Section 100. Schedules 15 through 22 and exhibits for Chapter 201  


Latest version.
  • 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 § 56-585.1 A 5 b, c or d

    Rate Adjustment Clause Pursuant to § 56-585.1 A 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.

Historical Notes

Derived from Volume 25, Issue 09, eff. January 1, 2009.

Statutory Authority

§§ 12.1-13 and 56-585.1 of the Code of Virginia.