Annual Reports 2020 Statement of Debt Service 2020 Annual Budget 2020 Statement of Receipts and Expenditures 2020 Annual Procurement Plan 2020 Supplemental Procurement Plan 2020 Annual GAD Accomplishment Report 1st Quarter Trust Fund Utilization 20% Component of IRA Utilization Local Disaster Risk Reduction and Management (LDRRM) Fund Utilization Quarterly Statement of Cash Flow Bid Results on Civil Works, Goods and Services, and Consulting Services SEF Utilization Unliquidated Cash Advances Manpower Complement 2nd Quarter Trust Fund Utilization 20% Component of IRA Utilization Local Disaster Risk Reduction and Management (LDRRM) Fund Utilization Quarterly Statement of Cash Flow Bid Results on Civil Works, Goods and Services, and Consulting Services SEF Utilization Unliquidated Cash Advances Manpower Complement 3rd Quarter Trust Fund Utilization 20% Component of IRA Utilization Local Disaster Risk Reduction and Management (LDRRM) Fund Utilization Quarterly Statement of Cash Flow Bid Results on Civil Works, Goods and Services, and Consulting Services SEF Utilization Unliquidated Cash Advances Manpower Complement 4th Quarter Trust Fund Utilization 20% Component of IRA Utilization Local Disaster Risk Reduction and Management (LDRRM) Fund Utilization Quarterly Statement of Cash Flow Bid Results on Civil Works, Goods and Services, and Consulting Services SEF Utilization Unliquidated Cash Advances Manpower Complement