WEBSITE NEWS PORTAL MATERIALS

Donor Rolls for the period February 16, 2024 to December 31, 2024​

AMOUNTS RECEIVED
PERIOD COVERED
PARTICULARS/NAMES OF DONORS
OnM
RUNNING BALANCES - OnM.
E.F.
RUNNING BALANCES - E.F.
US$PESOSUS$PESOSUS$PESOSUS$PESOS
2023 TOTALS195,000195,000100558,291100558,291
Jan to Feb 15 , 20243026,15030221,1501,500486,0001,6001,044,291
Feb 16-29, 2024CURATO MANUEL
CALIMPUSAN RE ANN
ALCONERA VIRGILIO
PINSON JEREMY
LESACA ALBERTO
PAUSANOS ROMEO
ENRIQUEZ RONALD & MATILDE
AMOUNTS RCVD81,0001,125,291
Mar 1 -31, 2024ARE KRISTIAN ANGELO
SEAFDEC/AQD
ANONYMOUS
MENDOZA JULIET
MAMBUAY CECILE
BELLEZA MANUEL LUIS
?
?
?
AMOUNTS RCVD44,7001,169,991
Apr 1- 30, 2024ARNAIZ FRANCIS
KING ABE JR
DORMAIER RUTH
MOREDO LEYOL
HONCULADA JEV
CALAYAG MEDEL
IGNACIO JAMIN
ABANTAS ZED
ACOSTA ERNESTO P
AMOUNTS RCVD71,6371,241,628
May 1-31, 2024DUROY MARK
MALONE JEOFREY
IGNACIO RUFINO
MARTIZANO CONCEPCION
AMOUNTS RCVD10405008,6732,1001,250,301
June 1-30 2024TAN JHOUTAN
BOTOR SHIRLEY
AGREDA PRECIOSA
AMOUNTS RCVD23,0001,273,301
July 1-31, 2024ARNAIZ FRANCIS
ROSAL AMY
MAGDALENA FRED
SON JUDITH
REMIS NICA
LIM ROMEO ASIBAL
Univ Library & Women's Center (Dir Edras & Dir Dimalotang)
MSUAA MARAWI CITY
BALACUIT ROSALINDA
HUCHINSON EUNICE GOZALES
AMOUNTS RCVD208,2121,481,513
Aug 1-31, 2024KWAN ROMEO & ROBINA
DACUT CARLITO
PUYOS FE
ARIAS ERLINDA SO
AROCHA JINGJING
KING ABE & LIGAYA
IGNACIO RUFINO
AMOUNTS RCVD5292100121,9422,2001,603,455
September 1-30, 2024FLURI ELSA
AMOUNTS RCVD50,0001,653,455
October 1-31, 2024TORRES NARCISO T.
BALDONADO CELESTINO
AMPARADO RUBEN & OLIVE
Golf Tournament Proceeds-(Magsalos Romeo)
NACALABAN DEBBIE
TAWANO ANNIE
ARNAIZ FRANCIS
AMOUNTS RCVD358,8002,012,255
November 1-30, 2024None to Report
December 1-31, 2024BASNILLO MARRIETTA L
AMOUNTS RCVD-157725,00027,200
TOTALS as of December 31, 202477221,15077221,15027,2002,012,25527,2002,012,255

DONATIONS
SUMMARY

SCHEDULE OF DONATIONS(PESOS)
As of December 31, 2024

ENDOWMENT FUND IN PESOS
2023
2024
MONTHSNO. OF DONORSAMOUNTNO. OF DONORSAMOUNT
Jan-9263,000
Feb-29304,000
Mar120,000944,700
Apr-1071,637
May-48673.21
Jun-323,000
Jul-10208,211.91
Aug23411,190.925121,942.45
Sep1100,000150,000
Oct32,1005358,800
Nov--
Dec125,000-
TOTALS29558,290.92821453964.57
GRAND TOTAL AS OF December 31, 20241112,012,255.49

SCHEDULE OF DONATIONS(USD)
As of December 31, 2024

ENDOWMENT FUND IN US DOLLARS
2023
2024
NO. OF DONORSAMOUNTNO. OF DONORSAMOUNT
Jan----
Feb--91,500
Mar----
Apr----
May--1500
Jun----
Jul----
Aug--1100
Sep----
Oct1100--
Nov----
Dec--125,000
TOTALS110012$27,100
GRAND TOTAL12$27,200

SCHEDULE OF DONATIONS
OPERATING & MAINTENANCE FUND(PESO)
As of December 31, 2024

Receipts 2023195,000.00
Less: Expenses 2023(77,762.37)
Balance End of Year117,237.63
Add: 2024 Receipts26,150.00
Running Balance143,387.63
Less:
Expenses 2024(45,562.44)
Prepaid Expenses Tbills(2,065.90)(47,628.34)
Running Balance95,759.29
Less: Maintaining Balance of Bank Accts
Current Account(20,000.00)
Savings Account(10,000.00)
USD Accounts(62,150.00)(92,150.00)
NET USABLE FUNDS TODATE3,609.29

SCHEDULE OF DONATIONS
OPERATING & MAINTENANCE FUND(USD)
As of December 31, 2024


2023
2024
NO. OF DONORSAMOUNTNO. OF DONORSAMOUNT
Jan
Feb130.00
Mar
Apr
May110.00
Jun
Jul
Aug152.00
Sep
Oct
Nov
Dec
TOTALS3$92.00
GRAND TOTAL3$92.00
Notes: These are the bank transfer fees incurred by Chair RSI in sending funds to BUDHI

TREASURY BILL
INVESTMENTS

SCHEDULE OF LBP TREASURY BILLS

As of December 31, 2024
Placement DateMaturity DateNo. of
Days
Placement CostOffer Rate %Maturity Face ValueDiscount Earnings
Feb. 5, 2024Jan. 22, 2025351499,442.056.00000522,000.0022,557.95
May 3, 2024Apr. 30, 2025362199,625.716.05000209,000.009,374.29
Aug. 22, 2024Aug. 6, 2025349249,745.536.02000261,000.0011,254.47
Sept. 6, 2024Sept. 3, 2025362699,242.066.03500732,000.0032,757.94
Nov. 27, 2024Nov. 26, 2025364299,246.555.89000313,000.0013,753.45
TOTALS1,947,301.902,037,000.00113,480.00

FINANCIAL CONDITION
As of December 31, 2024

BALANCE SHEET – PESO
As of December 31, 2024

ASSETS
CURRENT ASSETS
Due From Banks –
Savings Account – Peso68,213.19
Current Account – Peso56,883.83125,097.02
Due From Dollar Account in Peso62,150.00
Prepaid Expenses Tbills2,065.90
NON-CURRENT ASSETS
Treasury Bills2,037,000.00
TOTAL ASSETS2,226,312.92
LIABILITIES AND NETWORTH
Deferred Income on Treasury Bills92,294.41
Donations Operating & Maintenance Fund97,825.19
Donations PESO Endowment Fund2,012,255.49
Income Fund-Peso23,937.83
TOTAL LIABILITIES AND NETWORTH2,226,312.92

BALANCE SHEET – USD
As of December 31, 2024

ASSETS
CURRENT ASSETS
Due From Banks –
Savings Account – USD28,270.80
TOTAL ASSETS$28,270.80
LIABILITIES AND NETWORTH
Due to Savings PESO (for
Operations & Maintenance in $)
1,070.00
Donations Dollar – Operations &
Maintenance
0.00
Donations Dollar – Endowment
Fund
27,200.00
Interest Income Fund Dollars0.80
TOTAL LIABILITIES AND NETWORTH$28,270.80

INCOME STATEMENT – PESO
As of December 31, 2024

REVENUES
Income on Treasury Bills23,782.16
Interest Income on Deposits155.67
TOTAL REVENUES23,937.83
EXPENSES
Bank charges – Peso200.00
Auditor’s fee and BIR expenses11,000.00
Office Supplies16,000.00
Meeting Expenses5,190.00
Representation Expenses1,500.00
Website Expenses11,672.4445,562.44
NET INCOME(LOSS)(21,624.61)
Notes: The Total Revenues are credited to the Income Fund Account and the Expenses are debited to the Donations- Operating & Maintenance Fund Account in the Balance Sheet.

INCOME STATEMENT – USD
As of December 31, 2024

REVENUES
Interest Income on Deposits0.80
TOTAL REVENUES0.80
EXPENSES
Bank charges – USD122.00
NET INCOME(LOSS)($121.20)
Notes: The Total Revenues are credited to the Income Fund Account and the Expenses are debited to the Due to Savings PESO (for Operations & Maintenance in $) and Donations Dollar – Operations & Maintenance Fund Account in the Balance Sheet.