Republic of the Philippines
Department of Education
                                                              Region I
                                                   Schools Division office I Pangasinan
                                                   GALARIN NATIONAL HIGH SCHOOL
                                                       Urbiztondo, Pangasinan
                                                   REPORT ON CANTEEN OPERATION
                                                                March , 2018
      MONTH                 AMOUNT             SALES           GROSS PROFIT           EXPENSES          NET PROFIT                          REMARKS
                           PURCHASED
    March , 2018            P 30,261.50      P 32,100.00       P 1,838.50               P 5,879.50        P 4,040.50
                                                         STATEMENT OF OPERATION
                                                   NET INCOME UTILIZATION BREAKDOWN
    ITEM
                                                                                                                                                   TOTAL
                   Supplementary   School Clinic   Faculty/Pupil Dev’t.     H.E. Instructional   School Operational    Revolving
                      Feeding         Fund                Fund                     Fund                Fund             Capital
                        35%            5%                 15%                      10%                  25%              10%
 C.R. (Allotted      1,414.175       202.025               606.075               404.05              1,010.125          404.05                     4,040.50
    Amount)
D.R. (Expenses)
    Balance          1,414.175       202.025               606.075               404.05              1,010.125          404.05                     4,040.50
   (Savings)
     Cash on Hand (Previous
           Year/Month)                                                                                                                                0
 TOTAL CASH ON HAND AS OF                      March, 2018                            TOTAL AMOUNT:                                   P 4,040.50
         Audited by:                                                                              Prepared by:
                       EDRICK A. AQUINO                               VANGELENE C. ERFELO                        CHARITO B. CARIÑO
                       Mathematics Teacher                           Teacher’s Club President                       Canteen Teacher
                        Noted:                                                              Approved:
                                     ATHENIA M. PEREZ                                                      VIOLETA M. DATUIN,Ed.D.
                                      Head Teacher III                                                           Principal IV
                                                                         Republic of the Philippines
                                                                          Department of Education
                                                                                    Region I
                                                                      Schools Division office I Pangasinan
                                                                     DALANGUIRING INTEGRATED SCHOOL
                                                                           Urbiztondo, Pangasinan
                                                                    REPORT ON CANTEEN OPERATION
                                                                                 June 4 – 29, 2018
        MONTH                      AMOUNT                    SALES           GROSS PROFIT         EXPENSES                 NET PROFIT                 REMARKS
                                  PURCHASED
          June                     P 12,592.00             P17,777.00           P5,242.00               2,025.00                 3,217.00       No Feeding This Month
                                                                  STATEMENT OF OPERATION
                                                                   NET INCOME UTILIZATION BREAKDOWN
    ITEM
                                                                                                                                                        TOTAL
                     Supplementary         School Clinic        Faculty/Pupi     H.E. Instructional         School Operational      Revolving
                        Feeding               Fund              l Dev’t. Fund           Fund                      Fund               Capital
                          35%                  5%                   15%                 10%                        25%                10%
C.R. (Allotted            1,106                  102.70             292.50             165.75                    372.94               111.89            P2,151.78
Amount)
D.R.                      2,054                  1950             1,657.50            1,491.75                  1,118.81          1,006.92                300.00
(Expenses)
Balance                    0.00                  259.25             738.86             418.69                    642.05               346.82             2,405.67
(Savings)
Cash on Hand (Previous    Year/Month)                       0                                           0                                   0                0
TOTAL CASH ON HAND AS OF                              June, 2018                              TOTAL AMOUNT:                                                2,405.67
   Audited by:                                                                                                 Prepared by:
               _________________________           ___________________          ____________________________                  ____________________________
               Mathematics Teacher                   H.E. Teacher               Teacher’s Club President                             Canteen Teacher
                                                                                                             JOEGIE M. GALANO,Ph.D.
                                                                                                                 Principal II
                                                                          Republic of the Philippines
                                                                           Department of Education
                                                                                   Region I
                                                               Schools Division office I Pangasinan
                                                              DALANGUIRING INTEGRATED SCHOOL
                                                                    Urbiztondo, Pangasinan
                                                             REPORT ON CANTEEN OPERATION
                                                                          August 1-31, 2016
         MONTH               AMOUNT                     SALES          GROSS PROFIT                  EXPENSES      NET PROFIT         REMARKS
                            PURCHASED
          August
                                P 24,000.00            P 34,803.00         P 10,803.00               P 3,810.00     P 6,993.00
                                                            STATEMENT OF OPERATION
                                                    NET INCOME UTILIZATION BREAKDOWN
   ITEM
                                                                                                                                       TOTAL
                   Supplementary        School Clinic     Faculty/Pupi           H.E.                  School      Revolving
                      Feeding              Fund           l Dev’t. Fund      Instructional           Operational    Capital
                        35%                 5%                15%                Fund                   Fund         10%
                                                                                 10%                    25%
C.R. (Allotted
Amount)              2,447.55                 349.65        1,048.95            699.30                1,748.5       699.30
                                                                                                                                       P 6,993.00
D.R.
(Expenses)              0                       0           3,249.00                0                 5,155.00        0                P 8,404.00
Balance
(Savings)           2,447.55                  349.65        -2200.05            699.30                -3406.5       699.30              -1411.00
Cash on Hand (Previous
Year/Month)                                   July, 2016 = 6,411.00               6411.00 – 1411 = 5,000                                 5,000.00
TOTAL CASH ON HAND AS OF                          August, 2016                     TOTAL AMOUNT:                                        P 5,000.00
   Audited by:                                                                                         Prepared by:
               JANET A. DESACADA                DINA P. AQUINO                 TITA Z. DELA VEGA                       DIVINA GRACIA S. SABANGAN
               Mathematics Teacher                H.E. Teacher               Teacher’s Club President                      Canteen Teacher
                                                                                                 ROWENA O. ALMENDRALA,Ed. D.
                                                                                                      Head Teacher I- OIC
                                                                       Republic of the Philippines
                                                                        Department of Education
                                                                                Region I
                                                               Schools Division office I Pangasinan
                                                              DALANGUIRING INTEGRATED SCHOOL
                                                                    Urbiztondo, Pangasinan
                                                               REPORT ON CANTEEN OPERATION
                                                                    September 1-30, 2016
        MONTH               AMOUNT                   SALES         GROSS PROFIT               EXPENSES               NET PROFIT         REMARKS
                           PURCHASED
       September            P 44,000.00            P 63,917.00        P 19,917.00               P 4,840.00                P 15,077.00
                                                        STATEMENT OF OPERATION
                                                NET INCOME UTILIZATION BREAKDOWN
   ITEM
                                                                                                                                         TOTAL
                 Supplementary       School Clinic    Faculty/Pupi           H.E.                 School             Revolving
                    Feeding             Fund          l Dev’t. Fund      Instructional          Operational           Capital
                      35%                5%               15%                Fund                  Fund                10%
                                                                             10%                   25%
C.R. (Allotted
Amount)             5,276.95              753.85        2,261.55            1,507.7              3,769.25             1,507.70          P 15,077.00
D.R.
(Expenses)          1.000.00                0            4738.00                0                3,822.00                   0           P 9,560.00
Balance
(Savings)           4,276.95              753.85        -2,477              1,507.7                   -52.75          1,507.70            P 5,517.00
Cash on Hand (Previous                     August = 5,000.00
Year/Month)
TOTAL CASH ON HAND AS OF                    September, 2016                      TOTAL AMOUNT:                                          P 10,517.00
   Audited by:                                                                                             Prepared by:
               JANET A. DESACADA            DINA P. AQUINO                 TITA Z. DELA VEGA                        DIVINA GRACIA S. SABANGAN
               Mathematics Teacher            H.E. Teacher               Teacher’s Club President                       Canteen Teacher
                                                                                                JOEGIE M. GALANO,Ph. D.
                                                                                                   Principal II/OIC
                                                              Republic of the Philippines
                                                               Department of Education
                                                                         Region I
                                                           Schools Division office I Pangasinan
                                                          DALANGUIRING INTEGRATED SCHOOL
                                                                Urbiztondo, Pangasinan
                                                             REPORT ON CANTEEN OPERATION
                                                                          August 1-31, 2016
         MONTH               AMOUNT                     SALES          GROSS PROFIT           EXPENSES          NET PROFIT            REMARKS
                            PURCHASED
          August
                                P 24,000.00            P 34,803.00         P 10,803.00         P 3,810.00          P 6,993.00
                                                            STATEMENT OF OPERATION
                                                    NET INCOME UTILIZATION BREAKDOWN
   ITEM
                                                                                                                                       TOTAL
                   Supplementary        School Clinic     Faculty/Pupi           H.E.            School          Revolving
                      Feeding              Fund           l Dev’t. Fund      Instructional     Operational        Capital
                        35%                 5%                15%                Fund             Fund             10%
                                                                                 10%              25%
C.R. (Allotted
Amount)              2,447.55                 349.65        1,048.95            699.30           1,748.5          699.30
                                                                                                                                       P 6,993.00
D.R.
(Expenses)              0                       0           3,249.00              0             5,155.00             0                 P 8,404.00
Balance
(Savings)           2,447.55                  349.65        -2200.05            699.30          -3406.5           699.30                -1411.00
Cash on Hand (Previous
Year/Month)                                   July, 2016 = 6,411.00               6411.00 – 1411 = 5,000                                 5,000.00
TOTAL CASH ON HAND AS OF                          August, 2016                     TOTAL AMOUNT:                                        P 5,000.00
   Audited by:                                                                                         Prepared by:
               JANET A. DESACADA                DINA P. AQUINO                 TITA Z. DELA VEGA                       DIVINA GRACIA S. SABANGAN
               Mathematics Teacher                H.E. Teacher               Teacher’s Club President                      Canteen Teacher
                                                                                                 ROWENA O. ALMENDRALA,Ed. D.
                                                                                                      Head Teacher I- OIC
                                                                   Republic of the Philippines
                                                                   Department of Education
                                                                             Region I
                                                               Schools Division office I Pangasinan
                                                              DALANGUIRING INTEGRATED SCHOOL
                                                                    Urbiztondo, Pangasinan
                                                        REPORT ON CANTEEN OPERATION
                                                                November 2-29, 2016
        MONTH               AMOUNT                  SALES       GROSS PROFIT           EXPENSES           NET PROFIT          REMARKS
                           PURCHASED
       November             P 34,250.00         P 49,922.00          P 15,672.00         P 4430.00             P 11,242.00
                                                      STATEMENT OF OPERATION
                                           NET INCOME UTILIZATION BREAKDOWN
   ITEM
                                                                                                                                TOTAL
                  Supplementary     School Clinic    Faculty/Pupi          H.E.           School          Revolving
                     Feeding           Fund          l Dev’t. Fund     Instructional    Operational        Capital
                       35%              5%               15%               Fund            Fund             10%
                                                                           10%             25%
C.R. (Allotted      3,934.70          562.10          1,686.30           1,124.20        2,810.50          1,124.20            P 11,242.00
Amount)
D.R.                    0                0            4,880.00              0            6,562.00                 0             11,442.00
(Expenses)
Balance             3,934.70          562.10         -3,095.80           1,124.20        -3,751.50         1,124.20              -200.00
(Savings)
Cash on Hand (Previous                  October-3,900.00                 3,900.00-200.00 =3,700.00
Year/Month)
TOTAL CASH ON HAND AS OF           November, 2016                            TOTAL AMOUNT:                                     P 3,700.00
   Audited by:                                                                                  Prepared by:
               JANET A. DESACADA        DINA P. AQUINO                   TITA Z. DELA VEGA                       DIVINA GRACIA S. SABANGAN
               Mathematics Teacher         H.E. Teacher                Teacher’s Club President                      Canteen Teacher
                                                                                             JOEGIE. M GALANO, Ph.D.
                                                                                                   Principal II
                                                             Republic of the Philippines
                                                             Department of Education
                                                                       Region I
                                                         Schools Division office I Pangasinan
                                                        DALANGUIRING INTEGRATED SCHOOL
                                                              Urbiztondo, Pangasinan
                                                             REPORT ON CANTEEN OPERATION
                                                                        October 1-19, 2016
          MONTH                 AMOUNT                  SALES          GROSS PROFIT           EXPENSES             NET PROFIT          REMARKS
                               PURCHASED
           October              P 31,000.00            P 45,245.00       P 14,245.00            P 2710.00               P 11,535.00
                                                            STATEMENT OF OPERATION
                                                  NET INCOME UTILIZATION BREAKDOWN
   ITEM
                                                                                                                                      TOTAL
                Supplementary        School Clinic     Faculty/Pupi           H.E.             School            Revolving
                   Feeding              Fund           l Dev’t. Fund     Instructional       Operational          Capital
                     35%                 5%                15%               Fund               Fund               10%
                                                                              10%               25%
C.R. (Allotted      4,037.25            576.75            1,730.25          1,153.5           2,883.75            1,153.5             P 11,535.00
Amount)
D.R.                9,547.00                  0           2,100.00            0               6,505.00                  0              18,152.00
(Expenses)
Balance            -5509.75             576.75            -369.75          1,153.5            -3621.25            1,153.5             -6617.00
(Savings)
Cash on Hand (Previous
Year/Month)                           September = P 10,517.00           P 10,517.00- 6,617.00=
                                                                       3,900.00
TOTAL CASH ON HAND AS OF          October, 2016                               TOTAL AMOUNT:                                           P 3,900.00
    Audited by:                                                                                          Prepared by:
                JANET A. DESACADA          DINA P. AQUINO                    TITA Z. DELA VEGA                       DIVINA GRACIA S. SABANGAN
                Mathematics Teacher          H.E. Teacher                  Teacher’s Club President                      Canteen Teacher
                                                                                               ROWENA O. ALMENDRALA,Ed. D.
                                                                                                    Head Teacher I- OIC
    Republic of the Philippines
     Department of Education
               Region I
 Schools Division office I Pangasinan
DALANGUIRING INTEGRATED SCHOOL
      Urbiztondo, Pangasinan
REPORT ON CANTEEN OPERATION
                                                                     December 1-15, 2016
        MONTH               AMOUNT                    SALES          GROSS PROFIT            EXPENSES           NET PROFIT        REMARKS
                           PURCHASED
   December                  P 21,250.00            P 31,920.00         P 10,670.00           P 3,090.00             P 7,580.00
                                                          STATEMENT OF OPERATION
                                                 NET INCOME UTILIZATION BREAKDOWN
   ITEM
                                                                                                                                   TOTAL
                 Supplementary        School Clinic     Faculty/Pupi          H.E.              School          Revolving
                    Feeding              Fund           l Dev’t. Fund     Instructional       Operational        Capital
                      35%                 5%                15%               Fund               Fund             10%
                                                                              10%                25%
C.R. (Allotted      2,653.00               379.00         1,137.00           758.00            1,895.00              758.00
Amount)                                                                                                                            P 7,580.00
D.R.                    0                    0            3,600.00             0               2,280.00                0             P 5,880.00
(Expenses)
Balance             2,653.00               379.00         -2463.00           758.00            -385.00               758.00       P 1,700.00
(Savings)
Cash on Hand (Previous                       November 2016                                3,700.00
Year/Month)
TOTAL CASH ON HAND AS OF              December, 2016 = 1,700            TOTAL AMOUNT: 3700 +                                      P 5,400.00
                                                                        1700=
  Audited by:                                                                                         Prepared by:
                JANET A. DESACADA            DINA P. AQUINO                 TITA Z. DELA VEGA                       DIVINA GRACIA S. SABANGAN
                Mathematics Teacher            H.E. Teacher               Teacher’s Club President                      Canteen Teacher
                                                                                                JOEGIE. M GALANO, Ph.D.
                                                                                                      Principal II
                                                                Republic of the Philippines
                                                                 Department of Education
                                                                           Region I
                                                             Schools Division office I Pangasinan
                                                            DALANGUIRING INTEGRATED SCHOOL
                                                                  Urbiztondo, Pangasinan
                                                           REPORT ON CANTEEN OPERATION
                                                                     January 3-31, 2017
        MONTH               AMOUNT                   SALES          GROSS PROFIT           EXPENSES         NET PROFIT           REMARKS
                           PURCHASED
    January                  34,250.00               48,735.00         14,485.00            6,120.00           8,365.00
                                                         STATEMENT OF OPERATION
                                               NET INCOME UTILIZATION BREAKDOWN
   ITEM
                                                                                                                                   TOTAL
                 Supplementary       School Clinic     Faculty/Pupi          H.E.            School         Revolving
                    Feeding             Fund           l Dev’t. Fund     Instructional     Operational       Capital
                      35%                5%                15%               Fund             Fund            10%
                                                                             10%              25%
C.R. (Allotted
Amount)             2,927.75             418.25          1,254.75          836.50           2,091.50         836.50                8365.00
D.R.
(Expenses)              0                  0             3,490.00          820.00           7,545.00            0                 11,765.00
Balance
(Savings)           2,927.75             418.25          -2,235.25          16.50           -5,454.00        836.50               -3,400.00
Cash on Hand (Previous
Year/Month)                                December,2016                5,400.00 – 3,400.00 = 2,000.00
TOTAL CASH ON HAND AS OF                    January, 2017              TOTAL AMOUNT: 2,000.00                                      P 2,000.00
   Audited by:                                                                                     Prepared by:
               JANET A. DESACADA           DINA P. AQUINO                 TITA Z. DELA VEGA                       DIVINA GRACIA S. SABANGAN
               Mathematics Teacher           H.E. Teacher               Teacher’s Club President                      Canteen Teacher
                                                                                              JOEGIE. M GALANO, Ph.D.
                                                                                                    Principal II
                                                               Republic of the Philippines
                                                                Department of Education
                                                                          Region I
                                                            Schools Division office I Pangasinan
                                                           DALANGUIRING INTEGRATED SCHOOL
                                                                 Urbiztondo, Pangasinan
                                                          REPORT ON CANTEEN OPERATION
                                                                     February 1-28, 2017
        MONTH               AMOUNT                   SALES          GROSS PROFIT         EXPENSES           NET PROFIT           REMARKS
                           PURCHASED
                             34,650.00               54,625.00         19,400.00           5,575.00           13,825.00
    February
                                                         STATEMENT OF OPERATION
                                               NET INCOME UTILIZATION BREAKDOWN
   ITEM
                                                                                                                                   TOTAL
                 Supplementary       School Clinic     Faculty/Pupi         H.E.            School          Revolving
                    Feeding             Fund           l Dev’t. Fund    Instructional     Operational        Capital
                      35%                5%                15%              Fund             Fund             10%
                                                                            10%              25%
C.R. (Allotted      4,838.75             691.25          2,073.75         1,382.50         3,456.25          1,382.50             13,825.00
Amount)
D.R.                    0                  0             3,420.00         2,500.00          4,705.00            0                 10,625.00
(Expenses)
Balance             4,838.75             691.25          -1,346.25       -1,117.50          1,248.75         1,382.50              3,200.00
(Savings)
Cash on Hand (Previous
Year/Month)                                 January, 2017                           2,000.00
TOTAL CASH ON HAND AS OF                   February, 2017              TOTAL AMOUNT= 2,000 + 3200 = 5,200.00                       P 5,200.00
   Audited by:                                                                                     Prepared by:
               JANET A. DESACADA           DINA P. AQUINO                 TITA Z. DELA VEGA                       DIVINA GRACIA S. SABANGAN
               Mathematics Teacher           H.E. Teacher               Teacher’s Club President                      Canteen Teacher
                                                                                              JOEGIE. M GALANO, Ph.D.
                                                                                                    Principal II
                                                               Republic of the Philippines
                                                                Department of Education
                                                                          Region I
                                                            Schools Division office I Pangasinan
                                                           DALANGUIRING INTEGRATED SCHOOL
                                                                 Urbiztondo, Pangasinan
                                                          REPORT ON CANTEEN OPERATION
                                                                     March 1-31, 2017
        MONTH               AMOUNT                   SALES          GROSS PROFIT         EXPENSES           NET PROFIT           REMARKS
                           PURCHASED
                             43,500.00               69,081.00         25,581.00           5,220.00           20,361.00
    February
                                                         STATEMENT OF OPERATION
                                                NET INCOME UTILIZATION BREAKDOWN
   ITEM
                                                                                                                                   TOTAL
                 Supplementary       School Clinic     Faculty/Pupi         H.E.            School          Revolving
                    Feeding             Fund           l Dev’t. Fund    Instructional     Operational        Capital
                      35%                5%                15%              Fund             Fund             10%
                                                                            10%              25%
C.R. (Allotted      7,126.35             1,018.05        3,054.15         2,036.10         5,090.25          2,036.10              20,361.00
Amount)
D.R.                 453.00                 0            1,700.00            0             7,508.00             0                  9,961.00
(Expenses)
Balance             6,673.35             1,018.05         1354.15         2,036.10         -1,271.75         2,036.10              10,700.00
(Savings)
Cash on Hand (Previous
Year/Month)                                 February, 2017                          5,200.00
TOTAL CASH ON HAND AS OF                     March, 2017               TOTAL AMOUNT= 5,200.00 + 10,700.00                          P 15,900.00
   Audited by:                                                                                     Prepared by:
               JANET A. DESACADA            DINA P. AQUINO                TITA Z. DELA VEGA                       DIVINA GRACIA S. SABANGAN
               Mathematics Teacher            H.E. Teacher              Teacher’s Club President                      Canteen Teacher
                                                                                              JOEGIE. M GALANO, Ph.D.
                                                                                                    Principal II