- Annual Budget 2020
- Annual Procurement Plan 2020
- Statement of Debt Service 2020
- Annual GAD Accomplishment Report 2019
- Statement of Receipts & Expenditures 2019
- Quarterly Statement of Cash Flow – 4th Quarter 2019
- SEF Utilization 4th Quarter 2019
- Trust Fund Utilization 4th Quarter 2019
- Bid Results on Civil Works & Goods & Services 4th Quarter 2019
- 20% Component of IRA Utilization 4th Quarter 2019
- LDRRM Fund Utilization 4th Quarter 2019
- Unliquidated Cash Advances 4th Quarter 2019
- Manpower Complement 4th Quarter 2019
- Supplemental Procurement Plan 4th Quarter 2019
- Quarterly Statement of Cash Flow 1st Quarter 2020
- Special Education Fund Utilization 1st Quarter 2020
- Trust Fund Utilization 1st Quarter 2020
- Bid Results on Civil Works & Goods & Services 1st Quarter 2020
- 20% Component of IRA Utilization 1st Quarter 2020
- LDRRM Fund Utilization 1st Quarter 2020
- Unliquidated Cash Advances 1st Quarter 2020
- Manpower Complement 1st Quarter 2020
- Supplemental Procurement Plan 1st quarter 2020
- Quarterly Statement of Cash Flow 2nd Quarter 2020
- Special Education Fund Utilization 2nd Quarter 2020
- Trust Fund Utilization 2nd Quarter 2020
- Bid Results on Civil Works & Goods and Services 2nd Quarter 2020
- 20% Component of IRA Utilization 2nd Quarter 2020
- LDRRM Fund Utilization 2nd Quarter 2020
- Unliquidated Cash Advances 2nd Quarter 2020
- Manpower Complement 2nd Quarter 2020
- Supplemental Procurement Plan 2nd Quarter 2020
- Quarterly Statement of Cash Flow 3rd Quarter
- Special Education Fund Utilization 3rd Quarter
- Trust Fund Utilization 3rd Quarter
- Bid Results on Civil Works & Goods & Services 3rd Quarter
- 20% Component of IRA Utilization 3rd Quarter
- LDRRMF Utilization 3rd Quarter
- Unliquidated Cash Advances 3rd Quarter
- Manpower Complement 3rd Quarter
- Supplemental Procurement Plan 3rd Quarter