Phase 2 - PPT
Phase 2 - PPT
Phase 2 - PPT
On-boarding
Orientation
September 7, 2021
MFA’s On Boarding Orientation Outline
MFA’s Term of Reference
Overview on CBFMS
Project Costing
Municipal Grant
Local Counterpart Contribution
Local Counterpart Contribution Plan
Recording of LCC
Reports
MFA’s Term of Reference
MFA’S TERMS OF REFERENCE
Primarily responsible in (i) training community
volunteers on financial management and fiduciary
processes; (ii) assisting and providing TA to
community volunteers in setting-up systems and
processes for community-based finance
management and fiduciary control, and; (iii)
exercising QA and QC directly, over financial
transactions relative to the request for, release and
accounting of community grants.
MFA’S TERMS OF REFERENCE
Primary Tasks / Terms of Reference:
• Ensure that costs of subproject proposals are complete,
economic, and reasonable.
⮚Provide technical assistance in the preparation and review of Program
of Works particularly on the reasonableness of unit costs and
appropriateness of items charged under the Indirect Cost.
⮚Evaluate ceiling for Overhead/Admin (Indirect Cost) cost vis-à-vis Total
Subproject Cost based on prescribed parameters indicated in the Infra
Manual.
⮚Evaluate committed LCC whether these are reasonable and
appropriate in relation to the subproject.
MFA’S TERMS OF REFERENCE
Primary Tasks / Terms of Reference:
• Ensure compliance to internal control measures put in
place for the economical, efficient and effective
implementation of community-approved subprojects.
⮚Assist the BSPMCs, including the different units or teams under them
through job coaching in a) setting up of the cash book and Local
Counterpart Contribution Journal, and recording of transactions, b)
doing Bank Reconciliation, and c) preparation of Status of Subproject
Fund Utilization Report.
MFA’S TERMS OF REFERENCE
Primary Tasks / Terms of Reference:
• Ensure compliance to internal control measures put in place
for the economical, efficient and effective implementation of
community-approved subprojects.
⮚Review all requests for fund release including the required supporting
documents. Maintain a database that shows the status of the reviewed
RFRs and monitor RFR status at all level.
⮚Review and sign all Disbursement Vouchers in accordance w/ KC
Community based financial management guidelines, policies and
procedures prior to Area Coordinator’s signature of the check. Make sure
that no check has been signed by the AC without the DV being properly
reviewed. Any incident where AC failed to subject
MFA’S TERMS OF REFERENCE
Primary Tasks / Terms of Reference:
• Ensure compliance to internal control measures put in place for
the economical, efficient and effective implementation of
community-approved subprojects.
⮚Review accuracy of costs assigned by Community Facilitators on the
Voucher for Local Counterpart Contribution (VLCC) for CBIS as well as
completeness of its supporting documents and ensure all LCC delivered
are accounted and recorded.
⮚Monitor delivery of Local Counterpart Contribution for SPI and CBIS and
provide timely feedback to AC for appropriate action in case of potential
delay.
⮚Initiate monthly community meetings on financial management along with
MFA’S TERMS OF REFERENCE
Primary Tasks / Terms of Reference:
• Ensure compliance to internal control measures put in place
for the economical, efficient and effective implementation of
community-approved subprojects.
⮚Monitor and validate financial project status of the barangays through
field visits.
⮚Submit monthly feedback report to the Regional Financial Analyst as
regards community financial management system.
⮚Monitor BSPMC’s compliance to community financial management
system and financial documentation and filing.
⮚Ensure closing of community bank accounts opened and facilitate the
submission of financial closing documents to RPMO.
MFA’S TERMS OF REFERENCE
Primary Tasks / Terms of Reference:
• Ensure compliance to the Project’s financial reportorial
requirements.
⮚Prepare and timely submit municipal financial monitoring reports to the
RPMO and the MLGU-Accountant or designated Program finance focal
person. Make sure that soft reports are properly backed-up with hard
copies.
⮚Collect and timely submit original paid disbursement vouchers and its
supporting documents to COA thru the RPMO.
MFA’S TERMS OF REFERENCE
Primary Tasks / Terms of Reference:
• Ensure compliance to the Project’s financial reportorial
requirements.
⮚Collect and timely submit Status of Subproject Fund Utilization Reports
prepared by the Community Bookkeepers. Make sure that the books of the
BSPMCs are up-to-date and that they maintain complete copies of all
financial reports including Bank Snapshots/Statements and Bank
Reconciliation Statements.
⮚Maintain a reliable and accurate Municipal Financial Database.
⮚Maintain a complete file of municipal reports such as vouchers for LCC for
CBIS and its supporting documents.
⮚Maintain a complete file of transmittal letters or acknowledgement receipts
MFA’S TERMS OF REFERENCE
Primary Tasks / Terms of Reference:
• Ensure compliance to Project guidelines and policies,
including applicable social and environmental safeguards
and gender standards relative to the request for, release and
accounting of community grants.
⮚Check ESMP to include attendant costs of measures to mitigate impacts
of subprojects to communities and residents.
⮚Ensure that labor costs reflected in the Program of Works and actual
wages paid to laborers comply with the rates prescribed by DOLE
indicated in the Regional Wage Board, including equal payment to men
and women rendering the same service as indicated in the Employment
Record Sheet.
JOB OUTPUTS
• Sub-Project Implementation Plan;
• Reviewed Requests for Release within the standard processing time;
• Municipal Work and Financial Plan;
• Municipal Consolidated Status of Sub-Project Fund utilization Report;
• Municipal Consolidated Status of Local Counterpart Contribution;
• Training of Community Volunteers on Community-Based Financial Management
Systems and Procedures;
• Databases: RFR Monitoring, Status of Community Grants, DV Monitoring;
• Community Financial Documents and Reports (Disbursement Vouchers and
supporting documents, Status of Sub-Project Fund Utilization Report, Cash Journal,
LCC In-Kind Journal, Petty Cash Book)
• Technical Assistance and Monitoring System; and
• Resolution of finance-related grievances
Community-based Financial Management System
Simplified Financial Management Systems and Procedure
All project funds are siphoned to the community bank account
IS CBFM DIFFERENT FROM GAAM?
FINANCIAL MANAGEMENT STRUCTURE
CENTRAL OFFICE
NPMO FINANCE
SERVICE
Area Municipal Inter-
Coordinating Barangay Forum
REGIONAL OFFICE Team (MIBF)/MDRRMC
RPMO MANAGEMENT
DIVISION Municipal Barangay
Coordinating Assemby/BDRRMC
Team and SP
Implementation
ACT STRUCTURE
AC
Area Coordinator
TF MFA
Technical Faciliator Municipal Financial Analyst
2021 PROJECT COSTING
Community
Grants
DSWD
CEAC
Total Project
Cost
CBIS
SPI
KALAHI CIDSS
Community Grants
and Local
Counterpart
Contribution
For Phase 1
MUNICIPAL GRANT COMPUTATION
1. Income class - 2019
1st to 3rd class
4th to 6th class
2. Poverty Incidence - 2015
Above 50%
40% to 50%
Below 40%
3. Population 2015
MUNICIPAL GRANT COMPUTATION
• Formula
• MGA = Allocation per head x population
but not lower than P5,000,000 and not higher than
P20,000,000
• How much is allocation per head?
Municipal Class Poverty Allocation per
Incidence head
4th to 6th class Above 50% P700
40-50% P650
Below 40% P600
1st to 3rd class Above 50% P600
40-50% P550
Below 40% P500
For Phase 2
Municipal Grant Allocation is 50% of
the computed grant allocation in
Phase 1.
For Phase 3
Sample: 12,554,400.00
15,693,000.00 =
80%
Sample: 6,277,200.00
8,967,429.00 =
70%
BLGU
LCC FOR MLGU
SPI
PLGU
Community
Source: Local Development Fund of MLGU, PLGU & BLGU
LCC for SPI
The following items may be considered as In-kind LCC:
+
LOCAL COUNTERPART CONTRIBUTION - CBIS
=
MUNICIPALITY LOCAL COUNTERPART CONTRIBUTION
FM CONDITIONS
❖Prior to Engagement
✔Local Counterpart Contribution Plan
✔LCC Delivery Plan for Cash
✔LCC Delivery Plan for In Kind
• After MOA Signing
✔Opening of Municipal Trust Account.
- All cash contributions are deposited in the Municipal
Trust Account.
LCC PLAN
• LCC PLAN – is the Work and Financial Plan of the Municipality
in the implementation of KALAHI CIDSS.
Certificate of Training
indicating date, venue
Food, supplies and other and number of
Actual cost of food and
facilities such as tables participants from the
supplies and equivalent Photocopy of Check
and chairs, venues, sound LCE and Barangay
rental rate of venues / DV, Attendance Sheet,
system, etc., provided Captain for municipal
sound system and other Minutes
during trainings, and barangay levels
amenities.
assemblies and meetings respectively;
Attendance Sheet;
Minutes
20 percent of basic salary Special Order of the Photocopy of Check,
of MLGU regular staff for 20 percent of monthly MLGU staff indicating DV, Payroll. (For those
services rendered during basic salary specific designation to with additional
Project Implementation. KC Project. Payroll. honorarium)
LCC FOR CBIS
Source Document
Form of LCC Basis of Cash Valuation
In-kind Cash
100% of the salary of the staff
MCT Salary (full Payroll with signature Photocopy of DV,
hired to render full time
time) of the staff Check, Payroll.
services to the program
Certification from the
Comparable rental rate in the
Office Space , LGU Treasurer that
locality for similar area, Photocopy of DV, Check
Furnitures and space and other
location and condition of the and other SD’s.
Fixtures amenities are
office and Amenities.
provided.
Approved and
Office Supplies and Acknowledged Photocopy of DV, Check
Actual Cost
Communication Request and Issue and other SD’s.
Slip
LCC FOR CBIS
Source Document
Form of LCC Basis of Cash Valuation
In-kind Cash
Transportation
Actual Cost / Equivalent cost of Photocopy of DV,
Allowance / Vehicles
vehicle rentals based on Approved Trip Tickets Check and other
provided for the
actual number of hours used. SD’s.(Itinerary..etc..)
Project
Certification from the
IT equipment LGU Accountant that Photocopy of DV,
Purchase Price / Book Value of
(Computer, Printer IT equipment are Check and other
the Equipment.
etc.) provided for Project SD’s.
staff
Recording of LCC
Procedures-Barangay Level
Activities Forms of Contributions
Assemblies
Tables and Chairs, Venue,
Trainings Sound System, Food…etc…
Meetings
LOCAL COUNTERPART CONTRIBUTIONS - CBIS
Procedure
BARANGAY DONOR MCT CEF
TREASURER Concurred the Prepares the
Accomplish Certificate VLCC
Certificate w/ SDs
LOCAL COUNTERPART CONTRIBUTIONS - CBIS
Procedure A/MCT MFA Reviews, assign
VLCC Number, Consolidates
all VLCC’s in LCC Journal
(Annex 8) and Summarizes
DONOR Concurs AC Approves in MLCC (Annex 7), and files
the VLCC the VLCC the documents at the ACT
Office.
DEPARTMENT OF SOCIAL WELFARE AND DEVELOPMENT
KALAHI CIDSS NCDDP
AT ION Barangay __VICO____________
T IFIC
CER
Municipality____MALITBOG___________
Province ________SOUTHERN LEYTE___________
TOTAL 3,300.00
PREPARED
ZENECA
BY: CONCURRED
SINUV __ BY:
BRGY.
Brgy. TREASURER
Treasurer DONOR
Brgy Chairperson
CDD-68: Fo rm
VLCC
K A LAHI-CIDSS NCDDP
Barangay : VICO
Municipality : MALITBOG
____________________________________________________________________
Particulars Amount
Account Title
Note: attach to this voucher, photocopy or duplicate copy of the source document.
Forums
LOCAL COUNTERPART CONTRIBUTIONS - CBIS
Procedure
MUNICIPAL
TREASURER DONOR A/MCT MFA
Accomplish Concurred the Prepares the
Certificate w/ SDs Certificate VLCC
LOCAL COUNTERPART CONTRIBUTIONS - CBIS
Procedure A/MCT MFA Reviews, assign
VLCC Number, Consolidates
all VLCC’s in LCC Journal
(Annex 8) and Summarizes
DONOR Concurs AC Approves in MLCC (Annex 7), and files
the VLCC the VLCC the documents at the ACT
Office.
FINANCIAL REPORT
SUBMISSION
WHEN TO SUBMIT REPORTS!