April 28, 2025 4:09 PM

Full Disclosure Portal

Freedom of Information

serves as a transparent and comprehensive online platform that shares detailed information about Pavia LGU’s financial transactions, budget allocations, and other pertinent data.

2024
Unliquidated Cash Advances
LDRRMF Utilization
Statement of Cash Flow
Unliquidated Cash Advances
Special Education Fund Utilization
Annual GAD Accomplishment Report
Trust Fund Utilization
Supplemental Procurement Plan
Civil Works Bid Out
Goods and Services Bid Out
Human Resource Complement
Statement of Indebtedness Payments and Balances
Statement of Receipts and Expenditures
Annual Procurement Plan
20% Component of the National Tax Allotment
LDRRMF Utilization
Trust Fund Utilization
Unliquidated Cash Advances
Human Resource Complement
20% Component of the National Tax Allotment
Statement of Receipts and Expenditures
LDRRMF Utilization
Trust Fund Utilization
Unliquidated Cash Advances
Human Resource Complement
20% Component of the National Tax Allotment
Statement of Receipts and Expenditures
LDRRMF Utilization
Trust Fund Utilization
Unliquidated Cash Advances
Human Resource Complement
20% Component of the National Tax Allotment
Statement of Receipts and Expenditures
LDRRMF Utilization
Trust Fund Utilization
Unliquidated Cash Advances
Human Resource Complement
20% Component of the National Tax Allotment
Statement of Receipts and Expenditures
Statement of Indebtedness, Payments and Balance 2023
Annual Procurement Plan 2023
Annual GAD Accomplishment Report
LDRRMF Utilization
20% Component IRA Utilization
Trust Fund Utilization
Manpower Complement
Statement of Indebtedness, Payments and Balances
LDRRMF Utilization
Quarterly Statement of Cash Flow
Manpower Complement
SEF Utilization
Trust Fund Utilization
LDRRMF Utilization
Quarterly Statement of Cash Flow
SEF Utilization
Trust Fund Utilization
Unliquidated Cash Advance
Manpower Complement
SEF Utilization
Trust Fund Utilization
Statement of Receipts and Expenditures
Unliquidated Cash Advance
SEF Utilization
Quarterly Statement of Cash Flow
Supplemental Procurement Plan
Trust Fund Utilization
Unliquidated Cash Advance
20% Component of IRA Utilization
Bid Results on Civil Works, Goods & Consulting Services
Manpower Complement
LDRRM Utilization
Manpower Complement
SEF Utilization
Quarterly Statement of Cash Flow
Trust Fund Utilization
Unliquidated Cash Advance
Statement of Receipts and Expenditures
Trust Fund Utilization
Unliquidated Cash Advance
20% Component of IRA Utilization
Bid Results on Civil Works, Goods and Services and Consulting Services

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