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Quarterly Statement of Cash Flow

This document is a statement of cash flows for the 1st quarter of 2023 for the city of San Fabian in Pangasinan province, Philippines. It summarizes the inflows and outflows of cash from operating, investing and financing activities. It shows the net cash flows from each category and calculates the net increase in cash along with the beginning and ending cash balances. Local officials are required to certify the accuracy of the financial information contained in the report.

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DILG San Fabian
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0% found this document useful (0 votes)
246 views

Quarterly Statement of Cash Flow

This document is a statement of cash flows for the 1st quarter of 2023 for the city of San Fabian in Pangasinan province, Philippines. It summarizes the inflows and outflows of cash from operating, investing and financing activities. It shows the net cash flows from each category and calculates the net increase in cash along with the beginning and ending cash balances. Local officials are required to certify the accuracy of the financial information contained in the report.

Uploaded by

DILG San Fabian
Copyright
© © All Rights Reserved
We take content rights seriously. If you suspect this is your content, claim it here.
Available Formats
Download as XLSX, PDF, TXT or read online on Scribd
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FDP Form 9 - Statement of Cash Flows

(BLGF Memorandum Circular No. 09 - 2012 dated February 21, 2012, Annex 2)

STATEMENT OF CASH FLOWS

REGION: REGION I - ILOCOS REGION CALENDAR YEAR: 2023


PROVINCE: PANGASINAN QUARTER: 1
CITY/MUNICIPALITY: SAN FABIAN

Cash Flows From Operating Activities:


Cash Inflows:
Collection from Taxpayers xx
Share from Internal Revenue Collections xx
Receipts from Sale of Goods or Services xx
Interest Income xx
Dividend Income xx
Other Receipts xx
Total Cash Inflow xx
Cash Outflows:
Payments :
To Suppliers/Creditors xx
To Employees xx
Interest Expense xx
Other Expenses xx
Total Cash Outflow xx
Net Cash from Operating Activities xx

Cash Flows from Investing Activities:


Cash Inflows:
From Sale of Property, Plant and Equipment xx
From Sale of Dept Securities of Other Entities xx
From Collection of Principal on Loans to Other Entities xx
Total Cash Inflow xx
Cash Outflows:
To Purchase Property, Plant and Equipment xx
To Purchase Debt Securities of Other Entities xx
To Grant/Make Loans to Other Entities xx
Total Cash Outflow xx
Net Cash from Investing Activities xx

Cash Flows from Financing Activities


Cash Inflows:
From Issuance of Debt Securities xx
From Acquisition of Loan xx
Total Cash Inflow xx
Cash Outflows:
Retirement/Redemption of Debt Securities xx
Payment of Loan Amortization xx
Total Cash Outflow xx
Net Cash from Financing Activities xx

Net Increase in Cash xx


Cash at Beginning of the Period xx
Cash at the End of the Period xx

We hereby certify that we have reviewed the contents and hereby attest to the veracity and correctness of the data or information contained in this document.

Local Accountant Local Chief Executive


CAUTION:
TO REDUCE THE RISK OF UPLOADING WRONG TEMPLATE FOR THIS DOCUMENT, DO NOT EDIT/DELETE THIS SHEET.

FROM:
FDPP TEAM

v2
DELETE THIS SHEET.

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