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DISASTER STANDARD OPERATING PROCEDURES
Gender and Development Corner
Government
About the Mayor
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Executive Order
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Ordinances
Full Disclosure Policy
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eLOGOS
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Full Disclosure Policy
2023
2022
2021
2020
2019
2018
2017
2016
2015
2023
Annually
Annual Procurement Plan-Common Supplies & Equipment (APP-CSE) 2023
Annual Procurement Plan FY 2023
Annual Budget 2023
Annual Procurement Plan
GAD Accomplishment Report
Statement of Indebtedness, Payments and Balances
Statement of Receipts and Expenditures
>Supplemental Procurement Plan
1ST QUARTER
20% Component of Internal Revenue Allotment
Bids and Consulting Services
Manpower Complement
Quarterly Statement of Cashflow
Report of Local Disaster Risk Reduction and Management Fund Utilization
Report of Special Education Fund
Trust Fund (PDAF) Utilization
Unliquidated Cash Advance
2ND QUARTER
20% Component of Internal Revenue Allotment
Bids and Consulting Services
Manpower Complement
Quarterly Statement of Cashflow
Report of Local Disaster Risk Reduction and Management Fund Utilization
Report of Special Education Fund
Trust Fund (PDAF) Utilization
Unliquidated Cash Advance
3RD QUARTER
20% Component of Internal Revenue Allotment
Bids and Consulting Services
Manpower Complement
Quarterly Statement of Cashflow
Report of Local Disaster Risk Reduction and Management Fund Utilization
Report of Special Education Fund
Trust Fund (PDAF) Utilization
Unliquidated Cash Advance
2022
Annually
Annual Procurement Plan-Common Supplies & Equipment (APP-CSE) 2022
Annual Procurement Plan FY 2022
Annual Budget 2022
Annual Procurement Plan
GAD Accomplishment Report
Statement of Indebtedness, Payments and Balances
Statement of Receipts and Expenditures
Supplemental Procurement Plan
1ST QUARTER
20% Component of Internal Revenue Allotment
Bids and Consulting Services
Manpower Complement
Quarterly Statement of Cashflow
Report of Local Disaster Risk Reduction and Management Fund Utilization
Report of Special Education Fund
Trust Fund (PDAF) Utilization
Unliquidated Cash Advance
2ND QUARTER
20% Component of Internal Revenue Allotment
Bids and Consulting Services
Manpower Complement
Quarterly Statement of Cashflow
Report of Local Disaster Risk Reduction and Management Fund Utilization
Report of Special Education Fund
Trust Fund (PDAF) Utilization
Unliquidated Cash Advance
3RD QUARTER
20% Component of Internal Revenue Allotment
Bids and Consulting Services
Manpower Complement
Quarterly Statement of Cashflow
Report of Local Disaster Risk Reduction and Management Fund Utilization
Report of Special Education Fund
Trust Fund (PDAF) Utilization
Unliquidated Cash Advance
2021
Annually
Annual Procurement Plan-Common Supplies & Equipment (APP-CSE) 2021
Annual Procurement Plan for FY 2021
Annual Budget 2021
Annual Procurement Plan
GAD Accomplishment Report
Statement of Indebtedness, Payments and Balances
Statement of Receipts and Expenditures
Supplemental Procurement Plan
1ST QUARTER
20% Component of Internal Revenue Allotment
Bids and Consulting Services
Manpower Complement
Quarterly Statement of Cashflow
Report of Local Disaster Risk Reduction and Management Fund Utilization
Report of Special Education Fund
Trust Fund (PDAF) Utilization
Unliquidated Cash Advance
2ND QUARTER
20% Component of Internal Revenue Allotment
Bids and Consulting Services
Manpower Complement
Quarterly Statement of Cashflow
Report of Local Disaster Risk Reduction and Management Fund Utilization
Report of Special Education Fund
Trust Fund (PDAF) Utilization
Unliquidated Cash Advance
3RD QUARTER
20% Component of Internal Revenue Allotment
Bids and Consulting Services
Manpower Complement
Quarterly Statement of Cashflow
Report of Local Disaster Risk Reduction and Management Fund Utilization
Report of Special Education Fund
Trust Fund (PDAF) Utilization
Unliquidated Cash Advance
4TH QUARTER
20% Component of Internal Revenue Allotment
Bids and Consulting Services
Manpower Complement
Quarterly Statement of Cash flow
Report of Local Disaster Risk Reduction and Management Fund Utilization
Report of Special Education Fund
Trust Fund (PDAF) Utilization
Unliquidated Cash Advance
2020
Annually
Annual Budget 2020
Annual Procurement Plan
Gender and Development 2020
Statement of Debt Service
Statement of Receipts and Expenditures
Supplemental Procurement Plan
1ST QUARTER
20% Component of Internal Revenue Allotment
Bids and Consulting Services
Manpower Complement
Quarterly Statement of Cashflow
Report of Local Disaster Risk Reduction and Management Fund Utilization
Report of Special Education Fund
Trust Fund (PDAF) Utilization
Unliquidated Cash Advance
2ND QUARTER
20% Component of Internal Revenue Allotment
Bids and Consulting Services
Manpower Complement
Quarterly Statement of Cashflow
Report of Local Disaster Risk Reduction and Management Fund Utilization
Report of Special Education Fund
Trust Fund (PDAF) Utilization
Unliquidated Cash Advance
3RD QUARTER
20% Component of Internal Revenue Allotment
Bids and Consulting Services
Manpower Complement
Quarterly Statement of Cashflow
Report of Local Disaster Risk Reduction and Management Fund Utilization
Report of Special Education Fund
Trust Fund (PDAF) Utilization
Unliquidated Cash Advance
4TH QUARTER
20% Component of Internal Revenue Allotment
Bids and Consulting Services
Manpower Complement
Quarterly Statement of Cashflow
Report of Local Disaster Risk Reduction and Management Fund Utilization
Report of Special Education Fund
Trust Fund (PDAF) Utilization
Unliquidated Cash Advance
2019
Annually
Annual Procurement Plan
Annual Budget Report
Annual Procurement Plan or Procurement List
Gender And Development AR 2018
Statement of Debt Service
Statement of Receipts and Expenditures
1ST QUARTER
20% COMPONENT OF THE INTERNAL REVENUE ALLOTMENT UTILIZATION
BIDS AND CONSULTING SERVICES
ITEMS TO BID
MANPOWER COMPLEMENT
QUARTERLY STATEMENT OF CASH FLOW
REPORT OF LOCAL DISASTER RISK REDUCTION AND MANAGEMENT FUND UTILIZATION (LDRRMF)
REPORT OF SPECIAL EDUCATION FUND UTILIZATION
SUPPLEMENTAL PROCUREMENT PLAN
TRUST FUND (PDAF) UTILIZATION
UNLIQUIDATED CASH ADVANCE
2ND QUARTER
20% Component of the Internal Revenue Allotment
Bids and Consulting services
Cash flow
Consulting services
LDRRM Fund
Manpower Complement
SEF
Supplemental Procurement Plan
Trust Fund Utilization
Unliquidated Cash Advance
3RD QUARTER
20% Component of Internal Revenue Allotment
Bids and Consulting Services
Manpower Complement
Quarterly Statement of Cashflow
Report of Local Disaster Risk Reduction and Management Fund Utilization
Report of Special Education Fund
Trust Fund (PDAF) Utilization
Unliquidated Cash Advance
4TH QUARTER
20% Component of Internal Revenue Allotment
Bids and Consulting Services
Manpower Complement
Quarterly Statement of Cashflow
Report of Local Disaster Risk Reduction and Management Fund Utilization
Report of Special Education Fund
Trust Fund (PDAF) Utilization
Unliquidated Cash Advance
2018
Annualy
Annual Budget Report
Annual GAD Accomplishment Report
Annual Procurement Plan
Statement of Debt Service
Statement of Receipts and Expenditures
1st Quarter
20% COMPONENT OF THE INTERNAL REVENUE ALLOTMENT UTILIZATION
BIDS AND CONSULTING SERVICES
ITEMS TO BID
MANPOWER COMPLEMENT
QUARTERLY STATEMENT OF CASH FLOW
REPORT OF LOCAL DISASTER RISK REDUCTION AND MANAGEMENT FUND UTILIZATION (LDRRMF)
REPORT OF SPECIAL EDUCATION FUND UTILIZATION
SUPPLEMENTAL PROCUREMENT PLAN
TRUST FUND (PDAF) UTILIZATION
UNLIQUIDATED CASH ADVANCE
2nd Quarter
20% Component of the Internal Revenue Allotment
Bids and Consulting services
Manpower Complement
Quarterly Statement of Cashflow
Report of Local Disaster Risk Reduction and Management Fund Utilization (LDRRMF)
Report of Special Education Fund Utilization
Supplemental Procurement Plan
Trust Fund Utilization
Unliquidated cash advance
3rd Quarter
20% Component of the Internal Revenue Allotment Utilization
Bids and Consulting Service
Manpower Complement
Report of Local Disaster Risk Reduction and Management Fund Utilization (LDRRMF)
Quarterly Statement of Cash Flow
Report of Special Education Fund Utilization
Supplemental Procurement Plan
Trust Fund Utilization
Unliquidated Cash Advance
4th Quarter
20% Component of the Internal Revenue Allotment Utilization
Bids and Consulting Service
Manpower Complement
Report of Local Disaster Risk Reduction and Management Fund Utilization (LDRRMF)
Quarterly Statement of Cash Flow
Report of Special Education Fund Utilization
Supplemental Procurement Plan
Trust Fund Utilization
Unliquidated Cash Advance
2017
Annualy
Annual Budget 2017
Annual GAD Accomplishment Report
Annual Procurement Plan
Statement of Debt Service
Statement of Receipts and Expenditures
1st Quarter
20% COMPONENT OF THE INTERNAL REVENUE ALLOTMENT UTILIZATION
BIDS AND CONSULTING SERVICES
ITEMS TO BID
MANPOWER COMPLEMENT
QUARTERLY STATEMENT OF CASH FLOW
REPORT OF LOCAL DISASTER RISK REDUCTION AND MANAGEMENT FUND UTILIZATION (LDRRMF)
REPORT OF SPECIAL EDUCATION FUND UTILIZATION
SUPPLEMENTAL PROCUREMENT PLAN
TRUST FUND (PDAF) UTILIZATION
UNLIQUIDATED CASH ADVANCE
2nd Quarter
20% COMPONENT OF THE INTERNAL REVENUE ALLOTMENT UTILIZATION
BIDS AND CONSULTING SERVICES
ITEMS TO BID
MANPOWER COMPLEMENT
QUARTERLY STATEMENT OF CASH FLOW
REPORT OF LOCAL DISASTER RISK REDUCTION AND MANAGEMENT FUND UTILIZATION (LDRRMF)
REPORT OF SPECIAL EDUCATION FUND UTILIZATION
SUPPLEMENTAL PROCUREMENT PLAN
TRUST FUND (PDAF) UTILIZATION
UNLIQUIDATED CASH ADVANCE
3rd Quarter
20% COMPONENT OF THE INTERNAL REVENUE ALLOTMENT UTILIZATION
BIDS AND CONSULTING SERVICES
ITEMS TO BID
MANPOWER COMPLEMENT
QUARTERLY STATEMENT OF CASH FLOW
REPORT OF LOCAL DISASTER RISK REDUCTION AND MANAGEMENT FUND UTILIZATION (LDRRMF)
REPORT OF SPECIAL EDUCATION FUND UTILIZATION
SUPPLEMENTAL PROCUREMENT PLAN
TRUST FUND (PDAF) UTILIZATION
UNLIQUIDATED CASH ADVANCE
4th Quarter
20% COMPONENT OF THE INTERNAL REVENUE ALLOTMENT UTILIZATION
BIDS CONSULTING SERVICES
ITEMS TO BID
MANPOWER COMPLEMENT
QUARTERLY STATEMENT OF CASH FLOW
REPORT OF LOCAL DISASTER RISK REDUCTION AND MANAGEMENT FUND UTILIZATION (LDRRMF)
REPORT OF SPECIAL EDUCATION FUND UTILIZATION
TRUST FUND (PDAF) UTILIZATION
SUPPLEMENTAL PROCUREMENT PLAN
UNLIQUIDATED CASH ADVANCE
2016
Annualy
Annual Budget 2016
Annual GAD Accomplishment Report
Annual Procurement Plan
Statement of Debt Service
Statement of Receipts and Expenditures
1st Quarter
20% COMPONENT OF THE INTERNAL REVENUE ALLOTMENT UTILIZATION
BIDS AND CONSULTING SERVICES
BIDS AND CONSULTING SERVICES 1
BIDS AND CONSULTING SERVICES 2
MANPOWER COMPLEMENT
QUARTERLY STATEMENT OF CASH FLOW
REPORT OF LOCAL DISASTER RISK REDUCTION AND MANAGEMENT FUND UTILIZATION (LDRRMF)
REPORT OF SPECIAL EDUCATION FUND UTILIZATION
SUPPLEMENTAL PROCUREMENT PLAN
TRUST FUND (PDAF) UTILIZATION
UNLIQUIDATED CASH ADVANCE
2nd Quarter
20% COMPONENT OF THE INTERNAL REVENUE ALLOTMENT UTILIZATION
ABSTRACT OF BIDS AS CALCULATED
BID RESULTS ON CIVIL WORKS AND GOODS AND CONSULTING SERVICES
MANPOWER COMPLEMENT
QUARTERLY STATEMENT OF CASH FLOW
REPORT OF LOCAL DISASTER RISK REDUCTION AND MANAGEMENT FUND UTILIZATION (LDRRMF)
REPORT OF SPECIAL EDUCATION FUND UTILIZATION
SUPPLEMENTAL PROCUREMENT PLAN
TRUST FUND (PDAF) UTILIZATION
UNLIQUIDATED CASH ADVANCE
3rd Quarter
20% COMPONENT OF THE INTERNAL REVENUE ALLOTMENT UTILIZATION
BID RESULTS ON CIVIL WORKS AND GOODS AND CONSULTING SERVICES
MANPOWER COMPLEMENT
QUARTERLY STATEMENT OF CASH FLOW
REPORT OF LOCAL DISASTER RISK REDUCTION AND MANAGEMENT FUND UTILIZATION (LDRRMF)
REPORT OF SPECIAL EDUCATION FUND UTILIZATION
SUPPLEMENTAL PROCUREMENT PLAN
TRUST FUND (PDAF) UTILIZATION
UNLIQUIDATED CASH ADVANCE
4th Quarter
20% COMPONENT OF THE INTERNAL REVENUE ALLOTMENT UTILIZATION
ABSTRACT OF BIDS AS CALCULATED
BID RESULTS ON CIVIL WORKS AND GOODS AND CONSULTING SERVICES
MANPOWER COMPLEMENT
Q
UARTERLY STATEMENT OF CASH FLOW
REPORT OF LOCAL DISASTER RISK REDUCTION AND MANAGEMENT FUND UTILIZATION (LDRRMF)
REPORT OF SPECIAL EDUCATION FUND UTILIZATION
TRUST FUND (PDAF) UTILIZATION
SUPPLEMENTAL PROCUREMENT PLAN
UNLIQUIDATED CASH ADVANCE
2015
Annualy
Statement of Receipts and Expenditures
Statement of Debt Service (1)
Annual Procurement Plan
Annual GAD Accomplishment REport
Annual Budget 2014
1st Quarter
20% component of the Internal Revenue Allotment Utilization
Bid Results on Civil Works and Goods and Consulting Services
LDRRMF
Manpower Complement
Quarterly Statement of Cash flow - 1st Quarter
Report of Special Education Fund Utilization 1st Quarter
Supplemental Procurement Plan
Trust Fund (PDAF) Utilization
Unliquidated Cash Advance
2nd Quarter
Supplemental Procurement Plan
Bids and Consulting Services
Trust Fund (PDAF) Utilization
Unliquidated Cash Advance
Local Disaster Risk Reduction and Management (DRRM) Fund Utilization
Report of Special Education Fund
Cash flow
Manpower Complement
20% component of the IRA
3rd Quarter
Unliquidated Cash advance
Bids and Consulting Services
Supplemental Procurement Plan - 3rd Quarter
Trust Fund (PDAF) Utilization - 3rd quarter
SEF - 3RD QUARTER
Quarterly Statement of Cash Flow
Manpower Complement - 3rd Quarter
LDRRM Fund 3rd Quarter
20 percent component of IRA
4th Quarter
Bids & Consulting Services
Trust fund (PDAF) Utilization (1)
Supplemental Procurement Plan (1)
Unliquidated Cash Advance (2)
SEF
Manpower Complement (1)
Local Disaster Risk Reduction & Management (DRRM) Fund Utilization
Cashflow
20 percent component of the internal revenue allotment
Citizen’s Charter
Citizens Charter 2019
SUMMARY OF DPCR
Summary-of-DPCR
PBB Ranking
FORM-1-Report-of-Ranking-of-Offices-or-Delivery-Units_2022PBB
ADVISORIES
The Review and Compliance Procedure in the Filing and Submission of the Statement of Assets, Liabilities and Net Worth and Disclosure of Business Interest and Financial Connection
Composition of the Municipality’s SALN Review and Compliance Committee
BAYANIHAN GRANT TO CITIES & MUNICIPALITIES
#
NAME
1
Bayanihan Grant to Cities and Municipality (BGMC) September 15, 2020
1
Bayanihan Grant to Cities and Municipality (BGMC) August 31, 2020
2
Bayanihan Grant to Cities and Municipality (BGMC) July 31, 2020
3
Bayanihan Grant to Cities and Municipality (BGMC) June 30, 2020
4
Bayanihan Grant to Cities and Municipality (BGMC) May 31, 2020
ORDINANCES
Ordinances
/
2020
/
Type
File
Date
Size
pdf
Appropriation Ordinance No 001, Series of 2020 (Comprehensive Dangerous Drug Act)
7:37 am 01/15/2021
119.8k
pdf
Appropriation Ordinance No 001, Series of 2020 Hazard Pay COVID 19)
7:37 am 01/15/2021
447.1k
pdf
Appropriation Ordinance No 002, Series of 2020 (Bayanihan Grant)
7:37 am 01/15/2021
450.1k
pdf
Appropriation Ordinance No 003, Series of 2020 (Hazard Pay 2)
7:37 am 01/15/2021
223k
pdf
Appropriation Ordinance No 004, Series of 2020 (Hazard Pay 3)
7:37 am 01/15/2021
418.2k
pdf
Appropriation Ordinance No 005, Series of 2020 (1st Tranche,Salary Adjustment)
7:37 am 01/15/2021
796.7k
pdf
Appropriation Ordinance No 006, Series of 2020 (BAC Honorarium)
7:37 am 01/15/2021
459.9k
pdf
Appropriation Ordinance No 007, Series of 2020 (Hazard Pay RHU)
7:37 am 01/15/2021
429.9k
pdf
Appropriation Ordinance No 008, Series of 2020 (IRA Increase)
7:37 am 01/15/2021
395.7k
pdf
Appropriation Ordinance No 009, Series of 2020 (Mun Annual Budget F Y 2020)
7:37 am 01/15/2021
207.3k
pdf
Appropriation Ordinance No 010, Series of 2020 (SRI)
7:37 am 01/15/2021
1.2M
pdf
Municipal Ordinace No 003 (GCQ Covid19)
7:37 am 01/15/2021
249.6k
pdf
Municipal Ordinace No 004 (FOI)
7:37 am 01/15/2021
232k
pdf
Municipal Ordinace No 005 (JESKA CONSTRUCTION CORPT ,Brgy Estipona)
7:37 am 01/15/2021
166.9k
pdf
Municipal Ordinace No 006 (PPTD CONHAUSER INC ,Brgy Naya)
7:37 am 01/15/2021
167.3k
pdf
Municipal Ordinace No 007 (GLOBE,Brgy Poroc)
7:37 am 01/15/2021
167k
pdf
Municipal Ordinance No 008 (Reclassification,Louie Anthony Dasalla, Brgy Maungib)
7:37 am 01/15/2021
190.8k
pdf
Municipal Ordinance No 009 (Pura Cockpit Arena)
7:37 am 01/15/2021
185.3k
pdf
Municipal Ordinance No 2020-004 Series of 2020 AN ORDINANCE OPERATIONALIZING FREEDOM OF INFORMATION (FOI) IN THE MUNICIPAL GOVERNMENT OF PURATARLAC AND PROVIDING GUIDELINES THEREOF
3:53 am 08/04/2020
398k
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FREEDOM OF INFORMATION
#
NAME
1
Pura.FOI.Summary.2021
2
Pura.FOI.Registry.2021
3
Pura.FOI.Inventory.2021
4
2020 FOI Registry
5
2020 FOI Summary Report
6
Agency Information Inventory
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