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Keta

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REPUBLIC OF GHANA

COMPOSITE BUDGET

FOR 2022-2025

PROGRAMME BASED BUDGET ESTIMATES

FOR 2022

KETA MUNICIPAL ASSEMBLY

1
Resolution by the Assembly

According to the Public Financial Management Act 2016, Act 921, Section 22, the
2022 Programme Based Budget was approved by the General Assembly at a
meeting held on TUESDAY, 26TH OCTOBER, 2021.

Compensation of Employees Goods and Service Capital Expenditure


GH¢3,096,866.93 GH¢1,183,189.77 GH¢4,377,708.30

Total Budget GH¢8,657,765.00

AMOS KWASI AMETSIMEY KODJOE DEKPO

(HON. PRESIDING MEMBER) (MUNICIPAL COORDINATING DIRECTOR)

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Table of Contents
PART A: STRATEGIC OVERVIEW OF THE ASSEMBLY .......................................................... 4

Establishment of the District ................................................................................................... 4

Population Structure ............................................................................................................... 4

Vision ..................................................................................................................................... 4

Mission ................................................................................................................................... 4

Goals ...................................................................................................................................... 4

Core Functions ....................................................................................................................... 5

District Economy .................................................................................................................... 6

Key Issues/Challenges ..........................................................................................................16

Key Achievements in 2021 ....................................................................................................17

Revenue and Expenditure Performance ................................................................................17

Adopted National Medium Term Development Policy Framework (NMTDPF) Policy Objectives
..............................................................................................................................................22

Policy Outcome Indicators and Targets .................................................................................23

Revenue Mobilization Strategies ...........................................................................................25

PART B: BUDGET PROGRAMME/SUB-PROGRAMME SUMMARY ........................................26

PROGRAMME 1: MANAGEMENT AND ADMINISTRATION .................................................26

PROGRAMME 2: SOCIAL SERVICES DELIVERY ...............................................................37

PROGRAMME 3: INFRASTRUCTURE DELIVERY AND MANAGEMENT ............................46

PROGRAMME 4: ECONOMIC DEVELOPMENT ..................................................................54

PROGRAMME 5: ENVIRONMENTAL MANAGEMENT .........................................................60

PART C: FINANCIAL INFORMATION ......................................................................................65

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PART A: STRATEGIC OVERVIEW OF THE ASSEMBLY
Establishment of the District
Keta Municipal, with Keta as the capital is one of the 18 Administrative Municipal / Districts
of the Volta Region of Ghana. It was carved out of the former Anlo District, which
comprised Akatsi and Ketu Districts. The Keta Municipal Assembly was established by
the Establishment Instrument 2018, L.I 2371.

Population Structure
In the 2021 Population Census, the total population of the Keta Municipality is 182,409 of
which 89,703 are males representing 49.2% and 92,706 are females representing 50.8%.

Vision
To be the Leading Performing District Assembly in Local Governance to achieve the
highest level of socio - economic development and a healthy environment in Ghana.

Mission
The Keta Municipal Assembly exists to harness all human and material resources in the
Municipality to improve the living conditions of the people by promoting effective and
efficient local governance and the provision of socio - economic infrastructure and
services in a healthy environment for accelerated development in the Municipality.

Goals
The goal of Keta Municipal Assembly is to have accelerated growth and sustainable local
economy towards poverty reduction. The following general and specific objectives are
geared towards the achievement of the goal.

General objectives;

1) To increase income and growth in all the sectors of the local economy of the
Municipality.
2) Expanding access to potable water and sanitation, health, housing and education.

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3) Arrest the falling standard of education especially in the basic level in the
Municipality.
4) Make all human settlement more accessible in terms of road infrastructure.
5) Ensuring environmental sustainability in the use of natural resources with focus
on environmental protection.
6) Providing enabling environment for public/ private partnership in the municipality.
7) Improving the delivery of social services to the vulnerable and excluded.
8) Making local governance more effective by strengthening the sub-structures of the
Assembly.
9) Improving active public participation, transparency and accountability in the use of
public funds and other national resources.
10) To promote and support tourism development in the municipality

Specific objectives

1) Improve environmental sanitation


2) Reduce flooding and related issues
3) Improve educational infrastructure and performance
4) Improve health infrastructure and health care delivery
5) Improve road network
6) Improve land management and development control
7) Enhance social accountability and citizenry participation in local governance
8) Enhance Local Economic Development

Core Functions
Enshrined in the Local Governance Act, 2016, Act 936, the core functions of the Keta
Municipal Assembly are listed below;

 Responsible for the overall development of the Municipality and shall ensure the
preparation and submission of composite budget and other reports through the
Regional Coordinating Council.

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 Formulation and execution of plans, programmes and strategies for the effective
mobilization of the resources necessary for the overall development of the district;
 Promote and support productive activity and social developments in the
Municipality and remove any obstacles to development
 Initiation of programmes for the development of basic infrastructure and provide
Municipal works and services;
 Responsible for the development, improvement and management of human
settlements and the environment in the Municipality
 Produce manpower needs of the district especially in the social sectors of
education and health, making sure that the sponsorship is fairly and equitably
balanced between male and female students;
 Initiate programmes for the development of basic infrastructure and provide
municipal works and services in the district;
 Responsible for the development, improvement and management of human
settlements and the environment in the district; in co-operation with the appropriate
national and local security agencies, be responsible for the maintenance of
security and public safety in the district;
 Ensure ready access to courts in the district for the promotion of justice;
 act to preserve and promote the cultural heritage within the district;
 Initiate, sponsor or carry out studies that may be necessary
 For the discharge of any of the duties conferred by this Act or any other enactment;
and perform any other functions that may be provided under another enactment.

District Economy
Keta Municipality is mainly an agrarian economy, with the majority of the population
engaged in crop farming, livestock keeping, fishing and other agriculture related activities
and trading. A wide range of industrial activities has been identified in the Municipality. All
the industries, which are small scale, are owned and managed mainly by sole proprietors.
The Keta Municipality has great potential for some categories of industries. Some of these
include Ceramics Industry and Salt Production.

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 Agriculture
1. Crop Production
The Municipality is one of the major vegetable producers in the Volta Region. It is well
known for its shallots, which are produced in the flood plains along the Angaw and Keta
Lagoons and streams. Other vegetables such as okro, tomato and pepper are also
extensively cultivated either as pure stands or as intercrops depending upon the season,
with the alluvial soils along the lagoons providing very ideal sites for their production. The
new developed technology of tube well irrigation has given a new impetus in the
production levels of previously unknown crops and horticulture in the Municipality.
2. Maize and Cassava
Maize and Cassava are also grown as off-season crops, along the littoral but as main
season crops in the northern parts of the Municipality. Coconut is also cultivated along
the littoral even though it is no more the main source of income for the people as it used
to be some years ago as a result of the Cape St Paul Wilt Disease, which appeared in
the Municipality in the Woe area around 1932 and devastated large numbers of trees and
still causing havoc.
3. Coconuts
Coconuts are also grown in the inland parts of the Municipality around Afiadenyigba,
Atiavi, Hatorgodo, Atsiame and Dorveme areas. Sugarcane is also a major crop
extensively cultivated in the flood-prone mid-western parts of the Municipality, with the
following major producing areas; Atiavi, Hatorgodo. Cowpea is also a major crop grown
in the northern parts of the Municipality around Abor, Weme and other surrounding towns
during the main cropping season. It is also grown along the littoral during off seasons as
green manure. Sweet potato is one of the crops found all over the Municipality; however,
the northern part of the Municipality grows it more extensively.
4. Rice Production
Rice production is also feasible in the flood prone northern parts of the Municipality where
rich alluvial soils are abundant. By creating dugouts and dams to control the flood waters,
land can be freed from annual flooding and this can be put to rice production. It is
estimated that, more than 2000 hectares can be made available for rice production, with
trapped water being used for irrigating the fields.

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5. Sugarcane Production
It constitutes the major crop currently grown in the flood prone areas of the Municipality,
stretching from Hatorgodo to Atiavi. Over 20km² of land is available for cultivation in the
area. Currently an estimated 200,000mt of sugarcane is produced annually, and is
processed into local gin “Akpeteshie”. This yield can be doubled or tripled if the
floodwaters and wild fires are controlled.
6. Coconut Production
With the introduction of a variety resistant to the Cape St. Paul Wilt Disease into the
Municipality, hope has come for rejuvenating the industry. It is possible to restore these
plantations in order to revive a very important industry that used to support a large number
of people.
7. Vegetable Production
Increased irrigation can make more land available for vegetable production, along the
littoral and in the northern parts of the district, including the flood plains around Hatorgodo,
laworshime and Atiavi areas.

Distribution of Crops Cultivated in the Municipality

Major Production in 2019 (Metric Production in 2020 (Metric Production in as at


crops Tonnes) Tonnes) September 2021 (Metric
cultivated Tonnes)
in the
District
M F Total M F Total M F Total

Maize 2,596 982 3,578 2,532 422 2,954 1,853 717 2,570
Cowpea 1,829 654 2,483 1,953 809 2,762 1,756 638 2,394
Cassava 7394 3,398 10,792 8,546 3,881 12, 427 8,423 1,113 9,536
Sweet 2,975 872 3,847 3,752 780 4,532 2,587 1,091 3,678
potato
Pepper 1,257 537 1,794 1,365 513 1,878 1,235 301 1, 536
Tomato 3,857 739 4,596 3,286 1,593 4,879 3,019 1,777 4,796
Source: Department of Agriculture – Keta Municipal, 2021

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Distribution of Crops Cultivated in the Municipality
Major Crops Production In 2019 Production In 2020 Production In 2021 As
Cultivated In The (Metric Tonnes) (Metric Tonnes) At September (Metric
Municipality Tonnes)
Maize 3,578 2,954 2,570
Cowpea 2,483 2,762 2,394
Cassava 10,792 12,427 9,536
Sweet potato 3,847 4,532 3,678
Pepper 1,794 1,878 1,536
Tomato 4,596 4,879 4,796
Source: Department of Agriculture – Keta Municipal, 2021

Distribution of farmers that benefited from Planting for Food and Jobs (PFJ)

NUMBER OF FARMERS THAT BENEFITED FROM PLANTING FOR FOOD AND JOBS (PFJ)
Year Male Female TOTAL
2019 5,675 1,528 7,203
2020 5,074 3,226 8,300
Source: Department of Agriculture – Keta Municipal, 2021

Distribution of Farmers That Benefited from Planting for Export and Rural Development
(PERD)
NUMBER OF FARMERS THAT BENEFITED FROM PLANTING FOR EXPORT AND RURAL
DEVELOPMENT (PERD)
Year Type of Quantity Beneficiaries TOTAL
Seedling Supplied Male Female
2019 Coconut 4,000 76 25 101
2020 Coconut 1,500 55 17 72
2021 (As At
Coconut 450 24 3 27
September)
Mango 650 34 3 37
Source: Department of Agriculture – Keta Municipal, 2021

 Road Network
Road Network within the Municipality is as follows:
Road Network within the Municipality
S/N TYPE OF ROAD KM PERCENTAGE
(%)
1 Tarred 112 41
2 Untarred 160 59
TOTAL 272 100

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 Energy
The Electricity Company of Ghana District Office is located at Keta with bulk supply station
at Anloga. Almost all the major towns in the Municipality have access to electricity. What
is critical now is expansion in the major towns and communities yet to be hooked on.

 Health
The Municipality has been divided into three (3) health sub-municipal namely Keta,
Anyako, and Shime for effective management. Health activities are carried out in the
Municipality by Ghana Health Service, Private and Christian Health Association of Ghana
which operates a catholic hospital at Abor Weme, and E.P. Church Health Centre at
Hatorgodo.

Categories of Health Facilities and Their Status

No. Categories Number Status of the Facility


1 RCH/FP Static Clinics 11 All Are Functioning
3 Are Functioning And 1 is Not
2 CHPS Compounds 4 Functioning

3 Private Maternity Homes 1 Functioning

4 Private Clinics 3 All are Functioning

5 Health Centers 5 They Are All Functioning


Christian Health Associations
6 (Health Centre) 1 Functioning (located at Hatogodo)

7 Polyclinics 0 N/A

8 Quasi Government Institutions 0 N/A


Christian Health Associations
9 Hospital 1 Functioning (Abor Sacred Heart)

10 Government Hospital 1 Functioning (Keta Municipal Hospital)


Total 27
Source: Municipal Health Directorate – Keta, 2021

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 Education
Data on Keta Municipal Education Service schools by level of education.

Data on schools by level of education

S/N TYPE OF EDUCATIONAL INSTITUTION NUMBER AVAILABLE

1. KINDERGATTEN 41

2. PRIMARY 41

3. JUNIOR HIGH SCHOOL 38

4. SENIOR HIGH SCHOOL 7

TOTAL 127

Source: Ghana Education Service – Keta Municipal, 2021

 Market Centres
There are five main markets in the municipality namely: Keta, Abor, Afiadenyigba,
Atiavi, and Anyako. There are also some few satellite markets such as the Kolebu
market around. Market days are arranged in every 5 days in reversal. These are areas
one can get Keta School boys fish, salt, farm produce such as okro, tomatoes, onions
and shallots. Animals such as duck, local fowls and turkeys. Traders from Tema,
Elmina, Lome and Accra patronize these market especially Keta.

 Water and Sanitation


Households in the municipality access drinking water from five main sources. These
include pipe-borne, river/stream, well, dugout and borehole. Pipe borne water forms the
major source of domestic water supply to 91.2 percent of households in the Municipality.
However, 71.5% has access to safe drinking water where as 28.5% of households in the
municipality use unsafe water as shown in the table below;

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Water Sources
No. Sources of water Remarks %

1 Pipe-Borne Outside Dwelling Safe drinking water 40.5%

2 Pipe-Borne Inside Dwelling Safe drinking water 9%

3 Public Tap Or Standpipes Safe drinking water 22%

4 Use Protected Wells For Domestic Purposes Safe drinking water 23.5%

5 Use unprotected well for domestic activities Unsafe drinking water 20%

Sanitation

The Environmental Health Unit handles both liquid and solid waste disposals in the
municipality.

Distribution of Communities with Household Latrines

S/N ZONAL COUNCIL NUMBER OF NUMBER OF


COMMUNITIES HOUSEHOLD
LATERINES

1 KETA 8 514
2 AFIADENYIGBA 9 260
3 WASHA – WEGO 20 435
4 ANYAKO 11 230
5 TSIAME/ASADAME 8 188
6 ATIAVI 13 256
7 DZELUKOPE 7 774
TOTAL 76 2,657
Source: Environmental Health Unit – Keta Municipal, 2021

 Tourism
As a low lying coastal plain with the highest point only 53 metres above sea level
interspersed with lagoons, creeks and mangrove forests, the Keta Municipality offers a
great potential for tourism development in the country. With the recent expansion in tourist
receptive facilities, one expects a corresponding increase in tourist attractions like the
development of water sports, coconut grooves, cultural tourism and many others. The
main tourists’ sites in the municipality include:

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Nesting of Sea Turtles

The Beach or the Coastline between Anloga and Dzita and much especially around
Dakordzi and Akplorwotorkor records a lot of Seasonal Sea Turtles which come on-shore
to lay eggs for hatching. The scene is so interesting and attractive to watch during the
months of August-March.
Lagoons
The lagoons also provide calm water bodies for cruising and other water sports (Dragon
boat). Three major lagoons are found in the Municipality, namely Keta, Angaw and Avu.
The Keta Lagoon is the largest in the country and has several islands such as Seva, Dudu
and Xevi Kpodzi (bird sanctuary). The lagoons offer opportunities for angling since they
are rich in tilapia, mudfish and others such as crabs, shrimps and scallop.

Mangrove Swamps

Mangrove is a fuel wood used for domestic and commercial activities in Ghana and it is
common along the coastal areas. They are known to have a significant ecological function
including flood control and enhancement of fish production. Before the construction of the
Volta Dam the mangroves in the keta basin served their typical ecological functions. That
is the people depended mainly on farming and fishing with only a subsistence harvesting
of mangroves for household purposes.
Along the main Angaw, Avu and part of Keta lagoon are very extensive stretches of
mangrove swamps. Opportunities exist for visitors to cruise through the creeks within the
mangrove forest or for purposes of research.

Ramsar Site

The Anlo- Keta wetlands have been designated Ramsar Site, because it provides
sanctuaries for several birds including migratory and resident ones, especially water
fowls. It is said that the Anlo- Keta Ramsar Site is at the crossroad of several thousands
of migratory birds that fly the Mediterranean and the South-Atlantic flyway. Some of the
birds which nest, rest, feed and breed there include the various types of terns and gulls.

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There is, therefore, the great need for the construction of bird watching towers to attract
more tourists into the Municipality.
The Keta RAMSAR site is losing its ecological importance and ability to provide
ecosystem services upon which the locals living within the site depend. The threats to
both livelihoods and the ecosystems have been due to socio-cultural, socio-economic,
political and environmental factors such as unsustainable resources management
practices, climate change among others. These factors have been increasing gender
inequalities and causing women to lose access to resources.

Sandy Beaches:

The Keta Municipality is blessed with several kilometres of very clean and unique golden
beaches in the country which can offer places of relaxation to tourists. The beaches
drenched in brilliant sunshine have sands ranging from fine to coarse grained types. The
coconut clad sandy beaches are interspersed with bare sandy surfaces stretching from
Azizanu to Dzelukope near Keta.

Festivals:

The main festival is the Hogbetsotso, which symbolizes the great exodus of Ewes from
their ancestral home, Notsie, to their present abode around the 15 th Century. The
Hogbetsotso Festival, which is celebrated at Anloga, the traditional home of the Anlos,
attains a grand final with a durbar of Chiefs and people amidst pomp and pageantry on
the first Saturday of every November. During such festivals, religious cults are displayed
through some magical performances. Such cults include the Korku, Yewe and Afa cults.
One interesting feature is to see the members of Korku cult cut themselves without effect
with sharp knives.

Fort Prinzenstein

This Danish Fort build in 1784 at Keta is one of the most spectacular relics of colonialism
in the Municipality. It played a key role in the infamous triangular slave trade involving
West Africa, England and North America. Efforts need to be made to save this important

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historical monument from total destruction by sea waves and to preserve it as an
important tourist resort. The Keta Sea Defence Project has greatly saved the Fort from
further destruction and still has a story to tell.

Anlo Military Headquarters, Tsiame

This is yet another important tourist spot where the Anlos during their historical wars
gathered to plan war strategies against their enemies. It is located at Tsiame, north of
Keta and at that very spot today, stands a grove, which tourists can visit.

Tourism Infrastructure
There are a lot of Hotels and Guesthouses in the Municipality which includes the following:
Abutia Guest House, Keta Beach Hotel, Agblor Lodge, Aborigines at Dzelukope, Sitsofe
Guesthouse at Abor, Harmony Hotel at Anyako etc.

Tourist Sites and Their Locations in the Municipality


S/N Tourist Sites Location

1 Hogbetsotso Festival Keta


2 Fort Prinzenstein Keta
3 Aborigines Beach Resort Keta
4 Anlo Military Headquarters Tsiame
5 Keta Sea Defence Site Vodza-Adzido, Kedzi
6 Keta Lagoon Salt Pond Havedzi
7 Togbi Tsali Shrine Tsiame
8 Chief Coronation Site Tsiame
Awasadame-Tsiame
9 Natural Salt Production Anlo Afiadenyigba, Anyako
10 Nesting Of Sea Turtles Keta
11 Mangroove Swamp Keta
12 Sandy Beaches Keta
Source: Department of Trade & Industry (NBSSI/BAC) – Keta Municipal, 2021

 Forestry

Keta Lagoon Complex Ramsar Site is managed by the Forestry Commission through its
Wildlife Division.

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It is the largest Ramsar site in Ghana covering an area of 530 km 2. It is located within 5
Districts namely Anloga, Keta, Akatsi South, Ketu South and South Tongu. It was
designated as a Ramsar Site in 1992. The site is gazetted and has a management plan.

Fauna (animals), worthy to mention in the Ramsar site includes, migratory water birds,
manatees, Western Sitatunga (amphibious antelope) and 3 species of threatened marine
turtles namely leatherback, olive-ridley and green turtle. Flora (plants) includes
mangroves and reeds.

Management practices within the Ramsar site include Building Capacity of Stakeholders,
Habitat restoration/rehabilitation, Public Education and Awareness rising, Law
Enforcement, Biodiversity Monitoring and Collaborative Resource Management.

Schools and Communities that were supplied and aided to plant mangroves and assorted
tree seedlings.

NAME OF COMMUNITY TREE/MANGROVE SPICES QUANTITIES SUPPLIED


SUPPLIED
DZELUKOPE ACACIA 250
VUI ACACIA 250
TETEKOFE ACACIA 500
TOTAL 1,000
Source: Department of Natural Resources Conservation Dept Forestry Game & Wildlife
Division – Keta, 2021

I. Key Issues/Challenges
II. Poor quality and inadequate road network.
III. Lack of proper site for disposal of human excreta.
IV. Lack of final disposal site.
V. Inadequate means of transportation for technical staff.
VI. Inadequate residential accommodation for staff.
VII. Dilapidated office structure for veterinary unit.
VIII. Dilapidated structure of slaughter house.

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Key Achievements in 2021
• Increased tomatoes, shallots, okro, etc production.

• Female farmers trained on gari processing at Abor Zone.


• Fumigation and Extensive clean up exercises carried out against Corona Virus
pandemic and others throughout the Municipality.
• 1,250 food Vendors screened to enhance food safety.
• Trees/mangroves species supplied to communities ie. Vui and Abutiakope.
• 2,657 number Household latrines constructed.
• Gravelling and continuation of culvert on Mambo road.
• Radio education and school engagements on climate change adaptation carried
out.

Farmer’s forum and farm visit by Agric Extension Agents

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Trees/mangroves species supplied to Vui and other communities

Female farmers trained on Gari processing at Abor Zone

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Revenue and Expenditure Performance
The Revenue received and Expenditure incurred by the Municipality is as follows:

Revenue
Table 1: Revenue Performance – IGF Only
REVENUE PERFORMANCE – IGF ONLY
ITEMS 2019 2020 2021 %
performanc
e as at
July, 2021

Budget Actuals Budget Actuals Budget Actuals as


at July
Property
Rates 104,387.5
80,000.00 58,556.25 80,000.00 0 94,110.00 11,000.00 11.69
Other
Rates
1,500.00 1.00 1,500.00 - 200.00 - -
Fees 278,830.0 218,621.9 278,830.0 159,803.5 164,582.2
0 5 0 5 3 41,284.85 25.08
Fines
1,300.00 - 1,300.00 - 7,800.00 - -
Licences 176,000.0 139,960.4 176,000.0 213,419.8 221,665.0
0 9 0 5 0 42,298.50 19.08
Land
56,207.00 20,196.75 56,207.00 88,159.50 14,500.00 35,188.84 242.68
Rent 134,854.8
70,200.00 25,784.00 70,200.00 57,410.00 5 2,096.00 1.55
Investme
nt
25,000.00 9,000.00 25,000.00 - 10,000.00 - -
Total 689,037.0 472,120.4 689,037.0 623,180.4 647,712.0 131,868.1
0 4 0 0 8 9 20.36

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Table 2: Revenue Performance – All Revenue Sources
REVENUE PERFORMANCE – All Revenue Sources
ITEMS 2019 2020 2021 %
performa
nce as at
July,
2021
Budget Actuals Budget Actuals Budget Actuals as
at July

689,037.0 472,120.4 689,037.0 623,180.4 647,712.0 131,868.1


IGF 0 4 0 0 8 9 20.36
Compensat
ion 2,233,218 1,972,452 2,233,218 2,420,238 2,302,554 1,173,580
Transfer .00 .71 .00 .79 .36 .57 50.97
Goods and
Services 180,140.0 178,534.8
Transfer 90,000.00 9 90,000.00 5 88,290.00 61,579.29 69.75
Assets
Transfer - - - - - - -

4,197,673 2,105,892 4,197,673 2,283,975 3,841,373 150,998.0


DACF .33 .78 .33 .28 .00 2 3.93SS

DACF-RFG - - - - - - -
247,770.0
MAG 50,000.00 0 50,000.00 - 80,811.00 38,473.38 47.61
UDG 200,000.0 147,190.8 200,000.0
Transfer 0 9 0 - - - -
MP Social
Interventio 600,000.0 600,000.0 780,000.0
n Fund 0 80,000.00 0 80,000.00 0 - -
Secondary
Cities - - - - - - -

774,000.0 580,061.0 774,000.0 1,008,675 822,763.4 622,403.0


DPAT 0 0 0 .94 0 0 75.65
8,833,928 5,785,627 8,833,928
Total 6,594,605 8,563,503 2,178,902
.33 .91 .33
.26 .84 .45 25.44

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Expenditure

Table 3: Expenditure Performance-All Sources


EXPENDITURE PERFORMANCE (ALL DEPARTMENTS) ALL FUNDING SOURCES
Expenditur 2019 2020 2021 % age
e Performa
nce (as at
July,
2021)
Budget Actual Budget Actual Budget Actual as
at July,
2021
Compensat
ion 2,233,218 1,972,452 2,233,218 2,420,238 2,302,554 1,173,580
.00 .71 .00 .79 .36 .57 50.97
Goods and
Service 179,930.2 174,317.0
90,000.00 9 90,000.00 4 88,290.00 61,579.29 69.75
Assets
- - - - - - -
Total 2,323,218 2,152,383 2,323,218 2,594,555 2,390,844 1,235,159
.00 .00 .00 .83 .36 .86 51.66

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REVENUE

Table 3: REVENUE-All Sources


Revenue 2021 2022 2023 2024 2025
Budget Actual Budget Budget Budget Budget

Compensatio
n 2,302,554.3 1,173,580.5 3,096,866.9 3,096,866.9 3,096,866.9 3,096,866.9
6 7 3 3 3 3
Goods and 1,183,189.7 1,183,189.7 1,183,189.7 1,183,189.7
Service 88,290.00 61,579.29 7 7 7 7
Assets 4,377,708.3 4,377,708.3 4,377,708.3 4,377,708.3
- - 0 0 0 0
Total 2,390,844.3 1,235,159.8 8,657,765.0 8,657,765.0 8,657,765.0 8,657,765.0
6 6 0 0 0 0

Adopted Medium Term National Development Policy Framework (MTNDPF) Policy


Objectives
S/N ADOPTED POLICY OBJECTIVE BUDGET ALLOCATION

1 Compensation of Employees 3,151,367


2 strengthen domestic resource mobIilzation 73,849
3 Increase access of SMEs to financial service 143,601
4 Devise and implement policies to promote sustainable 20,000
tourism
5 Promote implementing of forests, halt deforestation 5,000
6 Facilitate sustainable and resilient infrastructure dev 607,055
7 Enhance inclusive urbanization & capacity for settlement 212,974
planning
8 Reduce vulnerability to climate-related events and disasters 70,000
9 Deepen political and administrative decentralisation 1,130,899
10 Enhance capacity for high-quality, timely and reliable data 23,500
11 Ensure free, equitable and quality education for all by 2030 1,365,527
12 Ach. Universal health coverage, incl. fin. risk protection 315,000
access to qual. health-care services
13 End epidemics of AIDS, TB, malaria and trop. Diseases by 42,433
2030
14 End hunger and ensure access to sufficient food 254,595
15 Achieve universal and equitable access to water 650,000
16 Achieve access to adequate and equitable Sanitation and 591,964
hygiene
TOTAL 8,657,765.00

22
Policy Outcome Indicators and Targets

Table 4: Policy Outcome Indicators and Targets


Outcome Unit of Baseline Past Year Latest Status Medium Term Target
Indicator Measure 2019 2020 2021
Descriptio
Targ Actu Targ Actu Targ Actu 2022 2023 2024 2025
n
et al et al et al as
at
July
Functional No. of 8 5 8 5 8 5 8 8 8 8
ity of office
office equipmen
equipmen t
t, functional
electrical
accessori
es and
official
vehicle
maintaine
d

Efficiency No. of 12 8 12 8 12 6 12 12 12 12
of trainings
Technical organized
staff for staff
enhanced
through
more
relevant
trainings
IGF Amount of 518, 518, 518, 518,
689, 472, 689, 623,
Revenue IGF 647, 131, 006. 006. 006. 006.
037. 120. 037. 180.
mobilizati revenue 712. 868. 77 77 77 77
00 44 00 40
on mobilized 08 19
District Annual 2 2 2 2
level action
participato plan and
ry Composit
2 2 2 2 2 2
planning e Budget
and document
budgeting s
improved prepared
Employee Number 12 12 12 12
data base of reports
managem generated
ent and 12 12 12 12 12 7
maintaine
d on
HRMIS
Business Number 20 20 20 20
20 10 20 10 20 5
adopting of

23
new business
technolog adopting
y new
technolog
y
New Jobs No. of 15 15 15 15
Created New Jobs 20 12 20 10 20 7
Created

New No. of 15 15 15 15
Business New
Establishe Business 20 12 20 10 20 7
d Establishe
d

Businesse No. of 15 15 15 15
s Businesse
Diversifyin s 20 5 20 5 20 5
g Product Diversifyin
g Product

District Number 4 4 4 4
Response of reports
4 4 4 4 4 2
on
HIV/AIDS
Habitat Tree 60,0 60,0 60,0 60,0
restoratio seedlings 00 00.0 00.0 00.0
20,0 16,0 30,0 20,0 80,0 50,0
n raised 0 0 0
00 00 00 00 00 00
and
planted

Ecological Monthly 12 12 12 12
monitorin monitorin
g and law g of water
enforcem birds,
ent marine
12 12 12 12 12 12
turtles
and water
quality
measure
ment.
Sensitizati Sensitized 8 8 8 8
on and and
awarenes increased
s raising awarenes
on s on
wetlands wetlands 8 6 8 4 8 5
values/en values/en
vironment vironment
al al
preservati preservati
on on

Efficiency Number 12 12 12 12
of of 12 8 12 8 12 6
technical

24
staff trainings
enhanced organized
through
relevant
trainings

Revenue Mobilization Strategies


Revenue Heads Strategy
Rates Valuation and revaluation of properties

Funding for street naming and property addressing

Prompt printing and distribution of bill by January.

Charges, Fees and Allocation of budget lines to upgrade facilities.


Fines
Upgrade revenue triggers.

Public education campaign on revenue

Licenses Establish a taskforce to identify defaulting businesses and


collect BOP arrears
Lands Development control
Rent Review of all tenancy agreements and document them

25
PART B: BUDGET PROGRAMME/SUB-PROGRAMME SUMMARY

PROGRAMME 1: MANAGEMENT AND ADMINISTRATION

Budget Programme Objectives


 Deepen political and administrative decentralisation
 Strengthen domestic resource mobilization
 Achieve access to adequate and equitable Sanitation and hygiene
 Enhance capacity for high-quality, timely and reliable data

Budget Programme Description


The program seeks to perform the core functions of ensuring good governance and
balanced development of the District through the formulation and implementation of
policies, planning, coordination, monitoring and evaluation in the area of local
governance.

The Program is being implemented and delivered through the offices of the Central
Administration and Finance Departments. The various units involved in the delivery of the
program include; General Administration Unit, Budget Unit, Planning Unit, Accounts
Office, Procurement Unit, Internal Audit and Records Unit.

A total staff strength of ninety-four (58) is involved in the delivery of the programme. They
include Administrators, Budget Analysts, Accountants, Planning Officers, Revenue
Officers, and other support staff (i.e. Executive officers, and drivers). The Program is
being funded through the Assembly’s Composite Budget with Internally Generated Fund
(IGF) and Government of Ghana transfer such as the District Assemblies’ Common Fund
and District Development Facility.

26
SUB-PROGRAMME 1.1 General Administrations

Budget Sub-Programme Objective


 Deepen political and administrative decentralisation
 Achieve access to adequate and equitable Sanitation and hygiene

Budget Sub- Programme Description


The General Administration sub-programme looks at the provision of administrative
support and effective coordination of the activities of the various departments through the
Office of the Municipal Co-ordinating Director. The sub-programme is responsible for all
activities and programmes relating to general services, internal controls,
procurement/stores, transport, public relation and security.

The core function of the General Administration unit is to facilitate the Assembly’s
activities with the various departments, quasi institution, and traditional authorities and
also mandated to carry out regular maintenance of the Assembly’s properties. The
Internal Audit Unit is authorized to spearhead the implementation of internal audit control
procedures and processes to manage audit risks, detection and prevention of
misstatement of facts that could lead to fraud, waste and abuse to the Assembly.

Under the sub-programme the procurement processes of Goods and Services and Assets
for the Assembly and the duty of ensuring inventory and stores management is being led
by the Procurement/Stores Unit.

The number of staff delivering the sub-programme is Eight (8) officers with funding from
GoG transfers and the Assembly’s Internally Generated Fund (IGF). Beneficiaries of this
sub-program are the departments, Regional Coordinating Council, quasi institutions,
traditional authorities, non-governmental organizations, civil society organizations and the
general public.

The challenges this sub programme will encounter are inadequate, delay and untimely
release of funds, inadequate office space, and non-decentralization of some key
departments.

27
Table 5: Budget Sub-Programme Results Statement
Main Output Past Years Projections
Outputs Indicators
2020 2021 as 2022 2023 2024 2025
at July

Organize Number of
quarterly quarterly
managemen meetings 4 4 4 4 4 4
t meetings held
annually
Number of
Response to working 5 5 5 5 5
public days after 5
complaints receipt of
complaints
Annual Annual
Performance Report 23rd 30th 29th 28th 30th 30th
Report submitted January January January January January January
submitted to RCC by
Procurement 28TH 30th 30th 30th 30th
Compliance Plan November November November November November 30th
with approved by November
Procurement Number of
procedures Entity 4 2 4 4 4
Tender 4
Committee
meetings
World Toilet Number of 1 0 1 1 1
Day minutes 1
celebrated

Budget Sub-Programme Standardized Operations and Projects

Table 6: Budget Sub-Programme Standardized Operations and Projects


Standardized Operations Standardized Projects

Internal Management of the Organization Procurement of office equipment and logistics

Administrative and Technical Meetings Repair of Hon. MCE’s official vehicle

Environmental sanitation Management Purchase of Pick up vehicle (Toyota Hilux)

Official / national celebrations

28
SUB-PROGRAMME 1.2 Finance and Audit

Budget Sub-Programme Objective


 Strengthen domestic resource mobilization

Budget Sub- Programme Description

This sub-programme provides effective and efficient management of financial resources


and timely reporting of the Assembly finances as contained in the Public Financial
Management Act, 2016 (Act 921) and Financial Administration Regulation, 2004. It also
ensures that financial transactions and controls are consistent with prevailing financial
and accounting policies, rules, regulations, and best practices.

The sub-program operations and major services delivered include: undertaking revenue
mobilization activities of the Assembly; keep, render and publish statements on Public
Accounts; keep receipts and custody of all public and trust monies payable into the
Assembly’s Fund; and facilitates the disbursement of legitimate and authorized funds.

The sub-programme is manned by eleven (15) officers comprising of seven (7) Finance
officers, Four (4) Revenue Officers and Commission collectors and four (4) Internal Audit
Officers with funding from GoG transfers.

The beneficiaries of this sub- program are the departments, allied institutions and the
general public. This sub-programme in delivering its objectives is confronted by
inadequate office space for accounts officers, inadequate data on ratable items and
inadequate logistics for revenue mobilization and public sensitization.

29
Table 7: Budget Sub-Programme Results Statement
Main Outputs Output Past Years Projections
Indicators
2020 2021 as 2022 2023 2024 2025
at July

Revenue collection Number of


and accounting Monthly Audit
of value books 12 12 12 7 12 12
and Bank
statements
Quarterly audit of Number of
Financial and quarterly audit
4 4 4 2 4 4
Performance carried out
activities
Findings in Number of
management letters follow-up 2 2 2 2 2 2
from Audit Service. exercises
Annual and Monthly Annual 31st
Financial Statement Statement of 28th - 31st 31st 31st March.
of Accounts Accounts Feb. March March March
submitted. submitted by
Number of
monthly
Financial 12 12 12 12 12 12
Reports
submitted
Annual and Monthly Annual 31st
Financial Statement Statement of 28th - 31st 31st 31st March.
of Accounts Accounts Feb. March March March
submitted. submitted by
Number of
monthly
Financial 12 12 12 12 12 12
Reports
submitted

Budget Sub-Programme Standardized Operations and Projects

Table 8: Budget Sub-Programme Standardized Operations and Projects


Standardized Operations Standardized Projects

Internal management of the organisation

Administrative and technical meetings

30
SUB-PROGRAMME 1.3 Human Resource Management

Budget Sub-Programme Objective


 Deepen political and administrative decentralisation

Budget Sub- Programme Description


This sub-program seeks to ensure higher productive capacity of the staff of the Assembly
and to foster a healthy relationship between staff of the Assembly and its stakeholders as
well as creating a cordial, healthy and good working environment.

Currently, the staff strength of the Department of Human Resource Management is two
(2). Implementation of the sub-program will be spread across the four (4) quarters in the
year.

The beneficiaries of the sub-program include: All Staff of the Assembly (Established and
Casual, National Service Personnel and Interns), the General Assembly (Assembly
members, Members of Zonal Councils, Unit) and other stakeholders. The sources of fund
for this sub-program include the DACF, DPAT, IGF and GoG.

The challenges faced by the department include: Inadequate logistics (computers, printer,
office chairs, files, external hard-drives for backup etc.).

Table 9: Budget Sub-Programme Results Statement


Main Outputs Output Past Years Projections
Indicators
2020 2021 as 2022 2023 2024 2025
at July

No. of staff
58 25 115 115 115 115
trained
Training programs
organized for staff No. Activities
2 2 3 3 3 3
organised

HRMIS Reports No. of reports


12 7 12 12 12 12
prepared submitted
Monthly Staff No. of staff
12 7 12 12 12 12
Validation validation
Performance
No. of staff
Appraisals 40 30 106 106 106 106
appraised
conducted

31
No. of staff at
Staff Strength 110 106 106 106 106 106
post

Budget Sub-Programme Standardized Operations and Projects

Table 10: Budget Sub-Programme Standardized Operations and Projects


Standardized Operations Standardized Projects

Personnel and Staff Management

Procurement of office supplies and consumables

32
SUB-PROGRAMME 1.4 Planning, Budgeting, Coordination and Statistics

Budget Sub-Programme Objective


 Enhance capacity for high-quality, timely and reliable data

Budget Sub- Programme Description


The sub-programmes coordinate policy formulation, preparation and implementation of
the District Medium Term Development Plan, Monitoring and Evaluation Plan as well as
the Composite Budget of the Municipal Assembly. The main sub-program operations
include;
 Preparing and reviewing Municipal Medium Term Development Plans, M& E
Plans, and Annual Budgets.
 Managing the budget approved by the General Assembly and ensuring that
each program/project uses the budget resources allocated in accordance with
their mandate.
 Co-ordinate and develop annual action plans, monitor and evaluate
programmes and projects
 Periodic monitoring and evaluation of entire operations and projects of the
Assembly to ensure compliance of rules, value for money and enhance
performance.
 Data collection
 Organizing stakeholder meetings, public forums and town hall meetings.
Seven (7) officers will be responsible for delivering the sub-programme comprising (1)
Principal Planning Officer, one (1) statistician, one (1) Senior Budget Analyst, two (2)
Assistant Budget Analyst and two (2) Assistant Budget Officer.

The main funding source of this sub-programme is GoG transfer and the Assembly
Internally Generated Funds. Beneficiaries of this sub- program are the departments, allied
institutions and the general public. Challenges hindering the efforts of this sub-
programme include inadequate office space for Budget and Planning officers, inadequate
data on ratable items and inadequate logistics for public education and sensitization.

33
Table 11: Budget Sub-Programme Results Statement
Main Outputs Output Past Years Projections
Indicators
2020 2021 2022 2023 2024 2025
as at
July
Business Data Number of - 70 100 100 100 100
Collection Business Data
collected
Administrative Number of Data - 25 40 40 40 40
Data Collected
Composite Composite Action 30th 30th 30th 30th
Budget Plan and Budget 30th - October October October October
prepared approved by October
based on General Assembly
Composite
Annual Action
Plan
Social Number of Town 4 4 4
Accountability Hall meetings 3 1 4
meetings held organized
Compliance % expenditure 100 100 100 100
with budgetary kept within budget 100 65
provision
Monitoring & Number of
Evaluation quarterly 4 2 4 4 4 4
monitoring reports
submitted
Annual Progress 28th Feb
Reports submitted 28th Feb 28th Feb 28th Feb 28th Feb 28th
to NDPC by Feb

Budget Sub-Programme Standardized Operations and Projects

Table 12: Budget Sub-Programme Standardized Operations and Projects


Standardized Operations Standardized Projects

Internal management of the organisation

Citizen participation in local governance

Plan and budget preparation

Monitoring and evaluation of programmes and


projects

Data collection

Budget preparation and Coordination

Personnel and Staff Management

34
SUB-PROGRAMME 1.5 Legislative Oversights

Budget Sub-Programme Objective


 To ensure full implementation of the political, administrative and fiscal
decentralization reforms.

Budget Sub- Programme Description


This sub-programme formulates appropriate specific district policies and implement them
in the context of national policies. These policies are deliberated upon by its Zonal
Councils, Sub-Committees and the Executive Committee. The report of the Executive
Committee is eventually considered, approved and passed by the General Assembly into
lawful district policies and objectives for the growth and development of the district.

The office of the Honourable Presiding Member spearheads the work of the Legislative
Oversight role and ably assisted by the Office of the Municipal Coordinating Director. The
main unit of this sub-programme is the Zonal Councils, Office of the Presiding Member
and the Office of the Municipal Coordinating Director. The activities of this sub-
programme are financed through the IGF, and DACF funding sources available to the
Assembly. The beneficiaries of this sub-programme are the Zonal Councils, local
communities and the general public.

Efforts of this sub-programme are however constrained and challenged by the inadequate
logistics to the Zonal Councils of the Assembly.

35
Table 13: Budget Sub-Programme Results Statement
Main Outputs Output Past Years Projections
Indicators
2020 2021 as 2022 2023 2024 2025
at July

Number of
General
Assembly 4 2 4 4 4 4
Organize Ordinary
meetings
Assembly Meetings
held
annually
Number of
statutory sub-
4 2 4 4 4 4
committee
meeting held
Build capacity of Number of 2 2 2 2
Zonal Council training - 1
annually workshop
organized
Supply of furniture Number of
and equipments zonal council - - 2 2 2 2
supplied with
furniture

Budget Sub-Programme Standardized Operations and Projects

Table 14: Budget Sub-Programme Standardized Operations and Projects


Standardized Operations Standardized Projects

Legislative enactment and oversight

Manpower and skills development

Security management

36
PROGRAMME 2: SOCIAL SERVICES DELIVERY

Budget Programme Objectives


 Ensure free, equitable and quality education for all by 2030
 Achieve access to adequate and equitable Sanitation and hygiene
 Achieve universal health coverage, including financial risk protection access to
quality health-care service
 Enhance inclusive urbanization & capacity for settlement planning

Budget Programme Description


The Social Service Delivery program seeks to harmonize the activities and functions of
the following agencies; Ghana Education Service, Youth Employment Authority and
Youth Authority operating at the district level.
To improve Health and Environmental Sanitation Services, the programs aims at
providing facilities, infrastructural services and programmes for effective and efficient
waste management for the environmental sanitation, the protection of the environment
and the promotion of public health.

The programme also intends to make provision for community care services including
social welfare services and street children, child survival and development.

The Birth and Death Registry seeks to provide accurate, reliable and timely information
of all births and deaths occurring within the Municipal for socio-economic development
through their registration and certification.

The various organization units involved in the delivery of the program include; Ghana
Education Service, District Health Services, Environmental Health Unit, Social Welfare &
Community Development Department and Birth & Death Registry.

The funding sources for the programme include GoG transfers and Internally Generated
Funds from of the Assembly. The beneficiaries of the program include urban and rural
dwellers in the Municipality.

37
SUB-PROGRAMME 2.1 Education Youth and Sports Services

Budget Sub-Programme Objective


 Ensure free, equitable and quality education for all by 2030

Budget Sub- Programme Description


The Education and Youth Development sub-programme is responsible for pre-school,
special school, basic education, youth and sports development or organization and library
services at the District level. Key sub-program operations include;

 Advising the District Assembly on matters relating to preschool, primary, junior


high schools in the district and other matters that may be referred to it by the
District Assembly.
 Facilitate the supervision of pre-school, primary and junior high schools in the
District
 Co-ordinate the organization and supervision of training programmes for
youth in the district to develop leadership qualities, personal initiatives,
patriotism and community spirit.
 Advise on the provision and management of public libraries and library
services in the district in consultation with the Ghana Library Board.
 Advise the Assembly on all matters relating to sports development in the
District.
Organizational units delivering the sub-programme include the Ghana Education Service,
District Youth Authority, Youth Employment Agency (YEA) and Non-Formal Department
with funding from the GoG and Assembly’s Internally Generated Funds.
Major challenges hindering the success of this sub-programme include delay and
untimely release of funds, inadequate office space and logistics. Beneficiaries of the sub-
programme are urban and rural dwellers in the Municipality.

38
Table 15: Budget Sub-Programme Results Statement
Main Outputs Output Past Years Projections
Indicators
2020 2021 2022 2023 2024 2025
as at
July
Increase/improve Number of 3 1 2 2 2 2
educational classroom
infrastructure and blocks
facilities constructed
Number of 500 500 - - - -
school
furniture
supplied
Improve Number of 3 3 3 3 3
knowledge in participants in
science and STMIE clinics
math’s and ICT in
Basic and SHS
Organize quarterly Number of 3 2 4 4 4 4
MEOC meetings meetings
organized

Budget Sub-Programme Standardized Operations and Projects

Table 16: Budget Sub-Programme Standardized Operations and Projects


Standardized Operations Standardized Projects

Internal Management of the organization Renovation of Gbetuinu MA Primary Block

Support to teaching and learning delivery Construction of 1 Nos. 6 Seater Institutional


(Schools and Teachers award scheme, Toilet at AME Zion Basic School, Vui
educational financial support)

Procurement and distribution of sports ware


Support for building of KG Classroom blocks

Procurement and distribution of 200pcs of


Sewing machines

Payment for 800 trainee’s agreement fees to


trainers (Compensation)

Payment for 100 students’ school fees


Payment for education improvement package
(Books, pens, pencils, erasers)

39
SUB-PROGRAMME 2.2 Public Health Services and Management

Budget Sub-Programme Objective


 Achieve universal health coverage, including financial risk protection access to
quality health-care service

Budget Sub- Programme Description


The sub-programme aims at providing facilities, infrastructural services and programmes
for effective and efficient promotion of public health in the Municipal. Public Health aims
at delivering public, family and child health services directed at preventing diseases and
promoting the health of all people living in the Municipal. It also seeks to coordinate the
works of health centers or posts or community based health workers and facilitates
collection and analysis of data on health. In addition, emphasis will be placed on
supporting high-risk groups to prevent the spread of HIV/AIDS, TB, and Malaria among
others.

The sub-program operations include;


 Advising the Assembly on all matters relating to health including diseases
control and prevention.
 Undertaking health education and family immunization and nutrition
programmes.
 Preventing new transmission, including awareness creation, direct service
delivery and supporting high risk groups.
 Providing support for people living with HIV/AIDS (PLWHA) and their families.
The sub-programme would be delivered through the offices of the District Health
Directorate and the Environmental Health Unit with total staff strength of thirty-three (33).
Funding for the delivery of this sub-programme would come from GoG transfers, Donor
Support and Internally Generated Funds. The beneficiaries of the sub-program are the
various health facilities and entire citizenry in the district.

Challenges militating against the success of this sub-programme include delay and
untimely release of funds from central government, inadequate staffing levels, inadequate
office space, inadequate equipment and logistics to health facilities.

40
Table 17: Budget Sub-Programme Results Statement
Main Outputs Output Past Years Projections
Indicators
2020 2021 as 2022 2023 2024 2025
at July

Organize immunization Number of infants


and roll back malaria immunized
programme annually (Measles 2) 3,000 3,500 3,500 3500 3500 3500

Number of
households
supplied with 3500 4000 4500 4000 4000 4000
mosquito nets

Improve access to Health Number of health


care delivery facilities equipped
3 3 3 3 3 3

Budget Sub-Programme Standardized Operations and Projects

Table 18: Budget Sub-Programme Standardized Operations and Projects

Standardized Operations Standardized Projects

Renovation of Anyako Health Centre


District response initiative (DRI) on HIV/AIDS
and Malaria

Internal management of the organisation


Public Health Services

Clinical services

41
SUB-PROGRAMME 2.3 Social Welfare and Community Development

Budget Sub-Programme Objective


 Enhance inclusive urbanization & capacity for settlement planning

Budget Sub- Programme Description


The Social Welfare and Community Development department is responsible for this sub-
programme. Basically, Social Welfare aims at promoting and protection of rights of
children, seek justices and administration of child related issues and provide community
care for disabled and needy adults.
Community Development is also tasked with the responsibility of promoting social and
economic growth in the rural communities through popular participation and initiatives of
community members in activities of poverty alleviation, employment creation and illiteracy
eradication among the adult and youth population in the rural and urban poor areas in the
Municipal. Major services to be delivered include;
 Facilitating community-based rehabilitation of persons with disabilities.
 Assist and facilitate provision of community care services including registration
of persons with disabilities, assistance to the aged, personal social welfare
services, and assistance to street children, child survival and development,
socio-economic and emotional stability in families.
 Assist to organize community development programmes to improve and enrich
rural life through literacy and adult education classes, voluntary contribution
and communal labour for the provision of facilities and services such as water,
schools, library, community centres and public places of convenience.
This sub programme is undertaken with total staff strength of four (4) officers with funds
from GoG transfers (PWD Fund), DACF and Assembly’s Internally Generated Funds.
Challenges facing this sub-programme include untimely release of funds and logistics for
public education.

42
Table 19: Budget Sub-Programme Results Statement
Main Outputs Output Past Years Projections
Indicators
2020 2021 2022 2023 2024 2025
as at
July
Persons with
Number of
Disability (PWDs) 92 120 200 200 200 200
PWDs supported
Supported
Settlement of Number of cases
maintenance, settled
custody, paternity, 61 40 20 20 20 20
child and family
welfare case
Visits to residential Number of visits
15 4 20 20 20 20
homes for children conducted
Visits to Early Number of
Childhood MUCOM
Development meetings held 4 2 4 4 4 4
Centres (CDC

Disability Fund Number of


Management DFMC meetings
Committee (DFMC) held 4 2 4 4 4 4
meetings

Budget Sub-Programme Standardized Operations and Projects

Table 20: Budget Sub-Programme Standardized Operations and Projects


Standardized Operations Standardized Projects

Child right promotion and protection

Social intervention programmes

Gender related activities

43
SUB-PROGRAMME 2.5 Environmental Health and Sanitation Services

Budget Sub-Programme Objective


 Achieve access to adequate and equitable Sanitation and hygiene

Budget Sub- Programme Description


Monitoring of community’s waste management system through routine inspection of
homes, Schools, factories food joints, and other business places in the municipality

The Environmental Health aims at facilitating improved environmental sanitation and


good hygiene practices in both rural and urban dwellers in the District. It provides,
supervises and monitors the execution of environmental health and environmental
sanitation services. It also aims at empowering individuals and communities to analyse
their sanitation conditions and take collective action to change their environmental
sanitation situation. The sub-program operations include;

 Inspection of meat, fish, vegetables and other foodstuff and liquids of whatever
kind or nature, whether intended for sale or not and to seize, destroy and
otherwise deal with such foodstuff or liquids as are unfit for human
consumption.
 Supervise and control slaughter houses and pounds and all such matters and
things as may be necessary for the convenient use of such slaughter houses.
 Advise and encourage the keeping of animals in the district including horses,
cattle, sheep and goats, domestic pets and poultry.

The sub-programme would be delivered through the offices of the District Health
Directorate and the Environmental Health Unit with total staff strength of thirty-three (33).
Funding for the delivery of this sub-programme would come from GoG transfers, Donor
Support and Internally Generated Funds. The beneficiaries of the sub-program are the
various health facilities and entire citizenry in the district.

44
Challenges militating against the success of this sub-programme include inadequate
office space, inadequate equipment and logistics to health facilities

Table 23: Budget Sub-Programme Results Statement


Main Outputs Output Past Years Projections
Indicators
2020 2021 as 2022 2023 2024 2025
at July

Communities No. of 54 100 100 100


Fumigated and Communities
Disinfested 77 100

District Plan
Environmental Prepared
Sanitation Action 1 1 1 1 1 1
Plan Prepared

Meetings with Reports on


communities on Number
Sanitation related Communities 60 45 80 80 80 80
issues Entered

Budget Sub-Programme Standardized Operations and Projects

Table 24: Budget Sub-Programme Standardized Operations and Projects


Standardized Operations Standardized Projects

Environmental sanitation Management

Procurement of office supplies and consumables

Official / national celebrations

Sanitation related expenditures

Internal Management of the organization

45
PROGRAMME 3: INFRASTRUCTURE DELIVERY AND MANAGEMENT

Budget Programme Objectives


 Enhance inclusive urbanization & capacity for settlement planning
 Facilitate sustainable and resilient infrastructure development

Budget Programme Description


The two main organizations tasked with the responsibility of delivering the program are
Physical Planning and Public Works, Rural Housing and Water and Roads and Transport
Services. The Spatial Planning sub-programme seeks to advise the Municipal Assembly
on national policies on physical planning, land use and development. It basically focuses
on human settlement development and ensuring that human activities within the district
are undertaken in a more planned, orderly and spatially organized manner.

46
SUB-PROGRAMME 3.1 Physical and Spatial Planning Development

Budget Sub-Programme Objective


 Enhance inclusive urbanization & capacity for settlement planning

Budget Sub- Programme Description


The sub-programme seeks to co-ordinate activities and projects of departments and other
agencies including non-governmental organizations to ensure compliance with planning
standards. It also focuses on the landscaping and beautification of the district capital. The
Land use and Spatial Planning sub-programme is delivered through the Department of
Physical Planning tasked to manage the activities of the former department of Town and
Country Planning and the department of Parks and Gardens in the municipality.

Major services delivered by the sub-program include;

 Assist in the preparation of physical plans as a guide for the formulation of


development policies and decisions and to design projects in the district.
 Identify problems concerning the development of land and its social,
environmental and economic implications;
 Advise on setting out approved plans for future development of land at the district
level;
 Advise on preparation of structure plans for towns and villages within the district;
 Assist to offer professional advice to aggrieved persons on appeals and petitions
on decisions made on their building;
 Facilitate consultation, co-ordination and harmonization of developmental
decisions into a physical development plan;
 Assist to provide the layout for buildings for improved housing layout and
settlement;
 Ensure the prohibition of the construction of new buildings unless building plans
submitted have been approved by the Assembly;
 Advise the Assembly on the siting of bill boards, masts and ensure compliance
with the decisions of the Assembly;

47
 Advise on the acquisition of landed property in the public interest; and
 Undertake street naming, numbering of houses and related issues.
This sub-programme is funded from the Central Government transfers and Internally
Generated Fund which go to the benefit of the entire citizenry in the District. The
Operational running of the department is sometimes supported by Government of Ghana
(GoG) goods and services allocation. The sub-programme is manned by PPD but faced
with the operational challenges which include vehicle logistics, inadequate staffing levels,
and untimely releases of funds in general. Under this, four (4) officers are responsible for
delivering the sub-programme.

Table 25: Budget Sub-Programme Results Statement


Main Outputs Output Past Years Projections
Indicators
2020 2021 as 2022 2023 2024 2025
at July

1. Address maps Number of


address maps 2 3 4 4 4 4
prepared

2. Numbered Number of
properties properties 100 1,736 2,500 2,500 2,500 2,500
numbered
3. Issue of Number of
development development 54 56 60 60 60 60
permits permit issued

Budget Sub-Programme Standardized Operations and Projects

Table 26: Budget Sub-Programme Standardized Operations and Projects


Standardized Operations Standardized Projects

Internal management of the organisation

Street Naming and Property Addressing System

48
SUB-PROGRAMME 3.2 Public Works, Rural Housing and Water Management

Budget Sub-Programme Objective


 Facilitate sustainable and resilient infrastructure development
.
Budget Sub- Programme Description
The sub-programme is tasked with the responsibility of developing and implementing
appropriate strategies and programmes that aims to improve the living conditions of rural
dwellers.
Under this sub-programme reforms including rural housing and water programmes are
adequately addressed. The department of Works comprising former Public Works, Rural
Housing and Water Management is delivering the sub-programme. The sub-program
operations include;
 Facilitating the implementation of policies on works and report to the Assembly
 Assisting to prepare tender documents for all civil works projects to be
undertaken by the Assembly through contracts or community initiated projects.
 Facilitating the construction, repair and maintenance of public buildings.
 Facilitating the provision of adequate and wholesome supply of potable water
for the entire District.
 Assisting in the inspection of projects undertaken by the District Assembly with
relevant Departments of the Assembly.
 Provide technical and engineering assistance on works undertaken by the
Assembly.

This sub programme is funded from the Central Government transfers and Assembly’s
Internally Generated Funds which goes to the benefit of the entire citizenry in the
Municipality.

Key challenges encountered in delivering this sub-programme include inadequate staffing


levels, inadequate office space and untimely releases of funds.

49
Table 27: Budget Sub-Programme Results Statement
Main Outputs Output Past Years Projections
Indicators
2020 2021 as 2022 2023 2024 2025
at July

Capacity of the Number of 100 100 100 100


Administrative and street lights 100 10
Institutional systems maintained
enhanced Number of 2 2 2
boreholes - 1 2
drilled
mechanized
Construct office, 3 3 3 3
residential and Number of 3 2
recreational building buildings
Constructed
Maintenance of Number of 6 6 6 6 6
Building Ensured buildings 3
annualy maintained
Construct sanitation Number of
facilities sanitation 2 2 2 2 2 2
facilities
Constructed

Budget Sub-Programme Standardized Operations and Projects

Table 28: Budget Sub-Programme Standardized Operations and Projects


Standardized Operations Standardized Projects

Supervision and regulation of infrastructure 5% self-help/counterpart funding project


development

Renovation of bungalow for Information


Services Department

Construction of 2 Nos. concrete bridge with


road safety sign at Hatorgodo to Lawoshime

Spot improvement of Atiavi Road with road


signs
Construction of commercial hostel at Keta

Renovation of Keta Municipal Assembly Hall


Renovation of Keta Municipal Assembly
Conference Room

50
Renovation and furnishing of Hon. MCE's
Official Residence
Renovation of bungalow for Education and
Internal Auditor

Maintenance of street lights


Procurement of street lights

Procurement, distribution and maintenance of


Street lights
Mechanization of Borehole water at Havene/
Letsifedo

Mechanization of Heluvi water project

Construction of open market shed at Abor


Market
Construction of commercial hostel at Keta

51
SUB-PROGRAMME 3.3 Roads and Transport Services
Budget Sub-Programme Objective
 To implement development programmes to enhance rural transport through
improved feeder and farm to market road network.
 To improve service delivery to ensure quality of life in rural areas.

Budget Sub- Programme Description


The sub-programme is tasked with the responsibility of developing and implementing
appropriate strategies and programmes that aims to restore surface defects as a result
of vehicular movementand also to ensure easy flow of rain water from the road
infrastructure hence increasing its lifespan.
Under this sub-programme reforms including feeder road construction and rehabilitation
are adequately addressed. The sub-program operations include;
 Routine maintenance activities on our road network such as pothole patching,
reshaping, re-gravelling, etc.
 Grass cutting, cleaning/de-silting of drains.
 Maintenance of Vehicles

This sub-programme is funded from the Central Government transfers and Assembly’s
Internally Generated Funds which goes to the benefit of the entire citizenry in the
Municipality.

The sub-programme is managed by Seven (7) officers with funding from the GoG
transfers and Assembly’s support from the Internally Generated Fund. Key challenges
encountered in delivering this sub-programme include inadequate staffing levels,
inadequate office space and untimely releases of funds.

52
Table 29: Budget Sub-Programme Results Statement
Main Outputs Output Past Years Projections
Indicators
2020 2021 as 2022 2023 2024 2025
at July

Feeder roads Number of


reshaped Km 25 - 30 30 30 30
reshaped

Tard road patched Cmᶟ patched - 1,100 2,000 2,000 2,000 2,000
Road traffic Number of
management and speed ramps 1 - 3 3 3 3
safety constructed

Budget Sub-Programme Standardized Operations and Projects

Table 30: Budget Sub-Programme Standardized Operations and Projects


Standardized Operations Standardized Projects

Supervision and regulation of infrastructure Construction of 2 Nos. concrete bridge with road
development safety sign at Hatorgodo to Lawoshime

Spot improvement of Atiavi Road with road signs

53
PROGRAMME 4: ECONOMIC DEVELOPMENT

Budget Programme Objectives


 End hunger and ensure access to sufficient food
 Increase access of SMEs to financial services

Budget Programme Description


The program aims at making efforts that seeks to improve the economic well-being and
quality of life for the District by creating and retaining jobs and supporting or growing
incomes. It also seeks to empower small and medium scale business both in the
agricultural and services sector through various capacity building modules to increase
their income level.
The Program is being delivered through the offices of the departments of Agriculture,
Business Advisory Centre and Co-operatives.
The program is being implemented with the total support of all staff of the Agriculture
department and the Business Advisory Center. The Program is being funded through the
Government of Ghana transfers with support from the Assembly’s Internally Generated
Fund and other donor support funds.

54
SUB-PROGRAMME 4.1 Trade, Tourism and Industrial Development

Budget Sub-Programme Objective


 Increase access of SMEs to financial services

Budget Sub- Programme Description


The Department of Trade, Industry and Tourism under the guidance of the Assembly
would deal with issues related to trade, cottage industry and tourism in the Municipal. The
Business Advisory Centre and Co-operatives are the main organizational units
spearheading the sub-programme which seeks to facilitate the implementation of policies
on trade, industry and tourism in the District. It also takes actions to reduce poverty by
providing training in technical and business skills, assisting in the access of low-income
people to capital and bank services and assisting the creation of new jobs. The sub-
programme again seeks to improve on existing SMEs through financial assistance and
managerial skill training as well as helping identify new avenues for jobs, value addition,
access to market and adoption of new and improved technologies. The main sub-program
operations include;
 Advising on the provision of credit for micro, small-scale and medium scale
enterprises.
 Assisting to design, develop and implement a plan of action to meet the needs
and expectations of organized groups.
 Assisting in the establishment and management of rural and small-scale
industries on commercial basis.
 Promoting the formation of associations, co-operative groups and other
organizations which are beneficial to the development of small-scale industries.
 Offering business and trading advisory information services.
 Facilitating the promotion of tourism in the District.
Officers of the Business Advisory Centre and Co-operatives are tasked with the
responsibility of managing this sub-programme with funding from GoG transfers and
donor support which would inure to the benefit of the unemployed youth, SME’s and the
general public. Total staff strength of nine (9) are involved in the delivery of the

55
programme. Total staff strength of 2 two officers (1 Business Advisor and 1 Secretary)
from Business Advisory Centre and 2 two officers (Co-operatives officer and a
stenographer) from Co-operative are involved in the delivery of the programme

The service delivery efforts of the department are constrained and challenged by
inadequate office equipment, low interest in technical apprenticeship, transport difficulty
and inadequate funding, among others.

Table 31: Budget Sub-Programme Results Statement


Main Outputs Output Past Years Projections
Indicators
2020 2021 as 2022 2023 2024 2025
at July

Number of
Legal registration of small
small businesses businesses 10 5 20 20 20 20
facilitated annually registered
Access to credit Number of
MSMEs facilitated MSMEs who
10 3 20 20 20 20
had access
to credit
Number of
new
15 5 20 20 20 20
businesses
established
MSE access to Number of
participate in Trade SMEs
Fairs supported to 5 - 20 20 20 20
attend Trade
Fairs
No. of 13 15 20 20 20 20
Businesses Businesses
Adopting New adopting
technology new
technology

56
Budget Sub-Programme Standardized Operations and Projects

Table 32: Budget Sub-Programme Standardized Operations and Projects


Standardized Operations Standardized Projects

Trade Development and Promotion Construction of open market shed at Abor


Market
Development and promotion of Tourism potentials

57
SUB-PROGRAMME 4.2 Agricultural Services and Management

Budget Sub-Programme Objective


 End hunger and ensure access to sufficient food

Budget Sub- Programme Description


The department of Agriculture is responsible for delivering the Agricultural Service and
Management sub-programme. It seeks to provide effective extension and other support
services to farmers, processors and traders for improved livelihood in the District.
Moreover, the sub-programme deals with identifying and disseminating improved up-to-
date technological packages to assist farmers engage in good agricultural practices.
Basically, it seeks to transfer improved agricultural technologies through the use of
effective and efficient agricultural extension delivery methods.
The sub-program operations include;
 Promoting extension services to farmers.
 Assisting and participating in on-farm adaptive research.
 Lead the collection of data for analysis on cost effective farming enterprises.
 Advising and encouraging crop development through nursery propagation.
 Assisting in the development, rehabilitation and maintenance of small scale
irrigation schemes.

The sub-programme is undertaken by twelve (12) officers with funding from the GoG
transfers and Assembly’s support from the Internally Generated Fund. It aims at
benefiting the general public especially the rural farmers and dwellers. Key challenges
include inadequate staffing levels, inadequate office space, untimely releases of funds
and inadequate logistics for public education and sensitization.

58
Table 33: Budget Sub-Programme Results Statement
Main Outputs Output Past Years Projections
Indicators
2020 2021 as 2022 2023 2024 2025
at July

Support for planting Number of


for export and rural Farmers 72 64 100 100 100 100
development supported

National Farmers Number of


Day observed and reports 1 - 1 1 1 1
celebrated
Number of
Government
Flagship
Flagship Project 2 2 2 2 2 2
Project
implemented
implemented

Budget Sub-Programme Standardized Operations and Projects

Table 34: Budget Sub-Programme Standardized Operations and Projects

Standardized Operations Standardized Projects

Agricultural Research and


Demonstration Farms

Extension Services

Official / national celebrations

59
PROGRAMME 5: ENVIRONMENTAL MANAGEMENT

Budget Programme Objectives


To manage disasters by co-ordinating resources and developing the capacity of
communities to respond effectively to disasters and improve their livelihood through social
mobilization, employment generation and poverty reduction projects.

Budget Programme Description


The Environmental Management offers research and opinions on use and conservation
of natural resources, protection of habitats and control of hazards. It also seeks to
promote sustainable forest, wildlife and mineral resource management and utilization.

Disaster Prevention and Management programme is also responsible for the


management of disasters as well as other emergencies in the District. It seeks to enhance
the capacity of society to prevent and manage disasters and to improve the livelihood of
the poor and vulnerable in the rural communities through effective disaster management,
social mobilization and employment generation.

Staffs from NADMO and Forestry and Game Life Section of the Forestry Commission in
the Municipality are undertaking the programme with funding from GoG transfers and
Internally Generated Funds of the Assembly. The beneficiaries of the program include
urban and rural dwellers in the District.

60
SUB-PROGRAMME 5.1 Disaster Prevention and Management

Budget Sub-Programme Objective


 Reduce vulnerability to climate-related events and disasters

Budget Sub- Programme Description


The National Disaster Management Organization (NADMO) section under the Assembly
is responsible for delivering the sub-programme. It seeks to assist in planning and
implementation of programmes to prevent and/or mitigate disaster in the District within
the framework of national policies.

The sub-program operations include;


 To facilitate the organization of public disaster education campaign
programmes to create and sustain awareness of hazards of disaster and
emphasize the role of the individual in the prevention of disaster.
 To assist and facilitate education and training of volunteers to fight fires
including bush fires or take measures to manage the after effects of natural
disasters.
 Prepare and review disaster prevention and management plans to prevent or
control disasters arising from floods, bush fires, and human settlement fire,
earthquakes and other natural disasters.
 To participate in post disaster assessment to determine the extent of damage
and needs of the disaster area.
 Co-ordinate the receiving, management and supervision of the distribution of
relief items in the Municipality.
 Facilitate collection, collation and preservation of data on disasters in the
Municipality.

The sub-programme is undertaken by officers from the NADMO section with funding from
the GoG transfers and Assembly’s support from the Internally Generated Fund. The sub-

61
programme goes to the benefit of the entire citizenry within the Municipality. Some
challenges facing the sub-programme include untimely releases of funds and inadequate
logistics for public education and sensitization.

Table 35: Budget Sub-Programme Results Statement


Main Outputs Output Past Years Projections
Indicators
2020 2021 as 2022 2023 2024 2025
at July

Disaster Management Number of


Action Plan management
1 1 1 1 1 1
plans
prepared
Disaster Education Number of
education 8 7 12 12 12 12
carried out
Zonal Staff Monthly Minutes of
2 - 12 12 12 12
Meetings the meetings

Budget Sub-Programme Standardized Operations and Projects

Table 36: Budget Sub-Programme Standardized Operations and Projects


Standardized Operations Standardized Projects

Green economy activities

62
SUB-PROGRAMME 5.2 Natural Resources Conservation and Management

Budget Sub-Programme Objective


 Promote implementing of forests, halt deforestation

Budget Sub- Programme Description


The Natural Resource Conservation and Management refers to the management of
natural resources such as land, water, soil, plants and animals, with a particular focus on
how management affects the quality of life for both present and future generations.
Natural Resource Conservation and Management seek to protect, rehabilitate and
sustainably manage the land, forest and wildlife resources through collaborative
management and increased incomes of rural communities who own these resources.
The sub-programme brings together land use planning, water management, biodiversity
conservation, and the future sustainability of industries like agriculture, mining, tourism,
fisheries and forestry. It also recognises that people and their livelihoods rely on the health
and productivity of our landscapes, and their actions as steward of the land plays a critical
role in maintaining this health and productivity.

The sub-programme is spearheaded by Forestry Section and Game Life Section under
the Forestry Commission.The funding for the sub-programme is from Central Government
transfers. The sub-programme would be beneficial to the entire residents in the District.
Some challenges facing the sub-programme include inadequate office space, untimely
releases of funds and inadequate logistics for public education and sensitization.

63
Table 37: Budget Sub-Programme Results Statement
Main Outputs Output Past Years Projections
Indicators
2020 2021 as 2022 2023 2024 2025
at July

Habitat restoration Number of 20,000 50,000 100,000 100,000 100,000 100,000


seedlings
developed
and
distributed
Ecological Carried out 12 12 12 12 12 12
monitoring and law law
enforcement enforcement
operations

Sensitization and % of 20 25 50 50 50 50
awareness raising on general
wetlands public
/values/environmental sensitized
preservation

Budget Sub-Programme Standardized Operations and Projects

Table 38: Budget Sub-Programme Standardized Operations and Projects


Standardized Operations Standardized Projects

Internal management of the organization

Green economy activities

64
PART C: FINANCIAL INFORMATION

65
Volta Keta
Estimated Financing Surplus / Deficit - (All In-Flows)
By Strategic Objective Summary In GH¢
Surplus /
Objective In-Flows Expenditure Deficit %
000000 Compensation of Employees 0 3,151,367

130201 17.1 strengthen domestic resource mob. 8,657,765 73,849

140602 9.3 Incrs access of SMEs to fin. serv 0 143,601

180101 8.9 Devise and implement policies to promote sustainable tourism 0 20,000

200201 15.2 Promote impl. of forests, halt deforestation 0 5,000

270101 9.a Facilitate sus. and resilent infrastructure dev. 0 607,055

310102 11.3 Enhance inclusive urbanization & capacity for settlement planning 0 212,974

380102 1.5 Reduce vulnerability to climate-related events and disasters 0 70,000

410101 Deepen political and administrative decentralisation 0 1,130,899

510302 17.18 Enhance capacity for high-quality, timely and reliable data 0 23,500

520101 4.1 Ensure free, equitable and quality edu. for all by 2030 0 1,365,527

530101 3.8 Ach. univ. health coverage, incl. fin. risk prot., access to qual. health- 0 315,000
care serv.

540201 3.3 End epidemics of AIDS, TB, malaria and trop. Diseases by 2030 0 42,433

550201 2.1 End hunger and ensure access to sufficient food 0 254,595

570102 6.1 Achieve univ. and equit access to water 0 650,000

570201 6.2 Achieve access to adeq. and equit. Sanitation and hygiene 0 591,964

Grand Total ¢ 8,657,765 8,657,765 0 0.00

BAETS SOFTWARE Printed on August 24, 2022 Page 66


Revenue Budget and Actual Collections by Objective Approved and or Actual
Projected Revised Budget Collection Variance
and Expected Result 2021 / 2022 2022 2021 2021
Revenue Item
126 02 00 001 22 8,657,765.11 0.00 0.00 0.00
Finance, ,

Objective 130201 17.1 strengthen domestic resource mob.

Output 0001
0.00 0.00 0.00 0.00

0.00 0.00 0.00 0.00

From foreign governments(Current) 8,139,758.34 0.00 0.00 0.00

1331001 Central Government - GOG Paid Salaries 3,096,866.93 0.00 0.00 0.00

1331002 DACF - Assembly 3,946,306.20 0.00 0.00 0.00

1331003 DACF - MP 497,966.21 0.00 0.00 0.00

1331008 Other Donors Support Transfers 86,453.00 0.00 0.00 0.00

1331009 Goods and Services- Decentralised Department 108,537.00 0.00 0.00 0.00

1331010 DDF-Capacity Building Grant 45,859.00 0.00 0.00 0.00

1331011 District Development Facility 332,590.00 0.00 0.00 0.00

1331013 Sector Specific Asset Transfer Decentralised Department 25,180.00 0.00 0.00 0.00

Property income [GFS] 123,211.77 0.00 0.00 0.00

1412022 Property Rate 115,000.00 0.00 0.00 0.00

1413002 Basic Rate 690.00 0.00 0.00 0.00

1415001 Concession Rent 0.00 0.00 0.00 0.00

1415002 Ground Rent 575.00 0.00 0.00 0.00

1415008 Investment Income 1,150.00 0.00 0.00 0.00

1415038 Rental of Facilities 0.00 0.00 0.00 0.00

1415052 Market and Stores Rental 5,796.77 0.00 0.00 0.00

Sales of goods and services 385,825.00 0.00 0.00 0.00

1422005 Restaurant/Chop Bar/Caterers 29,900.00 0.00 0.00 0.00

1422006 Corn / Rice / Flour Miller 230.00 0.00 0.00 0.00

1422009 Bakers License 230.00 0.00 0.00 0.00

1422010 Bicycles/Tricycles/Motorcycles Dealers 230.00 0.00 0.00 0.00

1422011 Artisans 575.00 0.00 0.00 0.00

1422013 Sand and Stone Dealers Licence 230.00 0.00 0.00 0.00

1422015 Service/Filling Stations 5,750.00 0.00 0.00 0.00

1422016 Lottery Business 1,725.00 0.00 0.00 0.00

1422017 Hotel Services 9,200.00 0.00 0.00 0.00

1422018 Pharmacy / Chemical Sellers 1,150.00 0.00 0.00 0.00

1422019 Timber Products 0.00 0.00 0.00 0.00

1422020 Commercial Vehicles 4,025.00 0.00 0.00 0.00

1422023 Communication Sevices 575.00 0.00 0.00 0.00

1422024 Private Education Int. 2,300.00 0.00 0.00 0.00

1422025 Private Professionals 345.00 0.00 0.00 0.00

1422026 Private Health Facilities 230.00 0.00 0.00 0.00

1422032 Akpeteshie / Spirit Sellers 575.00 0.00 0.00 0.00

1422033 Stores 9,200.00 0.00 0.00 0.00

1422038 Dress Makers/Tailor Services 575.00 0.00 0.00 0.00

ACTIVATE SOFTWARE Printed on August 24, 2022 Page 67


Revenue Budget and Actual Collections by Objective Approved and or Actual
Projected Revised Budget Collection Variance
and Expected Result 2021 / 2022 2022 2021 2021
Revenue Item
1422040 Bill Boards/Outdoor Advert 28,750.00 0.00 0.00 0.00

1422042 Second Hand Clothing 115.00 0.00 0.00 0.00

1422044 Financial Institutions 34,500.00 0.00 0.00 0.00

1422051 Millers 0.00 0.00 0.00 0.00

1422052 Mechanics & Repairers 575.00 0.00 0.00 0.00

1422063 Florists And Allied Products 4,600.00 0.00 0.00 0.00

1422072 Contractor/Suppliers Registration 0.00 0.00 0.00 0.00

1422104 Fishing Equipments Licence 0.00 0.00 0.00 0.00

1422128 Telecommunication Companies 24,610.00 0.00 0.00 0.00

1422148 Printing Services 230.00 0.00 0.00 0.00

1422153 Business Licence 0.00 0.00 0.00 0.00

1422154 Sale of Building Permit Jacket 690.00 0.00 0.00 0.00

1422157 Building Plans / Permit 46,000.00 0.00 0.00 0.00

1422159 Comm. Mast Permit 23,000.00 0.00 0.00 0.00

1423002 Livestock / Kraals 57,500.00 0.00 0.00 0.00

1423005 Registration /Renewal of Contractors 2,300.00 0.00 0.00 0.00

1423006 Burial Fees 11,500.00 0.00 0.00 0.00

1423010 Export of Commodities 40,250.00 0.00 0.00 0.00

1423011 Marriage Registration 1,150.00 0.00 0.00 0.00

1423014 Dislodging Fees 5,750.00 0.00 0.00 0.00

1423018 Loading Fees 28,750.00 0.00 0.00 0.00

1423078 Business registration 1,150.00 0.00 0.00 0.00

1423086 Vehicle Stickers for Embossment 1,150.00 0.00 0.00 0.00

1423157 Donation 0.00 0.00 0.00 0.00

1423243 Hawkers Fee 230.00 0.00 0.00 0.00

1423527 Tender Documents 5,750.00 0.00 0.00 0.00

1423838 Charcoal / Firewood Dealers 230.00 0.00 0.00 0.00

Fines, penalties, and forfeits 8,970.00 0.00 0.00 0.00

1430001 Court Fines 115.00 0.00 0.00 0.00

1430015 Fines 230.00 0.00 0.00 0.00

1430016 Spot fine 3,737.50 0.00 0.00 0.00

1430023 Impounding Fines 4,887.50 0.00 0.00 0.00

Grand Total 8,657,765.11 0.00 0.00 0.00

ACTIVATE SOFTWARE Printed on August 24, 2022 Page 68


Expenditure by Programme and Source of Funding In GH¢

2020 2021 2022 2023 2024


Economic Classification Actual Budget Est. Outturn Budget forecast forecast

Keta Municipal - Keta 0 0 0 8,657,765 8,689,279 8,744,343


0 0 0 3,489,343 3,511,954 3,524,237
Management and Administration
GOG Sources 0 0 0 2,258,776 2,280,842 2,281,363

IGF Sources 0 0 0 384,941 385,286 388,790

DACF MP Sources 0 0 0 70,000 70,000 70,700

DACF ASSEMBLY Sources 0 0 0 729,768 729,968 737,065

DDF Sources 0 0 0 45,859 45,859 46,318

0 0 0 2,860,744 2,864,405 2,889,351


Social Services Delivery
GOG Sources 0 0 0 383,519 387,180 387,354

IGF Sources 0 0 0 29,464 29,464 29,759

DACF MP Sources 0 0 0 495,000 495,000 499,950

DACF ASSEMBLY Sources 0 0 0 1,595,171 1,595,171 1,611,122

UNICEF Sources 0 0 0 25,000 25,000 25,250

DDF Sources 0 0 0 332,590 332,590 335,916

0 0 0 1,519,555 1,521,847 1,534,751


Infrastructure Delivery and Management
GOG Sources 0 0 0 260,221 262,513 262,823

DACF MP Sources 0 0 0 100,000 100,000 101,000

DACF ASSEMBLY Sources 0 0 0 1,159,334 1,159,334 1,170,927

0 0 0 713,123 716,072 720,254


Economic Development
GOG Sources 0 0 0 328,068 331,018 331,349

IGF Sources 0 0 0 103,601 103,601 104,637

DACF MP Sources 0 0 0 130,000 130,000 131,300

DACF ASSEMBLY Sources 0 0 0 90,000 90,000 90,900

CIDA Sources 0 0 0 61,453 61,453 62,068

0 0 0 75,000 75,000 75,750


Environmental Management
DACF ASSEMBLY Sources 0 0 0 75,000 75,000 75,750

Grand Total 0 0 0 8,657,765 8,689,279 8,744,343

PBB System Version 1.3 Printed on August 24, 2022 Page 69


Keta Municipal - Keta
Expenditure by Programme, Sub Programme and Economic Classification In GH¢

2020 2021 2022 2023 2024


Economic Classification Actual Budget Est. Outturn Budget forecast forecast

Keta Municipal - Keta 0 0 0 8,657,765 8,689,279 8,744,343

Management and Administration 0 0 0 3,489,343 3,511,954 3,524,237

SP1: General Administration 0 0 0 3,145,320 3,167,161 3,176,773

0 0 0 2,184,113 2,205,955 2,205,955


21 Compensation of employees [GFS]
211 Wages and salaries [GFS] 0 0 0 2,172,613 2,194,340 2,194,340

21110 Established Position 0 0 0 2,129,613 2,150,910 2,150,910

21111 Wages and salaries in cash [GFS] 0 0 0 23,000 23,230 23,230

21112 Wages and salaries in cash [GFS] 0 0 0 20,000 20,200 20,200

212 Social contributions [GFS] 0 0 0 11,500 11,615 11,615

21210 Actual social contributions [GFS] 0 0 0 11,500 11,615 11,615


0 0 0 587,942 587,942 593,822
22 Use of goods and services
221 Use of goods and services 0 0 0 587,942 587,942 593,822

22101 Materials - Office Supplies 0 0 0 97,800 97,800 98,778

22102 Utilities 0 0 0 68,450 68,450 69,135

22103 General Cleaning 0 0 0 1,150 1,150 1,162

22105 Travel - Transport 0 0 0 220,692 220,692 222,899

22106 Repairs - Maintenance 0 0 0 20,136 20,136 20,337

22107 Training - Seminars - Conferences 0 0 0 154,664 154,664 156,211

22109 Special Services 0 0 0 25,050 25,050 25,301


0 0 0 1,150 1,150 1,162
27 Social benefits [GFS]
273 Employer social benefits 0 0 0 1,150 1,150 1,162

27311 Employer Social Benefits - Cash 0 0 0 1,150 1,150 1,162


0 0 0 146,934 146,934 148,403
28 Other expense
282 Miscellaneous other expense 0 0 0 146,934 146,934 148,403

28210 General Expenses 0 0 0 146,934 146,934 148,403


0 0 0 225,180 225,180 227,432
31 Non Financial Assets
311 Fixed assets 0 0 0 225,180 225,180 227,432

31121 Transport equipment 0 0 0 200,000 200,000 202,000

31122 Other machinery and equipment 0 0 0 25,180 25,180 25,432

SP2: Finance and Audit 0 0 0 73,849 73,849 74,587

0 0 0 73,849 73,849 74,587


22 Use of goods and services
221 Use of goods and services 0 0 0 73,849 73,849 74,587

22101 Materials - Office Supplies 0 0 0 9,200 9,200 9,292

22105 Travel - Transport 0 0 0 28,800 28,800 29,088

22107 Training - Seminars - Conferences 0 0 0 5,000 5,000 5,050

22109 Special Services 0 0 0 27,399 27,399 27,673

22111 Other Charges - Fees 0 0 0 3,450 3,450 3,485

SP3: Human Resource Management 0 0 0 148,016 148,553 149,497

0 0 0 53,657 54,194 54,194


21 Compensation of employees [GFS]
211 Wages and salaries [GFS] 0 0 0 53,657 54,194 54,194

21110 Established Position 0 0 0 53,657 54,194 54,194

PBB System Version 1.3 Printed on August 24, 2022


Keta Municipal - Keta Page 70
Expenditure by Programme, Sub Programme and Economic Classification In GH¢

2020 2021 2022 2023 2024


Economic Classification Actual Budget Est. Outturn Budget forecast forecast
0 0 0 94,359 94,359 95,303
22 Use of goods and services
221 Use of goods and services 0 0 0 94,359 94,359 95,303

22101 Materials - Office Supplies 0 0 0 23,000 23,000 23,230

22105 Travel - Transport 0 0 0 2,000 2,000 2,020

22107 Training - Seminars - Conferences 0 0 0 69,359 69,359 70,053

SP4: Planning, Budgeting, Monitoring and 0 0 0 122,159 122,392 123,380


Evaluation and Statistics
0 0 0 23,325 23,558 23,558
21 Compensation of employees [GFS]
211 Wages and salaries [GFS] 0 0 0 23,325 23,558 23,558

21110 Established Position 0 0 0 23,325 23,558 23,558


0 0 0 93,834 93,834 94,772
22 Use of goods and services
221 Use of goods and services 0 0 0 93,834 93,834 94,772

22105 Travel - Transport 0 0 0 12,000 12,000 12,120

22107 Training - Seminars - Conferences 0 0 0 81,834 81,834 82,652


0 0 0 5,000 5,000 5,050
28 Other expense
282 Miscellaneous other expense 0 0 0 5,000 5,000 5,050

28210 General Expenses 0 0 0 5,000 5,000 5,050

Social Services Delivery 0 0 0 2,860,744 2,864,405 2,889,351

SP2.1 Education, youth & sports and Library services 0 0 0 1,365,527 1,365,527 1,379,182

0 0 0 290,000 290,000 292,900


22 Use of goods and services
221 Use of goods and services 0 0 0 290,000 290,000 292,900

22101 Materials - Office Supplies 0 0 0 145,000 145,000 146,450

22105 Travel - Transport 0 0 0 100,000 100,000 101,000

22106 Repairs - Maintenance 0 0 0 45,000 45,000 45,450


0 0 0 40,000 40,000 40,400
28 Other expense
282 Miscellaneous other expense 0 0 0 40,000 40,000 40,400

28210 General Expenses 0 0 0 40,000 40,000 40,400


0 0 0 1,035,527 1,035,527 1,045,882
31 Non Financial Assets
311 Fixed assets 0 0 0 1,035,527 1,035,527 1,045,882

31112 Nonresidential buildings 0 0 0 935,527 935,527 944,882

31113 Other structures 0 0 0 100,000 100,000 101,000

SP2.2 Public Health Services and management 0 0 0 357,433 357,433 361,008

0 0 0 152,433 152,433 153,958


22 Use of goods and services
221 Use of goods and services 0 0 0 152,433 152,433 153,958

22104 Rentals 0 0 0 95,000 95,000 95,950

22107 Training - Seminars - Conferences 0 0 0 57,433 57,433 58,008


0 0 0 5,000 5,000 5,050
28 Other expense
282 Miscellaneous other expense 0 0 0 5,000 5,000 5,050

28210 General Expenses 0 0 0 5,000 5,000 5,050


0 0 0 200,000 200,000 202,000
31 Non Financial Assets
311 Fixed assets 0 0 0 200,000 200,000 202,000

31112 Nonresidential buildings 0 0 0 200,000 200,000 202,000

SP2.3 Environmental Health and sanitation Services 0 0 0 734,104 735,525 741,445

PBB System Version 1.3 Printed on August 24, 2022


Keta Municipal - Keta Page 71
Expenditure by Programme, Sub Programme and Economic Classification In GH¢

2020 2021 2022 2023 2024


Economic Classification Actual Budget Est. Outturn Budget forecast forecast
0 0 0 142,140 143,561 143,561
21 Compensation of employees [GFS]
211 Wages and salaries [GFS] 0 0 0 142,140 143,561 143,561

21110 Established Position 0 0 0 142,140 143,561 143,561


0 0 0 571,964 571,964 577,684
22 Use of goods and services
221 Use of goods and services 0 0 0 571,964 571,964 577,684

22102 Utilities 0 0 0 546,964 546,964 552,434

22107 Training - Seminars - Conferences 0 0 0 20,000 20,000 20,200

22109 Special Services 0 0 0 5,000 5,000 5,050


0 0 0 20,000 20,000 20,200
28 Other expense
282 Miscellaneous other expense 0 0 0 20,000 20,000 20,200

28210 General Expenses 0 0 0 20,000 20,000 20,200

SP2.5 Social Welfare and community services 0 0 0 403,680 405,919 407,716

0 0 0 223,987 226,227 226,227


21 Compensation of employees [GFS]
211 Wages and salaries [GFS] 0 0 0 223,987 226,227 226,227

21110 Established Position 0 0 0 223,987 226,227 226,227


0 0 0 52,392 52,392 52,916
22 Use of goods and services
221 Use of goods and services 0 0 0 52,392 52,392 52,916

22107 Training - Seminars - Conferences 0 0 0 52,392 52,392 52,916


0 0 0 127,300 127,300 128,573
28 Other expense
282 Miscellaneous other expense 0 0 0 127,300 127,300 128,573

28210 General Expenses 0 0 0 127,300 127,300 128,573

Infrastructure Delivery and Management 0 0 0 1,519,555 1,521,847 1,534,751

SP3.2 Physical and Spatial Planning Development 0 0 0 132,628 133,622 133,954

0 0 0 99,346 100,340 100,340


21 Compensation of employees [GFS]
211 Wages and salaries [GFS] 0 0 0 99,346 100,340 100,340

21110 Established Position 0 0 0 99,346 100,340 100,340


0 0 0 13,282 13,282 13,415
22 Use of goods and services
221 Use of goods and services 0 0 0 13,282 13,282 13,415

22107 Training - Seminars - Conferences 0 0 0 13,282 13,282 13,415


0 0 0 20,000 20,000 20,200
28 Other expense
282 Miscellaneous other expense 0 0 0 20,000 20,000 20,200

28210 General Expenses 0 0 0 20,000 20,000 20,200

SP3.3 Public Works, rural housing and water 0 0 0 1,386,927 1,388,226 1,400,796
management
0 0 0 129,872 131,171 131,171
21 Compensation of employees [GFS]
211 Wages and salaries [GFS] 0 0 0 129,872 131,171 131,171

21110 Established Position 0 0 0 129,872 131,171 131,171


0 0 0 442,055 442,055 446,476
22 Use of goods and services
221 Use of goods and services 0 0 0 442,055 442,055 446,476

22106 Repairs - Maintenance 0 0 0 424,334 424,334 428,577

22107 Training - Seminars - Conferences 0 0 0 17,721 17,721 17,898


0 0 0 20,000 20,000 20,200
28 Other expense
282 Miscellaneous other expense 0 0 0 20,000 20,000 20,200

28210 General Expenses 0 0 0 20,000 20,000 20,200

PBB System Version 1.3 Printed on August 24, 2022


Keta Municipal - Keta Page 72
Expenditure by Programme, Sub Programme and Economic Classification In GH¢

2020 2021 2022 2023 2024


Economic Classification Actual Budget Est. Outturn Budget forecast forecast
0 0 0 795,000 795,000 802,950
31 Non Financial Assets
311 Fixed assets 0 0 0 795,000 795,000 802,950

31111 Dwellings 0 0 0 50,000 50,000 50,500

31112 Nonresidential buildings 0 0 0 95,000 95,000 95,950

31113 Other structures 0 0 0 500,000 500,000 505,000

31131 Infrastructure Assets 0 0 0 150,000 150,000 151,500

Economic Development 0 0 0 713,123 716,072 720,254

SP4.1 Agricultural Services and Management 0 0 0 549,521 552,471 555,016

0 0 0 294,926 297,876 297,876


21 Compensation of employees [GFS]
211 Wages and salaries [GFS] 0 0 0 294,926 297,876 297,876

21110 Established Position 0 0 0 294,926 297,876 297,876


0 0 0 194,595 194,595 196,541
22 Use of goods and services
221 Use of goods and services 0 0 0 194,595 194,595 196,541

22101 Materials - Office Supplies 0 0 0 30,000 30,000 30,300

22107 Training - Seminars - Conferences 0 0 0 134,595 134,595 135,941

22109 Special Services 0 0 0 30,000 30,000 30,300


0 0 0 60,000 60,000 60,600
28 Other expense
282 Miscellaneous other expense 0 0 0 60,000 60,000 60,600

28210 General Expenses 0 0 0 60,000 60,000 60,600

SP4.2 Trade, Tourism and Industrial Development 0 0 0 163,601 163,601 165,237

0 0 0 60,000 60,000 60,600


28 Other expense
282 Miscellaneous other expense 0 0 0 60,000 60,000 60,600

28210 General Expenses 0 0 0 60,000 60,000 60,600


0 0 0 103,601 103,601 104,637
31 Non Financial Assets
311 Fixed assets 0 0 0 103,601 103,601 104,637

31113 Other structures 0 0 0 103,601 103,601 104,637

Environmental Management 0 0 0 75,000 75,000 75,750

SP5.1 Disaster prevention and Management 0 0 0 70,000 70,000 70,700

0 0 0 70,000 70,000 70,700


28 Other expense
282 Miscellaneous other expense 0 0 0 70,000 70,000 70,700

28210 General Expenses 0 0 0 70,000 70,000 70,700

SP5.2 Natural Resource Conservation and 0 0 0 5,000 5,000 5,050


Management
0 0 0 5,000 5,000 5,050
28 Other expense
282 Miscellaneous other expense 0 0 0 5,000 5,000 5,050

28210 General Expenses 0 0 0 5,000 5,000 5,050

Grand Total 0 0 0 8,657,765 8,689,279 8,744,343

PBB System Version 1.3 Printed on August 24, 2022


Keta Municipal - Keta Page 73
2022 APPROPRIATION
SUMMARY OF EXPENDITURE BY PROGRAM, ECONOMIC CLASSIFICATION AND FUNDING (in GH Cedis)

Central GOG and CF I G F F U N D S / OTHERS Development Partner Funds Grand


Compensation Comp.
Capex Tot. External Total
SECTOR / MDA / MMDA of Employees Goods/Service Capex Total GoG of Emp Goods/Service Capex Total IGF STATUTORY Capex ABFA Others Goods Service

Keta Municipal - Keta 3,116,867 2,634,872 1,923,117 7,674,856 34,500 379,905 103,601 518,007 0 0 0 132,312 332,590 464,902 8,657,765

Management and Administration 2,226,596 606,768 225,180 3,058,543 34,500 350,441 0 384,941 0 0 0 45,859 0 45,859 3,489,343

Central Administration 2,149,613 514,768 225,180 2,889,561 34,500 296,592 0 331,092 0 0 0 0 0 0 3,220,654

Administration (Assembly Office) 2,149,613 514,768 225,180 2,889,561 34,500 296,592 0 331,092 0 0 0 0 0 0 3,220,654

Finance 0 20,000 0 20,000 0 53,849 0 53,849 0 0 0 0 0 0 73,849

0 20,000 0 20,000 0 53,849 0 53,849 0 0 0 0 0 0 73,849

Human Resource 53,657 48,500 0 102,157 0 0 0 0 0 0 0 45,859 0 45,859 148,016

Human Resource 53,657 48,500 0 102,157 0 0 0 0 0 0 0 45,859 0 45,859 148,016

Statistics 23,325 23,500 0 46,825 0 0 0 0 0 0 0 0 0 0 46,825

Statistics 23,325 23,500 0 46,825 0 0 0 0 0 0 0 0 0 0 46,825

Social Services Delivery 366,127 1,204,626 902,937 2,473,690 0 29,464 0 29,464 0 0 0 25,000 332,590 357,590 2,860,744

Education, Youth and Sports 0 330,000 702,937 1,032,937 0 0 0 0 0 0 0 0 332,590 332,590 1,365,527

Education 0 330,000 702,937 1,032,937 0 0 0 0 0 0 0 0 332,590 332,590 1,365,527

Health 142,140 719,933 200,000 1,062,073 0 29,464 0 29,464 0 0 0 0 0 0 1,091,537

Environmental Health Unit 142,140 562,500 0 704,640 0 29,464 0 29,464 0 0 0 0 0 0 734,104

Hospital services 0 157,433 200,000 357,433 0 0 0 0 0 0 0 0 0 0 357,433

Social Welfare & Community Development 223,987 154,692 0 378,680 0 0 0 0 0 0 0 25,000 0 25,000 403,680

Office of Departmental Head 223,987 154,692 0 378,680 0 0 0 0 0 0 0 25,000 0 25,000 403,680

Infrastructure Delivery and Management 229,218 495,337 795,000 1,519,555 0 0 0 0 0 0 0 0 0 0 1,519,555

Physical Planning 99,346 33,282 0 132,628 0 0 0 0 0 0 0 0 0 0 132,628

Office of Departmental Head 99,346 33,282 0 132,628 0 0 0 0 0 0 0 0 0 0 132,628

Works 129,872 462,055 795,000 1,386,927 0 0 0 0 0 0 0 0 0 0 1,386,927

Office of Departmental Head 129,872 462,055 795,000 1,386,927 0 0 0 0 0 0 0 0 0 0 1,386,927

Economic Development 294,926 253,142 0 548,068 0 0 103,601 103,601 0 0 0 61,453 0 61,453 713,123

Agriculture 294,926 193,142 0 488,068 0 0 0 0 0 0 0 61,453 0 61,453 549,521

294,926 193,142 0 488,068 0 0 0 0 0 0 0 61,453 0 61,453 549,521

Trade, Industry and Tourism 0 60,000 0 60,000 0 0 103,601 103,601 0 0 0 0 0 0 163,601

August 24, 2022 18:09:20 Page 74


Central GOG and CF I G F F U N D S / OTHERS Development Partner Funds Grand
Compensation Comp.
Capex Tot. External Total
SECTOR / MDA / MMDA of Employees Goods/Service Capex Total GoG of Emp Goods/Service Capex Total IGF STATUTORY Capex ABFA Others Goods Service

Office of Departmental Head 0 60,000 0 60,000 0 0 103,601 103,601 0 0 0 0 0 0 163,601

Environmental Management 0 75,000 0 75,000 0 0 0 0 0 0 0 0 0 0 75,000

Natural Resource Conservation 0 5,000 0 5,000 0 0 0 0 0 0 0 0 0 0 5,000

0 5,000 0 5,000 0 0 0 0 0 0 0 0 0 0 5,000

Disaster Prevention 0 70,000 0 70,000 0 0 0 0 0 0 0 0 0 0 70,000

0 70,000 0 70,000 0 0 0 0 0 0 0 0 0 0 70,000

August 24, 2022 18:09:21 Page 75


BUDGET DETAILS BY CHART OF ACCOUNT, 2022

Amount (GH¢)
Institution 01 Government of Ghana Sector
Fund Type/Source 11001 GOG Total By Fund Source 2,154,793
Function Code 70111 Exec. & leg. Organs (cs)

1260101001 Keta Municipal - Keta_Central Administration_Administration (Assembly Office)__Volta


Organisation

Location Code 0402001 Keta

Compensation of employees [GFS] 2,129,613


Compensation of Employees
Objective 000000
2,129,613
Program 92001 Management and Administration
2,129,613
Sub-Program 92001001 SP1: General Administration 2,129,613

Operation 000000 0.0 0.0 0.0 2,129,613

Wages and salaries [GFS] 2,129,613


2111001 Established Post 2,129,613
Non Financial Assets 25,180
Deepen political and administrative decentralisation
Objective 410101
25,180
Program 92001 Management and Administration
25,180
Sub-Program 92001001 SP1: General Administration 25,180

Project 910114 910114 - ACQUISITION OF MOVABLES AND IMMOVABLE ASSET 1.0 1.0 1.0 25,180

Fixed assets 25,180


3112204 Networking and ICT Equipments 25,180

Keta Municipal - Keta


August 24, 2022 PBB System Version 1.3 Page 76
BUDGET DETAILS BY CHART OF ACCOUNT, 2022

Amount (GH¢)
Institution 01 Government of Ghana Sector
Fund Type/Source 12200 IGF Total By Fund Source 331,092
Function Code 70111 Exec. & leg. Organs (cs)

1260101001 Keta Municipal - Keta_Central Administration_Administration (Assembly Office)__Volta


Organisation

Location Code 0402001 Keta

Compensation of employees [GFS] 34,500


Compensation of Employees
Objective 000000
34,500
Program 92001 Management and Administration
34,500
Sub-Program 92001001 SP1: General Administration 34,500

Operation 000000 0.0 0.0 0.0 34,500

Wages and salaries [GFS] 23,000


2111102 Monthly paid and casual labour 23,000
Social contributions [GFS] 11,500
2121001 13 Percent SSF Contribution 8,050
2121004 End of Service Benefit (ESB/Ex-Gratia) 3,450
Use of goods and services 279,942
Deepen political and administrative decentralisation
Objective 410101
279,942
Program 92001 Management and Administration
279,942
Sub-Program 92001001 SP1: General Administration 279,942

Operation 910101 910101 - INTERNAL MANAGEMENT OF THE ORGANISATION 1.0 1.0 1.0 222,657

Use of goods and services 222,657


2210103 Refreshment Items 17,250
2210113 Feeding Cost 5,750
2210118 Sports, Recreational and Cultural Materials 575
2210120 Purchase of Petty Tools/Implements 3,575
2210201 Electricity charges 40,000
2210202 Water 1,150
2210203 Telecommunications 1,150
2210204 Postal Charges 1,150
2210205 Sanitation Charges 10,000
2210301 Cleaning Materials 1,150
2210503 Fuel and Lubricants - Official Vehicles 2,300
2210505 Running Cost - Official Vehicles 2,300
2210509 Other Travel and Transportation 50,250
2210511 Local travel cost 20,250
2210513 Local Hotel Accommodation 5,092
2210709 Seminars/Conferences/Workshops - Domestic 50,364
2210710 Staff Development 1,150
2210711 Public Education and Sensitization 1,150
2210906 Unit Committee/T. C. M. Allow 1,150
2210908 Property Valuation Expenses 1,150
2210910 Trade Promotion / Publicity 5,750
Operation 910102 910102 - PROCUREMENT OF OFFICE SUPPLIES AND CONSUMABLES 1.0 1.0 1.0 2,300

Use of goods and services 2,300


2210101 Printed Material and Stationery 2,300
Operation 910105 910105 - PROCUREMENT OF OFFICE EQUIPMENT AND LOGISTICS 1.0 1.0 1.0 4,600

Use of goods and services 4,600

Keta Municipal - Keta


August 24, 2022 PBB System Version 1.3 Page 77
BUDGET DETAILS BY CHART OF ACCOUNT, 2022

2210102 Office Facilities, Supplies and Accessories 4,600


Operation 910107 910107 - OFFICIAL / NATIONAL CELEBRATIONS 1.0 1.0 1.0 1,000

Use of goods and services 1,000


2210902 Official Celebrations 1,000
Operation 910115 910115 - MAINTENANCE, REHABILITATION, REFURBISHMENT AND UPGRADING OF 1.0 1.0 1.0 30,636
EXISTING ASSETS

Use of goods and services 30,636


2210502 Maintenance and Repairs - Official Vehicles 10,500
2210603 Repairs of Office Buildings 2,300
2210604 Maintenance of Furniture and Fixtures 1,150
2210606 Maintenance of General Equipment 1,150
2210611 Maintenance of Markets 1,150
2210616 Maintenance of Public Sanitary Facilities 14,386
Operation 910804 910804 - Legislative enactment and oversight 1.0 1.0 1.0 16,000

Use of goods and services 16,000


2210905 Assembly Members Sittings All 16,000
Operation 910806 910806 - Security management 1.0 1.0 1.0 2,750

Use of goods and services 2,750


2210114 Rations 2,750
Social benefits [GFS] 1,150
Deepen political and administrative decentralisation
Objective 410101
1,150
Program 92001 Management and Administration
1,150
Sub-Program 92001001 SP1: General Administration 1,150

Operation 910101 910101 - INTERNAL MANAGEMENT OF THE ORGANISATION 1.0 1.0 1.0 1,150

Employer social benefits 1,150


2731102 Staff Welfare Expenses 1,150
Other expense 15,500
Deepen political and administrative decentralisation
Objective 410101
15,500
Program 92001 Management and Administration
15,500
Sub-Program 92001001 SP1: General Administration 15,500

Operation 910101 910101 - INTERNAL MANAGEMENT OF THE ORGANISATION 1.0 1.0 1.0 8,450

Miscellaneous other expense 8,450


2821001 Insurance and compensation 2,300
2821008 Awards and Rewards 575
2821009 Donations 5,000
2821010 Contributions 575
Operation 910811 910811 - Legal Services 1.0 1.0 1.0 7,050

Miscellaneous other expense 7,050


2821007 Court Expenses 7,050

Keta Municipal - Keta


August 24, 2022 PBB System Version 1.3 Page 78
BUDGET DETAILS BY CHART OF ACCOUNT, 2022

Amount (GH¢)
Institution 01 Government of Ghana Sector
Fund Type/Source 12602 DACF MP Total By Fund Source 70,000
Function Code 70111 Exec. & leg. Organs (cs)

1260101001 Keta Municipal - Keta_Central Administration_Administration (Assembly Office)__Volta


Organisation

Location Code 0402001 Keta

Other expense 70,000


Deepen political and administrative decentralisation
Objective 410101
70,000
Program 92001 Management and Administration
70,000
Sub-Program 92001001 SP1: General Administration 70,000

Operation 910101 910101 - INTERNAL MANAGEMENT OF THE ORGANISATION 1.0 1.0 1.0 60,000

Miscellaneous other expense 60,000


2821009 Donations 60,000
Operation 910806 910806 - Security management 1.0 1.0 1.0 10,000

Miscellaneous other expense 10,000


2821010 Contributions 10,000

Keta Municipal - Keta


August 24, 2022 PBB System Version 1.3 Page 79
BUDGET DETAILS BY CHART OF ACCOUNT, 2022

Amount (GH¢)
Institution 01 Government of Ghana Sector
Fund Type/Source 12603 DACF ASSEMBLY Total By Fund Source 664,768
Function Code 70111 Exec. & leg. Organs (cs)

1260101001 Keta Municipal - Keta_Central Administration_Administration (Assembly Office)__Volta


Organisation

Location Code 0402001 Keta

Compensation of employees [GFS] 20,000


Compensation of Employees
Objective 000000
20,000
Program 92001 Management and Administration
20,000
Sub-Program 92001001 SP1: General Administration 20,000

Operation 000000 0.0 0.0 0.0 20,000

Wages and salaries [GFS] 20,000


2111243 Transfer Grants 20,000
Use of goods and services 378,334
Deepen political and administrative decentralisation
Objective 410101
378,334
Program 92001 Management and Administration
378,334
Sub-Program 92001001 SP1: General Administration 308,000

Operation 910101 910101 - INTERNAL MANAGEMENT OF THE ORGANISATION 1.0 1.0 1.0 15,000

Use of goods and services 15,000


2210201 Electricity charges 10,000
2210202 Water 5,000
Operation 910102 910102 - PROCUREMENT OF OFFICE SUPPLIES AND CONSUMABLES 1.0 1.0 1.0 20,000

Use of goods and services 20,000


2210101 Printed Material and Stationery 20,000
Operation 910105 910105 - PROCUREMENT OF OFFICE EQUIPMENT AND LOGISTICS 1.0 1.0 1.0 38,000

Use of goods and services 38,000


2210102 Office Facilities, Supplies and Accessories 38,000
Operation 910113 910113 - ADMINISTRATIVE AND TECHNICAL MEETINGS 1.0 1.0 1.0 25,000

Use of goods and services 25,000


2210509 Other Travel and Transportation 15,000
2210709 Seminars/Conferences/Workshops - Domestic 10,000
Operation 910115 910115 - MAINTENANCE, REHABILITATION, REFURBISHMENT AND UPGRADING OF 1.0 1.0 1.0 85,000
EXISTING ASSETS

Use of goods and services 85,000


2210502 Maintenance and Repairs - Official Vehicles 85,000
Operation 910801 910801 - Procurement management 1.0 1.0 1.0 8,000

Use of goods and services 8,000


2210709 Seminars/Conferences/Workshops - Domestic 8,000
Operation 910806 910806 - Security management 1.0 1.0 1.0 10,000

Use of goods and services 10,000


2210114 Rations 3,000
2210509 Other Travel and Transportation 5,000
2210709 Seminars/Conferences/Workshops - Domestic 2,000

Keta Municipal - Keta


August 24, 2022 PBB System Version 1.3 Page 80
BUDGET DETAILS BY CHART OF ACCOUNT, 2022

Operation 910808 910808 - Local and international affiliations 1.0 1.0 1.0 25,000

Use of goods and services 25,000


2210709 Seminars/Conferences/Workshops - Domestic 25,000
Operation 910809 910809 - Citizen participation in local governance 1.0 1.0 1.0 82,000

Use of goods and services 82,000


2210509 Other Travel and Transportation 25,000
2210709 Seminars/Conferences/Workshops - Domestic 40,000
2210711 Public Education and Sensitization 17,000
Sub-Program 92001004 SP4: Planning, Budgeting, Monitoring and Evaluation and Statistics 70,334

Operation 910108 910108 - MONITORING AND EVALUATON OF PROGRAMMES AND PROJECTS 1.0 1.0 1.0 13,000

Use of goods and services 13,000


2210503 Fuel and Lubricants - Official Vehicles 2,000
2210511 Local travel cost 5,000
2210709 Seminars/Conferences/Workshops - Domestic 6,000
Operation 910805 910805 - Administrative and technical meetings 1.0 1.0 1.0 20,000

Use of goods and services 20,000


2210709 Seminars/Conferences/Workshops - Domestic 20,000
Operation 910810 910810 - Plan and budget preparation 1.0 1.0 1.0 17,334

Use of goods and services 17,334


2210709 Seminars/Conferences/Workshops - Domestic 17,334
Operation 911201 911201 - Budget preparation and Coordination 1.0 1.0 1.0 20,000

Use of goods and services 20,000


2210709 Seminars/Conferences/Workshops - Domestic 20,000
Other expense 66,434
Deepen political and administrative decentralisation
Objective 410101
66,434
Program 92001 Management and Administration
66,434
Sub-Program 92001001 SP1: General Administration 61,434

Operation 910101 910101 - INTERNAL MANAGEMENT OF THE ORGANISATION 1.0 1.0 1.0 46,000

Miscellaneous other expense 46,000


2821010 Contributions 46,000
Operation 910107 910107 - OFFICIAL / NATIONAL CELEBRATIONS 1.0 1.0 1.0 10,000

Miscellaneous other expense 10,000


2821010 Contributions 10,000
Operation 910808 910808 - Local and international affiliations 1.0 1.0 1.0 5,434

Miscellaneous other expense 5,434


2821010 Contributions 5,434
Sub-Program 92001004 SP4: Planning, Budgeting, Monitoring and Evaluation and Statistics 5,000

Operation 910108 910108 - MONITORING AND EVALUATON OF PROGRAMMES AND PROJECTS 1.0 1.0 1.0 5,000

Miscellaneous other expense 5,000


2821010 Contributions 5,000
Non Financial Assets 200,000
Deepen political and administrative decentralisation
Objective 410101
200,000

Keta Municipal - Keta


August 24, 2022 PBB System Version 1.3 Page 81
BUDGET DETAILS BY CHART OF ACCOUNT, 2022

Program 92001 Management and Administration


200,000
Sub-Program 92001001 SP1: General Administration 200,000

Project 910114 910114 - ACQUISITION OF MOVABLES AND IMMOVABLE ASSET 1.0 1.0 1.0 200,000

Fixed assets 200,000


3112101 Motor Vehicle 200,000

Total Cost Centre 3,220,654

Keta Municipal - Keta


August 24, 2022 PBB System Version 1.3 Page 82
BUDGET DETAILS BY CHART OF ACCOUNT, 2022

Amount (GH¢)
Institution 01 Government of Ghana Sector
Fund Type/Source 12200 IGF Total By Fund Source 53,849
Function Code 70112 Financial & fiscal affairs (CS)

1260200001 Keta Municipal - Keta_Finance___Volta


Organisation

Location Code 0402001 Keta

Use of goods and services 53,849


17.1 strengthen domestic resource mob.
Objective 130201
53,849
Program 92001 Management and Administration
53,849
Sub-Program 92001002 SP2: Finance and Audit 53,849

Operation 911301 911301 - Treasury and accounting activities 1.0 1.0 1.0 3,450

Use of goods and services 3,450


2211101 Bank Charges 3,450
Operation 911303 911303 - Revenue collection and management 1.0 1.0 1.0 50,399

Use of goods and services 50,399


2210122 Value Books 9,200
2210509 Other Travel and Transportation 13,800
2210904 Substructure Allowances 27,399
Amount (GH¢)
Institution 01 Government of Ghana Sector
Fund Type/Source 12603 DACF ASSEMBLY Total By Fund Source 20,000
Function Code 70112 Financial & fiscal affairs (CS)

1260200001 Keta Municipal - Keta_Finance___Volta


Organisation

Location Code 0402001 Keta

Use of goods and services 20,000


17.1 strengthen domestic resource mob.
Objective 130201
20,000
Program 92001 Management and Administration
20,000
Sub-Program 92001002 SP2: Finance and Audit 20,000

Operation 911302 911302 - Internal audit operations 1.0 1.0 1.0 20,000

Use of goods and services 20,000


2210509 Other Travel and Transportation 10,000
2210511 Local travel cost 5,000
2210709 Seminars/Conferences/Workshops - Domestic 5,000

Total Cost Centre 73,849

Keta Municipal - Keta


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Amount (GH¢)
Institution 01 Government of Ghana Sector
Fund Type/Source 12602 DACF MP Total By Fund Source 385,000
Function Code 70980 Education n.e.c

1260302000 Keta Municipal - Keta_Education, Youth and Sports_Education_


Organisation

Location Code 0402001 Keta

Use of goods and services 245,000


4.1 Ensure free, equitable and quality edu. for all by 2030
Objective 520101
245,000
Program 92002 Social Services Delivery
245,000
Sub-Program 92002001 SP2.1 Education, youth & sports and Library services 245,000

Operation 910403 910403 - Development of youth, sports and culture 1.0 1.0 1.0 115,000

Use of goods and services 115,000


2210118 Sports, Recreational and Cultural Materials 15,000
2210120 Purchase of Petty Tools/Implements 100,000
Operation 910404 910404 - support toteaching and learning delivery (Schools and Teachers award 1.0 1.0 1.0 130,000
scheme, educational financial support)

Use of goods and services 130,000


2210101 Printed Material and Stationery 30,000
2210509 Other Travel and Transportation 100,000
Other expense 40,000
4.1 Ensure free, equitable and quality edu. for all by 2030
Objective 520101
40,000
Program 92002 Social Services Delivery
40,000
Sub-Program 92002001 SP2.1 Education, youth & sports and Library services 40,000

Operation 910404 910404 - support toteaching and learning delivery (Schools and Teachers award 1.0 1.0 1.0 40,000
scheme, educational financial support)

Miscellaneous other expense 40,000


2821019 Scholarship and Bursaries 40,000
Non Financial Assets 100,000
4.1 Ensure free, equitable and quality edu. for all by 2030
Objective 520101
100,000
Program 92002 Social Services Delivery
100,000
Sub-Program 92002001 SP2.1 Education, youth & sports and Library services 100,000

Project 910114 910114 - ACQUISITION OF MOVABLES AND IMMOVABLE ASSET 1.0 1.0 1.0 100,000

Fixed assets 100,000


3111256 WIP - School Buildings 100,000

Keta Municipal - Keta


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Amount (GH¢)
Institution 01 Government of Ghana Sector
Fund Type/Source 12603 DACF ASSEMBLY Total By Fund Source 647,937
Function Code 70980 Education n.e.c

1260302000 Keta Municipal - Keta_Education, Youth and Sports_Education_


Organisation

Location Code 0402001 Keta

Use of goods and services 45,000


4.1 Ensure free, equitable and quality edu. for all by 2030
Objective 520101
45,000
Program 92002 Social Services Delivery
45,000
Sub-Program 92002001 SP2.1 Education, youth & sports and Library services 45,000

Operation 910115 910115 - MAINTENANCE, REHABILITATION, REFURBISHMENT AND UPGRADING OF 1.0 1.0 1.0 45,000
EXISTING ASSETS

Use of goods and services 45,000


2210607 Repairs of Schools/Colleges 45,000
Non Financial Assets 602,937
4.1 Ensure free, equitable and quality edu. for all by 2030
Objective 520101
602,937
Program 92002 Social Services Delivery
602,937
Sub-Program 92002001 SP2.1 Education, youth & sports and Library services 602,937

Project 910114 910114 - ACQUISITION OF MOVABLES AND IMMOVABLE ASSET 1.0 1.0 1.0 602,937

Fixed assets 602,937


3111256 WIP - School Buildings 502,937
3111353 WIP - Toilets 100,000
Amount (GH¢)
Institution 01 Government of Ghana Sector
Fund Type/Source 14009 DDF Total By Fund Source 332,590
Function Code 70980 Education n.e.c

1260302000 Keta Municipal - Keta_Education, Youth and Sports_Education_


Organisation

Location Code 0402001 Keta

Non Financial Assets 332,590


4.1 Ensure free, equitable and quality edu. for all by 2030
Objective 520101
332,590
Program 92002 Social Services Delivery
332,590
Sub-Program 92002001 SP2.1 Education, youth & sports and Library services 332,590

Project 910114 910114 - ACQUISITION OF MOVABLES AND IMMOVABLE ASSET 1.0 1.0 1.0 332,590

Fixed assets 332,590


3111256 WIP - School Buildings 332,590

Total Cost Centre 1,365,527

Keta Municipal - Keta


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Amount (GH¢)
Institution 01 Government of Ghana Sector
Fund Type/Source 11001 GOG Total By Fund Source 142,140
Function Code 70740 Public health services

1260402001 Keta Municipal - Keta_Health_Environmental Health Unit__Volta


Organisation

Location Code 0402001 Keta

Compensation of employees [GFS] 142,140


Compensation of Employees
Objective 000000
142,140
Program 92002 Social Services Delivery
142,140
Sub-Program 92002003 SP2.3 Environmental Health and sanitation Services 142,140

Operation 000000 0.0 0.0 0.0 142,140

Wages and salaries [GFS] 142,140


2111001 Established Post 142,140
Amount (GH¢)
Institution 01 Government of Ghana Sector
Fund Type/Source 12200 IGF Total By Fund Source 29,464
Function Code 70740 Public health services

1260402001 Keta Municipal - Keta_Health_Environmental Health Unit__Volta


Organisation

Location Code 0402001 Keta

Use of goods and services 29,464


6.2 Achieve access to adeq. and equit. Sanitation and hygiene
Objective 570201
29,464
Program 92002 Social Services Delivery
29,464
Sub-Program 92002003 SP2.3 Environmental Health and sanitation Services 29,464

Operation 910901 910901 - Environmental sanitation Management 1.0 1.0 1.0 29,464

Use of goods and services 29,464


2210205 Sanitation Charges 29,464

Keta Municipal - Keta


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Amount (GH¢)
Institution 01 Government of Ghana Sector
Fund Type/Source 12603 DACF ASSEMBLY Total By Fund Source 562,500
Function Code 70740 Public health services

1260402001 Keta Municipal - Keta_Health_Environmental Health Unit__Volta


Organisation

Location Code 0402001 Keta

Use of goods and services 542,500


6.2 Achieve access to adeq. and equit. Sanitation and hygiene
Objective 570201
542,500
Program 92002 Social Services Delivery
542,500
Sub-Program 92002003 SP2.3 Environmental Health and sanitation Services 542,500

Operation 910107 910107 - OFFICIAL / NATIONAL CELEBRATIONS 1.0 1.0 1.0 5,000

Use of goods and services 5,000


2210902 Official Celebrations 5,000
Operation 910901 910901 - Environmental sanitation Management 1.0 1.0 1.0 532,500

Use of goods and services 532,500


2210205 Sanitation Charges 517,500
2210709 Seminars/Conferences/Workshops - Domestic 15,000
Operation 910903 910903 - Liquid waste management 1.0 1.0 1.0 5,000

Use of goods and services 5,000


2210711 Public Education and Sensitization 5,000
Other expense 20,000
6.2 Achieve access to adeq. and equit. Sanitation and hygiene
Objective 570201
20,000
Program 92002 Social Services Delivery
20,000
Sub-Program 92002003 SP2.3 Environmental Health and sanitation Services 20,000

Operation 910116 910116 - Covid-19 Sanitation related expenditures 1.0 1.0 1.0 20,000

Miscellaneous other expense 20,000


2821010 Contributions 20,000

Total Cost Centre 734,104

Keta Municipal - Keta


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Amount (GH¢)
Institution 01 Government of Ghana Sector
Fund Type/Source 12602 DACF MP Total By Fund Source 110,000
Function Code 70731 General hospital services (IS)

1260403001 Keta Municipal - Keta_Health_Hospital services__Volta


Organisation

Location Code 0402001 Keta

Use of goods and services 110,000


3.8 Ach. univ. health coverage, incl. fin. risk prot., access to qual. health-care serv.
Objective 530101
110,000
Program 92002 Social Services Delivery
110,000
Sub-Program 92002002 SP2.2 Public Health Services and management 110,000

Operation 910502 910502 - Clinical services 1.0 1.0 1.0 95,000

Use of goods and services 95,000


2210404 Hotel Accommodations 95,000
Operation 910503 910503 - Public Health services 1.0 1.0 1.0 15,000

Use of goods and services 15,000


2210709 Seminars/Conferences/Workshops - Domestic 15,000

Keta Municipal - Keta


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Amount (GH¢)
Institution 01 Government of Ghana Sector
Fund Type/Source 12603 DACF ASSEMBLY Total By Fund Source 247,433
Function Code 70731 General hospital services (IS)

1260403001 Keta Municipal - Keta_Health_Hospital services__Volta


Organisation

Location Code 0402001 Keta

Use of goods and services 42,433


3.3 End epidemics of AIDS, TB, malaria and trop. Diseases by 2030
Objective 540201
42,433
Program 92002 Social Services Delivery
42,433
Sub-Program 92002002 SP2.2 Public Health Services and management 42,433

Operation 910501 910501 - District response initiative (DRI) on HIV/AIDS and Malaria 1.0 1.0 1.0 42,433

Use of goods and services 42,433


2210709 Seminars/Conferences/Workshops - Domestic 42,433
Other expense 5,000
3.8 Ach. univ. health coverage, incl. fin. risk prot., access to qual. health-care serv.
Objective 530101
5,000
Program 92002 Social Services Delivery
5,000
Sub-Program 92002002 SP2.2 Public Health Services and management 5,000

Operation 910503 910503 - Public Health services 1.0 1.0 1.0 5,000

Miscellaneous other expense 5,000


2821010 Contributions 5,000
Non Financial Assets 200,000
3.8 Ach. univ. health coverage, incl. fin. risk prot., access to qual. health-care serv.
Objective 530101
200,000
Program 92002 Social Services Delivery
200,000
Sub-Program 92002002 SP2.2 Public Health Services and management 200,000

Project 910114 910114 - ACQUISITION OF MOVABLES AND IMMOVABLE ASSET 1.0 1.0 1.0 200,000

Fixed assets 200,000


3111253 WIP - Health Centres 200,000

Total Cost Centre 357,433

Keta Municipal - Keta


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Amount (GH¢)
Institution 01 Government of Ghana Sector
Fund Type/Source 11001 GOG Total By Fund Source 328,068
Function Code 70421 Agriculture cs

1260600001 Keta Municipal - Keta_Agriculture___Volta


Organisation

Location Code 0402001 Keta

Compensation of employees [GFS] 294,926


Compensation of Employees
Objective 000000
294,926
Program 92004 Economic Development
294,926
Sub-Program 92004001 SP4.1 Agricultural Services and Management 294,926

Operation 000000 0.0 0.0 0.0 294,926

Wages and salaries [GFS] 294,926


2111001 Established Post 294,926
Use of goods and services 33,142
2.1 End hunger and ensure access to sufficient food
Objective 550201
33,142
Program 92004 Economic Development
33,142
Sub-Program 92004001 SP4.1 Agricultural Services and Management 33,142

Operation 910301 910301 - Extension Services 1.0 1.0 1.0 33,142

Use of goods and services 33,142


2210709 Seminars/Conferences/Workshops - Domestic 33,142

Keta Municipal - Keta


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Amount (GH¢)
Institution 01 Government of Ghana Sector
Fund Type/Source 12602 DACF MP Total By Fund Source 130,000
Function Code 70421 Agriculture cs

1260600001 Keta Municipal - Keta_Agriculture___Volta


Organisation

Location Code 0402001 Keta

Use of goods and services 70,000


2.1 End hunger and ensure access to sufficient food
Objective 550201
70,000
Program 92004 Economic Development
70,000
Sub-Program 92004001 SP4.1 Agricultural Services and Management 70,000

Operation 910301 910301 - Extension Services 1.0 1.0 1.0 70,000

Use of goods and services 70,000


2210120 Purchase of Petty Tools/Implements 30,000
2210710 Staff Development 40,000
Other expense 60,000
2.1 End hunger and ensure access to sufficient food
Objective 550201
60,000
Program 92004 Economic Development
60,000
Sub-Program 92004001 SP4.1 Agricultural Services and Management 60,000

Operation 910301 910301 - Extension Services 1.0 1.0 1.0 60,000

Miscellaneous other expense 60,000


2821010 Contributions 60,000
Amount (GH¢)
Institution 01 Government of Ghana Sector
Fund Type/Source 12603 DACF ASSEMBLY Total By Fund Source 30,000
Function Code 70421 Agriculture cs

1260600001 Keta Municipal - Keta_Agriculture___Volta


Organisation

Location Code 0402001 Keta

Use of goods and services 30,000


2.1 End hunger and ensure access to sufficient food
Objective 550201
30,000
Program 92004 Economic Development
30,000
Sub-Program 92004001 SP4.1 Agricultural Services and Management 30,000

Operation 910107 910107 - OFFICIAL / NATIONAL CELEBRATIONS 1.0 1.0 1.0 30,000

Use of goods and services 30,000


2210902 Official Celebrations 30,000

Keta Municipal - Keta


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Amount (GH¢)
Institution 01 Government of Ghana Sector
Fund Type/Source 13132 CIDA Total By Fund Source 61,453
Function Code 70421 Agriculture cs

1260600001 Keta Municipal - Keta_Agriculture___Volta


Organisation

Location Code 0402001 Keta

Use of goods and services 61,453


2.1 End hunger and ensure access to sufficient food
Objective 550201
61,453
Program 92004 Economic Development
61,453
Sub-Program 92004001 SP4.1 Agricultural Services and Management 61,453

Operation 910301 910301 - Extension Services 1.0 1.0 1.0 61,453

Use of goods and services 61,453


2210709 Seminars/Conferences/Workshops - Domestic 61,453

Total Cost Centre 549,521

Keta Municipal - Keta


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Amount (GH¢)
Institution 01 Government of Ghana Sector
Fund Type/Source 11001 GOG Total By Fund Source 112,628
Function Code 70133 Overall planning & statistical services (CS)

1260701001 Keta Municipal - Keta_Physical Planning_Office of Departmental Head__Volta


Organisation

Location Code 0402001 Keta

Compensation of employees [GFS] 99,346


Compensation of Employees
Objective 000000
99,346
Program 92003 Infrastructure Delivery and Management
99,346
Sub-Program 92003002 SP3.2 Physical and Spatial Planning Development 99,346

Operation 000000 0.0 0.0 0.0 99,346

Wages and salaries [GFS] 99,346


2111001 Established Post 99,346
Use of goods and services 13,282
11.3 Enhance inclusive urbanization & capacity for settlement planning
Objective 310102
13,282
Program 92003 Infrastructure Delivery and Management
13,282
Sub-Program 92003002 SP3.2 Physical and Spatial Planning Development 13,282

Operation 911003 911003 - Street Naming and Property Addressing System 1.0 1.0 1.0 13,282

Use of goods and services 13,282


2210709 Seminars/Conferences/Workshops - Domestic 13,282
Amount (GH¢)
Institution 01 Government of Ghana Sector
Fund Type/Source 12603 DACF ASSEMBLY Total By Fund Source 20,000
Function Code 70133 Overall planning & statistical services (CS)

1260701001 Keta Municipal - Keta_Physical Planning_Office of Departmental Head__Volta


Organisation

Location Code 0402001 Keta

Other expense 20,000


11.3 Enhance inclusive urbanization & capacity for settlement planning
Objective 310102
20,000
Program 92003 Infrastructure Delivery and Management
20,000
Sub-Program 92003002 SP3.2 Physical and Spatial Planning Development 20,000

Operation 911003 911003 - Street Naming and Property Addressing System 1.0 1.0 1.0 20,000

Miscellaneous other expense 20,000


2821010 Contributions 20,000

Total Cost Centre 132,628

Keta Municipal - Keta


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Amount (GH¢)
Institution 01 Government of Ghana Sector
Fund Type/Source 11001 GOG Total By Fund Source 241,379
Function Code 70620 Community Development

1260801001 Keta Municipal - Keta_Social Welfare & Community Development_Office of Departmental Head__Volta
Organisation

Location Code 0402001 Keta

Compensation of employees [GFS] 223,987


Compensation of Employees
Objective 000000
223,987
Program 92002 Social Services Delivery
223,987
Sub-Program 92002005 SP2.5 Social Welfare and community services 223,987

Operation 000000 0.0 0.0 0.0 223,987

Wages and salaries [GFS] 223,987


2111001 Established Post 223,987
Use of goods and services 17,392
11.3 Enhance inclusive urbanization & capacity for settlement planning
Objective 310102
17,392
Program 92002 Social Services Delivery
17,392
Sub-Program 92002005 SP2.5 Social Welfare and community services 17,392

Operation 910601 910601 - Social intervention programmes 1.0 1.0 1.0 17,392

Use of goods and services 17,392


2210709 Seminars/Conferences/Workshops - Domestic 17,392

Keta Municipal - Keta


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Amount (GH¢)
Institution 01 Government of Ghana Sector
Fund Type/Source 12603 DACF ASSEMBLY Total By Fund Source 137,300
Function Code 70620 Community Development

1260801001 Keta Municipal - Keta_Social Welfare & Community Development_Office of Departmental Head__Volta
Organisation

Location Code 0402001 Keta

Use of goods and services 10,000


11.3 Enhance inclusive urbanization & capacity for settlement planning
Objective 310102
10,000
Program 92002 Social Services Delivery
10,000
Sub-Program 92002005 SP2.5 Social Welfare and community services 10,000

Operation 910106 910106 - GENDER RELATED ACTIVITIES 1.0 1.0 1.0 10,000

Use of goods and services 10,000


2210709 Seminars/Conferences/Workshops - Domestic 10,000
Other expense 127,300
11.3 Enhance inclusive urbanization & capacity for settlement planning
Objective 310102
127,300
Program 92002 Social Services Delivery
127,300
Sub-Program 92002005 SP2.5 Social Welfare and community services 127,300

Operation 910601 910601 - Social intervention programmes 1.0 1.0 1.0 127,300

Miscellaneous other expense 127,300


2821010 Contributions 127,300
Amount (GH¢)
Institution 01 Government of Ghana Sector
Fund Type/Source 13519 UNICEF Total By Fund Source 25,000
Function Code 70620 Community Development

1260801001 Keta Municipal - Keta_Social Welfare & Community Development_Office of Departmental Head__Volta
Organisation

Location Code 0402001 Keta

Use of goods and services 25,000


11.3 Enhance inclusive urbanization & capacity for settlement planning
Objective 310102
25,000
Program 92002 Social Services Delivery
25,000
Sub-Program 92002005 SP2.5 Social Welfare and community services 25,000

Operation 910604 910604 - Child right promotion and protection 1.0 1.0 1.0 25,000

Use of goods and services 25,000


2210709 Seminars/Conferences/Workshops - Domestic 25,000

Total Cost Centre 403,680

Keta Municipal - Keta


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Amount (GH¢)
Institution 01 Government of Ghana Sector
Fund Type/Source 12603 DACF ASSEMBLY Total By Fund Source 5,000
Function Code 70560 Environmental protection n.e.c

1260900001 Keta Municipal - Keta_Natural Resource Conservation___Volta


Organisation

Location Code 0402001 Keta

Other expense 5,000


15.2 Promote impl. of forests, halt deforestation
Objective 200201
5,000
Program 92005 Environmental Management
5,000
Sub-Program 92005002 SP5.2 Natural Resource Conservation and Management 5,000

Operation 910112 910112 - GREEN ECONOMY ACTIVITIES 1.0 1.0 1.0 5,000

Miscellaneous other expense 5,000


2821010 Contributions 5,000

Total Cost Centre 5,000

Keta Municipal - Keta


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Amount (GH¢)
Institution 01 Government of Ghana Sector
Fund Type/Source 11001 GOG Total By Fund Source 147,593
Function Code 70610 Housing development

1261001001 Keta Municipal - Keta_Works_Office of Departmental Head__Volta


Organisation

Location Code 0402001 Keta

Compensation of employees [GFS] 129,872


Compensation of Employees
Objective 000000
129,872
Program 92003 Infrastructure Delivery and Management
129,872
Sub-Program 92003003 SP3.3 Public Works, rural housing and water management 129,872

Operation 000000 0.0 0.0 0.0 129,872

Wages and salaries [GFS] 129,872


2111001 Established Post 129,872
Use of goods and services 17,721
9.a Facilitate sus. and resilent infrastructure dev.
Objective 270101
17,721
Program 92003 Infrastructure Delivery and Management
17,721
Sub-Program 92003003 SP3.3 Public Works, rural housing and water management 17,721

Operation 911101 911101 - Supervision and regulation of infrastructure development 1.0 1.0 1.0 17,721

Use of goods and services 17,721


2210709 Seminars/Conferences/Workshops - Domestic 17,721
Amount (GH¢)
Institution 01 Government of Ghana Sector
Fund Type/Source 12602 DACF MP Total By Fund Source 100,000
Function Code 70610 Housing development

1261001001 Keta Municipal - Keta_Works_Office of Departmental Head__Volta


Organisation

Location Code 0402001 Keta

Non Financial Assets 100,000


6.1 Achieve univ. and equit access to water
Objective 570102
100,000
Program 92003 Infrastructure Delivery and Management
100,000
Sub-Program 92003003 SP3.3 Public Works, rural housing and water management 100,000

Project 910114 910114 - ACQUISITION OF MOVABLES AND IMMOVABLE ASSET 1.0 1.0 1.0 100,000

Fixed assets 100,000


3113151 WIP - Electrical Networks 50,000
3113162 WIP - Water Systems 50,000

Keta Municipal - Keta


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Amount (GH¢)
Institution 01 Government of Ghana Sector
Fund Type/Source 12603 DACF ASSEMBLY Total By Fund Source 1,139,334
Function Code 70610 Housing development

1261001001 Keta Municipal - Keta_Works_Office of Departmental Head__Volta


Organisation

Location Code 0402001 Keta

Use of goods and services 424,334


9.a Facilitate sus. and resilent infrastructure dev.
Objective 270101
424,334
Program 92003 Infrastructure Delivery and Management
424,334
Sub-Program 92003003 SP3.3 Public Works, rural housing and water management 424,334

Operation 910115 910115 - MAINTENANCE, REHABILITATION, REFURBISHMENT AND UPGRADING OF 1.0 1.0 1.0 424,334
EXISTING ASSETS

Use of goods and services 424,334


2210602 Repairs of Residential Buildings 424,334
Other expense 20,000
9.a Facilitate sus. and resilent infrastructure dev.
Objective 270101
20,000
Program 92003 Infrastructure Delivery and Management
20,000
Sub-Program 92003003 SP3.3 Public Works, rural housing and water management 20,000

Operation 911101 911101 - Supervision and regulation of infrastructure development 1.0 1.0 1.0 20,000

Miscellaneous other expense 20,000


2821010 Contributions 20,000
Non Financial Assets 695,000
9.a Facilitate sus. and resilent infrastructure dev.
Objective 270101
145,000
Program 92003 Infrastructure Delivery and Management
145,000
Sub-Program 92003003 SP3.3 Public Works, rural housing and water management 145,000

Project 910114 910114 - ACQUISITION OF MOVABLES AND IMMOVABLE ASSET 1.0 1.0 1.0 145,000

Fixed assets 145,000


3111153 WIP - Bungalows/Flat 50,000
3111255 WIP - Office Buildings 95,000
6.1 Achieve univ. and equit access to water
Objective 570102
550,000
Program 92003 Infrastructure Delivery and Management
550,000
Sub-Program 92003003 SP3.3 Public Works, rural housing and water management 550,000

Project 910114 910114 - ACQUISITION OF MOVABLES AND IMMOVABLE ASSET 1.0 1.0 1.0 550,000

Fixed assets 550,000


3111358 WIP - Bridges 300,000
3111360 WIP-Feeder Roads 200,000
3113151 WIP - Electrical Networks 50,000

Total Cost Centre 1,386,927

Keta Municipal - Keta


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Amount (GH¢)
Institution 01 Government of Ghana Sector
Fund Type/Source 12200 IGF Total By Fund Source 103,601
Function Code 70411 General Commercial & economic affairs (CS)

1261101001 Keta Municipal - Keta_Trade, Industry and Tourism_Office of Departmental Head__Volta


Organisation

Location Code 0402001 Keta

Non Financial Assets 103,601


9.3 Incrs access of SMEs to fin. serv
Objective 140602
103,601
Program 92004 Economic Development
103,601
Sub-Program 92004002 SP4.2 Trade, Tourism and Industrial Development 103,601

Project 910114 910114 - ACQUISITION OF MOVABLES AND IMMOVABLE ASSET 1.0 1.0 1.0 103,601

Fixed assets 103,601


3111354 WIP - Markets 103,601
Amount (GH¢)
Institution 01 Government of Ghana Sector
Fund Type/Source 12603 DACF ASSEMBLY Total By Fund Source 60,000
Function Code 70411 General Commercial & economic affairs (CS)

1261101001 Keta Municipal - Keta_Trade, Industry and Tourism_Office of Departmental Head__Volta


Organisation

Location Code 0402001 Keta

Other expense 60,000


9.3 Incrs access of SMEs to fin. serv
Objective 140602
40,000
Program 92004 Economic Development
40,000
Sub-Program 92004002 SP4.2 Trade, Tourism and Industrial Development 40,000

Operation 910202 910202 - Trade Development and Promotion 1.0 1.0 1.0 40,000

Miscellaneous other expense 40,000


2821010 Contributions 40,000
8.9 Devise and implement policies to promote sustainable tourism
Objective 180101
20,000
Program 92004 Economic Development
20,000
Sub-Program 92004002 SP4.2 Trade, Tourism and Industrial Development 20,000

Operation 910203 910203 - Development and promotion of Tourism potentials 1.0 1.0 1.0 20,000

Miscellaneous other expense 20,000


2821010 Contributions 20,000

Total Cost Centre 163,601

Keta Municipal - Keta


August 24, 2022 PBB System Version 1.3 Page 99
BUDGET DETAILS BY CHART OF ACCOUNT, 2022

Amount (GH¢)
Institution 01 Government of Ghana Sector
Fund Type/Source 12603 DACF ASSEMBLY Total By Fund Source 70,000
Function Code 70360 Public order and safety n.e.c

1261500001 Keta Municipal - Keta_Disaster Prevention___Volta


Organisation

Location Code 0402001 Keta

Other expense 70,000


1.5 Reduce vulnerability to climate-related events and disasters
Objective 380102
70,000
Program 92005 Environmental Management
70,000
Sub-Program 92005001 SP5.1 Disaster prevention and Management 70,000

Operation 910112 910112 - GREEN ECONOMY ACTIVITIES 1.0 1.0 1.0 60,000

Miscellaneous other expense 60,000


2821010 Contributions 60,000
Operation 910701 910701 - Disaster management 1.0 1.0 1.0 10,000

Miscellaneous other expense 10,000


2821010 Contributions 10,000

Total Cost Centre 70,000

Keta Municipal - Keta


August 24, 2022 PBB System Version 1.3 Page 100
BUDGET DETAILS BY CHART OF ACCOUNT, 2022

Amount (GH¢)
Institution 01 Government of Ghana Sector
Fund Type/Source 11001 GOG Total By Fund Source 67,157
Function Code 70112 Financial & fiscal affairs (CS)

1261801001 Keta Municipal - Keta_Human Resource_Human Resource_Human Resource Management_Volta


Organisation

Location Code 0402001 Keta

Compensation of employees [GFS] 53,657


Compensation of Employees
Objective 000000
53,657
Program 92001 Management and Administration
53,657
Sub-Program 92001003 SP3: Human Resource Management 53,657

Operation 000000 0.0 0.0 0.0 53,657

Wages and salaries [GFS] 53,657


2111001 Established Post 53,657
Use of goods and services 13,500
Deepen political and administrative decentralisation
Objective 410101
13,500
Program 92001 Management and Administration
13,500
Sub-Program 92001003 SP3: Human Resource Management 13,500

Operation 911803 911803 - Staff Training and skills development 1.0 1.0 1.0 13,500

Use of goods and services 13,500


2210709 Seminars/Conferences/Workshops - Domestic 13,500
Amount (GH¢)
Institution 01 Government of Ghana Sector
Fund Type/Source 12603 DACF ASSEMBLY Total By Fund Source 35,000
Function Code 70112 Financial & fiscal affairs (CS)

1261801001 Keta Municipal - Keta_Human Resource_Human Resource_Human Resource Management_Volta


Organisation

Location Code 0402001 Keta

Use of goods and services 35,000


Deepen political and administrative decentralisation
Objective 410101
35,000
Program 92001 Management and Administration
35,000
Sub-Program 92001003 SP3: Human Resource Management 35,000

Operation 910102 910102 - PROCUREMENT OF OFFICE SUPPLIES AND CONSUMABLES 1.0 1.0 1.0 23,000

Use of goods and services 23,000


2210101 Printed Material and Stationery 23,000
Operation 911803 911803 - Staff Training and skills development 1.0 1.0 1.0 12,000

Use of goods and services 12,000


2210509 Other Travel and Transportation 2,000
2210710 Staff Development 10,000

Keta Municipal - Keta


August 24, 2022 PBB System Version 1.3 Page 101
BUDGET DETAILS BY CHART OF ACCOUNT, 2022

Amount (GH¢)
Institution 01 Government of Ghana Sector
Fund Type/Source 14009 DDF Total By Fund Source 45,859
Function Code 70112 Financial & fiscal affairs (CS)

1261801001 Keta Municipal - Keta_Human Resource_Human Resource_Human Resource Management_Volta


Organisation

Location Code 0402001 Keta

Use of goods and services 45,859


Deepen political and administrative decentralisation
Objective 410101
45,859
Program 92001 Management and Administration
45,859
Sub-Program 92001003 SP3: Human Resource Management 45,859

Operation 911803 911803 - Staff Training and skills development 1.0 1.0 1.0 45,859

Use of goods and services 45,859


2210710 Staff Development 45,859

Total Cost Centre 148,016

Keta Municipal - Keta


August 24, 2022 PBB System Version 1.3 Page 102
BUDGET DETAILS BY CHART OF ACCOUNT, 2022

Amount (GH¢)
Institution 01 Government of Ghana Sector
Fund Type/Source 11001 GOG Total By Fund Source 36,825
Function Code 70112 Financial & fiscal affairs (CS)

1261901001 Keta Municipal - Keta_Statistics_Statistics_Statistics_Volta


Organisation

Location Code 0402001 Keta

Compensation of employees [GFS] 23,325


Compensation of Employees
Objective 000000
23,325
Program 92001 Management and Administration
23,325
Sub-Program 92001004 SP4: Planning, Budgeting, Monitoring and Evaluation and Statistics 23,325

Operation 000000 0.0 0.0 0.0 23,325

Wages and salaries [GFS] 23,325


2111001 Established Post 23,325
Use of goods and services 13,500
17.18 Enhance capacity for high-quality, timely and reliable data
Objective 510302
13,500
Program 92001 Management and Administration
13,500
Sub-Program 92001004 SP4: Planning, Budgeting, Monitoring and Evaluation and Statistics 13,500

Operation 911702 911702 - Coordination and Harmonization of data 1.0 1.0 1.0 13,500

Use of goods and services 13,500


2210709 Seminars/Conferences/Workshops - Domestic 13,500
Amount (GH¢)
Institution 01 Government of Ghana Sector
Fund Type/Source 12603 DACF ASSEMBLY Total By Fund Source 10,000
Function Code 70112 Financial & fiscal affairs (CS)

1261901001 Keta Municipal - Keta_Statistics_Statistics_Statistics_Volta


Organisation

Location Code 0402001 Keta

Use of goods and services 10,000


17.18 Enhance capacity for high-quality, timely and reliable data
Objective 510302
10,000
Program 92001 Management and Administration
10,000
Sub-Program 92001004 SP4: Planning, Budgeting, Monitoring and Evaluation and Statistics 10,000

Operation 911702 911702 - Coordination and Harmonization of data 1.0 1.0 1.0 10,000

Use of goods and services 10,000


2210509 Other Travel and Transportation 5,000
2210709 Seminars/Conferences/Workshops - Domestic 5,000

Total Cost Centre 46,825

Total Vote 8,657,765

Keta Municipal - Keta


August 24, 2022 PBB System Version 1.3 Page 103
2022 APPROPRIATION
SUMMARY OF EXPENDITURE BY PROGRAM, ECONOMIC CLASSIFICATION AND FUNDING (in GH Cedis)

Central GOG and CF I G F F U N D S / OTHERS Development Partner Funds Grand


Compensation Comp.
Capex Tot. External Total
SECTOR / MDA / MMDA of Employees Goods/Service Capex Total GoG of Emp Goods/Service Capex Total IGF STATUTORY Capex ABFA Others Goods Service

Keta Municipal - Keta 3,116,867 2,634,872 1,923,117 7,674,856 34,500 379,905 103,601 518,007 0 0 0 132,312 332,590 464,902 8,657,765

Management and Administration 2,226,596 606,768 225,180 3,058,543 34,500 350,441 0 384,941 0 0 0 45,859 0 45,859 3,489,343

SP1: General Administration 2,149,613 439,434 225,180 2,814,227 34,500 296,592 0 331,092 0 0 0 0 0 0 3,145,320

SP2: Finance and Audit 0 20,000 0 20,000 0 53,849 0 53,849 0 0 0 0 0 0 73,849

SP3: Human Resource Management 53,657 48,500 0 102,157 0 0 0 0 0 0 0 45,859 0 45,859 148,016

SP4: Planning, Budgeting, Monitoring and 23,325 98,834 0 122,159 0 0 0 0 0 0 0 0 0 0 122,159


Evaluation and Statistics
Social Services Delivery 366,127 1,204,626 902,937 2,473,690 0 29,464 0 29,464 0 0 0 25,000 332,590 357,590 2,860,744

SP2.1 Education, youth & sports and Library 0 330,000 702,937 1,032,937 0 0 0 0 0 0 0 0 332,590 332,590 1,365,527
services
SP2.2 Public Health Services and management 0 157,433 200,000 357,433 0 0 0 0 0 0 0 0 0 0 357,433

SP2.3 Environmental Health and sanitation 142,140 562,500 0 704,640 0 29,464 0 29,464 0 0 0 0 0 0 734,104
Services
SP2.5 Social Welfare and community services 223,987 154,692 0 378,680 0 0 0 0 0 0 0 25,000 0 25,000 403,680

Infrastructure Delivery and Management 229,218 495,337 795,000 1,519,555 0 0 0 0 0 0 0 0 0 0 1,519,555

SP3.2 Physical and Spatial Planning 99,346 33,282 0 132,628 0 0 0 0 0 0 0 0 0 0 132,628


Development
SP3.3 Public Works, rural housing and water 129,872 462,055 795,000 1,386,927 0 0 0 0 0 0 0 0 0 0 1,386,927
management
Economic Development 294,926 253,142 0 548,068 0 0 103,601 103,601 0 0 0 61,453 0 61,453 713,123

SP4.1 Agricultural Services and Management 294,926 193,142 0 488,068 0 0 0 0 0 0 0 61,453 0 61,453 549,521

SP4.2 Trade, Tourism and Industrial Development 0 60,000 0 60,000 0 0 103,601 103,601 0 0 0 0 0 0 163,601

Environmental Management 0 75,000 0 75,000 0 0 0 0 0 0 0 0 0 0 75,000

SP5.1 Disaster prevention and Management 0 70,000 0 70,000 0 0 0 0 0 0 0 0 0 0 70,000

SP5.2 Natural Resource Conservation and 0 5,000 0 5,000 0 0 0 0 0 0 0 0 0 0 5,000


Management

August 24, 2022 18:10:27 Page 104


Expenditure Summary by Sustainable Development Goals In GH¢

2022 2023 2024


Economic Classification Budget forecast forecast

Keta Municipal - Keta 4,375,499 4,375,499 4,419,254

1_No Poverty 70,000 70,000 70,700

11_Sustainable Cities and Communities 212,974 212,974 215,104

15_Life On Land 5,000 5,000 5,050

97,349 97,349 98,322


17_Partnerships for the Goals
254,595 254,595 257,141
2_Zero Hunger
357,433 357,433 361,008
3_Good Health and Well-Being
1,365,527 1,365,527 1,379,182
4_ Quality Education
1,241,964 1,241,964 1,254,384
6_Clean Water and Sanitation
20,000 20,000 20,200
8_ Decent Work and Economic Growth
750,656 750,656 758,163
9_Industry, Innovation, and Infrastructure

Grand Total 0 0 0 4,375,499 4,375,499 4,419,254

PBB System Version 1.3 Printed on August 24, 2022 Page 105
Keta Municipal - Keta
Expenditure by Operation Broad Category and Standardised Operation In GH¢

2020 2021 2022 2023 2024


MMDA and Standardised Operation Actual Budget Est. Outturn Budget forecast forecast

Keta Municipal - Keta 0 0 0 5,506,398 5,506,398 5,561,462

9101 - Generic Operations 0 0 0 3,569,435 3,569,435 3,605,129

910101 - INTERNAL MANAGEMENT OF THE 0 0 0 353,257 353,257 356,789


ORGANISATION
910102 - PROCUREMENT OF OFFICE SUPPLIES AND 0 0 0 45,300 45,300 45,753
CONSUMABLES
910105 - PROCUREMENT OF OFFICE EQUIPMENT 0 0 0 42,600 42,600 43,026
AND LOGISTICS
910106 - GENDER RELATED ACTIVITIES 0 0 0 10,000 10,000 10,100

910107 - OFFICIAL / NATIONAL CELEBRATIONS 0 0 0 46,000 46,000 46,460

910108 - MONITORING AND EVALUATON OF 0 0 0 18,000 18,000 18,180


PROGRAMMES AND PROJECTS
910112 - GREEN ECONOMY ACTIVITIES 0 0 0 65,000 65,000 65,650

910113 - ADMINISTRATIVE AND TECHNICAL 0 0 0 25,000 25,000 25,250


MEETINGS
910114 - ACQUISITION OF MOVABLES AND 0 0 0 2,359,308 2,359,308 2,382,902
IMMOVABLE ASSET
910115 - MAINTENANCE, REHABILITATION, 0 0 0 584,970 584,970 590,819
REFURBISHMENT AND UPGRADING OF EXISTING
910116 - Covid-19 Sanitation related expenditures 0 0 0 20,000 20,000 20,200

9102 - TRADE AND INDUSTRY 0 0 0 60,000 60,000 60,600

910202 - Trade Development and Promotion 0 0 0 40,000 40,000 40,400

910203 - Development and promotion of Tourism 0 0 0 20,000 20,000 20,200


potentials
9103 - AGRICULTURE 0 0 0 224,595 224,595 226,841

910301 - Extension Services 0 0 0 224,595 224,595 226,841

9104 - EDUCATION 0 0 0 285,000 285,000 287,850

910403 - Development of youth, sports and culture 0 0 0 115,000 115,000 116,150

910404 - support toteaching and learning delivery 0 0 0 170,000 170,000 171,700


(Schools and Teachers award scheme, educational
9105 - HEALTH 0 0 0 157,433 157,433 159,008

910501 - District response initiative (DRI) on HIV/AIDS 0 0 0 42,433 42,433 42,858


and Malaria
910502 - Clinical services 0 0 0 95,000 95,000 95,950

910503 - Public Health services 0 0 0 20,000 20,000 20,200

9106 - SOCIAL WELFARE AND COMMUNITY 0 0 0 169,692 169,692 171,389


DEVELOPMENT
910601 - Social intervention programmes 0 0 0 144,692 144,692 146,139

910604 - Child right promotion and protection 0 0 0 25,000 25,000 25,250

9107 - DISASTER PREVENTION 0 0 0 10,000 10,000 10,100

ACTIVATE SOFTWARE Printed on August 24, 2022


Keta Municipal - Keta Page 106
Expenditure by Operation Broad Category and Standardised Operation In GH¢

2020 2021 2022 2023 2024


MMDA and Standardised Operation Actual Budget Est. Outturn Budget forecast forecast

910701 - Disaster management 0 0 0 10,000 10,000 10,100

9108 - CENTRAL ADMINISTRATION 0 0 0 203,568 203,568 205,603

910801 - Procurement management 0 0 0 8,000 8,000 8,080

910804 - Legislative enactment and oversight 0 0 0 16,000 16,000 16,160

910805 - Administrative and technical meetings 0 0 0 20,000 20,000 20,200

910806 - Security management 0 0 0 22,750 22,750 22,978

910808 - Local and international affiliations 0 0 0 30,434 30,434 30,738

910809 - Citizen participation in local governance 0 0 0 82,000 82,000 82,820

910810 - Plan and budget preparation 0 0 0 17,334 17,334 17,507

910811 - Legal Services 0 0 0 7,050 7,050 7,121

9109 - WASTE MANAGEMENT 0 0 0 566,964 566,964 572,634

910901 - Environmental sanitation Management 0 0 0 561,964 561,964 567,584

910903 - Liquid waste management 0 0 0 5,000 5,000 5,050

9110 - PHYSICAL PLANNING 0 0 0 33,282 33,282 33,615

911003 - Street Naming and Property Addressing System 0 0 0 33,282 33,282 33,615

9111 - WORKS 0 0 0 37,721 37,721 38,098

911101 - Supervision and regulation of infrastructure 0 0 0 37,721 37,721 38,098


development
9112 - BUDGET AND RATING 0 0 0 20,000 20,000 20,200

911201 - Budget preparation and Coordination 0 0 0 20,000 20,000 20,200

9113 - FINANCE 0 0 0 73,849 73,849 74,587

911301 - Treasury and accounting activities 0 0 0 3,450 3,450 3,485

911302 - Internal audit operations 0 0 0 20,000 20,000 20,200

911303 - Revenue collection and management 0 0 0 50,399 50,399 50,903

9117 - Department of Statistics 0 0 0 23,500 23,500 23,735

911702 - Coordination and Harmonization of data 0 0 0 23,500 23,500 23,735

9118 - DEPARTMENT OF HUMAN RESOURCES 0 0 0 71,359 71,359 72,073

911803 - Staff Training and skills development 0 0 0 71,359 71,359 72,073

ACTIVATE SOFTWARE Printed on August 24, 2022


Keta Municipal - Keta Page 107
Expenditure by Operation Broad Category and Standardised Operation In GH¢

2020 2021 2022 2023 2024


MMDA and Standardised Operation Actual Budget Est. Outturn Budget forecast forecast

Grand Total 0 0 0 5,506,398 5,506,398 5,561,462

ACTIVATE SOFTWARE Printed on August 24, 2022


Keta Municipal - Keta Page 108
Expenditure by Operation and Source of Funding In GH¢

2022 2023 2024


MDA and Standardised Operation Budget forecast forecast

Keta Municipal - Keta 5,517,898 5,518,013 5,573,077

11,500 11,615 11,615

IGF Sources 11,500 11,615 11,615

910101 - INTERNAL MANAGEMENT OF THE ORGANISATION 353,257 353,257 356,789

IGF Sources 232,257 232,257 234,579

DACF MP Sources 60,000 60,000 60,600

DACF ASSEMBLY Sources 61,000 61,000 61,610

45,300 45,300 45,753


910102 - PROCUREMENT OF OFFICE SUPPLIES AND CONSUMABLES
IGF Sources 2,300 2,300 2,323

DACF ASSEMBLY Sources 43,000 43,000 43,430

42,600 42,600 43,026


910105 - PROCUREMENT OF OFFICE EQUIPMENT AND LOGISTICS
IGF Sources 4,600 4,600 4,646

DACF ASSEMBLY Sources 38,000 38,000 38,380

10,000 10,000 10,100


910106 - GENDER RELATED ACTIVITIES
DACF ASSEMBLY Sources 10,000 10,000 10,100

910107 - OFFICIAL / NATIONAL CELEBRATIONS 46,000 46,000 46,460

IGF Sources 1,000 1,000 1,010

DACF ASSEMBLY Sources 45,000 45,000 45,450

910108 - MONITORING AND EVALUATON OF PROGRAMMES AND PROJECTS 18,000 18,000 18,180

DACF ASSEMBLY Sources 18,000 18,000 18,180

65,000 65,000 65,650


910112 - GREEN ECONOMY ACTIVITIES
DACF ASSEMBLY Sources 65,000 65,000 65,650

25,000 25,000 25,250


910113 - ADMINISTRATIVE AND TECHNICAL MEETINGS
DACF ASSEMBLY Sources 25,000 25,000 25,250

2,359,308 2,359,308 2,382,902


910114 - ACQUISITION OF MOVABLES AND IMMOVABLE ASSET
GOG Sources 25,180 25,180 25,432

IGF Sources 103,601 103,601 104,637

DACF MP Sources 200,000 200,000 202,000

DACF ASSEMBLY Sources 1,697,937 1,697,937 1,714,916

DDF Sources 332,590 332,590 335,916

910115 - MAINTENANCE, REHABILITATION, REFURBISHMENT AND UPGRADING OF EXISTING ASS 584,970 584,970 590,819

IGF Sources 30,636 30,636 30,942

DACF ASSEMBLY Sources 554,334 554,334 559,877

910116 - Covid-19 Sanitation related expenditures 20,000 20,000 20,200

DACF ASSEMBLY Sources 20,000 20,000 20,200

40,000 40,000 40,400


910202 - Trade Development and Promotion
DACF ASSEMBLY Sources 40,000 40,000 40,400

20,000 20,000 20,200


910203 - Development and promotion of Tourism potentials
DACF ASSEMBLY Sources 20,000 20,000 20,200

PBB System Version 1.3 Printed on August 24, 2022 Page 109
Keta Municipal - Keta
Expenditure by Operation and Source of Funding In GH¢

2022 2023 2024


MDA and Standardised Operation Budget forecast forecast

910301 - Extension Services 224,595 224,595 226,841

GOG Sources 33,142 33,142 33,473

DACF MP Sources 130,000 130,000 131,300

CIDA Sources 61,453 61,453 62,068

115,000 115,000 116,150


910403 - Development of youth, sports and culture
DACF MP Sources 115,000 115,000 116,150

170,000 170,000 171,700


910404 - support toteaching and learning delivery (Schools and Teachers award scheme, education
DACF MP Sources 170,000 170,000 171,700

42,433 42,433 42,858


910501 - District response initiative (DRI) on HIV/AIDS and Malaria
DACF ASSEMBLY Sources 42,433 42,433 42,858

95,000 95,000 95,950


910502 - Clinical services
DACF MP Sources 95,000 95,000 95,950

20,000 20,000 20,200


910503 - Public Health services
DACF MP Sources 15,000 15,000 15,150

DACF ASSEMBLY Sources 5,000 5,000 5,050

910601 - Social intervention programmes 144,692 144,692 146,139

GOG Sources 17,392 17,392 17,566

DACF ASSEMBLY Sources 127,300 127,300 128,573

910604 - Child right promotion and protection 25,000 25,000 25,250

UNICEF Sources 25,000 25,000 25,250

10,000 10,000 10,100


910701 - Disaster management
DACF ASSEMBLY Sources 10,000 10,000 10,100

8,000 8,000 8,080


910801 - Procurement management
DACF ASSEMBLY Sources 8,000 8,000 8,080

16,000 16,000 16,160


910804 - Legislative enactment and oversight
IGF Sources 16,000 16,000 16,160

20,000 20,000 20,200


910805 - Administrative and technical meetings
DACF ASSEMBLY Sources 20,000 20,000 20,200

22,750 22,750 22,978


910806 - Security management
IGF Sources 2,750 2,750 2,778

DACF MP Sources 10,000 10,000 10,100

DACF ASSEMBLY Sources 10,000 10,000 10,100

910808 - Local and international affiliations 30,434 30,434 30,738

DACF ASSEMBLY Sources 30,434 30,434 30,738

910809 - Citizen participation in local governance 82,000 82,000 82,820

DACF ASSEMBLY Sources 82,000 82,000 82,820

17,334 17,334 17,507


910810 - Plan and budget preparation
DACF ASSEMBLY Sources 17,334 17,334 17,507

PBB System Version 1.3 Printed on August 24, 2022 Page 110
Keta Municipal - Keta
Expenditure by Operation and Source of Funding In GH¢

2022 2023 2024


MDA and Standardised Operation Budget forecast forecast

910811 - Legal Services 7,050 7,050 7,121

IGF Sources 7,050 7,050 7,121

910901 - Environmental sanitation Management 561,964 561,964 567,584

IGF Sources 29,464 29,464 29,759

DACF ASSEMBLY Sources 532,500 532,500 537,825

5,000 5,000 5,050


910903 - Liquid waste management
DACF ASSEMBLY Sources 5,000 5,000 5,050

33,282 33,282 33,615


911003 - Street Naming and Property Addressing System
GOG Sources 13,282 13,282 13,415

DACF ASSEMBLY Sources 20,000 20,000 20,200

37,721 37,721 38,098


911101 - Supervision and regulation of infrastructure development
GOG Sources 17,721 17,721 17,898

DACF ASSEMBLY Sources 20,000 20,000 20,200

20,000 20,000 20,200


911201 - Budget preparation and Coordination
DACF ASSEMBLY Sources 20,000 20,000 20,200

911301 - Treasury and accounting activities 3,450 3,450 3,485

IGF Sources 3,450 3,450 3,485

911302 - Internal audit operations 20,000 20,000 20,200

DACF ASSEMBLY Sources 20,000 20,000 20,200

50,399 50,399 50,903


911303 - Revenue collection and management
IGF Sources 50,399 50,399 50,903

23,500 23,500 23,735


911702 - Coordination and Harmonization of data
GOG Sources 13,500 13,500 13,635

DACF ASSEMBLY Sources 10,000 10,000 10,100

71,359 71,359 72,073


911803 - Staff Training and skills development
GOG Sources 13,500 13,500 13,635

DACF ASSEMBLY Sources 12,000 12,000 12,120

DDF Sources 45,859 45,859 46,318

Grand Total 0 0 0 5,517,898 5,518,013 5,573,077

PBB System Version 1.3 Printed on August 24, 2022 Page 111
Keta Municipal - Keta
Expenditure by Functions of Government and Source of Funding In GH¢

2022 2023 2024


Functional Classification Budget forecast forecast

Keta Municipal - Keta 5,517,898 5,518,013 5,573,077

70111 Exec. & leg. Organs (cs) 1,048,040 1,048,155 1,058,521

GOG Sources 25,180 25,180 25,432

IGF Sources 308,092 308,207 311,173

DACF MP Sources 70,000 70,000 70,700

DACF ASSEMBLY Sources 644,768 644,768 651,215

70112 Financial & fiscal affairs (CS) 191,708 191,708 193,625

GOG Sources 27,000 27,000 27,270

IGF Sources 53,849 53,849 54,387

DACF ASSEMBLY Sources 65,000 65,000 65,650

DDF Sources 45,859 45,859 46,318

70133 Overall planning & statistical services (CS) 33,282 33,282 33,615

GOG Sources 13,282 13,282 13,415

DACF ASSEMBLY Sources 20,000 20,000 20,200

70360 Public order and safety n.e.c 70,000 70,000 70,700

DACF ASSEMBLY Sources 70,000 70,000 70,700

70411 General Commercial & economic affairs (CS) 163,601 163,601 165,237

IGF Sources 103,601 103,601 104,637

DACF ASSEMBLY Sources 60,000 60,000 60,600

70421 Agriculture cs 254,595 254,595 257,141

GOG Sources 33,142 33,142 33,473

DACF MP Sources 130,000 130,000 131,300

DACF ASSEMBLY Sources 30,000 30,000 30,300

CIDA Sources 61,453 61,453 62,068

70560 Environmental protection n.e.c 5,000 5,000 5,050

DACF ASSEMBLY Sources 5,000 5,000 5,050

70610 Housing development 1,257,055 1,257,055 1,269,626

GOG Sources 17,721 17,721 17,898

DACF MP Sources 100,000 100,000 101,000

DACF ASSEMBLY Sources 1,139,334 1,139,334 1,150,727

70620 Community Development 179,692 179,692 181,489

GOG Sources 17,392 17,392 17,566

DACF ASSEMBLY Sources 137,300 137,300 138,673

UNICEF Sources 25,000 25,000 25,250

70731 General hospital services (IS) 357,433 357,433 361,008

DACF MP Sources 110,000 110,000 111,100

DACF ASSEMBLY Sources 247,433 247,433 249,908

PBB System Version 1.3 Printed on August 24, 2022 Page 112
Keta Municipal - Keta
Expenditure by Functions of Government and Source of Funding In GH¢

2022 2023 2024


Functional Classification Budget forecast forecast

70740 Public health services 591,964 591,964 597,884

IGF Sources 29,464 29,464 29,759

DACF ASSEMBLY Sources 562,500 562,500 568,125

70980 Education n.e.c 1,365,527 1,365,527 1,379,182

DACF MP Sources 385,000 385,000 388,850

DACF ASSEMBLY Sources 647,937 647,937 654,416

DDF Sources 332,590 332,590 335,916

Grand Total 0 0 0 5,517,898 5,518,013 5,573,077

PBB System Version 1.3 Printed on August 24, 2022 Page 113
Keta Municipal - Keta
Expenditure Summary by Classification of Function of Government In GH¢

2022 2023 2024


Functional Classification Budget forecast forecast

Keta Municipal - Keta 5,517,898 5,518,013 5,573,077

70111 Exec. & leg. Organs (cs) 1,048,040 1,048,155 1,058,521

70112 Financial & fiscal affairs (CS) 191,708 191,708 193,625

70133 Overall planning & statistical services (CS) 33,282 33,282 33,615

70360 Public order and safety n.e.c 70,000 70,000 70,700

70411 General Commercial & economic affairs (CS) 163,601 163,601 165,237

70421 Agriculture cs 254,595 254,595 257,141

70560 Environmental protection n.e.c 5,000 5,000 5,050

70610 Housing development 1,257,055 1,257,055 1,269,626

70620 Community Development 179,692 179,692 181,489

70731 General hospital services (IS) 357,433 357,433 361,008

70740 Public health services 591,964 591,964 597,884

70980 Education n.e.c 1,365,527 1,365,527 1,379,182

Grand Total 0 0 0 5,517,898 5,518,013 5,573,077

PBB System Version 1.3 Printed on August 24, 2022 Page 114
Keta Municipal - Keta

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