The following schedules and exhibits are to be used in conjunction with this chapter.
COMPANY NAME RATE BASE STATEMENT - GENERATION AND DISTRIBUTION PER BOOKS AS OF --/--/-- | Exhibit No.: Witness:___ Schedule 23 |
| (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 | 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 | |
Note: Column (1) amounts for utilities subject to § 56-585.1 of the Code of Virginia shall come from Schedule 22 Column (7). |
COMPANY NAME RATE BASE STATEMENT REFLECTING RATEMAKING ADJUSTMENTS AS OF --/--/-- | Exhibit No.: Witness: Schedule 24 |
| (1) | (2) | (3) |
LINE NO. | | Per Books Virginia Juris. Cost of Service | Ratemaking Adjustments | Virginia Jurisdictional Cost of Service after Adjustments (1)+(2) |
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: Column (1) amounts for utilities subject to § 56-585.1 of the Code of Virginia shall come from Schedule 23 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 22 Column (3). |
COMPANY NAME DETAIL OF RATEMAKING ADJUSTMENTS REFLECTED IN COL. (--) OF SCHEDULES -- AND -- | Exhibit No.: __ Witness:___ Schedule 25 |
ADJ. NO. | ADJUSTMENT | AMOUNT |
INCOME ADJUSTMENTS |
OPERATING REVENUE ADJUSTMENTS |
OPERATION AND MAINTENANCE EXPENSE ADJUSTMENTS |
DEPRECIATION EXPENSE ADJUSTMENTS |
INCOME TAX ADJUSTMENTS |
TAXES OTHER THAN INCOME ADJUSTMENTS |
GAIN ON PROPERTY DISPOSITION ADJUSTMENTS |
CHARITABLE DONATION 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 |
COMPANY NAME REVENUE REQUIREMENT RECONCILIATION | Schedule 26 |
Revenue Requirement |
Per Books Revenue Deficiency |
Capital Structure Changes |
Rate Base Update |
Other Rate Base Adjustments |
Payroll, Benefits and Payroll Taxes |
Other Business and Affiliate Charges |
Storm Damage |
Decommissioning |
Other Revenue Adjustments |
Other Miscellaneous Adjustments |
Company Proposed Revenue Requirement |
Note: The topics or subjects listed above are included for illustrative purposes. Applicant's schedule should include company specific topics/subjects. |
FOR ILLUSTRATIVE PURPOSES ONLY |
COMPANY NAME REVENUE REQUIREMENT RECONCILIATION Supporting Schedule | Supporting Schedule 26 |
(1) | (2) | (3) | (4) | (5) | (6) | (7) |
Amounts | Net of Tax Overall Cost of Capital | Required AOI (1)*(2) | 1-Fit Rate | Subtotal (3)*(4) | Gross-up Factor | Revenue Requirement (5)/(6) |
Per Books Revenue Deficiency Capital Structure Items: ROE from 11.5% to 10.5% (midpoint of range) Capital Structure Changes Total Capital Structure Charges | |
Rate Base Update: Rate Base Update Customer Growth Late Payment Revenues Depreciation Expense Property Tax Expense Liberalized Depreciation Liberalized Depreciation - New Rates Clover Allocation Factor Accumulated Depreciation - Current Rates Total Rate Base Update | |
Other Rate Base Adjustments: Deferred Fuel at 100% Contra-AFC Connection Cash Working Capital on Sch. D and E Total other Rate Base Adjustments | |
Payroll, Benefits and Payroll Taxes: Employee Payroll Fringe Benefits Incentive Pay OPEB Expense Payroll Taxes Total Payroll, Benefits and Payroll Taxes | |
Storm Damage: Storm Damage Expense & Related OT Storm Damage Payroll Taxes Total Storm Damage | |
Other Revenue Adjustments: Transmission Service Revenues Wholesale Contract Renegotiations Total Other Revenue Adjustments | |
Other Miscellaneous Adjustments FIT on per books JDC FIT on other Interest and Preferred Dividends Computer Leases Obsolete Inventory Amortization Nonoperating Expenses Fuel Handling Expense West Virginia State Income Taxes Interest on Customer Deposits Advertising Expense Miscellaneous Charitable Donations Total Other Miscellaneous Adjustments | |
Company Proposed Revenue Requirement | |
COMPANY NAME LEAD/LAG CASH WORKING CAPITAL CALCULATION - ADJUSTED FOR THE YEAR ENDED --/--/-- SUPPORTING COLUMN -- OF SCHEDULE -- | Exhibit No.:____ Witness:_______ Schedule 27 |
| (1) | (2) | (3) | (4) | (5) | (6) | (7) | (8) |
| Virginia Juris. Per Books Amounts | Rulemaking 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 - ADJUSTED AS OF --/--/-- | Exhibit No.: Witness:___ Schedule 28 |
| First Month | Second Month | Third Month | Fourth Month | Fifth Month | Sixth Month | Seventh Month | Eighth Month | Ninth Month | Tenth Month | Eleventh Month | Twelfth Month | Thirteen Month Average |
Additional Uses of Cash Working Capital | |
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 Cash Working Capital | |
| |
Net (Source)/Use of Cash Working Capital | |