THIS FILING IS
Item 1:
An Initial (Original) Submission
OR
Resubmission No.

FERC FINANCIAL REPORT
FERC FORM No. 60: Annual Report
of Centralized Service Companies

This report is mandatory under the Public Utility Holding Company Act of 2005, Section 1270, Section 309 of the Federal Power Act and 18 C.F.R. § 366.23. Failure to report may result in criminal fines, civil penalties, and other sanctions as provided by law. The Federal Energy Regulatory Commission does not consider this report to be of a confidential nature.
Exact Legal Name of Respondent (Company)

Year/Period of Report:

End of:
/


GENERAL INSTRUCTIONS FOR FILING FERC FORM NO. 60

  1. Purpose

    Form No. 60 is an annual regulatory support requirement under 18 C.F.R. § 369.1 for centralized service companies. The report is designed to collect financial information from centralized service companies subject to the jurisdiction of the Federal Energy Regulatory Commission. The report is considered to be a non-confidential public use form.
  2. Who Must Submit

    Unless the holding company system is exempted or granted a waiver by Commission rule or order pursuant to 18 C.F.R. § 366.3 and § 366.4 of this chapter, every centralized service company (see § 367.2) in a holding company system must prepare and file electronically with the Commission the FERC Form No. 60 then in effect pursuant to the General Instructions set out in this form.
  3. How to Submit

    Submit FERC Form Nos. 2, 2-A and 3-Q electronically through the eCollection portal at https://eCollection.ferc.gov, and according to the specifications in the Form 60 taxonomy.
  4. When to Submit

    Submit FERC Form No. 60 according to the filing date contained 18 C.F.R. § 369.1 of the Commission’s regulations.
  5. Preparation

    Prepare this report in conformity with the Uniform System of Accounts (18 C.F.R. § 367) (USofA). Interpret all accounting words and phrases in accordance with the USofA.
  6. Time Period

    This report covers the entire calendar year.
  7. Whole Dollar Usage

    Enter in whole numbers (dollars) only, except where otherwise noted. The amounts shown on all supporting pages must agree with the amounts entered on the statements that they support. When applying thresholds to determine significance for reporting purposes, use for balance sheet accounts the balances at the end of the current reporting period, and use for statement of income accounts the current year's amounts.
  8. Accurateness

    Complete each question fully and accurately, even if it has been answered in a previous report. Enter the word "None" where it truly and completely states the fact.
  9. Applicability

    For any page(s) that is not applicable to the respondent, enter "NONE," or "Not Applicable" in column (c) on the List of Schedules, page 2.
  10. Date Format

    Enter the month, day, and year for all dates. Use customary abbreviations. The "Resubmission Date" included in the header of each page is to be completed only for resubmissions (see III. above).
  11. Number Format

    Generally, except for certain schedules, all numbers, whether they are expected to be debits or credits, must be reported as positive. Numbers having a sign that is different from the expected sign must be reported by use of a minus sign.
  12. Required Entries

    Do not make references to reports of previous years or to other reports instead of required entries, except as specifically authorized.
  13. Prior Year References

    Wherever (schedule) pages refer to figures from a previous year, the figures reported must be based upon those shown by the report of the previous year, or an appropriate explanation given as to why the different figures were used.
  14. Where to Send Comments on Public Reporting Burden

    The public reporting burden for the Form No. 60 collection of information is estimated to average 75 hours per response, including

    • the time for reviewing instructions, searching existing data sources,
    • gathering and maintaining the data-needed, and
    • completing and reviewing the collection of information.

    Send comments regarding these burden estimates or any aspect of this collection of information, including suggestions for reducing burden, to:

    Federal Energy Regulatory Commission, (Attention: Information Clearance Officer, CIO ),
    888 First Street NE,
    Washington, DC 20426
    or by email to DataClearance@ferc.gov

    And to:

    Office of Information and Regulatory Affairs,
    Office of Management and Budget, Washington, DC 20503 (Attention: Desk Office for the Federal Energy Regulatory Commission).
    Comments to OMB should be submitted by email to: oira_submission@omb.eop.gov

    No person shall be subject to any penalty if any collection of information does not display a valid control number (44 U.S.C. 3512(a)).

DEFINITIONS
  1. Respondent -- The person, corporation, or other legal entity in whose behalf the report is made.

FERC FORM NO.

REPORT OF CENTRALIZED SERVICE COMPANIES
Identification
01 Exact Legal Name of Respondent

02 Year / Period of Report

/
03 Previous Name (if name changed during the year)

04 Date of Name Change

05 Address of Principal Office at End of Year (Street, City, State, Zip Code)

06 Name of Contact Person

07 Title of Contact Person

08 Address of Contact Person

09 Telephone Number of Contact Person

10 E-mail Address of Contact Person

11 This Report is An Original / A Resubmission

(1)
An Original

(2)
A Resubmission
12 Resubmission Date (Month, Day, Year)

13 Date of Incorporation

14 If Not Incorporated, Date of Organization

15 State or Sovereign Power Under Which Incorporated or Organized

16 Name of Principal Holding Company Under Which Reporting Company is Organized:

CORPORATE OFFICER CERTIFICATION
The undersigned officer certifies that:

I have examined this report and to the best of my knowledge, information, and belief all statements of fact contained in this report are correct statements of the business affairs of the respondent and the financial statements, and other financial information contained in this report, conform in all material respects to the Uniform System of Accounts.

17 Name of Signing Officer

18 Title of Signing Officer

19 Signature of Signing Officer

20 Date Signed (Month, Day, Year)


Name of Respondent:

This Report Is:

(1)
An Original

(2)
A Resubmission
Resubmission Date (Mo, Da, Yr)

Year/Period of Report:

End of:
/
List of Schedules
  1. Enter in Column (c) the terms “None” or “Not Applicable” as appropriate, where no information or amounts have been reported for certain pages.
Line No.
Description
(a)
Page Reference
(b)
Remarks
(c)
1
ScheduleComparativeBalanceSheetAbstract
Schedule I - Comparative Balance Sheet
101
2
ScheduleServiceCompanyPropertyAbstract
Schedule II - Service Company Property
103
3
ScheduleAccumulatedProvisionForDepreciationAndAmortizationOfServiceCompanyPropertyAbstract
Schedule III - Accumulated Provision for Depreciation and Amortization of Service Company Property
104
4
ScheduleInvestmentsAbstract
Schedule IV - Investments
105
4.1
ScheduleOtherInvestmentsAbstract
Schedule IV - Investments - Other Investments
105
4.2
ScheduleOtherSpecialFundsAbstract
Schedule IV - Investments - Other Special Funds
105
4.3
ScheduleTemporaryCashInvestmentsAbstract
Schedule IV - Investments - Temporary Cash Investments
105
5
ScheduleAccountsReceivableFromAssociateCompaniesAbstract
Schedule V - Accounts Receivable from Associate Companies
106
6
ScheduleFuelStockExpensesUndistributedAbstract
Schedule VI - Fuel Stock Expenses Undistributed
107
7
ScheduleStoresExpenseUndistributedAbstract
Schedule VII - Stores Expense Undistributed
108
8
ScheduleMiscellaneousCurrentAndAccruedAssetsAbstract
Schedule VIII - Miscellaneous Current and Accrued Assets
109
9
ScheduleMiscellaneousDeferredDebitsAbstract
Schedule IX - Miscellaneous Deferred Debits
110
10
ScheduleResearchDevelopmentOrDemonstrationExpendituresAbstract
Schedule X - Research, Development, or Demonstration Expenditures
111
11
ScheduleProprietaryCapitalAbstract
Schedule XI - Proprietary Capital
201
12
ScheduleLongTermDebtAbstract
Schedule XII - Long-Term Debt
202
13
ScheduleCurrentAndAccruedLiabilitiesAbstract
Schedule XIII - Current and Accrued Liabilities
203
14
ScheduleNotesToFinancialStatementsAbstract
Schedule XIV - Notes to Financial Statements
204
15
ScheduleStatementOfIncomeAbstract
Schedule XV - Comparative Income Statement
301
16
ScheduleAnalysisOfChargesForServiceAssociateAndNonAssociateCompaniesAbstract
Schedule XVI - Analysis of Charges for Service - Associate and Nonassociate Companies
303
17
ScheduleAnalysisOfBillingAssociateCompaniesAbstract
Schedule XVII - Analysis of Billing - Associate Companies (Account 457)
307
18
ScheduleAnalysisOfBillingNonAssociateCompaniesAbstract
Schedule XVIII - Analysis of Billing - Non-Associate Companies (Account 458)
308
21
ScheduleMiscellaneousGeneralExpensesAbstract
Schedule XIX - Miscellaneous General Expenses - Account 930.2
309
23
ScheduleOrganizationChartAbstract
Schedule XX - Organization Chart
401
24
ScheduleMethodsOfAllocationAbstract
Schedule XXI - Methods of Allocation
402


Name of Respondent:

This Report Is:

(1)
An Original

(2)
A Resubmission
Resubmission Date (Mo, Da, Yr)

Year/Period of Report:

End of:
/
Schedule I - Comparative Balance Sheet
  1. Give balance sheet of the Company as of December 31 of the current and prior year.
Line No.
Account Number
(a)
Description
(b)
Reference Page No.
(c)
As of Dec 31 Current
(d)
As of Dec 31 Prior
(e)
1
ServiceCompanyPropertyAbstract
Service Company Property
2
ServiceCompanyPropertyGross
Service Company Property
103
3
PropertyUnderCapitalLeases
Property Under Capital Leases
103
4
CompletedConstructionNotClassified
Completed Construction Not Classified
5
ConstructionWorkInProgress
Construction Work In Progress
103
6
Property
Total Property (Total Of Lines 2-5)
7
AccumulatedProvisionforDepreciationofServiceCompanyProperty
Less: Accumulated Provision for Depreciation of Service Company Property
104
8
AccumulatedProvisionforAmortizationofServiceCompanyProperty
Less: Accumulated Provision for Amortization of Service Company Property
9
ServiceCompanyPropertyNet
Net Service Company Property (Total of Lines 6-8)
10
InvestmentsAbstract
Investments
11
InvestmentInAssociateCompanies
Investment In Associate Companies
105
12
OtherInvestments
Other Investments
105
13
OtherSpecialFunds
Other Special Funds
105
14
Investments
Total Investments (Total of Lines 11-13)
15
CurrentAndAccruedAssetsAbstract
Current And Accrued Assets
16
Cash
Cash
17
OtherSpecialDeposits
Other Special Deposits
18
WorkingFunds
Working Funds
19
TemporaryCashInvestments
Temporary Cash Investments
105
20
NotesReceivable
Notes Receivable
21
CustomerAccountsReceivable
Customer Accounts Receivable
22
OtherAccountsReceivable
Accounts Receivable
23
AccumulatedProvisionForUncollectibleAccountsCredit
Less: Accumulated Provision for Uncollectible Accounts
23.1
NotesReceivableFromAssociatedCompanies
Notes Receivable From Associate Companies
24
AccountsReceivableFromAssociateCompanies
Accounts Receivable From Associate Companies
106
25
FuelStockExpensesUndistributed
Fuel Stock Expenses Undistributed
107
26
MaterialsAndOperatingSupplies
Materials And Supplies
27
StoresExpenseUndistributed
Stores Expense Undistributed
108
28
Prepayments
Prepayments
29
InterestAndDividendsReceivable
Interest And Dividends Receivable
30
RentsReceivable
Rents Receivable
31
AccruedRevenues
Accrued Revenues
32
MiscellaneousCurrentAndAccruedAssets
Miscellaneous Current and Accrued Assets
109
33
DerivativeInstrumentAssets
Derivative Instrument Assets
34
DerivativeInstrumentAssetsHedges
Derivative Instrument Assets - Hedges
35
CurrentandAccruedAssets
Total Current and Accrued Assets (Total of Lines 16-34)
36
DeferredDebitsAbstract
Deferred Debits
37
UnamortizedDebtExpense
Unamortized Debt Expense
38
OtherRegulatoryAssets
Other Regulatory Assets
39
PreliminarySurveyAndInvestigationCharges
Preliminary Survey And Investigation Charges
40
ClearingAccounts
Clearing Accounts
41
TemporaryFacilities
Temporary Facilities
42
MiscellaneousDeferredDebits
Miscellaneous Deferred Debits
110
43
ResearchDevelopmentOrDemonstrationExpenditures
Research, Development, or Demonstration Expenditures
111
44
UnamortizedLossOnReacquiredDebt
Unamortized Loss on Reacquired Debt
45
AccumulatedDeferredIncomeTaxes
Accumulated Deferred Income Taxes
46
DeferredDebits
Total Deferred Debits (Total of Lines 37-45)
47
AssetsAndOtherDebits
TOTAL ASSETS AND OTHER DEBITS (TOTAL OF LINES 9, 14, 35 and 46)
48
ProprietaryCapitalAbstract
Proprietary Capital
49
CommonStockIssued
Common Stock Issued
201
50
PreferredStockIssued
Preferred Stock Issued
201
51
MiscellaneousPaidInCapital
Miscellaneous Paid-In-Capital
201
52
AppropriatedRetainedEarnings
Appropriated Retained Earnings
201
53
UnappropriatedRetainedEarnings
Unappropriated Retained Earnings
201
54
AccumulatedOtherComprehensiveIncome
Accumulated Other Comprehensive Income
201
55
ProprietaryCapital
Total Proprietary Capital (Total of Lines 49-54)
56
LongTermDebtAbstract
Long-Term Debt
57
AdvancesFromAssociateCompanies
Advances From Associate Companies
202
58
OtherLongTermDebt
Other Long-Term Debt
202
59
UnamortizedPremiumonLongTermDebt
Unamortized Premium on Long-Term Debt
60
UnamortizedDiscountonLongTermDebtDebit
Less: Unamortized Discount on Long-Term Debt-Debit
61
LongTermDebt
Total Long-Term Debt (Total of Lines 57-60)
62
OtherNoncurrentLiabilitiesAbstract
Other Non-current Liabilities
63
ObligationsUnderCapitalLeaseNoncurrent
Obligations Under Capital Leases-Non-current
64
AccumulatedProvisionForInjuriesAndDamages
Accumulated Provision for Injuries and Damages
65
AccumulatedProvisionForPensionsandBenefits
Accumulated Provision For Pensions and Benefits
66
AssetRetirementObligations
Asset Retirement Obligations
67
OtherNoncurrentLiabilities
Total Other Non-current Liabilities (Total of Lines 63-66)
68
CurrentandAccruedLiabilitiesAbstract
Current and Accrued Liabilities
69
NotesPayable
Notes Payable
70
AccountsPayable
Accounts Payable
71
NotesPayableToAssociateCompanies
Notes Payable to Associate Companies
203
72
AccountsPayableToAssociateCompanies
Accounts Payable to Associate Companies
203
73
TaxesAccrued
Taxes Accrued
74
InterestAccrued
Interest Accrued
75
TaxCollectionsPayable
Tax Collections Payable
76
MiscellaneousCurrentAndAccruedLiabilities
Miscellaneous Current and Accrued Liabilities
203
77
ObligationsUnderCapitalLeasesCurrent
Obligations Under Capital Leases - Current
78
DerivativeInstrumentLiabilities
Derivative Instrument Liabilities
79
DerivativeInstrumentLiabilitiesHedges
Derivative Instrument Liabilities - Hedges
80
CurrentAndAccruedLiabilities
Total Current and Accrued Liabilities (Total of Lines 69-79)
81
DeferredCreditsAbstract
Deferred Credits
82
OtherDeferredCredits
Other Deferred Credits
83
OtherRegulatoryLiabilities
Other Regulatory Liabilities
84
AccumulatedDeferredInvestmentTaxCredits
Accumulated Deferred Investment Tax Credits
85
UnamortizedGainOnReacquiredDebt
Unamortized Gain on Reacquired Debt
86
AccumulatedDeferredIncomeTaxesOtherProperty
Accumulated deferred income taxes-Other property
87
AccumulatedDeferredIncomeTaxesOther
Accumulated deferred income taxes-Other
88
DeferredCredits
Total Deferred Credits (Total of Lines 82-87)
89
LiabilitiesAndProprietaryCapital
TOTAL LIABILITIES AND PROPRIETARY CAPITAL (TOTAL OF LINES 55, 61, 67, 80, AND 88)


Name of Respondent:

This Report Is:

(1)
An Original

(2)
A Resubmission
Resubmission Date (Mo, Da, Yr)

Year/Period of Report:

End of:
/
Schedule II - Service Company Property
  1. Provide an explanation of Other Changes recorded in Column (f) considered material in a footnote.
  2. Describe each construction work in progress on lines 18 through 30 in Column (b).
Line No.
Account #
(a)
Title of Account
(b)
Balance at Beginning of Year
(c)
Additions
(d)
Retirements or Sales
(e)
Other Changes
(f)
Balance at End of Year
(g)
1
Organization
2
Miscellaneous Intangible Plant
3
Leasehold Improvements
4
Land and Land Rights
5
Structures and Improvements
6
Office Furniture and Equipment
7
Transportation Equipment
8
Stores Equipment
9
Tools, Shop and Garage Equipment
10
Laboratory Equipment
11
Power Operated Equipment
12
Communications Equipment
13
Miscellaneous Equipment
14
Other Tangible Property
15
Asset Retirement Costs
16
Total Service Company Property (Total of Lines 1-15)
17
Construction Work in Progress:
18
19
20
21
22
23
24
25
26
27
28
29
30
31
Total Account 107 (Total of Lines 18-30)
32
Total (Lines 16 and Line 31)


Name of Respondent:

This Report Is:

(1)
An Original

(2)
A Resubmission
Resubmission Date (Mo, Da, Yr)

Year/Period of Report:

End of:
/
Schedule III - Accumulated Provision for Depreciation and Amortization of Service Company Property
  1. Provide an explanation of Other Charges in Column (f) considered material in a footnote.
Line No.
Account Number
(a)
Description
(b)
Balance at Beginning of Year
(c)
Additions Charged To Account 403-403.1 404-405
(d)
Retirements
(e)
Other Changes Additions (Deductions)
(f)
Balance at Close of Year
(g)
1
Organization
2
Miscellaneous Intangible Plant
3
Leasehold Improvements
4
Land and Land Rights
5
Structures and Improvements
6
Office Furniture and Equipment
7
Transportation Equipment
8
Stores Equipment
9
Tools, Shop and Garage Equipment
10
Laboratory Equipment
11
Power Operated Equipment
12
Communications Equipment
13
Miscellaneous Equipment
14
Other Tangible Property
15
Asset Retirement Costs
16
Total

Name of Respondent:

This Report Is:

(1)
An Original

(2)
A Resubmission
Resubmission Date (Mo, Da, Yr)

Year/Period of Report:

End of:
/
Schedule IV - Investments
  1. For Other Investments (Account 124) and Other Special Funds (Account 128), state each investment separately, with description including the name of issuing company, number of shares held or principal investment amount.
  2. For Temporary Cash Investments (Account 136), list each investment separately .
  3. Investments less than $50,000 may be grouped, showing the number of items in each group.
Line No.
Account Number
(a)
Title of Account
(b)
Balance at Beginning of Year
(c)
Balance at Close of Year
(d)
1
Investment In Associate Companies
2
Other Investments
3
Other Special Funds
4
Temporary Cash Investments
5
(Total of Line 1-4)


Name of Respondent:

This Report Is:

(1)
An Original

(2)
A Resubmission
Resubmission Date (Mo, Da, Yr)

Year/Period of Report:

End of:
/
Schedule IV - Investments - Other Investments
  1. For Other Investments (Account 124) and Other Special Funds (Account 128), state each investment separately, with description including the name of issuing company, number of shares held or principal investment amount.
  2. For Temporary Cash Investments (Account 136), list each investment separately .
  3. Investments less than $50,000 may be grouped, showing the number of items in each group.
Line No.
Investment Description
(a)
Name of Issuing Company
(b)
Number of Shares Held
(c)
Principal Investment Amount
(d)
1
2
3
4
5
6
7
8
9
10
11
12
13
14
15
16
17
18
19
20


Name of Respondent:

This Report Is:

(1)
An Original

(2)
A Resubmission
Resubmission Date (Mo, Da, Yr)

Year/Period of Report:

End of:
/
Schedule IV - Investments - Other Special Funds
  1. For Other Investments (Account 124) and Other Special Funds (Account 128), state each investment separately, with description including the name of issuing company, number of shares held or principal investment amount.
  2. For Temporary Cash Investments (Account 136), list each investment separately .
  3. Investments less than $50,000 may be grouped, showing the number of items in each group.
Line No.
Investment Description
(a)
Name of Issuing Company
(b)
Number of Shares Held
(c)
Principal Investment Amount
(d)
1
2
3
4
5
6
7
8
9
10
11
12
13
14
15
16
17
18
19
20


Name of Respondent:

This Report Is:

(1)
An Original

(2)
A Resubmission
Resubmission Date (Mo, Da, Yr)

Year/Period of Report:

End of:
/
Schedule IV - Investments - Temporary Cash Investments
  1. For Other Investments (Account 124) and Other Special Funds (Account 128), state each investment separately, with description including the name of issuing company, number of shares held or principal investment amount.
  2. For Temporary Cash Investments (Account 136), list each investment separately .
  3. Investments less than $50,000 may be grouped, showing the number of items in each group.
Line No.
Investment Description
(a)
Balance at Close of Year
(b)
1
2
3
4
5
6
7
8
9
10
11
12
13
14
15
16
17
18
19
20


Name of Respondent:

This Report Is:

(1)
An Original

(2)
A Resubmission
Resubmission Date (Mo, Da, Yr)

Year/Period of Report:

End of:
/
Schedule V - Accounts Receivable from Associate Companies
  1. List the accounts receivable from each associate company.
  2. If the service company has provided accommodation or convenience payments for associate companies, provide in a separate footnote a listing of total payments for each associate company.
Line No.
Account Number
(a)
AssociateCompanyName
Title of Account
(b)
AccountsReceivableFromAssociateCompanies
Balance at Beginning of Year
(c)
AccountsReceivableFromAssociateCompanies
Balance at Close of Year
(d)
PaymentsFromAssociateCompanies
Total Accommodation or Convenience Payments
(e)
1
Accounts Receivable From Associate Companies
2
Associate Company:
3
4
5
6
7
8
9
10
11
12
13
14
15
16
17
18
19
20
21
22
23
24
25
26
27
28
29
30
31
32
33
34
35
36
37
38
39
40
40


Name of Respondent:

This Report Is:

(1)
An Original

(2)
A Resubmission
Resubmission Date (Mo, Da, Yr)

Year/Period of Report:

End of:
/
Schedule VI - Fuel Stock Expenses Undistributed
  1. List the amount of labor in Column (c) and expenses in Column (d) incurred with respect to fuel stock expenses during the year and indicate amount attributable to each associate company.
  2. In a separate footnote, describe in a narrative the fuel functions performed by the service company.
Line No.
Account Number
(a)
Title of Account
(b)
FuelStockExpensesUndistributedLabor
Labor
(c)
FuelStockExpensesUndistributedExpenses
Expenses
(d)
FuelStockExpensesUndistributed
Total
(e)
1
Fuel Stock Expenses Undistributed
2
Associate Company:
3
4
5
6
7
8
9
10
11
12
13
14
15
16
17
18
19
20
21
22
23
24
25
26
27
28
29
30
31
32
33
34
35
36
37
38
39
40
41
40

Name of Respondent:

This Report Is:

(1)
An Original

(2)
A Resubmission
Resubmission Date (Mo, Da, Yr)

Year/Period of Report:

End of:
/
Schedule VII - Stores Expense Undistributed
  1. List the amount of labor in Column (c) and expenses in Column (d) incurred with respect to stores expense during the year and indicate amount attributable to each associate company.
Line No.
Account Number
(a)
Title of Account
(b)
FuelStockExpensesUndistributedLabor
Labor
(c)
FuelStockExpensesUndistributedExpenses
Expenses
(d)
FuelStockExpensesUndistributed
Total
(e)
1
Stores Expense Undistributed
2
Associate Company:
3
4
5
6
7
8
9
10
11
12
13
14
15
16
17
18
19
20
21
22
23
24
25
26
27
28
29
30
31
32
33
34
35
36
37
38
39
40
41
40
Total


Name of Respondent:

This Report Is:

(1)
An Original

(2)
A Resubmission
Resubmission Date (Mo, Da, Yr)

Year/Period of Report:

End of:
/
Schedule VIII - Miscellaneous Current and Accrued Assets
  1. Provide detail of items in this account. Items less than $50,000 may be grouped, showing the number of items in each group.
Line No.
Account Number
(a)
Title of Account
(b)
MiscellaneousCurrentAndAccruedAssets
Balance at Beginning of Year
(c)
MiscellaneousCurrentAndAccruedAssets
Balance at Close of Year
(d)
1
Miscellaneous Current and Accrued Assets
2
Item List:
3
4
5
6
7
8
9
10
11
12
13
14
15
16
17
18
19
20
21
22
23
24
25
26
27
28
29
30
31
32
33
34
35
36
37
38
39
40
41
40
Total


Name of Respondent:

This Report Is:

(1)
An Original

(2)
A Resubmission
Resubmission Date (Mo, Da, Yr)

Year/Period of Report:

End of:
/
Schedule IX - Miscellaneous Deferred Debits
  1. Provide detail of items in this account. Items less than $50,000 may be grouped, showing the number of items in each group.
Line No.
Account Number
(a)
Title of Account
(b)
MiscellaneousDeferredDebits
Balance at Beginning of Year
(c)
MiscellaneousDeferredDebits
Balance at Close of Year
(d)
1
Miscellaneous Deferred Debits
2
Item List:
3
4
5
6
7
8
9
10
11
12
13
14
15
16
17
18
19
20
21
22
23
24
25
26
27
28
29
30
31
32
33
34
35
36
37
38
39
40
Total


Name of Respondent:

This Report Is:

(1)
An Original

(2)
A Resubmission
Resubmission Date (Mo, Da, Yr)

Year/Period of Report:

End of:
/
Schedule X - Research, Development, or Demonstration Expenditures
  1. Describe each material research, development, or demonstration project that incurred costs by the service company during the year. Items less than $50,000 may be grouped, showing the number of items in each group.
Line No.
Account Number
(a)
Title of Account
(b)
ResearchDevelopmentOrDemonstrationExpenditures
Amount
(c)
1
Research, Development, or Demonstration Expenditures
2
Project List:
3
4
5
6
7
8
9
10
11
12
13
14
15
16
17
18
19
20
21
22
23
24
25
26
27
28
29
30
31
32
33
34
35
36
37
38
39
40
41
40
Total


Name of Respondent:

This Report Is:

(1)
An Original

(2)
A Resubmission
Resubmission Date (Mo, Da, Yr)

Year/Period of Report:

End of:
/
Schedule XI - Proprietary Capital
  1. For Miscellaneous Paid-In Capital (Account 211) and Appropriated Retained Earnings (Account 215), classify amounts in each account, with a brief explanation, disclosing the general nature of transactions which give rise to the reported amounts.
  2. For Unappropriated Retained Earnings (Account 216), in a footnote, give particulars concerning net income or (loss) during the year, distinguishing between compensation for the use of capital owed or net loss remaining from servicing non-associates per the General Instructions of the Uniform System of Accounts. For dividends paid during the year in cash or otherwise, provide rate percentages, amount of dividend, date declared and date paid.
Line No.
Account Number
(a)
Title of Account
(b)
Description
(c)
Amount
(d)
1
Common Stock Issued
Number of Shares Authorized
2
Par or Stated Value per Share
3
Outstanding Number of Shares
4
Close of Period Amount
5
Preferred Stock Issued
Number of Shares Authorized
6
Par or Stated Value per Share
7
Outstanding Number of Shares
8
Close of Period Amount
9
Miscellaneous Paid-In Capital
10
Appropriated Retained Earnings
11
Accumulated Other Comprehensive Income
12
Unappropriated Retained Earnings
Balance at Beginning of Year
13
Net Income or (Loss)
14
Dividend Paid
15
Balance at Close of Year
Dividends paid during the year
Line No.
DividendsPaidDescription
Dividend Paid Description
(a)
DividendRate
Dividend Rate
(b)
Dividendpaid
Dividend Paid Amount
(c)
DividendDeclaredDate
Dividend Declared Date
(d)
DividendPaidDate
Dividend Paid Date
(e)
1
2
3
4
5
6
7
8
9
10
11
12
13
14
15
16
17
18
19
20
21
22
23
24
25
26
27
28
29
30


Name of Respondent:

This Report Is:

(1)
An Original

(2)
A Resubmission
Resubmission Date (Mo, Da, Yr)

Year/Period of Report:

End of:
/
Schedule XII - Long-Term Debt
  1. For Advances from Associate Companies (Account 223), describe in a footnote the advances on notes and advances on open accounts. Names of associate companies from which advances were received shall be shown under the class and series of obligation in Column (d).
  2. For the deductions in Column (i), give an explanation in a footnote.
  3. For Other Long-Term Debt (Account 224), list the name of the creditor company or organization in Column (b).
Line No.
Account Number
(a)
Title of Account
(b)
Term of Obligation
(c)
Class & Series of Obligation
(d)
Date of Maturity
(e)
Interest Rate
(f)
Amount Authorized
(g)
Balance at Beginning of Year
(h)
Additions Deductions
(i)
Balance at Close of Year
(j)
1
Advances from Associate Companies
2
Associate Company:
3
4
5
6
7
8
9
10
11
12
13
Total
14
Other Long Term Debt
15
List Creditor:
16
17
18
19
20
21
22
23
24
25
26
27
28
Total


Name of Respondent:

This Report Is:

(1)
An Original

(2)
A Resubmission
Resubmission Date (Mo, Da, Yr)

Year/Period of Report:

End of:
/
Schedule XIII - Current and Accrued Liabilities
  1. Provide the balance of notes and accounts payable to each associate company (Accounts 233 and 234).
  2. Give description and amount of Miscellaneous Current and Accrued Liabilities (Account 242). Items less than $50,000 may be grouped, showing the number of items in each group.
Line No.
Account Number
(a)
Title of Account
(b)
Balance at Beginning of Year
(c)
Balance at Close of Year
(d)
1
Notes Payable to Associate Companies
2
Associate Company:
3
4
5
6
7
8
9
10
11
12
13
14
15
16
17
18
19
20
21
23
Subtotal (Total of Lines 3-22)
24
Accounts Payable to Associate Companies
25
Associate Company:
26
27
28
29
30
31
32
33
34
35
36
37
38
39
40
41
40
Subtotal (Total of Lines 26-39)
41
Miscellaneous Current and Accrued Liabilities
42 Items List:
43
44
45
46
47
48
49
Subtotal (Total of Lines 43-48)
50
TOTAL (LINES 23, 40, AND 49)


Name of Respondent:

This Report Is:

(1)
An Original

(2)
A Resubmission
Resubmission Date (Mo, Da, Yr)

Year/Period of Report:

End of:
/
Schedule XIV - Notes to Financial Statements
  1. Use the space below for important notes regarding the financial statements or any account thereof.
  2. Furnish particulars as to any significant contingent assets or liabilities existing at the end of the year.
  3. Furnish particulars as to any significant increase in services rendered or expenses incurred during the year.
  4. Furnish particulars as to any amounts recorded in Extraordinary Income (Account 434) or Extraordinary Deductions (Account 435).
  5. Notes relating to financial statements shown elsewhere in this report may be indicated here by reference.
  6. Describe the annual statement supplied to each associate company in support of the amount of interest on borrowed capital and compensation for use of capital billed during the calendar year. State the basis for billing of interest to each associate company. If a ratio, describe in detail how ratio is computed. If more than one ratio, explain the calculation. Report the amount of interest borrowed and/or compensation for use of capital billed to each associate company.


Name of Respondent:

This Report Is:

(1)
An Original

(2)
A Resubmission
Resubmission Date (Mo, Da, Yr)

Year/Period of Report:

End of:
/
Schedule XV - Comparative Income Statement
Line No.
Account Number
(a)
Title of Account
(b)
Current Year
(c)
Prior Year
(d)
1
OperatingRevenuesAbstract
SERVICE COMPANY OPERATING REVENUES
2
OperatingRevenues
Service Company Operating Revenues
3
OperatingExpensesAbstract
SERVICE COMPANY OPERATING EXPENSES
4
OperationExpense
Operation Expenses
5
MaintenanceExpense
Maintenance Expenses
6
DepreciationExpense
Depreciation Expenses
7
DepreciationExpenseForAssetRetirementCosts
Depreciation Expense for Asset Retirement Costs
8
AmortizationOfLimitedTermProperty
Amortization of Limited-Term Property
9
AmortizationOfOtherProperty
Amortization of Other Property
10
RegulatoryDebits
Regulatory Debits
11
RegulatoryCredits
Regulatory Credits
12
TaxesOtherThanIncomeTaxesOperatingIncome
Taxes Other Than Income Taxes, Operating Income
13
IncomeTaxesOperatingIncome
Income Taxes, Operating Income
14
ProvisionForDeferredIncomeTaxesOperatingIncome
Provision for Deferred Income Taxes, Operating Income
15
ProvisionForDeferredIncomeTaxesCreditOperatingIncome
Provision for Deferred Income Taxes - Credit , Operating Income
16
InvestmentTaxCreditAdjustmentsServiceCompanyProperty
Investment Tax Credit, Service Company Property
17
GainsFromDispositionOfServiceCompanyPlant
Gains from Disposition of Service Company Plant
18
LossesFromDispositionOfServiceCompanyPlant
Losses from Disposition of Service Company Plant
19
AccretionExpense
Accretion Expense
20
CostAndExpensesOfConstructionOrOtherServices
Costs and Expenses of Construction or Other Services
21
CostsAndExpensesOfMerchandisingJobbingAndContractWork
Costs and Expenses of Merchandising, Jobbing, and Contract Work
22
OperatingExpenses
TOTAL SERVICE COMPANY OPERATING EXPENSES (Total of Lines 4-21)
23
OperatingIncomeNet
NET SERVICE COMPANY OPERATING INCOME (Total of Lines 2 less 22)
24
OtherIncomeAbstract
OTHER INCOME
25
EquityInEarningsOfSubsidiaryCompanies
Equity in Earnings of Subsidiary Companies
26
InterestAndDividendIncome
Interest and Dividend Income
27
AllowanceForOtherFundsUsedDuringConstruction
Allowance for Other Funds Used During Construction
28
MiscellaneousNonoperatingIncome
Miscellaneous Income or Loss
29
GainOnDispositionOfProperty
Gain on Disposition of Property
30
OtherIncome
TOTAL OTHER INCOME (Total of Lines 25-29)
31
OtherIncomeAndDeductionsAbstract
OTHER INCOME DEDUCTIONS
32
LossOnDispositionOfProperty
Loss on Disposition of Property
33
MiscellaneousAmortization
Miscellaneous Amortization
34
Donations
Donations
35
LifeInsurance
Life Insurance
36
Penalties
Penalties
37
ExpendituresForCertainCivicPoliticalAndRelatedActivities
Expenditures for Certain Civic, Political and Related Activities
38
OtherDeductions
Other Deductions
39
OtherIncomeDeductions
TOTAL OTHER INCOME DEDUCTIONS (Total of Lines 32-38)
40
TaxesApplicableToOtherIncomeAndDeductionsAbstract
TAXES APPLICABLE TO OTHER INCOME AND DEDUCTIONS
41
TaxesOtherThanIncomeTaxesOtherIncomeAndDeductions
Taxes Other Than Income Taxes, Other Income and Deductions
42
IncomeTaxesOtherIncomeAndDeductions
Income Taxes, Other Income and Deductions
43
ProvisionForDeferredIncomeTaxesOtherIncomeAndDeductions
Provision for Deferred Income Taxes, Other Income and Deductions
44
ProvisionForDeferredIncomeTaxesCreditOtherIncomeAndDeductions
Provision for Deferred Income Taxes - Credit, Other Income and Deductions
45
InvestmentTaxCreditAdjustmentsNonutilityOperations
Investment Tax Credit, Other Income Deductions
46
TaxesApplicableToOtherIncomeAndDeductions
TOTAL TAXES APPLICABLE TO OTHER INCOME AND DEDUCTIONS (Total of Lines 41-45)
47
InterestChargesAbstract
INTEREST CHARGES
48
InterestOnLongTermDebt
Interest on Long-Term Debt
49
AmortizationOfDebtDiscountAndExpense
Amortization of Debt Discount and Expense
50
AmortizationOfPremiumOnDebtCredit
(less) Amortization of Premium on Debt- Credit
51
InterestOnDebtToAssociateCompanies
Interest on Debt to Associate Companies
52
OtherInterestExpense
Other Interest Expense
53
AllowanceForBorrowedFundsUsedDuringConstructionCredit
(less) Allowance for Borrowed Funds Used During Construction-Credit
54
InterestCharges
TOTAL INTEREST CHARGES (Total of Lines 48-53)
55
IncomeBeforeExtraordinaryItems
NET INCOME BEFORE EXTRAORDINARY ITEMS (Total of Lines 23, 30, minus 39, 46, and 54)
56
ExtraordinaryItemsAbstract
EXTRAORDINARY ITEMS
57
ExtraordinaryIncome
Extraordinary Income
58
ExtraordinaryDeductions
(less) Extraordinary Deductions
59
NetExtraordinaryItems
Net Extraordinary Items (Line 57 less Line 58)
60
IncomeTaxesExtraordinaryItems
(less) Income Taxes, Extraordinary
61
ExtraordinaryItemsAfterTaxes
Extraordinary Items After Taxes (Line 59 less Line 60)
62
NetIncomeLoss
NET INCOME OR LOSS/COST OF SERVICE (Total of Lines 55 and 61)


Name of Respondent:

This Report Is:

(1)
An Original

(2)
A Resubmission
Resubmission Date (Mo, Da, Yr)

Year/Period of Report:

End of:
/
Schedule XVI - Analysis of Charges for Service - Associate and Nonassociate Companies
  1. Total cost of service will equal for associate and non-associate companies the total amount billed under their separate analysis of billing schedules.
Line No.
Account Number
(a)
Title of Account
(b)
Associate Company Direct Cost
(c)
Associate Company Indirect Cost
(d)
Associate Company Total Cost
(e)
Nonassociate Company Direct Cost
(f)
Nonassociate Company Indirect Cost
(g)
Nonassociate Company Total Cost
(h)
Total Charges for Services Direct Cost
(i)
Total Charges for Services Indirect Cost
(j)
Total Charges for Services Total Cost
(k)
1
Depreciation Expense
2
Amortization Expense
3
Regulatory Debits/Credits - Net
4
Taxes Other Than Income Taxes
5
Income Taxes
6
Provision for Deferred Taxes
7
Provision for Deferred Taxes - Credit
8
Gain from Disposition of Service Company Plant
9
Losses from Disposition of Service Company Plant
10
Investment Tax Credit Adjustment
11
Accretion Expense
12
Costs and Expenses of Construction or Other Services
13
Costs and Expenses of Merchandising, Jobbing, and Contract Work for Associated Companies
14
Non-operating Rental Income
15
Equity in Earnings of Subsidiary Companies
16
Interest and Dividend Income
17
Allowance for Other Funds Used During Construction
18
Miscellaneous Income or Loss
19
Gain on Disposition of Property
20
Loss on Disposition Of Property
21
Miscellaneous Amortization
22
Donations
23
Life Insurance
24
Penalties
25
Expenditures for Certain Civic, Political and Related Activities
26
Other Deductions
27
Interest On Long-Term Debt
28
Amortization of Debt Discount and Expense
29
Amortization of Premium on Debt - Credit
30
Interest on Debt to Associate Companies
31
Other Interest Expense
32
Allowance for Borrowed Funds Used During Construction
33
Total Steam Power Generation Operation Expenses
34
Total Steam Power Generation Maintenance Expenses
35
Total Nuclear Power Generation Operation Expenses
36
Total Nuclear Power Generation Maintenance Expenses
37
Total Hydraulic Power Generation Operation Expenses
38
Total Hydraulic Power Generation Maintenance Expenses
39
Total Other Power Generation Operation Expenses
40
Total Other Power Generation Maintenance Expenses
41
Total Other Power Supply Operation Expenses
42
Operation Supervision and Engineering
43
Load Dispatch-Reliability
44
Load Dispatch-Monitor and Operate Transmission System
45
Load Dispatch-Transmission Service and Scheduling
46
Scheduling, System Control and Dispatch Services
47
Reliability Planning and Standards Development
48
Transmission Service Studies
49
Generation Interconnection Studies
50
Reliability Planning and Standards Development Services
51
Station Expenses (Major Only)
51.1
Operation of Energy Storage Equipment
52
Overhead Line Expenses (Major Only)
53
Underground Line Expenses (Major Only)
54
Transmission of Electricity by Others (Major Only)
55
Miscellaneous Transmission Expenses (Major Only)
56
Rents
57
Operation Supplies and Expenses (Nonmajor Only)
58
Total Transmission Operation Expenses
59
Maintenance Supervision and Engineering (Major Only)
60
Maintenance of Structures (Major Only)
61
Maintenance of Computer Hardware
62
Maintenance of Computer Software
63
Maintenance of Communication Equipment
64
Maintenance of Miscellaneous Regional Transmission Plant
65
Maintenance of Station Equipment (Major Only)
65.1
Maintenance of Energy Storage Equipment
66
Maintenance of Overhead Lines (Major Only)
67
Maintenance of Underground Lines (Major Only)
68
Maintenance of Miscellaneous Transmission Plant (Major Only)
69
Maintenance of Transmission Plant (Nonmajor Only)
70
Total Transmission Maintenance Expenses
71
Total Regional Market Operation Expenses
72
Total Regional Market Maintenance Expenses
73
Total Distribution Operation Expenses
74
Total Distribution Maintenance Expenses
75
Total Electric Operation and Maintenance Expenses
76
Production Expenses (Provide selected accounts in a footnote)
77
Total Other Gas Supply Operation Expenses
78
Total Underground Storage Operation Expenses
79
Total Underground Storage Maintenance Expenses
80
Total Other Storage Operation Expenses
81
Total Other Storage Maintenance Expenses
82
Total Liquefied Natural Gas Terminaling and Processing Operation Expenses
83
Total Liquefied Natural Gas Terminaling and Processing Maintenance Expenses
84
Operation Supervision and Engineering
85
System Control and Load Dispatching
86
Communication System Expenses
87
Compressor Station Labor and Expenses
88
Gas for Compressor Station Fuel
89
Other Fuel and Power for Compressor Stations
90
Mains Expenses
91
Measuring and Regulating Station Expenses
92
Transmission and Compression of Gas By Others
93
Other Expenses
94
Rents
95
Total Gas Transmission Operation Expenses
96
Maintenance Supervision and Engineering
97
Maintenance of Structures and Improvements
98
Maintenance of Mains
99
Maintenance of Compressor Station Equipment
100
Maintenance of Measuring And Regulating Station Equipment
101
Maintenance of Communication Equipment
102
Maintenance of Other Equipment
103
Total Gas Transmission Maintenance Expenses
104
Total Distribution Operation Expenses
105
Total Distribution Maintenance Expenses
106
Total Natural Gas Operation and Maintenance Expenses
107
Supervision
108
Meter reading expenses
109
Customer records and collection expenses
110
Uncollectible accounts
111
Miscellaneous customer accounts expenses
112
Total Customer Accounts Operation Expenses
113
Supervision
114
Customer assistance expenses
115
Informational And Instructional Advertising Expenses
116
Miscellaneous Customer Service And Informational Expenses
117
Total Service and Informational Operation Accounts
118
Supervision
119
Demonstrating and Selling Expenses
120
Advertising Expenses
121
Miscellaneous Sales Expenses
122
Total Sales Operation Expenses
123
Administrative and General Salaries
124
Office Supplies and Expenses
125
Outside Services Employed
126
Property Insurance
127
Injuries and Damages
128
Employee Pensions and Benefits
129
Regulatory Commission Expenses
130
General Advertising Expenses
131
Miscellaneous General Expenses
132
Rents
133
Total Administrative and General Operation Expenses
134
Maintenance of Structures and Equipment
135
Total Administrative and General Maintenance Expenses
136
Total Cost of Service


Name of Respondent:

This Report Is:

(1)
An Original

(2)
A Resubmission
Resubmission Date (Mo, Da, Yr)

Year/Period of Report:

End of:
/
Schedule XVII - Analysis of Billing - Associate Companies (Account 457)
  1. For Services Rendered to Associate Companies (Account 457), list all of the associate companies.
Line No.
AssociateCompanyName
Name of Associate Company
(a)
DirectCostsChargedToAssociateCompanies
Account 457.1 Direct Costs Charged
(b)
IndirectCostsChargedToAssociateCompanies
Account 457.2 Indirect Costs Charged
(c)
CompensationForUseOfCapitalAssociateCompanies
Account 457.3 Compensation for Use of Capital
(d)
ServicesRenderedToAssociateCompanies
Total Amount Billed
(e)
1
2
3
4
5
6
7
8
9
10
11
12
13
14
15
16
17
18
19
20
21
22
23
24
25
26
27
28
29
30
31
32
33
34
35
36
37
38
39
40 Total


Name of Respondent:

This Report Is:

(1)
An Original

(2)
A Resubmission
Resubmission Date (Mo, Da, Yr)

Year/Period of Report:

End of:
/
Schedule XVIII - Analysis of Billing - Non-Associate Companies (Account 458)
  1. For Services Rendered to Non-Associate Companies (Account 458), list all of the non-associate companies. In a footnote, describe the services rendered to each respective non-associate company.
Line No.
NonAssociateCompanyName
Name of Non-associate Company
(a)
DirectCostsChargedToNonAssociateCompanies
Account 458.1 Direct Costs Charged
(b)
IndirectCostsChargedToNonAssociateCompanies
Account 458.2 Indirect Costs Charged
(c)
CompensationForUseOfCapitalNonAssociateCompanies
Account 458.3 Compensation for Use of Capital
(d)
ExcessOrDeficiencyOnServicingNonAssociateUtilityCompanies
Account 458.4 Excess or Deficiency on Servicing Non-associate Utility Companies
(e)
ServicesRenderedToNonAssociateCompanies
Total Amount Billed
(f)
1
2
3
4
5
6
7
8
9
10
11
12
13
14
15
16
17
18
19
20
21
22
23
24
25
26
27
28
29
30
31
32
33
34
35
36
37
38
39
40 Total


Name of Respondent:

This Report Is:

(1)
An Original

(2)
A Resubmission
Resubmission Date (Mo, Da, Yr)

Year/Period of Report:

End of:
/
Schedule XIX - Miscellaneous General Expenses - Account 930.2
  1. Provide a listing of the amount included in Miscellaneous General Expenses (Account 930.2), classifying such expenses according to their nature. Amounts less than $50,000 may be grouped showing the number of items and the total for the group.
  2. Payments and expenses permitted by Section 321 (b)(2) of the Federal Election Campaign Act, as amended by Public Law 94-283 in 1976 (2 U.S.C. 441(b)(2)) shall be separately classified.
Line No.
MiscellaneousGeneralExpensesDescription
Title of Account
(a)
MiscellaneousGeneralExpenses
Amount
(b)
1
2
3
4
5
6
7
8
9
10
11
12
13
14
15
16
17
18
19
20
21
22
23
24
25
26
27
28
29
30
31
32
33
34
35
36
37
38
39
40
Total


Name of Respondent:

This Report Is:

(1)
An Original

(2)
A Resubmission
Resubmission Date (Mo, Da, Yr)

Year/Period of Report:

End of:
/
Schedule XX - Organization Chart
  1. Provide a graphical presentation of the relationships and inter relationships within the service company that identifies lines of authority and responsibility in the organization.


Name of Respondent:

This Report Is:

(1)
An Original

(2)
A Resubmission
Resubmission Date (Mo, Da, Yr)

Year/Period of Report:

End of:
/
Schedule XXI - Methods of Allocation
  1. Indicate the service department or function and the basis for allocation used when employees render services to more than one department or functional group. If a ratio, include the numerator and denominator.
  2. Include any other allocation methods used to allocate costs.