Meta PixelAnnual Audit Report 2024 — Municipality of San Jose — Page 23

Page 23 of 103

Page 23
                                                                        Budgeted Amounts                                                  Difference                                                                            Difference
              Particulars                                                                                                                                                        Actual Amounts
                                                         Original                                       Final                      Original and Final Budget                                                             Final Budget and Actual
                                            2024                    2023                   2024                  2023              2024                 2023           2024                       2023                2024                    2023
 Maintenance and Other Operating Expenses     5,805,310.00            5,508,531.49           8,147,884.62         8,471,131.49    (2,342,574.62)      (2,962,600.00)     7,614,126.64               7,689,392.89         533,757.98              781,738.60
 Capital Outlay                                  60,000.00              220,000.00              60,000.00           220,000.00              -                   -                 -                    69,995.00          60,000.00              150,005.00
Other Purposes:                                                                                                                             -                   -                                                               -                       -
Debt Service                                                                                                                                -                   -                                                               -                       -
 Financial Expense                            1,000,000.00            1,400,000.00           1,000,000.00         1,650,000.00              -           (250,000.00)       982,928.89               1,650,000.00          17,071.11                     -
 Amortization                                 2,000,000.00              500,000.00           2,130,000.00           700,000.00      (130,000.00)        (200,000.00)     2,118,003.26                 341,486.94          11,996.74              358,513.06
LDRRMF                                                                                                                                      -                   -                                                               -                       -
 Maintenance and Other Operating Expenses     4,496,111.19            2,563,236.28           4,703,342.44         2,865,459.23      (207,231.25)        (302,222.95)     2,243,308.60                 778,132.65       2,460,033.84            2,087,326.58
 Capital Outlay                               2,000,000.00            3,350,000.00           4,836,637.33         3,350,000.00    (2,836,637.33)                -        1,996,859.68               3,138,917.30       2,839,777.65              211,082.70
20% Development Fund                                                                                                                        -                   -                                                               -                       -
 Maintenance and Other Operating Expenses     5,343,222.00            4,715,472.40           5,843,222.00         5,185,633.10      (500,000.00)        (470,160.70)     4,531,260.30               2,832,253.77       1,311,961.70            2,353,379.33
 Capital Outlay                              17,400,000.00           16,700,000.00          22,777,779.79        26,100,000.00    (5,377,779.79)      (9,400,000.00)     5,556,712.75              10,526,942.36      17,221,067.04           15,573,057.64
Share from National Wealth                                                                                                                  -                   -                                                               -                       -
 Maintenance and Other Operating Expenses                -                     -                        -                  -                -                   -                    -                          -               -                       -
 Capital Outlay                                          -                     -                        -                  -                -                   -                    -                          -               -                       -
Allocation for Senior Citizens and PWD                                                                                                      -                   -                                                               -                       -
 Maintenance and Other Operating Expenses     1,299,222.24            1,182,647.26           1,649,222.24         1,382,647.26      (350,000.00)        (200,000.00)     1,647,400.00               1,381,800.00           1,822.24                  847.26
 Capital Outlay                                        -                       -                      -                    -                -                   -                 -                          -                  -                       -
Others                                                                                                                                      -                   -                                                               -                       -
 Personal Services                                     -                       -                      -                    -                -                   -                 -                          -                  -                       -
 Maintenance and Other Operating Expenses              -                       -                      -                    -                -                   -                 -                          -                  -                       -
  Capital Outlay                                       -                       -                      -                    -                -                   -                 -                          -                  -                       -
 Total Current Appropriations               130,922,223.84          119,864,725.63         162,772,154.35       151,015,725.93   (31,849,930.51)     (31,151,000.30)   129,805,536.72             115,685,024.29      32,966,617.63           35,330,701.64
Continuing Appropriations                                                                                                                   -                   -
 General Public Services                                                                                                                    -                   -
  Capital Outlay                             64,242,649.30           70,447,315.96          64,242,649.30        70,447,315.96              -                   -       24,174,329.38              32,814,581.74      40,068,319.92           37,632,734.22
 Education                                                                                                                                  -                   -                                                               -                       -
  Capital Outlay                                   60,172.00                                      25,000.00                           35,172.00                 -                    -                          -         25,000.00                     -
Health, Nutrition and Population Control                                                                                                    -                   -                                                               -                       -
  Capital Outlay                                         -             260,172.00                       -          260,172.00               -                   -                    -                   200,000.00             -                 60,172.00
 Labor and Employment                                                                                                                       -                   -                                                               -                       -
  Capital Outlay                                         -                     -                        -                  -                -                   -                    -                          -               -                       -
 Housing and Community Development                                                                                                          -                   -                                                               -                       -
  Capital Outlay                                         -                     -                        -                  -                -                   -                    -                          -               -                       -
 Social Services and Social Welfare                                                                                                         -                   -                                                               -                       -
  Capital Outlay                              3,761,611.83            3,346,421.25           3,040,357.83         3,346,421.25       721,254.00                 -        2,601,091.34               2,319,066.69         439,266.49            1,027,354.56
 Economic Services                                                                                                                          -                   -                                                               -                       -
  Capital Outlay                              1,253,870.00            2,899,790.00           1,170,280.00         2,899,790.00        83,590.00                 -             140,000.00            3,176,475.00       1,030,280.00             (276,685.00)
 Other Purposes:                                                                                                                            -                   -                                                               -                       -
  Capital Outlay                                       -             10,244,400.44                    -          10,244,400.44              -                   -                 -                   524,142.08                -              9,720,258.36
 Total Continuing Appropriations             69,318,303.13           87,198,099.65          68,478,287.13        87,198,099.65       840,016.00                 -       26,915,420.72              39,034,265.51      41,562,866.41           48,163,834.14
Total Appropriations                        200,240,526.97          207,062,825.28         231,250,441.48       238,213,825.58   (31,009,914.51)     (31,151,000.30)   156,720,957.44             154,719,289.80      74,529,484.04           83,494,535.78




                                                                                                                                                                                                                                                              9