Meta PixelAnnual Audit Report 2024 — Municipality of Pamplona — Page 119

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Page 119
                                                                                             Appendix D.2
                                           Province of Negros Oriental
                                           Municipality of Pamplona
                                      STATEMENT OF CASH FLOWS
                                             Special Education Fund
                                     For the Year Ended December 31, 2024
                                    (With Comparative Figures for CY 2023)


                                                                          2024                2023
Cash Flows from Operating Activities:
 Cash Inflows:
  Collection from Taxpayers                                          ₱   1,626,186.74    ₱   1,325,473.34
  Share from Internal Revenue Allotment
  Receipts from business/service income
  Interest Income                                                            1,644.05            1,763.30
  Dividend Income
  Other Receipts
  Total Cash Inflow                                                      1,627,830.79        1,327,236.64
 Cash Outflows:
  Payment of expenses
  Payments to suppliers and creditors                                    2,284,721.93        1,536,693.36
  Payments to employees                                                                         36,000.00
  Interest Expenses
  Other Expenses
  Total Cash Outflow                                                     2,284,721.93        1,572,693.36
  Net Cash from Operating Activities                                      (656,891.14)        (245,456.72)
Cash Flows from Investing Activities:
 Cash Inflows:
  Proceeds from Sale of Investment Property                                       -                   -
  Proceeds from Sale/Disposal of Property, Plant & Equipment                      -                   -
  Proceeds from Sale of Non-Current Investments                                   -                   -
  Collection of Principal on loans to other entities                              -                   -
  Total Cash Inflow                                                               -                   -
 Cash Outflows:
  Purchase/Construction of Investment Property                                    -                   -
  Purchase/Construction of Property, Plant & Equipment                            -            155,107.50
  Investment                                                                      -                   -
  Purchase of Bearer Biological Assets                                            -                   -
  Purchase of Intangible Assets                                                   -                   -
  Grant of Loans                                                                  -                   -
  Total Cash Outflow                                                              -            155,107.50
  Net Cash from Investing Activities                                              -           (155,107.50)
Cash Flows from Financing Activities:
 Cash Inflows:
  Proceeds from issuance of bonds                                                 -                   -
  Proceeds from Loans                                                             -                   -
  Total Cash Inflow                                                               -                   -
 Cash Outflows:
  Payment of Long-Term Liabilities                                                -                   -
. Retirement/Redemption of Debt Securities                                        -                   -
  Payment of Loan Amortization                                                    -                   -
  Total Cash Outflow                                                              -                   -
  Net Cash from Financing Activities                                              -                   -
Total Cash Provided by Operating, Investing & Financing Activities        (656,891.14)        (400,564.22)
Cash, Beginning of the Period                                            1,654,222.85        2,054,787.07
Cash, at the end of the Period                                       ₱     997,331.71    ₱   1,654,222.85