The following schedules and exhibits are to be used in conjunction with this chapter.
COMPANY NAME SCHEDULE OF REGULATORY ASSETS AS OF --/--/-- | Exhibit No.: ___ Witness: _____ Schedule 15 |
| (1) | (2) | (3) | (4) | (5) | (6) |
Account Number | Description | Start of Year Date System Amount | Year Juris. Factor | Start of Year Date Juris. Amount | Test Year Amorti-zation Expense | Test Year Accruals | End of Year Date Adjusted Amount |
_____ | Individual Regulatory Asset | |
_____ | Related Deferred Income Tax | |
_____ | |
_____ | Individual Regulatory Asset | |
_____ | Related Deferred Income Tax | |
_____ | |
_____ | Individual Regulatory Asset | |
_____ | Related Deferred Income Tax | |
|
Totals | |
COMPANY NAME DETAIL OF REGULATORY ACCOUNTING ADJUSTMENTS REFLECTED IN COL. (--) OF SCHEDULES -- AND -- | Exhibit No.: _________ Witness: ___________ Schedule 16 |
ADJ. NO. | ADJUSTMENT | AMOUNT |
INCOME ADJUSTMENTS |
OPERATING REVENUE ADJUSTMENTS |
OPERATION AND MAINTENANCE EXPENSE ADJUSTMENTS |
DEPRECIATION EXPENSE ADJUSTMENTS |
INCOME TAXES ADJUSTMENTS |
TAXES OTHER THAN INCOME ADJUSTMENTS |
GAIN ON PROPERTY DISPOSITION ADJUSTMENTS |
CHARITABLE DONATIONS ADJUSTMENTS |
OTHER INTEREST EXPENSE/(INCOME) ADJUSTMENTS |
INTEREST EXPENSE ADJUSTMENTS |
PREFERRED DIVIDENDS ADJUSTMENTS |
JDC CAPITAL EXPENSE ADJUSTMENTS |
ALLOWANCE FOR WORKING CAPITAL ADJUSTMENTS |
ELECTRIC PLANT IN SERVICE ADJUSTMENTS |
PLANT HELD FOR FUTURE USE ADJUSTMENTS |
CONSTRUCTION WORK IN PROGRESS ADJUSTMENTS |
ACCUMULATED DEPRECIATION AND AMORTIZATION ADJUSTMENTS |
OTHER RATE BASE DEDUCTIONS ADJUSTMENTS |
COMMON EQUITY CAPITAL ADJUSTMENTS |
COMPANY NAME LEAD/LAG CASH WORKING CAPITAL CALCULATION - EARNINGS TEST FOR THE YEAR ENDED --/--/-- SUPPORTING COLUMN -- OF SCHEDULE -- | Exhibit No.:____ Witness:_______ Schedule 17 |
| (1) | (2) | (3) | (4) | (5) | (6) | (7) | (8) |
| Virginia Juris. Per Books Amounts | Per Books Regulatory Accounting Adjustments | Amounts After Adj. | Average Daily Amount | Expense (Lead)/Lag Days | Revenue Lag | Net (Lead)/Lag Days | Working Capital (Provided)/ Required |
OPERATING EXPENSES | |
O&M Expenses: | |
Account # - Fuel Clause | |
Account # - Fuel Clause | |
Account # - Fuel Clause | |
Account # - Deferred Fuel | |
Payroll Expense | |
Benefits and Pension Expense | |
OPEB Expense | |
Regulatory Asset Amortization Expense | |
Uncollectible Expense | |
Stores Issues | |
Stored Undistributed | |
Accrued Vacation Expense | |
Prepaid Insurance Amortization Expense | |
Worker's Compensation Expense | |
Directors' Deferred Compensation Exp. | |
Storm Damage Expense | |
Transition Cost Expense | |
Restructuring Expense | |
Contingent Liabilities | |
Other O&M Expenses | |
Depreciation Expense: | |
Depreciation Expense | |
Amortization Expense | |
Amortization Expense | |
Amortization of Regulatory Assets | |
Federal Income Taxes: | |
Current | |
Deferred | |
DFIT on items excluded from Rate Base | |
Deferred ITC | |
State Income Tax Expense | |
Taxes Other Than Income: | |
Property Tax Expense | |
Valuation Tax Expense | |
Business and Occupation Tax Expense | |
Payroll Tax Expense | |
Other Taxes | |
AFUDC | |
Gain/Loss of Disposition of Property | |
Charitable Donations | |
Interest on Customer Deposits | |
Other Expense/Income (A-t-l) | |
Other Income/Expense (B-t-l) | |
Interest Expense | |
Preferred Dividends | |
JDC Expense | |
Income Available for Common Equity | |
Totals | |
| |
Plus: Customer Utility Taxes | |
| |
BALANCE SHEET ITEMS | |
| |
TOTAL CASH WORKING CAPITAL | |
COMPANY NAME BALANCE SHEET ANALYSIS - EARNINGS TEST FOR THE THIRTEEN MONTHS ENDED --/--/-- | Exhibit No.: Witness:___ Schedule 18 |
Additional Uses of Average Cash Working Capital |
Month Prior to Test Yr. | First Month of Test Yr. | Second Month of Test Yr. | Third Month of Test Yr. | Fourth Month of Test Yr. | Fifth Month of Test Yr. | Sixth Month of Test Yr. | Seventh Month of Test Yr. | Eighth Month of Test Yr. | Ninth Month of Test Yr. | Tenth Month of Test Yr. | Eleventh Month of Test Yr. | Twelfth Month of Test Yr. | Thirteen Month Average |
Account Number | Account Title | |
Individual Uses of Cash Working Capital | |
Individual Uses of Cash Working Capital | |
Individual Uses of Cash Working Capital | |
Individual Uses of Cash Working Capital | |
Total Additional Uses of Average Cash Working Capital | |
| |
Additional Sources of Average Cash Working Capital | |
| |
Account Number | Account Title | | Thirteen Month Average |
Individual Sources of Cash Working Capital | |
Individual Sources of Cash Working Capital | |
Individual Sources of Cash Working Capital | |
Individual Sources of Cash Working Capital | |
| |
Total Additional Sources of Average Cash Working Capital | |
| |
Net (Source)/Use of Average Cash Working Capital | |
COMPANY NAME RATE OF RETURN STATEMENT - PER BOOKS FOR THE TEST YEAR ENDED --/--/-- | Exhibit No.: _______ Witness:__________ Schedule 19 |
| (1) | (2) | (3) | (4) | (5) | (6) | (7) |
Line No. | | Total Company | Non-Jurisdictional | Virginia Cost of Service Amount (1)-(2) | Retail Transmission | Generation | Distribution | Virginia Jurisdictional Gen. and Distr. Cost of Service (5)+(6) |
1 | OPERATING REVENUES | |
2 | BASE RATE REVENUES |
3 | FUEL REVENUES |
4 | LATE PAYMENT FEES |
5 | OTHER OPERATING REVENUES |
|
6 | TOTAL OPERATING REVENUES | |
| |
7 | OPERATING REVENUE DEDUCTIONS | |
8 | OPERATION & MAINTENANCE EXPENSE |
9 | DEPRECIATION & AMORTIZATION |
10 | FEDERAL INCOME TAXES |
11 | STATE INCOME TAXES |
12 | TAXES OTHER THAN INCOME TAXES |
13 | GAIN)/LOSS ON DISPOSITION OF PROPERTY |
| |
14 | TOTAL OPERATING REVENUE DEDUCTIONS | |
| |
15 | OPERATING INCOME | |
| |
16 | PLUS: | AFUDC |
17 | LESS: | CHARITABLE DONATIONS |
18 | INTEREST EXPENSE ON CUSTOMER DEPOSITS |
19 | OTHER INTEREST EXPENSE/(INCOME) |
| |
20 | ADJUSTED OPERATING INCOME | |
| |
21 | PLUS: | OTHER INCOME/(EXPENSE) |
22 | LESS: | INTEREST EXPENSE |
23 | PREFERRED DIVIDENDS |
24 | JDC CAPITAL EXPENSE |
| |
25 | INCOME AVAILABLE FOR COMMON EQUITY | |
| |
26 | ALLOWANCE FOR WORKING CAPITAL | |
27 | PLUS: | NET UTILITY PLANT |
28 | LESS: | OTHER RATE BASE DEDUCTIONS |
| |
29 | TOTAL RATE BASE | |
| |
30 | TOTAL CAPITAL | |
| |
31 | COMMON EQUITY CAPITAL | |
| |
32 | % RATE OF RETURN EARNED ON RATE BASE |
33 | % RATE OF RETURN EARNED ON COMMON EQUITY |
34 | % EQUITY RETURN AUTHORIZED |
Notes: For utilities subject to § 56-585.1 of the Code of Virginia, Column (2) nonjurisdictional shall include generation, transmission and distribution amounts attributable to nonjurisdictional customers. Retail transmission shall not be excluded in this column. |
COMPANY NAME RATE OF RETURN STATEMENT GENERATION AND DISTRIBUTION PER BOOKS FOR THE TEST YEAR ENDED --/--/-- | Exhibit No.: Witness:___ Schedule 20 |
| (1) | (2) | (3) | (4) |
Line No. | | Virginia Juris. Cost of Service Including Rate Adjustment Clauses | Rate Adjustment Clause Pursuant to § 56-585.1A 5 b, c or d | Rate Adjustment Clause Pursuant to § 56-585.1A 6 | Virginia Juris. Cost of Service Excluding Rate Adjustment Clauses (1)-(2)-(3) |
1 | OPERATING REVENUES | |
2 | BASE RATE REVENUES | |
3 | FUEL REVENUES | |
4 | LATE PAYMENT FEES | |
5 | OTHER OPERATING REVENUES | |
6 | TOTAL OPERATING REVENUES | |
7 | OPERATING REVENUE DEDUCTIONS | |
8 | OPERATION & MAINTENANCE EXPENSE | |
9 | DEPRECIATION & AMORTIZATION | |
10 | FEDERAL INCOME TAXES | |
11 | STATE INCOME TAXES | |
12 | TAXES OTHER THAN INCOME TAXES | |
13 | (GAIN)/LOSS ON DISPOSITION OF PROPERTY | |
14 | TOTAL OPERATING REVENUE DEDUCTIONS | |
15 | OPERATING INCOME | |
16 | PLUS: | AFUDC |
17 | LESS: | CHARITABLE DONATIONS |
18 | INTEREST EXPENSE ON CUSTOMER DEPOSITS |
19 | OTHER INTEREST EXPENSE/(INCOME) |
20 | ADJUSTED OPERATING INCOME | |
21 | PLUS: | OTHER INCOME/(EXPENSE) |
22 | LESS: | INTEREST EXPENSE |
23 | PREFERRED DIVIDENDS |
24 | JDC CAPITAL EXPENSE |
25 | INCOME AVAILABLE FOR COMMON EQUITY | |
26 | ALLOWANCE FOR WORKING CAPITAL | |
27 | PLUS: NET UTILITY PLANT | |
28 | LESS: OTHER RATE BASE DEDUCTIONS | |
29 | TOTAL RATE BASE | |
30 | TOTAL CAPITAL | |
31 | COMMON EQUITY CAPITAL | |
32 | % RATE OF RETURN EARNED ON RATE BASE | |
33 | % RATE OF RETURN EARNED ON COMMON EQUITY | |
34 | % EQUITY RETURN AUTHORIZED | |
Note: Column (1) amounts for utilities subject to § 56-585.1 of the Code of Virginia shall come from Schedule 19 Column (7), |
COMPANY NAME RATE OF RETURN STATEMENT REFLECTING RATEMAKING ADJUSTMENTS FOR THE TEST YEAR ENDED --/--/-- | Exhibit No.: Witness:___ Schedule 21 |
| (1) | (2) | (3) | (4) | (5) |
LINE NO. | | Virginia Juris. Cost of Service | Ratemaking Adjustments | Virginia Jurisdictional Cost of Service after Adjustments (1)+(2) | Revenue Requirement for a --% ROE | Amounts after Revenue Requirement (3)+(4) |
1 | OPERATING REVENUES | |
2 | BASE RATE REVENUES | |
3 | FUEL REVENUES | |
4 | LATE PAYMENT FEES | |
5 | OTHER OPERATING REVENUES | |
6 | TOTAL OPERATING REVENUES | |
7 | OPERATING REVENUE DEDUCTIONS | |
8 | OPERATION & MAINTENANCE EXPENSE | |
9 | DEPRECIATION & AMORTIZATION | |
10 | FEDERAL INCOME TAXES | |
11 | STATE INCOME TAXES | |
12 | TAXES OTHER THAN INCOME TAXES | |
13 | (GAIN)/LOSS ON DISPOSITION OF PROPERTY | |
14 | TOTAL OPERATING REVENUE DEDUCTIONS | |
15 | OPERATING INCOME | |
16 | PLUS: | AFUDC | |
17 | LESS: | CHARITABLE DONATIONS | |
18 | INTEREST EXPENSE ON CUSTOMER DEPOSITS | |
19 | OTHER INTEREST EXPENSE/(INCOME) | |
20 | ADJUSTED OPERATING INCOME | |
21 | PLUS: | OTHER INCOME/(EXPENSE) | |
22 | LESS: | INTEREST EXPENSE | |
23 | PREFERRED DIVIDENDS | |
24 | JDC CAPITAL EXPENSE | |
25 | INCOME AVAILABLE FOR COMMON EQUITY | |
26 | ALLOWANCE FOR WORKING CAPITAL | |
27 | PLUS: NET UTILITY PLANT | |
28 | LESS: OTHER RATE BASE DEDUCTIONS | |
29 | TOTAL RATE BASE | |
30 | TOTAL CAPITAL | |
31 | COMMON EQUITY CAPITAL | |
32 | % RATE OF RETURN EARNED ON RATE BASE | |
33 | % RATE OF RETURN EARNED ON COMMON EQUITY | |
34 | % EQUITY RETURN AUTHORIZED | |
Note: Column (1) amounts for utilities subject to § 56-585.1 of the Code of Virginia shall come from Schedule 20 Column (4) and shall exclude Rate Adjustment Clauses. Column (1) amounts for utilities not subject to § 56-585.1 of the Code of Virginia shall come from Schedule 19 Column (3). |
COMPANY NAME RATE BASE STATEMENT - PER BOOKS AS OF --/--/-- | Exhibit No.: Witness:___ Schedule 22 |
| | (1) | (2) | (3) | (4) | (5) | (6) | (7) |
LINE NO. | | Total Company | Non-Jurisdictional | Virginia Cost of Service Amount (1)-(2) | Retail Transmission Per Books | Generation Per Books | Distribution Per Books | Virginia Jurisdictional Gen. and Distr. Cost of Service (5)+(6) |
1 | ALLOWANCE FOR WORKING CAPITAL | |
2 | MATERIAL AND SUPPLIES | |
3 | CASH WORKING CAPITAL (LEAD LAG STUDY) | |
4 | DEFERRED FUEL/DEFERRED GAS NET OF FIT | |
5 | OTHER WORKING CAPITAL | |
6 | TOTAL ALLOWANCE FOR WORKING CAPITAL | |
7 | NET UTILITY PLANT | |
8 | UTILITY PLANT IN SERVICE | |
9 | ACQUISITION ADJUSTMENT | |
10 | CONSTRUCTION WORK IN PROGRESS | |
11 | PLANT HELD FOR FUTURE USE | |
12 | LESS: | ACCUMULATED PROVISION FOR DEPRECIATION | |
13 | | AND AMORTIZATION | |
14 | | CUSTOMER ADVANCES FOR CONSTRUCTION | |
15 | TOTAL NET UTILITY PLANT | |
16 | RATE BASE DEDUCTIONS | |
17 | CUSTOMER DEPOSITS | |
18 | SUPPLIER REFUNDS | |
19 | ACCUMULATED DEFERRED INCOME TAXES | |
20 | OTHER COST FREE CAPITAL | |
21 | TOTAL RATE BASE DEDUCTIONS | |
22 | TOTAL RATE BASE | |
Notes: For utilities subject to § 56-585.1 of the Code of Virginia, Column (2) nonjurisdictional shall include generation, transmission and distribution amounts attributable to nonjurisdictional customers. Retail transmission shall not be excluded in this column. |