Title | Download |
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Trust Funds Utilization 1st QRTER 2025 | |
Statement of Cash Flows-1st Qtr 2025 | |
SIPB_032025 | |
SEF UTILIZATION - 1st Qtr 2025 | |
Human Resource Complement - 1st Qtr 2025 | |
eSRE_2025_q1 | |
Bids Results on Civil Works | |
1st Qtr. 2025 20% Utilization | |
25.1 Unliquidated Cash Advance GF MARCH 2025 | |
20% of the National Tax Allotment Utilization for Development Projects | |
Civil Works_Goods Bid Out 2nd Quarter 2024 | |
Camarines Norte Provincial Government 1st Quarter Supplemental Procurement Plan for FY 2024 | |
Camarines Norte Provincial Government 2nd Quarter Supplemental Procurement Plan for FY 2024 | |
Local Disaster Risk Reduction And Management Fund Utilization 2nd Quarter 2024 | |
Human Resource Complement 2024 | |
Procurement Plan 2024 | |
Special Education Fund Utilization for the Year Ended June 30, 2024 | |
Statement of Indebtedness, Payments and Balances (SIPB) as of June 30, 2024 | |
Statement of Receipts and Expenditures 2nd Quarter 2024 | |
Statement of Cash Flows for the Year Ended June 30, 2024 | |
Consolidated Quarterly Report On Government Projects, Programs Or Activities for the 2nd Quarter CY 2024 | |
Report On Aging Of Cash Advances Schedule Of Cash Advances To Officers and Employees SA- LDRRM Fund as of June 30, 2024 | |