Donor Rolls for the period February 16, 2024 to December 31, 2024 |
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US$ | PESOS | US$ | PESOS | US$ | PESOS | US$ | PESOS | ||
2023 TOTALS | 195,000 | 195,000 | 100 | 558,291 | 100 | 558,291 | |||
Jan to Feb 15 , 2024 | 30 | 26,150 | 30 | 221,150 | 1,500 | 486,000 | 1,600 | 1,044,291 | |
Feb 16-29, 2024 | CURATO MANUEL | ||||||||
CALIMPUSAN RE ANN | |||||||||
ALCONERA VIRGILIO | |||||||||
PINSON JEREMY | |||||||||
LESACA ALBERTO | |||||||||
PAUSANOS ROMEO | |||||||||
ENRIQUEZ RONALD & MATILDE | |||||||||
AMOUNTS RCVD | 81,000 | 1,125,291 | |||||||
Mar 1 -31, 2024 | ARE KRISTIAN ANGELO | ||||||||
SEAFDEC/AQD | |||||||||
ANONYMOUS | |||||||||
MENDOZA JULIET | |||||||||
MAMBUAY CECILE | |||||||||
BELLEZA MANUEL LUIS | |||||||||
? | |||||||||
? | |||||||||
? | |||||||||
AMOUNTS RCVD | 44,700 | 1,169,991 | |||||||
Apr 1- 30, 2024 | ARNAIZ FRANCIS | ||||||||
KING ABE JR | |||||||||
DORMAIER RUTH | |||||||||
MOREDO LEYOL | |||||||||
HONCULADA JEV | |||||||||
CALAYAG MEDEL | |||||||||
IGNACIO JAMIN | |||||||||
ABANTAS ZED | |||||||||
ACOSTA ERNESTO P | |||||||||
AMOUNTS RCVD | 71,637 | 1,241,628 | |||||||
May 1-31, 2024 | DUROY MARK | ||||||||
MALONE JEOFREY | |||||||||
IGNACIO RUFINO | |||||||||
MARTIZANO CONCEPCION | |||||||||
AMOUNTS RCVD | 10 | 40 | 500 | 8,673 | 2,100 | 1,250,301 | |||
June 1-30 2024 | TAN JHOUTAN | ||||||||
BOTOR SHIRLEY | |||||||||
AGREDA PRECIOSA | |||||||||
AMOUNTS RCVD | 23,000 | 1,273,301 | |||||||
July 1-31, 2024 | ARNAIZ 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 RCVD | 208,212 | 1,481,513 | |||||||
Aug 1-31, 2024 | KWAN ROMEO & ROBINA | ||||||||
DACUT CARLITO | |||||||||
PUYOS FE | |||||||||
ARIAS ERLINDA SO | |||||||||
AROCHA JINGJING | |||||||||
KING ABE & LIGAYA | |||||||||
IGNACIO RUFINO | |||||||||
AMOUNTS RCVD | 52 | 92 | 100 | 121,942 | 2,200 | 1,603,455 | |||
September 1-30, 2024 | FLURI ELSA | ||||||||
AMOUNTS RCVD | 50,000 | 1,653,455 | |||||||
October 1-31, 2024 | TORRES NARCISO T. | ||||||||
BALDONADO CELESTINO | |||||||||
AMPARADO RUBEN & OLIVE | |||||||||
Golf Tournament Proceeds-(Magsalos Romeo) | |||||||||
NACALABAN DEBBIE | |||||||||
TAWANO ANNIE | |||||||||
ARNAIZ FRANCIS | |||||||||
AMOUNTS RCVD | 358,800 | 2,012,255 | |||||||
November 1-30, 2024 | None to Report | ||||||||
December 1-31, 2024 | BASNILLO MARRIETTA L | ||||||||
AMOUNTS RCVD | -15 | 77 | 25,000 | 27,200 | |||||
TOTALS as of December 31, 2024 | 77 | 221,150 | 77 | 221,150 | 27,200 | 2,012,255 | 27,200 | 2,012,255 |
MONTHS | NO. OF DONORS | AMOUNT | NO. OF DONORS | AMOUNT |
---|---|---|---|---|
Jan | - | 9 | 263,000 | |
Feb | - | 29 | 304,000 | |
Mar | 1 | 20,000 | 9 | 44,700 |
Apr | - | 10 | 71,637 | |
May | - | 4 | 8673.21 | |
Jun | - | 3 | 23,000 | |
Jul | - | 10 | 208,211.91 | |
Aug | 23 | 411,190.92 | 5 | 121,942.45 |
Sep | 1 | 100,000 | 1 | 50,000 |
Oct | 3 | 2,100 | 5 | 358,800 |
Nov | - | - | ||
Dec | 1 | 25,000 | - | |
TOTALS | 29 | 558,290.92 | 82 | 1453964.57 |
GRAND TOTAL AS OF December 31, 2024 | 111 | 2,012,255.49 |
NO. OF DONORS | AMOUNT | NO. OF DONORS | AMOUNT | |
---|---|---|---|---|
Jan | - | - | - | - |
Feb | - | - | 9 | 1,500 |
Mar | - | - | - | - |
Apr | - | - | - | - |
May | - | - | 1 | 500 |
Jun | - | - | - | - |
Jul | - | - | - | - |
Aug | - | - | 1 | 100 |
Sep | - | - | - | - |
Oct | 1 | 100 | - | - |
Nov | - | - | - | - |
Dec | - | - | 1 | 25,000 |
TOTALS | 1 | 100 | 12 | $27,100 |
GRAND TOTAL | 12 | $27,200 |
Receipts 2023 | 195,000.00 | |
Less: Expenses 2023 | (77,762.37) | |
Balance End of Year | 117,237.63 | |
Add: 2024 Receipts | 26,150.00 | |
Running Balance | 143,387.63 | |
Less: | ||
Expenses 2024 | (45,562.44) | |
Prepaid Expenses Tbills | (2,065.90) | (47,628.34) |
Running Balance | 95,759.29 | |
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 TODATE | 3,609.29 |
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NO. OF DONORS | AMOUNT | NO. OF DONORS | AMOUNT | |
---|---|---|---|---|
Jan | – | – | – | – |
Feb | – | – | 1 | 30.00 |
Mar | – | – | – | – |
Apr | – | – | – | – |
May | – | – | 1 | 10.00 |
Jun | – | – | – | – |
Jul | – | – | – | – |
Aug | – | – | 1 | 52.00 |
Sep | – | – | – | – |
Oct | – | – | – | – |
Nov | – | – | – | – |
Dec | – | – | – | – |
TOTALS | 3 | $92.00 | ||
GRAND TOTAL | 3 | $92.00 | ||
Notes: These are the bank transfer fees incurred by Chair RSI in sending funds to BUDHI |
Placement Date | Maturity Date | No. of Days | Placement Cost | Offer Rate % | Maturity Face Value | Discount Earnings | |||
---|---|---|---|---|---|---|---|---|---|
Feb. 5, 2024 | Jan. 22, 2025 | 351 | 499,442.05 | 6.00000 | 522,000.00 | 22,557.95 | |||
May 3, 2024 | Apr. 30, 2025 | 362 | 199,625.71 | 6.05000 | 209,000.00 | 9,374.29 | |||
Aug. 22, 2024 | Aug. 6, 2025 | 349 | 249,745.53 | 6.02000 | 261,000.00 | 11,254.47 | |||
Sept. 6, 2024 | Sept. 3, 2025 | 362 | 699,242.06 | 6.03500 | 732,000.00 | 32,757.94 | |||
Nov. 27, 2024 | Nov. 26, 2025 | 364 | 299,246.55 | 5.89000 | 313,000.00 | 13,753.45 | |||
TOTALS | 1,947,301.90 | 2,037,000.00 | 113,480.00 | ||||||
ASSETS | |||
CURRENT ASSETS | |||
Due From Banks – | |||
Savings Account – Peso | 68,213.19 | ||
Current Account – Peso | 56,883.83 | 125,097.02 | |
Due From Dollar Account in Peso | 62,150.00 | ||
Prepaid Expenses Tbills | 2,065.90 | ||
NON-CURRENT ASSETS | |||
Treasury Bills | 2,037,000.00 | ||
TOTAL ASSETS | 2,226,312.92 | ||
LIABILITIES AND NETWORTH | |||
Deferred Income on Treasury Bills | 92,294.41 | ||
Donations Operating & Maintenance Fund | 97,825.19 | ||
Donations PESO Endowment Fund | 2,012,255.49 | ||
Income Fund-Peso | 23,937.83 | ||
TOTAL LIABILITIES AND NETWORTH | 2,226,312.92 | ||
ASSETS | |||
CURRENT ASSETS | |||
Due From Banks – | |||
Savings Account – USD | 28,270.80 | ||
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 Dollars | 0.80 | ||
TOTAL LIABILITIES AND NETWORTH | $28,270.80 | ||
REVENUES | ||
Income on Treasury Bills | 23,782.16 | |
Interest Income on Deposits | 155.67 | |
TOTAL REVENUES | 23,937.83 | |
EXPENSES | ||
Bank charges – Peso | 200.00 | |
Auditor’s fee and BIR expenses | 11,000.00 | |
Office Supplies | 16,000.00 | |
Meeting Expenses | 5,190.00 | |
Representation Expenses | 1,500.00 | |
Website Expenses | 11,672.44 | 45,562.44 |
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. |
REVENUES | ||
Interest Income on Deposits | 0.80 | |
TOTAL REVENUES | 0.80 | |
EXPENSES | ||
Bank charges – USD | 122.00 | |
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. |