Accounting Forms October To December 2023
Accounting Forms October To December 2023
Entity Name: Pongapong National High School Name of Accountable Officer: SHIERJAN S. MARCO
Sub-Office/District/Division: DepEd - Zamboanga del Sur Division Official Designation: School Principal I
Municipality/City/Province: San Pablo, Zamboanga del Sur Station: Pongapong National High School
Fund Cluster : Regular Register No. : 2023-12-002
Sheet No. : 1 of 1
Advances for
Operating Expenses BREAKDOWN OF PAYMENTS
(19901010)
Date DV/Payroll/ Check No. Particulars Amount Salaries and Salaries and OTHERS
Office Supplies
Payments Wages - Wages -Casual/
Expenses
Cash Regular Contractual UACS Object
Balance Account Description Amount
Advance Code
(50101010) (50101020) (50203010)
11/14/23 OE-23-11-2271 ADA NO: 2023110010 SHIERJAN S. MARCO 60,000.00 60,000.00
11/17/23 DV-2023-11-012 CN:0074031756 SHIERJAN S. MARCO 5,228.75 54,771.25 Electricity Expenses 5020402000 5,228.75
11/17/23 DV-2023-11-013 CN:0074031757 ARNELIO B. BUOT 10,000.00 44,771.25 Other General Services 5021299000 10,000.00
5,700.00 39,071.25 Internet Subscription Expenses 5020503000 6,000.00
11/17/23 DV-2023-11-014 CN:0074031758 SHIERJAN S. MARCO
DUE TO BIR - 2% NON-VAT 2020101000 - 120.00
DUE TO BIR - 3% NON-VAT 2020101000 - 180.00
11/17/23 DV-2023-11-015 CN:0074031759 SHIERJAN S. MARCO 425.00 38,646.25 Water Expenses 502040100 425.00
11/20/23 DV-2023-11-016 CN:0074031760 BUREAU OF TREASURY 1,500.00 37,146.25 Fidelity Bond Premiums 5021502000 1,500.00
-
11/24/23 DV-2023-11-017 CN:0074031761 ROSELITO B. SAN ANTONIO 1,000.00 36,146.25 Other General Services 5021299000 1,000.00
11/24/23 DV-2023-11-018 CN:0074031762 KC OFFICE & SCHOOL Repair & Maintenance - Building
532.80 35,613.45 and other structure
5021304002 555.00
SUPPLIES TRADING
DUE TO BIR - 1% NON-VAT 2020101000 - 5.55
DUE TO BIR - 3% NON-VAT 2020101000 - 16.55
CN:0074031763 (CANCELLED)
11/24/23 DV-2023-11-019 CN:0074031764 KC OFFICE & SCHOOL
26,763.45 8,850.00 13,291.45 Other Supplies Expenses 5020399000 2,399.18
SUPPLIES TRADING
Mobile Expenses 5020502001 1,575.00
Semi-Expendable - Office
Equipment
5020321002 1,781.25
Prepared by:
FATIMA T. ABUHAN
Senior Bookkeeper
Appendi
SUBSIDIARY LEDGER
FY 2023
11/14/23 To record cash advance for MOOE - October to OE-23-11-2271 ADA NO: 2023110010 60,000.00
December 2023
11
TO RECORD PAYMENT of internet subscription
12/01/23 to MAEWORKS TECHNOLOGIES for use at DV-2023-12-020 CN:0074031765
Pongapong National High School for the month/s
of November 2023.
Total
Totals 60,500.00
121,000.00
11
Appendix 6
SIDIARY LEDGER
FY 2023
Account Code
GL : 19901010
SL : 19901010-00
Credit Balance
500.00
60,500.00
5,228.75 55,271.25
10,000.00 45,271.25
5,700.00 39,571.25
425.00 39,146.25
1,500.00 37,646.25
1,000.00 36,646.25
532.80 36,113.45
26,763.45 9,350.00
9,350.00
11
2,850.00 6,500.00
5,000.00 1,500.00
1,000.00 500.00
60,000.00 500.00
121,000.00
11
Appendix 35
11/17/23 CN:0074031756 DV-2023-11-012 100010000 SHIERJAN S. MARCO 5020402000 Electricity Expenses 5,228.75
11/17/23 CN:0074031757 DV-2023-11-013 ARNELIO B. BUOT 5021299000 Other General Services 10,000.00
11/17/23 CN:0074031758 DV-2023-11-014 SHIERJAN S. MARCO 5020503000 Internet Subscription Expenses 5,700.00
11/20/23 CN:0074031760 DV-2023-11-016 BUREAU OF TREASURY 5021502000 Fidelity Bond Premiums 1,500.00
ROSELITO B. SAN
11/24/23 CN:0074031761 DV-2023-11-017 ANTONIO 5021299000 Other General Services 1,000.00
KC OFFICE & SCHOOL Repair & Maintenance - Building
11/24/23 CN:0074031762 DV-2023-11-018 SUPPLIES TRADING 5021304002 and other structure 532.80
98
CN:0074031763 (CANCELLED)
KC OFFICE & SCHOOL
11/24/23 CN:0074031764 DV-2023-11-019 SUPPLIES TRADING 5020301000 Office Supplies Expenses 26,763.45
12/01/23 CN:0074031766 DV-2023-12-021 ARNELIO B. BUOT 5021299000 Other General Services 5,000.00
12/01/23 CN:0074031767 DV-2023-12-022 SHIERJAN S. MARCO 5020101000 Travelling Expenses - Local 1,000.00
60,000.00
CERTIFICATION
I hereby certify on my official oath that this Report of Checks Issued in 1 sheet(s) is a full, true and correct
statement of all checks issued by me during the period stated above for which Check Nos.0074031756, 0074031757, 0074031758, 0074031759, 0074031760,0074031761,
0074031762, 0074031763 (cancelled), 0074031764, 0074031765, 0074031766 and 0074031767 inclusive,
were actually issued by me in payment for obligations shown in the attached disbursement vouchers/payroll.
SHIERJAN S. MARCO
Name and Signature of Disbursing Officer/Cashier
SSP - I
Official Designation Date