Statement of Cash Flows- Ended March 31,2010
LGU - Talibon, Bohol
Statement of Cash Flows
For the Year Ended March 31, 2010
GENERAL FUND
| Proceeds from Matured Investments | 0.00 |
| Proceeds from Sales of Property, Plant and Equipment | 0.00 |
| Collection of Loans Receivables | 0.00 |
| Total Cash Inflows | 0.00 |
| Cash Outflows: | |
| Purchase/ Fabrication/ Construction of Property, Plant and Equipment, Public Infrastructures and Reforestation Projects | 513,790.36 |
| Payment of Progress Billing of Contractors for Agency Assets | 809,417.92 |
| Payment for Progress Billing of Contractors of Public Infrastracture/ Reforestation Project | 314,620.74 |
| Refund of Retention Fees to Contractors | |
| Payment of Right of Way | |
| Transfer of Funds for Implementation of Capital / Infrastructure Projects | |
| Total Cash Outflows | 1,637,829.02 |
| Net Cash from (Used) in Investing Activities |
(1,637,829.02) |
Cash Flows From Financing Activities
| Cash Inflows | |
| Proceeds from Loan | 0.00 |
| Proceeds from Bond Flotation | 0.00 |
| Total Cash Inflows | 0.00 |
| Cash Outflows | |
| Payment of Mortgage / Bonds/ Loans Payable and other Long Term Liabilities | 1,517,857.14 |
| Payment for Financial Expences | 1,046,182.65 |
| Total Cash Outflows | 2,564,039.79 |
| Net Cash from (used) in Financing Activities | (2,564,039.79) |
| Net Increase(Decreased) in Cash and cash Equivalents | 5,348,946.98 |
| Cash and Cash Equivalents, Jan. 1, 2010 | 29,988,600.07 |
| Cash and Cash Equivalents, March 31, 2010 | 35,337,547.05 |
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