e-Bulletin Board [PDF Form]
2011 Local Expenditure Program
2010 Quarterly Statement of Cash Flow
2011 Quarterly Statement of Cash Flow as of March
2010 Statement of Receipts and Expenditures
2011 Statement of Receipts and Expenditures Quarter ending March
CPre-Trial Balance General Fund as of December 2010 2010 Trust Fund [PDAF] Utilization 20 Percent Component of IRA Utilization as of December 2010
Report of Budget Allocation Utilization for Children -GAD (GF CY 2011)
SEF Fund Utilization as of March 2011 2010 Statement of Debt Service 2011 Items to Bid
Bidding Results as of March 2011
Bidding Results as of March 2011
Bidding Results as of June 2011
Bidding Results as of August 2011
Abstract of Bids as Calculated as of March 2011
Abstract of Bids as Calculated as of June 2011
Annual Investment Program 2011
Budget Allocation for Children and Utilization (GAD) as of March 31, 2011
Statement of Income and Expenditure by fund As of December 31, 2011
Statement of Changes in Government Equity as of November 30, 2011
2011 Quartely Statement of Cash Flow (TF) as of December
Preliminary Trial Balance (SEF) for the period ended December 31, 2011
Balance Sheet by fund (SEF) as of Dec.31, 2011
Statement of Changes in Government Equity (SEF) as of Dec.31, 2011
Balance sheet(2) by fund as of December 31, 2011
Statement of Cash Flow by fund as of Dec. 31, 2011
Budget Message 2012
Bidding Result - February 1, 2012
Final Trial Balance (GF) period ended December 31, 2011
Prelimenary Reports of Revenue and Receipts-December 31, 2011
2012 Annual Procurement Plan
2012 REVENUE CODE
Programmed Appropriation and Obligation (PDAF CY 2012)
Report of SEF Utilization (1st Qtr.)
Abstract of bids as Calculated March 5, 2012
Statement of Cash Flows (GF) March 31, 2012
Bidding Results April 2, 2012
Abstract of Bids as Calculated and Read April 2, 2012
Bidding Result April 12, 2012
Abstract of Bids as Calculated and Read April 12, 2012
Status of Appropriations as of May 31, 2012
Status of Appropriations-20% Gen Fund as of May 31, 2012
Statement of Cash Flows by fund June 30, 2012
Status of Appropriation (1st & 2nd Qtrs.-20% IRA)
Balance Sheet by fund (TF) as of July 31, 2012
Trial Balance-Trust Fund as of July 31, 2012
Statement of Cash Flow by Fund (TF) as of July 31, 2012
Balance Sheet by fund as of July 31, 2012
Statement of Income and Expenditure by fund as of July 31, 2012
Statement of Changes in Government in Equity (GF) as of July 31, 2012
Trial Balance-General Fund as of July 31, 2012
Statement of Cash flow by fund (GF) as of July 31, 2012
Statement of changes in Government Equity (SEF) as of July 31, 2012
Statement of Income Expenses by fund (SEF) as of July 31, 2012
Statement of Changes in Government Equity (SEF) as of July 31, 2012
Trial Balance (SEF) as of July 31, 2012
Balance Sheet by Fund (SEF) as of July 31, 2012
Bidding Result - July 31, 2012
Abstract of Bids as Calculated and Read - July 31, 2012
Trial Balance-Trust Fund as of September 30, 2012
Balance Sheet by fund As of September 30, 2012
Statement of Cash flow by Fund (TF) 3rd Qtr. ended September 30, 2012
Statement of Changes in Government Equity (TF) as of September 30, 2012
Trial Balance (SEF) as of September 30, 2012
Statement of Changes in Government Equity (SEF) as of September 30, 2012
Balance Sheet by fund (SEF) as of September 30, 2012
Statement of Income Expenses by fund (SEF) as of September 30, 2012
Statement of Cash Flow by Fund (SEF) 3rd Qtr. ended September 30, 2012
Trial Balance-General Fund as of September 30, 2012
Statement of Income and Expenditures by fund (GF) as of September 30, 2012
Balance Sheet by fund as of September 30, 2012
Statement of Cash Flow by fund (GF) as of September 30, 2012
Statement of Changes in Government Equity (GF) as of September 30, 2012
Status of Appropriation (3rd Qtrs.- 20% IRA)
Report of SEF Utilization (3rd Qtrs)
Preliminary Trial Balance (SEF) Period Ended December 31, 2012
Final Trial Balance (SEF) Period Ended December 31, 2012
Balance Sheet (SEF) as of December 31, 2012
Statement of Income & Expenses (SEF) as of December 31, 2012
Statement of Cash Flow by Fund (SEF) For the year ended December 31, 2012
Final Trial Balance (General Fund) For the year ended December 31, 2012
Preliminary Trial Balance (General Fund) For the year ended December 31, 2012
Balance Sheet by fund As of December 31, 2012
Statement of Cash Flow For the year ended December 31, 2012
Statement of Changes in Government Equity (GF) as of December 31, 2012
Statement of Income and Expenditures by fund For the year ended December 31, 2012
Status of Appropriation (4th Qtrs.-20% IRA)
Report of SEF Utilization (4th Qtr.)
Report of LDRRM Fund Utilization for the Qtr. ending December 31, 2012
Annual Procurement Plan 2013 (Accounting Office)
Annual Procurement Plan 2013 (Budget Office)
Annual Procurement Plan 2013 (Assessor`s Office)
Annual Procurement Plan 2013 (MCRO)
Annual Procurement Plan 2013 (MHO)
Annual Procurement Plan 2013 (MSWDO)
Annual Procurement Plan 2013 (MAGRO)
Annual Procurement Plan 2013 (MTO)
Annual Procurement Plan 2013 (Mayors Office)
Annual Procurement Plan 2013 (Nutrition Office)
Annual Procurement Plan 2013 (MPDO)
Annual Procurement Plan 2013 (MEO)
Annual Procurement Plan 2013 (SB Office)
Bidding Result (February, 2013)
Abstract of bids as Calculated (February 8, 2013)
Balance Sheet (TF) as of January 31, 2013
Preliminary Trial Balance (TF) for the period January 31, 2013
Statement of Cash Flows (TF) for the period January 31, 2013
Trial Balance (GF) for the month of January 31, 2013
Balance Sheet (SEF) as of January 31, 2013
Statement of Cash Flows (SEF) as of January 31, 2013
Trial Balance (SEF) as of January 31, 2013
Statement of Income and Expenditures for the month of January 31, 2013
Statement of Cash Flows for the month of January 31, 2013
Balance Sheet as of January 31, 2013
Abstract of bids as Calculated (February 8, 2013)
Bidding Result (February, 2013)
20% IRA Utilization (March 31, 2013)
SEF Utilization (March 31, 2013)
LDMRRMC (March 31, 2013)
Priority Development Assistance Fund (PDAF) (March 31, 2013)
Trust Fund (PDAF) Utilization - June 30, 2013
Statement of Debt Service as of June 30, 2013
Statement of Cash Flow (GF) for the month of June 30, 2013
SEF Income Expenditures - June 30, 2013
Report of SEF Utilization - June 30, 2013
LDMMRC as June 30, 2013
Items to Bid July 17, 2013
Bidding Result (August 8, 2013
Abstract of Bids as Calculated (August 8, 2013)
Bidding Result (August 28, 2013)
Abstract of Bids as Calculated (August 28, 2013)
SEF Report September 2013
SEF Balance Sheet as of September 30, 2013
SEF Statement of Cash Flow as of September 30, 2013
SEF Statement of Income and Expenses as of September 30, 2013
SEF Trial Balance as of September 30, 2013
Statement of Cash Flows (TF) as of September 30, 2013
Utilization of PDAF (September 30, 2013)
Balance Sheet (TF) as of September 30, 2013
Preliminary Trial Balance (TF) as of September 30, 2013
20% IRA utilization September 30, 2013
Balance Sheet as of September 30, 2013
Statement of Income and Expenditures for the month ending September 30, 2013 
Statement of Cash Flows (GF) for the month of September 30, 2013 
Trial Balance (GF) for the month of September 30, 2013 
Items to Bid November 2013
Bidding Result - December 2013
Abstract of bids as Calculated - December 2013
20% Development Fund as of December 31, 2013
Balance Sheet (SEF) as of December 31, 2013
Preliminary Trial Balance (SEF) December 31, 2013
Report of SEF Utilization as of December 31, 2013
Statement of Cash Flows (SEF) for the year ended December 31, 2013
Statement of Income & Expenses (SEF) for the year ended December 31, 2013
Balance Sheet (TF) as of December 31, 2013
Preliminary Trial Balance (TF) for the year ended December 31, 2013
Statement of Cahs Flows (TF) for the year ended December 31, 2013
Preliminary Trial Balance (GF) for the year ended December 31, 2013
Statement of Cash Flows for the year ended December 31, 2013
Statement of Income & Expenditures for the year ended December 31, 2013
Balance Sheet as of December 31, 2013
LDRRMF Utilization for the 4th Quarter ending December 31, 2013
PDAF Utilization as of December 31, 2013
Statement of Debt Services as of December 31, 2013
Supplemental Procurement Plan for the 4th Qtr. 2013
Unliquidated Cash Advance as of December 31, 2013
Manpower Complement as of December 31, 2013
2014 Annual Budget Report
Statement of Debt Service as of March 31, 2014
Notice of Application for Marriage License
Applicants for Marriage License as of September 2011a
Applicants for Marriage License as of October 2011a
Applicants for Marriage License as of October 2011b
Applicants for Marriage License as of November2011
Applicants for Marriage License as of December2011a
Applicants for Marriage License as of December2011b
Applicants for Marriage License as of December2011c
Applicants for Marriage License as of January 2012a
Applicants for Marriage License as of January 2012b
Applicants for Marriage License as of March 2012a
Applicants for Marriage License as of March 2012a2
Applicants for Marriage License as of April 2012a
Applicants for Marriage License as of April 2012.b
Applicants for Marriage License as of April 2012.c
Applicants for Marriage License as of April 2012.d
Applicants for Marriage License as of May 2012
Applicants for Marriage License as of May 2012.a
Applicants for Marriage License as of June 2012
Applicants for Marriage License as of July 2012
Applicants for Marriage License as of August 2012
Applicants for Marriage License as of August 2012.a
Applicants for Marriage License as of September 2012
Applicants for Marriage License as of October 2012
Applicants for Marriage License as of October 2012.a
Applicants for Marriage License as of November 2012
Applicants for Marriage License as of December 2012
Applicants for Marriage License as of January 2013
Applicants for Marriage License as of February 2013
Applicants for Marriage License as of March 2013
Applicants for Marriage License as of September 2013
Applicants for Marriage License as of October 2013
Applicants for Marriage License as of October 2013a
Applicants for Marriage License as of November 2013
Applicants for Marriage License as of November 2013.a
Applicants for Marriage License as of December 2013
Applicants for Marriage License as of February 2014
Applicants for Marriage License as of March 2014
Comparative Statement of Collection
REAL PROPERTY TAX
2011 2012 2013
JANUARY 513,630.84 535,747.00 482,300.16
FEBRUARY 199,884.48 341,872.16 322,279.54
MARCH 642,263.46 747,209.50 851,056.98
APRIL 158,572.28 107,811.46 179,958.22
MAY 189,701.88 128,366.03 83,274.28
JUNE 182,935.66 84,375.83 193,082.82
JULY 184,886.60 474,875.18 26,432.76
AUGUST 58,439.28 58,026.88 22,231.66
SEPTEMBER 19,228.02 113,269.50 101,815.70
OCTOBER 150,461.31 78,006.33 21,303.56
NOVEMBER 68,578.65 322,369.56 14,235.46
DECEMBER 23,393.72 132,302.64 60,589.92
TOTAL 2,391,976.18 3,124,232.07 2,358,561.06
 

BUSINESS TAX

2011 2012 2013
JANUARY 235,417.12 247,983.16 347,023.40
FEBRUARY 103,815.00 71,129.40 59,447.00
MARCH 40,876.40 20,339.25 45,168.88
APRIL 11,872.40 77,978.51 41,998.24
MAY 35,730.16 52,714.55 27,556.92
JUNE 21,983.80 43,997.60 13,805.86
JULY 57,890.40 37,060.52 71,937.10
AUGUST 28,480.60 32,177.80 11,373.48
SEPTEMBER 10,008.50 10,209.50 8,748.74
OCTOBER 23,200.10 55,217.10 26,746.25
NOVEMBER 18,455.65 7,927.71 12,333.46
DECEMBER 8,059.10 53,251.50 19,993.37
TOTAL 595,789.23 709,986.60 686,133.34
 

FEES & CHARGES

  2011 2012 2013
JANUARY 190,750.33 205,441.40 327,615.45
FEBRUARY 50,606.00 98,173.00 74,985.00
MARCH 96,447.00 49,310.00 64,589.00
APRIL 37,805.00 61,246.00 94,062.70
MAY 51,442.00 83,513.80 40,966.00
JUNE 43,573.10 88,661.00 45,683.00
JULY 31,352.00 57,899.00 41,983.00
AUGUST 38,477.00 43,733.76 42,646.00
SEPTEMBER 22,497.00 58,322.00 21,540.00
OCTOBER 25,595.90 61,198.05 18,531.02
NOVEMBER 20,062.00 26,458.00 17,309.41
DECEMBER 27,295.00 37,383.19 9,060.00
TOTAL 635,902.23 871,339.20 800,104.56
 

ECONOMIC ENTERPRISES

  2011 2012 2013
JANUARY 30,237.08 38,514.58 44,814.23
FEBRUARY 15,703.58 24,464.83 28,441.73
MARCH 25,602.08 39,283.08 30,499.73
APRIL 23,386.08 14,051.08 26,896.23
MAY 16,191.08 31,782.33 21,307.79
JUNE 19,826.08 22,391.08 15,646.79
JULY 13,366.08 22,492.08 14,722.50
AUGUST 17,824.08 25,442.33 4,150.00
SEPTEMBER 20,376.93 17,185.18 16,590.40
OCTOBER 16,341.08 29,019.93 24,571.40
NOVEMBER 25,047.33 21,788.73 33,852.90
DECEMBER 20,016.08 35,559.98 29,619.90
TOTAL 243,917.56 321,975.21 291,113.50
 

GRAND TOTAL

  2011 2012 2013
JANUARY 970,093.37 1,027,686.14 1,201,753.24
FEBRUARY 370,009.06 535,639.39 485,153.91
MARCH 805,286.94 856,141.83 991,314.59
APRIL 231,665.76 261,087.05 342,915.39
MAY 293,151.12 296,376.71 173,107.99
JUNE 268,420.64 239,425.51 268,218.47
JULY 287,567.08 592,326.78 155,075.36
AUGUST 143,272.96 159,380.77 80,401.14
SEPTEMBER 72,154.45 198,986.18 148,694.84
OCTOBER 215,632.39 223,441.41 91,152.23
NOVEMBER 132,163.63 378,544.00 77,731.23
DECEMBER 78,791.90 258,497.31 119,263.19
TOTAL 3,868,209.30 5,027,533.08 4,135,915.56
Accomplishment Report
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    You are Visitor #:

    Engineering Office

    ORGANIZATIONAL CHART

    Atty. RONELIE U. VALTORIBIO
    Municipal Mayor

    Engr. NICOMEDES M. PALADIN, Jr.
    Municipal Engineer

    Mr. MARLON G. AGUSTIN
    Engineering Assistant

          Ms. NOVIE SHERYL S. CARBONEL
    Engineering Assistant

    MR. JAIME V. CREDO
    Heavy Equipment Operator

    MR. ROLANDO G. GARCIA
    Heavy Equipment Operator

    MR. MICHAEL M. PASCUAL
    Heavy Equipment Operator

    BANS

    Mr. CRISANTO DEL ROSARIO, Jr.
    Heavy Equipment Operator

    ANJO

    Mr. RUSTY A. VELASCO
    Driver

    Accomplishment Report
    CY 2012

    I. Introduction

     The Municipal Engineering Office is the department in charge in the supervision and implementation of infrastructure development and other engineering works. For the year 2012, the office has supervised the Construction of Gymnasium (Phase IV, Phase V and Phase VI), Construction of Material Recovery Facility (MRF) and Construction of Motorpool Building, the Improvement of Villaverde Public Market and other infrastructure projects.

    In line with its duties and functions, this office has prepared Program of Works for the different developmental projects in the nine (9) Barangays of the municipality, projects of the Department of Education such as school building repair, improvement and other works were given concern and prepared the necessary program of work.

     II. Functional Statement

    The engineer shall take charge of the engineering office and shall:

    •   Initiate, review and recommend changes in policies and objectives, plans and programs, techniques, procedures and practices in infrastructure development and public works in general in the LGU concerned;
    •  Advise the mayor, as the case maybe, on infrastructure, public works and other engineering matters;
    •  Administer, coordinate, supervise and control the construction, maintenance, improvement and repair of roads, bridges and other engineering and public works projects of the LGU;
    • Provide engineering services to the LGU concerned, including investigation and survey, engineering office designs, feasibility studies and project management; and
    • Exercise such powers and perform such other duties and functions as maybe prescribed by law or ordinance

    I. ACCOMPLISHMENTS

     A. MUNICIPAL INFRASTRUCTURE AND DEVELOPMENT PROGRAM

     1.      PREPARED PROGRAM OF WORKS for the DIFFERENT INFRASTRUCTURE PROJECTS of the MUNICIPALITY

     a)      MLGU

    Name of Project

    Location

    Estimated Project Cost

    Project Description

    1.  Improvement of    Municipal HallBuilding

    Municipal Hall, Poblacion

    P 21,100.00

    Installation of Additional 2units – Class 200 Kilowatt-Hour Meter & Service Entrance
    2.  Improvement of    Municipal HallMain Building

    Municipal Hall, Poblacion

    P 7,000.00

    Replacement/Installation of 10Holes Panel Board
    3.  Improvement of    Barangay  Plaza

    Bintawan Sur

    P 65,000.00

    Landscaping of 107.00sq.m Sidewalk
    4.  Renovation/    Improvement ofCommunity PoliceAssistance Center(COMPAC)

    Bintawan Norte

    P 101,387.40

    Construction of 4.20m x 2.90m Extension Building w/ CR
    5.  Construction of    Material RecoveryFacility(MRF)

    Poblacion

    P 1,222,000.00

    Construction of 8.00m x 20.00m Building w/ CR excluding Service Drop Wire & Kilowatt-Hour Meter
    6.  Construction of    Motorpool Building

    Poblacion

    P 1,000,000.00

    Construction of 8.00m x 16.00m Building w/ CR excluding 54.08sq.m (10.40m x 5.20m) Flooring, Masonry, RSB & Fill Materials
    7.  Construction ofGymnasium PhaseIV

    Ibung

    P 650,000.00

    Completion of Bleacher (12.00lin.m) including Plastering, Concreting of 704.60sq.m Flooring & rough-Ins of Electrical Power Outlet
    8.  Construction ofGymnasium PhaseV

    Ibung

    P 1,000,000.00

    Construction of CR, Dressing Room, Backstage & Ramp to include Concrete Works, Masonry Works, Plastering of all CHB Wall, Beams & Columns (excluding CHB Walls, Beams & Columns @ Front Wall), Steel Works, Tinnery Works, Carpentry Works, Installation of Window Sashes, Plumbing Works (rough-ins) & Electrical Works (rough-ins)
    9.  Improvement of    Villaverde PublicMarket

    Ibung

    P 500,000.00

    Improvement of Public Market to include  Demolition of 35.00lin.m x 0.80m x 0.80m CHB Canal Lining and 3.00lin.m x 0.80m x 0.80m Box Culvert, Construction of 46.00lin.m x 0.80m wide x 0.80m CHB Drainage Canal w/ Cover, Construction of 43.30lin.m x 1.35m x 0.10m thk and 2.70lin.m x 1.35m x 0.20m thk Concrete Drainage Canal Cover, Construction of 4.00lin.m x 0.80m x 0.60m Box Culvert &  Upgrading of 285.00sq.m (19.00m x 15.00m) Concrete Flooring of Main Building
    10.  Landscaping of Senior Citizen’s Compound

    Ibung

    P 150,000.00

    Landscaping of 63.00m x 15.00m (945.00sq.m) Lot to include Cleaning (Removal of Grass, Bushes, Trees and others), Plastering of Fence & Laying of Bricks, Laying of Concrete Paving Blocks & Boulders (big stones) and Planting of Ornamental Plants & Carabao Grass
    11.  Repair of Water     System @ SeniorCitizen’sCompound

    Ibung

    P 5,500.00

    Repair of Electric Motor & Replacement of Fittings & Faucets
    12.  Construction of     Water System @PNP Station &Gymnasium

    Ibung

    P 16,000.00

    Construction of Water System to include Drilling, Installation of Jetmatic Pump, Pressure Tank, Electric Motor & Pipeline
    13.  Filling of Site for Gymnasium

    Ibung

    P 137,000.00

    Borrow Haul
    14.  Construction of     Gymnasium PhaseVI

    Ibung

    P 1,000,000.00

    Concreting of Flooring & Masonry Works @ Main Entrance, Plastering & Installation of Steel Casement Widow @ Front Wall, Installation of Roll-Up Door @ Main Entrance, Installation of Steel Matting Sidings & Steel Door @ 2sides, Installation of Panel Door, Installation of 16.70lin.n – ½” dia G.I Pipe Water Supply & Electrical Works (partial, service entrance & 76outlets only)
    15.  Construction of Comfort  Room @ Senior Citizen’s      Model Center

    Ibung

    P 655,000.00

    Construction of 7.00m x 5.00m Comfort Room
    16.  Improvement of     Bediones Road

    Ibung

    P 26,660.00

    Scraping & Sectional Gravelling of 1.75km x 4.00m wide Road
    17.  Concreting of Shoulder &     Gutter @VillaverdePublic Market

    Ibung

    P 55,500.00

    Concreting of 146.10sq.m x 0.15m thk Shoulder & Gutter
    18.  Construction/Improvementof Playground

    Ibung

    P 100,000.00

    Improvement of 400.00sq.m (20.00m x 20.00m) Playground to include Filling, Paving of Pathway & Planting of Native Grass
    19.  Rehabilitation of Palutan Creek Irrigation Canal

    Sitio Compra, Ibung

    P 9,000.00

    Construction of 1.00m x 1.20m x 8.00lin.m Improvised Gabion Protection Wall
    20.  Improvement of     Cemetery Road

    Ibung

    P 3,400.00

    Machine/Grading
    21.  Improvement of     Mangkelleb Road

    Ibung

    P 5,300.00

    Gravelling
    22.  Improvement of     Mangkelleb –Paniki Road

    Ibung

    P 7,300.00

    Gravelling
    23.  Improvement of           Rimmaket – Mangkelleb Road

    Pieza & ibung

    P 7,300.00

    Gravelling
    24.  Leveling of Site for Multi-Purpose Drying Pavement

    Prk. Namnama, Pieza

    P 23,974.00

    Leveling of 420.00sq.m Site for Multi-Purpose Drying Pavement (MPDP)
    25.  Improvement of     3CL BagongLipunanSchool Building

    Bint. South Elem. Sch., Bint.Sur

    P 17,000.00

    Construction of 6.00lin.m x 0.50m wide Concrete Lavatory
    26.  Concreting of Cavaldezan Farm to Market Road     (For Funding)

    Nagbitin

    P 500,000.00

    Concreting of 153.00lin.m x 4.00m x 0.15m thk Road
    27.  Concreting of Jose     Farm to Market Road(For Funding)

    Bintawan Sur

    P 500,000.00

    Concreting of 120.00lin.m x 5.00m x 0.15m thk Road
    28.  Concreting of Ubando Farm to Market Road     (For Funding)

    Bintawan Sur

    P 500,000.00

    Concreting of 120.00lin.m x 5.00m x 0.15m thk Road
    29.  Concreting of Patajo Farm to Market Road     (For Funding)

    Ibung

    P 1,000,000.00

    Concreting of 240.00lin.m x 5.00m x 0.15m thk Road
    30.  Construction of Market Stalls     (For Funding)

    Ibung

    P 1,445,000.00

    Construction of 5units – 4.00m x 6.00m Market Stalls

    b)      BARANGAY BINTAWAN SUR

    Name of Project

    Estimated Project Cost

    Project Description

    1. Improvement of VariousBarangay Roads & Filling ofBarangay Plaza

    P 29,100.00

    Drainage Excavation & Filling of Barangay Plaza
    2. Improvement of  Morales Street

    P 143,517.50

    Construction of 0.80m x 0.80m x 70.00lin.m CHB Canal Lining
    3. Improvement of Layugan Street

    P 143,517.50

    Construction of 0.80m x 0.80m x 70.00lin.m CHB Canal Lining
    4. Improvement of Ubando Road

    P 8,800.00

    Gravelling
    5. Improvement of Barangay Hall

    P 75,000.00

    Installation of 16” x 16” Floor Tiles on 102.00sq.m Area & Replacement of 1pc – #26 Corrugated G.I Sheet
    6. Improvement of  Day CareCenter

    P 2,400.00

    Installation of Water System for Lavatory, Demolition of CHB Wall & Installation of Flush Door & Concreting of Flooring of Pathway
    7. Improvement of Barangay Hall

    P 100,000.00

    Painting of 2Storey Building (18.00m x 5.50m)
    8. Improvement of  2StoreyBuilding(Barangay Hall)

    P 95,000.00

    Installation of 178.00sq.m Marine Plywood Ceiling w/ 2” x 2” Nailers of 18.00m x 5.50m 2Storey Building
    9. Installation of Street Names

    P 26,500.00

    Fabrication & Installation of 8units – Street Names
    10. Improvement ofBarangay Health Station

    P 78,000.00

    Construction of 2.00m x 6.50m Extension Building w/ Lavatory
    11. Improvement of BasketballBoard

    P 45,000.00

    Installation of 2units – 1.20m x 1.80m Acrylic Glass Board w/ Spring Ring & Accessories
    12. Improvement ofBarangay Hall Compound

    P 2,700.00

    13. Improvement of BintawanSouth Elementary School

    P 1,300,000.00

    Construction of 1.50m x 164.00lin.m x Catwalk

    c)      BARANGAY BINTAWAN NORTE

    Name of Project

    Estimated Project Cost

    Project Description

    1. Improvement ofBalacquit – Diamond Road

    P 86,776.40

    Concreting of 79.90lin.m Tire Path; 0.80m x 2lines @ 0.15m thk
    2. Improvement of Raros Street

    P 69,774.70

    Construction of 0.80m x 1.00m x 29.00lin.m CHB Canal Lining
    3. Improvement of Toledo Street

    P 72,701.95

    Concreting of 24.50lin.m x 4.50m x 0.15m thk Road
    4. Improvement ofVarious Barangay Roads

    P 15,500.00

    Drainage Excavation & Clearing of Culvert
    5. Construction of Volleyball Stand

    P 6,000.00

    Construction of 2units – Volleyball Stand
    6. Construction of Palay Shed

    P 270,000.00

    Construction of 9.00m x 6.00m Building(permanent structure)

    d)      BARANGAY POBLACION

    Name of Project

    Estimated Project Cost

    Project Description

    1. Construction of CHB CanalLining

    P 92,000.00

    Construction of 63.00lin.m x 0.65m x width x 0.525m high CHB Canal Lining
    2. Improvement ofVarious Barangay Roads

    P 3,400.00

    Machine Grading/Scraping
    3. Fabrication of Purok Marker

    P 11,000.00

    Fabrication of 2units – Purok Marker
    4. Improvement of Barangay Plaza

    P 12,000.00

    Painting of Basketball Court & Installation of 4sets – Halogen Lamp
    5. Improvement of PoblacionDay Care Center

    P 11,000.00

    Construction of 2.00m x 6.00m Shed at the Handwash Area
    6. Improvement of PoblacionDay Care Center

    e) BARANGAY IBUNG

    Name of Project

    Estimated Project Cost

    Project Description

    1. Improvement ofNatividad Street Phase IV

    P 53,208.10

    Concreting of 14.70lin.m x 5.00m x 0.15m thk Road
    2. Improvement of Demo Road

    P 51,007.60

    Concreting of 24.50lin.m x 3.00m x 0.15m thk Road
    3. Improvement of EEA-PanikiRoad

    P 51,007.60

    Concreting of 24.50lin.m x 3.00m x 0.15m thk Road
    4. Improvement of Barangay HallFence

    P 12,500.00

    Construction of 2units – 0.30m x 0.30m Concrete Column for Steel Gate & Masonry Works
    5. Improvement ofBarangay Hall Compound

    P 46,000.00

    Construction of 5units – 0.36m dia x 3.50m high & 3units – 0.36m dia x 4.00m high Concrete Pillars
    6. Improvement of Pimentel Street

    P 84,684.90

    Concreting of 29.40 lin.m x 5.00m x 0.15m thk Road
    7. Improvement of Allascon Street

    P 84,684.90

    Concreting of 29.40 lin.m x 5.00m x 0.15m thk Road
    8. Improvement of NatividadStreet

    P 91,351.90

    Concreting of 29.40lin.m x 5.00m x 0.15m thk Road
    9. Improvement of Estalilla Street

    P 28,159.40

    Construction of 12.00lin.m x 2.50m high Rubble Stone Masonry Erosion Control
    10. Improvement ofVarious Barangay Roads

    P 3,900.00

    Backfilling & Removal of Slides
    11. Improvement ofIbung – Cavaldezan Road

    P 28,100.00

    Road Widening
    12. Improvement of MoralesStreet

    P 54,929.60

    Concreting of 18.30lin.m x 4.00m x 0.15m thk Road
    13. Improvement of EEA – PanikiRoad

    P 58,431.70

    Concreting of 30.60lin.m x 2.40m x 0.15m thk Road
    14. Improvement of MangkellebRoad

    P 81,717.60

    Concreting of 45.89lin.m x 2.40m x 0.15m thk Road

     f)      BARANGAY PIEZA

    Name of Project

    Estimated Project Cost

    Project Description

    1. Rehab/Improvement ofNagsangduan Road

    P 35,000.00

    Construction of 10.00m x 3.00m Rubble Stone Masonry Protection Wall
    2. Concreting of Pieza-SawmillRoad

    P 62,034.90

    Concreting of 87.00sq.m x 0.15m thk Road
    3. Improvement of Aquino Road

    P 50,107.48

    Installation of 6pcs – 36” dia R.C Pipes (2lines @ 3pcs) and 3pcs – 24” dia R.C Pipes (1line) & Provision of Rubble Stone Masonry Headwall and Wingwall
    4. Improvement of VariousBarangay Roads

    P 14,260.00

    Machine Grading (Scraping)
    5. Construction of Storage Room,(Purok Namnama)

    P 65,000.00

    Construction of 3.00m x 5.00m Storage Room
    6. Construction of Storage Room,(Purok Saranay)

    P 102,000.00

    Construction of 4.00m x 3.00m Storage Room

     g)      BARANGAY SAWMILL

    Name of Project

    Estimated Project Cost

    Project Description

    1. Improvement ofVarious Barangay Roads

    P 9,820.00

    Machine Grading
    2. Improvement of Calao-Bulan Road

    P 174,308.20

    Concreting of 102.80lin.m x 2.50m @ 0.15m thk Road
    3. Improvement of Cabanutanan Road

    P 51,142.10

    Concreting of 31.60lin.m x 2.25m x 0.15m thk Road
    4. Improvement ofCabanutanan Road Phase 2

    P 58,501.20

    Concreting of 36.10lin.m x 2.25m x 0.15m thk Road
    5. Improvement ofPangasinan Road Phase 2

    P 33,896.80

    Concreting of 18.00lin.m x 2.25m x 0.15m thk Road
    6. Improvement of Sawmill-OcaponRoad

    P 5,000.00

    Clearing & Ditching
    7. Improvement of Sample Plot Road

    P 10,000.00

    Manual Clearing & Ditching
    8. Improvement ofSawmill Day Care Center

    P 6,000.00

    Construction of 6.20lin.m x 2.00m high Concrete Fence
    9. Improvement ofBarangay Health Station

    P 12,000.00

    Improvement of Barangay Health Station to include Upgrading of Flooring, Plain Cement Finish, Tile Works, Carpentry Works (cabinet door jamb), Fabrication and Installation of 4units – 0.80m x 0.70m Cabinet Sashes & Paint Works
    10. Improvement ofSawmill – Calao Road

    P 10,000.00

    Clearing & Ditching
    11. Construction of Purok Marker

    P 13,000.00

    Construction of 7units – 1.30m high x 1.00m wide Concrete Purok Marker
    12. Improvement of CabanutananRoad

    P 58,501.20

    Concreting of 36.10lin.m Tire Path (0.80m x 2lines @ 0.15m thk) & 36.10lin.m x 0.70m x 0.05m thk along the Center of Tire Path
    13. Improvement of Pangasinan Road

    P 58,501.20

    Concreting of 36.10lin.m Tire Path (0.80m x 2lines @ 0.15m thk) & 36.10lin.m x 0.70m x 0.05m thk along the Center of Tire Path
    14. Improvement of Calao – BulanRoad

    P 107,920.40

    Concreting of 58.75lin.m x 2.50m x 0.15m thk Road
    15. Improvement of Calao – BulanRoad

    P 10,800.00

    Gravelling

     h)      BARANGAY NAGBITIN

    Name of Project

    Estimated Project Cost

    Project Description

    1. Rehabilitation/Improvement ofCamamugayan Bridge 1

    P 98,087.80

    Construction of 5.00lin.m x 4.00m high Rubble Stone Masonry Wing Wall, 3.50lin.m x 7.50m ave. width x 2.80m high Rubble Stone Masonry Protection Structure & 10.00lin.m x 1.00m width x 2.00m high Improvised Gabion

    2. Improvement ofVarious Barangay Roads

    P 21,150.00

    Gravelling
    3. Construction of Multi-PurposeShed, Prk. 7

    P 41,000.00

    Construction of 2.00m x 3.00m Multi-Purpose Shed
    4. Improvement of Umoc Road Phase2

    P 50,257.60

    Concreting of 18.35lin.m x 4.00m x 0.15m thk Road
    5. Improvement of CamamugayanRoad

    P 29,412.40

    Construction of 15.00lin.m x 3.00m high Rubble Stone Masonry Erosion Control
    6. Improvement of Cavaldezan Road

    P 76,163.40

    Construction of 30.00lin.m x 3.00m high Rubble Stone Masonry Erosion Control
    7. Improvement of VariousBarangay Roads

    P 3,000.00

    Manual Clearing
    8. Construction of Multi-PurposeDrying Pavement Phase 3, (Purok 2)

    P 45,000.00

    Concreting of 125.00sq.m x 0.10m thk MPDP
    9. Improvement ofBarangay Health Center

    P 35,000.00

    Improvement of Barangay Health Center to include Concrete Works, Masonry Works, Tinnery Works, Electrical Works & Installation of 1unit – 0.80m x 2.10m Panel Door and 1unit – 0.40m x 1.00m Steel Casement Window
    10. Construction ofMulti-Purpose Shed, Prk. 6

    P 46,000.00

    Construction of 2.00m x 3.00m Multi-Purpose Shed
    11. Repair/Rehab of Umoc SWIPBailey Bridge

    P 129,356.90

    Replacement of Wooden Transoms, Stringers and Flooring of 9.30lin.m Bailey Bridge
    12. Improvement ofUmoc – Little Baguio Road

    P 53,511.50

    Concreting of 12.25lin.m x 3.00m x 0.15m thk Road & 26.50lin.m Tire Path (0.80m x 2lines @ 0.15m thk)

     i)      BARANGAY CABULUAN

    Name of Project

    Estimated Project Cost

    Project Description

    1. Improvement of Centro Nag-et Road

    P 35,940.00

    Concreting of 31.00lin.m Tire Path; 0.80m x 2lines @ 0.15m thk
    2. Improvement of Potang Road

    P 103,573.20

    Concreting of 88.00lin.m Tire Path; 0.80m x 2lines @ 0.15m thk
    3. Improvement of Upper Calao Road

    P 103,573.20

    Concreting of 88.00lin.m Tire Path; 0.80m x 2lines @ 0.15m thk
    4. Improvement ofCentro Gonggongob Road

    P 76,567.00

    Concreting of 66.50lin.m Tire Path; 0.80m x 2lines @ 0.15m thk
    5. Improvement of Centro Nag-et Road

    P 76,567.00

    Concreting of 66.50lin.m Tire Path; 0.80m x 2lines @ 0.15m thk
    6. Construction of Timber Bridge@ Centro Nag-et Road

    P 101,699.70

    Construction of 3.00lin.m x 3.50m width Timber Bridge
    7. Improvement of Little Baguio Road

    P 102,531.20

    Concreting of 88.00lin.m Tire Path; 0.80m x 2lines @ 0.15m thk
    8. Improvement ofNagbitin – Cabuluan Road

    P 51,665.60

    Concreting of 45.00lin.m Tire Path; 0.80m x 2lines @ 0.15m thk
    9. Improvement of Lower Calao Road

    P 105,135.20

    Concreting of 88.00lin.m Tire Path; 0.80m x 2lines @ 0.15m thk
    10. Improvement of Nag-et Road

    P 3,000.00

    Clearing & Ditching
    11. Improvement of Barangay Plaza

    P 5,000.00

    Manual Excavation & Levelling
    12. Rehabilitation/Improvement of  Mini-Gym

    P 4,000.00

    Replacement of Purlins & Canal Excavation
    13. Improvement/Maintenance ofNagbitin – Cabuluan Road

    P 10,000.00

    Clearing & Ditching
    14. Improvement of Centro Gonggongob Road

    P 3,000.00

    Clearing & Ditching
    15. Improvement of Lumoy Road

    P 3,000.00

    Clearing & Ditching
    16. Improvement of Little Baguio Road

    P 3,000.00

    Clearing & Ditching
    17. Improvement of  Centro Cabuluan Road

    P 3,000.00

    Manual Ditching
    18. Leveling of Site for Multi-PurposeDrying Pavement (MPDP)

    P 4,000.00

    Leveling of 420.00sq.m Site for MPDP
    19. Improvement of  Lumoy – Little Baguio Road

    P 2,000.00

    Manual Clearing
    20. Improvement of  Nagbitin – Cabuluan Road

    P 5,000.00

    Manual Clearing
    21. Improvement of  Centro Gonggongob Road

    P 3,000.00

    Clearing & Ditching
    22. Leveling of Site for Multi-Purpose DryingPavement (MPDP), (Centro Cabuluan)

    P 2,000.00

    Leveling of 420.00sq.m Site for MPDP
    23. Construction of Multi-PurposeDrying Pavement (MPDP)

    P 100,000.00

    Construction of 187.00sq.m (17.00m x 11.00m) x 0.10m thk MPDP w/ 9mm dia RSB spaced @ 0.60m o.c.
    24. Improvement of  Centro Gonggongob Road

    P 5,000.00

    Clearing & Ditching
    25. Improvement of  Balacquit – Nag-et Road

    P 3,000.00

    Clearing & Ditching
    26. Construction of Purok Marker

    P 35,000.00

    Construction of 7units – 1.00m x 1.40m Marker
    27. Improvement of  Centro Maallot Road

    P 2,000.00

    Clearing & Ditching
    28. Construction ofMulti-Purpose Building

    P 80,000.00

    Construction of 4.80m x 3.00m Multi-Purpose Building
    29. Improvement of Little BaguioRoad

    P 67,935.00

    Concreting of 66.50lin.m Tire Path; 0.80m x 2lines @ 0.15m thk
    30. Gavelling of Various Barangay Roads

    P 4,800.00

    Gravelling
    31. Improvement of  Nagbitin – Cabuluan Road

    P 4,000.00

    Clearing & Ditching
    32. Improvement of Little Baguio – Nag-et Road

    P 3,000.00

    Clearing & Ditching
    33. Improvement of Day Care Center

    P 3,300.00

    Construction of 2.00lin.m x 0.80m Lavatory, Demolition of 2.00sq.m CHB Wall, Installation of 5.10lin.m Door Jamb and 1unit – 0.90m x 2,10m Panel Door & Plastering of Concrete Bench
    34. Improvement of Upper Calao Road

    P 3,000.00

    Clearing & Ditching
    35. Improvement ofLumoy – Lower Calao Road

    P 5,000.00

    Clearing & Ditching
    36. Improvement of  Centro Cabuluan Road

    P 3,000.00

    Clearing & Ditching
    37. Improvement/Protection ofMulti-Purpose Drying Pavement(MPDP)

    P 3,000.00

    Riprapping
    38. Improvement of Lower Calao Road

    P 3,000.00

    Clearing & Ditching
    39. Construction of MPDP Marker

    P 3,500.00

    Construction of 1.85m x 1.00m MPDP Marker
    40. Improvement of  Nagbitin – Cabuluan Road

    P 4,000.00

    Clearing & Ditching
    41. Improvement of Upper Calao Road

    P 4,000.00

    Clearing & Ditching
    42. Improvement of SpringDevelopment (For Funding)

    P 158,000.00

    Construction of 2.00m x 2.00m x 1.85m Reservoir & Pipeline System

    J)      BARANGAY OCAPON

    Name of Project

    Estimated Project Cost

    Project Description

    1. Gravelling of Ban-ao Road

    P 18,440.00

    Gravelling
    2. Improvement of Pasto Road

    P 4,300.00

    Roadway Excavation
    3. Construction ofMaterial Recovery Facility

    P 25,000.00

    Construction of 1.00m x 3.00m Building
    4. Improvement ofSawmill – Ocapon Road

    P 73,480.70

    Concreting of 36.00lin.m x 1.50m x 0.15m thk x 2sides Shoulder
    5. Construction of MPDP Marker,Prk. 1

    P 3,500.00

    Construction of 1.85m x 1.00m MPDP Marker
    6. Improvement ofSto.Domingo – Ambasa Road,Prk. 1

    P 5,000.00

    Clearing & Ditching
    7. Improvement of Dinnag Road,Prk. 2

    P 5,000.00

    Clearing & Ditching
    8. Improvement ofSto.Domingo – Ambasa Road,Prk. 3

    P 5,000.00

    Clearing & Ditching
    9. Improvement of Barangay Hall

    P 22,000.00

    Installation/Fabrication of 2units – 1.50m x 1.00m and 1unit – 1.50m x 1.20m Steel Gates, 2.50lin.m x 0.70m Steel Grills, & 1.60lin.m G.I Handrails
    10. Improvement of SK Hall

    P 2,400.00

    Painting of Grills & CHB Wall
    11. Improvement of ComfortRoom

    P 11,000.00

    Installation of 1unit – 0.60m x 2.10m PVC Door, 1pc – Toilet Bowl, 8” x 8” Floor Tiles, 8” x 8” Wall Tiles & Plastering of 10.74sq.m CHB Wall
    12. Improvement ofBarangay Health Center

    P 6,500.00

    Replacement of 3pcs – Ordinary Plywood for Interior Ceiling, Installation of 1pc – Marine Plywood for Table & Paint Works
    13. Improvement of Day CareCenter

    P 29,000.00

    Improvement of Day Care Center to include Interior Ceiling, Replacement of 3pcs – Fascia Board & Improvement of Lavatory
    14. Improvement ofSto.Domingo – Ambasa Road

    P 4,800.00

    Clearing & Ditching
    15. Improvement of Dinnag Road

    P 5,600.00

    Clearing & Ditching
    16. Improvement of Ban-ao Road

    P 57,265.60

    Concreting of 45.00lin.m Tire Path; 0.80m x 2lines @ 0.15m thk
    17. Improvement of Multi-Purpose Drying Pavement(MPDP)

    P 13,000.00

    Construction of 24.00lin.m x 0.60m CHB Erosion Control
    18. Improvement ofSto.Domingo – Ambasa Road

    P 60,578.20

    Concreting of 11.68lin.m x 2.20m x 0.15m thk Road & 47.50lin.m x 1.00m x 0.15m thk Shoulder

     k)     DEPARTMENT OF EDUCATION

    Name of Project

    Location

    Project Description

    Estimated Project Cost

    1. Construction of Multi-PurposeBuilding @ Gov. Juan ManzanoCommunity School(For Funding)

    Sitio Omoc, Nagbitin

    Construction of 12.00m x 4.80m Building

    P 270,000.00

    2. Repair of 1CL School Buildingfor School Office

    Turod Elem. School,

     Poblacion

    Repair of 4.25m x 6.00m School Building

    P 25,325.00

    3. Rehabilitation/Improvementof School Buildings @ SawmillElementary School

    Sawmill

    Replacement of Dilapidated Ceiling Board of 1unit – 2CL (12.00m x 8.00m), 1unit – 3CL (18.00m x 8.00m) and 1unit – 3CL (24.00m x 6.00m) School Buildings

    P 50,000.00

    4. Improvement of  2CL MarcosType School Building @Buenavista Elementary School

    Cabuluan

    Improvement of 2CL Marcos Type School Building to include Topping of Concrete Flooring & Installation of Door and Window Sashes

    P 50,000.00

    5. Improvement of District Office(For Funding)

    Ibung

    Construction of 2.50m x 8.00lin.m Extension Building

    P 145,000.00

    6. Improvement of Felix – JuanaBrawner Community School(For Funding)

    Pieza

    Construction of 72.00lin.m x 1.50m high CHB Fence

    P 137,000.00

    7. Improvement of BagongLipunan School Building @Bintawan North Elem.  School

    Bintawan Norte

    Replacement of Window Sashes & Painting of 1CL

    P 50,000.00


    8. Improvement of CalderonBuilding @ Bintawan NorthElementary School

    Bintawan Norte

    Painting of 2units – 7.00m x 6.80m CL (Interior Wall, Interior Ceiling, Partition & Doors and Windows)

    P 20,000.00

    9. Improvement of IndustrialBuilding @ Bintawan NorthElementary School

    Bintawan Norte

    Upgrading of 7.60m x 12.00m Flooring & Painting of 7.60m x 12.00m Ceiling (interior)

    P 62,000.00

    10. Improvement of CalderonBuilding @ Bintawan NorthElementary School

    Bintawan Norte

    Upgrading of 2units – 7.00m x 6.80m Classroom

    P 48,000.00

    11. Improvement ofClinic/Library Office @Villaverde Central School

    Ibung

    Improvement of Clinic/Library Office to include masonry Works, Tile Works, Carpentry Works, Paint Works & Installation of Door Sash

    P 76,500.00

     l)     SMALL IRRIGATION PROJECTS

    Name of Project

    Location

    Project Description

    Estimated Project Cost

    1. Improvement of EarthDike for LabbunanIrrigators Association

    Purok 5, Ibung

    Filling & Leveling

    P 7,600.00

    2. Construction of GabionFlood Control alongBintawan River

    Bintawan Sur

    Construction of 4.00lin.m x 3.00m high Gabion Flood Control

    P 28,119.70

    3. Rehabilitation ofPalutan Creek IrrigationCanal

    Sitio Compra, Ibung

    Construction of 1.00m x 1.20m x 8.00lin.m Improvised Gabion Protection Wall

    P 9,000.00

    4. Construction of Mini-Diversion Dam@ Banco – Ifugao Creek

    Sitio Mangkelleb, Ibung

    Construction of 3.00lin.m x 1.00m high Rubble Stone Masonry Mini-Diversion Dam w/ 2units – 1.50m x 1.50m high and 2units – 1.00m x 1.50m high Wing Walls & Rubble Stone Ma