10 2010-02-002818 Salaries and Wages - Casual 705 6,703.00 Personnel Economic Relief Allowance (PERA) 711 2,000.00 Life and Retirement Insurance Contributions 731 804.36 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 75.00 ECC Contributions 734 111.72 Cash in Bank - Local Currency , Current Account 111 6,800.90 Due to GSIS 413 1,859.35 Due to PAG-IBIG 414 983.83 Due to PHILHEALTH 415 150.00 Payment of Salaries and Wages thru Bank - VILLAGRACIA, MARIO B. FOR JANUARY 1-31, 2010. Feb 10 2010-02-002821 Other Payables 439 1,440.00 Cash in Bank - Local Currency , Current Account 111 1,440.00 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare) - CEBU CFI COMMUNITY COOP. TO REMIT JANUARY 2010 REPRESENTING CFI LOAN REMITTANCE OF THE CITY GOVERNMENT. Ck#499225 Feb 10 2010-02-002823 Other Payables 439 250.00 Cash in Bank - Local Currency , Current Account 111 250.00 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare) - CITY SAVINGS BANK TO REMIT JANUARY 2010 REPRESENTING CITY SAVINGS BANK REMITTANCE OF THE CITY GOVERNMENT. Ck#675324 Feb 10 2010-02-002826 Other Payables 439 68,615.94 Cash in Bank - Local Currency , Current Account 111 68,615.94 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare) - CEBU CFI COMMUNITY COOP. TO REMIT JANUARY 2010 REPRESENTING CFI LOAN REMITTANCE OF THE CITY GOVERNMENT. Ck#675325 Feb 10 2010-02-002863 Due to Other NGAs 416 Cash in Bank - Local Currency , Current Account 1,500.00 111 1,500.00 Grant of Subsidies and Donations - DOROTEO M. CORTES JR. REIMB OF TRANSPORTATION ALLOWANCE FOR THE MONTH OF DECEMBER 2009. Ck#698048 Feb 10 2010-02-002871 Cash in Bank - Local Currency, Time Deposits 113 10,000,000.00 Cash in Bank - Local Currency , Current Account 111 10,000,000.00 Transfer from Current/Savings Account to Time Deposit Account - GENERAL FUND PROPER TO TRANSFER FROM GENERAL FUND PROPER BANCO DE ORO - SAVINGS ACCOUNT TO BE PLACE TO TIME DEPOSIT UNDER GENERAL FUND PROPER ACCOUNT. Ck#116344 Feb 10 2010-02-002876 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account Due to BIR Feb 10 12,000.00 111 10,800.00 412 1,200.00 Payment for Due to Officers and Employees - REYNETTE CHRISTINE LIGARAY PYMT. OF PATHOLOGIC CONSULTANCY SERVICES FOR THE PERIOD JULY 1-31, 2009. Ck#211102 2010-02-002914 Due from Officers and Employees 123 11,840.00 Cash in Bank - Local Currency , Current Account 111 11,840.00 Grant of Cash Advance - WAHMA SABAL TRAVEL TO SMX CONVENTION CENTER , SM MALL OF ASIA TO ATTEND THE PHALTRA 77TH NATIONAL CONVENTION AND SEMINAR WORKSHOP ON FEBRUARY 16- 19, 2010. Ck#211107 Feb 10 2010-02-002921 Salaries and Wages - Casual 705 4,632.02 Personnel Economic Relief Allowance (PERA) 711 726.70 Life and Retirement Insurance Contributions 731 555.84 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 50.00 ECC Contributions 734 46.32 Cash in Bank - Local Currency , Current Account 111 4,791.84 Due to GSIS 413 1,019.04 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 100.00 Payment of Salaries and Wages thru Bank - ADONA, JOY LIEZL PAYMENT OF FIRST SALARY FOR THE PERIOD JANUARY 20 - 31, 2010. Ck#211103 Feb 10 2010-02-002926 Salaries and Wages - Casual 705 4,635.64 Personnel Economic Relief Allowance (PERA) 711 727.27 Life and Retirement Insurance Contributions 731 556.28 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 50.00 ECC Contributions 734 46.36 Cash in Bank - Local Currency , Current Account 111 4,795.70 Due to GSIS 413 1,019.85 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 100.00 Payment of Salaries and Wages thru Bank - DELA CERNA , HEDDA GALE V. PAYMENT OF FIRST SALARY FOR THE PERIOD JANUARY 20-31, 2010. Ck#211104 Feb 10 2010-02-002928 Due from Officers and Employees 123 11,840.00 Cash in Bank - Local Currency , Current Account 111 11,840.00 Grant of Cash Advance - MARY MAE JAO FOR TRAVEL TO SMX CONVENTION CENTER , SM MALL OF ASIA TO ATTENC THE PHALTRA 77TH NATIONAL CONVENTION AND SEMINAR WORKSHOP ON FEBRUARY 16-19, 2010. Ck#211108 Feb 10 2010-02-002929 Due from Officers and Employees 123 11,840.00 Cash in Bank - Local Currency , Current Account 111 11,840.00 Grant of Cash Advance - ANYA CHAN FOR TRAVEL TO SMX CONVENTION CENTER, SM MALL OF ASIA TO ATTEND THE PHALTRA 77TH NATIONAL CONVENTION AND SEMINAR WORKSHOP ON FEBRUARY 16-19, 2010. Ck#211109 Feb 10 2010-02-002933 Due from Officers and Employees 123 11,840.00 Cash in Bank - Local Currency , Current Account 111 11,840.00 Grant of Cash Advance - HOPE MILLANES FOR TRAVEL TOP SMX CONVENTION CENTER, SM MALL OF ASIA TO ATTEND THE PHALTRA 77TH NATIONAL CONVENTION AND SEMINAR- WORKSHOP ON FEBRUARY 16-19, 2010. Ck#211110 Feb 10 2010-02-002939 Due from Officers and Employees 123 11,840.00 Cash in Bank - Local Currency , Current Account 111 11,840.00 Grant of Cash Advance - EMMIELYN GIL FOR TRAVEL TO SMX CONVENTION CENTER , SM MALL OF ASIA TO ATTEND THE PHALTRA 77TH NATIONAL CONVENTION AND SEMINAR-WORKSHOP ON FEBRUARY 16-19, 2010. Ck#211111 Feb 10 2010-02-002954 Due to PAG-IBIG 414 2,723,605.93 Cash in Bank - Local Currency , Current Account 111 2,723,605.93 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare) - HOME DEVT. MUTUAL FUND TO REMIT THE COLLECTIONS OF PAG-IBIG PREMIUMS AND LOANS OF THE CEBU CITY GOVERNMENT EMPLOYEES WHICH WAS DEDUCTED FROM SALARIES AND WAGES FOR THE MO Feb 10 2010-02-002959 Due to Other NGAs 416 27,000.00 Cash in Bank - Local Currency , Current Account 111 24,300.00 Due to BIR 412 2,700.00 Payment for Professional Services - ALEXIS H. RELADO PAYMENT OF CONSULTANCY FEE FROM OCTOBER - DECEMBER 2009 Feb 10 2010-02-002961 Due to Officers and Employees Cash in Bank - Local Currency , Current Account 403 111 5,000.00 5,000.00 Ck#211112 Payment for Due to Officers and Employees - CHRISTOPHER I. ALIX REIMBURSEMENT FOR PAYMENT OF CELLULAR PHONE BILL FOR THE PERIOD NOVEMBER 10 DECEMBER 9, 2009. Ck#211115 Feb 10 2010-02-002962 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 1,500.00 111 1,500.00 Payment for Due to Officers and Employees - VICENTE B. MERCADO REIMBURSEMENT OF CELLCARD FOR THE PERIOD JULY 2009. Ck#211116 Feb 10 2010-02-002982 Due to Officers and Employees 403 3,202.00 Cash in Bank - Local Currency , Current Account 111 3,202.00 Payment for Due to Officers and Employees - ELYN MARIE L. BURLAOS REIMBURSEMENT TO ATTEND THE TRAINING ON RICESOIL NUTRIENT DEFICIENCY TRAINING USING THE MINUS ONE ELEMENT TECHNIQUE AND THE SOIL TEST KIT ON SEPTEMBER 16-18, 2009 AT CENTRAL EXPERIMENT STA Feb 10 2010-02-002985 Due to LGUs 418 Cash in Bank - Local Currency , Current Account 111 Grant of Subsidies and Donations - BRGY. TAGBA-O Feb 10 2010-02-002988 Due to Officers and Employees 120,000.00 403 120,000.00 FINANCIAL AID OF BRGY. TANODS FOR THE MONTHS OF JANUARY 2009 - JUNE 2009. Ck#211118 35,000.00 Cash in Bank - Local Currency , Current Account 111 35,000.00 Payment for Due to Officers and Employees -SYLVAN JAKOSALEM PAYMENT OF REIMBURSEMENT OF CASH PRIZES AWARDED TO THE RESPECTIVE WINNERS IN THE JUST CONCLUDED 1ST SERGING OSMEÑA JR. CHESS OPEN LAST DECEMBER 14 - 21, 2009. Ck#211119 Feb 10 2010-02-002991 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Medical and Burial Assistance - MARILOU VILLARMIA PAYMENT OF BURIAL ASSISTANCE. Ck#211122 Feb 10 2010-02-002995 Training Expenses 753 2,200.00 Cash in Bank - Local Currency , Current Account 111 2,200.00 Payment for Training Expenses - THE PHILIPPINE ACADEMY OF FAMILY PHYSICIANS PAYMENT OF REGISTRATION FEE WHILE ATTENDING THE PAFP ANNIVERSARY AND ANNUAL CONVENTION ON FEBRUARY 10-20, 2010 AT PICC, MANILA. Ck#712727 Feb 10 2010-02-002999 Electricity Expenses 767 Cash in Bank - Local Currency , Current Account Due to BIR Feb 10 41,278.27 111 39,568.12 412 1,710.15 Payment for Utility Expenses - VISAYAN ELECTRIC COMPANY PAYMENT OF ENERGY CONSUMPTION INCURRED BY CEBU CITY GOVT. ABATTOIR ACCOUNTS FOR THE MONTH OF JANUARY 2010. Ck#698998 2010-02-003016 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 1,250.00 111 1,250.00 Payment for Due to Officers and Employees - DANILO VERZALES ET.AL. PAYMENT OF CHRISTMAS PARTY INCENTIVE 2009. Ck#211124 Feb 10 2010-02-003241 Cash in Bank - Local Currency, Time Deposits 113 20,000,000.00 Cash in Bank - Local Currency , Current Account 111 20,000,000.00 Transfer from Current/Savings Account to Time Deposit Account - GENERAL FUND - ABATTOIR WITHDRAW THE AMOUNT FROM GENERAL FUND - ABATTOIR SAVINGS ACCOUNT TO BE PLACE TO TIME DEPOSIT UNDER GF- ABATTOIR ACCOUNT. Ck#698996 Feb 10 2010-02-003243 Cash in Bank - Local Currency, Time Deposits 113 20,000,000.00 Cash in Bank - Local Currency , Current Account 111 20,000,000.00 Transfer from Current/Savings Account to Time Deposit Account - GF-DWUP SPECIAL ACCOUNT TO TRANSFER THE AMOUNT FROM GENERAL FUND DWUP SAVINGS ACCOUNT TO BE PLACE TO TIME DEPOSIT UNDER GENERAL FUND DWUP ACCOUNT. Ck#499226 Feb 10 2010-02-003246 Cash in Bank - Local Currency, Time Deposits 113 15,000,000.00 Cash in Bank - Local Currency , Current Account 111 15,000,000.00 Transfer from Current/Savings Account to Time Deposit Account - GENERAL FUND-MARKET TO TRANSFER THE AMOUNT FROM GENERAL FUND MARKET SAVINGS ACCOUNT TO BE PLACE TO TIME DEPOSIT UNDER GENERAL FUND MARKET ACCOUNT. Ck#675326 Feb 10 2010-02-003452 Salaries and Wages - Regular 701 60,266.87 Life and Retirement Insurance Contributions 731 12,765.72 PAG-IBIG Contributions 732 900.00 PHILHEALTH Contributions 733 1,287.50 ECC Contributions 734 961.66 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 15,374.00 7,893.63 Due to GSIS 413 36,227.24 Due to PAG-IBIG 414 6,609.77 Due to PHILHEALTH 415 2,575.00 Other Payables 439 7,502.11 Payment of Salaries and Wages thru Bank - AGUILAR, NICEA D. ET AL FOR FEBRUARY 1- 28, 2010 (1ST WEEK) Feb 10 2010-02-003457 Salaries and Wages - Regular 701 25,705.17 Life and Retirement Insurance Contributions 731 5,159.16 PAG-IBIG Contributions 732 500.00 PHILHEALTH Contributions 733 512.50 ECC Contributions 734 429.93 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 5,764.00 1,110.00 Due to GSIS 413 12,159.80 Due to PAG-IBIG 414 3,238.87 Due to PHILHEALTH 415 1,025.00 Other Payables 439 9,009.09 Payment of Salaries and Wages thru Bank - BAGUIO, SILVERIANA L. ET AL FOR FEBRUARY 1-28, 2010 (1ST WEEK) Feb 10 2010-02-003465 Salaries and Wages - Regular 701 196,643.44 Life and Retirement Insurance Contributions 731 35,044.20 PAG-IBIG Contributions 732 2,500.00 PHILHEALTH Contributions 733 3,550.00 ECC Contributions 734 2,581.58 Cash in Bank - Local Currency , Current Account 111 Receivables - Disallowances/Charges 146 10.23 Due to BIR 412 25,255.68 Due to GSIS 413 107,747.61 Due to PAG-IBIG 414 28,924.70 Due to PHILHEALTH 415 7,100.00 Other Payables Feb 10 2010-02-003471 Salaries and Wages - Regular Life and Retirement Insurance Contributions 31,804.00 439 39,477.00 Payment of Salaries and Wages thru Bank - ABELLA, JEYNO V. ET AL FOR FEBRUARY 1-28, 2010 (1ST WEEK) DISALLOWANCE: ======= 701 164,732.46 731 34,283.52 FEDERICO C. LIGARAY P10.23 PAG-IBIG Contributions 732 2,600.00 PHILHEALTH Contributions 733 3,450.00 ECC Contributions 734 2,829.17 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 40,329.00 14,630.48 Due to GSIS 413 105,612.77 Due to PAG-IBIG 414 23,220.90 Due to PHILHEALTH 415 6,900.00 Other Payables 439 17,202.00 Payment of Salaries and Wages thru Bank - ALIVIO, NICANOR E. ET AL FOR FEBRUARY 1-28, 2010 (1ST WEEK) Feb 10 2010-02-003478 Salaries and Wages - Regular 701 44,501.52 Life and Retirement Insurance Contributions 731 7,948.56 PAG-IBIG Contributions 732 700.00 PHILHEALTH Contributions 733 787.50 ECC Contributions 734 786.70 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 7,249.00 5,838.15 Due to GSIS 413 28,299.15 Due to PAG-IBIG 414 4,397.98 Due to PHILHEALTH 415 1,575.00 Other Payables 439 7,365.00 Payment of Salaries and Wages thru Bank - ABARQUEZ, JANE C. ET AL FEBRUARY 1-28, 2010 (1ST WEEK) Feb 10 2010-02-003481 Salaries and Wages - Regular 701 17,784.18 Life and Retirement Insurance Contributions 731 4,192.68 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 375.00 ECC Contributions 734 100.00 Cash - Disbursing Officers 103 1,000.00 Cash in Bank - Local Currency , Current Account 111 5,718.00 Due to BIR 412 7,446.67 Due to GSIS 413 7,437.19 Due to PAG-IBIG 414 200.00 415 750.00 Due to PHILHEALTH Payment of Salaries and Wages thru Bank - OSMEÑA, TOMAS DR. FEBRUARY 1-28, 2010 (1ST WEEK) Feb 10 2010-02-003489 Salaries and Wages - Regular 701 288,692.10 Life and Retirement Insurance Contributions 731 54,084.00 PAG-IBIG Contributions 732 3,300.00 PHILHEALTH Contributions 733 5,475.00 ECC Contributions 734 3,305.16 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 54,015.00 27,906.63 Due to GSIS 413 167,055.06 Due to PAG-IBIG 414 26,930.07 Due to PHILHEALTH 415 10,950.00 Other Payables 439 67,999.50 Payment of Salaries and Wages thru Bank- ABELLA, MYRA A. ET AL FOR FEBRUARY 1-28, 2010 (1ST WEEK) Feb 10 2010-02-003490 Salaries and Wages - Regular 701 203,194.73 Life and Retirement Insurance Contributions 731 37,296.96 PAG-IBIG Contributions 732 2,200.00 PHILHEALTH Contributions 733 3,750.00 ECC Contributions 734 2,291.09 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 35,875.00 31,811.69 Due to GSIS 413 124,619.01 Due to PAG-IBIG 414 19,910.08 Due to PHILHEALTH 415 7,500.00 Other Payables 439 29,017.00 Payment of Salaries and Wages thru Bank - ABORDO, OSCAR S. ET AL FOR FEBRUARY 1-28, 2010 Feb 11 2010-02-002099 Honoraria 720 (1ST WEEK) 4,000.00 Cash in Bank - Local Currency , Current Account 111 4,000.00 Payment of Allowances, Bonus and Other Compensation - JULIANA S. PUJADAS PAYMENT OF HONORARIUM AS HOUSEPARENT OF DSWS, CEBU CITY FOR THE PERIOD OF JANUARY 1 - 21, 2010. Ck#211130 Feb 11 2010-02-002102 Accounts Payable 401 2,000.00 Cash in Bank - Local Currency , Current Account 111 2,000.00 Payment of Allowances, Bonus and Other Compensation - JULIANA S. PUJADAS PAYMENT OF HONORAIUM AS HOUSEPARENT OF DSWS, CEBU CITY FOR THE PERIOD OF DECEMBER 1 - 15, 2009. Ck#211129 Feb 11 2010-02-002104 Representation Allowance (RA) Transportation Allowance (TA) 713 6,300.00 714 6,300.00 Cash in Bank - Local Currency , Current Account 111 12,600.00 Payment of Allowances, Bonus and Other Compensation - FIDEL T. MAGNO PAYMENT OF REPRESENTATION & TRANSPORTATION ALLOWANCE (RATA) FOR THE MONTH OF FEBRUARY, 2010. Ck#211131 Feb 11 2010-02-002105 Representation Allowance (RA) 713 Cash in Bank - Local Currency , Current Account 7,800.00 111 7,800.00 Payment of Allowances, Bonus and Other Compensation - MICHAEL L. RAMA PAYMENT REPRESENTATION ALLOWANCE FOR THE MONTH OF FEBRUARY, 2010. Ck#211132 Feb 11 2010-02-002111 Salaries and Wages - Regular Life and Retirement Insurance Contributions 701 434.00 731 52.08 Cash in Bank - Local Currency , Current Account 111 394.94 Due to GSIS 413 91.14 Payment of Salaries and Wages thru Bank - MARIA GEMMA B. CAMOMOT PAYMENT SALARY STEP INCREMENT COVERING THE PERIOD JANUARY 1 - 31, 2010. Ck#211133 Feb 11 2010-02-002117 Salaries and Wages - Regular Life and Retirement Insurance Contributions 701 282.00 731 33.84 Cash in Bank - Local Currency , Current Account 111 256.62 Due to GSIS 413 59.22 Payment of Salaries and Wages thru Bank - NORA A. PARAN PAYMENT SALARY STEP INCREMENT COVERING THE PERIOD JANUARY 1 - 31, 2010. Ck#211134 Feb 11 2010-02-002127 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 641.17 111 641.17 Payment of Salaries and Wages thru Bank - EMMA M. LERIO TO REFUND OF OVERDEDUCTED WITHHOLDING TAX FOR CY - 2009. Ck#211135 Feb 11 2010-02-002132 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 25,000.00 111 25,000.00 Payment of Medical and Burial Assistance - PILAR C. CABALLERO BURIAL ASSISTANCE OF THE LATE VETERAN EMETERIO E. CABALLERO Ck#211138 Feb 11 2010-02-002136 Due to Other NGAs 416 Cash in Bank - Local Currency , Current Account 3,600.00 111 3,600.00 Payment for Training Expenses - MIKE K. MAYOR REIMBURSEMENT OF REGISTRATION FEE SEMINAR - WORKSHOP, OCTOBER 27 - 29, 2009. Ck#211139 Feb 11 2010-02-002141 Due to Officers and Employees 403 16,614.24 Cash in Bank - Local Currency , Current Account 111 13,339.70 Due to GSIS 413 2,774.54 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 300.00 Payment for Due to Officers and Employees - JACQUELINE A. INTING SALARY COVERING THE PERIOD DECEMBER, 2009. Ck#242385 Feb 11 2010-02-002143 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Feb 11 2010-02-002218 Training Expenses 84,000.00 111 78,750.00 412 5,250.00 Payment for Training Expenses - ALTA TUGBUNGAN VILLAGE GARDEN RESORT PAYMENT OF FOODS DURING SEMINAR ON NOVEMBER 18, 2009. CHECK NO. 242383 CTV NO. 1758 = P77,430.00 - ALTA / TUGBUNGAN VILLAGE CHECK NO. 242384 CTV NO. 1759 = 1,320.00 - CEBU C 753 3,300.00 Cash in Bank - Local Currency , Current Account 111 3,300.00 Payment for Training Expenses - THE PHILIPPINE ACADEMY OF FAMILY PHYSICIANS PAYMENT FOR REGISTRATION FEE ON PAFP ANNUAL CONVENTION ON FEBRUARY 18 - 20, 2010. Ck#712728 Feb 11 2010-02-002219 Prior Years' Adjustments 684 12,000.00 Cash in Bank - Local Currency , Current Account 111 12,000.00 Payment of Allowances, Bonus and Other Compensation - MR. ROEL QUIDLAT PAYMENT FOR THE ACA DIFFERENTIAL FOR THE YEAR 2006. (charged to account 684 coz this was not included in 2009 certified obligations) Ck#211127 Feb 11 2010-02-002224 Accounts Payable 401 562.50 Cash in Bank - Local Currency , Current Account 111 562.50 Payment for Taxes, Premiums and Other Fees - BUREAU OF TREASURY TO PAY FOR THE FIDELITY BOND AS ACCOUNTABLE/DISBURSING OFFICER FOR THE EMERGENCY PURCHASES AT THE CEBU ZOO. Ck#698999 Feb 11 2010-02-002236 Due to PAG-IBIG 414 508,197.26 Cash in Bank - Local Currency , Current Account 111 508,197.26 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare) - HOME DEVELOPMENT MUTUAL FUND TO REMIT THE COLLECTION OF PAG - IBIG PREMUIM AND LOANS OF THE CEBU CITY GOVERNMENT EMPLOYEES DEDUCTED FROM SALARIES AND WAGES FOR THE MONTH Feb 11 2010-02-002244 Due from Officers and Employees 123 11,840.00 Cash in Bank - Local Currency , Current Account 111 11,840.00 Grant of Cash Advance - MARIE SHERILYN BANDOLON - CASH ADVANCE FOR THE TRAVEL TO SMX CONVENTION CENTER, SM MALL OF ASIA TO ATTND THE PHLATRA 77TH NATIONAL CONVENTION AND SEMINAR - WORKSHOP ON FEBRUARY 16 - 19, 2010. Ck#211125 Feb 11 2010-02-002254 Representation Allowance (RA) 713 7,800.00 Cash in Bank - Local Currency , Current Account 111 Payment of Allowances, Bonus and Other Compensation - MICHAEL L. RAMA Ck#116135 Feb 11 2010-02-002255 Due to LGUs 418 7,800.00 PAYMENT OF REPRESENTATION ALLOWANCE FOR THE MONTH OF JANUARY, 2010. 17,500.00 Cash in Bank - Local Currency , Current Account 111 17,500.00 Grant of Subsidies and Donations - BARANGAY SAWANG CALERO TO PAYMENT OF FINANCIAL AID FOR THE HONORARIUM OF GARBAGE COLLECTORS FOR THE MONTH OF JULY, 2009. Ck#116176 Feb 11 2010-02-002259 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Feb 11 111,210.31 111 104,287.13 412 6,923.18 Payment for Communication Expenses - GLOBE TELECOM, INC. FOR THE PAYMENT OF COMMUNICATION SERVICE OF CITY GOVERNMENT OFFICIALS FOR DECEMBER, 2009. Ck#116325 2010-02-002263 Accounts Payable 401 9,921.59 Cash in Bank - Local Currency , Current Account 111 9,301.49 Due to BIR 412 620.10 Payment for Communication Expenses - GLOBE TELECOM, INC. PAYMENT OF COMMUNICATION SERVICES FOR DECEMBER, 2009. Ck#116322 Feb 11 2010-02-002266 Due to Officers and Employees 403 1,000.00 Cash in Bank - Local Currency , Current Account 111 Payment for Due to Officers and Employees - TERESITA E. FERNANDEZ Ck#116319 Feb 11 2010-02-002269 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Feb 11 2010-02-002274 Due to LGUs 418 Cash in Bank - Local Currency , Current Account 171,196.99 111 412 Payment for Communication Expenses - P. L. D. T. 2009. Ck#116326 1,000.00 REIMBURSEMENT OF COMMUNICATION SERVICES FOR THE PERIOD OF DECEMBER 1 - 31, 2009. 163,554.27 7,642.72 PAYMENT OF COMMUNICATION SERVICES OF VARIOUS OFFICES FOR THE PERIOD NOVEMBER 17 - DECEMBER 18, 99,961.97 111 99,961.97 Grant of Subsidies and Donations - BARANGAY SUDLON I - REALTY TAX SHARE FOR THE MONTH OF JULY - SEPTEMBER, 2009. Ck#242000 Feb 11 2010-02-002279 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Feb 11 10,000.00 111 9,375.00 412 Payment for Communication Expenses - GLOBE TELECOM, INC. DECEMBER 9, 2009. Ck#242115 2010-02-002283 Accounts Payable 401 625.00 PAYMENT FOR GLOBE HANDYPHOINE MOBILE ALARM SYSTEM OF CEBU CITY FOR NOVEMBER 10 - 58,780.00 Cash in Bank - Local Currency , Current Account 111 49,753.07 Due to BIR 412 3,148.93 Other Payables 439 5,878.00 Payment for Purchase of Inventories, Supplies and Materials for Stock - CENTRADE HARDWARE CORP. PAYMENT OF (200) PCS. PHOTO CONTROL 1000 WATTS CHECK # 242156 CTV # 859 - P48,703.43 - CENTRADE HARDWARE CORP. CHECK # 242148 CTV # 851 - P 1,049.64 - Feb 11 2010-02-002284 Accounts Payable 401 110,836.56 Cash in Bank - Local Currency , Current Account 111 103,909.27 Due to BIR 412 6,927.29 Payment for Communication Expenses - INNOVE COMMUNICATIONS, INC. PAYMENT OF COMMUNICATION SERVICES FOR DECEMBER, 2009. Ck#242184 Feb 11 2010-02-002285 Due to Officers and Employees 403 36,000.00 Cash in Bank - Local Currency , Current Account 111 32,400.00 Due to BIR 412 3,600.00 Payment for Due to Officers and Employees - ATTY. PERLA G. CENTINO - CONSULTANCY FEE FOR NOVEMBER - DECEMEBR, 2009. Ck#242343 Feb 11 2010-02-002287 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Feb 11 83,885.00 111 79,391.16 412 4,493.84 Payment for Purchase of Inventories, Supplies and Materials Directly Issued to End-User - CENTRADE HARDWARE CORP. TO PAYMENT FOR 50 BDL BURI STRIP 4" AND OTHER ITEMS. CHECK # 242252 CTV # 1233 - P77,893.21 - CENTRADE HARDWARE CORPORATION CHECK # 242 2010-02-002288 Due to LGUs 418 Cash in Bank - Local Currency , Current Account 40,800.00 111 40,800.00 Grant of Subsidies and Donations - BARANGAY KAMPUTHAW FINANCIAL AID FOR THE CLEAN AND GREEN PROGRAM FOR THE PERIOD OF APRIL - JUNE, 2009. Ck#242286 Feb 11 2010-02-002290 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Feb 11 412 Payment for Communication Expenses - P. L. D. T. NOVEMBER 16, 2009. Ck#242311 2010-02-002294 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Feb 11 2,335.94 111 2,231.66 104.28 PAYMENT OF COMMUNICATION SERVICES OF VARIOUS OFFICES FROM OCTOBER 11 - 21 & OCTOBER 17 - 5,125.00 111 4,804.69 412 320.31 Payment for Repairs and Maintenance of Transportation Equipment - NISSAN CEBU DISTRIBUTORS, INC. PAYMENT OF ONE (1) LOT PMS 75 INSPECTION AND LUBRICATION AND OTHER ITEMS. CHECK # 242314 CTV # 1321 - P4,740.63 - NISSAN CEBU DISTRIBUTORS INC. CHECK # 2 2010-02-002305 Due to Other NGAs 416 Cash in Bank - Local Currency , Current Account 27,000.00 111 27,000.00 Payment for Taxes, Premiums and Other Fees - BUREAU OF TREASURY - TO PAYMENT FOR FIDELITY BOND PREMUIM. Ck#242246 Feb 11 2010-02-002308 Due to Officers and Employees 403 15,000.00 Cash in Bank - Local Currency , Current Account 111 15,000.00 Payment for Due to Officers and Employees - MR. RODRIGO A. ABELLANOSA REIMBURSEMENT FOR THE EXPENSES DURING 63RD RECOGNITION DAY OF CEBU AREA COMMAND VETERANS ASSOCIATION LAST SEPTEMBER 5, 2009 AT YBARETA HALL. Ck#242339 Feb 11 2010-02-002314 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Feb 11 10,000.00 111 9,375.00 412 625.00 Payment of Medical and Burial Assistance - CEBU DOCTOR'S UNIVERSITY HOSPITAL MEDICAL ASSISTANCE FOR MARYDEL A. CAPARIDA LOCATED AT BARANGAY KAMPUTHAW. Ck#210064 2010-02-002315 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 111 10,000.00 9,375.00 Due to BIR Feb 11 412 625.00 Payment of Medical and Burial Assistance - CEBU DOCTOR'S UNIVERSITY HOSPITAL HOSPITAL BILL ASSISTANCE FOR CHONA ANDRADE LOCATED AT BARANGAY MAMBALING. CHECK # 210241 CTV # 15424 - P9,282.50 - CEBU DOCTORS UNIVERSITY HOSPITAL CHECK # 210235 CTV # 1541 2010-02-002317 Due to Officers and Employees 403 342.87 Cash in Bank - Local Currency , Current Account 111 278.58 Due to GSIS 413 64.29 Payment for Due to Officers and Employees - MR. EDGAR T. BATIQUIN PAYMENT OF SALARY DIFFERENTIAL, NOVEMBER 15 - 30, 2009. Ck#210504 Feb 11 2010-02-002321 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Feb 11 296,100.00 111 280,237.50 412 15,862.50 Cash Purchase of Property, Plant and Equipment - NUTECH MARKETING PAYMENT OF 7 UNITS PERSONAL COMPUTERS. CHECK # 210874 CTV # 236 P273,307.50 NUTECH MARKETING CHECK # 210875 CTV # 237 P 6,930.00 - CEBU CITY TREASURER Ck#210875 2010-02-002325 Accounts Payable 401 500.00 Cash in Bank - Local Currency , Current Account 111 500.00 Payment for Other Maintenance and Other Operating Expenses - PHILBYTES INC. PAYMENT FOR OFFICE SUPPLIES. CHECK # 211047 CTV # 1498 P491.07 - PHILBYTES INC. CHECK # 211048 CTV # 1499 P 8.93 - CEBU CITY TREASURER Ck#211047 Feb 11 2010-02-002326 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Feb 11 891 Cash in Bank - Local Currency , Current Account Feb 11 939,010.40 412 49,421.60 Grant of Subsidies and Donations - CEBU PISTOL & RIFFLE ASSOCIATION PAYMENT OF THE THIRD AND FINAL 40% OF THE SUBMISSION OF THE DRAFT TRAINING RESULT. CHECK # 211070 CTV # 1521 P925,172.90 - CEBU PISTOL & RIFFLE ASSOCIATION CHECK # 211071 CTV # 1522 P 2010-02-002327 Taxes, Duties and Licenses Due to BIR 988,432.00 111 498,802.00 111 473,861.90 412 24,940.10 Payment for Taxes, Premiums and Other Fees - ALIN CUSTOMS BROKERAGE PAYMENT FOR FREIGHT, HANDLING, DUTIES, TAXES AND BROKERAGE FEE OF DONATED MEDICAL EQUIPMENT AND MATERIALS FROM HAMBURG, GERMANY. CHECK # 210906 CTV # 729 P461,486.90 - AQLIN CUSTOMS B 2010-02-002328 Salaries and Wages - Casual 705 8,952.73 Personnel Economic Relief Allowance (PERA) 711 1,818.19 Life and Retirement Insurance Contributions 731 1,074.33 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 100.00 ECC Contributions 734 89.53 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 9,563.60 201.57 Due to GSIS 413 1,969.61 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 200.00 Payment of Salaries and Wages thru Bank - MAYETTE S. SALVATIERRA TO PAYMENT OF FIRST SALARY FOR THE PERIOD OF JANUARY 4 - 31, 2010. Ck#211126 Feb 11 2010-02-002329 Salaries and Wages - Casual 705 5,590.00 Personnel Economic Relief Allowance (PERA) 711 1,818.19 Life and Retirement Insurance Contributions 731 670.80 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 50.00 ECC Contributions 734 93.17 Cash in Bank - Local Currency , Current Account 111 6,755.09 Due to GSIS 413 1,267.07 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 100.00 Payment of Salaries and Wages thru Bank - ELVERA ESPENOSA PAYMENT OF FIRST SALARY FROM JANUARY 4 - 31, 2010. Ck#211128 Feb 11 2010-02-002665 Other Maintenance and Other Operating Expenses 969 50,000.00 Cash in Bank - Local Currency , Current Account 111 50,000.00 Payment for Other Maintenance and Other Operating Expenses - MR. NORMAN NAVARRO TO PAYMENT OF CASH PRIZE DURING THE CY 2010 SINULOG FESTIVAL (BEST IN MUSICALITY - DRUM AND BUGLE). Ck#698002 Feb 11 2010-02-002669 Fidelity Bond Premiums 892 15,719.25 Cash in Bank - Local Currency , Current Account 111 15,719.25 Payment for Taxes, Premiums and Other Fees - BUREAU OF THE TREASURY TO PAYMENT OF ADDITIONAL FEDELITY BOND PREMIUM OF MS. ANYA CHAN OIC DISBURSEMENT DIVISION (LRCO) OFFICE OF THE TREASURER, CEBU CITY. Ck#698029 Feb 11 2010-02-002673 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 500.00 111 500.00 Payment for Due to Officers and Employees - CELESTE GABRINO AS REIMBURSEMENT OF CELLPHONE ALLOWANCE FROM AUGUST - DECEMBER, 2009. Ck#698987 Feb 11 2010-02-002674 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Feb 11 Due from Officers and Employees Cash in Bank - Local Currency , Current Account Feb 11 11 1,967.72 123 132.19 111 401 Cash in Bank - Local Currency , Current Account Feb 401 1,967.72 412 132.19 Payment for Communication Expenses - GLOBE TELECOM, INC. FOR PAYMENT OF COMMUNICATION SERVICES OF SUZANNE O. ARDOSA OF CEBU CITY MEDICAL CENTER FOR THE MONTH OF OCTOBER 10 - NOVEMBER 9, 2009. NOTE: AMOUNT OF CLAIM PER DISBURSMENT VOUCHER PAV NO. 1912 2010-02-002688 Accounts Payable Due to BIR 2,753.43 412 183.56 Payment for Communication Expenses - INNOVE COMMUNICATION INC. AS PAYMENT OF COMMUNICATION SERVICES FOR THE MONTH OF NOVEMBER 13 - DECEMBER 12, 2009. Ck#675861 2010-02-002687 Accounts Payable Due to BIR 2,936.99 111 13,671.49 111 13,061.16 412 610.33 Payment for Communication Expenses - P. L . D. T. PAYMENT OF COMMUNICATION SERVICES OF CCMC FOR THE PERIOD NOVEMBER 17 - DECEMBER 16, 2009. Ck#712699 2010-02-002690 Representation Allowance (RA) 713 6,300.00 Cash in Bank - Local Currency , Current Account 111 6,300.00 Payment of Allowances, Bonus and Other Compensation - MYRNA R. GO FOR PAYMENT OF REPRESENTATION ALLOWANCE AS ACTING CHIEF OF HOSPITAL FOR THE PERIOD FEBRUARY, 2010. Ck#712708 Feb 11 2010-02-002695 Accounts Payable 401 236,822.30 Cash in Bank - Local Currency , Current Account 111 188,612.05 Due to BIR 412 12,686.90 Performance/Bidders/Bail Bonds Payable 427 11,841.12 Other Payables Feb 11 439 23,682.23 Payment for Purchase of Inventories, Supplies and Materials for Stock - CENTRADE HARDWARE CORP. PAYMENT OF G. I. PIPE 2 1/2" X 20" AND OTHER ITEMS NOTE: CHECK #703189: CTV #1198: P184, 383.08 - CENTRADE HARDWARE CORP. CHECK #703190: 2010-02-002697 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Feb 11 401 Cash in Bank - Local Currency , Current Account Feb 11 140,071.43 412 7,928.57 Payment for Purchase of Inventories, Supplies and Materials for Stock - ASIAN HOME APPLIANCE PAYMENT FOR 80 pcs. EMERGENCY LAMP FOR 80 BARANGAY HEALTH CENTERS IN CEBU CITY. CHECK NO. 703191 CTV NO. 1200 = P137,428.57 - ASIAN HOME APPLIANCE CHECK NO 2010-02-002699 Accounts Payable Due to BIR 148,000.00 111 38,000.00 111 35,625.00 412 2,375.00 Payment for Communication Expenses - INNOVE COMMUNICATIONS PAYMENT OF COMMUNICATION SERVICES FOR THE PERIOD OF NOVEMBER 17, 2009 - DECEMBER 16, 2009. Ck#703689 2010-02-002700 Accounts Payable 401 6,551.76 Cash in Bank - Local Currency , Current Account 111 6,259.28 Due to BIR 412 292.48 Payment for Communication Expenses - P. L. D. T. PAYMENT OF COMMUNICATION SERVICES (MC TEAM CITOM) NOVEMBER 17, 2009 - JANUARY 16, 2010. Ck#703695 Feb 11 2010-02-002704 Telephone Expenses - Landline 772 Cash in Bank - Local Currency , Current Account Due to BIR Feb 11 401 Cash in Bank - Local Currency , Current Account Feb 11 1,417.14 412 66.22 Payment for Communication Expenses - P. L. D. T. TO PAYMENT OF CITOM LAND LINE UNDER THE CITY GOVERNMENT OF CEBU FOR THE MONTH OF JANUARY 5, 2010 FEBRUARY 4, 2010. Ck#703697 2010-02-002705 Accounts Payable Due to BIR 1,483.36 111 23,284.80 111 22,245.30 412 1,039.50 Payment for Communication Expenses - P. L. D. T. AS PAYMENT OF COMMUNICATION SERVICES FOR THE PERIOD OF NOVEMBER 17, 2009 - DECEMBER 16, 2009. Ck#703698 2010-02-002709 Other Maintenance and Other Operating Expenses 969 5,400.00 Cash in Bank - Local Currency , Current Account 111 5,400.00 Payment for Other Maintenance and Other Operating Expenses - DR. MYRNA R. GO TO REIMBURSEMENT FOR PAYMENT OF REGISTRATION AND LICENSE TO OPERATE A HOSPITAL WHICH WAS PAID BY DR. MYRNA R. GO FOR THE YEAR JANUARY - DECEMBER, 2010. Ck#712711 Feb 11 2010-02-002716 Accounts Payable 401 41,700.00 Cash in Bank - Local Currency , Current Account 111 37,381.08 Due to BIR 412 2,233.92 Performance/Bidders/Bail Bonds Payable 427 2,085.00 Cash Purchase of Property, Plant and Equipment - NDI NORKIS MANDAAUE BRANCH PAYMENT OF 1 UNIT MOTORCYCLE (CRYPTON R) FOR USE BY THE OFFICE OF THE CEBU CITY TOURISM COMMISSION NOTE: CHECK #619573: CTV #14409: P36, 636.44 - NDI NORKIS MANDAUE BRANCH. Feb 11 2010-02-002721 Due to BIR 412 Cash in Bank - Local Currency , Current Account Due to BIR 111 310,455.17 303,785.07 412 6,670.10 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare) - LBP - PLAZA BRANCH FOR CREDIT TO THE ACCOUNT OF BIR REMITTANCE OF WITHHOLDING TAX ON COMPENSATION FOR THE MONTH OF JANUARY, 2010. Ck#712705 Feb 11 2010-02-002726 Due to BIR 412 13,479.24 Cash in Bank - Local Currency , Current Account 111 13,479.24 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare) - LBP - PLAZA BRANCH FOR CREDIT TO THE ACCOUNT OF BIR REMITTANCE OF WITHHOLDING TAX ON COMPENSATION FOR THE MONTH OF JANUARY, 2010. Ck#499220 Feb 11 2010-02-002731 Due to BIR 412 199,677.41 Cash in Bank - Local Currency , Current Account 111 199,677.41 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare) - LBP - PLAZA BRANCH FOR CREDIT TO THE ACCOUNT OF B. I. R. REMITTANCE OF EXPANDED WITHHOLDING TAX FOR THE MONTH OF JANUARY, 2010. Ck#703198 Feb 11 2010-02-002733 Due to BIR 412 Cash in Bank - Local Currency , Current Account Due to BIR Feb 11 28,615.73 111 5,239.51 412 23,376.22 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare) - LBP - PLAZA BRANCH FOR CREDIT TO THE ACCOUNT OF BIR REMITTANCE OF WITHHOLDING TAX ON COMPENSATION FOR THE MONTH OF JANUARY, 2010. Ck#675319 2010-02-002735 Due to BIR 412 2,097.37 Cash in Bank - Local Currency , Current Account 111 2,097.37 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare) - LBP - PLAZA BRANCH FOR CREDIT TO THE ACCOUNT OF BIR REMITTANCE OF EXPANDED WITHHOLDING TAX FOR THE MONTH OF JANUARY, 2010. Ck#675320 Feb 11 2010-02-002750 Due to BIR 412 2,906.07 Cash in Bank - Local Currency , Current Account 111 2,906.07 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare) - LBP - PLAZA BRANCH FOR CREDIT TO THE ACCOUNT OF BIR REMITTANCE OF FRANCHISE TAX, PERCENTAGE TAX, AND WITHHOLDING - VAT FOR THE MONTH OF JANUARY, 2010. Ck#675311 Feb 11 2010-02-002753 Due to BIR 412 46,529.08 Cash in Bank - Local Currency , Current Account 111 46,529.08 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare) - LBP - PLAZA BRANCH FOR CREDIT FOR THE ACCOUNT OF BIR REMITTANCE OF EXPANDED WITHHOLDING TAX FOR THE MONTH OF JANUARY, 2010. Ck#712706 Feb 11 2010-02-002757 Due to BIR 412 Cash in Bank - Local Currency , Current Account Due to BIR Feb 11 2010-02-002769 Due to BIR 59,292.76 111 57,777.27 412 1,515.49 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare) - LBP - PLAZA BRANCH FOR CREDIT TO THE ACCOUNT OF BIR REMITTANCE OF FRANCHISE TAX, PERCENTAGE TAX AND WITHHOLDING - VAT FOR THE MONTH OF JANUARY, 2010. Ck#712707 412 4,991.47 Cash in Bank - Local Currency , Current Account 111 4,991.47 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare) - LBP - PLAZA BRANCH FOR CREDIT TO THE ACCOUNT OF BIR REMITTANCE OF WITHHOLDING TAX ON COMPENSATION FOR THE MONTH OF JANUARY, 2010. Ck#675865 Feb 11 2010-02-002772 Due to BIR 412 2,019.54 Cash in Bank - Local Currency , Current Account 111 2,019.54 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare) - LBP - PLAZA BRANCH FOR CREDIT TO THE ACCOUNT OF BIR REMITTANCE OF FRANCHISE TAX, PERCENTAGE TAX AND WITHHOLDING - VAT FOR THE MONTH OF JANUARY, 2010. Ck#698989 Feb 11 2010-02-002776 Due to BIR 412 476.60 Cash in Bank - Local Currency , Current Account 111 476.60 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare) - LBP - PLAZA BRANCH FOR CREDIT TO THE ACCOUNT OF BIR REMITTANCE OF EXPANDED WITHHOLDING TAX FOR THE MONTH OF JANUARY, 2010. Ck#698990 Feb 11 2010-02-002779 Due to BIR 412 7,289.85 Cash in Bank - Local Currency , Current Account 111 7,289.85 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare) - LBP - PLAZA BRANCH FOR CREDIT TO THE ACCOUNT OF BIR REMIT OF WITHHOLDING TAX ON COMPENSATION FOR THE MONTH OF JANUARY, 2010. Ck#698991 Feb 11 2010-02-002784 Due to BIR 412 93,874.10 Cash in Bank - Local Currency , Current Account 111 93,874.10 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare) - LBP - PLAZA BRANCH FOR CREDIT TO THE ACCOUNT OF BIR REMITTANCE OF FRANCHISE TAX, PERCENTAGE TAX AND WITHHOLDING - VAT FOR THE MONTH OF JANUARY, 2010. Ck#703701 Feb 11 2010-02-002790 Due to BIR 412 Cash in Bank - Local Currency , Current Account Due to BIR Feb 11 81,344.66 111 49,328.71 412 32,015.95 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare) - LBP - PLAZA BRANCH FOR CREDIT TO THE ACCOUNT OF BIR REMITTANCE OF WITHHOLDING TAX ON COMPENSATION FOR THE MONTH OF JANUARY, 2010. Ck#703702 2010-02-002794 Due to BIR 412 36,952.22 Cash in Bank - Local Currency , Current Account 111 36,952.22 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare) - LBP - PLAZA BRANCH FOR CREDIT TO THE ACCOUNT OF BIR REMITTANCE OF EXPANDED WITHHOLDING TAX FOR THE MONTH OF JANUARY, 2010. Ck#703703 Feb 11 2010-02-002798 Due to BIR 412 923,064.90 Cash in Bank - Local Currency , Current Account 111 923,064.90 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare) - LBP - PLAZA BRANCH FOR CREDIT OF THE ACCOUNT OF BIR REMITTANCE OF FRANCHISE TAX, PERCENTAGE TAX AND WITHHOLDING - VAT FOR THE MONTH OF JANUARY, 2010. Ck#703197 Feb 11 2010-02-002804 Due to BIR 412 Cash in Bank - Local Currency , Current Account Due to BIR Feb 11 1,858,338.08 111 1,563,840.05 412 294,498.03 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare) - LBP - PLAZA BRANCH FOR CREDIT TO THE ACCOUNT OF BIR REMITTANCE OF WITHHOLDING TAX ON COMPENSATION FOR THE MONTH OF JANUARY, 2010. Ck#698040 2010-02-002833 Due to BIR 412 1,012,257.87 Cash in Bank - Local Currency , Current Account 111 1,012,257.87 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare) - LBP - PLAZA BRANCH FOR CREDIT OF THE ACCOUNT OF BIR REMITTANCE OF FANCHISE TAX, PERCENTAGE AND WITHHOLDING - VAT FOR THE MONTH OF JANUARY, 2010. Ck#698032 Feb 11 2010-02-002834 Accounts Payable 401 27,500.00 Cash in Bank - Local Currency , Current Account 111 21,901.78 Due to BIR 412 1,473.22 Performance/Bidders/Bail Bonds Payable 427 1,375.00 Other Payables 439 2,750.00 Payment for Other Maintenance and Other Operating Expenses - RK EUSTAQUIO PAYMENT OF 5 UNITS STEEL FILING CABINETS Ck#624252 Feb 11 2010-02-003110 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 705 54,432.00 711 12,000.00 111 66,432.00 Payment of Salaries and Wages thru Bank - CAMONGGOL, MARY ESTER Y. ET AL FOR JANUARY 16-31, 2010 Feb 11 2010-02-003111 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 5,905.23 711 1,888.27 Life and Retirement Insurance Contributions 731 708.63 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 62.50 ECC Contributions 734 92.93 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 3,180.16 83.73 Due to GSIS 413 2,360.60 Due to PAG-IBIG 414 1,658.07 Due to PHILHEALTH 415 125.00 Other Payables 439 1,350.00 Payment of Salaries and Wages thru Bank - MARQUEZ, EMMA P. FOR JANUARY 1-31, 2010. Feb 11 2010-02-003112 Other Personnel Benefits 749 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Allowances, Bonus and Other Compensation - DAMAOLAO, DANILO M. AS LOYALTY BONUS. Feb 11 2010-02-003113 Other Personnel Benefits 749 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Allowances, Bonus and Other Compensation - MERDEGIA, ANTONIO JR. G. AS LOYALTY BONUS Feb 11 2010-02-003114 Other Personnel Benefits 749 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Allowances, Bonus and Other Compensation - HILONGOS, WILFREDO B. AS LOYALTY BONUS. Feb 11 2010-02-003115 Salaries and Wages - Regular 701 6,931.76 Personnel Economic Relief Allowance (PERA) 711 1,854.18 Life and Retirement Insurance Contributions 731 831.81 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 75.00 ECC Contributions 734 118.06 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 3,941.93 57.38 Due to GSIS 413 3,889.85 Due to PAG-IBIG 414 371.65 Due to PHILHEALTH 415 150.00 Other Payables 439 1,500.00 Payment of Salaries and Wages thru Bank - SAAVEDRA, MELODINA G. FOR JANUARY 1-31, 2010. Feb 11 2010-02-003116 Salaries and Wages - Casual 705 7,891.00 Personnel Economic Relief Allowance (PERA) 711 2,000.00 Life and Retirement Insurance Contributions 731 946.92 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 87.50 ECC Contributions 734 78.91 Cash in Bank - Local Currency , Current Account 111 8,993.31 Due to GSIS 413 1,736.02 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 175.00 Payment of Salaries and Wages thru Bank - SABLE, JESSICA T. FOR JANUARY 1-31, 2010. Feb 11 2010-02-003117 Other Personnel Benefits 749 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Allowances, Bonus and Other Compensation - DAMAOLAO, ROMEO B. AS LOYALTY BONUS Feb 11 2010-02-003118 Due to Officers and Employees 403 8,926.14 Cash in Bank - Local Currency , Current Account 111 8,033.54 Due to BIR 412 892.60 Payment for Due to Officers and Employees - CARIÑO, VIRGINIA B. ET AL AS OVERTIME PAY FOR DECEMBER, 2009. Feb 11 2010-02-003119 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 705 3,074.50 711 2,000.00 111 5,074.50 Payment of Salaries and Wages thru Bank - TABAR, SHERWIN B. FOR JANUARY 16-31, 2010 Feb 11 2010-02-003121 Salaries and Wages - Regular 701 6,574.98 Personnel Economic Relief Allowance (PERA) 711 1,716.63 Life and Retirement Insurance Contributions 731 789.00 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 75.00 ECC Contributions 734 105.05 Cash in Bank - Local Currency , Current Account 111 6,230.86 Due to GSIS 413 2,279.80 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 150.00 Other Payables 439 500.00 Payment of Salaries and Wages thru Bank - VEJAGAN, JUSTINA L. FOR JANUARY 1-31, 2010. Feb 11 2010-02-003122 Salaries and Wages - Regular 701 8,063.00 Personnel Economic Relief Allowance (PERA) 711 2,000.00 Life and Retirement Insurance Contributions 731 967.56 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 100.00 ECC Contributions 734 121.89 Cash in Bank - Local Currency , Current Account 111 7,274.83 Due to GSIS 413 1,815.12 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 200.00 Other Payables 439 1,862.50 Payment of Salaries and Wages thru Bank - GALO, RODRIGO A. FOR JANUARY 1-31, 2010. Feb 11 2010-02-003125 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 705 36,034.00 711 12,000.00 111 48,034.00 Payment of Salaries and Wages thru Bank - AUREO, CRISTALENE F. ET AL FOR JANUARY 16-31, 2010 Feb 11 2010-02-003126 Salaries and Wages - Casual 705 9,518.18 Personnel Economic Relief Allowance (PERA) 711 1,727.27 Life and Retirement Insurance Contributions 731 1,142.18 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 112.50 ECC Contributions 734 95.18 Cash in Bank - Local Currency , Current Account 111 10,176.31 Due to GSIS 413 2,094.00 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 225.00 Payment of Salaries and Wages thru Bank - MEDECIELO, MICHAELA C. FOR JANUARY 1-31, 2010. Feb 11 2010-02-003131 Salaries and Wages - Casual 705 45,085.00 Personnel Economic Relief Allowance (PERA) 711 8,000.00 Life and Retirement Insurance Contributions 731 5,410.20 PAG-IBIG Contributions 732 400.00 PHILHEALTH Contributions 733 537.50 ECC Contributions 734 370.03 Cash in Bank - Local Currency , Current Account 111 48,089.85 Due to GSIS 413 9,837.88 Due to PAG-IBIG 414 800.00 Due to PHILHEALTH 415 1,075.00 Payment of Salaries and Wages thru Bank - ALCOSEBA, RAMONITO SI. ET AL FOR JANUARY 1-31, 2010. Feb 11 2010-02-003135 Salaries and Wages - Regular 701 25,107.17 Life and Retirement Insurance Contributions 731 3,241.68 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 337.50 ECC Contributions 734 100.00 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 1,908.00 2,994.94 Due to GSIS 413 11,776.41 Due to PAG-IBIG 414 1,200.00 Due to PHILHEALTH 415 675.00 Other Payables 439 10,332.00 Payment of Salaries and Wages thru Bank - ACENAS, VICTOR E. FOR FEBRUARY 1-28, 2010 (1ST AND 2ND WEEK) Feb 11 2010-02-003139 Salaries and Wages - Regular 701 15,195.58 Life and Retirement Insurance Contributions 731 2,795.28 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 287.50 ECC Contributions 734 100.00 Cash in Bank - Local Currency , Current Account 111 8,098.00 Due to BIR 412 2,700.00 Due to GSIS 413 5,180.63 Due to PAG-IBIG 414 1,224.73 Due to PHILHEALTH 415 575.00 Other Payables 439 700.00 Payment of Salaries and Wages thru Bank - GABIANA, DANILO R. FOR FEBRUARY 1-28, 2010 (1ST & 2ND WEEK) Feb 11 2010-02-003140 Salaries and Wages - Regular 701 284,678.94 Life and Retirement Insurance Contributions 731 47,981.52 PAG-IBIG Contributions 732 2,900.00 PHILHEALTH Contributions 733 4,850.00 ECC Contributions 734 2,992.87 Cash - Disbursing Officers 103 300.00 Cash in Bank - Local Currency , Current Account 111 115,182.00 Due to BIR 412 26,379.60 Due to GSIS 413 130,825.07 Due to PAG-IBIG 414 23,244.66 Due to PHILHEALTH 415 9,700.00 Other Payables 439 37,772.00 Payment of Salaries and Wages thru Bank - ANTIPORTA, BENJAMIN Q. ET AL FOR FEBRUARY 1-28, 2010 (1ST & 2ND WEEK) Feb 11 2010-02-003143 Salaries and Wages - Regular 701 67,700.51 Life and Retirement Insurance Contributions 731 10,489.68 PAG-IBIG Contributions 732 1,000.00 PHILHEALTH Contributions 733 1,037.50 ECC Contributions 734 1,097.23 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 19,719.00 5,297.71 Due to GSIS 413 36,699.09 Due to PAG-IBIG 414 6,522.12 Due to PHILHEALTH 415 2,075.00 Other Payables 439 11,012.00 Payment of Salaries and Wages thru Bank - BAGUIO, SERGIO B. ET AL FOR FEBRUARY 1-28, 2010 (1ST & 2ND WEEK) Feb 11 2010-02-003144 Salaries and Wages - Regular 701 107,768.95 Life and Retirement Insurance Contributions 731 16,086.96 PAG-IBIG Contributions 732 1,200.00 PHILHEALTH Contributions 733 1,600.00 ECC Contributions 734 1,323.50 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 26,290.00 8,351.45 Due to GSIS 413 56,003.96 Due to PAG-IBIG 414 10,322.13 Due to PHILHEALTH 415 3,200.00 Other Payables 439 23,811.87 Payment of Salaries and Wages thru Bank - ABBU, GLESILDA T. ET AL FOR FEBRUARY 1-28, 2010 (1ST & 2ND WEEK) Feb 11 2010-02-003146 Salaries and Wages - Casual 705 6,149.00 Personnel Economic Relief Allowance (PERA) 711 2,000.00 Life and Retirement Insurance Contributions 731 737.88 PAG-IBIG Contributions 732 PHILHEALTH Contributions 733 100.00 75.00 ECC Contributions 734 102.48 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 5,351.70 151.63 Due to GSIS 413 3,162.27 Due to PAG-IBIG 414 348.76 Due to PHILHEALTH 415 150.00 Payment of Salaries and Wages thru Bank - GUARISMA, GERMAN C. FOR JANUARY 1-31, 2010. Feb 11 2010-02-003149 Salaries and Wages - Regular 701 655,614.16 Life and Retirement Insurance Contributions 731 102,580.68 PAG-IBIG Contributions 732 9,400.00 PHILHEALTH Contributions 733 10,175.00 ECC Contributions 734 10,899.89 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 199,270.00 26,355.57 Due to GSIS 413 347,414.25 Due to PAG-IBIG 414 113,454.95 Due to PHILHEALTH 415 20,350.00 Other Payables 439 81,824.96 Payment of Salaries and Wages thru Bank - ABELLA, URBANO JR. R. ET AL FOR FEBRUARY 1-28, 2010 (1ST & 2ND WEEK) Feb 11 2010-02-003161 Salaries and Wages - Regular 701 134,045.61 Life and Retirement Insurance Contributions 731 24,776.88 PAG-IBIG Contributions 732 2,200.00 PHILHEALTH Contributions 733 2,462.50 ECC Contributions 734 2,313.79 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 24,149.00 7,990.73 Due to GSIS 413 96,461.65 Due to PAG-IBIG 414 20,237.40 Due to PHILHEALTH 415 4,925.00 Other Payables 439 12,035.00 Payment of Salaries and Wages thru Bank - ALIÑO, EVERISTO SR. L. ET.AL. FOR FEBRUARY 1-28, 2010 (1ST WEEK) Feb 11 2010-02-003165 Salaries and Wages - Regular 701 1,552,785.35 Life and Retirement Insurance Contributions 731 290,449.68 PAG-IBIG Contributions 732 14,300.00 PHILHEALTH Contributions 733 29,237.50 ECC Contributions 734 21,320.54 Cash in Bank - Local Currency , Current Account 111 289,263.00 Due to BIR 412 214,688.62 Due to GSIS 413 966,686.08 Due to PAG-IBIG 414 119,728.18 Due to PHILHEALTH 415 58,475.00 Other Payables 439 259,252.19 Payment of Salaries and Wages thru Bank - ABADIANO, LEONOR G. ET AL FOR FEBRUARY 1-28, 2010 (1ST WEEK) Feb 11 2010-02-003167 Salaries and Wages - Regular 701 111,240.76 Life and Retirement Insurance Contributions 731 22,018.68 PAG-IBIG Contributions 732 1,600.00 PHILHEALTH Contributions 733 2,162.50 ECC Contributions 734 1,526.82 Cash in Bank - Local Currency , Current Account 111 24,092.00 Due to BIR 412 11,706.46 Due to GSIS 413 68,397.29 Due to PAG-IBIG 414 15,998.01 Due to PHILHEALTH 415 4,325.00 Other Payables 439 14,030.00 Payment of Salaries and Wages thru Bank - ALCANTARA, BRENT M. ET AL FOR FEBRUARY 1-28, 2010 (1ST WEEK) Feb 11 2010-02-003172 Salaries and Wages - Regular 701 143,190.25 Life and Retirement Insurance Contributions 731 26,643.48 PAG-IBIG Contributions 732 1,800.00 PHILHEALTH Contributions 733 2,675.00 ECC Contributions 734 1,923.28 Cash in Bank - Local Currency , Current Account 111 26,284.00 Due to BIR 412 19,220.89 Due to GSIS 413 87,266.55 Due to PAG-IBIG 414 14,349.57 Due to PHILHEALTH 415 5,350.00 Other Payables 439 23,761.00 Payment of Salaries and Wages thru Bank - ANG, JEROME G. ET AL FOR FEBRUARY 1-28, 2010 (1ST WEEK) Feb 11 2010-02-003175 Salaries and Wages - Regular 701 401,263.72 Life and Retirement Insurance Contributions 731 67,473.36 PAG-IBIG Contributions 732 7,000.00 PHILHEALTH Contributions 733 6,462.50 ECC Contributions 734 8,939.80 Cash in Bank - Local Currency , Current Account 111 53,693.00 Due to BIR 412 18,092.20 Due to GSIS 413 250,925.28 Due to PAG-IBIG 414 88,303.06 Due to PHILHEALTH 415 12,925.00 Other Payables 439 67,200.84 Payment of Salaries and Wages thru Bank - ABELLA, FRANCISCA Y. ET AL FOR FEBRUARY 1-28, 2010 (1ST WEEK) Feb 11 2010-02-003176 Salaries and Wages - Regular 701 80,892.40 Life and Retirement Insurance Contributions 731 14,677.20 PAG-IBIG Contributions 732 1,100.00 PHILHEALTH Contributions 733 1,450.00 ECC Contributions 734 1,537.15 Cash in Bank - Local Currency , Current Account 111 13,809.00 Due to BIR 412 5,531.87 Due to GSIS 413 50,126.26 Due to PAG-IBIG 414 8,838.62 Due to PHILHEALTH 415 2,900.00 Other Payables 439 18,451.00 Payment of Salaries and Wages thru Bank - ABELGAS, JOSE P. ET AL FOR FEBRUARY 1-28, 2010 (1ST WEEK) Feb 11 2010-02-003180 Salaries and Wages - Regular 701 70,030.23 Life and Retirement Insurance Contributions 731 15,084.24 PAG-IBIG Contributions 732 900.00 PHILHEALTH Contributions 733 1,525.00 ECC Contributions 734 914.75 Cash in Bank - Local Currency , Current Account 111 18,560.00 Due to BIR 412 10,393.52 Due to GSIS 413 42,450.55 Due to PAG-IBIG 414 5,950.15 Due to PHILHEALTH 415 3,050.00 Other Payables 439 8,050.00 Payment of Salaries and Wages thru Bank - ABELLANOSA, RICO P. ET AL FOR FEBRUARY 1-28, 2010 (1ST WEEK) Feb 11 2010-02-003184 Salaries and Wages - Regular 701 26,591.92 Life and Retirement Insurance Contributions 731 5,387.76 PAG-IBIG Contributions 732 500.00 PHILHEALTH Contributions 733 525.00 ECC Contributions 734 602.42 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 6,105.00 2,545.07 Due to GSIS 413 18,977.99 Due to PAG-IBIG 414 3,629.04 Due to PHILHEALTH 415 1,050.00 Other Payables 439 1,300.00 Payment of Salaries and Wages thru Bank - CAMPOMANES, MARIE FE A. ET AL FOR FEBRUARY 1-28, 2010 (1ST WEEK) Feb 11 2010-02-003187 Salaries and Wages - Regular 701 394,245.29 Life and Retirement Insurance Contributions 731 72,494.28 PAG-IBIG Contributions 732 6,100.00 PHILHEALTH Contributions 733 7,200.00 ECC Contributions 734 6,387.95 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 69,982.00 27,876.10 Due to GSIS 413 226,263.35 Due to PAG-IBIG 414 64,152.47 Due to PHILHEALTH 415 14,400.00 Other Payables 439 83,753.60 Payment of Salaries and Wages thru Bank - ABADILLA, NERISSA B. ET AL FOR FEBRUARY 1-28, 2010 (1ST WEEK) Feb 11 2010-02-003565 Salaries and Wages - Regular 701 6,151.00 Cash in Bank - Local Currency , Current Account 111 6,151.00 Payment of Salaries and Wages thru Bank - BONTILAO, ALYTH A. ET AL FOR FEBRUARY 1-28, 2010 (2ND WEEK) Feb 11 2010-02-003569 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 135,552.00 711 48,000.00 Cash in Bank - Local Currency , Current Account 111 180,385.00 Other Payables 439 3,167.00 Payment of Salaries and Wages thru Bank - ACAR, DEXTER R. ET AL JANUARY 16-31, 2010 Feb 11 2010-02-003571 Salaries and Wages - Regular 701 23,469.61 Personnel Economic Relief Allowance (PERA) 711 1,884.45 Life and Retirement Insurance Contributions 731 2,816.35 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 287.50 ECC Contributions 734 100.00 Cash in Bank - Local Currency , Current Account 111 8,074.52 Due to BIR 412 3,365.84 Due to GSIS 413 9,547.64 Due to PAG-IBIG 414 2,594.91 Due to PHILHEALTH 415 575.00 Other Payables 439 4,500.00 Payment of Salaries and Wages thru Bank - ABELLANA, ANTONIO DV. FOR JANUARY 1-31, 2010. Feb 11 2010-02-003572 Salaries and Wages - Casual 705 6,520.72 Personnel Economic Relief Allowance (PERA) 711 1,923.36 Life and Retirement Insurance Contributions 731 782.49 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 75.00 ECC Contributions 734 109.90 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 4,300.50 20.00 Due to GSIS 413 3,318.14 Due to PAG-IBIG 414 1,722.83 Due to PHILHEALTH 415 150.00 Payment of Salaries and Wages thru Bank - CHUA, FELIX V. FOR JANUARY 1-31, 2010 Feb 11 2010-02-003575 Salaries and Wages - Regular 701 136,871.14 Life and Retirement Insurance Contributions 731 20,854.80 PAG-IBIG Contributions 732 1,600.00 PHILHEALTH Contributions 733 2,112.50 ECC Contributions 734 1,710.37 Cash - Disbursing Officers 103 200.00 Cash in Bank - Local Currency , Current Account 111 36,926.00 Due to BIR 412 10,875.80 Due to GSIS 413 68,239.34 Due to PAG-IBIG 414 22,099.67 Due to PHILHEALTH 415 4,225.00 Other Payables 439 20,583.00 Payment of Salaries and Wages thru Bank - ADLAWAN, RUFINA A. ET AL FOR FEBRUARY 1-28, 2010 (1ST AND 2ND WEEK) Feb 11 2010-02-003578 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 24,146.00 111 24,146.00 Payment of Salaries and Wages thru Bank - ALIÑO, EVERISTO SR. L. ET AL FOR FEBRUARY 1-28, 2010 (2ND WEEK) Feb 11 2010-02-003580 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 289,224.00 111 289,224.00 Payment of Salaries and Wages thru Bank - ABADIANO, LEONOR G. ET AL FOR FEBRUARY 1-28, 2010 (2ND WEEK) Feb 11 2010-02-003581 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 24,085.00 111 24,085.00 Payment of Salaries and Wages thru Bank - ALCANTARA, BRENT M. ET AL FOR FEBRUARY 1-28,2010 (2ND WEEK) Feb 11 2010-02-003582 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 26,279.00 111 26,279.00 Payment of Salaries and Wages thru Bank - ANG, JEROME G. ET AL FOR FEBRUARY 1-28,2010 (2ND WEEK) Feb 11 2010-02-003583 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 53,678.00 111 53,678.00 Payment of Salaries and Wages thru Bank - ABELLA, FRANCISCA Y. ET AL FOR FEBRUARY 1-28, 2010 (2ND WEEK) Feb 11 2010-02-003584 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 13,807.00 111 13,807.00 Payment of Salaries and Wages thru Bank - ABELGAS, JOSE P. ET AL FOR FEBRUARY 1-28, 2010 (2ND WEEK) Feb 11 2010-02-003586 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 18,559.00 111 18,559.00 Payment of Salaries and Wages thru Bank - ABELLANOSA, RICO P. ET AL FOR FEBRUARY 1-28, 2010 (2ND WEEK) Feb 11 2010-02-003587 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 6,102.00 111 6,102.00 Payment of Salaries and Wages thru Bank - CAMPOMANES, MARIE FE A. ET AL FOR FEBRUARY 1-28, 2010 (2ND WEEK) Feb 11 2010-02-003589 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 69,966.00 111 69,966.00 Payment of Salaries and Wages thru Bank - ABADILLA, NERISSA B. ET AL FOR FEBRUARY 1-28, 2010 (2ND WEEK) Feb 11 2010-02-003638 Salaries and Wages - Regular 701 47,102.69 Life and Retirement Insurance Contributions 731 8,354.64 PAG-IBIG Contributions 732 900.00 PHILHEALTH Contributions 733 812.50 ECC Contributions 734 1,052.51 Cash in Bank - Local Currency , Current Account 111 7,509.00 Due to BIR 412 1,700.00 Due to GSIS 413 32,717.88 Due to PAG-IBIG 414 6,860.46 Due to PHILHEALTH 415 1,625.00 Other Payables 439 7,810.00 Payment of Salaries and Wages thru Bank - CAÑA, ROMEO DC. ET AL FOR FEBRUARY 1-28, 2010 (1ST WEEK) Feb 11 2010-02-003641 Salaries and Wages - Regular 701 97,995.80 Life and Retirement Insurance Contributions 731 20,072.76 PAG-IBIG Contributions 732 1,600.00 PHILHEALTH Contributions 733 1,937.50 ECC Contributions 734 1,686.63 Cash in Bank - Local Currency , Current Account 111 23,097.00 Due from Officers and Employees 123 1,000.00 Due to BIR 412 8,576.67 Due to GSIS 413 67,107.78 Due to PAG-IBIG 414 16,536.24 Due to PHILHEALTH 415 3,875.00 Other Payables 439 3,100.00 Payment of Salaries and Wages thru Bank - ARACAN, FILOMENA M. ET AL FOR FEBRUARY 1-28, 2010 (1ST WEEK) Feb 11 2010-02-003644 Salaries and Wages - Regular 701 79,132.28 Life and Retirement Insurance Contributions 731 15,797.04 PAG-IBIG Contributions 732 1,300.00 PHILHEALTH Contributions 733 1,575.00 ECC Contributions 734 1,604.78 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 17,507.00 4,177.60 Due to GSIS 413 57,342.15 Due to PAG-IBIG 414 12,537.35 Due to PHILHEALTH 415 3,150.00 Other Payables 439 4,695.00 Payment of Salaries and Wages thru Bank - ARCILLA, LORDE L. ET AL FOR FEBRUARY 1-28, 2010 (1ST WEEK) Feb 11 2010-02-003648 Salaries and Wages - Regular 701 244,885.41 Life and Retirement Insurance Contributions 731 45,417.00 PAG-IBIG Contributions 732 2,600.00 PHILHEALTH Contributions 733 4,562.50 ECC Contributions 734 2,546.06 Cash in Bank - Local Currency , Current Account 111 Due from Officers and Employees 123 44,539.00 500.00 Due to BIR 412 45,955.10 Due to GSIS 413 132,758.04 Due to PAG-IBIG 414 30,118.33 Due to PHILHEALTH 415 9,125.00 Other Payables 439 37,015.50 Payment of Salaries and Wages thru Bank - ABELLANA, MA. ELENA F. ET AL FOR FEBRUARY 1-28, 2010 (1ST WEEK) Feb 11 2010-02-003656 Salaries and Wages - Regular 701 130,523.65 Life and Retirement Insurance Contributions 731 23,333.88 PAG-IBIG Contributions 732 1,400.00 PHILHEALTH Contributions 733 2,337.50 ECC Contributions 734 1,522.56 Cash in Bank - Local Currency , Current Account 111 21,312.00 Due to BIR 412 13,750.23 Due to GSIS 413 72,707.92 Due to PAG-IBIG 414 17,155.44 Due to PHILHEALTH 415 4,675.00 Other Payables 439 29,517.00 Payment of Salaries and Wages thru Bank - ABELLA, ANTONIO JR. T. ET AL FOR FEBRUARY 1-28, 2010 (1ST WEEK) Feb 11 2010-02-003657 Salaries and Wages - Regular 701 231,719.83 Life and Retirement Insurance Contributions 731 46,608.12 PAG-IBIG Contributions 732 2,700.00 PHILHEALTH Contributions 733 4,675.00 ECC Contributions 734 2,862.50 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 52,236.00 29,959.84 Due to GSIS 413 136,579.32 Due to PAG-IBIG 414 25,388.29 Due to PHILHEALTH 415 9,350.00 Other Payables 439 35,052.00 Payment of Salaries and Wages thru Bank - ABADIA, MA. FATIMA E. ET AL FOR FEBRUARY 1-28, 2010 (1ST WEEK) Feb 11 2010-02-003659 Salaries and Wages - Regular 701 93,682.39 Life and Retirement Insurance Contributions 731 16,912.32 PAG-IBIG Contributions 732 700.00 PHILHEALTH Contributions 733 1,725.00 ECC Contributions 734 700.00 Cash in Bank - Local Currency , Current Account 111 15,752.00 Due to BIR 412 14,852.33 Due to GSIS 413 56,681.70 Due to PAG-IBIG 414 7,317.68 Due to PHILHEALTH 415 3,450.00 Other Payables 439 15,666.00 Payment of Salaries and Wages thru Bank - LUISITO, ABENOJA D. ET AL FOR FEBRUARY 1-28, 2010 (1ST WEEK) Feb 11 2010-02-003686 Salaries and Wages - Regular 701 12,342.48 Life and Retirement Insurance Contributions 731 2,910.24 PAG-IBIG Contributions 732 300.00 PHILHEALTH Contributions 733 287.50 ECC Contributions 734 373.89 Cash in Bank - Local Currency , Current Account 111 3,970.00 Due to BIR 412 334.64 Due to GSIS 413 8,433.49 Due to PAG-IBIG 414 2,900.98 Due to PHILHEALTH 415 575.00 Payment of Salaries and Wages thru Bank - DEL ROSARIO, DYLAN P. ET AL FOR FEBRUARY 1-28, 2010 (1ST WEEK) Feb 11 2010-02-003689 Salaries and Wages - Regular 701 63,510.87 Life and Retirement Insurance Contributions 731 13,490.40 PAG-IBIG Contributions 732 1,400.00 PHILHEALTH Contributions 733 1,312.50 ECC Contributions 734 1,519.21 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 16,307.00 4,031.90 Due to GSIS 413 43,200.29 Due to PAG-IBIG 414 9,905.79 Due to PHILHEALTH 415 2,625.00 Other Payables 439 5,163.00 Payment of Salaries and Wages thru Bank - ABASTAS, VIRGILIO B. ET AL FOR FEBRUARY 1-28, 2010 (1ST WEEK) Feb 11 2010-02-003690 Salaries and Wages - Regular 701 722,373.31 Life and Retirement Insurance Contributions 731 143,966.52 PAG-IBIG Contributions 732 9,500.00 PHILHEALTH Contributions 733 14,362.50 ECC Contributions 734 10,139.02 Cash in Bank - Local Currency , Current Account 111 159,145.00 Due to BIR 412 92,858.82 Due to GSIS 413 414,948.58 Due to PAG-IBIG 414 92,823.18 Due to PHILHEALTH 415 28,725.00 Other Payables 439 111,840.77 Payment of Salaries and Wages thru Bank - ABASTILLAS, EPIFANIA R. ET AL FOR FEBRUARY 1-28, 2010 (1ST WEEK) Feb 11 2010-02-003707 Salaries and Wages - Regular 701 160,683.31 Life and Retirement Insurance Contributions 731 29,745.24 PAG-IBIG Contributions 732 2,300.00 PHILHEALTH Contributions 733 2,987.50 ECC Contributions 734 2,651.75 Cash in Bank - Local Currency , Current Account 111 29,074.00 Due to BIR 412 14,380.72 Due to GSIS 413 92,489.46 Due to PAG-IBIG 414 29,302.09 Due to PHILHEALTH 415 5,975.00 Other Payables 439 27,146.53 Payment of Salaries and Wages thru Bank - ABOBO, JIMMY B. ET AL FOR FEBRUARY 1-28, 2010 (1ST WEEK) Feb 11 2010-02-003712 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 35,871.00 111 35,871.00 Payment of Salaries and Wages thru Bank - ABORDO, OSCAR S. ET AL FOR FEBRUARY 1-28, 2010 (2ND WEEK) Feb 11 2010-02-003714 Salaries and Wages - Regular 701 7,507.00 Cash in Bank - Local Currency , Current Account 111 7,507.00 Payment of Salaries and Wages thru Bank - CAÑA, ROMEO DC. ET AL FOR FEBRUARY 1-28, 2010 (2ND WEEK) Feb 11 2010-02-003715 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 23,092.00 111 23,092.00 Payment of Salaries and Wages thru Bank - ARACAN, FILOMENA M. ET AL FOR FEBRUARY 1-28, 2010 (2ND WEEK) Feb 11 2010-02-003716 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 17,504.00 111 17,504.00 Payment of Salaries and Wages thru Bank - ARCILLA, LORDE L. ET AL FOR FEBRUARY 1-28, 2010 (2ND WEEK) Feb 11 2010-02-003717 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 17,151.00 111 17,151.00 Payment of Salaries and Wages thru Bank - ABELLA, EUSEBIO A. ET AL FOR FEBRUARY 1-28, 2010 (2ND WEEK) Feb 11 2010-02-003718 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 44,533.00 111 44,533.00 Payment of Salaries and Wages thru Bank - ABELLANA, MA. ELENA F. ET AL FOR FEBRUARY 1-28, 2010 (2ND WEEK) Feb 11 2010-02-003719 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 31,797.00 111 31,797.00 Payment of Salaries and Wages thru Bank - ABELLA, JEYNO V. ET AL FOR FEBRUARY 1-28, 2010 (2ND WEEK) Feb 11 2010-02-003720 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 21,309.00 111 21,309.00 Payment of Salaries and Wages thru Bank - ABELLA, ANTONIO JR. T. ET AL FOR FEBRUARY 1-28, 2010 (2ND WEEK) Feb 11 2010-02-003722 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 21,064.00 111 21,064.00 Payment of Salaries and Wages thru Bank - ABELGAS, BELONA O. ET AL FOR FEBRUARY 1-28, 2010 (2ND WEEK) Feb 11 2010-02-003723 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 3,094.00 111 3,094.00 Payment of Salaries and Wages thru Bank - BALCON, MARIO B. ET AL FOR FEBRUARY 1-28, 2010 (2ND WEEK) Feb 11 2010-02-003724 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 54,004.00 111 54,004.00 Payment of Salaries and Wages thru Bank - ABELLA, MYRA A. ET AL FOR FEBRUARY 1-28, 2010 (2ND WEEK) Feb 11 2010-02-003725 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 52,230.00 111 52,230.00 Payment of Salaries and Wages thru Bank - ABADIA, MA. FATIMA E. ET AL FOR FEBRUARY 1-28, 2010 (2ND WEEK) Feb 11 2010-02-003726 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 111 15,372.00 15,372.00 Payment of Salaries and Wages thru Bank - AGUILAR, NICEA D. ET AL FOR FEBRUARY 1-28, 2010 (2ND WEEK) Feb 11 2010-02-003727 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 15,752.00 111 15,752.00 Payment of Salaries and Wages thru Bank - ABENOJA, LUISITO D. ET AL FOR FEBRUARY 1-28, 2010 (2ND WEEK) Feb 11 2010-02-003728 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 3,970.00 111 3,970.00 Payment of Salaries and Wages thru Bank - DEL ROSARIO, DYLAN P. ET AL FOR FEBRUARY 1-28, 2010 (2ND WEEK) Feb 11 2010-02-003729 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 5,764.00 111 5,764.00 Payment of Salaries and Wages thru Bank - BAGUIO, SILVERIANA L. ET AL FOR FEBRUARY 1-28, 2010 (2ND WEEK) Feb 11 2010-02-003730 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 16,304.00 111 16,304.00 Payment of Salaries and Wages thru Bank - ABASTAS, VIRGILIO B. ET AL FOR FEBRUARY 1-28, 2010 (2ND WEEK) Feb 11 2010-02-003731 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 40,323.00 111 40,323.00 Payment of Salaries and Wages thru Bank - ALIVIO, NICANOR E. ET AL FOR FEBRUARY 1-28, 2010 (2ND WEEK) Feb 11 2010-02-003732 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 5,718.00 111 5,718.00 Payment of Salaries and Wages thru Bank - OSMEÑA, TOMAS DR. FOR FEBRUARY 1-28, 2010 (2ND WEEK) Feb 11 2010-02-003733 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 159,124.00 111 159,124.00 Payment of Salaries and Wages thru Bank - ABASTILLAS, EPIFANIA R. ET AL FOR FEBRUARY 1-28, 2010 (2ND WEEK) Feb 11 2010-02-003737 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 7,245.00 111 7,245.00 Payment of Salaries and Wages thru Bank - ABARQUEZ, JANE C. ET AL FOR FEBRUARY 1-28, 2010 (2ND WEEK) Feb 11 2010-02-003739 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 29,066.00 111 29,066.00 Payment of Salaries and Wages thru Bank - ABOBO, JIMMY B. ET AL FOR FEBRUARY 1-28, 2010 (2ND WEEK) Feb 11 2010-02-004019 Accounts Payable 401 1,216.78 Cash in Bank - Local Currency , Current Account 111 1,162.46 Due to BIR 412 54.32 Payment for Communication Expenses - PLDT PAYMENT OF COMMUNICATION SERVICES FOR BILL OF NOVEMBER 11, 2009. Ck#499217 Feb 11 2010-02-010622 Due to BIR 412 383,779.95 Cash in Bank - Local Currency , Current Account 111 383,779.95 Remittance of Authorized Deduction Withheld on Employees (Employee/EmployerShare) - LBP - PLAZA BRANCH FOR CREDIT TO THE ACCOUNT OF BIR TO REMIT THE AMOUNT REPRESENTING EXPANDED WITHHOLDING TAX FOR THE MONTH OF JANUARY, 2010. Ck#698031 Feb 12 2010-02-002161 Other Payables 439 3,852.00 Cash in Bank - Local Currency , Current Account 111 3,852.00 Payment for Other Liabilities- MA. LUISA S. TAN TO PAYMENT OF PROFESSIONAL FEE (X-RAY) FOR JULY TO SEPT. 2009. Ck#211173 Feb 12 2010-02-002168 Other Payables 439 Cash in Bank - Local Currency , Current Account 3,852.00 111 3,852.00 Payment for Other Liabilities- GABRIEL A. MENDOZA III TO PAYMENT OF PROFESSIONAL FEE (X-RAY) FOR JULY TO SEPT. 2009. Ck#211174 Feb 12 2010-02-002170 Other Payables 439 Cash in Bank - Local Currency , Current Account 3,852.00 111 3,852.00 Payment for Other Liabilities- EDWIN RAY R. MEDALLE TO PAYMENT OF PROFESSIONAL FEE (X-RAY) FOR JULY TO SEPT. 2009. Ck#211175 Feb 12 2010-02-002172 Representation Allowance (RA) 713 5,500.00 Cash in Bank - Local Currency , Current Account 111 5,500.00 Payment of Allowances, Bonus and Other Compensation - KENNETH CARMELITA M. ENRIQUEZ PAYMENT OF REPRESENTATION AND TRANSPORTATION ALLOWANCE FOR FEBRUARY 2010. Ck#211176 Feb 12 2010-02-002176 Due to Officers and Employees 403 12,000.00 Cash in Bank - Local Currency , Current Account 111 10,800.00 Due to BIR 412 1,200.00 Payment for Due to Officers and Employees- REYNETTE CHRISTINE LIGARAY TO PAYMENT FOR DEC. 2009. Ck#211177 Feb 12 2010-02-002204 Performance/Bidders/Bail Bonds Payable Other Payables 427 2,191.79 439 4,383.58 Cash in Bank - Local Currency , Current Account 111 6,575.37 Refund of Performance Bond to Contractor- SACHEM MARKETING TO REFUND THE PERFORMANCE BOND AND RETENTION UNDER PAV #10489 DATED 09/17/09. Ck#211179 Feb 12 2010-02-002205 Due to Other NGAs 416 Cash in Bank - Local Currency , Current Account 7,000.00 111 7,000.00 Grant of Subsidies and Donations - VICTOR LARK BLANCAS TO PAYMENT OF INCENTIVE ALLOWANCE FOR APRIL TO OCT. 2009. Ck#211178 Feb 12 2010-02-002207 Due from Other Funds 144 3,496.99 Cash in Bank - Local Currency , Current Account 111 3,496.99 Refund of Performance Bond to Contractor- CEBU D & F ENTERPRISES TO REFUND THE PERFORMANCE BOND UNDER PAV # 17285 DATED 10/20/09 (GF-ABATTOIR ERRONEOUSLY PAID BY GF-PROPER) Ck#211180 Feb 12 2010-02-002320 Salaries and Wages - Regular 701 34,787.28 Life and Retirement Insurance Contributions 731 6,841.56 PAG-IBIG Contributions 732 700.00 PHILHEALTH Contributions 733 662.50 ECC Contributions 734 777.19 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 7,412.00 1,565.58 Due to GSIS 413 25,614.61 Due to PAG-IBIG 414 5,851.34 Due to PHILHEALTH 415 1,325.00 Other Payables 439 2,000.00 Payment of Salaries and Wages thru Bank - ABADIA, JONATHAN A. ET AL FOR FEBRUARY 1-28, 2010 (1ST WEEK) Feb 12 2010-02-002322 Salaries and Wages - Regular 701 6,589.56 Life and Retirement Insurance Contributions 731 1,098.00 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 112.50 ECC Contributions 734 152.50 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 35.50 Due to GSIS 413 4,492.89 Due to PAG-IBIG 414 903.17 Due to PHILHEALTH 415 225.00 439 1,542.00 Other Payables 854.00 Payment of Salaries and Wages thru Bank - INOC, DIONISIO P. FOR FEBRUARY 1-28, 2010 (1ST WEEK) Feb 12 2010-02-002330 Salaries and Wages - Regular 701 117,015.29 Life and Retirement Insurance Contributions 731 20,100.72 PAG-IBIG Contributions 732 1,600.00 PHILHEALTH Contributions 733 2,000.00 ECC Contributions 734 1,781.45 Cash in Bank - Local Currency , Current Account 111 Due from Officers and Employees 123 16,834.00 500.00 Due to BIR 412 6,185.53 Due to GSIS 413 65,773.60 Due to PAG-IBIG 414 10,224.83 Due to PHILHEALTH 415 4,000.00 Other Payables 439 38,979.50 Payment of Salaries and Wages thru Bank - ALESNA, ALEXANDER M. ET AL FOR FEBRUARY 1-28, 2010 (1ST WEEK) Feb 12 2010-02-002332 Salaries and Wages - Regular 701 99,815.68 Life and Retirement Insurance Contributions 731 17,600.40 PAG-IBIG Contributions 732 1,900.00 PHILHEALTH Contributions 733 1,725.00 ECC Contributions 734 2,093.96 Cash in Bank - Local Currency , Current Account 111 15,623.00 Due to BIR 412 2,706.49 Due to GSIS 413 70,915.58 Due to PAG-IBIG 414 20,372.97 Due to PHILHEALTH 415 3,450.00 Other Payables 439 10,067.00 Payment of Salaries and Wages thru Bank - ABAN, ELEAZAR S. ET AL FOR FEBRUARY 1-28, 2010 (1ST WEEK) Feb 12 2010-02-002334 Salaries and Wages - Regular 701 83,707.36 Life and Retirement Insurance Contributions 731 14,692.32 PAG-IBIG Contributions 732 1,000.00 PHILHEALTH Contributions 733 1,475.00 ECC Contributions 734 1,103.80 Cash in Bank - Local Currency , Current Account 111 12,913.00 Due to BIR 412 4,628.05 Due to GSIS 413 44,073.50 Due to PAG-IBIG 414 7,955.66 Due to PHILHEALTH 415 2,950.00 Other Payables 439 29,458.27 Payment of Salaries and Wages thru Bank - ABELLA, LOLITA N. ET AL FOR FEBRUARY 1-28, 2010 (1ST WEEK) Feb 12 2010-02-002338 Salaries and Wages - Regular 701 295,872.25 Life and Retirement Insurance Contributions 731 54,372.00 PAG-IBIG Contributions 732 3,400.00 PHILHEALTH Contributions 733 5,400.00 ECC Contributions 734 3,564.06 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 52,420.00 28,036.14 Due to GSIS 413 158,779.99 Due to PAG-IBIG 414 39,094.70 Due to PHILHEALTH 415 10,800.00 Other Payables 439 73,477.48 Payment of Salaries and Wages thru Bank - ABELLANA, ROLANDO DV. ET AL FOR FEBRUARY 1-28, 2010 (1ST WEEK) Feb 12 2010-02-002355 Salaries and Wages - Regular 701 23,125.22 Life and Retirement Insurance Contributions 731 4,444.80 PAG-IBIG Contributions 732 300.00 PHILHEALTH Contributions 733 450.00 ECC Contributions 734 291.50 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 4,639.00 2,900.00 Due to GSIS 413 12,329.90 Due to PAG-IBIG 414 2,630.00 Due to PHILHEALTH 415 900.00 Other Payables 439 5,212.62 Payment of Salaries and Wages thru Bank - CABAHUG, FLORA T. ET AL FOR FEBRUARY 1-28, 2010 (1ST WEEK) Feb 12 2010-02-002358 Salaries and Wages - Regular 701 169,194.40 Life and Retirement Insurance Contributions 731 32,821.92 PAG-IBIG Contributions 732 2,100.00 PHILHEALTH Contributions 733 3,312.50 ECC Contributions 734 2,149.59 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 34,780.00 21,097.00 Due to GSIS 413 108,646.91 Due to PAG-IBIG 414 18,720.50 Due to PHILHEALTH 415 6,625.00 Other Payables 439 19,709.00 Payment of Salaries and Wages thru Bank - ALCUIZAR, SNRTA MARIE TRECE R. ET AL FOR FEBRUARY 1-28, 2010 (1ST WEEK) Feb 12 2010-02-002364 Salaries and Wages - Regular 701 15,469.31 Life and Retirement Insurance Contributions 731 2,774.40 PAG-IBIG Contributions 732 300.00 PHILHEALTH Contributions 733 262.50 ECC Contributions 734 349.51 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 2,552.00 326.42 Due to GSIS 413 11,459.89 Due to PAG-IBIG 414 1,382.41 Due to PHILHEALTH 415 525.00 Other Payables 439 2,910.00 Payment of Salaries and Wages thru Bank - BANONO, ROMEO P. ET AL FOR FEBRUARY 1-28, 2010 (1ST WEEK) Feb 12 2010-02-002385 Salaries and Wages - Casual 705 6,149.00 Personnel Economic Relief Allowance (PERA) 711 2,000.00 Life and Retirement Insurance Contributions 731 737.88 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 75.00 ECC Contributions 734 61.49 Cash in Bank - Local Currency , Current Account 111 7,420.59 Due to GSIS 413 1,352.78 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 150.00 Payment of Salaries and Wages thru Bank - MABUNAY, FRANCISCO JR. L. FOR JANUARY 1-31, 2010 Feb 12 2010-02-002390 Salaries and Wages - Regular 701 6,764.35 Personnel Economic Relief Allowance (PERA) 711 1,990.18 Life and Retirement Insurance Contributions 731 811.72 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 75.00 ECC Contributions 734 112.90 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 141.88 Due to GSIS 413 3,929.80 Due to PAG-IBIG 414 2,159.55 415 150.00 Due to PHILHEALTH 3,472.92 Payment of Salaries and Wages thru Bank - SANCHEZ, EMMANUEL Y. FOR JANUARY 1-31, 2010 Feb 12 2010-02-002423 Salaries and Wages - Casual 705 14,884.39 Life and Retirement Insurance Contributions 731 2,630.52 PAG-IBIG Contributions 732 300.00 PHILHEALTH Contributions 733 262.50 ECC Contributions 734 263.50 Cash in Bank - Local Currency , Current Account 111 7,036.62 Due to BIR 412 1,180.63 Due to GSIS 413 8,308.15 Due to PAG-IBIG 414 1,290.51 Due to PHILHEALTH 415 525.00 Payment of Salaries and Wages thru Bank - MONTAYRE, RALPH M. ET AL FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 12 2010-02-002424 Salaries and Wages - Casual 705 57,701.37 Life and Retirement Insurance Contributions 731 9,087.48 PAG-IBIG Contributions 732 900.00 PHILHEALTH Contributions 733 862.50 ECC Contributions 734 1,229.22 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 17,927.63 1,858.62 Due to GSIS 413 33,317.46 Due to PAG-IBIG 414 9,776.86 Due to PHILHEALTH 415 1,725.00 Other Payables 439 5,175.00 Payment of Salaries and Wages thru Bank - ALIÑO, EVERNESTO JR. W. ET AL FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 12 2010-02-002427 Salaries and Wages - Casual 705 49,330.17 Life and Retirement Insurance Contributions 731 8,773.08 PAG-IBIG Contributions 732 800.00 PHILHEALTH Contributions 733 887.50 ECC Contributions 734 788.37 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 23,174.30 2,922.90 Due to GSIS 413 27,388.83 Due to PAG-IBIG 414 4,752.09 Due to PHILHEALTH 415 1,775.00 Other Payables 439 566.00 Payment of Salaries and Wages thru Bank - AZNAR, ARSENIA Q. ET AL. FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 12 2010-02-002428 Salaries and Wages - Casual 705 21,299.98 Life and Retirement Insurance Contributions 731 3,368.40 PAG-IBIG Contributions 732 400.00 PHILHEALTH Contributions 733 337.50 ECC Contributions 734 354.84 Cash in Bank - Local Currency , Current Account 111 6,770.01 Due to BIR 412 610.62 Due to GSIS 413 12,188.58 Due to PAG-IBIG 414 2,782.51 Due to PHILHEALTH 415 675.00 Other Payables 439 2,734.00 Payment of Salaries and Wages thru Bank - PACAÑA, KHADAFY IAN P. ET AL FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 12 2010-02-002432 Salaries and Wages - Casual 705 34,845.14 Life and Retirement Insurance Contributions 731 6,371.76 PAG-IBIG Contributions 732 600.00 PHILHEALTH Contributions 733 625.00 ECC Contributions 734 523.28 Cash in Bank - Local Currency , Current Account 111 18,252.87 Due to BIR 412 1,469.86 Due to GSIS 413 17,982.45 Due to PAG-IBIG 414 1,400.00 Due to PHILHEALTH 415 1,250.00 Other Payables 439 2,610.00 Payment of Salaries and Wages thru Bank - DEJILLAS, RITA MAE R. ET AL FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 12 2010-02-002433 Salaries and Wages - Casual 705 69,134.89 Life and Retirement Insurance Contributions 731 13,007.64 PAG-IBIG Contributions 732 700.00 PHILHEALTH Contributions 733 1,325.00 ECC Contributions 734 687.41 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 36,027.12 7,200.03 Due to GSIS 413 35,085.08 Due to PAG-IBIG 414 3,892.71 Due to PHILHEALTH 415 2,650.00 Payment of Salaries and Wages thru Bank - ALINSON, FELICIANO JR. M. ET AL FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 12 2010-02-002434 Salaries and Wages - Casual 705 176,315.77 Life and Retirement Insurance Contributions 731 29,805.36 PAG-IBIG Contributions 732 3,500.00 PHILHEALTH Contributions 733 2,987.50 ECC Contributions 734 2,869.22 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 64,166.24 6,282.97 Due to GSIS 413 92,152.84 Due to PAG-IBIG 414 43,000.80 Due to PHILHEALTH 415 5,975.00 Other Payables 439 3,900.00 Payment of Salaries and Wages thru Bank - BARDOS, FILOMENA N. ET AL FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 12 2010-02-002440 Salaries and Wages - Casual 705 209,594.76 Life and Retirement Insurance Contributions 731 40,111.92 PAG-IBIG Contributions 732 4,000.00 PHILHEALTH Contributions 733 4,012.50 ECC Contributions 734 3,404.69 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 112,459.25 9,939.44 Due to GSIS 413 89,314.74 Due to PAG-IBIG 414 25,778.44 Due to PHILHEALTH 415 8,025.00 Other Payables 439 15,607.00 Payment of Salaries and Wages thru Bank - ABAD, LOLITA Q. ET AL FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 12 2010-02-002447 Salaries and Wages - Casual Life and Retirement Insurance Contributions 705 41,921.50 731 8,164.68 PAG-IBIG Contributions 732 600.00 PHILHEALTH Contributions 733 812.50 ECC Contributions 734 546.14 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 26,117.51 4,395.29 Due to GSIS 413 18,058.42 Due to PAG-IBIG 414 1,848.60 Due to PHILHEALTH 415 1,625.00 Payment of Salaries and Wages thru Bank - COMBATE, FLORA MAY P. ET AL FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 12 2010-02-002450 Salaries and Wages - Casual 705 28,608.96 Life and Retirement Insurance Contributions 731 5,190.12 PAG-IBIG Contributions 732 500.00 PHILHEALTH Contributions 733 525.00 ECC Contributions 734 420.56 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 12,162.06 1,524.38 Due to GSIS 413 12,996.60 Due to PAG-IBIG 414 2,311.60 Due to PHILHEALTH 415 1,050.00 Other Payables 439 5,200.00 Payment of Salaries and Wages thru Bank - CASTAÑEDA, NORMA D. ET AL FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 12 2010-02-002452 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 10,768.50 711 2,000.00 Cash in Bank - Local Currency , Current Account 111 10,768.50 Other Payables 439 2,000.00 Payment of Salaries and Wages thru Bank - PADILLA, PAUL S. FOR JANUARY 16-31, 2010 Feb 12 2010-02-002455 Salaries and Wages - Regular 701 7,310.00 Personnel Economic Relief Allowance (PERA) 711 2,000.00 Life and Retirement Insurance Contributions 731 877.20 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 87.50 ECC Contributions 734 113.37 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 4,451.71 500.00 Due to GSIS 413 3,637.36 Due to PAG-IBIG 414 424.00 Due to PHILHEALTH 415 175.00 Other Payables 439 1,300.00 Payment of Salaries and Wages thru Bank - DELUVIO, NELDA A. FOR JANUARY 1-31, 2010. Feb 12 2010-02-002456 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 705 6,149.00 711 4,000.00 111 10,149.00 Payment of Salaries and Wages thru Bank - BONTILAO, GLENN G. ET AL FOR JANUARY 16-31, 2010 Feb 12 2010-02-002457 Overtime and Night Pay 723 Cash in Bank - Local Currency , Current Account 3,013.67 111 3,013.67 Payment of Allowances, Bonus and Other Compensation - DEJILLAS, RITA MAE R. ET AL AS OVERTIME PAY FOR JANUARY, 2010. Feb 12 2010-02-002459 Salaries and Wages - Regular 701 6,000.24 Personnel Economic Relief Allowance (PERA) 711 1,931.82 Life and Retirement Insurance Contributions 731 720.03 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 75.00 ECC Contributions 734 60.00 Cash in Bank - Local Currency , Current Account 111 7,217.04 Due to GSIS 413 1,320.05 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 150.00 Payment of Salaries and Wages thru Bank - CUGAY, ANJUN A. FOR JANUARY 1-31, 2010 Feb 12 2010-02-002461 Salaries and Wages - Casual 705 19,452.78 Personnel Economic Relief Allowance (PERA) 711 1,727.27 Life and Retirement Insurance Contributions 731 2,334.33 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 237.50 ECC Contributions 734 100.00 Cash in Bank - Local Currency , Current Account 111 16,931.43 Due to BIR 412 2,160.37 Due to GSIS 413 4,185.08 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 475.00 Payment of Salaries and Wages thru Bank - LIM, RICHELLE R. FOR JANUARY 1-31, 2010. Feb 12 2010-02-002463 Other Personnel Benefits 749 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Allowances, Bonus and Other Compensation - CHAN, ANYA DR. AS LOYALTY BONUS Feb 12 2010-02-002464 Salaries and Wages - Casual 705 7,307.00 Personnel Economic Relief Allowance (PERA) 711 2,000.00 Life and Retirement Insurance Contributions 731 876.84 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 87.50 ECC Contributions 734 73.07 Cash in Bank - Local Currency , Current Account 111 8,461.87 Due to GSIS 413 1,607.54 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 175.00 Payment of Salaries and Wages thru Bank - COLONG, MOHAMMAD A. FOR JANUARY 1-31, 2010. Feb 12 2010-02-002465 Salaries and Wages - Regular 701 23,020.09 Personnel Economic Relief Allowance (PERA) 711 1,693.91 Life and Retirement Insurance Contributions 731 2,762.41 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 287.50 ECC Contributions 734 100.00 Cash in Bank - Local Currency , Current Account 111 14,567.34 Due to BIR 412 4,018.42 Due to GSIS 413 8,603.15 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 575.00 Payment of Salaries and Wages thru Bank - ENRIQUEZ, KENNETH CARMELITA M. FOR JANUARY 1-31, 2010. Feb 12 2010-02-002466 Due from Other Funds 144 6,993.99 Cash in Bank - Local Currency , Current Account 111 6,993.99 Refund of Performance Bond to Contractor - CEBU D & F ENTERPRISES TO REFUND THE 10% RETENTION WARRANTY UNDER PAV # 17285 DATED 10/20/09. (GF-ABATTOIR ERRONEOUSLY PAID BY GF-PROPER) Ck#211181 Feb 12 2010-02-002480 Other Payables 439 Cash in Bank - Local Currency , Current Account 7,330.30 111 7,330.30 Refund of Performance Bond to Contractor- CEBU D & F ENTERPRISES TO REFUND THE RETENTION WARRANTY UNDER PAV# 17140 DATED OCTY. 19, 2010. Ck#211182 Feb 12 2010-02-002483 Due from Other Funds 144 18,700.00 Cash in Bank - Local Currency , Current Account 111 18,700.00 Refund of Performance Bond to Contractor- NITO'S AUTO SUPPLY TO REFUND THE 10% RETENTION UNDER PAV # 085 DATED FEB. 06, 2008. (TRUST FUND - PROPER PAGCOR ERRONEOUSLY PAID BY GF-PROPER) Ck#211183 Feb 12 2010-02-002485 Other Payables 439 Cash in Bank - Local Currency , Current Account 700.00 111 700.00 Refund of Excess Employees Taxes, Loans and Premiums- ELECCION, LOTIS C. TO REFUND THE BCCI LOAN PAYMENT OF FEBRUARY 2010. Ck#211186 Feb 12 2010-02-002487 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Feb 12 401 Cash in Bank - Local Currency , Current Account Feb 12 40,507.15 412 2,292.85 Payment for Accounts Payable - BSM MICRO TRADERS INC. TO PAYMENT OF I UNIT HP PRINTER . CHECK # 242385 CTV # 1831 - P39,742.86 - BSM MICRO TRADERS INC. CHECK # 242386 CTV # 1832 764.29 - CEBU CITY TREASURER PAYMENT FOR LOCAL TAX 2010-02-002493 Accounts Payable Due to BIR 42,800.00 111 263,423.33 111 247,449.16 412 15,974.17 Payment for Accounts Payable- FAST AUTOWORLD PHILIPINES PAYMENT OF LABOR SUPPLY AND MATERIALS FOR REPAIR OF MITSUBISHI STRADA WITH PLATE # GJB 109. CHECK # 242387 CTV # 1833 - P242,802.46 - FAST AUTOWORLD PHILIPINES CHECK # 242388 CTV # 2010-02-002498 Accounts Payable 401 25,130.00 Cash in Bank - Local Currency , Current Account 111 21,270.74 Due to BIR 412 1,346.26 Other Payables 439 2,513.00 Payment for Accounts Payable - PETERSPORTS & CRAFT SALES TO PAYMENT OF 16 PCS LAMINATED TROPHY AND OTHERS. CHECK # 242393 CTV # 1839 - P 20,821.99 - PETERSPORTS & CRAFT SALES CHECK # 242394 CTV # 1840 448.75 - CEBU CITY T Feb 12 2010-02-002525 Accounts Payable 401 111 35,973.22 Due to BIR 412 2,276.78 Other Payables Feb 12 42,500.00 Cash in Bank - Local Currency , Current Account 439 4,250.00 Payment for Accounts Payable- SCR VENTURE CORP. TO PAYMENT OF A00 RACKS VACUUM TUBES EDTA 2.3 ML. CHECK # 242395 CTV # 1841 - P 35,593.76 - SCR VENTURES CORP. CHECK # 242396 CTV # 1842 379.46 - CEBU CITY TREASURER FOR PAYMENT OF LO 2010-02-002544 Accounts Payable 401 26,825.00 Cash in Bank - Local Currency , Current Account 111 24,046.70 Due to BIR 412 1,437.05 Performance/Bidders/Bail Bonds Payable 427 1,341.25 Payment for Accounts Payable- TRISALES BUSINESS CORP. TO PAYMENT OF SPARE PARTS OF SHARP DIGITAL COPIER MACHINE CHECK NO. 242397 CTV NO. 1843 = P23,567.68 - TRISALES BUSINESS SYSTEM CHECK NO. 242398 CTV NO. 1844 = 479.02 - CEBU CITY TREAS Feb 12 2010-02-002546 Due from Officers and Employees 123 Cash in Bank - Local Currency , Current Account 10,000.00 111 10,000.00 Grant of Cash Advance- REBECCA MADALI FOR TRAVEL IN MANILA ON FEB. 17 TO 20 2010. Ck#712730 Feb 12 2010-02-002548 Due from Officers and Employees 123 Cash in Bank - Local Currency , Current Account 9,200.00 111 9,200.00 Grant of Cash Advance - MYRNA R. GO FOR TRAVEL IN MANILA ON FEB. 18 TO 20, 2010. Ck#712731 Feb 12 2010-02-002607 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Feb 12 190,340.00 111 180,143.20 412 10,196.80 Payment for Accounts Payable- BEROVAN MARKETING TO PAYMENT OF MEDICAL SUPPLIES AND OTHER ITEMS. CHECK # 712732 CTV # 1849 - P 176,513.20 BEROVAN MARKETING CHECK # 712733 CTV # 1850 3,630.00 - CEBU CITY TREASURER FOR PAYMENT 2010-02-002608 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account - 2,203.21 111 2,203.21 Payment for Due to Officers and Employees- ARNEL C. TANCINCO TO PAYMENT FOR COMMUNICATION SERVICES FOR NOV. 24 TO DEC. 23, 2009. Ck#703712 Feb 12 2010-02-002609 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 3,000.00 111 3,000.00 Payment for Due to Officers and Employees- ARNEL C. TANCINCO TO PAYMENT OF COMMUNICATION SERVICE FOR OCT. 24 TO NOV. 23, 2009. Ck#703713 Feb 12 2010-02-002610 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 516.04 111 516.04 Refund of Performance Bond to Contractor- SACHEM MARKETING TO REFUND THE PERFORMANCE BOND UNDER PAV # 3226 . Ck#703206 Feb 12 2010-02-002619 Due to Other Funds 424 Cash in Bank - Local Currency , Current Account 25,618,001.85 111 25,618,001.85 Payment for Intra-Agency Payable- SPECIAL EDUCATION FUND TO RELEASE THE REAL PROPERTY TAX SHARE FOR DECEMBER 2009. Ck#698050 Feb 12 2010-02-002631 Performance/Bidders/Bail Bonds Payable 427 2,250.00 Cash in Bank - Local Currency , Current Account 111 2,250.00 Refund of Performance Bond to Contractor- GREEN VILLAGE STORE TO REFUND THE PERFORMANCE BOND UNDER OFFICIAL RECEIPT # 9741847 DATED 01/19/10 Ck#211140 Feb 12 2010-02-002634 Due to LGUs 418 Cash in Bank - Local Currency , Current Account 20,625.00 111 20,625.00 Payment for Inter-Agency Payable - BARANGAY KAMAGAYAN TO RELEASE THE FINANCIAL ASSISTANCE FOR JULY TO SEPT. 2009. Ck#211141 Feb 12 2010-02-002635 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 616.00 111 616.00 Payment for Due to Officers and Employees- NAMBAAC ROGELIO TO PAYMENT OF TRANSPORTATION EXPENSES FOR DEC. 2009. Ck#211142 Feb 12 2010-02-002638 Fidelity Bond Premiums 892 10,312.50 Cash in Bank - Local Currency , Current Account 111 10,312.50 Payment for Taxes, Premiums and Other Fees- BUREAU OF THE TREASURY TO PAYMENT OF FIDELITY BOND PREMIUM OF PERSONNEL OF THE OFFICE OF THE CITY TREASURER. Ck#211144 Feb 12 2010-02-002643 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Medical and Burial Assistance- DIONISA SEMBRINO TO PAYMENT OF BURIAL ASSISTANCE. Ck#211147 Feb 12 2010-02-002646 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Medical and Burial Assistance - MARITONI MARALIT TO PAYMENT OF BURIAL ASSISTANCE. Ck#211148 Feb 12 2010-02-002647 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Medical and Burial Assistance- FELICISIMA SABERON TO PAYMENT OF BURIAL ASSISTANCE. Ck#211149 Feb 12 2010-02-002650 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Medical and Burial Assistance - ROSALINDA BINOYA TO PAYMENT OF BURIAL ASSISTANCE . Ck#211150 Feb 12 2010-02-002652 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 806.02 111 806.02 Payment for Due to Officers and Employees- JOCELYN BRIONES-AVILA TO PAYMENT OF COMMUNICATION SERVICE FOR OCT. 10 TO NOV. 9, 2009. Ck#211151 Feb 12 2010-02-002664 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 2,500.00 111 2,500.00 Payment for Due to Officers and Employees- JERONE CASTILLO TO PAYMENT OF COMMUNICATION SERVICES FOR APRIL 10 TO MAY 9, 2009. Ck#211152 Feb 12 2010-02-002666 Due to Other NGAs 416 Cash in Bank - Local Currency , Current Account 2,500.00 111 2,500.00 Payment for Communication Expenses - AURORA PEÑAFLOR TO PAYMENT FOR SEPT. 9, TO OCT. 10, 2010. Ck#211153 Feb 12 2010-02-002667 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 2,000.00 111 2,000.00 Payment for Due to Officers and Employees- CARMELINO SASABAN REIMBURSEMENT FOR TRAVELLING EXPENSES FOR DEC. 2009. Ck#211154 Feb 12 2010-02-002668 Due to Officers and Employees Cash in Bank - Local Currency , Current Account 403 111 920.00 920.00 Payment for Due to Officers and Employees - LORNA C. LOGICO TO PAYMENT FOR COMMUNICATION SERVICE FOR NOV. 6 TO DEC. 5, 2009. Ck#211155 Feb 12 2010-02-002670 Due to Officers and Employees 403 3,000.00 Cash in Bank - Local Currency , Current Account 111 3,000.00 Payment for Due to Officers and Employees- KENNETH CARMELITA M. ENRIQUEZ REIMBURSEMENT FOR PAYMENT OF COMMUNICATION SERVICE FOR NOV. 21 TO DEC. 20, 2009. Ck#211156 Feb 12 2010-02-002672 Other Maintenance and Other Operating Expenses 969 2,500.00 Cash in Bank - Local Currency , Current Account 111 2,500.00 Payment for Other Maintenance and Other Operating Expenses- MARIA DOROTEA M. BACALSO TO PAYMENT OF CLINICAL LABORATORY LICENSE FEE FOR YR 2010 OF CHD LABORARTORY DEPT. Ck#2111157 Feb 12 2010-02-002675 Due to Other NGAs 416 Cash in Bank - Local Currency , Current Account 2,500.00 111 2,500.00 Payment for Communication Expenses- LICERIA RABILLAS TO PAYMENT OF COMMUNICATION SERVICE FOR OCT. 10 TO NOV. 9, 2009. Ck#211158 Feb 12 2010-02-002676 Due to LGUs 418 Cash in Bank - Local Currency , Current Account 32,000.00 111 32,000.00 Payment for Inter-Agency Payable- BARANGAY KAMAGAYAN TO RELEASE THE FINANCIAL ASSISTANCE FOR JULY TO AUGUST 2009. Ck#211159 Feb 12 2010-02-002677 Due to Other NGAs 416 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Medical and Burial Assistance- IDA YTING TO PAYMENT OF BURIAL ASSISTANCE Ck#211161 Feb 12 2010-02-002678 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Medical and Burial Assistance- CARALO N. BARANGGAN TO PAYMENT OF BURIAL ASSISTANCE. Ck#211163 Feb 12 2010-02-002679 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Medical and Burial Assistance - ROLANDO MORENO TO PAYMENT OF BURIAL ASSISTANCE. Ck#211164 Feb 12 2010-02-002680 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Medical and Burial Assistance - ARSENIA FORNOLLES TO PAYMENT OF BURIAL ASSISTANCE Ck#211165 Feb 12 2010-02-002681 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Medical and Burial Assistance- VIRGINIA SARTE TO PAYMENT OF BURIAL ASSISTANCE. Ck#211167 Feb 12 2010-02-002682 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 900.00 111 900.00 Payment for Due to Officers and Employees- JANIS C. REDULLA TO PAYMENT OF COMMUNICATION SERVICE FOR NOV. 2009. Ck#211168 Feb 12 2010-02-002683 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 111 10,309.00 10,309.00 Payment for Due to Officers and Employees- EMELYN SUPAPO REIMBURSEMENT FOR TRAVEL EXPESES IN MANILA ON DEC. 22-23, 2009. Ck#211169 Feb 12 2010-02-002684 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 10,309.00 111 10,309.00 Payment for Due to Officers and Employees - ZOSIMA C. AYING REIMBURSEMENT OF TRAVEL EXPENSES IN MANILA ON DEC. 22-23, 2009. Ck#211170 Feb 12 2010-02-002686 Other Payables 439 Cash in Bank - Local Currency , Current Account 3,852.00 111 3,852.00 Payment for Other Liabilities- LEA B. DELA CERNA TO PAYMENT PROFESSIONAL FEE (x-ray) FOR JULY TO SEPT. 2009. Ck#211171 Feb 12 2010-02-002844 Salaries and Wages - Casual 705 83,065.01 Life and Retirement Insurance Contributions 731 14,038.44 PAG-IBIG Contributions 732 1,700.00 PHILHEALTH Contributions 733 1,412.50 ECC Contributions 734 1,525.22 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 32,464.72 826.08 Due to GSIS 413 49,254.38 Due to PAG-IBIG 414 14,520.99 Due to PHILHEALTH 415 2,825.00 Other Payables 439 1,850.00 Payment of Salaries and Wages thru Bank - BACALSO, SCEPIO Y. ET AL FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 12 2010-02-002845 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 7,409.00 111 7,409.00 Payment of Salaries and Wages thru Bank - ABADIA, JONATHAN A. ET AL FOR FEBRUARY 1-28, 2010 (2ND WEEK) Feb 12 2010-02-002847 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 854.00 111 854.00 Payment of Salaries and Wages thru Bank - INOC, DIONISIO P. FOR FEBRUARY 1-28, 2010 (2ND WEEK) Feb 12 2010-02-002849 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 16,832.00 111 16,832.00 Payment of Salaries and Wages thru Bank - ALESNA, ALEXANDER M. ET AL FOR FEBRUARY 1-28, 2010 (2ND WEEK) Feb 12 2010-02-002850 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 15,620.00 111 15,620.00 Payment of Salaries and Wages thru Bank - ABAN, ELEAZAR S. ET AL FOR FEBRUARY 1-28, 2010 (2ND WEEK) Feb 12 2010-02-002851 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 12,910.00 111 12,910.00 Payment of Salaries and Wages thru Bank - ABELLA, LOLITA N. ET AL FOR FEBRUARY 1-28, 2010 (2ND WEEK) Feb 12 2010-02-002853 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 52,413.00 111 52,413.00 Payment of Salaries and Wages thru Bank - ABELLANA, ROLANDO DV. ET AL FOR FEBRUARY 1-28, 2010 (2ND WEEK) Feb 12 2010-02-002855 Salaries and Wages - Regular Cash in Bank - Local Currency , Current Account 701 111 4,638.00 4,638.00 Payment of Salaries and Wages thru Bank - CABAHUG, FLORA T. ET AL FOR FEBRUARY 1-28, 2010 (2ND WEEK) Feb 12 2010-02-002856 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 2,552.00 111 2,552.00 Payment of Salaries and Wages thru Bank - BANONO, ROMEO P. ET AL FOR FEBRUARY 1-28, 2010 (2ND WEEK) Feb 12 2010-02-002859 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 2,034.00 111 2,034.00 Payment of Salaries and Wages thru Bank - BONTUYAN, EVANGELINE M. FOR FEBRUARY 1-28, 2010 (2ND WEEK) Feb 12 2010-02-002860 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 58,416.00 111 58,416.00 Payment of Salaries and Wages thru Bank - ABELLANA, FELIX N. ET AL FOR FEBRUARY 1-28, 2010 (2ND WEEK) Feb 12 2010-02-002862 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 45,031.00 111 45,031.00 Payment of Salaries and Wages thru Bank - ABERION, YVONNE M. ET AL FOR FEBRUARY 1-28, 2010 (2ND WEEK) Feb 12 2010-02-002885 Salaries and Wages - Casual 705 18,039.00 Life and Retirement Insurance Contributions 731 4,329.36 PAG-IBIG Contributions 732 300.00 PHILHEALTH Contributions 733 450.00 ECC Contributions 734 300.00 Cash in Bank - Local Currency , Current Account 111 14,041.98 Due to GSIS 413 7,876.38 Due to PAG-IBIG 414 600.00 Due to PHILHEALTH 415 900.00 Payment of Salaries and Wages thru Bank - CABALLERO, CHRISTIAN T. ET AL FOR JANUARY 1-15, 2010 Feb 12 2010-02-002889 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 705 18,039.00 711 6,000.00 111 24,039.00 Payment of Salaries and Wages thru Bank - CABALLERO, CHRISTIAN T. ET AL FOR JANUARY 16-31, 2010 Feb 12 2010-02-002892 Salaries and Wages - Casual 705 273,535.24 Life and Retirement Insurance Contributions 731 46,264.08 PAG-IBIG Contributions 732 5,700.00 PHILHEALTH Contributions 733 4,662.50 ECC Contributions 734 5,256.71 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 110,658.71 7,007.13 Due to GSIS 413 155,085.20 Due to PAG-IBIG 414 51,442.49 Due to PHILHEALTH 415 9,325.00 Other Payables 439 1,900.00 Payment of Salaries and Wages thru Bank - ABARQUEZ, EDGAR S. ET AL FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 12 2010-02-002893 Salaries and Wages - Regular 701 375,207.03 Life and Retirement Insurance Contributions 731 59,329.68 PAG-IBIG Contributions 732 4,900.00 PHILHEALTH Contributions 733 5,887.50 ECC Contributions 734 5,444.77 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 119,219.00 20,140.37 Due to GSIS 413 193,849.42 Due to PAG-IBIG 414 40,486.16 Due to PHILHEALTH 415 11,775.00 Other Payables 439 65,299.03 Payment of Salaries and Wages thru Bank - BACALSO, TOMAS JR. Y. ET AL FOR FEBRUARY 1-28, 2010 (1ST & 2ND WEEK) Feb 12 2010-02-002896 Salaries and Wages - Casual 705 273,817.59 Life and Retirement Insurance Contributions 731 52,365.72 PAG-IBIG Contributions 732 5,200.00 PHILHEALTH Contributions 733 5,200.00 ECC Contributions 734 5,168.61 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 9,880.00 Due to GSIS 413 121,449.42 Due to PAG-IBIG 414 47,753.05 Due to PHILHEALTH 415 10,400.00 439 1,440.00 Other Payables 150,829.45 Payment of Salaries and Wages thru Bank - ABABA, ROMULO P. ET AL FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 12 2010-02-002897 Salaries and Wages - Casual 705 119,509.72 Life and Retirement Insurance Contributions 731 19,524.48 PAG-IBIG Contributions 732 1,800.00 PHILHEALTH Contributions 733 1,975.00 ECC Contributions 734 1,609.35 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 40,944.28 8,403.00 Due to GSIS 413 73,806.43 Due to PAG-IBIG 414 14,214.84 Due to PHILHEALTH 415 3,950.00 Other Payables 439 3,100.00 Payment of Salaries and Wages thru Bank - ARDIMER, AGNES G. ET AL FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 12 2010-02-002908 Salaries and Wages - Casual 705 15,423.38 Life and Retirement Insurance Contributions 731 3,160.56 PAG-IBIG Contributions 732 400.00 PHILHEALTH Contributions 733 312.50 ECC Contributions 734 263.38 Cash in Bank - Local Currency , Current Account 111 8,742.32 Due to GSIS 413 5,794.36 Due to PAG-IBIG 414 4,398.14 Due to PHILHEALTH 415 625.00 Payment of Salaries and Wages thru Bank - BORRES, ROBERTO JR T. ET AL FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 12 2010-02-002942 Salaries and Wages - Casual 705 13,752.17 Life and Retirement Insurance Contributions 731 2,213.64 PAG-IBIG Contributions 732 300.00 PHILHEALTH Contributions 733 225.00 ECC Contributions 734 286.11 Cash in Bank - Local Currency , Current Account 111 4,694.81 Due to GSIS 413 9,197.29 Due to PAG-IBIG 414 2,434.82 415 450.00 Due to PHILHEALTH Payment of Salaries and Wages thru Bank - JAYME, OLIVER P. ET AL FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 12 2010-02-002946 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 840.00 111 840.00 Payment for Due to Officers and Employees - ATILLO, RODULFO JR. B. AS TRAVELLING ALLOWANCE FOR NOVEMBER, 2009. Feb 12 2010-02-003141 Salaries and Wages - Regular 701 35,620.93 Life and Retirement Insurance Contributions 731 6,252.00 PAG-IBIG Contributions 732 200.00 PHILHEALTH Contributions 733 637.50 ECC Contributions 734 200.00 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 16,480.00 9,822.54 Due to GSIS 413 13,716.28 Due to PAG-IBIG 414 1,616.61 Due to PHILHEALTH 415 1,275.00 Payment of Salaries and Wages thru Bank - DIÑO, DOMINIC A. ET AL FOR FEBRUARY 1-28, 2010 (1ST & 2ND WEEK) Feb 12 2010-02-003147 Representation Allowance (RA) 713 Cash in Bank - Local Currency , Current Account 107,100.00 111 107,100.00 Payment of Allowances, Bonus and Other Compensation - ABELLANOSA, RODRIGO A. ET AL AS REPRESENTATION ALLOWANCE FOR FEBRUARY, 2010. Feb 12 2010-02-003151 Salaries and Wages - Regular 701 307,865.25 Life and Retirement Insurance Contributions 731 57,813.60 PAG-IBIG Contributions 732 1,600.00 PHILHEALTH Contributions 733 5,600.00 ECC Contributions 734 1,700.00 Cash in Bank - Local Currency , Current Account 111 Receivables - Disallowances/Charges 146 173,924.00 1,000.00 Due to BIR 412 52,512.48 Due to GSIS 413 121,317.69 Due to PAG-IBIG 414 8,241.68 Due to PHILHEALTH 415 11,200.00 Other Payables 439 6,383.00 Payment of Salaries and Wages thru Bank - ABELLANOSA, RODRIGO A. ET AL FOR FEBRUARY 1-28, 2010 (1ST & 2ND WEEK) DISALLOWANCE: P1,000.00 ======== Feb 12 2010-02-003169 Salaries and Wages - Casual 705 6,703.00 Personnel Economic Relief Allowance (PERA) 711 2,000.00 Life and Retirement Insurance Contributions 731 804.36 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 75.00 ECC Contributions 734 111.72 Cash in Bank - Local Currency , Current Account 111 7,924.73 Due to GSIS 413 1,519.35 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 150.00 Payment of Salaries and Wages thru Bank - TACUD, JINKY C. FOR JANUARY 1-31, 2010. Feb 12 2010-02-003173 Salaries and Wages - Regular 701 6,384.37 Life and Retirement Insurance Contributions 731 946.92 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 87.50 ECC Contributions 734 78.91 Cash in Bank - Local Currency , Current Account 111 1,508.00 Due to GSIS 413 2,074.70 Due to PAG-IBIG 414 540.00 Due to PHILHEALTH 415 175.00 Other Payables 439 3,300.00 Payment of Salaries and Wages thru Bank - CABANES, OSMUNITO O. FOR FEBRUARY 1-28, 2010 (1ST & 2ND WEEK) Feb 12 2010-02-003178 Salaries and Wages - Casual 705 85,348.68 Life and Retirement Insurance Contributions 731 14,402.76 PAG-IBIG Contributions 732 1,200.00 PHILHEALTH Contributions 733 1,425.00 ECC Contributions 734 1,103.09 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 33,974.27 4,624.16 Due to GSIS 413 41,804.41 Due to PAG-IBIG 414 11,030.69 Due to PHILHEALTH 415 2,850.00 Other Payables 439 9,196.00 Payment of Salaries and Wages thru Bank - ABELLA, EDGARDO N. ET AL FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 12 2010-02-003182 Salaries and Wages - Regular 701 12,359.34 Personnel Economic Relief Allowance (PERA) 711 1,657.18 Life and Retirement Insurance Contributions 731 1,483.12 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 150.00 ECC Contributions 734 100.00 Cash in Bank - Local Currency , Current Account 111 4,882.61 CHRISTOPHER I. ALIX Due to BIR 412 1,216.80 Due to GSIS 413 5,367.36 Due to PAG-IBIG 414 1,882.87 Due to PHILHEALTH 415 300.00 Other Payables 439 2,200.00 Payment of Salaries and Wages thru Bank - VELOSO, ALAN J. FOR JANUARY 1-31, 2010. Feb 12 2010-02-003188 Salaries and Wages - Regular 701 101,544.04 Life and Retirement Insurance Contributions 731 16,083.84 PAG-IBIG Contributions 732 900.00 PHILHEALTH Contributions 733 1,625.00 ECC Contributions 734 1,022.71 Cash in Bank - Local Currency , Current Account 111 32,496.00 Due to BIR 412 15,352.92 Due to GSIS 413 49,292.98 Due to PAG-IBIG 414 6,891.19 Due to PHILHEALTH 415 3,250.00 Other Payables 439 13,892.50 Payment of Salaries and Wages thru Bank - ABATAYO, EVANGELINE T. ET AL FOR FEBRUARY 1-28, 2010 (1ST & 2ND WEEK) Feb 12 2010-02-003228 Salaries and Wages - Casual 705 1,144,875.69 Life and Retirement Insurance Contributions 731 196,727.52 PAG-IBIG Contributions 732 14,300.00 PHILHEALTH Contributions 733 20,000.00 ECC Contributions 734 15,923.24 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 471,580.42 73,082.16 Due to GSIS 413 671,098.40 Due to PAG-IBIG 414 111,702.47 Due to PHILHEALTH 415 40,000.00 Other Payables 439 24,363.00 Payment of Salaries and Wages thru Bank - ABADIANO, EARL G. ET AL FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 12 2010-02-003229 Salaries and Wages - Casual 705 108,688.11 Life and Retirement Insurance Contributions 731 19,015.80 PAG-IBIG Contributions 732 2,000.00 PHILHEALTH Contributions 733 1,875.00 ECC Contributions 734 2,020.17 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 46,776.90 3,475.29 Due to GSIS 413 63,826.52 Due to PAG-IBIG 414 15,770.37 Due to PHILHEALTH 415 3,750.00 Payment of Salaries and Wages thru Bank - ABELLA, MAY A. ET AL FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 12 2010-02-003230 Salaries and Wages - Casual Life and Retirement Insurance Contributions 705 41,991.64 731 7,335.72 PAG-IBIG Contributions 732 900.00 PHILHEALTH Contributions 733 737.50 ECC Contributions 734 806.58 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 18,159.35 852.26 Due to GSIS 413 23,213.53 Due to PAG-IBIG 414 8,071.30 Due to PHILHEALTH 415 1,475.00 Payment of Salaries and Wages thru Bank - ABASIA, ROY F. ET AL FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 12 2010-02-003231 Salaries and Wages - Casual 705 8,155.76 Life and Retirement Insurance Contributions 731 1,475.76 PAG-IBIG Contributions 732 200.00 PHILHEALTH Contributions 733 150.00 ECC Contributions 734 190.74 Cash in Bank - Local Currency , Current Account 111 3,582.24 Due to GSIS 413 4,805.50 Due to PAG-IBIG 414 1,484.52 Due to PHILHEALTH 415 300.00 Payment of Salaries and Wages thru Bank - SAAVEDRA, ANIE V. ET AL FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 12 2010-02-003232 Salaries and Wages - Casual 705 477,940.84 Life and Retirement Insurance Contributions 731 87,086.76 PAG-IBIG Contributions 732 8,100.00 PHILHEALTH Contributions 733 8,712.50 ECC Contributions 734 7,215.15 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 235,418.45 27,740.13 Due to GSIS 413 240,990.16 Due to PAG-IBIG 414 57,180.51 Due to PHILHEALTH 415 17,425.00 Other Payables 439 10,301.00 Payment of Salaries and Wages thru Bank - ABAINZA, ANGELES C. ET AL FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 12 2010-02-003233 Salaries and Wages - Casual 705 13,233.08 Life and Retirement Insurance Contributions 731 2,634.24 PAG-IBIG Contributions 732 200.00 PHILHEALTH Contributions 733 262.50 ECC Contributions 734 192.04 Cash in Bank - Local Currency , Current Account 111 8,718.92 Due to BIR 412 1,172.79 Due to GSIS 413 5,490.85 Due to PAG-IBIG 414 614.30 Due to PHILHEALTH 415 525.00 Payment of Salaries and Wages thru Bank - STA. CRUZ, MEVELYN A. ET AL FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 12 2010-02-003235 Salaries and Wages - Casual 705 14,188.40 Life and Retirement Insurance Contributions 731 2,886.24 PAG-IBIG Contributions 732 200.00 PHILHEALTH Contributions 733 300.00 ECC Contributions 734 200.00 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 9,863.59 271.24 Due to GSIS 413 6,039.81 Due to PAG-IBIG 414 1,000.00 Due to PHILHEALTH 415 600.00 Payment of Salaries and Wages thru Bank - ALCESTO, VICENTE G. ET AL FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 12 2010-02-003237 Salaries and Wages - Casual 705 7,891.00 Personnel Economic Relief Allowance (PERA) 711 2,000.00 Life and Retirement Insurance Contributions 731 946.92 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 87.50 ECC Contributions 734 78.91 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 6,877.79 484.65 Due to GSIS 413 2,763.59 Due to PAG-IBIG 414 803.30 Due to PHILHEALTH 415 175.00 Payment of Salaries and Wages thru Bank - REYES, EUNICE A. FOR JANUARY 1-31, 2010 Feb 12 2010-02-003238 Salaries and Wages - Casual 705 187,122.40 Life and Retirement Insurance Contributions 731 32,082.12 PAG-IBIG Contributions 732 3,100.00 PHILHEALTH Contributions 733 3,212.50 ECC Contributions 734 3,203.29 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 8,168.38 Due to GSIS 413 110,985.15 Due to PAG-IBIG 414 20,974.18 Due to PHILHEALTH 415 6,425.00 439 7,534.00 Other Payables 74,633.60 Payment of Salaries and Wages thru Bank - ABELLA, MELINDA A. ET AL FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 12 2010-02-003239 Salaries and Wages - Casual 705 159,561.44 Life and Retirement Insurance Contributions 731 27,203.16 PAG-IBIG Contributions 732 2,800.00 PHILHEALTH Contributions 733 2,662.50 ECC Contributions 734 2,697.14 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 64,796.98 5,075.92 Due to GSIS 413 89,466.72 Due to PAG-IBIG 414 30,259.62 Due to PHILHEALTH 415 5,325.00 Payment of Salaries and Wages thru Bank - ALEGADO, JAMES O. ET AL FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 12 2010-02-003240 Salaries and Wages - Regular 701 11,504.32 Life and Retirement Insurance Contributions 731 2,112.84 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 212.50 ECC Contributions 734 261.39 Cash in Bank - Local Currency , Current Account 111 2,035.00 Due to BIR 412 2,084.75 Due to GSIS 413 7,509.38 Due to PAG-IBIG 414 599.92 Due to PHILHEALTH 415 425.00 Other Payables 439 1,537.00 Payment of Salaries and Wages thru Bank - BONTUYAN, EVANGELINE M. FOR FOR FEBRUARY 1-28, 2010 (1STWEEK) Feb 12 2010-02-003242 Salaries and Wages - Regular 701 440,472.35 Life and Retirement Insurance Contributions 731 73,885.08 PAG-IBIG Contributions 732 3,900.00 PHILHEALTH Contributions 733 7,425.00 ECC Contributions 734 8,591.94 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 58,428.00 62,879.59 Due to GSIS 413 181,223.74 Due to PAG-IBIG 414 35,591.04 Due to PHILHEALTH 415 14,850.00 Other Payables 439 181,302.00 Payment of Salaries and Wages thru Bank - ABELLANA, FELIX N. ET AL FOR FEBRUARY 1-28, 2010 (1STWEEK) Feb 12 2010-02-003245 Salaries and Wages - Casual 705 212,312.92 Life and Retirement Insurance Contributions 731 33,995.28 PAG-IBIG Contributions 732 4,400.00 PHILHEALTH Contributions 733 3,437.50 ECC Contributions 734 4,067.08 Cash in Bank - Local Currency , Current Account 111 70,181.08 Due to BIR 412 2,300.79 Due to GSIS 413 134,831.42 Due to PAG-IBIG 414 44,024.49 Due to PHILHEALTH 415 6,875.00 Payment of Salaries and Wages thru Bank - ABELLA, ROGER Y. ET AL FOR FEBRUARY 1-28, 2010. Feb 12 2010-02-003247 Other Personnel Benefits 749 Cash in Bank - Local Currency , Current Account 10,000.00 111 10,000.00 Payment of Allowances, Bonus and Other Compensation - DEL CORRO, ANNABEL M. AS LOYALTY BONUS Feb 12 2010-02-003248 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 111 34,778.00 34,778.00 Payment of Salaries and Wages thru Bank - ALCUIZAR, SNRTA MARIE TRECE R. ET AL FOR FEBRUARY 1-28, 2010 (2ND WEEK) Feb 12 2010-02-003255 Salaries and Wages - Regular 701 424,110.77 Life and Retirement Insurance Contributions 731 67,103.52 PAG-IBIG Contributions 732 4,100.00 PHILHEALTH Contributions 733 6,737.50 ECC Contributions 734 5,418.62 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 48,632.71 Due to GSIS 413 169,230.44 Due to PAG-IBIG 414 44,663.26 Due to PHILHEALTH 415 13,475.00 439 186,427.00 Other Payables 45,042.00 Payment of Salaries and Wages thru Bank - ABERION, YVONNE M. ET AL FOR FEBRUARY 1-28, 2010 (1STWEEK) Feb 12 2010-02-003259 Salaries and Wages - Casual 705 512,202.35 Life and Retirement Insurance Contributions 731 110,926.80 PAG-IBIG Contributions 732 8,900.00 PHILHEALTH Contributions 733 11,075.00 ECC Contributions 734 10,302.87 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 256,697.61 59,055.50 Due to GSIS 413 249,459.92 Due to PAG-IBIG 414 52,443.99 Due to PHILHEALTH 415 22,150.00 Other Payables 439 13,600.00 Payment of Salaries and Wages thru Bank - ABELLA, JOSEPHINE T. ET AL FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 12 2010-02-003276 Salaries and Wages - Casual 705 1,257,753.79 Life and Retirement Insurance Contributions 731 279,496.92 PAG-IBIG Contributions 732 18,600.00 PHILHEALTH Contributions 733 28,412.50 ECC Contributions 734 32,437.67 Cash in Bank - Local Currency , Current Account 111 735,549.22 Due to BIR 412 118,546.36 Due to GSIS 413 604,484.82 Due to PAG-IBIG 414 94,295.48 Due to PHILHEALTH 415 56,825.00 Other Payables 439 7,000.00 Payment of Salaries and Wages thru Bank - ABASOLO, HERLIE PIA ET AL FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 12 2010-02-003283 Salaries and Wages - Casual 705 103,160.47 Life and Retirement Insurance Contributions 731 18,238.32 PAG-IBIG Contributions 732 1,300.00 PHILHEALTH Contributions 733 1,837.50 ECC Contributions 734 1,283.31 Cash in Bank - Local Currency , Current Account 111 43,610.54 Due to BIR 412 11,620.47 Due to GSIS 413 53,798.95 Due to PAG-IBIG 414 13,114.64 Due to PHILHEALTH 415 3,675.00 Payment of Salaries and Wages thru Bank - ABUGAN, PORTIA A. ET AL FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 12 2010-02-003286 Salaries and Wages - Casual 705 250,998.17 Life and Retirement Insurance Contributions 731 44,493.84 PAG-IBIG Contributions 732 5,000.00 PHILHEALTH Contributions 733 4,387.50 ECC Contributions 734 5,063.45 Cash in Bank - Local Currency , Current Account 111 117,727.00 Due to BIR 412 5,074.00 Due to GSIS 413 137,739.70 Due to PAG-IBIG 414 39,127.26 Due to PHILHEALTH 415 8,775.00 Other Payables 439 1,500.00 Payment of Salaries and Wages thru Bank - ABELLAR, ESMERALDO T. ET AL FOR FEBRUARY 1-28, 2010 Feb 12 2010-02-003292 Salaries and Wages - Casual 705 185,148.47 Life and Retirement Insurance Contributions 731 31,382.40 PAG-IBIG Contributions 732 3,600.00 PHILHEALTH Contributions 733 3,162.50 ECC Contributions 734 3,230.30 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 2,588.50 Due to GSIS 413 117,279.26 Due to PAG-IBIG 414 32,980.79 Due to PHILHEALTH 415 6,325.00 Other Payables 439 800.00 (1ST HALF) 66,550.12 Payment of Salaries and Wages thru Bank - ABELLANA, ANTONIETTA G. ET AL FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 12 2010-02-003298 Salaries and Wages - Casual 705 1,060,800.32 Life and Retirement Insurance Contributions 731 158,856.72 PAG-IBIG Contributions 732 19,700.00 PHILHEALTH Contributions 733 14,862.50 ECC Contributions 734 22,053.49 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 255,837.31 11,359.55 Due to GSIS 413 714,166.39 Due to PAG-IBIG 414 265,184.78 Due to PHILHEALTH 415 29,725.00 Payment of Salaries and Wages thru Bank - ABADEJOS, RODULFO C. ET AL FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 12 2010-02-003301 Salaries and Wages - Casual 705 489,396.28 Life and Retirement Insurance Contributions 731 74,836.68 PAG-IBIG Contributions 732 9,300.00 PHILHEALTH Contributions 733 7,025.00 ECC Contributions 734 10,263.04 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 125,685.28 5,618.13 Due to GSIS 413 324,014.75 Due to PAG-IBIG 414 121,452.84 Due to PHILHEALTH 415 14,050.00 Payment of Salaries and Wages thru Bank - ABELGAS, JAIME C. ET AL FOR FEBRUARY 1-28, 2010 `(1ST HALF) Feb 12 2010-02-003303 Salaries and Wages - Casual 705 184,464.70 Life and Retirement Insurance Contributions 731 32,197.92 PAG-IBIG Contributions 732 2,900.00 PHILHEALTH Contributions 733 3,100.00 ECC Contributions 734 2,457.94 Cash in Bank - Local Currency , Current Account 111 77,911.33 Due to BIR 412 13,067.60 Due to GSIS 413 94,242.83 Due to PAG-IBIG 414 19,880.01 Due to PHILHEALTH 415 6,200.00 Other Payables 439 13,818.79 Payment of Salaries and Wages thru Bank - ALBARACIN, ERLINDA DP. ET AL FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 12 2010-02-003493 Salaries and Wages - Casual 705 62,087.21 Life and Retirement Insurance Contributions 731 9,367.32 PAG-IBIG Contributions 732 1,100.00 PHILHEALTH Contributions 733 937.50 ECC Contributions 734 1,063.52 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 15,173.81 1,090.56 Due to GSIS 413 39,618.13 Due to PAG-IBIG 414 16,798.05 Due to PHILHEALTH 415 1,875.00 Payment of Salaries and Wages thru Bank - ARDIMER, JULITO L. ET AL FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 12 2010-02-003495 Salaries and Wages - Casual 705 200,561.73 Life and Retirement Insurance Contributions 731 35,676.00 PAG-IBIG Contributions 732 2,600.00 PHILHEALTH Contributions 733 3,575.00 ECC Contributions 734 2,479.13 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 94,950.25 13,943.41 Due to GSIS 413 101,770.57 Due to PAG-IBIG 414 19,235.63 Due to PHILHEALTH 415 7,150.00 Other Payables 439 7,842.00 Payment of Salaries and Wages thru Bank - ABAÑO, JOSELITO N. ET AL FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 12 2010-02-003496 Salaries and Wages - Casual 705 66,394.92 Life and Retirement Insurance Contributions 731 12,294.60 PAG-IBIG Contributions 732 1,300.00 PHILHEALTH Contributions 733 1,200.00 ECC Contributions 734 1,152.04 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 29,156.31 1,034.11 Due to GSIS 413 34,918.37 Due to PAG-IBIG 414 10,873.77 Due to PHILHEALTH 415 2,400.00 Other Payables 439 3,959.00 Payment of Salaries and Wages thru Bank - ALARDE, AIDA F. ET AL FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 12 2010-02-003499 Salaries and Wages - Casual 705 415,756.55 Life and Retirement Insurance Contributions 731 64,858.08 PAG-IBIG Contributions 732 7,300.00 PHILHEALTH Contributions 733 6,450.00 ECC Contributions 734 7,868.51 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 122,627.52 8,047.57 Due to GSIS 413 251,625.96 Due to PAG-IBIG 414 99,832.09 Due to PHILHEALTH 415 12,900.00 Other Payables 439 7,200.00 Payment of Salaries and Wages thru Bank - ABALLE, FELIX B. ET AL FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 12 2010-02-003502 Salaries and Wages - Casual 705 108,754.30 Life and Retirement Insurance Contributions 731 20,554.80 PAG-IBIG Contributions 732 1,300.00 PHILHEALTH Contributions 733 2,050.00 ECC Contributions 734 1,278.91 Cash in Bank - Local Currency , Current Account 111 62,535.69 Due to BIR 412 14,022.43 Due to GSIS 413 49,243.94 Due to PAG-IBIG 414 4,035.95 415 4,100.00 Due to PHILHEALTH Payment of Salaries and Wages thru Bank - AGUHAR, ANTHONY V. ET AL FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 12 2010-02-003504 Salaries and Wages - Casual 705 75,872.56 Life and Retirement Insurance Contributions 731 13,681.68 PAG-IBIG Contributions 732 1,400.00 PHILHEALTH Contributions 733 1,362.50 ECC Contributions 734 1,112.66 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 37,641.46 2,087.80 Due to GSIS 413 40,074.16 Due to PAG-IBIG 414 10,900.98 Due to PHILHEALTH 415 2,725.00 Payment of Salaries and Wages thru Bank - ALICAYA, VON BRYAN M. ET AL FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 12 2010-02-003507 Salaries and Wages - Casual 705 120,218.37 Life and Retirement Insurance Contributions 731 20,615.64 PAG-IBIG Contributions 732 2,400.00 PHILHEALTH Contributions 733 2,075.00 ECC Contributions 734 2,148.59 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 2,936.93 Due to GSIS 413 75,162.82 Due to PAG-IBIG 414 16,482.97 415 4,150.00 Due to PHILHEALTH 48,724.88 Payment of Salaries and Wages thru Bank - ABELLA, ANANIAS JR. D. ET AL FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 12 2010-02-003550 Salaries and Wages - Casual 705 322,806.60 Life and Retirement Insurance Contributions 731 61,604.40 PAG-IBIG Contributions 732 4,700.00 PHILHEALTH Contributions 733 6,150.00 ECC Contributions 734 4,666.54 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 188,093.49 33,534.06 Due to GSIS 413 143,851.67 Due to PAG-IBIG 414 20,538.32 Due to PHILHEALTH 415 12,300.00 Other Payables 439 1,610.00 Payment of Salaries and Wages thru Bank - ABENDAN, RABI V. ET AL FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 12 2010-02-003631 Salaries and Wages - Casual 705 472,032.67 Life and Retirement Insurance Contributions 731 85,590.72 PAG-IBIG Contributions 732 6,800.00 PHILHEALTH Contributions 733 8,550.00 ECC Contributions 734 6,766.69 Cash in Bank - Local Currency , Current Account 111 232,263.38 Due to BIR 412 47,913.90 Due to GSIS 413 221,719.88 Due to PAG-IBIG 414 43,463.42 Due to PHILHEALTH 415 17,100.00 Other Payables 439 17,279.50 Payment of Salaries and Wages thru Bank - ABANGAN, GRENILO R. ET AL FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 12 2010-02-003956 Overtime and Night Pay 723 Cash in Bank - Local Currency , Current Account 2,733.92 111 2,733.92 Payment of Allowances, Bonus and Other Compensation - ABENOJA, LUISITO D. AS OVERTIME PAY FOR JANUARY, 2010 Feb 12 2010-02-003961 Salaries and Wages - Casual 705 184,196.67 Life and Retirement Insurance Contributions 731 31,689.48 PAG-IBIG Contributions 732 4,100.00 PHILHEALTH Contributions 733 3,212.50 ECC Contributions 734 3,832.99 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 79,682.42 3,724.49 Due to GSIS 413 105,589.74 Due to PAG-IBIG 414 27,731.53 Due to PHILHEALTH 415 6,425.00 Other Payables 439 3,878.46 Payment of Salaries and Wages thru Bank - ARCILLO, RENARIO J. ET AL FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 12 2010-02-003977 Salaries and Wages - Regular 701 26,448.76 Life and Retirement Insurance Contributions 731 4,217.76 PAG-IBIG Contributions 732 500.00 PHILHEALTH Contributions 733 412.50 ECC Contributions 734 540.50 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 8,700.00 1,170.23 Due to GSIS 413 12,696.25 Due to PAG-IBIG 414 4,728.04 Due to PHILHEALTH 415 825.00 Other Payables 439 4,000.00 Payment of Salaries and Wages thru Bank - CABUNGCAL, NORMA V. ET AL FOR FEBRUARY 1-28, 2010 (1ST & 2ND WEEK) Feb 12 2010-02-003985 Salaries and Wages - Casual 705 109,759.39 Life and Retirement Insurance Contributions 731 19,392.72 PAG-IBIG Contributions 732 1,500.00 PHILHEALTH Contributions 733 1,950.00 ECC Contributions 734 1,581.31 Cash in Bank - Local Currency , Current Account 111 50,586.62 Due to BIR 412 12,532.18 Due to GSIS 413 54,319.30 Due to PAG-IBIG 414 8,820.32 Due to PHILHEALTH 415 3,900.00 Other Payables 439 4,025.00 Payment of Salaries and Wages thru Bank - ARCHE, ANDRES U. ET AL FOR FEBRUARY 1- 28, 2010 (1ST HALF) Feb 12 2010-02-004196 Salaries and Wages - Regular 701 35,041.04 Life and Retirement Insurance Contributions 731 5,789.40 PAG-IBIG Contributions 732 300.00 PHILHEALTH Contributions 733 587.50 ECC Contributions 734 326.01 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 13,205.00 2,926.47 Due to GSIS 413 13,706.59 Due to PAG-IBIG 414 5,079.89 Due to PHILHEALTH 415 1,175.00 Other Payables 439 5,951.00 Payment of Salaries and Wages thru Bank - ABONG, FELIXBERTO P. ET AL FOR FEBRUARY 1-28, 2010 (1ST & 2ND WEEK) Feb 15 2010-02-002417 Electricity Expenses 767 Cash in Bank - Local Currency , Current Account Due to BIR Feb 15 767 Cash in Bank - Local Currency , Current Account Feb 15 401 Cash in Bank - Local Currency , Current Account Feb 15 7,893,840.80 111 7,565,678.66 412 328,162.14 Payment for Utility Expenses - VISAYAN ELECTRIC COMPANY PAYMENT FOR ELECTRIC ENERGY CONSUMPTION INCURRED BY CEBU CITY STREET LIGHTS FOR THE MONTH OF JANUARY, 2010. Ck#698052 2010-02-002419 Accounts Payable Due to BIR 268,104.90 412 11,739.22 Payment for Utility Expenses - VISAYAN ELECTRIC COMPANY IN PAYMENT OF ENERGY CONSUMPTION INCURRED BY CEBU CITY SRP STREET LIGHTS ACCOUNT FOR THE MONTH OF JANUARY, 2010 WITH ACCOUNT NO.: 4458275 - 9. Ck#698051 2010-02-002418 Electricity Expenses Due to BIR 279,844.12 111 128,898.00 111 120,841.87 412 8,056.13 Cash Payment for Progress Billing of Contractor for Construction for Agency Assets - M. S. D. L. R. CONSTRUCTION 2ND & FINAL PAYMENT OF 100% WORK ACCOMPLISHMENT OF CONTRACT FOR THE COMPOSTING FACILITIES (FABRICATION AND INSTALLATION OF TENT FRAMES, 2010-02-002420 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Grant of Subsidies and Donations - JOAN MARANGA FOR THE PAYMENT OF BURIAL ASSISTANCE Ck#242399 Feb 15 2010-02-002421 Due to LGUs 418 Cash in Bank - Local Currency , Current Account 64,000.00 111 64,000.00 Grant of Subsidies and Donations - BARANGAY SAN ANTONIO AS FINANCIAL AID OF DRIVERS AND LOADERS FOR THE MONTH OF APRIL - JULY, 2009. Ck#242400 Feb 15 2010-02-002422 Salaries and Wages - Regular Life and Retirement Insurance Contributions 701 280.53 731 33.66 Cash in Bank - Local Currency , Current Account 111 255.28 Due to GSIS 413 58.91 Payment of Salaries and Wages thru Bank - ARTURO A. ESPINA TO PAYMENT SALARY STEP INCREMENT COVERING THE PERIOD JANUARY 1 - 31, 2010. Ck#242401 Feb 15 2010-02-002474 Terminal Leave Benefits 742 14,904.47 Cash in Bank - Local Currency , Current Account 111 14,904.47 Payment of Terminal Leave Benefits - DUCHESS CARL ANN S. SALCEDO TERMINAL LEAVE CLAIM FROM THE PERIOD JUNE 1, 2009 - JULY 7, 2009 TOTAL OF 24.455 DAYS Ck#242402 Feb 15 2010-02-002481 Due to Officers and Employees 403 7,902.00 Cash in Bank - Local Currency , Current Account 111 7,902.00 Payment / Reimbursement of Travelling Expenses - MARY JANE CABALLERO REIMBURSEMENT OF EXPENSES INCURRED ON JUNE 17 - 18, 2009 AT QUEZON CITY ATTENDING THE LAND ADMINISTRATION AND MANAGEMENT (LAM). Ck#211191 Feb 15 2010-02-002490 Extraordinary Expenses 883 5,000.00 Cash in Bank - Local Currency , Current Account 111 5,000.00 Payment / Reimbursement for Miscellaneous, Extra-ordinary / Confidential Expenses - TOMAS R. OSMEÑA REIMBURSEMENT FOR EXPENSES FOR REQUEST OF SECURITY PERSONNEL. Ck#211193 Feb 15 2010-02-002492 Extraordinary Expenses 883 15,533.00 Cash in Bank - Local Currency , Current Account 111 15,533.00 Payment / Reimbursement for Miscellaneous, Extra-ordinary / Confidential Expenses - TOMAS R. OSMEÑA REIMBURSEMENT PAYMENT FOR ASSORTED GROCERY ITEMS FOR THE CONSUMPTION OF THE MAYOR'S GUESTS AT THE MAYOR'S OFFICE. Ck#211194 Feb 15 2010-02-002497 Due to Officers and Employees 403 10,000.00 Cash in Bank - Local Currency , Current Account 111 10,000.00 Payment / Reimbursement for Miscellaneous, Extra-ordinary / Confidential Expenses - FRANCISCO L. FERNANDEZ AS REIMBURSEMENT OF FOODS & DRINKS SERVED DURING THE REGIONAL FEDERATION OF SENIOR CITIZENS ASSOCIATION MEETING ON DECEMBER 3, 2009. Ck#211195 Feb 15 2010-02-002505 Due to LGUs 418 127,428.00 Cash in Bank - Local Currency , Current Account 111 127,428.00 Payment for Inter-Agency Payable - BARANGAY LOREGA SAN MIGUEL COMMUNITY MICRO ASSISTANCE PROGRAM (CMAP) OF BARANGAY LOREGA SAN MIGUEL FOR THE FOLLOWING PROJECTS TO WIT: CONSTRUCTION OF TWO (2) UNITS COMFORT ROOMS = P 127, 428.00. Ck#211196 Feb 15 2010-02-002507 Due to Officers and Employees 403 180,000.00 Cash in Bank - Local Currency , Current Account 111 180,000.00 Payment / Reimbursement for Miscellaneous, Extra-ordinary / Confidential Expenses - FRANCISCO L. FERNANDEZ AS REIMBURSEMENT OF FOOD AND DRINKS DURING THE "MY CITY GAMES" PARTICIPATED BY THE INTER - BARANGAY SPORTSFEST ON DECEMBER 12, 2009. Ck#211198 Feb 15 2010-02-002508 Consultancy Services 793 15,841.00 Cash in Bank - Local Currency , Current Account 111 14,256.90 Due to BIR 412 1,584.10 Payment for Professional Services - MR. PABLO S. TINGA CONSULTANCY FEE FOR THE MONTH OF JANUARY, 2010. Ck#211199 Feb 15 2010-02-002511 Due to Officers and Employees 403 6,091.00 Cash in Bank - Local Currency , Current Account 111 6,091.00 Payment / Reimbursement of Travelling Expenses - MR. MICHAEL L. RAMA AS REIMBURSEMENT OF TRAVEL EXPENSES AND PER DIEMS WHILE ATTENDING THE SIGNING OF MOA (RE: ENAB;ING LOCAL GOV'T. TO INSTITUTIONALIZE HUMAN RIGHTS IN LEGISLATIVE & EXECUTIVE ACTIONS) A Feb 15 2010-02-002524 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment for Due to Officers and Employees - ALI CADAR OFF BARANGAY SAN NICOLAS AS BURIAL ASSISTANCE Ck#116345 Feb 15 2010-02-002532 Due to Officers and Employees 403 10,000.00 Cash in Bank - Local Currency , Current Account 111 10,000.00 Payment for Communication Expenses - EDUARDO R. RAMA, JR. REIMBURSEMENT PAYMENT OF GLOBE MOBILE BILLS FROM OCTOBER - NOVEMBER 9, 2009 AND NOVEMBER 9, 2009 - DECEMBER 9, 2009. Ck#116346 Feb 15 2010-02-002539 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 1,100.00 111 1,100.00 Payment / Reimbursement of Travelling Expenses - VIRGILIO LABRADO REIMBURSEMENT OF TRANSPORTATION ALLOWANCE FOR DECEMBER 1 - 14, 2009. Ck#116347 Feb 15 2010-02-002543 Electricity Expenses 767 Cash in Bank - Local Currency , Current Account Due to BIR Feb 15 441,987.75 111 423,970.28 412 18,017.47 Payment for Utility Expenses - VISAYAN ELECTRIC COMPANY PAYMENT OF ELECTRIC ENERGY CONSUMPTION INCURRED BY CEBU CITY GOVERNMENT HOSPITALS ACCOUNTS FOR THE MONTH OF JANUARY, 2010. Ck#712737 2010-02-002545 Due to Officers and Employees Cash in Bank - Local Currency , Current Account 403 111 2,500.00 2,500.00 Payment for Due to Officers and Employees - DANILO R. GABIANA AS REIMBURSEMENT OF COMMUNICATION SERVICES FROM NOVEMBER 6 - DECEMBER 5, 2009. Ck#499227 Feb 15 2010-02-003057 Due to Officers and Employees 403 5,700.00 Cash - Disbursing Officers 103 5,700.00 Payment of Salaries and Wages thru Disbursing Officer - BAGUIO, HANELYN O. TO CONDUCT EVALUATION AND ASSESSMENT OF PROJECT IMPLEMENTATION OF THE 6TH UNICEF COUNTRY PROGRAM FOR CHILDREN FOR DECEMBER 2009. Feb 15 2010-02-003058 Due to Officers and Employees 403 6,300.00 Cash - Disbursing Officers 103 6,300.00 Payment of Salaries and Wages thru Disbursing Officer - BAGUIO, HANELYN O. TO CONDUCT EVALUATION AND ASSESSTMENT OF PROJECT IMPLEMENTATION OF SIXTH UNICEF ON JUNE 1-31,2009. Feb 15 2010-02-003059 Due to Officers and Employees 403 4,950.00 Cash - Disbursing Officers 103 4,950.00 Payment of Salaries and Wages thru Disbursing Officer - PATILLAS, MA. JOAN F. SALARIES FOR FACILITATING IN ENVIRONMENT BOARDS, CDC AND CEBU CITY FOR DECEMBER 2009. Feb 15 2010-02-003771 Salaries and Wages - Contractual Personnel Economic Relief Allowance (PERA) 706 64,611.00 711 12,000.00 Cash in Bank - Local Currency , Current Account 111 72,009.00 Other Payables 439 4,602.00 Payment of Salaries and Wages thru Bank - BARING, ANNA LEAH A. ET AL FOR JANUARY 16-31, 2010 Feb 15 2010-02-003776 Salaries and Wages - Contractual 706 64,611.00 Life and Retirement Insurance Contributions 731 15,506.64 PAG-IBIG Contributions 732 600.00 PHILHEALTH Contributions 733 1,575.00 ECC Contributions 734 600.00 Cash in Bank - Local Currency , Current Account 111 33,904.02 Due to BIR 412 16,902.00 Due to GSIS 413 27,736.62 Due to PAG-IBIG 414 1,200.00 Due to PHILHEALTH 415 3,150.00 Payment of Salaries and Wages thru Bank - BARING, ANA LEAH A. ET AL FOR JANUARY 1-15, 2010 Feb 15 2010-02-003785 Salaries and Wages - Contractual 706 21,537.00 Personnel Economic Relief Allowance (PERA) 711 2,000.00 Life and Retirement Insurance Contributions 731 2,584.44 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 262.50 ECC Contributions 734 100.00 Cash in Bank - Local Currency , Current Account 111 18,526.17 Due to BIR 412 2,710.00 Due to GSIS 413 4,622.77 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 525.00 Payment of Salaries and Wages thru Bank - REPOSAR II, ANTON OLIVER A. FOR JANUARY 1-31, 2010 (1ST & 2ND HALF) Feb 15 2010-02-003792 Salaries and Wages - Contractual 706 332,692.93 Life and Retirement Insurance Contributions 731 70,038.12 PAG-IBIG Contributions 732 2,700.00 PHILHEALTH Contributions 733 7,137.50 ECC Contributions 734 2,700.00 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 187,087.87 76,229.00 Due to GSIS 413 131,255.44 Due to PAG-IBIG 414 6,421.24 Due to PHILHEALTH 415 14,275.00 Payment of Salaries and Wages thru Bank - AJUL, ABDULAJID T. ET AL FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 15 2010-02-003795 Other Personnel Benefits 749 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Allowances, Bonus and Other Compensation - CUSTODIO, NECITAS A. AS LOYALTY BONUS Feb 15 2010-02-003796 Salaries and Wages - Casual 705 327,186.03 Life and Retirement Insurance Contributions 731 56,049.00 PAG-IBIG Contributions 732 6,300.00 PHILHEALTH Contributions 733 5,537.50 ECC Contributions 734 6,021.67 Cash in Bank - Local Currency , Current Account 111 128,425.90 Due to BIR 412 15,025.55 Due to GSIS 413 159,153.07 Due to PAG-IBIG 414 84,489.68 Due to PHILHEALTH 415 11,075.00 Other Payables 439 2,925.00 Payment of Salaries and Wages thru Bank - ABELLA, PONCIANO R. ET AL FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 15 2010-02-003797 Other Personnel Benefits 749 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Allowances, Bonus and Other Compensation - REYES, JUDITHA A. AS LOYALTY BONUS Feb 15 2010-02-003798 Other Personnel Benefits 749 Cash in Bank - Local Currency , Current Account 15,000.00 111 15,000.00 Payment of Allowances, Bonus and Other Compensation - BUCAO, MA. LIZA E. ET AL AS LOYALTY BONUS Feb 15 2010-02-003799 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment for Due to Officers and Employees - ARITA, LEA B. AS CASH INCENTIVE BONUS Feb 15 2010-02-003800 Salaries and Wages - Casual 705 6,270.54 Personnel Economic Relief Allowance (PERA) 711 1,818.18 Life and Retirement Insurance Contributions 731 752.46 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 75.00 ECC Contributions 734 62.71 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 6,508.99 213.78 Due to GSIS 413 1,525.39 Due to PAG-IBIG 414 680.73 Due to PHILHEALTH 415 150.00 Payment of Salaries and Wages thru Bank - BACULI, RANDY G. FOR JANUARY 1-31, 2010 Feb 15 2010-02-003887 Salaries and Wages - Casual 705 15,181.00 Personnel Economic Relief Allowance (PERA) 711 2,000.00 Life and Retirement Insurance Contributions 731 1,821.72 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 187.50 ECC Contributions 734 226.51 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 7,463.27 61.05 Due to GSIS 413 4,103.41 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 375.00 Other Payables 439 7,314.00 Payment of Salaries and Wages thru Bank - DE LOS REYES, RIZZA EUGENIA G. FOR JANUARY 1-31, 2010 Feb 15 2010-02-003893 Due to Officers and Employees 403 8,033.52 Cash in Bank - Local Currency , Current Account 111 6,945.86 Due to BIR 412 1,087.66 Payment for Due to Officers and Employees - BITANG, ALEXANDER C. ET AL AS OVERTIME PAY FOR DECEMBER, 2009 Feb 15 2010-02-003898 Salaries and Wages - Regular 701 5,782.51 Life and Retirement Insurance Contributions 731 946.92 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 87.50 ECC Contributions 734 78.91 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 2,109.00 645.00 Due to GSIS 413 2,963.59 Due to PAG-IBIG 414 1,103.25 Due to PHILHEALTH 415 175.00 Payment of Salaries and Wages thru Bank - RUIZO, NARCISA E. FOR FEBRUARY 1-28, 2010 Feb 15 2010-02-003903 Salaries and Wages - Regular 701 5,500.81 Life and Retirement Insurance Contributions 731 855.72 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 87.50 ECC Contributions 734 118.85 Cash in Bank - Local Currency , Current Account 111 1,632.00 Due to GSIS 413 3,803.43 Due to PAG-IBIG 414 1,052.45 Due to PHILHEALTH 415 175.00 (1ST & 2ND WEEK) Payment of Salaries and Wages thru Bank - ABAD, FERNANDO Q. FOR FEBRUARY 1-28, 2010 (1ST & 2ND WEEK) Feb 15 2010-02-003904 Other Personnel Benefits 749 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Allowances, Bonus and Other Compensation - SABANG, MERLINA M. AS LOYALTY BONUS Feb 15 2010-02-003905 Other Personnel Benefits 749 Cash in Bank - Local Currency , Current Account 10,000.00 111 10,000.00 Payment of Allowances, Bonus and Other Compensation - ANGANA, RENATO C. ET AL AS LOYALTY BONUS Feb 15 2010-02-003906 Salaries and Wages - Casual 705 6,795.43 Life and Retirement Insurance Contributions 731 1,264.56 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 125.00 ECC Contributions 734 100.00 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 3,742.58 423.06 Due to GSIS 413 3,769.35 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 250.00 Payment of Salaries and Wages thru Bank - ONG, CHRISTOPHER M. FOR FEBRUARY 1- 28, 2010 (1ST HALF) Feb 15 2010-02-003907 Salaries and Wages - Regular 701 6,038.92 Life and Retirement Insurance Contributions 731 946.92 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 87.50 ECC Contributions 734 119.18 Cash in Bank - Local Currency , Current Account 111 1,854.00 Due to GSIS 413 3,303.52 Due to PAG-IBIG 414 1,960.00 Due to PHILHEALTH 415 175.00 Payment of Salaries and Wages thru Bank - DELA CERNA, FE C. FOR FEBRAURY 1- 28, 2010 (ST & 2ND WEEK) Feb 15 2010-02-003908 Salaries and Wages - Casual 705 885,639.86 Life and Retirement Insurance Contributions 731 147,797.88 PAG-IBIG Contributions 732 15,800.00 PHILHEALTH Contributions 733 14,337.50 ECC Contributions 734 18,034.72 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 342,487.09 14,244.86 Due to GSIS 413 488,326.00 Due to PAG-IBIG 414 207,877.01 Due to PHILHEALTH 415 28,675.00 Payment of Salaries and Wages thru Bank - ABARCO, BENJAMIN JR. G. ET AL FOR FEBRUARY 1- 28, 2010 (1ST HALF) Feb 15 2010-02-003909 Salaries and Wages - Casual Life and Retirement Insurance Contributions 705 104,424.03 731 17,372.04 PAG-IBIG Contributions 732 1,500.00 PHILHEALTH Contributions 733 1,725.00 ECC Contributions 734 1,464.47 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 39,042.98 3,670.01 Due to GSIS 413 59,753.22 Due to PAG-IBIG 414 16,059.33 Due to PHILHEALTH 415 3,450.00 Other Payables 439 4,510.00 Payment of Salaries and Wages thru Bank - AGUILAR, JOVENCIO A. ET AL FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 15 2010-02-003910 Salaries and Wages - Casual 705 153,734.83 Life and Retirement Insurance Contributions 731 27,165.72 PAG-IBIG Contributions 732 2,800.00 PHILHEALTH Contributions 733 2,712.50 ECC Contributions 734 2,756.50 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 72,646.19 4,282.08 Due to GSIS 413 89,272.51 Due to PAG-IBIG 414 17,543.77 Due to PHILHEALTH 415 5,425.00 Payment of Salaries and Wages thru Bank - ABUEVA, DENNIS S. ET AL FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 15 2010-02-003927 Salaries and Wages - Casual 705 61,612.44 Life and Retirement Insurance Contributions 731 11,350.08 PAG-IBIG Contributions 732 700.00 PHILHEALTH Contributions 733 1,137.50 ECC Contributions 734 700.00 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 31,021.55 5,083.77 Due to GSIS 413 30,017.15 Due to PAG-IBIG 414 4,018.55 Due to PHILHEALTH 415 2,275.00 Other Payables 439 3,084.00 Payment of Salaries and Wages thru Bank - BACALSO, ANNABELLE A. ET AL FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 15 2010-02-003928 Salaries and Wages - Casual 705 205,480.32 Life and Retirement Insurance Contributions 731 34,685.16 PAG-IBIG Contributions 732 3,900.00 PHILHEALTH Contributions 733 3,475.00 ECC Contributions 734 4,149.11 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 79,822.70 6,825.23 Due to GSIS 413 118,012.30 Due to PAG-IBIG 414 33,513.36 Due to PHILHEALTH 415 6,950.00 Other Payables 439 6,566.00 Payment of Salaries and Wages thru Bank - ARDISA, RUFINO P. ET AL FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 15 2010-02-003931 Salaries and Wages - Casual 705 74,097.85 Life and Retirement Insurance Contributions 731 12,793.44 PAG-IBIG Contributions 732 1,400.00 PHILHEALTH Contributions 733 1,275.00 ECC Contributions 734 1,403.68 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 31,814.15 2,019.40 Due to GSIS 413 36,903.98 Due to PAG-IBIG 414 9,672.44 Due to PHILHEALTH 415 2,550.00 Other Payables 439 8,010.00 Payment of Salaries and Wages thru Bank - ADLAO, CONRADO D. ET AL FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 15 2010-02-003932 Salaries and Wages - Casual 705 24,748.17 Life and Retirement Insurance Contributions 731 3,898.44 PAG-IBIG Contributions 732 500.00 PHILHEALTH Contributions 733 387.50 ECC Contributions 734 488.87 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 7,438.81 91.33 Due to GSIS 413 12,329.75 Due to PAG-IBIG 414 4,544.09 Due to PHILHEALTH 415 775.00 Other Payables 439 4,844.00 Payment of Salaries and Wages thru Bank - CUIZON, WILFREDO JR. R. ET AL FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 15 2010-02-003933 Salaries and Wages - Casual 705 16,444.11 Life and Retirement Insurance Contributions 731 3,163.08 PAG-IBIG Contributions 732 300.00 PHILHEALTH Contributions 733 312.50 ECC Contributions 734 263.59 Cash in Bank - Local Currency , Current Account 111 9,914.89 Due to BIR 412 641.05 Due to GSIS 413 7,265.23 Due to PAG-IBIG 414 2,037.11 Due to PHILHEALTH 415 625.00 Payment of Salaries and Wages thru Bank - ANDRINO, MAXIMO A. ET AL FOR FEBRUARY.1-28, 2010 (1ST HALF) Feb 15 2010-02-003934 Salaries and Wages - Casual 705 46,344.07 Life and Retirement Insurance Contributions 731 8,634.12 PAG-IBIG Contributions 732 500.00 PHILHEALTH Contributions 733 875.00 ECC Contributions 734 500.00 Cash in Bank - Local Currency , Current Account 111 25,606.93 Due to BIR 412 5,584.82 Due to GSIS 413 22,667.00 Due to PAG-IBIG 414 1,244.44 Due to PHILHEALTH 415 1,750.00 Payment of Salaries and Wages thru Bank - ANTONIO, RAQUEL ET AL FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 15 2010-02-003996 Salaries and Wages - Casual 705 98,646.05 Life and Retirement Insurance Contributions 731 19,708.68 PAG-IBIG Contributions 732 1,300.00 PHILHEALTH Contributions 733 2,037.50 ECC Contributions 734 2,480.65 Cash in Bank - Local Currency , Current Account 111 50,303.99 Due to BIR 412 10,357.10 Due to GSIS 413 44,006.31 Due to PAG-IBIG 414 5,438.48 Due to PHILHEALTH 415 4,075.00 Other Payables 439 9,992.00 Payment of Salaries and Wages thru Bank - ABELLA, ALYN A. ET AL FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 15 2010-02-004011 Salaries and Wages - Casual 705 47,112.08 Life and Retirement Insurance Contributions 731 7,971.84 PAG-IBIG Contributions 732 700.00 PHILHEALTH Contributions 733 800.00 ECC Contributions 734 755.90 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 17,469.93 1,545.77 Due to GSIS 413 26,628.30 Due to PAG-IBIG 414 6,830.82 Due to PHILHEALTH 415 1,600.00 Other Payables 439 3,265.00 Payment of Salaries and Wages thru Bank - ARDIMER, BENGIE B. ET AL FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 15 2010-02-004022 Salaries and Wages - Regular 701 126,883.98 Life and Retirement Insurance Contributions 731 19,582.44 PAG-IBIG Contributions 732 1,000.00 PHILHEALTH Contributions 733 1,975.00 ECC Contributions 734 1,863.79 Cash in Bank - Local Currency , Current Account 111 36,309.00 Due to BIR 412 16,254.92 Due to GSIS 413 55,184.30 Due to PAG-IBIG 414 10,753.99 Due to PHILHEALTH 415 3,950.00 Other Payables 439 28,853.00 Payment of Salaries and Wages thru Bank - ABARQUEZ, ALFONSO C. ET AL FOR FEBRUARY 1-28, 2010 (1ST & 2ND WEEK) Feb 15 2010-02-004598 Salaries and Wages - Contractual 706 626,725.00 Personnel Economic Relief Allowance (PERA) 711 58,000.00 Life and Retirement Insurance Contributions 731 75,207.00 PAG-IBIG Contributions 732 2,900.00 PHILHEALTH Contributions 733 7,662.50 ECC Contributions 734 2,900.00 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 83,207.98 Due to GSIS 413 140,839.66 Due to PAG-IBIG 414 7,205.73 Due to PHILHEALTH 415 15,325.00 439 74,761.00 Other Payables 452,055.13 Payment of Salaries and Wages thru Bank - AJUL, ABDULAJID T. ET AL FOR JAMUARY 1-31, 2010 Feb 16 2010-02-000083 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 3,000.00 111 3,000.00 Payment of Salaries and Wages thru Bank - RAMON RODRIGUEZ, for payment of Additional Compensation Allowance Ck#233593 Feb 16 2010-02-000085 Prior Years' Adjustments 684 200.00 Cash in Bank - Local Currency , Current Account 111 200.00 Refund of Overpayment of Collection of Income/Receivable Accounts - MARIA FE RODILA, refund of payment of travel Line Permits of vehicles with plate no. GWA-925 per OR no. 8994286 dated May 11, 2009 Feb 16 2010-02-000087 Prior Years' Adjustments 684 400.00 Cash in Bank - Local Currency , Current Account 111 400.00 Refund of Overpayment of Collection of Income/Receivable Accounts - RITCHIE WAGAS, refund of payment of Travel Line Permits of vehicle with plant no. GFX-230 per OR no. 8994835 dated May 12, 2009 Feb 16 2010-02-000089 Prior Years' Adjustments 684 200.00 Cash in Bank - Local Currency , Current Account 111 200.00 Refund of Overpayment of Collection of Income/Receivable Accounts -CLODUALDO RODILA, refund of payment of Travel Line Permit of vehicle with plate no. GWF-637 per O.R. no. 8994285 dated May 11, 2009 Feb 16 2010-02-000091 Prior Years' Adjustments 684 200.00 Cash in Bank - Local Currency , Current Account 111 200.00 Refund of Overpayment of Collection of Income/Receivable Accounts - RUTILIO POGOY, refund of payment of Travel Line Permit of vehicle with plate no. GWN-992 per O.R. no. 8994845 dted May 12, 2009 Feb 16 2010-02-000093 Due to GSIS 413 Cash in Bank - Local Currency , Current Account 688.89 111 688.89 Refund of Excess Employees Taxes, Loans and Premiums - JOSE MAR CARAMPATANA. refund for GSIS Emergency Loan payment for the month of April 2009 Feb 16 2010-02-002209 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Feb 16 326,522.83 111 312,421.28 412 14,101.55 Payment for Accounts Payable - VISAYAN ELECTRIC COMPANY PAYMENT OF ENERGY CONSUMPTION INCURRED BY CITY GOV'T. OFFICES REGULAR ACCOUNTS FOR THE MONTH OF NOVEMBER 2009. Ck#698055 2010-02-002210 Travelling Expenses - Local 751 Cash in Bank - Local Currency , Current Account 111 952.00 952.00 Payment / Reimbursement of Travelling Expenses - BENJARED R. EMPUERTO REIMB. OF TRAVELLING EXPENSES FOR THE MONTH OF JANUARY 2010. Ck#211201 Feb 16 2010-02-002211 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 1,022.00 111 1,022.00 Payment for Due to Officers and Employees - EBO, EPIFANIO JR. PYMT. OF TRANS. EXPENSES AS FOLLOW-UPPER FOR OCTOBER 1 - NOVEMBER 30, 2009. Ck#211202 Feb 16 2010-02-002212 Due to Other NGAs 416 6,000.00 Cash in Bank - Local Currency , Current Account 111 6,000.00 Grant of Subsidies and Donations - FERLIN A. ROSALES REIMB. OF TRANSPORTATION ALLOWAMCE FOR THE MONTHS OF AUGUST, SEPTEMBER, OCTOBER AND NOVEMBER 2009. Ck#211203 Feb 16 2010-02-002213 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Feb 16 20,000.00 111 18,928.56 412 1,071.44 Payment for Accounts Payable -ANGEL'S SPORTSWEAR PAYMENT FOR 100 PCS. OF T-SHIRT FOR THE PARTICIPANTS OF FARMER SCIENTIST TRAINING PROGRAM CHECK NO. 211204 CTV NO. 1929 = P18,351.06 - ANGEL'S SPORTSWEAR CHECK NO. 211205 CTV NO. 1930 = 2010-02-002214 Accounts Payable 401 17,995.00 Cash in Bank - Local Currency , Current Account 111 17,030.98 Due to BIR 412 964.02 Payment for Accounts Payable - ANGEL'S SPORTSWEAR PAYMENT OF 100 PCS T-SHIRT UNIFORM [PER PR#09-1287 DTD.10-20-2009. Ck#211206 Feb 16 2010-02-002215 Accounts Payable 401 111 2,742.17 Due to BIR 412 155.38 Other Payables Feb 16 439 2.90 Payment for Accounts Payable - CEBU D & F ENTERPRISES PAYMENT OF SUPPLIES FOR SPECIAL LOCAL HIRING ON AUGUST 8 & 22, 2009 CHECK NO. 211207 CTV NO. 1932 = P2,098.95 - CEBU D & F ENTERPRISES CHECK NO. 211208 CTV NO. 1933 = 643.22 - CEBU 2010-02-002216 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Feb 16 16 33,120.00 111 31,345.72 412 1,774.28 Payment for Accounts Payable - CEBU D & F ENTERPRISES PAYMENT OF 28 PCS. MATS AND OTHER ITEMS DISTRIBUTED TO FIRE VICTIMS IN BRGY. PUNTA PRINCESA Ck#211209 2010-02-002217 Accounts Payable 401 2,417.70 Cash in Bank - Local Currency , Current Account 111 2,285.76 Due to BIR 412 129.52 Other Payables Feb 2,900.45 Cash in Bank - Local Currency , Current Account 439 2.42 Payment for Accounts Payable - CEBU DE ORO EDUC. SUPPLY PAYMENT OF SUPPLIES FOR 49TH LOCAL JOBS FAIRON JUNE 20, 2009 & PREPARATION OF VENUE ON JUNE 19, 2009 OF DMDP P CHECK NO.211210 CTV NO. 1935 = P2,242.59 - CEBU DE ORO EDUC. SUPPLY CHECK NO. 2 2010-02-002234 Due to Officers and Employees 403 9,000.00 Cash in Bank - Local Currency , Current Account 111 8,100.00 Due to BIR 412 900.00 Payment for Due to Officers and Employees - MARIA DOLORES DELA SERNA UNCHUAN PYMT. OF CONSULTANCY SERVICES FOR THE MONTH OF JULY 2009. Ck#211212 Feb 16 2010-02-002238 Accounts Payable 401 1,755.00 Cash in Bank - Local Currency , Current Account 111 1,667.25 Due to BIR 412 87.75 Payment for Accounts Payable - INTER FLORA FLOWER SHOP PAYMENT FOR FLORAL FOAM, WONDER WHITE CRISANTIMUMS, ETC, USED DURING THE CEBU DAY CELEBRATION LAST MAY 1, 2009 CHECK NO. 211219 CTV NO. 1944 - P1,649.70 - INTER FLORA FLOWER SHOP CHECK NO. 2112 Feb 16 2010-02-002242 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Feb 16 52,500.00 111 49,875.00 412 2,625.00 Payment for Accounts Payable - CEDF-IT PYMT. OF TRAINING-WORKSHOP FOR 6 PARTICIPANTSTO THE WINDOWS ACTIVE DIRECTORY TRAINING CONDUCTED BY CEDFIT ON NOV. 9-13, 2009 CHECK NO. 211217 CTV NO. 1942 - P48,555.00 - CEDF-IT CHECK NO. 211218 CTV NO. 1 2010-02-002247 Salaries and Wages - Casual Personnel Economic Relief Allowance (PERA) 705 6,186.89 711 1,958.64 Cash in Bank - Local Currency , Current Account 111 8,123.08 Life and Retirement Insurance Contributions 731 22.45 Payment of Salaries and Wages thru Bank - SARMIENTO, MULRIC S. PAYMENT OF SALARY FROM JANUARY 16 - 31, 2010. Ck#211223 Feb 16 2010-02-002249 Salaries and Wages - Casual 705 12,030.54 Personnel Economic Relief Allowance (PERA) 711 1,255.28 Life and Retirement Insurance Contributions 731 1,443.66 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 150.00 ECC Contributions 734 100.00 Cash in Bank - Local Currency , Current Account 111 10,750.00 Due to BIR 412 1,203.07 Due to GSIS 413 2,626.41 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 300.00 Payment of Salaries and Wages thru Bank - FRANCIS BERNARD C. YU PYMT. FOR FIRST SALARYFROM JANUARY 11 -31, 2010. Ck#211224 Feb 16 2010-02-002257 Salaries and Wages - Casual 705 7,938.52 Personnel Economic Relief Allowance (PERA) 711 1,245.46 Life and Retirement Insurance Contributions 731 952.62 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 87.50 ECC Contributions 734 79.39 Cash in Bank - Local Currency , Current Account 111 7,489.00 Due to BIR 412 793.01 Due to GSIS 413 1,746.48 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 175.00 Payment of Salaries and Wages thru Bank - ERWIN VAN IAN B. LABAJO PAYMENT OF FIRST SALARY FOR THE PERIOD JANUARY 11 -31, 2010. Ck#211225 Feb 16 2010-02-002264 Salaries and Wages - Casual 705 3,654.57 Personnel Economic Relief Allowance (PERA) 711 454.19 Life and Retirement Insurance Contributions 731 438.55 PAG-IBIG Contributions 732 73.09 PHILHEALTH Contributions 733 50.00 ECC Contributions 734 36.55 Cash in Bank - Local Currency , Current Account 111 3,500.00 Due to BIR 412 156.76 Due to GSIS 413 804.01 Due to PAG-IBIG 414 146.18 Due to PHILHEALTH 415 100.00 Payment of Salaries and Wages thru Bank - BIEN DARYL F. CASTAÑARES PAYMENT OF FIRST SALARY FROM JANUARY 25 -31, 2010. Feb 16 2010-02-002270 Salaries and Wages - Casual 705 7,255.75 Personnel Economic Relief Allowance (PERA) 711 901.73 Life and Retirement Insurance Contributions 731 870.69 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 87.50 ECC Contributions 734 72.56 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 724.96 Due to GSIS 413 1,596.27 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 175.00 Ck#211226 6,592.00 Payment of Salaries and Wages thru Bank - JOY Z. DESTACAMENTO PAYMENT OF FIRST SALARYFOR THE PERIOD JANUARY 18 - 31,2010. Ck#211227 Feb 16 2010-02-002276 Performance/Bidders/Bail Bonds Payable 427 1,900.00 Cash in Bank - Local Currency , Current Account 111 1,900.00 Refund of Performance Bond to Contractor - CEBU D & F ENTERPRISES TO WITHDRAW BIDDER'S BOND UNDER BID # 08-342 PER O. R. NO. 8443026 DTD.11/25/2008. Ck#211228 Feb 16 2010-02-002278 Due to GSIS 413 Cash in Bank - Local Currency , Current Account 1,307.32 111 1,307.32 Refund of Excess Employees Taxes, Loans and Premiums -ANICETA A. CUGAY REFUND OF GSIS CONSO. LOAN FOR THE MONTH OF FEBRUARY 2010. Ck#211229 Feb 16 2010-02-002281 Due to LGUs 418 Cash in Bank - Local Currency , Current Account 66,528.90 111 66,528.90 Payment for Inter-Agency Payable - BRGY. DAY-AS COMMUNITY MICRO ASSISTANCE PROGRAM . Ck#211230 Feb 16 2010-02-002296 Due to GSIS 413 Cash in Bank - Local Currency , Current Account 1,956.64 111 1,956.64 Refund of Excess Employees Taxes, Loans and Premiums - PATROCENIA OMPAD REFUND GSIS CONSOL LOAN FOR THE MONTH OF FEBRUARY 2010. Feb 16 2010-02-002301 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Medical and Burial Assistance - EMMALINDA E. OLIVER PAYMDENT OF BURIAL ASSISTANCE. Ck#211233 Feb 16 2010-02-002304 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Medical and Burial Assistance - AMORMIA PASASADABA PAYMENT OF BURIAL ASISTANCE. Ck#211234 Feb 16 2010-02-002306 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 111 5,000.00 5,000.00 Payment of Medical and Burial Assistance - SUSANA L. BELLO PAYMENT OF BURIAL ASSISTANCE. Ck#211235 Ck#211231 Feb 16 2010-02-002309 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Medical and Burial Assistance - FELIPA MIRAFUENTES PAYMENT OF BURIAL ASSISTANCE. Ck#211236 Feb 16 2010-02-002311 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Medical and Burial Assistance - LUCIANO CAÑO LAURON PAYMENT OF BURIAL ASSISTANCE. Ck#211237 Feb 16 2010-02-002316 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Medical and Burial Assistance - PEDRO, LORENZO R. ESTRERA PAYMENT OF BURIAL ASSISTANCE. Ck#211238 Feb 16 2010-02-002318 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Medical and Burial Assistance - ESTER YBAÑEZ PAYMENT OF BURIAL ASSISTANCE. Ck#211239 Feb 16 2010-02-002333 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Feb 16 16 72,000.00 412 8,000.00 Payment for Accounts Payable - VICENTE CURSO III PAYMENT OF PROFESSIONAL SERVICES IN THE CONDUCT OF TEAM BUILDING AND VALUES ENHANCEMENT Ck#211243 2010-02-002340 Accounts Payable 401 25,714.27 Cash in Bank - Local Currency , Current Account 111 22,126.14 Due to BIR 412 1,377.55 Other Payables Feb 80,000.00 111 439 2,210.58 Payment for Accounts Payable - BEROVAN MARKETING PAYMENT OF 93 AMPS NALBUPHINE HCL 10 MG AND OTHER ITEMS CHECK NO. 712738 CTV NO. 1970 = P21,631.14 - BEROVAN MARKETING CHECK NO. 712739 CTV NO. 1971 = 495.00 - CEBU CITY TREASURER - FOR PY 2010-02-002349 Due from Officers and Employees 123 9,200.00 Cash in Bank - Local Currency , Current Account 111 9,200.00 Grant of Cash Advance - VIOLETA HERBIAS FOR PAYMENT OF TRAINING AND SEMINAR EXPENSES WHILE ATTENDING PAFP ANNIVERSARYAND ANNUAL CONVENTION ON FEBRUARY 18-20, 2010 IN MANILA. Ck#712740 Feb 16 2010-02-002352 Due from Officers and Employees 123 9,200.00 Cash in Bank - Local Currency , Current Account 111 9,200.00 Grant of Cash Advance - AIDA M. CASTRO FOR PAYMENT OF TRAINING AND SEMINAR EXPENSES WHILE ATTENDING PAFP ANNIVERSARY AND ANNUAL CONVENTION ON FEBRUARY 18-20, 2010 IN MANILA. Ck#712741 Feb 16 2010-02-002356 Other Payables 439 Cash in Bank - Local Currency , Current Account Due to BIR Feb 16 24,700.00 111 23,156.24 412 1,543.76 Payment for Other Liabilities - A PLUS TOWING SERVICES PAYMENT OF TOWING FEES FROM NOV. 11, 12, 13, 16, 17, 24, 25, 26, 27 , 28 & DEC. 1, 2009 CHECK NO. 703714 CTV NO. 1975 = P22,743.74 - A PLUS TOWING SERVICES CHECK NO. 703715 CTV NO. 1976 2010-02-002360 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 111 784.00 784.00 Payment for Due to Officers and Employees - ALBERTO DACAYANA JR. PYMT. OF REIMB. OF TRAVELLING EXPENSES FROM DECEMBER 1-31, 2009. Ck#675329 Feb 16 2010-02-002361 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 1,330.00 111 1,330.00 Payment for Due to Officers and Employees - LONESITA B. OLANDAG REIMB. OF TRAVELLING EXPENSES FROM DECEMBER 1 - 31, 2009. Ck#675330 Feb 16 2010-02-002363 Petty Cash Fund 104 Cash in Bank - Local Currency , Current Account 2,000.00 111 2,000.00 Grant of Cash Advance - ANITA I. ATAY CASH ADVANCE TO BE USED AS PETTY OPERATING EXPENSES AT CREMDEC.. Ck#675873 Feb 16 2010-02-002912 Salaries and Wages - Casual 705 10,780.52 Life and Retirement Insurance Contributions 731 1,614.72 PAG-IBIG Contributions 732 200.00 PHILHEALTH Contributions 733 162.50 ECC Contributions 734 193.60 Cash in Bank - Local Currency , Current Account 111 2,675.48 Due to GSIS 413 5,847.13 Due to PAG-IBIG 414 4,103.73 Due to PHILHEALTH 415 325.00 Payment of Salaries and Wages thru Bank - BERRAME, ALAN M. ET AL FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 16 2010-02-002918 Salaries and Wages - Casual 705 7,307.00 Personnel Economic Relief Allowance (PERA) 711 2,000.00 Life and Retirement Insurance Contributions 731 876.84 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 87.50 ECC Contributions 734 121.79 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 3,813.72 60.00 Due to GSIS 413 1,994.94 Due to PAG-IBIG 414 1,699.47 Due to PHILHEALTH 415 175.00 Other Payables 439 2,750.00 Payment of Salaries and Wages thru Bank - LEDESMA, SUSANA B. FOR JANUARY 1-31, 2010. Feb 16 2010-02-002923 Salaries and Wages - Casual 705 73,070.00 Personnel Economic Relief Allowance (PERA) 711 20,000.00 Life and Retirement Insurance Contributions 731 8,768.40 PAG-IBIG Contributions 732 1,000.00 PHILHEALTH Contributions 733 875.00 ECC Contributions 734 730.70 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 81,017.62 2,435.04 Due to GSIS 413 17,241.44 Due to PAG-IBIG 414 2,000.00 Due to PHILHEALTH 415 1,750.00 Payment of Salaries and Wages thru Bank - ANOBA, RODELYN E. ET AL FOR JANUARY 1-31, 2010. Feb 16 2010-02-002924 Due to Other NGAs 416 Cash in Bank - Local Currency , Current Account 23,000.00 111 23,000.00 Grant of Subsidies and Donations - ALEGA, CONRADO P. ET AL AS INCENTIVE ALLOWANCE FOR NOVEMBER, 2009. Feb 16 2010-02-002927 Due to Officers and Employees 403 Cash - Disbursing Officers 6,000.00 103 6,000.00 Payment of Salaries and Wages thru Disbursing Officer - Abelgas, Edgar C. et. al...... Cash Gift of Casual employees for the month of November 2009. Feb 16 2010-02-002932 Due to Officers and Employees 403 52,000.00 Cash - Disbursing Officers 103 46,800.00 Due to BIR 412 5,200.00 Payment of Salaries and Wages thru Disbursing Officer - ALERA, ABELARDO J., et. al..... Honorarium for CCMC consultants for the month of November 1-30, 2009. Feb 16 2010-02-002945 Due to Officers and Employees 403 55,000.00 Cash - Disbursing Officers 103 49,500.00 Due to BIR 412 5,500.00 Payment of Salaries and Wages thru Disbursing Officer - BULLO, CHERYL K. et. al....... Honorarium for CCMC Consultants for the month of November 1-30, 2009. Feb 16 2010-02-002952 Due to Officers and Employees 403 35,000.00 Cash - Disbursing Officers 103 31,500.00 Due to BIR 412 3,500.00 Payment of Salaries and Wages thru Disbursing Officer - ALESNA, EVELYN T. et. al...... Honorarium for CCMC Consultants for the month of July 1-31, 2009. Feb 16 2010-02-002957 Due to Officers and Employees 403 35,000.00 Cash - Disbursing Officers 103 31,500.00 Due to BIR 412 3,500.00 Payment of Salaries and Wages thru Disbursing Officer - ALESNA, EVELYN T. et. al....... Honorarium for CCMC Consultants for the month of June 1-30, 2009. Feb 16 2010-02-002963 Due to Officers and Employees 403 51,000.00 Cash - Disbursing Officers 103 45,900.00 Due to BIR 412 5,100.00 Payment of Salaries and Wages thru Disbursing Officer - ALESNA, EVELYN T. et. al....... Honorarium for CCMC Consultants for the month of December 1-31, 2009. Feb 16 2010-02-002965 Due to Officers and Employees 403 125,152.50 Cash - Disbursing Officers 103 112,637.25 Due to BIR 412 12,515.25 Payment of Salaries and Wages thru Disbursing Officer - DELA CERNA, LEA B. et. al....... Honorarium for CCMC Consultants for the months of September 1 to November 30, 2009. Feb 16 2010-02-002967 Due to Officers and Employees 403 Cash - Disbursing Officers 19,902.75 103 19,902.75 Payment of Salaries and Wages thru Disbursing Officer - AVENIDO, CHERYL et al...... Year-End Bonus and Cash Gift for 2009. Feb 16 2010-02-002968 Due to Officers and Employees 403 40,000.00 Cash - Disbursing Officers 103 36,000.00 Due to BIR 412 4,000.00 Payment of Salaries and Wages thru Disbursing Officer - FIGURACION, CARIDAD J. et. al...... Honorarium for CCMC Consultants for the month of November 1-30, 2009. Feb 16 2010-02-003610 Subsistence, Laundry and Quarter Allowance 716 Cash in Bank - Local Currency , Current Account 3,500.00 111 3,500.00 Payment of Allowances, Bonus and Other Compensation - ABARQUEZ, ALFONSO C. AS SUBSISTENCE AND LAUNDRY ALLOWANCE FOR JANUARY, 2010. Feb 16 2010-02-003611 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 3,850.00 111 3,850.00 Payment for Due to Officers and Employees - ABARQUEZ, ALFONSO C. AS SUBSISTENCE AND LAUNDRY ALLOWANCE FOR DECEMBER, 2009 Feb 16 2010-02-003612 Subsistence, Laundry and Quarter Allowance 716 Cash in Bank - Local Currency , Current Account 4,900.00 111 4,900.00 Payment of Allowances, Bonus and Other Compensation - ABELLA, ALYN A. AS SUBSISTENCE AND LAUNDRY ALLOWANCE FOR JANUARY 1-31, 2010. Feb 16 2010-02-003613 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 7,267.99 111 7,267.99 Payment for Due to Officers and Employees - ARCHIVAL, ROBINA P. ET.AL. AS HAZARD PAY FOR DECEMBER, 2009. Feb 16 2010-02-003614 Salaries and Wages - Regular 701 39,065.85 Life and Retirement Insurance Contributions 731 6,523.20 PAG-IBIG Contributions 732 600.00 PHILHEALTH Contributions 733 637.50 ECC Contributions 734 603.19 Cash in Bank - Local Currency , Current Account 111 15,299.00 Due to BIR 412 1,392.70 Due to GSIS 413 19,970.31 Due to PAG-IBIG 414 8,652.73 Due to PHILHEALTH 415 1,275.00 Other Payables 439 840.00 Payment of Salaries and Wages thru Bank - ALBUTRA, ORLANDO C. ET AL FOR FEBRUARY 1-28, 2010 (1ST & 2ND WEEK) Feb 16 2010-02-003620 Salaries and Wages - Casual 705 6,703.00 Personnel Economic Relief Allowance (PERA) 711 2,000.00 Life and Retirement Insurance Contributions 731 804.36 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 75.00 ECC Contributions 734 107.66 Cash in Bank - Local Currency , Current Account 111 7,580.45 Due to GSIS 413 1,515.29 Due to PAG-IBIG 414 544.28 Due to PHILHEALTH 415 150.00 Payment of Salaries and Wages thru Bank - MANATAD, JESUS T. FOR JANUARY 1-31, 2010. Feb 16 2010-02-003623 Salaries and Wages - Casual 705 115,851.42 Life and Retirement Insurance Contributions 731 17,871.84 PAG-IBIG Contributions 732 2,000.00 PHILHEALTH Contributions 733 1,775.00 ECC Contributions 734 1,565.96 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 31,720.57 2,630.42 Due to GSIS 413 78,189.63 Due to PAG-IBIG 414 20,123.60 Due to PHILHEALTH 415 3,550.00 Other Payables 439 2,850.00 Payment of Salaries and Wages thru Bank - ARNIBAL, RICHIE Y. ET AL FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 16 2010-02-003624 Salaries and Wages - Casual 705 12,638.43 Life and Retirement Insurance Contributions 731 2,491.56 PAG-IBIG Contributions 732 300.00 PHILHEALTH Contributions 733 250.00 ECC Contributions 734 241.51 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 7,564.57 189.10 Due to GSIS 413 6,156.55 Due to PAG-IBIG 414 1,511.28 Due to PHILHEALTH 415 500.00 Payment of Salaries and Wages thru Bank - ABATOL, JEFFERSON D. ET AL FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 16 2010-02-003625 Salaries and Wages - Regular 701 6,311.82 Life and Retirement Insurance Contributions 731 1,219.20 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 125.00 ECC Contributions 734 100.00 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 3,849.00 561.42 Due to GSIS 413 2,283.60 Due to PAG-IBIG 414 412.00 Due to PHILHEALTH 415 250.00 Other Payables 439 500.00 Payment of Salaries and Wages thru Bank - CAÑETE, LEONIDA F. FOR FEBRUARY 1-28, 2010 (1ST & 2ND WEEK) Feb 16 2010-02-003627 Salaries and Wages - Casual 705 3,920.06 Life and Retirement Insurance Contributions 731 876.84 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 87.50 ECC Contributions 734 113.33 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 2,196.94 189.10 Due to GSIS 413 2,336.69 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 175.00 Payment of Salaries and Wages thru Bank - ZAPANTA, FELIXBERTO M. FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 16 2010-02-003634 Salaries and Wages - Casual Life and Retirement Insurance Contributions 705 6,450.39 731 1,181.76 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 112.50 ECC Contributions 734 98.48 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 3,397.62 520.71 Due to GSIS 413 3,599.80 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 225.00 Payment of Salaries and Wages thru Bank - ALAYRE, ROGELIO R. FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 16 2010-02-003635 Salaries and Wages - Casual 705 12,748.00 Personnel Economic Relief Allowance (PERA) 711 2,000.00 Life and Retirement Insurance Contributions 731 1,529.76 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 150.00 ECC Contributions 734 100.00 Cash in Bank - Local Currency , Current Account 111 12,326.41 Due to BIR 412 1,024.27 Due to GSIS 413 2,777.08 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 300.00 Payment of Salaries and Wages thru Bank - MENCHAVEZ, ESTRELLA G. FOR JANUARY 1-31, 2010. Feb 17 2010-02-002689 Prior Years' Adjustments 684 Cash in Bank - Local Currency , Current Account Due to BIR Feb 17 6,050.00 111 5,725.89 412 324.11 Payment for Purchase of Inventories, Supplies and Materials Directly Issued to End-User- TRISALES BUSINESS SYSTEM CORP. TO PAYMENT OF SPARE PARTS AND OTHER ITEMS. CHECK # 242405 CTV # 1994 - P 5,543.57 - TRISALES BUSINESS SYSTEMS CORP. CHECK # 2 2010-02-002691 Accounts Payable 401 4,160.00 Cash in Bank - Local Currency , Current Account 111 3,937.15 Due to BIR 412 222.85 Payment for Accounts Payable- OF TRISALES BUSINESS SYSTEM CORP. PAYMENT OF SUPPLIES FOR OVERSEAS JOBS FAIR ON MAY 1, 2009. Ck#242407 Feb 17 2010-02-002692 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Feb 17 401 Cash in Bank - Local Currency , Current Account Feb 17 9,079.09 412 513.91 Payment for Accounts Payable- RONI ENTERPRISES PAYMENT OF 28 PCS LADLE AND OTHER ITEMS. CHECK # 242408 CTV # 1997 - P 8,907.79 CHECK # 242409 CTV # 1998 171.30 - CEBU CITY TREASURER FOR PAYMENT OF LOCAL T 2010-02-002694 Accounts Payable Due to BIR 9,593.00 111 RONI ENTERPRISES 221,064.40 111 209,221.68 412 11,842.72 Payment for Accounts Payable- R. ROBINS BUILDERS SUPPLY TO PAYMENT OF 4 PCS FIRE HOSE 2-1/2 X 5O FT. DOUBLE JACK ASAHI AND OTHER ITEMS. CHECK # 242410 CTV # 1999 - P 205,274.11 - R. ROBINS BUILDERS SUPPLY CHECK # 242411 CTV # 2000 3 2010-02-002696 Due to LGUs 418 Cash in Bank - Local Currency , Current Account 111 40,400.00 40,400.00 Payment for Inter-Agency Payable- BARANGAY COGON-RAMOS FINANCIAL ASSISTANCE FOR CASH PRIZES AND OFFICIATING FEES FOR JOY YOUNG'S BASKETBALL TOURNAMENT 2009. Ck#242413 Feb 17 2010-02-002698 Prior Years' Adjustments 684 100,000.00 Cash in Bank - Local Currency , Current Account 111 100,000.00 Payment for Other Maintenance and Other Operating Expenses - GALING POOK FOUNDATION - C/O LIGA NG MGA LUPONG TAGAPAMAYAPA TO WITDRAW THE LIGA MONEY (CASH PRIZE) OF GAWAD GALING POOK 2007 DEPOSITED AT CITY TREASURY OF CEBU. Ck#242412 Feb 17 2010-02-002703 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Feb 17 12,000.00 111 11,250.00 412 750.00 Payment for Accounts Payable- THE PORT SEAFOOD PAYMENT OF 40 PAX BUFFET LUNCH. CHECK # 242414 CTV # 2003 - P10,982.14 - THE PORT SEAFOOD CHECK # 242415 CTV # 2004 267.86 - CEBU CITY TREASUER FOR PAYMENT OF LOCAL TAX Ck#242415 2010-02-002706 Other Maintenance and Other Operating Expenses 969 2,726.40 Cash in Bank - Local Currency , Current Account 111 2,726.40 Payment for Other Maintenance and Other Operating Expenses- BUREAU OF TREASURY FAO REGISTER OF DEEDS, CEBU CITY PAYMENT OF ADMINISTRATIVE COST OF CIVIL REMEDIES AGAINST THE PROPERTIES OF CEBU DOCTORS COLLEGE, INC. SWU,I NC. AND CEBU (VELEZ) GENERAL HOS Feb 17 2010-02-002707 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Feb 17 401 Cash in Bank - Local Currency , Current Account Feb 17 61,256.00 412 3,224.00 Payment for Accounts Payable- LOLA MARY'S CATERING SERVICE PAYMENT OF PACKED LUNCH AND AM AND PM SNACKS . CHECK # 242417 CTV # 2006 P 1,394.80 CEBU CITY TREASURER FOR PAYMENT OF LOCAL TAX CHECK # 242418 CTV # 2007 59,861.20 - LOLA MARY'S CA 2010-02-002708 Accounts Payable Due to BIR 64,480.00 111 1,748.25 111 1,654.60 412 93.65 Payment for Accounts Payable- CEBU D & F ENTERPRISES PAYMENT OF 1 PC SOUND SYSTEM MEGAHONE. CHECK # 211244 CTV # 2008 - 1,617.49 - CEBU D & F ENTERPRISES CHECK # 211245 CTV # 2009 37.11 - CEBU CITY TREASURER FOR PAYMENT OF LOCAL TAX 2010-02-002710 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 330.00 111 330.00 Payment for Accounts Payable- CEBU D & F ENTERRISES PAYMENT OF 14 THUMB TACKS, RIBBON CLOTH, RIBBON NYLON . Ck#211246 Feb 17 2010-02-002711 Telephone Expenses - Mobile 773 Cash in Bank - Local Currency , Current Account 800.00 111 800.00 Payment for Communication Expenses- AGRIPINA E. REZABA PAYMENT FOR JANUARY 2010. Ck#211250 Feb 17 2010-02-002712 Subsidy to National Government Agencies 871 Cash in Bank - Local Currency , Current Account 2,000.00 111 2,000.00 Grant of Subsidies and Donations- ANJUN A. CUGAY TO PAYMENT OF TRAVELLING EXPENSES FOR JAN. 1-31, 2010. Ck#211251 Feb 17 2010-02-002713 Telephone Expenses - Mobile 773 Cash in Bank - Local Currency , Current Account 1,800.00 111 1,800.00 Payment for Communication Expenses- MARIETTA L. GUMIA PAYMENT FOR DEC. 21, 2009 TO JAN. 20, 2010. Ck#211252 Feb 17 2010-02-002714 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 3,401.00 111 Payment for Due to Officers and Employees- ALICE T. UTLANG 3,401.00 PAYMENT OF COMMUNICATION SERVICES FOR DEC. 1-31, 2009 Ck#211253 Feb 17 2010-02-002715 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 2,000.00 111 2,000.00 Payment for Due to Officers and Employees- JAENE P. AGUILA PAYMENT OF PRODUCTIVITY BONUS FOR JAN. TO DEC. 2008. Ck#211255 Feb 17 2010-02-002717 Consultancy Services 793 10,000.00 Cash in Bank - Local Currency , Current Account 111 9,000.00 Due to BIR 412 1,000.00 Payment for Professional Services- CALIXTA ABELLA PAYMENT FOR JAN. 1-31, 2010. Ck#211256 Feb 17 2010-02-002718 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 3,500.00 111 3,500.00 Payment for Due to Officers and Employees- EUSTAQUIO B. CESA PAYMENT OF COMMUNICATION SERVICE FR APRIL 2009. Ck#211257 Feb 17 2010-02-002767 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 2,702.00 111 2,702.00 Payment for Due to Officers and Employees- ALICE T. UTLANG TO PAYMENT OF COMMUNICATION SERVICE FOR NOV. 2009. Ck#211258 Feb 17 2010-02-002773 Due to LGUs 418 Cash in Bank - Local Currency , Current Account 36,000.00 111 36,000.00 Payment for Inter-Agency Payable - BARANGAY KAMAGAYAN FINACIAL ASSISTANCE O F TANOD FOR JULY TO SEPT. 2009. Ck#211260 Feb 17 2010-02-002775 Telephone Expenses - Mobile 773 Cash in Bank - Local Currency , Current Account 3,650.23 111 3,650.23 Payment for Communication Expenses- TOMAS R. OSMEÑA TO PAYMENT FOR DEC. 13,2009 TO JAN. 12,2010. Ck#211265 Feb 17 2010-02-002799 Due to Officers and Employees 403 9,000.00 Cash in Bank - Local Currency , Current Account 111 8,100.00 Due to BIR 412 900.00 Payment for Due to Officers and Employees - JULIUS CEASASR S. ENTISE PAYMENT OF CONSULTANCY FEE FOR DEC. 2009. Ck#211266 Feb 17 2010-02-002801 Due to Officers and Employees 403 36,000.00 Cash in Bank - Local Currency , Current Account 111 32,400.00 Due to BIR 412 3,600.00 Payment for Due to Officers and Employees- JULIUS CEASAR S. ENTISE TO PAYMENT OF CONSULTANCY FEE FOR NOV. 2009. Ck#211267 Feb 17 2010-02-002802 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 20,005.00 111 20,005.00 Refund of Performance Bond to Contractor- LG LINE INDUSTRIAL INC. TO REFUND THE BID SECURITY UNDER OFFICIAL RECIEPT # 9463773 DATED 10/20/09 Feb 17 2010-02-002805 Performance/Bidders/Bail Bonds Payable Other Payables 427 18,376.83 439 36,753.65 Ck#211268 Cash in Bank - Local Currency , Current Account 111 55,130.48 Refund of Performance Bond to Contractor- PENTAX HARDWARE TO REFUND THE ERFORMANCE BOND AND RETENTION WARRANTY UNDER PAV # 15243 DATED 09/16/09 . Ck#211269 Feb 17 2010-02-002808 Terminal Leave Benefits 742 108,452.43 Cash in Bank - Local Currency , Current Account 111 108,452.43 Payment of Terminal Leave Benefits - JULIAN DELIMA BENEMERITO TO PAYMENT OF TERMINAL LEAVE FOR JAN. 10, 2009 TO APRIL 6, 2010. Feb 17 2010-02-002824 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account Ck#211271 814.93 111 814.93 Refund of Performance Bond to Contractor- PENTAX HARDWARE TO REFUND THE PERFORMANCE BOND UNDER PAV # 16286 DATED 10/06/09 Feb 17 2010-02-002829 Accounts Payable 401 Feb 17 111 120,929.24 Due to BIR 412 7,653.76 439 14,287.00 Payment for Accounts Payable- FF SIBI ENTERPRISES, INC. PAYMENT OF 2600 STUBS TRAFFIC CITATION TICKET. CHECK # 703716 CTV # 2042 - P119,972.52 - F.F. SIBI ENT. INC. CHECK # 703717 CTV # 2043 956.72 - CEBU CITY TREASURER FOR PAY 2010-02-002875 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Feb 17 142,870.00 Cash in Bank - Local Currency , Current Account Other Payables Ck#712744 1,250.00 111 1,183.04 412 66.96 Payment for Accounts Payable - SACHEM MARKETING TO PAYMENT OF 1 ROLL FIBER TAPE 50 METERS AND 5 PCS. MECHANICAL PENCIL. CHECK # 499228 CTV # 2048 P 741.16 - SACHEM MARKETING CHECK # 499229 CTV # 2049 - 441.88 - CEBU CTIY TREASURER FOR 2010-02-002882 Accounts Payable 401 23,495.00 Cash in Bank - Local Currency , Current Account 111 22,236.34 Due to BIR 412 1,258.66 Payment for Accounts Payable - SACHEM MARKETING TO PAYMENT OF 100 MTRS LEATHERETTE BALACK IMPORTED. Ck#703209 Feb 17 2010-02-002888 Other Payables 439 Cash in Bank - Local Currency , Current Account 6,062.16 111 6,062.16 Refund of Performance Bond to Contractor- PENTAX HARDWARE TO REFUND THE RETENTION WARRANTY UNDER PAV # 16435 DATED10/08/09 Feb 17 2010-02-003509 Due to Other NGAs 416 Cash in Bank - Local Currency , Current Account 62,515.00 111 62,515.00 Grant of Subsidies and Donations - ABELLA, CRISANTO R. ET AL AS INCENTIVE ALLOWANCE FOR NOVEMBER, 2009. Feb 17 2010-02-003511 Salaries and Wages - Casual 705 17,889.40 Life and Retirement Insurance Contributions 731 3,351.60 PAG-IBIG Contributions 732 200.00 PHILHEALTH Contributions 733 337.50 ECC Contributions 734 247.20 Cash in Bank - Local Currency , Current Account 111 10,040.59 Due to BIR 412 3,277.28 Due to GSIS 413 7,417.97 Due to PAG-IBIG 414 614.86 Due to PHILHEALTH 415 675.00 Payment of Salaries and Wages thru Bank - BENIGA, LESTER JOEY JAP O. ET AL FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 17 2010-02-003512 Due to Officers and Employees 403 29,511.92 Cash in Bank - Local Currency , Current Account 111 8,760.45 Due to BIR 412 3,365.84 Ck#703210 Due to GSIS 413 9,690.72 Due to PAG-IBIG 414 2,594.91 Due to PHILHEALTH 415 600.00 Other Payables 439 4,500.00 Payment for Due to Officers and Employees - ABELLANA, ANTONIO DV. AS SALARY FOR DECEMBER 1-31, 2009. Feb 17 2010-02-003514 Salaries and Wages - Casual 705 7,891.00 Personnel Economic Relief Allowance (PERA) 711 2,000.00 Life and Retirement Insurance Contributions 731 946.92 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 87.50 ECC Contributions 734 78.91 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 8,335.98 257.33 Due to GSIS 413 1,736.02 Due to PAG-IBIG 414 600.00 Due to PHILHEALTH 415 175.00 Payment of Salaries and Wages thru Bank - GORRES, MARGIE D. FOR JANUARY 1-31, 2010. Feb 17 2010-02-003515 Other Personnel Benefits 749 Cash in Bank - Local Currency , Current Account 10,000.00 111 10,000.00 Payment of Allowances, Bonus and Other Compensation - GONZALES, DELIA B. ET AL AS LOYALTY BONUS. Feb 17 2010-02-003520 Salaries and Wages - Casual 705 4,562.67 Life and Retirement Insurance Contributions 731 737.88 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 75.00 ECC Contributions 734 95.37 Cash in Bank - Local Currency , Current Account 111 1,586.34 Due to GSIS 413 2,492.70 Due to PAG-IBIG 414 1,341.88 Due to PHILHEALTH 415 150.00 Payment of Salaries and Wages thru Bank - TELMORO, ARMANDO C. FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 17 2010-02-003521 Salaries and Wages - Casual 705 5,492.01 Life and Retirement Insurance Contributions 731 876.84 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 87.50 ECC Contributions 734 83.14 Cash in Bank - Local Currency , Current Account 111 1,814.99 Due to GSIS 413 2,745.18 Due to PAG-IBIG 414 1,904.32 Due to PHILHEALTH 415 175.00 Payment of Salaries and Wages thru Bank - ANTCRISTO, GABRIEL S. FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 17 2010-02-003523 Other Payables 439 Cash in Bank - Local Currency , Current Account 111 21,988.86 19,722.52 Due to BIR 412 2,266.34 Payment of Allowances, Bonus and Other Compensation - ABATOL, JEFFERSON D. ET AL AS OVERTIME PAY FOR JANUARY, 2010. Feb 17 2010-02-003525 Salaries and Wages - Casual 705 5,088.26 Life and Retirement Insurance Contributions 731 876.84 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 87.50 ECC Contributions 734 73.07 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 2,218.74 187.85 Due to GSIS 413 2,635.11 Due to PAG-IBIG 414 1,008.97 Due to PHILHEALTH 415 175.00 Payment of Salaries and Wages thru Bank - JAYME, APRIL A. FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 17 2010-02-003527 Other Personnel Benefits 749 Cash in Bank - Local Currency , Current Account 15,000.00 111 15,000.00 Payment of Allowances, Bonus and Other Compensation - BAUTISTA, ROLANDO M. ET AL AS AS LOYALTY BONUS. Feb 17 2010-02-003530 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 6,620.00 111 6,620.00 Payment for Due to Officers and Employees - ABABA, ROMULO P. ET AL AS TRAVELLING ALLOWANCE FOR NOVEMBER, 2009. Feb 17 2010-02-003539 Salaries and Wages - Casual 705 578,356.35 Life and Retirement Insurance Contributions 731 101,105.40 PAG-IBIG Contributions 732 10,300.00 PHILHEALTH Contributions 733 10,075.00 ECC Contributions 734 9,436.12 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 246,945.72 25,773.82 Due to GSIS 413 294,258.76 Due to PAG-IBIG 414 122,144.57 Due to PHILHEALTH 415 20,150.00 Payment of Salaries and Wages thru Bank - ABAIS, RICARDO D. ET AL FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 17 2010-02-003542 Salaries and Wages - Casual 705 754,213.14 Life and Retirement Insurance Contributions 731 127,728.12 PAG-IBIG Contributions 732 14,000.00 PHILHEALTH Contributions 733 12,675.00 ECC Contributions 734 10,644.01 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 302,037.94 15,118.47 Due to GSIS 413 406,685.13 Due to PAG-IBIG 414 170,068.73 Due to PHILHEALTH 415 25,350.00 Payment of Salaries and Wages thru Bank - ABALA, FRANCISCO S. ET AL FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 17 2010-02-003559 Salaries and Wages - Casual 705 275,061.01 Life and Retirement Insurance Contributions 731 56,994.60 PAG-IBIG Contributions 732 6,500.00 PHILHEALTH Contributions 733 5,687.50 ECC Contributions 734 4,749.55 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 199,893.86 10,572.56 Due to GSIS 413 112,841.06 Due to PAG-IBIG 414 14,310.18 Due to PHILHEALTH 415 11,375.00 Payment of Salaries and Wages thru Bank - ABELLA, CHARLITO R. ET AL FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 17 2010-02-003563 Salaries and Wages - Casual 705 559,386.07 Life and Retirement Insurance Contributions 731 102,362.28 PAG-IBIG Contributions 732 12,600.00 PHILHEALTH Contributions 733 9,550.00 ECC Contributions 734 8,555.35 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 285,572.99 12,828.24 Due to GSIS 413 299,895.08 Due to PAG-IBIG 414 74,057.39 Due to PHILHEALTH 415 19,100.00 Other Payables 439 1,000.00 Payment of Salaries and Wages thru Bank - ABABON, JOCELYN A. ET AL FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 17 2010-02-004049 Construction in Progress - Agency Assets 264 Cash in Bank - Local Currency , Current Account Due to BIR Feb 17 347,136.42 111 2010-02-004053 Terminal Leave Benefits 742 Cash in Bank - Local Currency , Current Account 18 2010-02-002530 Salaries and Wages - Regular 63,290.00 111 Payment of Terminal Leave Benefits- ROSALINDA O. SALES Feb 325,440.40 412 21,696.02 Cash Payment for Progress Billing of Contractor for Construction for Agency Assets - SAN NARCISO BUILDERS 2ND PARTIAL PAYMENT OF 90.05 % WORK ACCOMLISHMENT OF CONTRACT FOR THE CONSTRUCTION OF MOVABLE WALL AT SENIOR CITIZEN CENTER SOUTH ROAD PROPERTIES 63,290.00 PAYMENT OF TERMINAL LEAVE BENEFIT FOR JAN. 1 TO SEPT. 20 A.M., 2010 701 51,001.00 Life and Retirement Insurance Contributions 731 12,240.24 PAG-IBIG Contributions 732 900.00 PHILHEALTH Contributions 733 1,212.50 ECC Contributions 734 887.00 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 27,540.24 4,359.29 Due to GSIS 413 24,511.13 Due to PAG-IBIG 414 4,105.08 Due to PHILHEALTH 415 2,425.00 Other Payables 439 3,300.00 Payment of Salaries and Wages thru Bank - BARANGAN, PHILLINE P. ET AL FOR FEBRUARY 1-15, 2010 Ck#712743 Feb 18 2010-02-002533 Other Personnel Benefits 749 Cash in Bank - Local Currency , Current Account 10,000.00 111 10,000.00 Payment of Allowances, Bonus and Other Compensation - PIAPE, DELFINE L. ET AL AS LOYALTY BONUS. Feb 18 2010-02-002535 Other Personnel Benefits 749 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment of Allowances, Bonus and Other Compensation - ABATAYO, EVANGELINE T. AS LOYALTY BONUS. Feb 18 2010-02-002537 Salaries and Wages - Regular 701 45,005.57 Life and Retirement Insurance Contributions 731 9,265.44 PAG-IBIG Contributions 732 700.00 PHILHEALTH Contributions 733 937.50 ECC Contributions 734 711.44 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 32,211.00 2,424.84 Due to GSIS 413 17,264.64 Due to PAG-IBIG 414 2,344.47 Due to PHILHEALTH 415 1,875.00 Other Payables 439 500.00 Payment of Salaries and Wages thru Bank - ABELGAS, INGRID R. ET AL FOR FEBRUARY 1-28, 2010 (1ST & 2ND WEEK) Feb 18 2010-02-002719 Salaries and Wages - Casual 705 3,945.50 Life and Retirement Insurance Contributions 731 946.92 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 87.50 ECC Contributions 734 78.91 Cash in Bank - Local Currency , Current Account 111 1,547.81 Due to GSIS 413 1,736.02 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 175.00 Other Payables 439 1,500.00 Payment of Salaries and Wages thru Bank - ALOLOD, MARIVIC G. FOR FEBRUARY 1-15, 2010 Feb 18 2010-02-002720 Salaries and Wages - Casual 705 5,774.80 Personnel Economic Relief Allowance (PERA) 711 949.99 Life and Retirement Insurance Contributions 731 692.98 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 62.50 ECC Contributions 734 57.75 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 5,859.31 183.25 Due to GSIS 413 1,270.46 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 125.00 Payment of Salaries and Wages thru Bank - PANSACALA, JONAS C. FOR JANUARY 1-31, 2010. Feb 18 2010-02-002722 Salaries and Wages - Regular 701 5,535.00 Life and Retirement Insurance Contributions 731 1,328.40 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 137.50 ECC Contributions 734 100.00 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 2,259.25 682.25 Due to GSIS 413 2,763.38 Due to PAG-IBIG 414 1,221.02 Due to PHILHEALTH 415 275.00 Payment of Salaries and Wages thru Bank - ARTES, SARITA G. FOR FEBRUARY 1-15, 2010 Feb 18 2010-02-002723 Salaries and Wages - Regular 701 20,794.50 Life and Retirement Insurance Contributions 731 4,990.68 PAG-IBIG Contributions 732 300.00 PHILHEALTH Contributions 733 500.00 ECC Contributions 734 300.00 Cash in Bank - Local Currency , Current Account 111 12,217.29 Due to BIR 412 3,534.20 Due to GSIS 413 9,033.69 Due to PAG-IBIG 414 1,100.00 Due to PHILHEALTH 415 1,000.00 Payment of Salaries and Wages thru Bank - DELGADO, GIOVANNI G. ET AL FOR FEBRUARY 1-15, 2010 Feb 18 2010-02-002725 Salaries and Wages - Casual 705 57,496.00 Life and Retirement Insurance Contributions 731 13,799.04 PAG-IBIG Contributions 732 600.00 PHILHEALTH Contributions 733 1,400.00 ECC Contributions 734 573.07 Cash in Bank - Local Currency , Current Account 111 26,031.11 Due to BIR 412 15,018.15 Due to GSIS 413 28,568.85 Due to PAG-IBIG 414 1,450.00 Due to PHILHEALTH 415 2,800.00 Payment of Salaries and Wages thru Bank - ABELLA, MARIE VELLE P. ET AL FOR FEBRUARY 1-15, 2010 Feb 18 2010-02-002727 Salaries and Wages - Casual 705 3,653.50 Life and Retirement Insurance Contributions 731 876.84 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 87.50 ECC Contributions 734 73.07 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 245.23 Due to GSIS 413 1,607.54 Due to PAG-IBIG 414 1,001.00 415 175.00 Due to PHILHEALTH 1,762.14 Payment of Salaries and Wages thru Bank - YNION, JOEFEL P. FOR FEBRUARY 1-15, 2010 Feb 18 2010-02-002728 Salaries and Wages - Regular 701 5,118.36 Life and Retirement Insurance Contributions 731 737.88 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 75.00 ECC Contributions 734 61.49 Cash in Bank - Local Currency , Current Account 111 1,031.00 Due to GSIS 413 3,440.63 Due to PAG-IBIG 414 1,471.10 Due to PHILHEALTH 415 150.00 Payment of Salaries and Wages thru Bank - GALIDO, ROGER N. FOR FEBRUARY 1-28, 2010 (1ST & 2ND WEEK) Feb 18 2010-02-002729 Salaries and Wages - Regular 701 5,960.50 Life and Retirement Insurance Contributions 731 1,430.52 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 137.50 ECC Contributions 734 100.00 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 2,824.01 487.42 Due to GSIS 413 2,942.09 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 275.00 Other Payables 439 1,000.00 Payment of Salaries and Wages thru Bank - BANQUICIO, DAISY T. FOR FEBRUARY 1-15, 2010 Feb 18 2010-02-002730 Salaries and Wages - Casual 705 14,614.00 Life and Retirement Insurance Contributions 731 3,507.36 PAG-IBIG Contributions 732 400.00 PHILHEALTH Contributions 733 350.00 ECC Contributions 734 292.28 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 386.29 Due to GSIS 413 8,424.52 Due to PAG-IBIG 414 1,639.77 415 700.00 Due to PHILHEALTH 8,013.06 Payment of Salaries and Wages thru Bank - BARRERA, BARBARA N. ET AL FOR FEBRUARY 1-15, 2010 Feb 18 2010-02-003022 Cash - Disbursing Officers 103 Cash in Bank - Local Currency , Current Account 4,840,469.09 111 4,840,469.09 Grant of Cash Advance - AGAPITA M. CESA CASH ADVANCE FOR PAYMENT OF APPROVED PAYROLLS. Ck#698060 Feb 18 2010-02-003024 Advances to Officers and Employees 148 150,000.00 Cash in Bank - Local Currency , Current Account 111 150,000.00 Grant of Cash Advance - LORNA C. LOGICO CASH ADVANCE AS REVOLVING FUND FOR THE SMOKE EMISSION TEST AND RENEWAL OF REGISTRATION OF CEBU CITY OWNED MOTOR VEHICLES AND HANDHELD RADIOS FOR THE MONTH OF FEBRUARY 2010. Ck#698061 Feb 18 2010-02-003029 Accounts Payable 401 33,509.00 Cash in Bank - Local Currency , Current Account 111 26,687.52 Due to BIR 412 1,795.13 Performance/Bidders/Bail Bonds Payable 427 1,675.45 Other Payables Feb 18 439 3,350.90 Payment for Accounts Payable - SACHEM MARKETING PAYMENT OF 36 PCS. BALLPEN RETRACTABLE (ASSORTED COLOR) PER PR#443 DTD. APRIL 2, 2009& PO#807 DTD. 7-1-2009. CHECK NO. 211273 CTV NO. 2066 = P26,089.14 - SACHEM MARKETING CHECK NO. 211274 CTV NO. 20 2010-02-003033 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Feb 18 401 Cash in Bank - Local Currency , Current Account Feb 18 401 Cash in Bank - Local Currency , Current Account Feb 18 52,000.00 111 49,214.28 412 2,785.72 Payment for Accounts Payable - PASAJERO MOTORS CORPORATION PAYMENT OF SUPPLY AND DELIVERY OF 20 SETS DISC PAD A545 AND OTHER ITEMS CHECK NO. 211277 CTV NO. 2070 = P48,285.71 - PASAJERO MOTORS CORP. CHECK NO. 211278 CTV NO. 2071 = 928.57 - 2010-02-003046 Accounts Payable Due to BIR 56,899.29 412 3,220.71 Payment for Accounts Payable - R. ROBINS BUILDERS SUPPLY PAYMENT FOR AGRICULTURAL FARM INPUTS AND SUPPLIES PER PR#09-811 DTD. 07-07-2009. CHECK NO. 211275 CTV NO. 2068 = P55,825.72 - R. ROBINS BUILDERS SUPPLY CHECK NO. 211276 CTV NO. 2069 = 2010-02-003034 Accounts Payable Due to BIR 60,120.00 111 19,200.00 111 18,240.00 412 960.00 Payment for Accounts Payable - LOLA MARY'S CATERING SERVICES PAYMENT OF FOODS FOR SPECIAL LOCAL HIRING ON OCTOBER 3, 2009 AND OCTOBER 17, 2009 OF DMDP. CHECK NO. 211270 CTV NO. 2072 = P17,760.00 - LOLA MARY'S CATERING SERVICES CHECK NO. 211280 CT 2010-02-003047 Telephone Expenses - Mobile 773 Cash in Bank - Local Currency , Current Account 3,500.00 111 3,500.00 Payment for Communication Expenses - WILLIAM CRIS ARTAJO REIMB. OF COMM. EXPENSES FROM DECEMBER 10, 2009 - JANUARY 9, 2010. Ck#211823 Feb 18 2010-02-003061 Due to PAG-IBIG 414 2,106.36 Cash in Bank - Local Currency , Current Account 111 2,106.36 Refund of Excess Employees Taxes, Loans and Premiums - MAGLASANG, ROGELIO REFUND OF PAG-IBIG LOAN DEDUCTION FOR THE MONTH OF FEBRUARY 2010. Ck#211284 Feb 18 2010-02-003064 Due to PAG-IBIG 414 Cash in Bank - Local Currency , Current Account 708.32 111 708.32 Refund of Excess Employees Taxes, Loans and Premiums - JABADAN , RONNIE A REFUND OF PAG-IBIG LOAN DEDUCTION FOR THE MONTH OF FEBRUARY 2010. Ck#211285 Feb 18 2010-02-003077 Telephone Expenses - Mobile 773 3,500.00 Cash in Bank - Local Currency , Current Account 111 3,500.00 Payment for Communication Expenses - JOELITO L. BACLAYON PAYMENT OF CELLULAR PHONE BILL FOR THE PERIOD DECEMBER 16, 2009 - JANUARY 15, 2010. Ck#211288 Feb 18 2010-02-003079 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 3,883.01 111 3,883.01 Payment for Due to Officers and Employees - LEA OUANO JAPSON REIMBURSEMENT OF PAYMENT TO SMART TELECOM FROM NOV. 10 - DEC. 9, 2009. Ck#211291 Feb 18 2010-02-003085 Other Payables 439 Cash in Bank - Local Currency , Current Account 111 18,800.00 18,800.00 Refund of Guaranty Deposit / Retention Fee - GARCIA'S PARTS SUPPLY REIMBURSEMENT OF 10% RETENTION PER PAV#00010224 DTD. 6-19-2009. Ck#211297 Feb 18 2010-02-003088 Due to PAG-IBIG 414 Cash in Bank - Local Currency , Current Account 1,522.12 111 1,522.12 Refund of Excess Employees Taxes, Loans and Premiums -SY, JOHNNY REFUND PAYMENT OF PAG-IBIG LOAN FOR THE MONTH OF FEBRUARY 2010. Ck#211298 Feb 18 2010-02-003124 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Feb 18 18 2,075,991.07 412 117,508.93 Payment for Accounts Payable - CHEMICAL ALLOY CORP TO PAYMENT OF SUPPLY AND DELIVERY OF 20 DRUMS UTOMATIC TRANSMISSION FLUIDAND OTHER ITEMS CHECK NO. 242419 CTV NO. 2092 = P2,060,991.07 - CHEMICAL ALLOY CORP. CHECK NO. 242420 CTV NO. 2093 = 2010-02-003128 Accounts Payable 401 12,460.00 Cash in Bank - Local Currency , Current Account 111 9,499.86 Due to BIR 412 667.50 Performance/Bidders/Bail Bonds Payable 427 623.00 Other Payables Feb 2,193,500.00 111 439 1,669.64 Payment for Accounts Payable - TRISALES BUS, SYSTEMS INC. PYMT. FOR THE SPARE PARTS OF PHOTOCOPIER SHARP SF 2414 CHECK NO. 242421 CTV NO. 2094 = P9,272.00 - TRISALES BUSINESS CHECK NO. 242422 CTV NO. 2095 = 227.86 - CEBU CITY TREASURER - F 2010-02-003130 Due to PAG-IBIG 414 Cash in Bank - Local Currency , Current Account 1,949.48 111 1,949.48 Refund of Excess Employees Taxes, Loans and Premiums - VALENCIA, FERNANDO G. REFUND OF PAG-IBIG LOANFOR THE MONTH OF FEBRUARY 2010. Ck#242423 Feb 18 2010-02-003133 Due to PAG-IBIG 414 1,666.17 Cash in Bank - Local Currency , Current Account 111 1,666.17 Refund of Excess Employees Taxes, Loans and Premiums - BELTRAN, ELCIDIO M. REFUND OF PAG-IBIG LOAN DEDUCTION FOR THE MONTH OF FEBRUARY 2010. Ck#242424 Feb 18 2010-02-003134 Cash - Disbursing Officers 103 Cash in Bank - Local Currency , Current Account 4,634.00 111 4,634.00 Grant of Cash Advance - AGAPITA M. CESA - CASH ADVANCE FOR PAYMENT OF APPROVED PAYROLLS. Ck#712745 Feb 18 2010-02-003136 Cash - Disbursing Officers 103 Cash in Bank - Local Currency , Current Account 23,950.00 111 23,950.00 Grant of Cash Advance - AGAPITA M. CESA - CASH ADVANCE FOR PAYMENT OF APPROVED PAYROLLS. Ck#703718 Feb 18 2010-02-003153 Other Payables 439 Cash in Bank - Local Currency , Current Account Due to BIR Feb 18 114,159.38 412 7,610.62 Payment for Other Liabilities - ONE STOP TOWING SEVICES - PAYMENT OF TOWING FEE FROM NOVEMBER 16 - 21, 2009. CHECK NO. 703719 CTV NO. 2107 = P111,189.38 - ONE STOP TOWING SERVICES CHECK NO. 703720 CTV NO. 2108 = 2,970.00 - CEBU CITY TREA 2010-02-003155 Other Payables 439 Cash in Bank - Local Currency , Current Account Due to BIR 121,770.00 111 111 107,015.00 100,326.56 412 6,688.44 Payment for Other Liabilities - ROAD WARRIORS TOWING AND MOTOR SERVICES PAYMENT OF TOWING FEES FROM JANUARY 18,19, 20, 21 22, & 23, 2010 CHECK NO. 703721 CTV NO. 2109 = P98,346.56 - ROAD WARRIORS TOWING AND MOTOR SERVICES CHECK NO. 703722 CTV NO Feb 18 2010-02-003158 Cash - Disbursing Officers 103 Cash in Bank - Local Currency , Current Account 99,260.00 111 99,260.00 Grant of Cash Advance - AGAPITA M. CESA - FOR THE PAYMENT OF APPROVED PAYROLLS. Ck#703211 Feb 18 2010-02-003194 Construction in Progress - Waterways, Aqueducts, Seawalls, River Walls and Others Cash in Bank - Local Currency , Current Account Due to BIR Feb 18 272 899,778.97 111 843,542.79 412 56,236.18 Cash Payment for Progress Billing of Contractors for Public Infrastructures - WIN CONSTRUCTION FIRST & FINAL PAYMENT OF 100% WORK ACCOMPLISHMENT FOR THE CONSTRUCTION OF CLUSTER PROJECTS: A. CONST. OF STONE MASONRY WALL - RIVER PROTECTION @ SITIO DAM, 2010-02-003236 Salaries and Wages - Casual 705 4,751.50 Personnel Economic Relief Allowance (PERA) 711 1,545.45 Life and Retirement Insurance Contributions 731 570.18 PAG-IBIG Contributions 732 95.03 PHILHEALTH Contributions 733 50.00 ECC Contributions 734 79.20 Cash in Bank - Local Currency , Current Account 111 5,724.28 Due to GSIS 413 1,077.02 Due to PAG-IBIG 414 190.06 415 100.00 Due to PHILHEALTH Payment of Salaries and Wages thru Bank - GRACIE ANJELO L. BACALLA PAYMENT OF FIRST SALARY FROM JANUARY 7 - 31, 2010. Ck#211286 Feb 18 2010-02-003430 Salaries and Wages - Casual 705 9,252.75 Life and Retirement Insurance Contributions 731 1,821.72 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 187.50 ECC Contributions 734 100.00 Cash in Bank - Local Currency , Current Account 111 3,128.25 Due to BIR 412 2,000.00 Due to GSIS 413 5,058.97 Due to PAG-IBIG 414 899.75 Due to PHILHEALTH 415 375.00 Payment of Salaries and Wages thru Bank - ESPINA, JENNIFER B. FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 18 2010-02-003432 Salaries and Wages - Regular 701 4,248.00 Life and Retirement Insurance Contributions 731 1,019.52 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 100.00 ECC Contributions 734 84.96 Cash in Bank - Local Currency , Current Account 111 1,716.72 Due to GSIS 413 2,898.01 Due to PAG-IBIG 414 737.75 Due to PHILHEALTH 415 200.00 Payment of Salaries and Wages thru Bank - ESCASINAS, CIRIO S. FOR FBRUARY 1-15, 2010 Feb 18 2010-02-003438 Due to Officers and Employees Cash in Bank - Local Currency , Current Account 403 111 6,445.50 6,445.50 Payment for Due to Officers and Employees - ARITA, LEA B. REPRESENTING YEAR END BONUS/CASH GIFT Feb 18 2010-02-003630 Subsistence, Laundry and Quarter Allowance 716 Cash in Bank - Local Currency , Current Account 31,500.00 111 31,500.00 Payment of Allowances, Bonus and Other Compensation - ABELLA, JOSEPHINE T ET AL AS SUBSISTENCE & LAUNDRY ALLOWANCE JANUARY, 2010 Feb 18 2010-02-003786 Salaries and Wages - Casual 705 645,122.49 Life and Retirement Insurance Contributions 731 111,668.76 PAG-IBIG Contributions 732 12,300.00 PHILHEALTH Contributions 733 11,087.50 ECC Contributions 734 9,305.73 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 273,267.69 13,746.79 Due to GSIS 413 344,644.33 Due to PAG-IBIG 414 135,650.67 Due to PHILHEALTH 415 22,175.00 Payment of Salaries and Wages thru Bank - MACASUHOT, TIMOTEO U. ET AL FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 19 2010-02-001596 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 24,139.00 111 24,139.00 Payment of Salaries and Wages thru Bank - ALIÑO, EVERISTO SR. L. ET AL FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-001597 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 289,181.00 111 289,181.00 Payment of Salaries and Wages thru Bank - ABADIANO, LEONOR G. ET AL FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-001598 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 35,866.00 111 35,866.00 Payment of Salaries and Wages thru Bank - ABORDO, OSCAR S. ET AL FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-001599 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 7,505.00 111 7,505.00 Payment of Salaries and Wages thru Bank - CAÑA, ROMEO DC. ET AL FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-001600 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 23,090.00 111 23,090.00 Payment of Salaries and Wages thru Bank - ARACAN, FILOMENA M. ET AL FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-001601 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 17,502.00 111 17,502.00 Payment of Salaries and Wages thru Bank - ARCILLA, LORDE L. ET AL FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-001602 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 24,080.00 111 24,080.00 Payment of Salaries and Wages thru Bank - ALCANTARA, BRENT M. ET AL FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-001603 Salaries and Wages - Regular 701 17,145.00 Cash in Bank - Local Currency , Current Account 111 17,145.00 Payment of Salaries and Wages thru Bank - ABELLA, EUSEBIO A. ET AL FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-001604 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 53,659.00 111 53,659.00 Payment of Salaries and Wages thru Bank - ABELLA, FRANCISCA Y. ET AL FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-001605 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 44,529.00 111 44,529.00 Payment of Salaries and Wages thru Bank - ABELLANA, MA ELENA F. ET AL FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-001606 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 18,457.00 111 18,457.00 Payment of Salaries and Wages thru Bank - ADLAWAN, RUFINA A. ET AL FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-001607 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 31,794.00 111 31,794.00 Payment of Salaries and Wages thru Bank - ABELLA, JEYNO V. ET AL FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-001608 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 926.00 111 926.00 Payment of Salaries and Wages thru Bank - DELA CERNA, FE C. FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-001609 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 21,308.00 111 21,308.00 Payment of Salaries and Wages thru Bank - ABELLA, ANTONIO JR. T. ET AL FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-001610 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 21,061.00 111 21,061.00 Payment of Salaries and Wages thru Bank - ABELGAS, BELONA O. ET AL FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-001611 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 3,094.00 111 3,094.00 Payment of Salaries and Wages thru Bank - BALCON, MARIO B. ET AL FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-001612 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 53,998.00 111 53,998.00 Payment of Salaries and Wages thru Bank - ABELLA, MYRA A. ET AL FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-001613 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 15,371.00 111 15,371.00 Payment of Salaries and Wages thru Bank - AGUILA, NICEA D. ET AL FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-001614 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 111 15,751.00 15,751.00 Payment of Salaries and Wages thru Bank - ABENOJA, LUISITO D. ET AL FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-001615 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 3,970.00 111 3,970.00 Payment of Salaries and Wages thru Bank - DEL ROSARIO, DYLAN P. FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-001616 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 18,557.00 111 18,557.00 Payment of Salaries and Wages thru Bank - ABELLANOSA, RICO P. ET AL FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-001617 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 5,762.00 111 5,762.00 Payment of Salaries and Wages thru Bank - BAGUIO, SILVERIANA L. ET AL FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-001620 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 16,300.00 111 16,300.00 Payment of Salaries and Wages thru Bank - ABASTAS, VIRGILIO B. ET AL FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-001621 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 40,318.00 111 40,318.00 Payment of Salaries and Wages thru Bank - ALIVIO, NICANOR E. ET AL FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-001622 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 5,718.00 111 5,718.00 Payment of Salaries and Wages thru Bank - OSMEÑA, TOMAS DR. FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-001623 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 1,924.00 111 1,924.00 Payment of Salaries and Wages thru Bank - CAÑETE, LEONIDA F. FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-001624 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 16,101.00 111 16,101.00 Payment of Salaries and Wages thru Bank - ABELGAS, INGRID R. ET AL FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-001625 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 29,061.00 111 29,061.00 Payment of Salaries and Wages thru Bank - ABOBO, JIMMY B. ET AL FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-001626 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 7,245.00 111 7,245.00 Payment of Salaries and Wages thru Bank - ABARQUEZ, JANE C. ET AL FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-001627 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 515.00 111 515.00 Payment of Salaries and Wages thru Bank - GALIDO, ROGER N. FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-001629 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 111 52,223.00 52,223.00 Payment of Salaries and Wages thru Bank - ABADIA, MA. FATIMA E. ET AL FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-001925 Other Maintenance and Other Operating Expenses 969 20,000.00 Cash in Bank - Local Currency , Current Account 111 20,000.00 Payment for Other Maintenance and Other Operating Expenses- MARIA LUX HERCILES 3RD CASH PRIZE - ARCH/DECOR CATEGORY DURING THE CY 2010 SINUGLOG FESTIVAL. Ck#698062 Feb 19 2010-02-001926 Due to LGUs 418 Cash in Bank - Local Currency , Current Account 474,834.15 111 474,834.15 Payment for Inter-Agency Payable- BARANGAY KASAMBAGAN RELEASE THE COMMUNITY MICRO ASSISTANCE PROGRAM. Ck#698064 Feb 19 2010-02-001927 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 4,000.00 111 4,000.00 Refund of Performance Bond to Contractor- SACHEM MARKETING REFUND THE BID SECURITY UNDER OFFICIAL RECEIPT #8985517 DATED 05/07/09 Feb 19 2010-02-001928 Telephone Expenses - Mobile 773 Cash in Bank - Local Currency , Current Account Ck#698060 799.02 111 799.02 Payment for Communication Expenses -F JOCELYN BRIONES-AVILA PAYMENT FOR DEC. 10, 2009 TO JAN. 9, 2010. Ck#211300 Feb 19 2010-02-001929 Due to Officers and Employees 403 2,000.00 Cash in Bank - Local Currency , Current Account 111 2,000.00 Payment for Due to Officers and Employees- JULIUS S. GOLOSINO REMBURSEMENT FOR PAYMENT OF COMMUNICATION SERVICE FOR NOV. 9 TO DEC. 10, 2009. Ck#211301 Feb 19 2010-02-001930 Telephone Expenses - Mobile 773 Cash in Bank - Local Currency , Current Account 3,899.00 111 3,899.00 Payment for Communication Expenses- AGAPITO CUGAY JR. TO PAYMENT FOR JAN. 9, TO FEB. 9, 2010. Ck#211302 Feb 19 2010-02-001931 Due to PAG-IBIG 414 Cash in Bank - Local Currency , Current Account 1,821.84 111 1,821.84 Refund of Excess Employees Taxes, Loans and Premiums- ROBILLOS, JORDAN TO REFUND THE PAG-IBIG LOAN PAYMENT OF FEBRUARY 2010. Ck#211303 Feb 19 2010-02-001933 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 3,500.00 111 3,500.00 Payment for Due to Officers and Employees- EUSTAQUIO B. CESA REIMBURSEMENT FOR PAYMENT OF COMMUNICATION SERVICE FOR DEC. 2009. Ck#211304 Feb 19 2010-02-001934 Due to Officers and Employees 403 2,733.82 Cash in Bank - Local Currency , Current Account 111 2,733.82 Payment for Due to Officers and Employees - LIBRADO O. MACARAYA REIMBURSEMENT FOR PAYMENT OF COMMUNICATION SERVICES FOR OCT. TO DEC. 2009. Ck#211305 Feb 19 2010-02-001935 Due to Officers and Employees 403 3,700.00 Cash in Bank - Local Currency , Current Account 111 3,700.00 Payment for Due to Officers and Employees - EUGENIO F. FAELNAR REIMBURSEMENT FOR PAYMENT OF COMMUNICATION SERVICE FOR SEPT. 27 TO OCT. 26, 2009. Ck#211306 Feb 19 2010-02-001936 Due to Officers and Employees 403 9,031.68 Cash in Bank - Local Currency , Current Account 111 9,031.68 Payment for Due to Officers and Employees - TOMAS R. OSMEÑA REIMBURSEMENT FOR PAYMENT OF COMMUNICATION SERVICE OF MAYOR'S RESIDENCE FOR NOV. 2009. Ck#211307 Feb 19 2010-02-001937 Due to Other NGAs 416 Cash in Bank - Local Currency , Current Account 2,500.00 111 2,500.00 Payment for Communication Expenses - RAPHAEL YRASTORZA REIMBURSEMENT FOR PAYMENT FOR SEPT. 10 TO OCT. 9, 2009. Ck#211308 Feb 19 2010-02-001938 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 3,592.01 111 3,592.00 Prior Years' Adjustments 684 0.01 Payment for Due to Officers and Employees - EUGENIO F. FAELNAR REIMBURSEMENT FOR PAYMENT OF COMMUNICATION SERVICE FOR NOV. 27 TO DEC. 26, 2009. Ck#211309 Feb 19 2010-02-001939 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 2,904.21 111 2,904.21 Payment for Due to Officers and Employees- LYNDON S. J. BASAN REIMBURSEMENT FOR PAYMENT OF COMMUNICATION SERVICE FOR DEC. 2009. Ck#211310 Feb 19 2010-02-001941 Accounts Payable 401 Cash in Bank - Local Currency , Current Account 10,973.00 111 10,973.00 Payment for Accounts Payable - JOMAR AMEROL REIMBI\URSEMENT FOR TRAVEL EXPENSES IN GENERAL SANTOS CITY ON NOV. 27-30,2009. Ck#211311 Feb 19 2010-02-001942 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 420.00 111 420.00 Payment for Due to Officers and Employees - MARIA Q. PACULABA PAYMENT OF TRANSPORTATION EXPENSES FOR DEC. 1-31, 2009. Ck#211312 Feb 19 2010-02-001943 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 476.00 111 476.00 Payment for Due to Officers and Employees - MARJORIE R. MEDALLE TO PAYMENT OF TRANSPORTATION EXPENSES FOR DEC. 1-31, 2009. Ck#211313 Feb 19 2010-02-001944 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 2,700.00 111 2,700.00 Payment for Due to Officers and Employees - ELEODORO DIAZ IV REIMBURSEMENT OF TRAVELLING EXPENSES FOR MAR. 1-31, 2009. Ck#211314 Feb 19 2010-02-001945 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 2,700.00 111 2,700.00 Payment for Due to Officers and Employees - JERONE CASTILLO REIMBURSEMENT OF TRAVELLING EXPENSES FOR MAR 1-27, 2009 Ck#211315 Feb 19 2010-02-001946 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 2,700.00 111 2,700.00 Payment for Due to Officers and Employees - JERONE CASTILLO REIMBURSEMENT OF TRAVELLING EXPENSES FOR FEB. 1-27, 2009. Ck#211316 Feb 19 2010-02-001947 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment for Due to Officers and Employees -OFELIA M. OLIVA REIMBURSEMNT OF VARIOUS EXPENSES FOR DEC. 2009. Ck#211317 Feb 19 2010-02-001950 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 111 5,000.00 5,000.00 Payment for Due to Officers and Employees - OFELIA M. OLIVA REIMBURSEMENT OF VARIOUS EXPENSES FOR OCT. 2009. Ck#211318 Feb 19 2010-02-001951 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 5,000.00 111 5,000.00 Payment for Due to Officers and Employees- OFELIA M. OLIVA TO PAYMENT OF VARIOUS EXPENSES FOR SEPT. 2009. Ck#211319 Feb 19 2010-02-001957 Extraordinary Expenses 883 13,000.00 Cash in Bank - Local Currency , Current Account 111 13,000.00 Payment / Reimbursement for Miscellaneous, Extra-ordinary / Confidential Expenses- CATHERINE YSO REIMBURSMENT FOR PAYMENT OF FOOD AND DRINKS SERVED LAST JAN. 9 & 23, 2010. Ck#211320 Feb 19 2010-02-001958 Due to GSIS 413 1,858.00 Cash in Bank - Local Currency , Current Account 111 1,858.00 Refund of Excess Employees Taxes, Loans and Premiums- ROLANDO B. QUIJANO II TO REFUND THE GSIS CONSOLIDATED LOAN PAYMENT FOR FEBRUARY 2010. Ck#211321 Feb 19 2010-02-001960 Due to GSIS 413 Cash in Bank - Local Currency , Current Account 1,567.46 111 1,567.46 Refund of Excess Employees Taxes, Loans and Premiums - ATILLO, EDNA D. TO REFUND THE GSIS CONSOLIATED LOAN PAYMENT FOR FEBRUARY 2010. Ck#211322 Feb 19 2010-02-001961 Due to GSIS 413 Cash in Bank - Local Currency , Current Account 1,600.00 111 1,600.00 Refund of Excess Employees Taxes, Loans and Premiums- LIGAN JR, ALFONSO T. TO REFUND THE GSIS CONSOLIDATED LOAN PAYMENT FOR FEBRUARY 2010. Ck#211323 Feb 19 2010-02-001963 Due to GSIS 413 Cash in Bank - Local Currency , Current Account 1,900.00 111 1,900.00 Refund of Excess Employees Taxes, Loans and Premiums- RIVERA, ROSENDO M. TO REFUND THE GSIS CONSOLIDATED LOAN PAYMENT FOR FEBRUARY 2010. Ck#211324 Feb 19 2010-02-001965 Due to GSIS 413 Cash in Bank - Local Currency , Current Account 1,500.00 111 1,500.00 Refund of Excess Employees Taxes, Loans and Premiums - SOQUIÑO ARESTA Y. TO REFUND THE GSIS CONSOLIDATED LOAN PAYMENT FOR FEBRUARY 2010. Ck#2158 Feb 19 2010-02-001967 Due to GSIS 413 Cash in Bank - Local Currency , Current Account 2,276.23 111 2,276.23 Refund of Excess Employees Taxes, Loans and Premiums - GUCOR, CIFERIA TO REFUND THE GSIS CONSOLIDATED LOAN PAYMENT FOR FEBRUARY 2010. Ck#211326 Feb 19 2010-02-001969 Other Payables 439 Cash in Bank - Local Currency , Current Account 2,190.00 111 2,190.00 Refund of Excess Employees Taxes, Loans and Premiums - JOSE MARLON V. MISSION JR. TO REFUND THE BCCI LOAN PAYMENT FOR FEB. 2010 Ck#211327 Feb 19 2010-02-001970 Accounts Payable Due to Officers and Employees 401 5,000.00 403 19,000.00 Cash in Bank - Local Currency , Current Account 111 19,850.00 Due to BIR 412 4,150.00 Payment of Allowances, Bonus and Other Compensation- MICHAEL RAMA ET AL TO PAYMENT OF HONORARIUM FOR NOV. AND DEC. 2009. Ck#211328 Feb 19 2010-02-001971 Representation Allowance (RA) Transportation Allowance (TA) 713 6,300.00 714 6,300.00 Cash in Bank - Local Currency , Current Account 111 12,600.00 Payment of Allowances, Bonus and Other Compensation - RALPH J. SEVILLA TO PAYMENT OF REPRESENTATION AND TRANSPORTATION ALLOWANCE FOR FEB. 2010. Ck#211329 Feb 19 2010-02-001972 Salaries and Wages - Casual 705 1,076.04 Personnel Economic Relief Allowance (PERA) 711 272.72 Life and Retirement Insurance Contributions 731 129.12 PAG-IBIG Contributions 732 21.52 PHILHEALTH Contributions 733 50.00 ECC Contributions 734 10.76 Cash in Bank - Local Currency , Current Account 111 1,180.40 Due to GSIS 413 236.72 Due to PAG-IBIG 414 43.04 Due to PHILHEALTH 415 100.00 Payment of Salaries and Wages thru Bank - JUNA DIGNA G. CABILES PAYMENT FOR 1ST SALARY FOR JAN. 27-31, 2010. Ck#211330 Feb 19 2010-02-001973 Due to GSIS 413 Cash in Bank - Local Currency , Current Account 2,583.00 111 2,583.00 Refund of Excess Employees Taxes, Loans and Premiums - JONNA ESINOSA TO REFUND THE GSIS CONSOLIDATED LOAN PAYMENT FOR FEBRUARY 2010. Ck#211331 Feb 19 2010-02-001974 Due to GSIS 413 Cash in Bank - Local Currency , Current Account 791.89 111 791.89 Refund of Excess Employees Taxes, Loans and Premiums- BOHOL EVANGELINA TO REFUND THE GSIS CONSOLIDATED LOAN PAYMENT FOR FEBRUARY 2010. Ck#211332 Feb 19 2010-02-001975 Due to GSIS 413 Cash in Bank - Local Currency , Current Account 1,881.28 111 1,881.28 Refund of Excess Employees Taxes, Loans and Premiums- CABALLES, CRESENTE TO REFUND THE GSIS CONSOLIDATED LOAN PAYMENT FOR FEBRUARY 2010. Ck#211334 Feb 19 2010-02-001976 Due to GSIS 413 Cash in Bank - Local Currency , Current Account 739.61 111 739.61 Refund of Excess Employees Taxes, Loans and Premiums- CALAMBRO, LILIA TO REFUND THE GSIS CONSOLIDATED LOAN PAYMENT FOR FEBRUARY 2010. Ck#211335 Feb 19 2010-02-001977 Due to PAG-IBIG 414 Cash in Bank - Local Currency , Current Account 1,656.95 111 1,656.95 Refund of Excess Employees Taxes, Loans and Premiums - CAÑAS, TERESITA TO REFUND THE PAG-IBIG LOAN PAYMENT FOR FEBRUARY 2010. Ck#211336 Feb 19 2010-02-001978 Due to GSIS 413 Cash in Bank - Local Currency , Current Account 1,117.16 111 1,117.16 Refund of Excess Employees Taxes, Loans and Premiums- CAÑAS TERESITA TO REFUND THE GSIS CONSOLIDATED LOAN PAYMENT FOR FEBRUARY 2010. Ck#211337 Feb 19 2010-02-001979 Due to GSIS 413 Cash in Bank - Local Currency , Current Account 1,708.21 111 1,708.21 Refund of Excess Employees Taxes, Loans and Premiums - PEDRO O..YU JR. TO REFUND THE GSIS CONSOLIDATED LOAN PAYMENT FOR FEBRUARY 2010. Ck#211338 Feb 19 2010-02-001980 Due to GSIS 413 Cash in Bank - Local Currency , Current Account 111 2,221.31 2,221.31 Refund of Excess Employees Taxes, Loans and Premiums - CASIO, RAQEL TO REFUND THE GSIS CONSLIDATED LOAN PAYMENT FOR FEBRUARY 2010. Ck#211339 Feb 19 2010-02-001981 Due to GSIS 413 Cash in Bank - Local Currency , Current Account 739.61 111 739.61 Refund of Excess Employees Taxes, Loans and Premiums- GUARISMA, GERMAN TO REFUND THE GSIS CONSOLIDATED LOAN PAYMENT FOR FEBRUARY 2010. Ck#211340 Feb 19 2010-02-001982 Due to GSIS 413 Cash in Bank - Local Currency , Current Account 1,390.00 111 1,390.00 Refund of Excess Employees Taxes, Loans and Premiums- INOC, DIONISIO P. TO REFUND THE GSIS CONSOLIDATED LOAN PAYMENT FOR FEBRUARY 2010. Ck#211341 Feb 19 2010-02-001983 Advances to Officers and Employees 148 Cash in Bank - Local Currency , Current Account 130,000.00 111 130,000.00 Grant of Cash Advance- SERGIA A. AROY FOR DAILY MARKETING PURCHASE OF CCMC DIETARY SECTION. Ck#712748 Feb 19 2010-02-002142 Due to LGUs 418 Cash in Bank - Local Currency , Current Account 80,951.35 111 80,951.35 Payment for Inter-Agency Payable- BARANGAY PARIL TO RELEASE THE COMMUNITY MICRO ASSISTANCE PROGRAM . Ck#698063 Feb 19 2010-02-003015 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 1,631.00 111 1,631.00 Payment of Salaries and Wages thru Bank - BORDAJE, AILEEN B. ET AL FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-003017 Overtime and Night Pay 723 11,949.99 Cash in Bank - Local Currency , Current Account 111 10,760.03 Due to BIR 412 1,189.96 Payment of Allowances, Bonus and Other Compensation - BANGUIRAN, CAROLINA A. ET AL AS OVERTIME PAY FOR JANUARY, 2010. Feb 19 2010-02-003018 Due to Officers and Employees 403 13,126.81 Cash in Bank - Local Currency , Current Account 111 10,795.50 Due to BIR 412 2,331.31 Payment for Due to Officers and Employees-ARANDA ROLANDO ET.AL. AS OVERTIME PAY FOR JUNE 2009. Feb 19 2010-02-003020 Salaries and Wages - Casual 705 3,724.71 Life and Retirement Insurance Contributions 731 737.88 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 75.00 ECC Contributions 734 95.37 Cash in Bank - Local Currency , Current Account 111 2,424.30 Due to GSIS 413 1,486.66 Due to PAG-IBIG 414 672.00 Due to PHILHEALTH 415 150.00 Payment of Salaries and Wages thru Bank - TECSON, OLIVER G. FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 19 2010-02-003021 Salaries and Wages - Casual 705 39,201.00 Life and Retirement Insurance Contributions 731 9,408.24 PAG-IBIG Contributions 732 1,100.00 PHILHEALTH Contributions 733 937.50 ECC Contributions 734 778.64 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 29,606.12 501.20 Due to GSIS 413 17,243.06 Due to PAG-IBIG 414 2,200.00 Due to PHILHEALTH 415 1,875.00 Payment of Salaries and Wages thru Bank - ABELLA, MARIA R. ET AL FOR FEBRUARY 1-15, 2010 Feb 19 2010-02-003023 Salaries and Wages - Casual 705 91,035.71 Life and Retirement Insurance Contributions 731 16,059.12 PAG-IBIG Contributions 732 1,300.00 PHILHEALTH Contributions 733 1,587.50 ECC Contributions 734 1,276.20 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 41,740.28 5,494.78 Due to GSIS 413 44,777.96 Due to PAG-IBIG 414 16,070.51 Due to PHILHEALTH 415 3,175.00 Payment of Salaries and Wages thru Bank - CORTES, SERAPION JR. L. ET AL FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 19 2010-02-003025 Salaries and Wages - Casual 705 9,848.00 Personnel Economic Relief Allowance (PERA) 711 2,000.00 Life and Retirement Insurance Contributions 731 1,181.76 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 112.50 ECC Contributions 734 147.20 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 8,921.61 307.24 Due to GSIS 413 3,520.75 Due to PAG-IBIG 414 414.86 Due to PHILHEALTH 415 225.00 Payment of Salaries and Wages thru Bank-PUNGASE, APRIL MAE A. FOR JANUARY 1-31, 2010. Feb 19 2010-02-003027 Salaries and Wages - Casual 705 43,341.00 Life and Retirement Insurance Contributions 731 10,401.84 PAG-IBIG Contributions 732 800.00 PHILHEALTH Contributions 733 1,025.00 ECC Contributions 734 794.86 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 28,509.35 5,205.27 Due to GSIS 413 18,998.08 Due to PAG-IBIG 414 1,600.00 Due to PHILHEALTH 415 2,050.00 Payment of Salaries and Wages thru Bank - AUREO, CRISTALENE F. ET AL FOR FEBRUARY 1-15, 2010 Feb 19 2010-02-003028 Salaries and Wages - Casual 705 25,496.00 Life and Retirement Insurance Contributions 731 6,119.04 PAG-IBIG Contributions 732 400.00 PHILHEALTH Contributions 733 600.00 ECC Contributions 734 400.00 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 4,097.08 Due to GSIS 413 11,108.32 Due to PAG-IBIG 414 800.00 Due to PHILHEALTH 415 1,200.00 439 3,100.00 Other Payables 12,709.64 Payment of Salaries and Wages thru Bank - JAYME, IVY MAE E. ET AL FOR FEBRUARY 1-15, 2010 Feb 19 2010-02-003040 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 2,034.00 111 2,034.00 Payment of Salaries and Wages thru Bank - BONTUYAN, EVANGELINE M. FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-003041 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 45,023.00 111 45,023.00 Payment of Salaries and Wages thru Bank - ABERION, YVONNE M. ET AL FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-003043 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 6,150.00 111 6,150.00 Payment of Salaries and Wages thru Bank - BONTILAO, ALYTH A. ET AL FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-003044 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 58,406.00 111 58,406.00 Payment of Salaries and Wages thru Bank - ABELLANA, FELIX N. ET AL FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-003060 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 18,150.00 111 18,150.00 Payment of Salaries and Wages thru Bank - ABARQUEZ, ALFONSO C. ET AL FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-003062 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 7,408.00 111 7,408.00 Payment of Salaries and Wages thru Bank - ABADIA, JONATHAN A. ET AL FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-003063 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 7,647.00 111 7,647.00 Payment of Salaries and Wages thru Bank - ALBUTRA, ORLANDO C. ET AL FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-003065 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 953.00 111 953.00 Payment of Salaries and Wages thru Bank - ACENAS, VICTOR E. ET AL FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-003066 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 111 26,277.00 26,277.00 Payment of Salaries and Wages thru Bank - ANG, JEROME G. ET AL FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-003067 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 4,049.00 111 4,049.00 Payment of Salaries and Wages thru Bank - GABIANA, DANILO R. FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-003068 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 13,805.00 111 13,805.00 Payment of Salaries and Wages thru Bank - ABELGAS, JOSE P. ET AL FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-003069 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 57,579.00 111 57,579.00 Payment of Salaries and Wages thru Bank - ANTIPORTA, BENJAMIN Q. ET AL FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-003070 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 753.00 111 753.00 Payment of Salaries and Wages thru Bank - CABAÑES, OSMUNITO O. FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-003071 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 1,054.00 111 1,054.00 Payment of Salaries and Wages thru Bank - RUIZO, NARCISA E. FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-003072 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 16,827.00 111 16,827.00 Payment of Salaries and Wages thru Bank - ALESNA, ALEXANDER M. ET.AL FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-003073 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 15,613.00 111 15,613.00 Payment of Salaries and Wages thru Bank - ABAN, ELEAZAR S. ET AL FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-003074 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 12,909.00 111 12,909.00 Payment of Salaries and Wages thru Bank - ABELLA, LOLITA N. ET.AL FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-003075 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 6,601.00 111 6,601.00 Payment of Salaries and Wages thru Bank - ABONG, FELIXBERTO P. ET AL FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-003076 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 52,401.00 111 52,401.00 Payment of Salaries and Wages thru Bank - ABELLANA, ROLANDO DV. ET AL FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-003078 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 13,144.00 111 13,144.00 Payment of Salaries and Wages thru Bank - ABBU, GLESILDA T. ET AL FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-003080 Salaries and Wages - Regular Cash in Bank - Local Currency , Current Account 701 111 16,242.00 16,242.00 Payment of Salaries and Wages thru Bank - ABATAYO, EVANGELINE T. ET AL FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-003081 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 6,102.00 111 6,102.00 Payment of Salaries and Wages thru Bank - CAMPOMANES, MARI FE A. ET AL FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-003082 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 8,239.00 111 8,239.00 Payment of Salaries and Wages thru Bank - DIÑO, DOMINIC A. ET AL FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-003083 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 59,596.00 111 59,596.00 Payment of Salaries and Wages thru Bank - BACALSO, TOMAS JR. Y. ET AL FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-003084 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 4,638.00 111 4,638.00 Payment of Salaries and Wages thru Bank - CABAHUG, FLORA T. ET AL FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-003086 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 159,098.00 111 159,098.00 Payment of Salaries and Wages thru Bank - ABASTILLAS, EPIFANIA R. ET AL FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-003087 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 4,349.00 111 4,349.00 Payment of Salaries and Wages thru Bank - CABUNGCAL, NORMA V. ET AL FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-003089 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 69,948.00 111 69,948.00 Payment of Salaries and Wages thru Bank - ABADILLA, NERISSA B. ET AL FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-003090 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 34,769.00 111 34,769.00 Payment of Salaries and Wages thru Bank - ALCUIZAR. SNRTA MARIE TRECE R. ET AL FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-003091 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 2,549.00 111 2,549.00 Payment of Salaries and Wages thru Bank - BANONO, ROMEO P. ET AL FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-003092 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 86,953.00 111 86,953.00 Payment of Salaries and Wages thru Bank - ABELLANOSA, RODRIGO A. ET AL FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-003093 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 853.00 111 853.00 Payment of Salaries and Wages thru Bank - INOC, DIONISIO P. FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-003094 Salaries and Wages - Regular 701 815.00 Cash in Bank - Local Currency , Current Account 111 815.00 Payment of Salaries and Wages thru Bank - ABAD, FERNANDO Q. FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-003095 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 9,855.00 111 9,855.00 Payment of Salaries and Wages thru Bank - BAGUIO, SERGIO B. ET AL FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-003099 Salaries and Wages - Casual 705 10,381.50 Life and Retirement Insurance Contributions 731 2,491.56 PAG-IBIG Contributions 732 300.00 PHILHEALTH Contributions 733 250.00 ECC Contributions 734 207.63 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 5,440.79 22.04 Due to GSIS 413 4,567.86 Due to PAG-IBIG 414 600.00 Due to PHILHEALTH 415 500.00 Other Payables 439 2,500.00 Payment of Salaries and Wages thru Bank - CARUZCA, VINCENT A. ET AL FOR FEBRUARY 1-15, 2010 Feb 19 2010-02-003102 Salaries and Wages - Casual 705 10,768.50 Life and Retirement Insurance Contributions 731 2,584.44 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 262.50 ECC Contributions 734 100.00 Cash in Bank - Local Currency , Current Account 111 8,467.67 Due to GSIS 413 4,622.77 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 525.00 Payment of Salaries and Wages thru Bank - NIELO, VERNA PILAR S. FOR FEBRUARY 1-15, 2010 Feb 19 2010-02-003105 Salaries and Wages - Casual 705 115,145.00 Life and Retirement Insurance Contributions 731 27,634.80 PAG-IBIG Contributions 732 2,000.00 PHILHEALTH Contributions 733 2,825.00 ECC Contributions 734 2,246.36 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 83,899.92 4,838.14 Due to GSIS 413 51,284.62 Due to PAG-IBIG 414 4,178.48 Due to PHILHEALTH 415 5,650.00 Payment of Salaries and Wages thru Bank - ACAR, DEXTER R. ET AL FOR FEBRUARY 1-15, 2010 Feb 19 2010-02-003120 Salaries and Wages - Casual 705 24,995.50 Life and Retirement Insurance Contributions 731 5,998.92 PAG-IBIG Contributions 732 700.00 PHILHEALTH Contributions 733 600.00 ECC Contributions 734 533.79 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 17,497.62 890.00 Due to GSIS 413 11,470.58 Due to PAG-IBIG 414 1,770.01 Due to PHILHEALTH 415 1,200.00 Payment of Salaries and Wages thru Bank - BACULAO, ELEMP A. ET AL FOR FEBRUARY 1-15, 2010 Feb 19 2010-02-003123 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 4,080.00 111 4,080.00 Payment for Due to Officers and Employees - ABABA, ROMULO P. ET AL AS TRAVELLING ALLOWANCE FOR DECEMBER, 2009 Feb 19 2010-02-003137 Salaries and Wages - Contractual 706 10,768.50 Life and Retirement Insurance Contributions 731 2,584.44 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 262.50 ECC Contributions 734 100.00 Cash in Bank - Local Currency , Current Account 111 5,543.67 Due to BIR 412 2,924.00 Due to GSIS 413 4,622.77 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 525.00 Payment of Salaries and Wages thru Bank - ARANAYDO, PRIMA GLENDA D. FOR JANUARY 1-15, 2010 Feb 19 2010-02-003138 Salaries and Wages - Casual 705 20,779.37 Personnel Economic Relief Allowance (PERA) 711 1,796.45 Life and Retirement Insurance Contributions 731 2,493.52 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 250.00 ECC Contributions 734 100.00 Cash in Bank - Local Currency , Current Account 111 20,355.68 Due to GSIS 413 4,463.66 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 500.00 Payment of Salaries and Wages thru Bank - ABELGAS, EDGAR C. FOR JANUARY 1-31, 2010 Feb 19 2010-02-003193 Salaries and Wages - Regular 701 15,575.99 Personnel Economic Relief Allowance (PERA) 711 3,831.73 Life and Retirement Insurance Contributions 731 1,869.12 PAG-IBIG Contributions 732 200.00 PHILHEALTH Contributions 733 187.50 ECC Contributions 734 183.53 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 11,357.27 334.62 Due to GSIS 413 5,459.22 Due to PAG-IBIG 414 736.76 Due to PHILHEALTH 415 375.00 Other Payables 439 3,585.00 Payment of Salaries and Wages thru Bank - SADILI, ARTHUR O. ET AL FOR JANUARY 1-31, 2010 Feb 19 2010-02-003203 Salaries and Wages - Casual 705 4,126.07 Life and Retirement Insurance Contributions 731 876.84 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 87.50 ECC Contributions 734 73.07 Cash in Bank - Local Currency , Current Account 111 3,180.94 Due to GSIS 413 1,607.54 Due to PAG-IBIG 414 300.00 415 175.00 Due to PHILHEALTH Payment of Salaries and Wages thru Bank - ELIZAR, NEIL C. FOR FEBRUARY 1 28, 2010 (1ST HALF) Feb 19 2010-02-003210 Salaries and Wages - Casual 705 10,381.50 Life and Retirement Insurance Contributions 731 2,491.56 PAG-IBIG Contributions 732 300.00 PHILHEALTH Contributions 733 250.00 ECC Contributions 734 207.63 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 204.93 Due to GSIS 413 5,595.63 Due to PAG-IBIG 414 600.00 415 500.00 Due to PHILHEALTH 6,730.13 Payment of Salaries and Wages thru Bank - MABUNAY, FRANCISCO JR. L. ET AL FOR FEBRUARY 1-15, 2010 Feb 19 2010-02-003215 Salaries and Wages - Casual 705 3,740.63 Life and Retirement Insurance Contributions 731 804.36 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 75.00 ECC Contributions 734 111.72 Cash in Bank - Local Currency , Current Account 111 2,962.36 Due to GSIS 413 1,519.35 Due to PAG-IBIG 414 200.00 415 150.00 Due to PHILHEALTH Payment of Salaries and Wages thru Bank - TACUD, JINKY C. FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 19 2010-02-003217 Salaries and Wages - Casual 705 7,599.00 Life and Retirement Insurance Contributions 731 1,823.76 PAG-IBIG Contributions 732 200.00 PHILHEALTH Contributions 733 175.00 ECC Contributions 734 273.02 Cash in Bank - Local Currency , Current Account 111 5,856.18 Due to GSIS 413 3,464.60 Due to PAG-IBIG 414 400.00 415 350.00 Due to PHILHEALTH Payment of Salaries and Wages thru Bank - ALIT, DEXTER G. ET AL FOR FEBRUARY 1-15, 2010 Feb 19 2010-02-003219 Salaries and Wages - Casual 705 5,269.00 Life and Retirement Insurance Contributions 731 1,264.56 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 125.00 ECC Contributions 734 100.00 Cash in Bank - Local Currency , Current Account 111 3,906.69 Due to GSIS 413 2,501.87 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 250.00 Payment of Salaries and Wages thru Bank - PRIMACIO, CARLO B. FOR FEBRUARY 1-15, 2010 (1ST HALF) Feb 19 2010-02-003221 Salaries and Wages - Casual 705 4,602.00 Life and Retirement Insurance Contributions 731 1,104.48 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 112.50 ECC Contributions 734 92.04 Cash in Bank - Local Currency , Current Account 111 3,561.14 Due to GSIS 413 2,024.88 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 225.00 Payment of Salaries and Wages thru Bank - CADAR, ALI P. FOR FEBRUARY 1-15, 2010 Feb 19 2010-02-003222 Salaries and Wages - Casual 705 64,384.50 Life and Retirement Insurance Contributions 731 15,452.28 PAG-IBIG Contributions 732 1,100.00 PHILHEALTH Contributions 733 1,562.50 ECC Contributions 734 1,025.59 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 42,782.66 1,134.55 Due to GSIS 413 31,749.79 Due to PAG-IBIG 414 4,732.87 Due to PHILHEALTH 415 3,125.00 Payment of Salaries and Wages thru Bank - ABELLANOSA, CHERRY ANN B. ET AL FOR FEBRUARY 1-15, 2010 Feb 19 2010-02-003224 Salaries and Wages - Casual 705 12,298.00 Personnel Economic Relief Allowance (PERA) 711 4,000.00 Life and Retirement Insurance Contributions 731 1,475.76 PAG-IBIG Contributions 732 200.00 PHILHEALTH Contributions 733 150.00 ECC Contributions 734 122.98 Cash in Bank - Local Currency , Current Account 111 14,841.18 Due to GSIS 413 2,705.56 Due to PAG-IBIG 414 400.00 Due to PHILHEALTH 415 300.00 Payment of Salaries and Wages thru Bank - CONCEPTION, EXPEDITHA C. ET AL FOR JANUARY 1-31, 2010 Feb 19 2010-02-003225 Salaries and Wages - Casual 705 67,393.50 Life and Retirement Insurance Contributions 731 16,174.44 PAG-IBIG Contributions 732 1,100.00 PHILHEALTH Contributions 733 1,587.50 ECC Contributions 734 1,073.07 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 43,356.74 9,218.43 Due to GSIS 413 29,378.34 Due to PAG-IBIG 414 2,200.00 Due to PHILHEALTH 415 3,175.00 Payment of Salaries and Wages thru Bank - ABIABI, CHRISTINE MARIE J. ET AL FOR FEBRUARY 1-15, 2010 Feb 19 2010-02-003309 Salaries and Wages - Regular 701 13,737.43 Life and Retirement Insurance Contributions 731 2,040.00 PAG-IBIG Contributions 732 200.00 PHILHEALTH Contributions 733 200.00 ECC Contributions 734 170.00 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 3,263.00 900.00 Due to GSIS 413 6,984.43 Due to PAG-IBIG 414 3,200.00 Due to PHILHEALTH 415 400.00 Other Payables 439 1,600.00 Payment of Salaries and Wages thru Bank - BORDAJE, AILEEN B. ET AL FOR FEBRUARY 1-28, 2010 (1ST & 2ND WEEK) Feb 19 2010-02-003315 Salaries and Wages - Regular 701 Cash in Bank - Local Currency , Current Account 99,601.00 111 99,601.00 Payment of Salaries and Wages thru Bank - ABELLA, URBANO JR. R. ET AL FOR FEBRUARY 1-28, 2010 (3RD WEEK) Feb 19 2010-02-003708 Salaries and Wages - Contractual Personnel Economic Relief Allowance (PERA) 706 10,768.50 711 2,000.00 Cash in Bank - Local Currency , Current Account 111 9,734.50 Other Payables 439 3,034.00 Payment of Salaries and Wages thru Bank - ARANAYDO, PRIMA GLENDA D. FOR JANUARY 16-31, 2010 Feb 19 2010-02-004164 Construction in Progress - Flood Controls Accounts Payable 22 20,000.00 401 196,905.44 Cash in Bank - Local Currency , Current Account 111 184,598.85 Other Receivables 149 20,000.00 Due to BIR Feb 271 412 12,306.59 Cash Payment for Progress Billing of Contractors for Public Infrastructures - JEGMA CONSTRUCTION AND DEV. CORP. 3RD AND FINAL PAYMENT OF 100% WORK ACCOMPLISHMENT OF CONTRACT FOR THE PROJECT CLUSTER: A.) CONSTRUCTION OF DRAINAGE SYSTEM ALONG DON PEDRO 2010-02-002738 Due to LGUs 418 Cash in Bank - Local Currency , Current Account 111 143,496.90 143,496.90 Payment for Inter-Agency Payable-BARANGAY T. PADILLA Community Micro-Assistance Program (CMAP) for Brgy. for the Improvements of line Canal w/ cover. Ck#698068 Feb 22 2010-02-002740 Other Maintenance and Other Operating Expenses 969 38,400.00 Cash in Bank - Local Currency , Current Account 111 38,400.00 Payment for Training Expenses-LOCAL GOVERNMENT MECHANICAL ENGINEER'S ASSOCIATION OF THE PHILIPPINES ( LOGOMEAP) Registration Fee for the 6 participants on the 24th Annual Technical Consultative Conference on February 23-26, 2010. Ck#242427 Feb 22 2010-02-002743 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Feb 22 4,895,000.00 111 4,632,767.87 412 262,232.13 Payment for Accounts Payable-PASAJERO MOTORS CORP. Delivery of 11 units Factory reconditioned PASAJERO Transporter Tactical Mobile Patrol 11 Police Stations. NOTE: CHECK NO. 242428-CTV NO. 2200-P 4,607,341.53 - PASAJERO MOTORS CORP. CHECK NO 2010-02-002745 Subsidy to National Government Agencies 871 Cash in Bank - Local Currency , Current Account 2,125.00 111 2,125.00 Grant of Subsidies and Donations-F/SUPT. ESMAEL C. CODILLA Representation Allowance for the month of January 2010. Ck#211342 Feb 22 2010-02-002747 Due to Officers and Employees 403 18,000.00 Cash in Bank - Local Currency , Current Account 111 16,200.00 Due to BIR 412 1,800.00 Payment for Due to Officers and Employees-ARLEIGH JAY C. SITOY CONSULTANCY SERVICES FOR THE MONTH OF DECEMBER 2009. Ck#211343 Feb 22 2010-02-002748 Consultancy Services 793 12,000.00 Cash in Bank - Local Currency , Current Account 111 10,800.00 Due to BIR 412 1,200.00 Payment for Professional Services-SULTAN NAIF R. PUNUT Consultancy fee for Muslim Communities of Cebu for the month of January 2010. Ck#211344 Feb 22 2010-02-002749 Due to Officers and Employees 403 9,000.00 Cash in Bank - Local Currency , Current Account 111 8,100.00 Due to BIR 412 900.00 Payment for Due to Officers and Employees-MA. LYNNA P. ADVIENTO Consultancy fee for Committee on Youth and Sports Development for the period July 2009. Ck#211346 Feb 22 2010-02-002751 Other Payables 439 Cash in Bank - Local Currency , Current Account 1,780.00 111 1,780.00 Refund of Excess Employees Taxes, Loans and Premiums-CABRERA, MARINA B. Refund of BCCI LOAN for the month of February 2010. Ck#211347 Feb 22 2010-02-002752 Due to PAG-IBIG 414 Cash in Bank - Local Currency , Current Account 1,665.66 111 1,665.66 Refund of Excess Employees Taxes, Loans and Premiums-YBAÑEZ, SALVE L. Refund of Pag-ibig Loan intended for the month of February 2010. Ck#211348 Feb 22 2010-02-002754 Due to GSIS 413 Cash in Bank - Local Currency , Current Account 1,620.92 111 1,620.92 Refund of Excess Employees Taxes, Loans and Premiums-TRIFON A. SODE Refund of Overpayment of GSIS CONSOLATED LOAN for the month of February 2010. Ck#211349 Feb 22 2010-02-002756 Due to GSIS 413 Cash in Bank - Local Currency , Current Account 2,456.00 111 2,456.00 Refund of Excess Employees Taxes, Loans and Premiums-ANN L. PEGARIDO Refund of Overpayment of GSIS CONSOLATED LOAN for the month February 2010. Ck#211350 Feb 22 2010-02-002759 Due to Officers and Employees 403 1,000.00 Cash in Bank - Local Currency , Current Account 111 1,000.00 Payment for Due to Officers and Employees-ROSEL, DANILO B-16 under SINULOG INCENTIVE W/ PAV# 6626 and CTV# 6863 dated June 11, 2009. Ck#211351 Feb 22 2010-02-002760 Due to GSIS 413 Cash in Bank - Local Currency , Current Account 2,336.96 111 2,336.96 Refund of Excess Employees Taxes, Loans and Premiums-MARYLOU A. ALMODEL Refund of overtime of GSIS CONSOLATED LOAN for the month February 2010. Ck#211352 Feb 22 2010-02-002763 Due to GSIS 413 Cash in Bank - Local Currency , Current Account 1,265.58 111 1,265.58 Refund of Excess Employees Taxes, Loans and Premiums - CAL, ARNEL Refund of GSIS CONSOLOAN w/c intended for the month of February 2010. Ck#211353 Feb 22 2010-02-002766 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 9,552.05 111 9,552.05 Payment for Due to Officers and Employees-TOMAS R. OSMEÑA Reimbursement of communication services for the month of December 2009. Ck#211355 Feb 22 2010-02-002768 Due to Other NGAs 416 12,818.00 Cash in Bank - Local Currency , Current Account 111 12,818.00 Grant of Subsidies and Donations-GENEROSA LABRA Reimbursement of transportation expenses incurred while in Manila to attend the PWJA convention last March 3-7, 2009. Ck#211356 Feb 22 2010-02-002770 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 2,500.00 111 2,500.00 Payment for Due to Officers and Employees-ATTY. ELEODORO DIAZ IV Reimbursement of Globe communications services for the month of Oct. 10 to NOv. 9, 2009. Ck#211357 Feb 22 2010-02-002771 Telephone Expenses - Mobile 773 Cash in Bank - Local Currency , Current Account 976.00 111 976.00 Payment for Communication Expenses-HADRIANA A. SAMSON Reimbursement of communication services for the cellular phone for the month of January 2010. Ck#211359 Feb 22 2010-02-002778 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 14,829.50 111 14,669.60 Prior Years' Adjustments 684 159.90 Payment for Due to Officers and Employees-NIDA C. CABRERA Reimbursement of amount for travelling expenses to attend 6th "Zero Waste International Dialogue last November 1821, 2009." Ck#211362 Feb 22 2010-02-002781 Due to LGUs 418 Cash in Bank - Local Currency , Current Account 50,000.00 111 50,000.00 Payment for Inter-Agency Payable-BRGY. MABINI Release of Financial Assistance for Prizes of 1st CAPT. REY A. OYBENES BASKETBALL TOURNAMENT. Ck#211361 Feb 22 2010-02-002782 Telephone Expenses - Mobile 773 Cash in Bank - Local Currency , Current Account 1,000.00 111 1,000.00 Payment for Communication Expenses - FELIX JOSE H. LAZARTE Reimbursement of communication service for the month of January 2010. Ck#211363 Feb 22 2010-02-002783 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 985.00 111 985.00 Payment for Due to Officers and Employees-HADRIANA A. SAMSON Reimbursement of communication services for the month of November 2009. Ck#211364 Feb 22 2010-02-002786 Due to Officers and Employees 403 4,000.00 Cash in Bank - Local Currency , Current Account 111 4,000.00 Payment for Due to Officers and Employees-HON. EDWIN JAGMOC Reimbursement of monthly cellular bill covering the period from November 10, 2009 Tto December 09, 2009. Ck#211367 Feb 22 2010-02-002791 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 900.00 111 900.00 Payment for Due to Officers and Employees-JANIS C. REDULLA Reimbursement of communication services for pre-paid cards for the month of December 2009. Ck#211368 Feb 22 2010-02-002793 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 2,455.46 111 2,455.46 Payment for Due to Officers and Employees-WENDELL J. CENAS Reimbursement of cellular phone bill covering the period November 2009. Ck#211370 Feb 22 2010-02-002796 Due to Officers and Employees 403 1,800.00 Cash in Bank - Local Currency , Current Account 111 1,800.00 Payment for Due to Officers and Employees-FRITZGERALD D. HERRERA Reimbursement of communication services for the period November 10, 2009 - December 09, 2009. Ck#211371 Feb 22 2010-02-002800 Terminal Leave Benefits 742 Cash in Bank - Local Currency , Current Account 103,686.47 111 103,686.47 Payment of Terminal Leave Benefits-SATERA, FRANCISCO A. Terminal Leave covering the period October 5, 2009 to November 5, 2010. Feb 22 2010-02-002803 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account Ck#211372 3,500.00 111 3,500.00 Payment for Due to Officers and Employees-Atty. Ralph J. Sevilla Reimbursement of Globe communication services for the month of Sept. 16 to Oct. 15, 2009. Ck#211373 Feb 22 2010-02-002806 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 3,000.00 111 3,000.00 Payment for Due to Officers and Employees-JEROME G. ANG Reimbursement of Globe mobile phone bill for the period December 1-31, 2009. Ck#211374 Feb 22 2010-02-002809 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account 3,500.00 111 3,500.00 Payment for Due to Officers and Employees-ESTER E. CUBERO Reimbursement of Globe communication services covering the period December 1 to 31, 2009. Ck#211375 Feb 22 2010-02-002811 Other Maintenance and Other Operating Expenses Cash in Bank - Local Currency , Current Account 969 2,500.00 111 2,500.00 Payment of Medical and Burial Assistance-SUSAN SENO Medical Assistance Ck#211376 Feb 22 2010-02-002816 Due to Other NGAs 416 3,500.00 Cash in Bank - Local Currency , Current Account 111 3,500.00 Grant of Subsidies and Donations-P/SUPT. PATROCINIO COMEMDADOR JR. Reimbursement of communication services cellcard period covered October 10 to November 09, 2009. Ck#211378 Feb 22 2010-02-002819 Other Maintenance and Other Operating Expenses 969 8,000.00 Cash in Bank - Local Currency , Current Account 111 7,200.00 Due to BIR 412 800.00 Payment for Other Maintenance and Other Operating Expenses-REGAL M. OLIVA Honorarium for being an evaluator during the evaluation of outstanding employees . Ck#211380 Feb 22 2010-02-002820 Other Maintenance and Other Operating Expenses 969 6,000.00 Cash in Bank - Local Currency , Current Account 111 5,400.00 Due to BIR 412 600.00 Payment for Other Maintenance and Other Operating Expenses-LOURDES D. JEREZA Honorarium for being an evaluator during the evaluation of outstanding enployees. Ck#211381 Feb 22 2010-02-002825 Other Maintenance and Other Operating Expenses Cash in Bank - Local Currency , Current Account Due to BIR Feb 22 Cash in Bank - Local Currency , Current Account Feb 22 8,000.00 111 7,200.00 412 800.00 Payment for Other Maintenance and Other Operating Expenses-Atty. Paterno Acabodillo Honorarium for being an evaluator during the evaluation of outstanding employees. Ck#211382 2010-02-002827 Other Maintenance and Other Operating Expenses Due to BIR 969 969 8,000.00 111 7,200.00 412 800.00 Payment for Other Maintenance and Other Operating Expenses-LEODINITO Y. CAÑETE Honorarium for being an evaluator duirng the evaluation of outstanding employees. Ck#211383 2010-02-002828 Other Maintenance and Other Operating Expenses 969 8,000.00 Cash in Bank - Local Currency , Current Account 111 7,200.00 Due to BIR 412 800.00 Payment for Other Maintenance and Other Operating Expenses - PATRICIO G. GABUYA Honorarium for being an evaluator during evaluation of outstanding employees. Ck#211384 Feb 22 2010-02-002830 Terminal Leave Benefits 742 Cash in Bank - Local Currency , Current Account 31,511.72 111 31,511.72 Payment of Terminal Leave Benefits - PRUDENCIA M. BAGUIO Terminal leave Benefits covering the period January 1 to April 19, 2010. Feb 22 2010-02-002832 Due to Officers and Employees 403 Cash in Bank - Local Currency , Current Account Ck#712749 1,000.00 111 1,000.00 Payment for Due to Officers and Employees-LYRMA S. SOLEDAD Reimbursement of communication service for the month of November 10 to December 09, 2009. Ck#712750 Feb 22 2010-02-003334 Overtime and Night Pay 723 19,771.18 Cash in Bank - Local Currency , Current Account 111 17,794.06 Due to BIR 412 1,977.12 Payment of Allowances, Bonus and Other Compensation - BORCES, RONALD L. ET AL AS OVERTIME PAY FOR JANUARY, 2010 Feb 22 2010-02-003335 Salaries and Wages - Regular 701 14,323.00 Life and Retirement Insurance Contributions 731 3,437.52 PAG-IBIG Contributions 732 200.00 PHILHEALTH Contributions 733 350.00 ECC Contributions 734 200.00 Cash in Bank - Local Currency , Current Account 111 8,674.62 Due to BIR 412 2,520.24 Due to GSIS 413 6,215.66 Due to PAG-IBIG 414 400.00 Due to PHILHEALTH 415 700.00 Payment of Salaries and Wages thru Bank - BALITE, JEMINA MARIE P. ET AL FOR FEBRUARY 1-15, 2010 Feb 22 2010-02-003337 Salaries and Wages - Regular 701 11,763.50 Life and Retirement Insurance Contributions 731 2,823.24 PAG-IBIG Contributions 732 200.00 PHILHEALTH Contributions 733 287.50 ECC Contributions 734 192.04 Cash in Bank - Local Currency , Current Account 111 7,465.64 Due to BIR 412 1,692.93 Due to GSIS 413 5,132.71 Due to PAG-IBIG 414 400.00 Due to PHILHEALTH 415 575.00 Payment of Salaries and Wages thru Bank - MAUREAL, ANITA M. ET AL FOR FEBRUARY 1-15, 2010 Feb 22 2010-02-003339 Salaries and Wages - Casual 705 54,432.00 Life and Retirement Insurance Contributions 731 13,063.68 PAG-IBIG Contributions 732 600.00 PHILHEALTH Contributions 733 1,325.00 ECC Contributions 734 715.90 Cash in Bank - Local Currency , Current Account 111 30,258.58 Due to BIR 412 12,450.66 Due to GSIS 413 23,577.34 Due to PAG-IBIG 414 1,200.00 Due to PHILHEALTH 415 2,650.00 Payment of Salaries and Wages thru Bank - ESMA, SHERWIN B. ET AL FOR FEBRUARY 1-15, 2010 Feb 22 2010-02-003342 Salaries and Wages - Casual 705 3,945.50 Life and Retirement Insurance Contributions 731 946.92 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 87.50 ECC Contributions 734 138.69 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 2,214.27 21.05 Due to GSIS 413 1,795.80 Due to PAG-IBIG 414 1,012.49 Due to PHILHEALTH 415 175.00 Payment of Salaries and Wages thru Bank - GEPIGA, JENNIFER M. FOR FEBRUARY 1-15, 2010 Feb 22 2010-02-003343 Salaries and Wages - Casual 705 9,802.50 Life and Retirement Insurance Contributions 731 2,352.60 PAG-IBIG Contributions 732 300.00 PHILHEALTH Contributions 733 237.50 ECC Contributions 734 256.44 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 6,129.39 84.00 Due to GSIS 413 4,712.17 Due to PAG-IBIG 414 1,548.48 Due to PHILHEALTH 415 475.00 Payment of Salaries and Wages thru Bank - ALMARIO, ERNESTO T. ET AL FOR FEBRUARY 1-15, 2010 Feb 22 2010-02-003350 Productivity Incentive Allowance 717 Cash in Bank - Local Currency , Current Account 16,000.00 111 16,000.00 Payment of Allowances, Bonus and Other Compensation - CAÑA, ROMEO DC ET AL AS PRODUCTIVITY BONUS FOR 2009 Feb 22 2010-02-003361 Salaries and Wages - Casual 705 3,653.50 Life and Retirement Insurance Contributions 731 876.84 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 87.50 ECC Contributions 734 73.07 Cash in Bank - Local Currency , Current Account 111 2,808.37 Due to GSIS 413 1,607.54 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 175.00 Payment of Salaries and Wages thru Bank - BAGUIO, GERALDINE F. FOR FEBRUARY 1-15, 2010 Feb 22 2010-02-003363 Due to Officers and Employees 403 16,049.32 Cash in Bank - Local Currency , Current Account 111 13,211.69 Due to BIR 412 2,837.63 Payment for Due to Officers and Employees - ARANDA, ROLANDO M. ET AL AS OVERTIME PAY FOR MAY 2-31, 2009 Feb 22 2010-02-003369 Salaries and Wages - Casual 705 6,149.00 Life and Retirement Insurance Contributions 731 1,475.76 PAG-IBIG Contributions 732 200.00 PHILHEALTH Contributions 733 150.00 ECC Contributions 734 122.98 Cash in Bank - Local Currency , Current Account 111 4,692.18 Due to GSIS 413 2,705.56 Due to PAG-IBIG 414 400.00 Due to PHILHEALTH 415 300.00 Payment of Salaries and Wages thru Bank - BONTILAO, GLENN G. ET AL FOR FEBRUARY 1-15, 2010 Feb 22 2010-02-003387 Overtime and Night Pay 723 320,859.98 Cash in Bank - Local Currency , Current Account 111 285,056.09 Due to BIR 412 35,803.89 Payment of Allowances, Bonus and Other Compensation - ABEJO, RANNIE A. ET AL AS OVERTIME PAY FOR JANUARY, 2010 Feb 22 2010-02-003663 Productivity Incentive Allowance 717 Cash in Bank - Local Currency , Current Account 34,000.00 111 34,000.00 Payment of Allowances, Bonus and Other Compensation - ADLAWAN, RUFINA A. ET AL AS PRODUCTIVITY BONUS FOR 2009 Feb 22 2010-02-003664 Productivity Incentive Allowance 717 Cash in Bank - Local Currency , Current Account 24,000.00 111 24,000.00 Payment of Allowances, Bonus and Other Compensation - BAYAIS, ALDWIN T. ET AL AS PRODUCTIVITY BONUS FOR 2009 Feb 22 2010-02-003666 Productivity Incentive Allowance 717 Cash in Bank - Local Currency , Current Account 111 2,000.00 2,000.00 Payment of Allowances, Bonus and Other Compensation - ALO, ABRAHAM L. AS PRODUCTIVITY BONUS FOR 2009 Feb 22 2010-02-003668 Productivity Incentive Allowance 717 Cash in Bank - Local Currency , Current Account 1,000.00 111 1,000.00 Payment of Allowances, Bonus and Other Compensation - MIÑOZA, ARCHIE BOBBY B. AS PRODUCTIVITY BONUS FOR 2009 Feb 22 2010-02-003670 Productivity Incentive Allowance 717 Cash in Bank - Local Currency , Current Account 10,000.00 111 10,000.00 Payment of Allowances, Bonus and Other Compensation - BAGUIO, SILVERIANA L. ET AL AS PRODUCTIVITY BONUS FOR 2009 Feb 22 2010-02-003671 Productivity Incentive Allowance 717 Cash in Bank - Local Currency , Current Account 10,000.00 111 10,000.00 Payment of Allowances, Bonus and Other Compensation - ACENAS, MARIE FARLASH SALESHIE S. ET AL AS PRODUCTIVITY BONUS FOR 2009 Feb 22 2010-02-003673 Productivity Incentive Allowance 717 Cash in Bank - Local Currency , Current Account 20,000.00 111 20,000.00 Payment of Allowances, Bonus and Other Compensation - ABELLA, FRANCISCA Y. ET AL AS PRODUCTIVITY BONUS FOR 2009 Feb 22 2010-02-003675 Productivity Incentive Allowance 717 Cash in Bank - Local Currency , Current Account 8,000.00 111 8,000.00 Payment of Allowances, Bonus and Other Compensation - ABONG, MARIANO L. ET AL AS PRODUCTIVITY BONUS FOR 2009 Feb 22 2010-02-003681 Productivity Incentive Allowance 717 20,000.00 Cash in Bank - Local Currency , Current Account 111 18,000.00 Other Payables 439 2,000.00 Payment of Allowances, Bonus and Other Compensation - BORDALBA, NOLAN V. ET AL AS PRODUCTIVITY BONUS FOR 2009 Feb 22 2010-02-003684 Productivity Incentive Allowance 717 Cash in Bank - Local Currency , Current Account 20,000.00 111 20,000.00 Payment of Allowances, Bonus and Other Compensation - BALBAG, MARIE GRACE A. ET AL AS PRODUCTIVITY BONUS FOR 2009 Feb 22 2010-02-003687 Productivity Incentive Allowance 717 Cash in Bank - Local Currency , Current Account 32,000.00 111 32,000.00 Payment of Allowances, Bonus and Other Compensation - ANG, JEROME G. ET AL AS PRODUCTIVITY BONUS FOR 2009 Feb 22 2010-02-003691 Salaries and Wages - Contractual 706 12,423.91 Life and Retirement Insurance Contributions 731 2,584.44 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 262.50 ECC Contributions 734 100.00 Cash in Bank - Local Currency , Current Account 111 7,413.08 Due to BIR 412 2,710.00 Due to GSIS 413 4,622.77 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 525.00 Payment of Salaries and Wages thru Bank - PINAT, RALPH JACINTO P. FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 22 2010-02-003692 Salaries and Wages - Contractual 706 21,537.00 Personnel Economic Relief Allowance (PERA) 711 2,000.00 Life and Retirement Insurance Contributions 731 2,584.44 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 262.50 ECC Contributions 734 100.00 Cash in Bank - Local Currency , Current Account 111 16,826.17 Due to BIR 412 2,710.00 Due to GSIS 413 4,622.77 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 525.00 Other Payables 439 1,700.00 Payment of Salaries and Wages thru Bank - PINAT, RALPH JACINTO P. FOR JANUARY 1-31, 2010 Feb 22 2010-02-003693 Other Personnel Benefits 749 Cash in Bank - Local Currency , Current Account (1ST & 2ND HALF) 5,000.00 111 5,000.00 Payment of Allowances, Bonus and Other Compensation - ABELARDE, SALUDINA B. AS LOYALTY BONUS Feb 22 2010-02-003697 Salaries and Wages - Casual 705 3,945.50 Life and Retirement Insurance Contributions 731 946.92 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 87.50 ECC Contributions 734 92.06 Cash in Bank - Local Currency , Current Account 111 2,709.13 Due to GSIS 413 2,087.85 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 175.00 Payment of Salaries and Wages thru Bank - ARITA, LEA B. FOR FEBUARY 1-15, 2010 Feb 22 2010-02-003699 Salaries and Wages - Casual 705 3,074.50 Life and Retirement Insurance Contributions 731 737.88 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 75.00 ECC Contributions 734 61.49 Cash in Bank - Local Currency , Current Account 111 2,346.09 Due to GSIS 413 1,352.78 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 150.00 Payment of Salaries and Wages thru Bank - TABAR, SHERWIN B. FOR FEBRUARY 1-15, 2010 (1ST HALF) Feb 22 2010-02-003702 Salaries and Wages - Casual 705 3,653.50 Life and Retirement Insurance Contributions 731 876.84 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 87.50 ECC Contributions 734 121.79 Cash in Bank - Local Currency , Current Account 111 1,850.67 Due to GSIS 413 2,345.15 Due to PAG-IBIG 414 468.81 Due to PHILHEALTH 415 175.00 Payment of Salaries and Wages thru Bank - ORTEGA, MIGUEL M. FOR FEBRUARY 1-15, 2010 Feb 22 2010-02-003703 Productivity Incentive Allowance 717 Cash in Bank - Local Currency , Current Account 18,000.00 111 18,000.00 Payment of Allowances, Bonus and Other Compensation - ABELGAS, BELONA O. ET AL AS PRODUCTIVITY BONUS FOR 2009 Feb 22 2010-02-003704 Productivity Incentive Allowance 717 Cash in Bank - Local Currency , Current Account 22,000.00 111 22,000.00 Payment of Allowances, Bonus and Other Compensation - ABELLANOSA, RICO P. ET AL AS PRODUCTIVITY BONUS FOR 2009 Feb 22 2010-02-003705 Productivity Incentive Allowance 717 Cash in Bank - Local Currency , Current Account 40,000.00 111 40,000.00 Payment of Allowances, Bonus and Other Compensation - ARDIMER, AGNES G. ET AL AS PRODUCTIVITY BONUS FOR 2009 Feb 22 2010-02-003706 Salaries and Wages - Casual 705 3,653.50 Life and Retirement Insurance Contributions 731 876.84 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 87.50 ECC Contributions 734 73.07 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 2,797.34 11.03 Due to GSIS 413 1,607.54 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 175.00 Payment of Salaries and Wages thru Bank - SOLLANO, EDGARDO A. FOR FEBRUARY 1-15, 2010 Feb 23 2010-02-002846 Cash - Disbursing Officers 103 Cash in Bank - Local Currency , Current Account 3,559,044.42 111 3,559,044.42 Grant of Cash Advance-ANYA R. CHAN Cash Advance for the payment of approved payrolls by the Disbursing Officer. Ck#698069 Feb 23 2010-02-002857 Due to Officers and Employees 403 10,493.13 Cash in Bank - Local Currency , Current Account 111 7,294.91 Due to GSIS 413 1,430.40 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 150.00 Prior Years' Adjustments 684 1,417.82 Payment for Due to Officers and Employees-ERANA, JOEVE R. First salary as Utility worker II for the period from November 3-30. 2009. Ck#242433 Feb 23 2010-02-002861 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 266.25 111 266.25 Refund of Performance Bond to Contractor-SACHEM MARKETING Payment of Performance Bond. Ck#242434 Feb 23 2010-02-002864 Due to Officers and Employees 403 18,000.00 Cash in Bank - Local Currency , Current Account 111 16,200.00 Due to BIR 412 1,800.00 Payment for Due to Officers and Employees-Atty. Noemi B. Truya Consultancy Fee of 1 consultant covering the month of November to December 2009. Ck#242435 Feb 23 2010-02-002867 Due from Other Funds 144 Cash in Bank - Local Currency , Current Account 2,000.00 111 2,000.00 Payment for Due to Officers and Employees-LORETO LEYSON Unclaimed Honorarium for the month of June 2009. (GF-LDF erroneously paid by GF-Proper) Ck#242436 Feb 23 2010-02-002872 Due from Other Funds 144 6,000.00 Cash in Bank - Local Currency , Current Account 111 6,000.00 Payment for Due to Officers and Employees-LORETO LEYSON Unclaimed honorarium for the month of January to March 2009. (GF-LDF erreoneously paid by GF-Proper) Ck#242437 Feb 23 2010-02-002874 Travelling Expenses - Local 751 Cash in Bank - Local Currency , Current Account 2,000.00 111 2,000.00 Payment / Reimbursement of Travelling Expenses-VIRGILIO LABRADO Reimbursement of transportation expenses for the month of January 2010. Ck#242439 Feb 23 2010-02-002877 Due to Officers and Employees 403 9,000.00 Cash in Bank - Local Currency , Current Account 111 8,100.00 Due to BIR 412 900.00 Payment for Due to Officers and Employees-Atty. Janeses B. Ponce Honorarium as Legal Consultant covering the month of December 2009. Ck#211386 Feb 23 2010-02-002878 Consultancy Services 793 Cash in Bank - Local Currency , Current Account Due to BIR Feb 23 9,000.00 111 8,100.00 412 900.00 Payment for Professional Services-Atty. Allan Orvien P. Geotina Consultancy Fee as consultant of Office of the Committee of Women & Family covering the period January 1-31, 2010. Ck#211387 2010-02-002879 Other Maintenance and Other Operating Expenses 969 1,158.80 Cash in Bank - Local Currency , Current Account 111 1,158.80 Payment for Other Maintenance and Other Operating Expenses-Emma C. Villarete Reimbursement of the Administrative Cost paid to Land Registration Office thru Register of Deeds, Cebu City for the Notice of Levy on the properties of Cebu Doctor's Hospital. Feb 23 2010-02-002883 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Feb 23 761 Cash in Bank - Local Currency , Current Account Feb 23 111 430,368.00 412 17,932.00 Payment for Accounts Payable-VIC'S AGRI-FARM & GARDEN SUPPLY GENERAL MERCHANDISE Supplies and Materials for Nursery Production and Rural-Urban AgroReforestation. NOTE: CHECK # 211389-CTV# 2279-P 426,005.75-VIC'S AGRI-FARM & GENEARL MERCHANDISE 2010-02-002894 Gasoline, Oil and Lubricants Expenses Due to BIR 448,300.00 184,409.61 111 174,530.53 412 9,879.08 Payment for Purchase of Inventories, Supplies and Materials Directly Issued to End-User-FIRST AUTO GAS STATION INC. 3,991.55 LITERS UNLEADED GASOLINE @ P 46.20 PER LITER. check no. 211391 ctv no. 2281 = P170,900.53 - first auto gas station check no. 2010-02-002899 Due to LGUs 418 Cash in Bank - Local Currency , Current Account 327,421.88 111 327,421.88 Payment for Inter-Agency Payable-BARANGAY COGON RAMOS Tax share for the month of October to December 2009. Ck#116351 Feb 23 2010-02-002901 Due to LGUs 418 Cash in Bank - Local Currency , Current Account 111 359,444.44 359,444.44 Payment for Inter-Agency Payable-BARANGAY HIPODROMO Tax share for the period October to December 2009. Ck#116354 Feb 23 2010-02-002903 Due to LGUs 418 Cash in Bank - Local Currency , Current Account 636,680.33 111 636,680.33 Payment for Inter-Agency Payable-BARANGAY KASAMBAGAN Tax Share for the period October to December 2009. Ck#116359 Feb 23 2010-02-002905 Due to LGUs 418 Cash in Bank - Local Currency , Current Account 1,072,365.07 111 1,072,365.07 Payment for Inter-Agency Payable-BARANGAY LUZ Tax Share for the period of October to December 2009. Ck#116361 Feb 23 2010-02-002906 Due to LGUs 418 Cash in Bank - Local Currency , Current Account 141,178.05 111 141,178.05 Payment for Inter-Agency Payable-BARANGAY LOREGA SAN MIGUEL Tax Share for the month of October to December 2009. Ck#116362 Feb 23 2010-02-002907 Due to LGUs 418 Cash in Bank - Local Currency , Current Account 147,704.68 111 147,704.68 Payment for Inter-Agency Payable-BARANGAY DAY-AS Tax share for the period of October to December 2009. Ck#116363 Feb 23 2010-02-002913 Accounts Payable 401 14,000,000.00 Cash in Bank - Local Currency , Current Account 111 14,000,000.00 Payment for Accounts Payable-ROTARY CLUB OF CEBU Financial Assistance to fund the construction of a 3-storey building center called Community Scouts Youth Guidance and Rehabilitation Center. Ck#703218 Feb 23 2010-02-002919 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Feb 23 4,447,996.00 111 4,209,710.50 412 238,285.50 Payment for Accounts Payable-PHIL ASIA RESOURCES & DEVELOPMENT CORP. Delivery of 94.840 m.t. BITUMEN necessary use of Repair and Maintenance. NOTE: CHECK # 703219-CTV# 2305-P 4,185,281.95-PHIL ASIA RESOURCES & DEVELOPMENT CORP. CHECK # 70322 2010-02-003485 Other Payables 439 4,464.82 Cash in Bank - Local Currency , Current Account 111 4,018.33 Due to BIR 412 446.49 Payment of Allowances, Bonus and Other Compensation - CUGAY, DEEJAY A. ET AL AS OVERTIME PAY FOR JANUARY, 2010 Feb 23 2010-02-003487 Overtime and Night Pay 723 5,832.27 Cash in Bank - Local Currency , Current Account 111 5,249.00 Due to BIR 412 583.27 Payment of Allowances, Bonus and Other Compensation - DELOS REYES, LEO G. AS OVERTIME PAY FOR JANUARY, 2010 Feb 23 2010-02-003491 Salaries and Wages - Casual 705 13,169.00 Life and Retirement Insurance Contributions 731 3,160.56 PAG-IBIG Contributions 732 400.00 PHILHEALTH Contributions 733 312.50 ECC Contributions 734 386.38 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 8,875.29 83.04 Due to GSIS 413 7,045.11 Due to PAG-IBIG 414 800.00 Due to PHILHEALTH 415 625.00 Payment of Salaries and Wages thru Bank - APALLA, EDWIN L. ET AL FOR FEBRUARY 1-15, 2010 Feb 23 2010-02-003492 Salaries and Wages - Regular 701 4,031.50 Life and Retirement Insurance Contributions 731 967.56 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 100.00 ECC Contributions 734 91.20 Cash in Bank - Local Currency , Current Account 111 19.75 Due to BIR 412 307.00 Due to GSIS 413 3,063.51 Due to PAG-IBIG 414 1,200.00 Due to PHILHEALTH 415 200.00 Other Payables 439 500.00 Payment of Salaries and Wages thru Bank - PRAJES, ROQUE SR. V. FOR FEBRUARY 1-15, 2010 Feb 23 2010-02-003497 Other Maintenance and Other Operating Expenses Cash in Bank - Local Currency , Current Account Due to BIR Feb 23 969 110,000.00 111 103,125.00 412 6,875.00 Payment for Other Maintenance and Other Operating Expenses-SARUA RECORDS For 1 lot services for Performers of Male Comedian. check # 211393 ctv# 2283 P 101,145.00 SARUA RECORDS check # 211394 ctv# 2284 1,980.00 - Cebu City Treasurer-for 2010-02-003636 Productivity Incentive Allowance 717 Cash in Bank - Local Currency , Current Account 8,000.00 111 8,000.00 Payment of Allowances, Bonus and Other Compensation - PACAÑA, KHADAFY IAN P. ET AL AS PRODUCTIVITY BONUS FOR 2009 Feb 23 2010-02-003640 Productivity Incentive Allowance 717 Cash in Bank - Local Currency , Current Account 14,000.00 111 14,000.00 Payment of Allowances, Bonus and Other Compensation - AGUILAR, NICEA D. ET AL AS PRODUCTIVITY BONUS FOR 2009 Feb 23 2010-02-003645 Overtime and Night Pay 723 615,966.04 Cash in Bank - Local Currency , Current Account 111 504,753.06 Due to BIR 412 111,212.98 Payment of Allowances, Bonus and Other Compensation - ABADILLA, NERISSA B. ET AL AS OVERTIME PAY FOR JANUARY, 2010 Feb 23 2010-02-003654 Salaries and Wages - Casual 705 11,198.50 Life and Retirement Insurance Contributions 731 2,687.64 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 275.00 ECC Contributions 734 100.00 Cash in Bank - Local Currency , Current Account 111 8,807.77 Due to GSIS 413 4,803.37 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 550.00 Payment of Salaries and Wages thru Bank - ABELGAS, EDGAR C. FOR FEBRUARY 1-15, 2010 Feb 23 2010-02-003658 Productivity Incentive Allowance Cash in Bank - Local Currency , Current Account 717 111 4,466.64 4,466.64 Payment of Allowances, Bonus and Other Compensation - ABELLA, MARIE VELLE P. ET AL AS PRODUCTIVITY BONUS FOR 2009 Feb 23 2010-02-003660 Productivity Incentive Allowance 717 Cash in Bank - Local Currency , Current Account 12,000.00 111 12,000.00 Payment of Allowances, Bonus and Other Compensation - ALMODIEL, MARYLOU A. ET AL AS PRODUCTIVITY BONUS FOR 2009 Feb 25 2010-02-002489 Other Payables 439 Cash in Bank - Local Currency , Current Account 225,570.00 111 225,570.00 Refund of Performance Bond to Contractor of RDAK Transport Equipment Inc. to withraw BID DOCS FOR BID NO. B-09-486 under o. r. no. 9366685 dtd. 09/22/2009 Ck#211452 Feb 25 2010-02-002504 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 100,000.00 111 100,000.00 Refund of Performance Bond to Contractor of Kimbersun Lumber and Const. Supply to withraw BID security BID# B-09-611 under o. r. no. 9540458 dtd. 11/25/2009 Ck#211453 Feb 25 2010-02-002514 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 1,600.00 111 1,600.00 Refund of Performance Bond to Contractor Sachem Marketing to withraw BID security BID# B-09-612-2 Feb 25 2010-02-002518 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account Ck#211454 2,394.10 111 2,394.10 Refund of Performance Bond to Contractor - Sachem Marketing Payment of 5% performance bond as per PO# 510 PAV# 12776. Feb 25 2010-02-002527 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account Ck#211455 18,151.00 111 18,151.00 Refund of Performance Bond to Contractor Sachem Marketing to withraw BID security for BID #B-09-630 Ck#211456 Feb 25 2010-02-002534 Performance/Bidders/Bail Bonds Payable Other Payables Cash in Bank - Local Currency , Current Account 427 1,250.00 439 2,500.00 111 3,750.00 Refund of Performance Bond to Contractor of FF Sibi Enterprises to withraw performance bond and warranty retention per PAV No. 9657 Feb 25 2010-02-002536 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 8,000.00 111 8,000.00 Refund of Performance Bond to Contractor Kimbersun Lumber to withraw BID security BID# B-09-619 Feb 25 2010-02-002541 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account Ck#211458 16,300.00 111 16,300.00 Refund of Performance Bond to Contractor Sachem Marketing to withraw BID security for BID# B-09-645 Feb 25 2010-02-002547 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account Ck#211459 740.50 111 740.50 Refund of Performance Bond to Contractor Sachem Marketing withrawal of performance bond under pav no. 14789 Ck#211462 Feb 25 2010-02-002563 Terminal Leave Benefits 742 Cash in Bank - Local Currency , Current Account 111 57,616.30 57,616.30 Ck#211457 Payment of Terminal Leave Benefits - MR. ANDRES T. MORALES TO PAYMENT OF TERMINAL LEAVE WITH 195.990 DAYS LEAVE CREDITS COVERING THE PERIOD FROM NOVEMBER 10, 2009 - AUGUST 18, 2010. Ck#698071 Feb 25 2010-02-002564 Due to Officers and Employees 403 364.00 Cash in Bank - Local Currency , Current Account 111 364.00 Payment for Due to Officers and Employees - MR. RONALDO BERING TRAVELLING EXPENSES AS LAIASON OFFICER OF DPS FOR THE MONTH OF DECEMBER, 2009. Ck#211395 Feb 25 2010-02-002565 Accounts Payable 401 Cash in Bank - Local Currency , Current Account Due to BIR Feb 25 2010-02-002567 Due from Officers and Employees 350,000.00 111 315,000.00 412 35,000.00 Payment for Other Maintenance and Other Operating Expenses - JUNJET PRODUCTION/JUNJET PRIMOR PAYMENT FOR EVENT ORGANIZING OF SPRING RECOGNITION NIGHT PER P. R.#09 - 1282 DATED OCTOBER 20, 2009. NOTE: CHECK # 211396: CTV # 2318: P305,760.00 - JUNJET P 123 1,870.00 Cash in Bank - Local Currency , Current Account 111 1,870.00 Grant of Cash Advance - EVANGELINE SAAVEDRA FOR SP - TEAM BUILDING SEMINAR ON FEBRUARY 27 - 28, 2010 @ SUGAR BEACH RESORT, STA. FE, BANTAYAN ISLAND. Ck#211399 Feb 25 2010-02-002574 Due from Officers and Employees 123 1,870.00 Cash in Bank - Local Currency , Current Account 111 1,870.00 Grant of Cash Advance - JENNIFER ESPINA FOR SP - TEAM BUILDING SEMINAR ON FEBRUARY 27 - 28, 2010 @ SUGAR BEACH RESORT, SANTA FE, BANTAYAN ISLAND. Ck#211400 Feb 25 2010-02-002576 Due from Officers and Employees 123 1,870.00 Cash in Bank - Local Currency , Current Account 111 1,870.00 Grant of Cash Advance - JUDITH CABARDO FOR SP - TEAM BUILDING SEMINAR ON FEBRUARY 27 - 28, 2010 @ SUGAR BEACH RESORT, STA. FE, BANTAYAN ISLAND. Ck#211403 Feb 25 2010-02-002577 Due from Officers and Employees 123 1,870.00 Cash in Bank - Local Currency , Current Account 111 1,870.00 Grant of Cash Advance - MA. CRISTINA SEMBRANO FOR SP - TEAM BUILDING SEMINAR ON FEBRUARY 27 - 28, 2010 @ SUGAR BEACH RESORT, STA. FE, BANTAYAN ISLAND. Ck#211405 Feb 25 2010-02-002578 Due from Officers and Employees 123 1,870.00 Cash in Bank - Local Currency , Current Account 111 1,870.00 Grant of Cash Advance - ALBERTO L. DURANGO, JR. FOR THE SP - TEAM BUILDING SEMINAR @ SUGAR BEACH RESORT, STA. FE, CEBU PROVINCE ON FEBRUARY 27 28, 2010. Ck#211406 Feb 25 2010-02-002579 Due from Officers and Employees 123 1,870.00 Cash in Bank - Local Currency , Current Account 111 1,870.00 Grant of Cash Advance - ESTRELLA GARZO FOR SP - TEAM BUILDING SEMINAR ON FEBRUARY 27 - 28, 2010 @ SUGAR BEACH RESORT, STA. FE, BANTAYAN ISLAND. Ck#211408 Feb 25 2010-02-002583 Due from Officers and Employees 123 1,870.00 Cash in Bank - Local Currency , Current Account 111 1,870.00 Grant of Cash Advance - MYLA IPIL UROT FOR SP - TEAM BUILDING SEMINAR ON FEBRUARY 27 - 28, 2010 @ SUGAR BEACH RESORT, STA. FE, BANTAYAN ISLAND. Ck#211409 Feb 25 2010-02-002585 Due from Officers and Employees 123 1,870.00 Cash in Bank - Local Currency , Current Account 111 1,870.00 Grant of Cash Advance - AARON ENRIQUEZ FOR SP - TEAM BUILDING SEMINAR ON FEBRUARY 27 - 28, 2010 @ SUGAR BEACH RESORT, STA. FE, BANTAYAN ISLAND. Ck#211411 Feb 25 2010-02-002586 Due from Officers and Employees 123 1,870.00 Cash in Bank - Local Currency , Current Account 111 1,870.00 Grant of Cash Advance - BERNARDO V. BAWASANTA FOR THE SP - TEAM BUILDING SEMINAR @ SUGAR BEACH RESORT, MUNICIPALITY OF STA. FE, CEBU PROVINCE ON FEBRUARY 27 - 28, 2010. Ck#211412 Feb 25 2010-02-002588 Due from Officers and Employees 123 1,870.00 Cash in Bank - Local Currency , Current Account 111 1,870.00 Grant of Cash Advance - MARICHU B. BORRES FOR THE SP - TEAM BUILDING SEMINAR @ SUGAR BEACH RESORT, MUNICIPALITY OF STA. FE, CEBU PROVINCE ON FEBRUARY 27 - 28, 2010. Ck#211413 Feb 25 2010-02-002589 Due from Officers and Employees 123 1,870.00 Cash in Bank - Local Currency , Current Account 111 1,870.00 Grant of Cash Advance - MICHAEL CABANTAN FOR SP - TEAM BUILDING SEMINAR ON FEB. 27 - 28, 2010 @ SUGAR BEACH RESORT, STA. FE, BANTAYAN ISLAND. Ck#211414 Feb 25 2010-02-002591 Telephone Expenses - Landline 772 13,592.77 Cash in Bank - Local Currency , Current Account 111 13,592.77 Payment for Communication Expenses - TOMAS R. OSMEÑA FOR REIMBURSEMENT PAYMENT OF COMMUNICATION SERVICE OF MAYOR'S RESIDENCE FOR THE MONTH OF JANUARY, 2010. Ck#211416 Feb 25 2010-02-002593 Due from Officers and Employees 123 1,870.00 Cash in Bank - Local Currency , Current Account 111 1,870.00 Grant of Cash Advance - JOCELYN BRIONES AVILA FOR THE SP - TEAM BUILDING SEMINAR @ SUGAR BEACH RESORT, STA. FE, BANTAYAN ISLAND ON FEBRUARY 27 28, 2010. Ck#211417 Feb 25 2010-02-002594 Due from Officers and Employees 123 1,870.00 Cash in Bank - Local Currency , Current Account 111 1,870.00 Grant of Cash Advance - ROY VINCENT I. ALIX FOR THE SP - TEAM BUILDING SEMINAR ON FEBRUARY 27 - 28, 2010 @ SUGAR BEACH RESORT, STA. FE, BANTAYAN ISLAND. Ck#211418 Feb 25 2010-02-002595 Due from Officers and Employees 123 1,870.00 Cash in Bank - Local Currency , Current Account 111 1,870.00 Grant of Cash Advance - ROSEMARY A. PEDRERA FOR THE SP - TEAM BUILDING SEMINAR @ SUGAR BEACH RESORT, STA. FE, BANTAYAN ISLAND ON FEBRUARY 27 28, 2010. Ck#211419 Feb 25 2010-02-002597 Due from Officers and Employees 123 1,870.00 Cash in Bank - Local Currency , Current Account 111 1,870.00 Grant of Cash Advance - ALMA C. TABAR FOR THE SP - TEAM BUILDING SEMINAR ON FEBRUARY 27 - 28, 2010 @ SUGAR BEACH RESORT, STA. FE, BANTAYAN ISLAND. Ck#211420 Feb 25 2010-02-002599 Due from Officers and Employees 123 1,870.00 Cash in Bank - Local Currency , Current Account 111 1,870.00 Grant of Cash Advance - EMIL RYAN A. ALCOSEBA FOR SP - TEAM BUILDING SEMINAR @ SUGAR BEACH RESORT, STA. FE, BANTAYAN ISLAND ON FEB. 27 - 28, 2010. Ck#211422 Feb 25 2010-02-002601 Due from Officers and Employees 123 1,870.00 Cash in Bank - Local Currency , Current Account 111 1,870.00 Grant of Cash Advance - GASPAR C. SABEJON FOR THE SP - TEAM BUILDING SEMINAR ON FEBRUARY 27 - 28, 2010 @ SUGAR BEACH RESORT, STA. FE, BANTAYAN ISLAND, CEBU PROVINCE. Ck#211423 Feb 25 2010-02-002603 Due from Officers and Employees 123 1,870.00 Cash in Bank - Local Currency , Current Account 111 1,870.00 Grant of Cash Advance - FAUSTALITA P. PARAS FOR SP - TEAM BUILDING SEMINAR ON FEBRUARY 27 - 28, 2010 @ THE SUGAR BEACH RESORT, MUNICIPALITY OF STA. FE, BANTAYAN ISLAND, PROVINCE OF CEBU. Ck#211424 Feb 25 2010-02-002605 Due from Officers and Employees 123 1,870.00 Cash in Bank - Local Currency , Current Account 111 1,870.00 Grant of Cash Advance - DOLORES N. MABIDA FOR THE SP - TEAM BUILDING SEMINAR @ SUGAR BEACH RESORT, MUNICIPALITY OF STA. FE, BANTAYAN ISLAND, PROVINCE OF CEBU ON FEB. 27 - 28, 2010. Ck#211425 Feb 25 2010-02-002606 Due from Officers and Employees 123 1,870.00 Cash in Bank - Local Currency , Current Account 111 1,870.00 Grant of Cash Advance - ROSFEL M. PALAUBSANON FOR SP - TEAM BUILDI9NG SEMINAR @ SUGAR BEACH RESORT, MUNICIPALITY NOF STA. FE, BANTAYAN ISLAND, PROVINCE OF CEBU ON FEB. 27 - 28, 2010. Ck#211426 Feb 25 2010-02-002613 Due from Officers and Employees 123 1,870.00 Cash in Bank - Local Currency , Current Account 111 1,870.00 Grant of Cash Advance - RICCO GABRIEL S. DIEZ FOR SP - TEAM BUILDING SEMINAR @ SUGAR BEACH RESORT, STA. FE, BANTAYAN ISLAND, PROVINCE OF CEBU @ FEBRUARY 27 - 28, 2010. Ck#211429 Feb 25 2010-02-002614 Due from Officers and Employees 123 1,870.00 Cash in Bank - Local Currency , Current Account 111 1,870.00 Grant of Cash Advance - ANDY B. AMIT FOR SP - TEAM B UILDING SEMINAR @ SUGAR BEACH RESORT, MUNICIPALITY OF STA. FE, CEBU PROVINCE ON FEB. 27 - 28, 2010. Ck#211430 Feb 25 2010-02-002616 Due from Officers and Employees 123 1,870.00 Cash in Bank - Local Currency , Current Account 111 1,870.00 Grant of Cash Advance - BARRY TEVES FOR THE SP - TEAM BUILDING SEMINAR @ SUGAR BEACH RESORT, MUNICIPALITY OF STA. FE, BANTAYAN ISLAND ON FEB. 27 28, 2010. Ck#211431 Feb 25 2010-02-002618 Due from Officers and Employees 123 1,870.00 Cash in Bank - Local Currency , Current Account 111 1,870.00 Grant of Cash Advance - EMMA LINDA TORREON FOR THE SP - TEAM BUILDING SEMINAR @ SUGAR BEACH RESORT, STA. FE, BANTAYAN ISLAND ON FEBRUARY 27 - 28, 2010. Ck#211432 Feb 25 2010-02-002621 Due from Officers and Employees 123 1,870.00 Cash in Bank - Local Currency , Current Account 111 1,870.00 Grant of Cash Advance - RENE TORING FOR THE SP - TEAM BUILDING SEMINAR @ SUGAR BEACH RESORT, STA. FE, BANTAYAN ISLAND ON FEBRUARY 27 - 28, 2010. Ck#211433 Feb 25 2010-02-002623 Due from Officers and Employees 123 1,870.00 Cash in Bank - Local Currency , Current Account 111 1,870.00 Grant of Cash Advance - ALFONSO MODEQUILLO FOR SP - TEAM BUILDING SEMINAR ON FEB. 27 - 28, 2010 @ SUGAR BEACH RESORT, STA. FE, BANTAYAN ISLAND/. Ck#211434 Feb 25 2010-02-002625 Due from Officers and Employees 123 1,870.00 Cash in Bank - Local Currency , Current Account 111 1,870.00 Grant of Cash Advance - ATTY. JOSE MARIE N. POBLETE FOR SP - TEAM BUILDING SEMINAR ON FEBRUARY 27 - 28, 2010 @ SUGAR BEACH RESORT, STA. FE, BANTAYAN ISLAND. Ck#211436 Feb 25 2010-02-002627 Due from Officers and Employees Cash in Bank - Local Currency , Current Account 123 111 1,870.00 1,870.00 Grant of Cash Advance - CLEOFE ABELLA FOR SP - TEAM BUILDING SEMINAR ON FEBRUARY 27 - 28, 2010 @ SUGAR BEACH RESORT, STA. FE, BANTAYAN ISLAND. Ck#211437 Feb 25 2010-02-002630 Due from Officers and Employees 123 1,870.00 Cash in Bank - Local Currency , Current Account 111 1,870.00 Grant of Cash Advance - GEMMA T. OBENIETA FOR SP - TEAM BUILDING SEMINAR ON FEB. 27 - 28, 2010 @ SUGAR BEACH RESORT, STA. FE, BANTAYAN ISLAND. Ck#211438 Feb 25 2010-02-002633 Due from Officers and Employees 123 1,870.00 Cash in Bank - Local Currency , Current Account 111 1,870.00 Grant of Cash Advance - JOSE NOEL K. NAVASCUES FOR SP - TEAM BUILDING SEMINAR ON FEBRUARY 27 - 28, 2010 @ SUGAR BEACH RESORT, STA. FE, BANTAYAN ISLAND. Ck#211439 Feb 25 2010-02-002636 Due from Officers and Employees 123 1,870.00 Cash in Bank - Local Currency , Current Account 111 1,870.00 Grant of Cash Advance - EUSTOLIA GABRINO FOR SP - TEAM BUILDING SEMINAR ON FEBRUARUY 27 - 28, 2010 @ SUGAR BEACH RESORT, STA. FE, BANTAYAN ISLAND. Ck#211440 Feb 25 2010-02-002639 Due from Officers and Employees 123 1,870.00 Cash in Bank - Local Currency , Current Account 111 1,870.00 Grant of Cash Advance - CLEOPATRA FLORES FOR SP - TEAM BUILDING SEMINAR ON FEBRUARY 27 - 28, 2010 @ SUGAR BEACH RESORT, STA. FE, BANTAYAN ISLAND. Ck#211442 Feb 25 2010-02-002641 Due from Officers and Employees 123 1,870.00 Cash in Bank - Local Currency , Current Account 111 1,870.00 Grant of Cash Advance - NORMITA WENCESLAO FOR SP- TEAM BUILDING SEMINAR ON FEBRUARY 27 - 28, 2010 @ SUGAR BEACH RESORT, STA. FE, BANTAYAN ISLAND. Ck#211443 Feb 25 2010-02-002644 Due from Officers and Employees 123 1,870.00 Cash in Bank - Local Currency , Current Account 111 1,870.00 Grant of Cash Advance - ELVIS C. VAILOCES FOR THE SP - TEAM BUILDING SEMINAR ON FEBRAURY 27 - 28, 2010 @ SUGAR BEACH RESORT, STA. FE, BANTAYAN ISLAND. Ck#211444 Feb 25 2010-02-002648 Due from Officers and Employees 123 1,870.00 Cash in Bank - Local Currency , Current Account 111 1,870.00 Grant of Cash Advance - TOMAS Y. BACALSO, JR. FOR SP - TEAM BUILDING SEMINAR ONM FEBRUARY 27 - 28, 2010 @ THE SUGAR BEACH RESORT, STA. FE, BANTAYAN ISLAND. Ck#211446 Feb 25 2010-02-002651 Due from Officers and Employees 123 1,870.00 Cash in Bank - Local Currency , Current Account 111 1,870.00 Grant of Cash Advance - HADRIANA A. SAMSON FOR SP - TEAM BUILDING SEMINAR @ SUGAR BEACH RESORT, STA. FE, BANTAYAN ISLAND ON FEBRUARY 27 - 28, 2010. Ck#211448 Feb 25 2010-02-002653 Due from Officers and Employees 123 1,870.00 Cash in Bank - Local Currency , Current Account 111 1,870.00 Grant of Cash Advance - VIRGILIO F. SALAUM FOR SP - TEAM BUILDING SEMINAR ON FEBRUARY 27 - 28, 2010 @ SUGAR BEACH RESORT, STA. FE, BANTAYAN ISLAND. Ck#211449 Feb 25 2010-02-002654 Travelling Expenses - Local 751 2,000.00 Cash in Bank - Local Currency , Current Account 111 2,000.00 Payment / Reimbursement of Travelling Expenses - CARMELINO SASABAN REIMBURSEMENT OF TRANSPORTATION EXPENSES FOR THE MONTH OF JANUARY, 2010. Ck#211451 Feb 25 2010-02-002837 Loans Payable - Domestic 444 429,777,768.11 Cash in Bank - Local Currency , Current Account 111 429,777,768.11 Payment for Long-Term Liabilities - LAND BANK OF THE PHILIPPINES TO PAYMENT OF THE BALANCES FOR TERM LOAN NUMBERS 2 & 3 COMPONENTS OF MCDP III - JBIC LOAN PH-P157 UNDER PN 9614-LTO4-0001-004 AND PN 9614LT08-001-001, RESPECTIVELY: LOAN NO. 2 - Php 344, Feb 25 2010-02-002838 Honoraria 720 Cash in Bank - Local Currency , Current Account Due to BIR Feb 25 15,500.00 111 12,400.00 412 3,100.00 Payment of Allowances, Bonus and Other Compensation - MR. JOSE DALUZ III, ET. AL. PAYMENT OF HONORAQRIUM FOR THE MONTH OF JANUARY - FEBRUARY, 2010 PRAISE COMMITTEE. Ck#211398 2010-02-002839 Due from Officers and Employees 123 1,870.00 Cash in Bank - Local Currency , Current Account 111 1,870.00 Grant of Cash Advance - JOSEPH RYAN GO FOR SP - TEAM BUILDING SEMINAR ON FEBRUARY 27 - 28, 2010 @ SUGAR BEACH RESORT, STA. FE, BANTAYAN ISLAND. Ck#211401 Feb 25 2010-02-002840 Due from Officers and Employees 123 1,870.00 Cash in Bank - Local Currency , Current Account 111 1,870.00 Grant of Cash Advance - REYNALD LAURON FOR SP - TEAM BUILDING SEMINAR ON FEBRUARY 27 - 28, 2010 @ SUGAR BEACH RESORT, STA. FE, BANTAYAN ISLAND. Ck#211402 Feb 25 2010-02-002841 Due from Officers and Employees 123 1,870.00 Cash in Bank - Local Currency , Current Account 111 1,870.00 Grant of Cash Advance - EMILIA C. RESTAURO, JR. FOR SP - TEAM BUILDING SEMINAR ON FEBRUARY 27 - 28, 2010 @ SUGAR BEACH RESORT, STA. FE, BANTAYAN ISLAND. Ck#211410 Feb 25 2010-02-002842 Due from Officers and Employees 123 Cash in Bank - Local Currency , Current Account 1,870.00 111 1,870.00 Grant of Cash Advance - JULITA L. BAUTISTA FOR THE SP - TEAM BUILDING SEMINAR @ STA. FE, BANTAYAN ISLAND ON FEBRUARY 27 - 28, 2010. Ck#211415 Feb 25 2010-02-002843 Due from Officers and Employees 123 1,870.00 Cash in Bank - Local Currency , Current Account 111 1,870.00 Grant of Cash Advance - JOLLYBEE T. ABELLA FOR SP - TEAM BUILDING SEMINAR @ SUGAR BACH RESORT, MUNICIPALITY OF STA. FE, CEBU PROVINCE ON FEBRUARY 27 - 28, 2010. Ck#211421 Feb 25 2010-02-002848 Due from Officers and Employees 123 1,870.00 Cash in Bank - Local Currency , Current Account 111 1,870.00 Grant of Cash Advance - RAMONITO S. Y. ALCOSEBA FOR SP TEAM BUILDING SEMINAR TO BE HELD @ STA. FE, BANTAYAN ISLAND ON FEBRUARY 27 - 28, 2010. Ck#211427 Feb 25 2010-02-002852 Due from Officers and Employees 123 1,870.00 Cash in Bank - Local Currency , Current Account 111 1,870.00 Grant of Cash Advance - ROSELYN UMARAN FOR SP - TEAM BUILDING SEMINAR TO SUGAR BEACH RESORT, MUNICIPALITY OF STA. FE, CEBU PROVINCE ON FEBRUARY 27 - 28, 2010. Ck#211428 Feb 25 2010-02-002865 Due from Officers and Employees 123 1,870.00 Cash in Bank - Local Currency , Current Account 111 1,870.00 Grant of Cash Advance - GRACIANO LAURON FOR SP - TEAM BUILDING SEMINAR ON FEBRUARY 27 - 28, 2010 @ SUGAR BEACH RESORT, STA. FE, BANTAYAN ISLAND. Ck#211435 Feb 25 2010-02-002868 Due from Officers and Employees Cash in Bank - Local Currency , Current Account 123 111 1,870.00 1,870.00 Grant of Cash Advance - DARYL IVAN A. CUBAR FOR SP - TEAM BUILDING SEMINAR ON FEBRUARY 27 - 28, 2010 @ SUGAR BEACH RESORT, MUNICIPALITY OF STA. FE. Ck#211445 Feb 25 2010-02-002873 Due from Officers and Employees 123 1,870.00 Cash in Bank - Local Currency , Current Account 111 1,870.00 Grant of Cash Advance - CYNTHIA M. FLORES FOR SP - TEAM BUILDING SEMINAR ON FEBRUARY 27 - 28, 2010 @ SUGAR BEACH RESORT, MUNICIPALITY OF STA. FE. Ck#211450 Feb 25 2010-02-002937 Performance/Bidders/Bail Bonds Payable 427 Cash in Bank - Local Currency , Current Account 236.05 111 236.05 Refund of Performance Bond to Contractor of Sachem Marketing WITHDRAWAL OF PERFORAMCNE BOND UNDER PAV NO. 12696 Feb 25 2010-02-002966 Due from Officers and Employees 123 Cash in Bank - Local Currency , Current Account 1,870.00 111 1,870.00 Grant of Cash Advance Gloria Villarojo for the SP Team Building-tour in Bantayan on Feb. 27 - 28, 2010 Feb 25 2010-02-003251 Accounts Payable 401 Ck#211462 Ck#211469 12,600.00 Cash - Disbursing Officers 103 12,600.00 Payment for Other Maintenance and Other Operating Expenses - CONDES, ELVIE ET. AL..... HONORARIUM AS RESOURCE PERSONS AND FACILITATORS DURING THE CONDUCT OF SUMMIT ON CHILDREN ON OCT. 27-28, 2009. Feb 25 2010-02-003256 Due to Officers and Employees 403 Cash - Disbursing Officers 20,000.00 103 20,000.00 Payment of Salaries and Wages thru Disbursing Officer - ABELLANA, MA. ELENA et. al....... TEV for October 2009. Feb 25 2010-02-003260 Accounts Payable 401 Cash - Disbursing Officers 237,000.00 103 237,000.00 Payment for Other Maintenance and Other Operating Expenses - ABAÑO, REGELINE et. al..... Honorarium as City Nutrition Scholars for the period of December 2009. Feb 25 2010-02-003263 Accounts Payable 401 60,000.00 Cash - Disbursing Officers 103 60,000.00 Payment for Other Maintenance and Other Operating Expenses - SILVA, BERNADITA et. al..... Burial Assistance and financial assistance of the victims of M/V Princess of the Stars which was occurred on June 21, 2009. Feb 25 2010-02-003264 Due to Other NGAs 416 5,000.00 Cash - Disbursing Officers 103 5,000.00 Payment for Other Maintenance and Other Operating Expenses - BARIMBAO, ANNA DELZA et. al... Honorarium of the 5 judges during the Rural-Based Organization Achievement Day last November 26, 2009. Feb 25 2010-02-003265 Due to Other NGAs 416 Cash - Disbursing Officers 48,000.00 103 48,000.00 Grant of Subsidies and Donations - JEOFFREY S. JOAQUINO et. al... Allowance for Clerks of Court for November 1-30, 2009. Feb 25 2010-02-003267 Due to Other NGAs 416 Cash - Disbursing Officers 48,000.00 103 48,000.00 Grant of Subsidies and Donations - JEOFFREY S. JOAQUINO, et. al....... Allowance for Clerks of Court for the month of December 1-31, 2009. Feb 25 2010-02-003269 Accounts Payable 401 Cash - Disbursing Officers 103 47,622.00 47,622.00 Payment for Other Maintenance and Other Operating Expenses - ESTRELLITA LEYSON, et. al...... Payment for the City Augmentation for Brgy. GAD Focals for July 2009. Feb 25 2010-02-003272 Accounts Payable 401 Cash - Disbursing Officers 238,110.00 103 238,110.00 Payment for Other Maintenance and Other Operating Expenses - ESTRELLITA LEYSON, et. al...... For City Augmentation for Brgy. GAD Focals for August to December 2009. Feb 25 2010-02-003274 Due to Officers and Employees 403 Cash - Disbursing Officers 4,940.00 103 4,940.00 Payment of Salaries and Wages thru Disbursing Officer - PITOGO, ROLANDO A. PAYMENT OF 1 UTILITY WORKER I FROM DECEMBER 1-31, 2009. Feb 25 2010-02-003275 Accounts Payable 401 Cash - Disbursing Officers 39,800.00 103 39,800.00 Grant of Subsidies and Donations - MAYOL, HENDRIE et. al... Financial Aisstance of the City Gov't. to various Brgy. Garbage Drivers and Loaders for the month of September 2009. Feb 25 2010-02-003277 Accounts Payable 401 Cash - Disbursing Officers 51,900.00 103 51,900.00 Grant of Subsidies and Donations - Vercide, Oscar et. al... Financial Assistance of the City Government to various Brgy. Garbage Drivers and Loaders for the month of October 2009. Feb 25 2010-02-003279 Accounts Payable 401 88,000.00 Cash - Disbursing Officers 103 79,200.00 Due to BIR 412 8,800.00 Payment for Other Maintenance and Other Operating Expenses - ISIDRO T, TUMULAK et. al....... COSAP talent fee as per contract services for the month of December 2009. Feb 25 2010-02-003285 Due to Officers and Employees 403 Cash - Disbursing Officers 29,646.00 103 29,646.00 Payment of Salaries and Wages thru Disbursing Officer - AMAHAN, BABY et. al.... Salary of COMELEC facilitators for the month of December 2009. Feb 25 2010-02-003291 Due to Officers and Employees 403 Cash - Disbursing Officers 29,646.00 103 29,646.00 Payment of Salaries and Wages thru Disbursing Officer - ALFORQUE, GLENDY C. ET. AL... Salary for COMELEC facilitators for the month of December 2009. Feb 25 2010-02-003295 Due to Officers and Employees 403 Cash - Disbursing Officers 15,840.00 103 15,840.00 Payment of Salaries and Wages thru Disbursing Officer - MAGALI, OLIVER et. al..... Job Order salary for City Agriculture employees for the period December 1-31, 2009. Feb 25 2010-02-003300 Due to Officers and Employees 403 Cash - Disbursing Officers 35,670.71 103 35,670.71 Payment of Salaries and Wages thru Disbursing Officer - Aragon, Constante S. ET. AL... Salary of Job Order personnel in DEPW covering the period December 16-31, 2009. Feb 25 2010-02-003326 Productivity Incentive Allowance 717 Cash in Bank - Local Currency , Current Account 1,166.66 111 1,166.66 Payment of Allowances, Bonus and Other Compensation - ALIT, DEXTER G. ET AL AS PRODUCTIVITY BONUS FOR 2009 Feb 25 2010-02-003336 Salaries and Wages - Casual 705 4,784.24 Life and Retirement Insurance Contributions 731 876.84 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 87.50 ECC Contributions 734 103.52 Cash in Bank - Local Currency , Current Account 111 2,522.76 Due to GSIS 413 2,027.99 Due to PAG-IBIG 414 1,226.35 Due to PHILHEALTH 415 175.00 Payment of Salaries and Wages thru Bank - CALLINO, EDUARDO SR. B. FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 25 2010-02-003338 Salaries and Wages - Casual 705 20,109.00 Life and Retirement Insurance Contributions 731 4,826.16 PAG-IBIG Contributions 732 600.00 PHILHEALTH Contributions 733 450.00 ECC Contributions 734 670.32 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 15,232.71 206.67 Due to GSIS 413 9,116.10 Due to PAG-IBIG 414 1,200.00 Due to PHILHEALTH 415 900.00 Payment of Salaries and Wages thru Bank - ALVARICO, JULITO C. ET AL FOR FEBRUARY 1-15, 2010 Feb 25 2010-02-003340 Salaries and Wages - Casual 705 54,223.50 Life and Retirement Insurance Contributions 731 13,013.64 PAG-IBIG Contributions 732 1,500.00 PHILHEALTH Contributions 733 1,300.00 ECC Contributions 734 1,551.76 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 40,720.00 943.27 Due to GSIS 413 24,325.63 Due to PAG-IBIG 414 3,000.00 Due to PHILHEALTH 415 2,600.00 Payment of Salaries and Wages thru Bank - ADLAWAN, TIBURCIO U. ET AL FOR FEBRUARY 1-15, 2010 Feb 25 2010-02-003347 Productivity Incentive Allowance 717 Cash in Bank - Local Currency , Current Account 14,000.00 111 14,000.00 Payment of Allowances, Bonus and Other Compensation - ARITES, BERNARD G. ET AL AS PRODUCTIVITY BONUS FOR 2009 Feb 25 2010-02-003351 Productivity Incentive Allowance 717 Cash in Bank - Local Currency , Current Account 24,000.00 111 24,000.00 Payment of Allowances, Bonus and Other Compensation - ABELGAS, JOSE P. ET AL AS PRODUCTIVITY BONUS FOR 2009 Feb 25 2010-02-003364 Gasoline, Oil and Lubricants Expenses 761 Cash in Bank - Local Currency , Current Account Due to BIR Feb 25 2010-02-003366 Due from Officers and Employees 206,262.99 111 195,213.19 412 11,049.80 Payment for Purchase of Inventories, Supplies and Materials Directly Issued to End-User First Suto Gas Station Inc. for the 5,603.45 liters Diesoline at 36.81 per liter CTV# 2385 CHECK# 211463 P 191,583.19 - First SUto Gas Station Inc. CTV# 2386 CHECK# 123 1,870.00 Cash in Bank - Local Currency , Current Account 111 1,870.00 Grant of Cash Advance of Donnie Jagmoc for SP Team Building -Tour in Bantayan Island last feb. 27 - 28, 2010. Ck#211472 Feb 25 2010-02-003368 Due from Officers and Employees 123 Cash in Bank - Local Currency , Current Account 1,870.00 111 1,870.00 Grant of Cash Advance of Gilbert Borres for the SP Team Building Tour in Bantayan last feb. 27 - 28, 2010 Ck#211471 Feb 25 2010-02-003371 Due from Officers and Employees 123 Cash in Bank - Local Currency , Current Account 1,870.00 111 1,870.00 Grant of Cash Advance of Charmie Pepito for the Sp-Team building -Tour in Bantayan Island last feb. 27 - 28, 2010 Ck#211470 Feb 25 2010-02-003372 Due from Officers and Employees 123 Cash in Bank - Local Currency , Current Account 1,870.00 111 1,870.00 Grant of Cash Advance of Wendell Cenas for the SP Team Building-Tour in Bantayan Island last feb. 27 - 28, 2010 Ck#211473 Feb 25 2010-02-003375 Due from Officers and Employees 123 Cash in Bank - Local Currency , Current Account 1,870.00 111 1,870.00 Grant of Cash Advance of Rose Marie Gabiana for the SP Team Building Seminar held in Bantayan Island last feb. 27 - 28, 2010 Ck#211478 Feb 25 2010-02-003376 Due from Officers and Employees 123 Cash in Bank - Local Currency , Current Account 1,870.00 111 1,870.00 Grant of Cash Advance of Perpetua Cabalda for travelling expenses for the Team Building Seminar held in Bantayan Island last feb. 27 - 28, 2010 Ck#211483 Feb 25 2010-02-003379 Due from Officers and Employees 123 Cash in Bank - Local Currency , Current Account 1,870.00 111 1,870.00 Grant of Cash Advance -Estrella Menchavez for SP-TEAM Building Seminar held in Bantayan Island last feb. 27 - 28, 2010 Ck#211487 Feb 25 2010-02-003380 Due from Officers and Employees 123 Cash in Bank - Local Currency , Current Account 1,870.00 111 1,870.00 Grant of Cash Advance of Carlito Suico forSP -Team Building Seminar held in Bantayan Island last feb. 27 - 28, 2010 Ck#211489 Feb 25 2010-02-003382 Due from Officers and Employees 123 Cash in Bank - Local Currency , Current Account 1,870.00 111 1,870.00 Grant of Cash Advance of Leah Mula for SP-Team building Seminar held in Bantayan Island last fe. 27 - 28, 2010 Ck#211490 Feb 25 2010-02-003385 Due from Officers and Employees 123 Cash in Bank - Local Currency , Current Account 1,870.00 111 1,870.00 Grant of Cash Advance of Cynthia Kahulugan for SP-Team Building Seminar last fe. 27 - 28, 2010 Feb 25 2010-02-003388 Due from Officers and Employees 123 Cash in Bank - Local Currency , Current Account Ck#211522 1,870.00 111 1,870.00 Grant of Cash Advance -Teresita Medalle for SP Team Building Seminar held in Bantayan Island last feb. 27 - 28, 2010 Ck#211521 Feb 25 2010-02-003393 Due from Officers and Employees 123 Cash in Bank - Local Currency , Current Account 111 1,870.00 1,870.00 Grant of Cash Advance of Alona Tan for SP-Team building Seminar held in Bantayan Island last feb. 27 - 28, 2010 Ck#211520 Feb 25 2010-02-003395 Due from Officers and Employees 123 Cash in Bank - Local Currency , Current Account 1,870.00 111 1,870.00 Grant of Cash Advance of Herbia Joy Teves for SP-Team Building Seminar held in Bantayan Island last feb. 27 - 28, 2010 Ck#211514 Feb 25 2010-02-003397 Due from Officers and Employees 123 Cash in Bank - Local Currency , Current Account 1,870.00 111 1,870.00 Grant of Cash Advance of Jaime Navares for SP-Team Building Seminar held in Bantayan Island last feb. 27 - 28, 2010 Ck#211508 Feb 25 2010-02-003399 Due from Officers and Employees 123 Cash in Bank - Local Currency , Current Account 1,870.00 111 1,870.00 Grant of Cash Advance of Pamela Sonido for the SP-Team Building Seminar held in Bantayan island last feb. 27 - 28, 2010 Ck#211506 Feb 25 2010-02-003400 Due from Officers and Employees 123 Cash in Bank - Local Currency , Current Account 1,870.00 111 1,870.00 Grant of Cash Advance of Julieta Llamoso for SP-Team Building Seminar held in Bantayan Island last feb. 27 - 28, 2010 Ck#211407 Feb 25 2010-02-003402 Overtime and Night Pay 723 5,682.02 Cash in Bank - Local Currency , Current Account 111 5,113.82 Due to BIR 412 568.20 Payment of Allowances, Bonus and Other Compensation - CASTINO, TEOFILA A. ET AL AS OVERTIME PAY FOR JANUARY, 2010 Feb 25 2010-02-003403 Due from Officers and Employees 123 Cash in Bank - Local Currency , Current Account 1,870.00 111 1,870.00 Grant of Cash Advance Rengelle Pelayo for SP -Team Building Seminar held in Bantayan Island last feb. 27 - 28, 2010 Ck#211503 Feb 25 2010-02-003405 Due from Officers and Employees 123 Cash in Bank - Local Currency , Current Account 1,870.00 111 1,870.00 Grant of Cash Advance of Rudivico Caruana for SP-Team Building Seminar held in Bantayan Island last feb. 27 - 28, 2010 Ck#211502 Feb 25 2010-02-003407 Due from Officers and Employees 123 Cash in Bank - Local Currency , Current Account 1,870.00 111 1,870.00 Grant of Cash Advance of Nenita Fernandez for SP-Team Building Seminar held in Bantayan Island last feb. 27 - 28, 2010 Ck#211496 Feb 25 2010-02-003412 Salaries and Wages - Casual 705 53,624.00 Life and Retirement Insurance Contributions 731 12,869.76 PAG-IBIG Contributions 732 1,600.00 PHILHEALTH Contributions 733 1,200.00 ECC Contributions 734 1,787.52 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 39,526.55 620.01 Due to GSIS 413 24,309.60 Due to PAG-IBIG 414 4,225.12 Due to PHILHEALTH 415 2,400.00 Payment of Salaries and Wages thru Bank - ANTONIO, RAUL JR. A. ET AL FOR FEBRUARY 1-15, 2010 Feb 25 2010-02-003413 Due from Officers and Employees Cash in Bank - Local Currency , Current Account 123 111 1,870.00 1,870.00 Grant of Cash Advance of Annabel Del Corro for Sp-Team Building Seminar held in Bantayan Island last feb. 27 - 28, 2010 Ck#211492 Feb 25 2010-02-003415 Due from Officers and Employees 123 Cash in Bank - Local Currency , Current Account 1,870.00 111 1,870.00 Grant of Cash Advance of Raquel Valiente for the SP-Team Building Seminar held in Bantayan Island last feb. 27 - 28, 2010 Ck#211474 Feb 25 2010-02-003417 Due from Officers and Employees 123 Cash in Bank - Local Currency , Current Account 1,870.00 111 1,870.00 Grant of Cash Advance of Emilio Añinon for Sp Team building held in Bantayan Island last feb. 27 - 28, 2010 Ck#211480 Feb 25 2010-02-003418 Due from Officers and Employees 123 Cash in Bank - Local Currency , Current Account 1,870.00 111 1,870.00 Grant of Cash Advance of Wendell Miñoza for SP-Team Building Seminar held in Bantayan Island last feb. 27 - 28, 2010 Ck#211476 Feb 25 2010-02-003419 Due from Officers and Employees 123 Cash in Bank - Local Currency , Current Account 1,870.00 111 1,870.00 Grant of Cash Advance of Ryan Iballa for Sp-Team Building Seminar held in Bantayan Island last feb. 27 - 28, 2010 Ck#211479 Feb 25 2010-02-003420 Due from Officers and Employees 123 Cash in Bank - Local Currency , Current Account 1,870.00 111 1,870.00 Grant of Cash Advance of Ritche Bordadora for Sp-Team Building Seminar last feb. 27 - 28, 2010 held in Bantayan Island Ck#211481 Feb 25 2010-02-003421 Due from Officers and Employees 123 Cash in Bank - Local Currency , Current Account 1,870.00 111 1,870.00 Grant of Cash Advance of Ma. Nerissa Cavan for SP -Team Building held Bantayan Island last feb. 27 - 28, 2009 Ck#211482 Feb 25 2010-02-003429 Productivity Incentive Allowance 717 Cash in Bank - Local Currency , Current Account 6,000.00 111 6,000.00 Payment of Allowances, Bonus and Other Compensation - BALCON, MARIO B. ET AL AS PRODUCTIVITY BONUS FOR 2009 Feb 25 2010-02-003431 Productivity Incentive Allowance 717 Cash in Bank - Local Currency , Current Account 48,000.00 111 48,000.00 Payment of Allowances, Bonus and Other Compensation - ABORDO, OSCAR S. ET AL AS PRODUCTIVITY BONUS FOR 2009 Feb 25 2010-02-003434 Productivity Incentive Allowance 717 Cash in Bank - Local Currency , Current Account 18,000.00 111 18,000.00 Payment of Allowances, Bonus and Other Compensation - ALIÑO, EVERNESTO JR. W. ET AL AS PRODUCTIVITY BONUS FOR 2009 Feb 25 2010-02-003436 Productivity Incentive Allowance 717 Cash in Bank - Local Currency , Current Account 26,000.00 111 26,000.00 Payment of Allowances, Bonus and Other Compensation - ABUGAN, PORITA A. ET AL AS PRODUCTIVITY BONUS FOR 2009 Feb 25 2010-02-003439 Productivity Incentive Allowance 717 Cash in Bank - Local Currency , Current Account 22,000.00 111 22,000.00 Payment of Allowances, Bonus and Other Compensation - ARDIMER, JULITO L. ET AL AS PRODUCTIVITY BONUS FOR 2009 Feb 25 2010-02-003446 Subsistence, Laundry and Quarter Allowance 716 2,325.00 Cash in Bank - Local Currency , Current Account 111 2,325.00 Payment of Allowances, Bonus and Other Compensation - BONTILAO, ALYTH A. ET AL AS SUBSISTENCE & LAUNDRY ALLOWANCE FOR JANUARY, 2010 Feb 25 2010-02-003449 Travelling Expenses - Local 751 Cash in Bank - Local Currency , Current Account 4,950.00 111 4,950.00 Payment / Reimbursement of Travelling Expenses - CABULAO, REX AQUARIUS A. ET AL AS TRAVELLING ALLOWANCE FOR JANUARY, 2010 Feb 25 2010-02-003451 Travelling Expenses - Local 751 Cash in Bank - Local Currency , Current Account 1,260.00 111 1,260.00 Payment / Reimbursement of Travelling Expenses - MAKINANO, WILHELMINA FOR JANUARY, 2010 Feb 25 2010-02-003453 Salaries and Wages - Casual 705 3,438.71 Life and Retirement Insurance Contributions 731 737.88 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 75.00 ECC Contributions 734 98.76 Cash in Bank - Local Currency , Current Account 111 2,710.30 Due to GSIS 413 1,390.05 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 150.00 Payment of Salaries and Wages thru Bank - EMPUERTO, BENJARED R. FOR FEBRUARY 1- 28, 2010 (1ST HALF) Feb 25 2010-02-003456 Salaries and Wages - Casual 705 9,802.50 Life and Retirement Insurance Contributions 731 2,352.60 PAG-IBIG Contributions 732 300.00 PHILHEALTH Contributions 733 237.50 ECC Contributions 734 196.05 Cash in Bank - Local Currency , Current Account 111 7,500.55 Due to GSIS 413 4,313.10 Due to PAG-IBIG 414 600.00 Due to PHILHEALTH 415 475.00 Payment of Salaries and Wages thru Bank- AMAD, ALMERINO R. ET AL FOR FEBRUARY 1-15, 2010 Feb 25 2010-02-003458 Salaries and Wages - Regular 701 12,220.00 Personnel Economic Relief Allowance (PERA) 711 2,000.00 Life and Retirement Insurance Contributions 731 1,466.40 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 150.00 ECC Contributions 734 100.00 Cash in Bank - Local Currency , Current Account 111 Due to BIR 412 10,954.60 340.30 Due to GSIS 413 4,241.50 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 300.00 Payment of Salaries and Wages thru Bank - ENCABO, JOSEPHINE B. FOR JANUARY 1-31, 2010 Feb 25 2010-02-003459 Productivity Incentive Allowance 717 16,000.00 Cash in Bank - Local Currency , Current Account 111 16,000.00 Payment of Allowances, Bonus and Other Compensation - ABARQUEZ, JANE C. ET AL AS PRODUCTIVITY BONUS FOR 2009 Feb 25 2010-02-003462 Salaries and Wages - Regular 701 8,471.00 Personnel Economic Relief Allowance (PERA) 711 2,000.00 Life and Retirement Insurance Contributions 731 1,016.52 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 100.00 ECC Contributions 734 130.26 Cash in Bank - Local Currency , Current Account 111 7,326.37 Due to BIR 412 738.14 Due to GSIS 413 3,353.27 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 200.00 Payment of Salaries and Wages thru Bank - RIVERA, MARILYN E. FOR FEBRUARY 1-28, 2010 (1ST, 2ND, 3RD & 4TH WEEK) Feb 25 2010-02-003473 Salaries and Wages - Casual 705 3,608.05 Life and Retirement Insurance Contributions 731 737.88 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 75.00 ECC Contributions 734 61.49 Cash in Bank - Local Currency , Current Account 111 2,540.96 Due to GSIS 413 1,691.46 Due to PAG-IBIG 414 200.00 Due to PHILHEALTH 415 150.00 Payment of Salaries and Wages thru Bank - ARDINA, SUSAN A. FOR FEBRUARY 1-28, 2010 (1ST HALF) Feb 25 2010-02-003529 Accounts Payable 401 23,850.00 Due to Officers and Employees 403 4,500.00 Due to Other NGAs 416 1,350.00 Cash - Disbursing Officers Accounts Payable Feb 25 103 29,250.00 401 450.00 Payment of Allowances, Bonus and Other Compensation - JAGMOC, EDWIN R. SR. et. al... Unclaimed Honorarium of Coastline management board officers and members for July to September 2009. 2010-02-003549 Due to Officers and Employees 403 1,020.51 Cash - Disbursing Officers 103 668.16 Due to BIR 412 161.02 Due to GSIS 413 191.33 Payment for Due to Officers and Employees - BACALSO, MA. TERESA et. al.... Step Increment differential for December 2009. Feb 25 2010-02-003557 Due to Officers and Employees 403 Cash - Disbursing Officers 15,000.00 103 15,000.00 Payment for Due to Officers and Employees - DEBALUCOS, ROLAND BASTIDA et. al.... Cash Incentive Bonus for the month of December 2009. Feb 25 2010-02-003567 Due to Other NGAs 416 Cash - Disbursing Officers 103 53,750.00 53,750.00 Grant of Subsidies and Donations - PO2 ABATAYO, EDWARD et. al... Special Incentive additional allowance for the month of November 1-31, 2009. Feb 25 2010-02-003574 Accounts Payable 401 2,000.00 Due to Officers and Employees 403 8,000.00 Due to Other NGAs 416 3,500.00 Cash - Disbursing Officers Due to BIR Feb 25 2010-02-003591 Accounts Payable 401 27,000.00 Due to Officers and Employees 403 15,500.00 Due to Other NGAs 416 2,500.00 Due to BIR 25 2010-02-003593 Due to Officers and Employees Due to BIR 25 403 2010-02-003594 Accounts Payable 16,000.00 103 13,000.00 401 3,500.00 Due to Officers and Employees 403 7,500.00 Due to Other NGAs 416 1,500.00 Due to BIR 25 40,500.00 412 3,000.00 Payment of Allowances, Bonus and Other Compensation - FERNANDEZ, FRANCISCO et. al.... Honorarium for Market Authority officers and members for the month of November 2009. Cash - Disbursing Officers Feb 103 412 4,500.00 Payment of Allowances, Bonus and Other Compensation - BULLECER, RENE JOSEF et. al.... Honorarium for the Cebu City Anti-Indecency Board officers and members for the month of September to October 2009. Cash - Disbursing Officers Feb 11,350.00 412 2,150.00 Payment of Allowances, Bonus and Other Compensation - Hon. Eduardo R. Rama Jr. et. al... Honorarium for the Local Small and Medium Enterprise Development Council (SMED) Officers and members for the month of October 2009. Cash - Disbursing Officers Feb 103 103 10,750.00 412 1,750.00 Payment of Allowances, Bonus and Other Compensation - HON. COUNCILOR EDUARDO R. RAMA JR. et. al.... Honorarium for the Local Small and Medium Enterprise Development (SMED) Council officers and members for the month of September 2009. 2010-02-003596 Accounts Payable 401 600.00 Due to Officers and Employees 403 15,000.00 Due to Other NGAs 416 1,800.00 Cash - Disbursing Officers 103 15,660.00 Due to BIR 412 1,740.00 Payment for Other Maintenance and Other Operating Expenses - MAGNO, FIDEL et. al... Honorarium for Local Jobs Fair Facilitators on November 7, 2009 of DMDP. Feb 25 2010-02-003598 Accounts Payable 401 221,580.84 Cash - Disbursing Officers 103 221,580.84 Grant of Subsidies and Donations - SASAN, ROLANDO et. al.... Financial Assistance of the City Government to various Brgy. Garbage Drivers and Loaders for the month October 2009. Feb 25 2010-02-003599 Due to Officers and Employees 403 Cash - Disbursing Officers 6,000.00 103 6,000.00 Payment for Due to Officers and Employees - BALCON, MARIO BAUTISTA et. al... Clothing allowance for the month of April 2009. Feb 25 2010-02-003601 Due to Officers and Employees 403 3,000.00 Cash - Disbursing Officers 103 3,000.00 Payment for Due to Officers and Employees - BORDAJE, AILEEN BADO et. al... Clothing Allowance for the month of April 2009. Feb 25 2010-02-003602 Due to Officers and Employees 403 Cash - Disbursing Officers 250.00 103 250.00 Payment for Due to Officers and Employees - HALOS, JOVENCIO P. CHRISTMAS PARTY INCENTIVE FOR CY 2009. Feb 25 2010-02-003603 Due to BIR 412 Cash - Disbursing Officers 1,315.59 103 1,315.59 Refund of Excess Employees Taxes, Loans and Premiums - CANDIA, RENE et. al..... TAX REFUND FOR THE YEAR 2009. Feb 25 2010-02-003604 Due to Officers and Employees 403 Cash - Disbursing Officers 73,500.00 103 73,500.00 Payment for Due to Officers and Employees - ABELLA, MARIE VELLE P. et. al...... Clothing Allowance for April 2009. Feb 25 2010-02-003639 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) 701 18,153.02 711 20,000.00 Cash in Bank - Local Currency , Current Account 111 33,153.02 Other Payables 439 5,000.00 Payment of Salaries and Wages thru Bank - ABARQUEZ, ALFONSO C. ET AL FOR FEBRUARY 1-28, 2010 (4TH WEEK) Feb 25 2010-02-003643 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 7,408.72 711 14,000.00 111 21,408.72 Payment of Salaries and Wages thru Bank - ABADIA, JONATHAN A. ET AL FOR FEBRUARY 1-28, 2010 (4TH WEEK) Feb 25 2010-02-003646 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 35,876.27 711 44,000.00 111 79,876.27 Payment of Salaries and Wages thru Bank - ABORDO, OSCAR S. ET AL FOR FEBRUARY 1-28, 2010 (4TH WEEK) Feb 25 2010-02-003647 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) 701 7,647.15 711 12,000.00 Cash in Bank - Local Currency , Current Account 111 18,647.15 Other Payables 439 1,000.00 Payment of Salaries and Wages thru Bank - ALBUTRA, ORLANDO C. ET AL FOR FEBRUARY 1-28, 2010 (4TH WEEK) Feb 25 2010-02-003650 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 17,148.73 711 38,000.00 111 55,148.73 Payment of Salaries and Wages thru Bank - ABELLA, EUSEBIO A. ET AL FOR FEBRUARY 1-28, 2010 (4TH WEEK) Feb 25 2010-02-003665 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 953.83 711 2,000.00 111 2,953.83 Payment of Salaries and Wages thru Bank - ACENAS, VICTOR E. FOR FEBRUARY 1-28, 2010 (4TH WEEK) Feb 25 2010-02-003667 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) 701 4,049.42 711 2,000.00 Cash in Bank - Local Currency , Current Account 111 5,049.42 Other Payables 439 1,000.00 Payment of Salaries and Wages thru Bank - GABIANA, DANILO R. FOR FEBRUARY 1-28, 2010 (4TH WEEK) Feb 25 2010-02-003680 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 853.44 711 2,000.00 111 2,853.44 Payment of Salaries and Wages thru Bank - INOC, DIONISIO P. FOR FEBRUARY 1-28, 2010 (4TH WEEK) Feb 25 2010-02-003695 Salaries and Wages - Regular 701 10,538.00 Personnel Economic Relief Allowance (PERA) 711 2,000.00 Life and Retirement Insurance Contributions 731 1,264.56 PAG-IBIG Contributions 732 100.00 PHILHEALTH Contributions 733 125.00 ECC Contributions 734 100.00 Cash in Bank - Local Currency , Current Account 111 11,064.58 Due to GSIS 413 2,312.98 Due to PAG-IBIG 414 500.00 Due to PHILHEALTH 415 250.00 Payment of Salaries and Wages thru Bank - SANCHEZ, NERISSA R. FOR FEBRUARY 1-28, 2010 (1ST, 2ND, 3RD & 4TH WEEK) Feb 25 2010-02-003756 Accounts Payable Due to Officers and Employees Cash - Disbursing Officers Due to BIR Feb 25 401 56,500.00 403 9,500.00 103 58,875.00 412 7,125.00 Payment of Allowances, Bonus and Other Compensation - BASOY, FILIPINA et. al.... Honorarium for the Cebu City Cooperative Development Council officers and members for October to December 2009. 2010-02-003833 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 2,034.68 711 2,000.00 111 4,034.68 Payment of Salaries and Wages thru Bank - BONTUYAN, EVANGELINE M. FOR FEBRUARY 1-28, 2010 (4TH WEEK) Feb 25 2010-02-003835 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) 701 45,031.23 711 82,000.00 Cash in Bank - Local Currency , Current Account 111 110,031.23 Other Payables 439 17,000.00 Payment of Salaries and Wages thru Bank - ABERION, YVONNE M. ET AL FOR FEBRUARY 1-28, 2010 (4TH WEEK) Feb 25 2010-02-003836 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) 701 6,150.05 711 10,000.00 Cash in Bank - Local Currency , Current Account 111 13,150.05 Other Payables 439 3,000.00 Payment of Salaries and Wages thru Bank - BONTILAO, ALYTH A. ET AL FOR FEBRUARY 1-28, 2010 (4TH WEEK) Feb 25 2010-02-003844 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) 701 57,588.06 711 58,000.00 Cash in Bank - Local Currency , Current Account 111 113,588.06 Other Payables 439 2,000.00 Payment of Salaries and Wages thru Bank - ANTIPORTA, BENJAMIN Q. ET AL FOR FEBRUARY 1-28, 2010 (4TH WEEK) Feb 25 2010-02-003846 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) 701 58,414.65 711 78,000.00 Cash in Bank - Local Currency , Current Account 111 120,414.65 Other Payables 439 16,000.00 Payment of Salaries and Wages thru Bank - ABELLANA, FELIX N. ET AL FOR FEBRUARY 1-28,2010 (4TH WEEK) Feb 25 2010-02-003847 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 753.63 711 2,000.00 111 2,753.63 Payment of Salaries and Wages thru Bank - CABANES, OSMUNITO O. FOR FEBRUARY 1-28, 2010 (4TH WEEK) Feb 25 2010-02-003850 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 1,054.49 711 2,000.00 111 3,054.49 Payment of Salaries and Wages thru Bank - RUIZO, NARCISA E. FOR FEBRUARY 1-28, 2010 (4TH WEEK) Feb 25 2010-02-003853 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) 701 16,831.71 711 32,000.00 Cash in Bank - Local Currency , Current Account 111 46,831.71 Other Payables 439 2,000.00 Payment of Salaries and Wages thru Bank- ALESNA, ALEXANDER M. ET AL FOR FEBRUARY 1-28, 2010 (4TH WEEK) Feb 25 2010-02-003854 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 18,461.86 711 32,000.00 111 50,461.86 Payment of Salaries and Wages thru Bank - ADLAWAN, RUFINA A. ET AL FOR FEBRUARY 1-28, 2010 (4TH WEEK) Feb 25 2010-02-003865 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 9,858.49 711 20,000.00 111 29,858.49 Payment of Salaries and Wages thru Bank - BAGUIO, SERGIO B. ET AL FOR FEBRUARY 1-28, 2010 (4TH WEEK) Feb 25 2010-02-003874 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 15,621.32 711 38,000.00 111 53,621.32 Payment of Salaries and Wages thru Bank - ABAN, ELEAZAR S. ET AL FOR FEBRUARY 1-28, 2010 (4TH WEEK) Feb 25 2010-02-003877 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) 701 12,909.64 711 20,000.00 Cash in Bank - Local Currency , Current Account 111 30,909.64 Other Payables 439 2,000.00 Payment of Salaries and Wages thru Bank - ABELLA, LOLITA N. ET AL FOR FEBRUARY 1-28, 2010 (4TH WEEK) Feb 25 2010-02-003880 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 3,095.28 711 6,000.00 111 9,095.28 Payment of Salaries and Wages thru Bank - BALCON, MARIO B. ET AL FOR FEBRUARY 1-28, 2010. Feb 25 2010-02-003882 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 1,631.57 711 4,000.00 111 5,631.57 Payment of Salaries and Wages thru Bank - BORDAJE, AILEEN B. ET AL FOR FEBRUARY 1-28, 2010 (4TH WEEK) Feb 25 2010-02-003886 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) 701 54,005.90 711 66,000.00 Cash in Bank - Local Currency , Current Account 111 119,005.90 Other Payables 439 1,000.00 Payment of Salaries and Wages thru Bank - ABELLA, MYRA A. ET AL FOR FEBRUARY 1-28, 2010 (4TH WEEK) Feb 25 2010-02-003888 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 6,602.96 711 6,000.00 111 12,602.96 Payment of Salaries and Wages thru Bank - ABONG, FELIXBERTO P. ET AL FOR FEBRUARY 1-28, 2010 (4TH WEEK) Feb 25 2010-02-003889 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 52,413.75 711 68,000.00 111 120,413.75 Payment of Salaries and Wages thru Bank - ABELLANA, ROLANDO DV. ET AL FOR FEBRUARY 1-28, 2010 (4TH WEEK) Feb 25 2010-02-003892 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 13,145.05 711 24,000.00 111 37,145.05 Payment of Salaries and Wages thru Bank - ABBU, GLESILDA T. ET AL FOR FEBRUARY 1-28, 2010 (4TH WEEK) Feb 25 2010-02-003895 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) 701 16,245.96 711 18,000.00 Cash in Bank - Local Currency , Current Account 111 33,245.96 Other Payables 439 1,000.00 Payment of Salaries and Wages thru Bank - ABATAYO, EVANGELINE T. ET AL FOR FEBRUARY 1-28, 2010 (4TH WEEK) Feb 25 2010-02-003896 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 5,761.83 711 10,000.00 111 15,761.83 Payment of Salaries and Wages thru Bank - BAGUIO, SILVERIANA L. ET AL FOR FEBRUARY 1-28, 2010 (4TH WEEK) Feb 25 2010-02-003897 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 8,240.07 711 4,000.00 111 12,240.07 Payment of Salaries and Wages thru Bank - DIÑO, DOMINIC A. ET AL FOR FEBRUARY 1-28, 2010 (4TH WEEK) Feb 25 2010-02-003899 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) 701 59,610.97 711 98,000.00 Cash in Bank - Local Currency , Current Account 111 149,610.97 Other Payables 439 8,000.00 Payment of Salaries and Wages thru Bank - BACALSO,TOMAS JR. Y. ET AL FOR FEBRUARY 1-28, 2010 (4TH WEEK) Feb 25 2010-02-003900 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 815.19 711 2,000.00 111 2,815.19 Payment of Salaries and Wages thru Bank - ABAD, FERNANDO Q. ET AL FOR FEBRUARY 1-28, 2010 Feb 25 2010-02-003901 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 4,638.78 711 6,000.00 111 (4TH WEEK) 10,638.78 Payment of Salaries and Wages thru Bank - CABAHUG, FLORA T. ET AL FOR FEBRUARY 1-28, 2010 (4TH WEEK) Feb 25 2010-02-003902 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 4,350.24 711 10,000.00 111 14,350.24 Payment of Salaries and Wages thru Bank - CABUNGCAL, NORMA V. ET AL FOR FEBRUARY 1-28, 2010 (4TH WEEK) Feb 25 2010-02-003912 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 34,774.60 711 42,000.00 111 76,774.60 Payment of Salaries and Wages thru Bank - ALCUIZAR, SNRTA. MARIE TRECE R. ET AL FOR FEBRUARY 1-28, 2010 (4TH WEEK) Feb 25 2010-02-003913 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 2,549.69 711 6,000.00 111 8,549.69 Payment of Salaries and Wages thru Bank - BANONO, ROMEO P. ET AL FOR FEBRUARY 1-28, 2010 (4TH WEEK) Feb 25 2010-02-003914 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 86,961.75 711 34,000.00 111 120,961.75 Payment of Salaries and Wages thru Bank - ABELLANOSA, RODRIGO A. ET AL FOR FEBRUARY 1-28, 2010 (4TH WEEK) Feb 25 2010-02-004066 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) 701 99,623.84 711 188,000.00 Cash in Bank - Local Currency , Current Account 111 274,723.84 Other Payables 439 12,900.00 Payment of Salaries and Wages thru Bank - ABELLA, URBANO JR. R. ET AL FOR FEBRUARY 1-28, 2010 (4TH WEEK) Feb 25 2010-02-004067 Subsidy to National Government Agencies 871 Cash in Bank - Local Currency , Current Account 111 15,500.00 15,500.00 Grant of Subsidies and Donations - AMPER, GALO M. ET AL AS MONTHLY INCENTIVE ALLOWANCE FOR JANUARY, 2010. Feb 25 2010-02-004076 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 24,143.39 711 44,000.00 111 68,143.39 Payment of Salaries and Wages thru Bank - ALIÑO, EVERISTO SR. L. ET AL FOR FEBRUARY 1-28, 2010 (4TH WEEK) Feb 25 2010-02-004078 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) 701 289,223.65 711 286,000.00 Cash in Bank - Local Currency , Current Account 111 574,223.65 Other Payables 439 1,000.00 Payment of Salaries and Wages thru Bank - ABADIANO, LEONOR G. ET AL FOR FEBRUARY 1-28, 2010 (4TH WEEK) Feb 25 2010-02-004080 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 7,507.31 711 18,000.00 111 25,507.31 Payment of Salaries and Wages thru Bank - CAÑA, ROMEO DC. ET AL FOR FEBRUARY 1-28, 2010 (4TH WEEK) Feb 25 2010-02-004081 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 23,095.20 711 32,000.00 111 55,095.20 Payment of Salaries and Wages thru Bank - ARACAN, FILOMENA M. ET AL FOR FEBRUARY 1-28, 2010 (4TH WEEK) Feb 25 2010-02-004084 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) 701 17,503.72 711 30,000.00 Cash in Bank - Local Currency , Current Account 111 46,503.72 Other Payables 439 1,000.00 Payment of Salaries and Wages thru Bank - ARCILLA, LORDE L. ET AL FOR FEBRUARY 1-28, 2010 (4TH WEEK) Feb 25 2010-02-004085 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 24,083.24 711 32,000.00 111 56,083.24 Payment of Salaries and Wages thru Bank - ALCANTARA, BRENT M. ET AL FOR FEBRUARY 1-28, 2010 (4TH WEEK) Feb 25 2010-02-004089 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 26,282.75 711 36,000.00 111 62,282.75 Payment of Salaries and Wages thru Bank - ANG, JEROME G. ET AL FOR FEBRUARY 1-28, 2010 (4TH WEEK) Feb 25 2010-02-004090 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) 701 53,677.28 711 140,000.00 Cash in Bank - Local Currency , Current Account 111 192,677.28 Other Payables 439 1,000.00 Payment of Salaries and Wages thru Bank - ABELLA, FRANCISCA Y. ET AL FOR FEBRUARY 1-28, 2010 (4TH WEEK) Feb 25 2010-02-004093 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 13,805.60 711 22,000.00 111 35,805.60 Payment of Salaries and Wages thru Bank - ABELGAS, JOSE P. ET AL FOR FEBRUARY 1-28, 2010 (4TH WEEK) Feb 25 2010-02-004094 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) 701 44,527.59 711 52,000.00 Cash in Bank - Local Currency , Current Account 111 95,527.59 Other Payables 439 1,000.00 Payment of Salaries and Wages thru Bank - ABELLANA, MA. ELENA F. ET AL FOR FEBRUARY 1-28, 2010 (4TH WEEK) Feb 25 2010-02-004096 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 31,800.56 711 50,000.00 111 81,800.56 Payment of Salaries and Wages thru Bank - ABELLA, JEYNO V. ET AL FOR FEBRUARY 1-28, 2010 (4TH WEEK) Feb 25 2010-02-004098 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 926.08 711 2,000.00 111 2,926.08 Payment of Salaries and Wages thru Bank - DELA CERNA, FE C. FOR FEBRUARY 1-28, 2010 (4TH WEEK) Feb 25 2010-02-004099 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 21,308.35 711 28,000.00 111 49,308.35 Payment of Salaries and Wages thru Bank - ABELLA, ANTONIO JR. T. ET AL FOR FEBRUARY 1-28, 2010 (4TH WEEK) Feb 25 2010-02-004101 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 21,064.40 711 18,000.00 111 39,064.40 Payment of Salaries and Wages thru Bank - ABELGAS, BELONA O. ET AL FOR FEBRUARY 1-28, 2010 (4TH WEEK) Feb 25 2010-02-004110 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) 701 52,228.17 711 54,000.00 Cash in Bank - Local Currency , Current Account 111 105,228.17 Other Payables 439 1,000.00 Payment of Salaries and Wages thru Bank - ABADIA, MA. FATIMA E. ET AL FOR FEBRUARY 1-28, 2010 (4TH WEEK) Feb 25 2010-02-004111 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 15,371.13 711 18,000.00 111 33,371.13 Payment of Salaries and Wages thru Bank - AGUILAR, NICEA D. ET AL FOR FEBRUARY 1-28, 2010 (4TH WEEK) Feb 25 2010-02-004113 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 15,750.61 711 14,000.00 111 29,750.61 Payment of Salaries and Wages thru Bank - ABENOJA, LUISITO D. ET AL FOR FEBRUARY 1-28, 2010 (4TH WEEK) Feb 25 2010-02-004114 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 3,969.52 711 6,000.00 111 9,969.52 Payment of Salaries and Wages thru Bank - DEL ROSARIO, DYLAN P. ET AL FOR FEBRUARY 1-28, 2010 (4TH WEEK) Feb 25 2010-02-004115 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 18,555.77 711 18,000.00 111 36,555.77 Payment of Salaries and Wages thru Bank - ABELLANOSA, RICO P. ET AL FOR FEBRUARY 1-28, 2010 (4TH WEEK) Feb 25 2010-02-004117 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) 701 16,305.13 711 28,000.00 Cash in Bank - Local Currency , Current Account 111 43,305.13 Other Payables 439 1,000.00 Payment of Salaries and Wages thru Bank - ABASTAS, VIRGILIO B. ET AL FOR FEBRUARY 1-28, 2010 (4TH WEEK) Feb 25 2010-02-004118 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) 701 40,322.54 711 52,000.00 Cash in Bank - Local Currency , Current Account 111 91,322.54 Other Payables 439 1,000.00 Payment of Salaries and Wages thru Bank - ALIVIO, NICANOR E. ET AL FOR FEBRUARY 1-28, 2010 (4TH WEEK) Feb 25 2010-02-004119 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 5,718.82 711 2,000.00 111 7,718.82 Payment of Salaries and Wages thru Bank - OSMEÑA, TOMAS DR. FOR FEBRUARY 1-28, 2010 (4TH WEEK) Feb 25 2010-02-004120 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 1,924.18 711 2,000.00 111 3,924.18 Payment of Salaries and Wages thru Bank - CAÑETE, LEONIDA F. FOR FEBRUARY 1-28, 2010 (4TH WEEK) Feb 25 2010-02-004122 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 515.64 711 2,000.00 111 2,515.64 Payment of Salaries and Wages thru Bank - GALIDO, ROGER N. FOR FEBRUARY 1-28, 2010 (4TH WEEK) Feb 25 2010-02-004123 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 6,102.08 711 10,000.00 111 16,102.08 Payment of Salaries and Wages thru Bank - CAMPOMANES, MARIE FE A. ET AL FOR FEBRUARY 1-28, 2010 (4TH WEEK) Feb 25 2010-02-004125 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 159,125.69 711 190,000.00 111 349,125.69 Payment of Salaries and Wages thru Bank - ABASTILLAS, EPIFANIA R. ET AL FOR FEBRUARY 1-28, 2010 (4TH WEEK) Feb 25 2010-02-004127 Salaries and Wages - Regular Personnel Economic Relief Allowance (PERA) Cash in Bank - Local Currency , Current Account 701 16,105.43 711 14,000.00 111 30,105.43 Payment of Salaries and Wage