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HomeMy WebLinkAbout20240228Application (redacted).pdfRECEIVED Wednesday, February 28, 2024 2:57PM IDAHO PUBLIC UTILITIES COMMISSION Sent by: EmaU February 26, 2024 Commission Secretary Idaho Public Utility Commission 11331 W. Chlnden Boulevard P.O. Box83720 Boise, ID. 83720-0079 RE: StoneRldge Utllitles, LLC General Rate Case Application SWS-W-24-01 Dear Commission Members: ~/ STONE RIDGE ----~---- Stoneridge Utilities P.O. Box298 Blanchard, ID 83804 Ph (208) 437-3148 Extn. 4 Please find enclosed our completed application for a General Rate case to StoneRldge Utllitles, LLC Water Company in Blanchard Idaho. We request this case be processed by Modified Procedures. Customer Notices are being mailed today, February 26, 2024 and Publication Notice runs in the Bonner Daily Bee on Wednesday February 28, 2024. Please let us know if you have any questions. Sincerely Ju-2.-01U ~~;;) Teresa ZamoraL Utilities Administrator C:\Users\SRUtil\AppData\Local\Microsoft\ Windows\INetCache\Content.Out1ook\ YK0B9RUF\Cover letter SWS-W-24-01 Final.doc ll Page APPLICATION TO THE IDAHO PUBLIC UTILTIES COMMISSION FOR CHANGES TO GENERAL TARIFF RATES & CHARGES SWS-W-24-01 APPLICANT INFORMATION & LIST OF ATTACHMENTS 1. Name of company CDS Stone Ridge Utilities, LLC, dba StoneRidge Water Company IPUC# SWS-W CPCN #395 Owner Esprit Enterprises, LLC 2. Name of Primary Contact Chan Karupiah, Managing Partner 3 Telephone Number (208) 437-3148 4. Mailing Address P.O. Box 298, Blanchard, ID 83804 Street Address 364 StoneRidge Road, Blanchard, ID 83804 Email utilities@stoneridgeidaho.com 5. Type of Business Limited Liability 6. State Company Is Organized Idaho 7. Is Company Registered in Idaho Yes 21Page 8. Attach Copies of by-laws, See Attachment# A Articles of incorporation and/or Other organizational documents On file with the Idaho Sec. of State. 9. Are there any affiliated entities Which the water system shares Office space, employees, Expenses or provides services, to the water system. Yes, if yes, attach a detailed overview of the relationship. 10. Attach a legal description of the Certificated area to be served and a map if available. 11 . Changes in Revenue comparison Table See Attachment# B See Attachment# C See Attachment# D Exhibit# Changes Gross Revenue Table 12. Copy of Customer Notice and See Attachment# E Date mailed. 13. Copy of Publication Notice and See Attachment# F Date published and Publication. 14. Proposed Effective Date See Attachment# G 15. Schedule A Plant in Service See Attachment #H Exhibit #1 Schedule A Plant in Service 16. Schedule B Aecom, Depree. See Attachment #I Exhibit #1 Schedule B Accoum. Depreciation 17. Schedule C Rate Base Summary See Attachment #J See Exhibit #1 Schedule C Rate Base Summary 18. Schedule A Revenues See Attachment #K See Exhibit #2 Schedule A Revenues 3I Page 19. Schedule B Expenses See Attachment #L See Exhibit #2 Schedule B Expenses 20. Schedule C Income Statement See Attachment #M See Exhibit #2 Schedule C Income Statement 21. Cost Capital/Rate of Return See Attachment #N See Exhibit #3 Cost of Capital & Rate of Return 22. Revenue Requirement See Attachment #0 See Exhibit #4 Revenue Requirement 23. Proposed Res. Tariff Markup See Attachment #P 24. Proposed Com. Tariff Markup Included in Attachment #P above 25.. Proposed Res. Tariff Clean See Attachment #Q 26. Commercial Tariff Clean Included in Attachment #Q above 27. Non-Recurring Fees See Attachment R Included in Attachment P & Q above 28. Monthly Customer Water Use See Attachment S 2023 Monthly Water use by Customer. 29. Monthly Well Pump Volumes See Attachment T 2023 Monthly Well Pump Volumes 30. Overview of Company Wells See Attachment U Well depths, capacity water level etc. 41Page 31. Overview of System Storage 32. Known changes workpapers 33. New Rate analysis workpapers 34. Operator License(s) Info 35. Changes in Rates Table 36. Rate Case Cost Amortization Worksheet 37. Sample Bill Format See Attachment V Storage/reservoir details etc. See Attachment W Known Changes explanation/details. See Attachment X Exhibit #5 Schedule A-C Proof of Revenue Requirement See Attachment Y Water, Sewer Mgmt. License Info See Attachment Z Exhibit #7 Changes in Rates Table See Attachment AA Exhibit #8 Case Cost Amortization Worksheet See Attachment AB Sample Bill Format SI Page ATTACHMENT A Copies of Articles of Incorporation and/or other organizational documents of file with the Idaho Secretary of State. IDAHO Secretary of State's Office Business Search Searching starts with your entered keyword. stoneridge utilities Form Info ct 111 ri e Utilities r:::s1,r; .... ) Assumed Business Name © 2024 ID Secretary of State Status Active­ Current Advanced Search Options v Results: 1 Filing Date 11/21/2018 Agent NO AGENT OPERATING AGREEMENT OF ESPRIT ENTERPRISES, LLC A LIMITED LIABILITY COMPANY JANUARY 18, 2017 16.4 Addjtional Matters l<.egmding Tax. Matters -It is the intent of the Company and its Members to qualify at all times for tax treatment as a limited liability company under all applicable federal and state laws, rules, and regulations. If a provision of the Operating Agreement is inconsistent with tax treatment of the Company as a limited liability company, but a similar provision of applicable ta," law is consistent, then said provision of tax law shall control on that particular issue(s). Otherwise, the provisions of the Operating Agreement shall control. IN \VI1NESS WHEREOF, we have hereunto set our hands on the date set forth beside our ' I names. DATE CHAN KARUPIAI-I ; /;z,/2017 DATii' •. -22- EXHIBIT A OPERATING AGREEMENT OF ESPRIT ENTERPRISES, LLC INITIAL CAPITAL CONTRIBUTIONS AND MEMBERSHIP INTERESTS OF INITIAL MEMBERS MEMBER CHAN KARUPIAH 19705 SE 15th Place Sammamish, WA 98075 TERESA KARUPIAH 19705 SE 15th Place Sammamish, WA 98075 MEMBERSHIP UNITS 50* 50* CAPTT AL CONTRIBUTION $50.00 $50.00 "'All units owned by Chan Karupiah and/or Teresa Karupiah are owned by the marital community of Chan Karupiah and Teresa Karupiah, husband and wife. ESPRIT ENTERPRISES-OP AOR wpd 1111111111111111 I IIIII IIII I Ill llll IIIIIIIIIIIIIIIII IIIIII II llllllllllllll lllllll~IJlll llll STATE OF IDAHO Office of the secretary of state, Lawerence Denney CERTIFICATE OF ASSUMED BUSINESS NAME (ABN) Idaho Secretary of Slate PO Box83720 Boise, ID 83720-0080 (206) 334-2301 Filing Fee: $25.00 • Make Checks Payable to Secretary of Stale The assumed business name under which the undersigned uses in the transaclk>n of business is: Stoneridge Utilities Type of Business For Office Use Only -FILED- File#: 0003351752 Date Filed: 11/21/2018 11 :05:28 AM The general type of business conducted under the assumed Transportation and Public Utilities business name is: MaiUng Address for future correspondence; Address KRISTEN MORGAN PO BOX770 BAYVIEW, ID 83803-0770 ABN Users Name or individual or organization Address ESPRIT ENTERPRISES, LLC KRISTEN MORGAN Limited Liability Company (D) POBOX770 BAYVIEW, ID 83803 Signature: Kristen Morgan 11/21/2018 Sign Here Date Page l of 1 to 121 121 N ~ I u, .... 00 N .... .... " N w " N 21 .... 00 .... 121 .... .... ~ ::Cl II) n II) .... < II) 0. O" -<: H 0 tll ro n ,, II) rt' II) "1 -<: 0 Hi tll rt' fl) rt' II) r1 ~ ro l"'J ID ;:t n II) 0 ro :I ::I ro -<: ,~ JDJ\l-{O Secretary of State's Office I I ' Business Search Searching starts with your entered keyword. esprit enterprises Form Info ESPRIT ENTERPRISES, LLC (535971) I.I, lted Liabifity Compa • (D) • © 2024 ID Secretary of State Status Active- ,, Existing Advanced Search Options v Filing Date 01/18/2017 Results: 1 Agent KRISTEN MORGAN 111111 111111 II 1111111111 11111111111111 0005494558 STATE OF IDAHO Office of the secretary of state, Phil McGrane ANNUAL REPORT For Office Use Only -FILED- Idaho Secretary of State PO Box 83720 Boise, ID 83720-0080 (208) 334-2301 Filing Fee: $0.00 Entity Name and Mailing Address: Entity Name: The file number of this entity on the records of the Idaho Secretary of State is: Address Entity Details: Entity Status This entity is organized under the laws of: File #: 0005494558 Date Filed: 12/3/2023 2:02:50 PM ESPRIT ENTERPRISES, LLC 0000535971 KRISTEN MORGAN PO BOX770 BAYVIEW, ID 83803-0770 Active-Existing IDAHO If applicable, the old file number of this entity on the records of W177098 the Idaho Secretary of State was: The registered agent on record is: Registered Agent KRISTEN MORGAN Registered Agent Physical Address 17173 E PIER RD BAYVIEW, ID 83803 Mailing Address Agent or Address Change □ Select if you are appointing a new agent. Limited Liability Company Managers and Members Name TIiie Business Address Jd resort inc Manager PO BOX 770 BAYVIEW, ID 83803-0770 The annual report must be signed by an authorized signer of lhe entity. Job Tille: manager kristen morgan 12/03/2023 Sign Here Date Page I of 1 Page 1 of 1 to 0 co (Jl \.D I m \.D .i,,. N f-' N "--0 w "-­N 0 N w N 0 N 'U 8:: 7J (D () (D I-'· <! (D Q. rr '< 0 Hi Hi I-'· 0 (D 0 Hi rt ~ (D H Q. PJ ~ 0 Cf) (D 0 ~ (D rt PJ ~ '< 0 Hi CJ) rt PJ rt (D 71Page ATTACHMENT B Details on any affiliated entity relationships Bl Page CDS StoneRidge Utilities. LLC and Esprit Enterprises, LLC Related Entity Narrative Asset Ownership and Existing Leases Esprit Enterprises, LLC purchased the StoneRidge Golf Community and Water & Sewer Utilities, LLC from Bridge Partners in November of 2018. Esprit is the "single member" owner of CDS StoneRidge Utilities, LLC an Idaho Corporation which owns the Water Company and the Sewer Company. The water company provides services to the StoneRidge Golf Community and Happy Valley Rancho Plat within its service area. CDS StoneRidge Utilities, LLC, water's balance sheet includes all of the plant and equipment invested in the water company since the beginning. There is no land included nor, water rights, or miscellaneous equipment included in the balance sheet for CDS StoneRidge Utilities, LLC. As of December 31, 2023 there Plant in Service Assets were $1,245,996 with accumulated depreciation of $1,027,825. Esprit has no plant and equipment on its books from the water Company. However, Esprit owns all the buildings, and miscellaneous equipment not on the StoneRidge Water Company balance sheet as well as the remainder land parcels, and ROW rights. These assets are insured by Esprit and leased on an annual basis to CDS StoneRidge Utilities, LLC. Esprit Enterprises, LLC, leases to the water company the following items: 1. Office and shop space 2. Vehicles and other light truck equipment 3. Office equipment 4. Water Rights and use of ROW held over other private property. Esprit Enterprises, LLC also provides contract labor services to CDS StoneRidge Utilities, LLC. for the water company under annual contracts that have been in place since 2019. These agreements provide for Esprit to handle all payroll services for the Water Company on a monthly basis. In 2024 IPUC directed (under Case SWS-W-23-03) that any balances due to Esprit for any of these services be treated retroactively and going forward as "Additional Paid In Capital" rather than as "Intercompany Debt". As of 12/31/2023 the balance of the Intercompany Debt was converted to Additional Paid-In Capital on the water Company's books. 9IPage The allocation of shared expenses-rent, labor, equipment is split between the water company and the sewer company 70% to Water Company and 30% to Sewer Company. This allocation was determined based upon several factors: 1. 197 Sewer Customers (25%) 2. 569 Equivalent Water Customers (75%) 3. All Sewer Customers receive bills electronically and do not require monthly meter reading. 4. Each sewer bill is the same amount every month. 5. A significant number of water customers elect to receive a paper billing with its attendant higher costs of handling etc. As of January 1, 2024, the Sewer Company is being leased by JD Resort from Esprit Enterprises, LLC doing business as Blanchard Utility Services (BUS). The current business plan for BUS is that it will be moving its administrative activities to an Athol office owned by a related entity. StoneRidge Utilities, LLC Water operations are expected to continue within the Stone Ridge Community. 9IPage ATTACHMENT C Attach a legal description of the Certified Area to Be Served and/or a map. STONERIDGE UTILITIES WATER SERVICE TERRITORY December 2003 Section 19, Township 54 North, Range S West Boise Meridian, 1) That portion of lying south of the Blanchard Road 2) Stoneridge Addition, Book 4 Page 140, Inst #409722, filed 7/30/92 a) Lots 1, 2, 3, 24-30 Block 1, b) Lots 1-9, Block 3, Stoneridge Addition, Section 20, Township 54 North, Range S West Boise Meridian I) South '/2 Of the SE '/4, 2) SW 1ZAof Section 20, 3) South '/2 Of the NE 1/4, lying south of the Blanchard Road Section 24, Township 54 North, Range 6 West Boise Meridian. 1) NE' 4, 2) SE 14, Section 25, Township 54 North, Range 6 West Boise Meridian 1) NE '4, Sections 29 & 30, Township 54 North, Range S West Boise Meridian. 1) Blanchard Creek Acres, Book 4, Page 41, Instrument #315904, filed 3/11/86 a. Lots 1-4, 12 I P ,1 g e ATTACHMENT D See Exhibit #7 Changes in Revenue Comparison Table EXHIBIT 7 Changes in Gross Revenue Table IPUC SWS-W-24-01 General Rate Case Application FYE 12/31/2023 Revenue Revenue Revenue % Increase Customer Class Existing Rates Proposed Rate Increase in Revenue ·---1 E3esidential StoneRi~~ $ 83,159 $ 299,514 $ 216,355 260% 2 Res_ident~aJ_ r:!_appy '{_all~y 46,370 167,180 120,810 261% 3 Comerica! SR Resort/Timeshare 19,272 69,557 50,285 261% 4 Comercial MCV & Golf Course 32,909 118,778 85,869 261% 5 Irrigation 19,618 70,132 50,514 257% 6 Golf Course Irrigation ( 1) 2,652 9,523 6,871 259% Total Annual Revenue $ 203,980 $ 734,684 $ 530,704 260% Notes (1) Golf Course Irrigation represents the remaining separate meters that are not part of the Golf Irrigation Pond which converted over to is own well and supply system in 2023. The 2023 Golf Irrigation Pond revenue and expenses have been removed from the Profit and Loss. Attachment E Copy of Customer Notice and Mailing Date E:\24-01 Application\Exhibits\SWS-W-24-01 Applicant Information and List of Attachments Gen Rate Case.docx CUSTOMER NOTICE February 28, 2024 NOTICE OF FILING APPLICATION TO INCREASE RATES CDS StoneRidge Utilities, LLC., SWS-W-24-01 This is to notify you that on February 26, 2024 CDS StoneRidge Utilities, LLC, a Privately Owned Public Water Company in Blanchard, Idaho, filed an application with the Idaho Public Utilities Commission ("Commission").Case No.SWS-W-24-01, requesting that the Commission grant it permission to increase the monthly user fees, and increase the disconnection/reconnection fees and other non-recurring fees and for clarifications and changes to the Rules and Regulations. In the application, CDS StoneRidge Utilities, LLC. is proposing 1) a revenue increase of approximately $555,190 which represents an overall increase of 261 % to be applied to all classes of customers (Golf Irrigation Revenue is projected to decline to $0). 2) A monthly user increase will be imposed on all current and future customers within the Service Territory. 3) A disconnect/reconnect fee increase will be imposed on all customers choosing to have their water shut off and turned "back on" later. 4) And Clarifications and changes to the General Rules and Regulations. The following table shows the proposed Increase in monthly user fees by category: Current Proposed MeterSize Min. Monthly Volumetric Min. Monthly % Increase (Inches) Charge Factor Charge Charge 0.75 $ 24.00 1.00 $ 87 261% 1.00 24.00 1.78 $ 154 543% 1.50 96.00 4.00 $ 347 261% 2.00 170.67 7.11 $ 616 261% 2.50 266.67 11.11 $ 963 261% 3.00 384.00 16.00 $ 1,386 261% 4.00 682.67 28.44 $ 2,464 261% 6.00 1,536.00 64.00 $ 5,546 261% The proposed increase in "monthly user fees" and "non-recurring fees" is necessary so that the Company can eliminate the "Net Loss" it has been incurring during the last five years. CDS StoneRidge Utilities, has invested more than $900,000 since the ownership transfer in 2018. The proposed rate increases will allow the Company to earn a return on its investments in water facilities which are providing service to customers. Monthly users' fees were last raised in 2007. The proposed increase in the Commodity Charge is from $.79/1,000 Gallons to $2.94/1,000 Gallons. The proposed increase in "monthly user fees" and "non-recurring fees" is subject to public review and a commission decision, which it may accept, modify, or reject in whole or in part. A copy of the Application is on file and available for inspection at the Idaho Public Utilities Commission, 11331 W. Ch ind en Blvd. Building 8, Suite 201-A, Boise, ID 83714. Phone: 208.334.0300 Idaho, and the Company's offices are located at: 12 Holiday Loop, Blanchard, Idaho 83804. The Application is also available on-line at the Commission https://puc.idaho.gov/Case/Details/XXX Case #SWS-W-24-01 CDS StoneRidge Utilities, LLC. Customers may subscribe to the Idaho Public Utilities Commission RSS feed for periodic updates via email. You can also file a comment on the Application via the Commission's website at: http://puc.idaho.gov/. Additionally, you can mail comments to: Idaho public Utilities Commission P.O. Box 83720 Boise, Idaho 83720-0074. or Stor\eRidge Utilities, LLC P.O. Box 298 Blanchard, ID 83804 In any comments fil ed with the Commission and sent to the Company Case No. of this matter, SWS-W-24-01 should be included. Sincerely, CDS StoneRidge Utilities, LLC Bl Page ATTACHMENT F Copy of Publication Notice PUBLILCATION NOTICE February 28, 2024 NOTICE OF FILING APPLICATION TO INCREASE RATES CDS StoneRidge Utilities, LLC., SWS-W-24-01 This is to notify you that on February 26, 2024 CDS StoneRidge Utilities, LLC, a Privately Owned Public Water Company in Blanchard, Idaho, filed an application with the Idaho Public Utilities Commission ("Commission").Case No.SWS-W-24-01, requesting that the Commission grant it permission to increase the monthly user fees, and increase the disconnection/reconnection fees and other non-recurring fees and for clarifications and changes to the Rules and Regulations. In the application, CDS StoneRidge Utilities, LLC. is proposing 1) a revenue increase of approximately $555,190 which represents an overall increase of 261 % to be applied to all classes of customers (Golf Irrigation Revenue is projected to decline to $0). 2) A monthly user increase will be imposed on all current and future customers within the Service Territory. 3) A disconnect/reconnect fee increase will be imposed on all customers choosing to have th eir water shut off and turned "back on" later. 4) And Clarifications and changes to the General Rules and Regulations. The following table shows the proposed !ncrease io monthly user fees by category: Current Proposed MeterSize Min. Monthly Volumetric Min. Monthly % Increase (Inches) Charge Factor Charge Charge 0.75 $ 24.00 1.00 $ 87 261% 1.00 24.00 1.78 $ 154 543% 1.50 96.00 4.00 $ 347 261% 2.00 170.67 7.11 $ 616 261% 2.50 266.67 11 .11 $ 963 261% 3.00 384.00 16.00 $ 1,386 261% 4.00 682.67 28.44 $ 2,464 261% 6.00 1,536.00 64.00 $ 5,546 261% The proposed increase in "monthly user fees" and "non-recurring fees" is necessary so that the Company can eliminate the "Net Loss" it has been incurring during the last five years. CDS StoneRidge Utilities, has invested more than $900,000 since the ownership transfer in 2018. The proposed rate increases will allow the Company to earn a return on its investments in water facilities which are providing service to customers. Monthly users' fees were last raised in 2007. The proposed increase in the Commodity Charge is from $.79/1,000 Gallons to $2.94/1,000 Gallons . The proposed increase in "monthly user fees" and "non-recurring fees" is subject to public review and a commission decision, which it may accept, modify, or reject in whole or in part. A copy of the Application is on file and available for inspection at the Idaho Public Utilities Commission, 11331 W. Chinden Blvd. Building 8, Suite 201-A, Boise, ID 83714. Phone: 208.334.0300 Idaho, and the Company's offices are located at: 12 Holiday Loop, Blanchard, Idaho 83804. The Application is also available on-line at the Commission https://puc.idaho.gov/Case/Details/XXX Case #SWS-W-24-01 CDS StoneRidge Utilities, LLC. Customers may subscribe to the Idaho Public Utilities Commission RSS feed for periodic updates via email. You can also file a comment on the Application via the Commission's website at: http://puc.idaho.gov/. Additionally, you can mail comments to: Idaho public Utilities Commission P.O. Box 83720 Boise, Idaho 83720-0074. or StoneRidge Utilities, LLC P.O. Box 298 Blanchard, ID 83804 In any comments filed with the Commission and sent to the Company Case No. of this matter, SWS-W-24-01 should be included. Sincerely, CDS StoneRidge Utilities, LLC 15 I Page Attachment G Proposed Effective Date of General Rate Case July 1, 2024 17jPage ATTACHMENT #H See Exhibit #1 Schedule A Plant in Service RATE BASE (EXHIBIT #!--SCHEDULE "A" A~COUNT 101 PLANT IN SERVICE I I Company Name: CDS StoneRidge Utilities, LLC -1--1 I ·----Idaho PUC Case Number: SWS-W-24-01 r c--- ----- Test Year ended: 12/31/2023 ---,_ I -I -(A) (B)_ (C) -'Pl;nt in Service (An~t1al Report -------g.5)_ Known I Pro Forma ~ ,_ 1 ACCT# DESCRlPTION Actual Changes* (A+B) 1 I 301 Organization -------2 302 Franchises and Consents -~ --3 303 Land & Land Rights ---4 304 Structures and Improvements 774,820 774,820 -----t---5 305 Collecting & Impounding Reservoirs ---------61_ 306 Lake, River & Other Intakes ---7 307 Wells - 81 --308 Infiltration Galleries & Tunnels - ~ ---- 9: 309 Supf)ly Mains 123,943 123,943 10 310 Power Generation Equipment -144,293 144,293 ---11 311 Power Pumping Equipment 91,967 74 000 165,967 -----12 320 Purification Systems 5,078J_ 5,078 -13, 330 Distribution Reservoirs & Standpipes ---. -----14: 331 Trans. & Distrib. Mains & Accessories 2062-~6~1 11 2,500 112,500 --15 333 Services 206,063 16 334 Meters and Meter Installations 27,251 I 241,664 268,915 17 335 Hydrants 13,823 ~ 13,823 --18 336 Backflow Prevention Devices -,_ --19 339 Other _!1lant & Misc. Equipment 3,051 l ___ 3_,05 1__ --20 340 Qffice Furniture and Equipment --21 341 Transportation Equipment -t= 98,000 98,000 ..- 22 342 Stores Equipment ---23 343 Tools, Shop and Garage Eguipment ----24 344 Laboratory Equipment ---25 345 Power Operated Equipment --~ --26 346 Communications Equipment --------27 347 Miscellaneous Equipment : - 28 348 Other '[a~gible Property - !TOTAL PLANT IN SERVICE ---29 1,245,996 670,457 1,916,453 (Add lines 1 -28) I --I .--~ ------ I EXffiBIT No. 1 ------Schedule A --Plant in Service 17 I Page ATTACHMENT #I See Exhibit #1 Schedule B Rate Accumulated Depreciation RATE BASE (EXHIBIT 1 SCHEDULE "B" ACCUMULATED DEPRECIATION) Company Nf me: CDS StoneRidge Utilities, LLC ~ I I I Idaho PUC Case Number: SWS W-24-01 -------J _J -~ ----Test Year ended: 12/31/2023 _l --- ----Accumulated Depreciation (Annual Report, pg. 6) (A) (B) (C) -~own Pro Forma TACCT ~ n-·--RIPTION Actual Changes* (A +-B) ----1 304 Structures and Improvements 774,820 774,820 --,---2 305 ~oll~c!ing & Impounding Re~ervoirs -1~ -3 306 Lake, River & Other Intakes - 4 307 Wells ----5 308 Infiltration Galleries & Tunnels ---6 309 Supply Mains 85,542 85,542 7 310 Power Generation Equipment -5,930 5,930 -8 311 Power Pumping Equipment 91,967 5,181 97,148 ---9 320 Purification Systems 4,243 4,243 10 330 Distribution Reservoirs & tand_pipes ----11 1 331 Trans. & Distrib. Mains & Accessories -7,504 7,504 . --12 333 Services 30,101 30,101 -13 334 Meters and Meter Installations 27,251 75,282 102,533 --14 335 Hydrants 12,415 12,415 15 336 Backflow Prevention Devices ---16 339 Other Plant & Misc. Equipment 1,486 1,486 ---17; 340 Office Furniture and Equipment ------ 18:l 341 Transportation Equipm<:_nt -19,600 19,600 _19.f 342 Stores Equipment -----20 343 Tools, Shop and Garage Equipment j --21 I 344 Laboratory Equipment --22 345 Power Operated Equipment -231 --346 Comp:mnications "'quipment ---~ 347 Miscellaneous Equipment j ---25 348 OQler Tangible Pr~e_ei:!y - 26 TOTALS (Add Lines 1 -25) 1 $ 1,027,825 $113,497 1 $ 1,141,322 ---I ----7 -- :Exhibit No. 1 I -~-----:schedule B --'Accumulated Depreciation 17 I Page ATTACHMENT #J See Exhibit #1 Schedule C Rate Base Summary RATE BASE (EXHIBIT 1 SCHEDULE ''C'' SUMMARY 7 Company Name: CDS StoneRidge Utilities, LLC T 1 Idaho PUC Case Number: SWS-W-24-01 I I -Test Year ended: Decem her 31, 2023 --- ,_ -j-(A) (B) (C) I Test Year Known Pro Forma I Actual Changes* (A+B) 1 Total Plant in Service (Ex 1, Sch A, line 29) I 1,245,996 670,457 1,916,453 2 Accumulated Depreciation (Ex 1, Sch B, line 26) 1,027,825 113,497 1,141,322 3 Net Plant in Service (Line 1 less line 2) 218,171 556,960 775,131 4 Add Utility Plant Acquisition Adjustment** - -1-(Annual Repo1t page 7, line 5_) Add Materials & Supplies Inventories - (Annual Report page 7, line 22) _ ~1Less Accum Amortization Util Plant Acq Adj** ! - (Annual Report page 7, line 12) 7 i Less Customer Advances for Construction I --(Annual Report page 8, line 22) l -----8 'I Less Contributions in Aid of Construction - (Annual Report page 8, line 27) -- 9 Add Working Capital (1/8 Operating Expenses) --(Exhibit No. 2, Sch B, 1in 21/8) 53,777 (4,234) 49,543 10 Add Deferred Charges (If any, attach detail) - ' (Annual Report page 7, lines 29 & 30) -11 Total Rate Base 271,948 552,726 824,674 - ----Exhibit No. 1 Schedule C ,---Rate Base 17 I Page ATTACHMENT #K See Exhibit #2 Schedule A Revenues OPERATING RESULTS (EXHIBIT 2 SCHEDULE "A" REVENUES) I l_ I I ~ ---------Company Name: CDS StoneRidge Utilities, LLC ,_,_ -r -_l -J Idaho PUC Case Number: SWS-W-24-1 r I _[ ----Test Year ended: 23/31/2023 I -I -I ,_ ---·-- -(A) (B) (C) Test Year Known Pro Forma ->--(See Annual Report page 3) Actual Changes* (A +B) Water Revenues: 1 Unmetered 76 76 -2 Metered-Residential 126,535 126,535 -,~ 3 Metered-Commercial & Industrial 58,987 58,987 4 Fire Protection Revenue - 5 Other Water Sales Revenue 4,602 4,602 -6 Irrigation Sales Revenue 632206 (48,409) 14,797 --7 Sales for Resale - 8 Total Water Revenue (Add lines 1 -7) ,-253,406 (48,409) 204,997 9 DEQ Fees billed separately to customers 10 Hook-up or Connection Fees collected -11 Commission-approved Surcharges collected 1) -- 12 L I 13 TOTAL REVENUE (Add lines 8 -11) 253,406 (48,409) 204,997 -I I I -- --1) Surcharge not included=debt service I -I I Exhibit No. 2 I I Schedule A Revenues 171Page ATTACHMENT #L See Exhibit #2 Schedule B Expenses OPERATING RESULTS (SCHEDULE "B" EXPENSES) -I ±_ ---Company Name: CDS StoneRidge Utilities, LLC ---T f -- Idaho PUC Case Number: SWS-W-24-01 I I --· -I---- -------1-----,-~ Test Year ended: 12'/31/2023 ·1 I --·-- >-(A) @) --(C) Test Year Known Pro Forma - (See Annual Report ~ge 3) Actual Changes* (A+B) 1 Labor-Operation & Maintenance $ 80,335 $ 80,335 - 2 Labor-Customer Accounts 35,766 _1 5,766 ·- 3 Labor-Administrative & General 67,863 67,863 --4 Salaries-Officers & Directors 39,303 39,303 -- 5 Employee Pensions & Benefits ---- 6 Purchased Water ---------7 Purchased Power & Fuel for Power 50,521 (29,612) 20,909 8 Chemicals 14,653 (6,149) 8,505 9 Materials & Supplies-Operation & Maintenance 22,262 -22,262_ --10 Materials & Supplies-Admin & General 646 646 --11 Contract Services-Professional 35,488 35,488 ----- 12 Contract Services-Water Testing 30 30 -- 13 Rentals-Property & Equipment 79,45§ 79,456 -14 Transportation E:~p~nse -- 15 Insurance 432 432 _,... 16 Advertising -----17 Rate Case Expense (A mortization) -1,889 1,889 ->-- 18 Regulatory Comm. Exp. (Other Except Taxes) 475 L__ 475 19 Bad Debt Exp ns~_ ---20 Miscellaneous ~ xp_enses 2,986 2,986 --_ _J_ 21 TOTAL OPERA TING EXPENSES 430,2 17 j (33,871 ) 396,346 - . I I ------iExhibit No. 2 I . --Tschedule B --I --I I Expenses I 171Page ATTACHMENT #M See Exhibit #2 Schedule C Income Statement OPERATING RESULTS ( CHEDULE "C" INCOME STATEMENT) :=..J I I -----=----~--------~~--_-_-_-___ , __ Company Name: CDS StoneRidge Utilities, LLC -1...= l ~-------Idaho PUC Case Number: SWS-W-24-01 ------,_ ---+----- ------+------!-Test Year ended: 12/32/2023 ~ I 1-_ (A) J B)_ (C) Test Year Known Pro Forma -~-~~---~--------------------,~c~ -~ang~, (A+)!)_ 1 Revenue (From Ex. 2, Sch A) $ 253,406 $ (48,409) $ 204,997 --------~ 2 _Operating Expenses (From page 3 line 33) 430,~7_ J1}~8711 396,346 3 Depreciation Expense _______________ 1_8-'--,252._c-114,315 132,574 4Amortization, Utility Plant Acquisition A~j . ..:... 5 Amortization Exp.-Other - 6 Regulatory Fees (PUC) 837 837 --• -. 7 Property Taxes I ---__ 1 --8 Payroll Taxes 9A Other Taxes (list) DEQ Fees ---------------j------11----- 1,480 1,480 2U-9-g-rsffleSales ru,,.,x__,__ ___ ---"-----------------t--------'- 9C ,__ ---------------------1----­--------------------------+---- ---zu- IO Federal Income Taxes 11 State Income Taxes 12 Provision for Deferred Income Tax-Federal 13 Provision for Deferred Income Tax-State - 20 ------------1---- 14 Provision for Deferred Utility Income T~x_C_r_e_d_it_s _________ +---- 15 Investment Tax Credits-Utility _,_ __ ____._ ___ ...._ ___ _ ,_ - -+ --- 20 ---I ------ I - ----I 6 Total Expenses from O crations before interest (Add lines 2 -J 5) -~--,,----~ 450,834 80,444 531,278 ------- 17 Income from Utility Plant Leases to Others 18 Gains (Losses) from Disposition ofUtility-P-la_n_t-----------,,------,--- 19 Net Operatine, Income (Add li~es 1, 17 &18 les;-Ii!!__e_l_~)=====----_-_-_-+.+----_-__,_(.-l_-9_7-:_,-4_2_7.:..;-)1--_,(l28,853L _ (326,28!) 20 Revenues, Merchandizing, Jobb_i_n!t & Contract Wo_rk _____________ _,__ 21 Expenses, Merchandizing, Jobbins & Contracts 22 Interest & Dividend Income ~--------+-----+---- 23!Jlowance for funds used durin~construction ___________ , _____ _ 24 Miscellaneous Non-Utility Income 25 Miscellaneous Non-Ut~lit_y Expense ,~ Other Taxes, Non-Utility _9perations ------------+-------+- 27 Income Taxes, Non-Utility Ope!ations __ 28 Net Non-Utility Income (~d~ lines 20, 2~ 23, & 24 ------less lines 21, 25, 26 & 27) 22 Gross IncomeJ Add lines 19 & 28) 30 Interest Exp. On Lon -Term Debt 1310ther Interest Charges --- (197,427) 66,867 ------- I (128,853) (64,302) ---· -=i= --[ 32 NET INCOME (Line 29 less lines 30 & 31) $ (264,294) $ (64,551) $ (328,846) _±---------- ---------- Exhibit No. 2 Schedule C Income Statement 171Page ATTACHMENT #N See Exhibit 3 Cost of Capital COST OF CAPITAL AND RATE OF RETURN (EXHIBIT 3) ---~-.--~----,------ Com~an Name: CDS StoneRidge Utilities, LLC -1=~-------+_-_-_-_-_-:_----~-----+-------1----+-----1 Idaho PUC Case Number: SWS-W-24-01 7-----=-1 I -----+------Test Year ended: 12/31/2023 __,_(A__,) __ ------,----,--~(B---==)_ -~(__,C)--+-_ _,_(D____,_) __ I Amoun_t_-+---c--0_1/o of Total I Cost Weighted Outstanding Outstanding r of Cost (Column A/ Capital (Column B X 1 Common E uity (Proprietor Capital Paid In).__-+-'-$-----'--- ~ Retained Earnings _ 3 Total Common Equity (Proprietor Capit~I,_) _Li_ne_1--+-----'---+----~ 4 5 Long-Term Debt _i Total Capital 7 Weighted Cost of Ca EXHIBIT No. 3 ----+-----+----COST OF CAPITAL AND RATE OF RETURN 23 I Page ATTACHMENT #0 See Exhibit 4 Revenue Requirement REVENUE REQUIREMENT EXHIBIT 4) --_l_ -C ---------------company Name: CDS StoneRidge Utilities, LLC -1------ Idaho PUC Case Number: SWS-W-24-01 Test Year ended: 12/31/2023 I [ __ (A) (B) (C) Test Year Known Pro Forma ------+------+-Act u a I Changes (A+ B 1 Rate Base (Ex. 1, Sch C, line 11 271,948 552,726 824,674 2 Required Rate of Return (Ex. 3, line 7) 12% 9.77% 3 Income Required (Line 1 x Line 2) 32,634 80,552 '----------+------'--4 Income Realized (Ex. 2, Sch C, line 29) ___ _,__ __ (~1_97,427) _{_326,2811 5 Income Deficienc Line 3 less Line 4) 230,061 406,832 6 Net Operating Income Deficiency 7 Gross U • Factor 8 Total Incremental Revenue Requirement r- 9 Revenues at Existing Rates ..1..Q Total Revenue Requirement 11 Percen!_l~crease Require'!_ $ 230,061 1.347 $ 309,799 $ 253,406 $ 563,205 222% Exhibit No. 4 Revenue Re uirement $ 40~832 1.347 $ 547,838 -t-- $204,997 $ 752,835 267% 24 I Page ATTACHMENT#P Marked Up Tariff Both Residential and commercial are included in one tariff. Including changes to recurring charges and other proposed changes to rules and regulations etc. Our current Tariff #3 is attached with no markup. We are working with IPUC Staff on finalizing Tariff #4 related to IPUC Case SWS-W-23-02 and once this is finalized, we will then markup Tariff #4 for Case SWS-W-24-01 and submit it to Staff. CDS StoneRidge Utilities, LLC Tariff No. 3 Sheet 1 Original IDAHO PUBLIC UTILITIES COMMISSION Approved Effective May 6, 2021 March 25, 2021 Per ON 35033 Jan Noriyuki Secretary ALL WATER CUSTOMERS Meter Size (inches) 0.75 1.00 1.50 2.00 2.50 3.00 4.00 6.00 Minimum Monthly Customer Charge $24.00 $24.00 $96.00 $170.67 $266.67 $384.00 $682.67 $1,536.00 Commodity Charge $0. 79/1,000 g. $0.79/1,000 g. $0.79/1,000 g. $0.79/1,000 g. $0. 79/1,000 g. $0.79/1,000 g. $0.79/1,000 g. $0.79/1,000 g. Reconnection Charge For Disconnection Over 30-Days $65.00 $65.00 $260.00 $462.00 $722.00 $1,040.00 $1,849.00 $4,160.00 * The Golf Course's commodity charge is $0. 71 /1 ,000 gallons, reflecting a 10% discount because of its interruptible, off peak usage capabilities. HAPPY VALLEY RANCHOS WATER CUSTOMERS Customers served by that portion of the system receiving water from the StoneRidge Booster station shall pay an additional surcharge of $14.03 per month. Effective: 3/25/2021 Issued Per IPUC Order No. 35033 CDS StoneRidge Utilities, LLC Tariff No. 3 Sheet 2 Original IDAHO PUBLIC UTILITIES COMMISSION Approved Effective May 6, 2021 March 25, 2021 Per ON 35033 Jan Noriyuki Secretary NON-RECURRING CHARGES Re-Connect Fees: Disconnected for 30 days or less: During Office Hours After Office Hours Re-Connect Fee: Disconnected for 31 days or more: Effective: 3/25/2021 Meter Size: .75 1.00 1.00 2.00 2.50 3.00 4.00 6.00 Issued Per IPUC Order No . 35033 $18.50 $33.50 $65.00 $65.00 $260.00 $462.00 $722.00 $1,040.00 $1,849.00 $4,160.00 e Utilities, LLC g Member CDS StoneRidge Utilities, LLC Tariff No. 3 Sheet 3 Original Hookup Charge: For each new 3/4" or 1" Complete Installation Tap Main and Install service line to curb stop only Adder for excavation or horizontal boring across road Pit Setter and meter only Install meter and turn-on water only IDAHO PUBLIC UTILITIES COMMISSION Approved Effective May 6, 2021 March 25, 2021 Per ON 35033 Jan Noriyuki Secretary $3,500.00 $1,512.00 $1 ,800.00 $2,296.00 $533.00 For applicants requesting a connection larger than 1": Customer pays actual construction costs. Effective: 3/25/2021 Issued by S Sten Utilities, LLC Issued Per IPUC Order No. 35033 Chan Kar h~ , Member CDS StoneRidge Utilities, LLC Tariff No. 3 Sheet 4 Original IDAHO PUBLIC UTILITIES COMMISSION Approved Effective May 6, 2021 March 25, 2021 Per ON 35033 Jan Noriyuki Secretary GENERAL RULES & REGULATIONS FOR SMALL WATER UTILITIES 1. GENERAL 1.1 The Customer, in receiving water service, and the Company in providing water service, both agree to abide by these Rules and Regulations . 1.2 In the event that there is a conflict between the Company's Rules and Regulations and the Rules and Regulations Governing Customer Relations of Gas, Electric, and Water Public Utilities under the Jurisdiction of the Idaho Public Utilities Commission, the Rules and Regulations oft the Commission shall take precedence unless an exception has been granted. 1.3 Any additions, deletions or modifications to these General Rules and Regulations are to be made in the "Specific Provisions" section attached as Attachment 1. Any such changes are subject to approval by the Commission prior to becoming effective. 1.4 Ownership of system, all water mains, valves, fittings , hydrants , and other appurtenances, except "Customer Service Lines", as defined shall be the property of CDS StoneRidge Utility hereln referred to as the "Company". 1.5 The Company shall not be liable for damage resulting from the interruption in service or from the lack of service. Temporary suspension of service by the Company for improvement and repairs may occasionally be necessary. Whenever possible, and time permits, all customers affected will be notified prior to shutdowns. Effective: 3/25/2021 Issued Per IPUC Order No. 35033 Issued by Chan Kar CDS StoneRidge Utilities, LLC Tariff No. 3 Sheet 5 Original 2. DEFINITIONS IDAHO PUBLIC UTILITIES COMMISSION Approved Effective May 6, 2021 March 25, 2021 Per ON 35033 Jan Noriyuki Secretary 2.1 Applicant -A person or entity requesting new water service from the Company. 2.2 Billing Period -the period of time between bills from the Company for normal services rendered. 2.3 Commission -Idaho Public Utilities Commission . 2.4 Commodity Charge -recurring charge based only on the quantity of water used. 2.5 Company-Water Company. 2.6 Complete Installation -Includes the costs of tapping the main and installing a service line to the curb stop and installing a complete Pit Setter and meter. 2.7 Connection or Hook-up Fee -One time connection to the utility's distribution system. The Company assumes ownership and responsibility for maintenance of the meter and all pipes and equipment between the Company's main and the meter at the time of the customer's connection to the Company's water system. 2.8 Contribution in Aid of Construction -non-recurring charge paid by a Customer or Developer to help defray cost of system expansion. 2.9 Corp Stop -A valve, located on the service line and adjacent to the Company's Main. 2.10 Curb Stop -A valve, located on the service line near the edge of the Customer's property. The Curb Stop is used to turn-on/shut-off water to the Customer. It is often located within the Pit Setter enclosure. 2.11 Customer -a person or entity who is receiving water service from the Company. 2.12 Customer Charge -minimum recurring charge that does not include any water. 2.13 Extraordinary Circumstances -Conditions not typically encountered when performing a hook-up. This may include the installation of service lines longer than 50 feet, excavation through rock outcrops, or excavation in areas with high water tables requiring additional equipment for water removal. 2.14 Fixed Rate -a recurring charge of a fixed amount, usually in an unmetered system. 2.15 Franchise Tax -tax imposed on a Compan by a governmental entity for the privilege of doing business within its bound Effective: 3/25/2021 Issued Per IPUC Order No. 35033 Issued by Chan Kar CDS StoneRidge Utilities, LLC Tariff No. 3 Sheet 6 Original IDAHO PUBLIC UTILITIES COMMISSION Approved Effective May 6, 2021 March 25, 2021 Per ON 35033 Jan Noriyuki Secretary 2.16 Non-recu rring Charges -charges that are not assessed each billing period. 2.17 Quality -The Company will exercise reasonable diligence to supply safe and potable water at all times. 2.18 Pit Setter and Meter -Includes the materials and costs necessary to install the Pit Setter (with enclosure) and meter and connect it to the Corp Stop. 2.19 Premises -a Customer's property including out buildings which are normally located on one lot or parcel of ground . 2.20 Rate Structure -a schedule of all recurring and non-recurring charges of the company. 2.21 Reconnection Fee -charge paid by a Customer to the Company to restore service after its disconnection. 2.22 Recurring Charges -charges that are assessed each billing period. 2.23 Services Classification -The service classification shall be Residential, Condominium!Townhome, Commercial, Golf and Resort. (A) Residential -Residential services shall consist of all services for domestic purposes, single family residential uses. Each dwelling unit shall be on an individual lot, have a water meter, and be billed as one residential customer per the tariff amount for residential customer. Th is classification is associated with lots that are platted for single ownership and receive an individual monthly statement. Under new construction these services are run through a 3/4 inch water meter to allow for domestic water and average yard irrigation. There are some services installed prior to 2001 wherein meters larger than 3/4 inch were installed but have always been billed as residential service. (B) Condominium/Townhome/Motor Coach!Timeshare - Condominium!Townhome/Motor Coach/Timeshare services shall consist of all services for domestic purposes , single family residential uses. Each dwelling unit within a condominium , townhome, timeshare, or motor coach site shall have an individual water meter and be billed as one residential customer per the tariff amount established for residential customers. This classification is associated with lots or units under single ownership but managed by an association. One monthly statement reflecting the capacity of the connection to serve the customer based on meter size will be sent to the respective a ociation. Serv ces serving these are run Effective: 3/25/2021 Issued Per IPUC Order No. 35033 CDS StoneRidge Utilities, LLC Tariff No. 3 Sheet 7 Original IDAHO PUBLIC UTILITIES COMMISSION Approved Effective May 6, 2021 March 25, 2021 Per ON 35033 Jan Noriyuki Secretary thru meters that vary from 3/4 inch in the Vineyard Townhomes to 6 inch meters in the Motor Coach Village. Meters are sized depending on the number of lots or units, amount of common area to be served, and/or type of fire flows that are being served. Currently we have the Fairway Meadows Condominiums (3/4 inch meters for individual units and 1-1/2 inch meters per 4-unit buildings) receives and pays the monthly statement which reflects the base fees for all meters plus consumption which includes common areas (yard irrigation). The Vineyard Townhomes (3/4 inch meters per unit) receives and pays the monthly statement which reflects the base fees for 24 units plus consumption which includes common areas (yard irrigation). The Motor Coach Village (one common 6 inch meter) receives and pays the monthly statement which reflects the capacity of the connection to serve the customer based on the meter size plus consumption which includes common areas (yard irrigation.) The Timeshare Resort currently receives and pays the monthly statement which reflects the base fees for 6 meters serving 5 buildings (1 1/2 inch meters feed each building) and an irrigation system. Three of these buildings have residential living units. The 4th building has residential living units plus all offices the offices, housekeeping, and maintenance. The 5th building has recreational facilities (including pool), laundry facilities and restaurant. They also have a 2 inch meter that provides for irrigation of a park and restroom facilities. (C) Commercial -Commercial services shall consist of those services where water is used for commercial services such as businesses, restaurants, recreational facilities, either stand alone or associated with condominium, townhome, motor coach or timeshare developments. Golf Shops, day care, schools, recreational vehicle sites or other uses not associated with uses defined herein. Each use shall have a water meter sized for the anticipated use and be billed as a commercial customer per the tariff. The fixed tariff amount associated with commercial services shall be determined based on the capacity of the connection to serve the customer based on meter size . This classification is associated with specific commercial uses such as Golf Pro Shop/Grill Restaurant, Event Center, Recreation Center, or other uses not herein classified and receives an individual monthly statement. (D) Irrigation -Irrigation services shall consist of those services where water is used for golf course maintenance. Golf course play, parks, common areas, or any other uses associated with outside facilities not directly r lated to a res · ential service. Water shall be supplied on a daily basis with no firm ommitment r delivery at a given Effective: 3/25/2021 Issued by Stan r' Utilities, LLC Issued Per IPUC Order No. 35033 Chan Kar Member CDS StoneRidge Utilities, LLC Tariff No. 3 Sheet 8 Original IDAHO PUBLIC UTILITIES COMMISSION Approved Effective May 6, 2021 March 25, 2021 Per ON 35033 Jan Noriyuki Secretary time. Water shall be made available on as available basis. Each use shall have a water meter sized for anticipated use and be billed as an irrigation customer per the tariff. This classification is currently associated with the golf course (6 inch meter feeds the golf course storage pond) and receives an individual monthly statement. The Irrigation service is the only service on the water system that acts as a reserve. If there is an emergency wherein additional water is needed the golf service can be discontinued and not impact golf operations. No other service on the water system can be discontinued without impacting their operations. (E) Standby Fire -Standby fire service shall consist of those services where water is available or used for fire protection only. Currently there are no standby fire services. (F) Special Contracts -When the applicant's requirements for water are unusual or large, such as an independent water system, or necessitate considerable special or reserve equipment or capacity, the company reserves the right to make a special contract, the provisions of which are different from, and have exceptions to, the regularly published water rates and rules . This special contract shall be in writing, signed by the applicant and approved by the Company and the IPUC. (G) Resale of Water -Resale of water shall be permitted only under special contract, in writing, between the Company and the persons, parties or corporations selling water. (H) Service Preference -In case of shortage of supply, Company reserves the right to give preference in the matter of furnishing services to: first, residential customers and second, interests of the Company from the standing of public conveniences or necessity. 2.24 Supply -The Company will exercise reasonable diligence and care to deliver a continuous and sufficient supply of water to the customer at a reasonable pressure and to avoid, so far as reasonably possible, any shortage of interruption in delivery. 2.25 Tariff-Rate Schedules and Rules and Regulations which govern the Company's service. 2.26 Ta Main and Install service line to the Curb St -Include connection to the main, installing up to 50 feet of line between the Corp Stop and t ~ Curb Stop. Effective: 3/25/2021 Issued Per IPUC Order No. 35033 Issued by CD Chan Karupia CDS StoneRidge Utilities, LLC Tariff No. 3 Sheet 9 Original IDAHO PUBLIC UTILITIES COMMISSION Approved Effective May 6, 2021 March 25, 2021 Per ON 35033 Jan Noriyuki Secretary 2.27 Irrigation Charges -Irrigation services may be discontinued, disconnected, or regulated by the utility company if determined necessary for the utility company to insure availability for the residential, timeshare and commercial users. 3. SERVICE FOR NEW CUSTOMERS 3.1 The Company shall furnish service to applicants within its service area under the jurisdiction of the Idaho Public Utilities Commission in accordance with Rates and Rules and Regulations approved by the Commission. 3.2 Applicants for water service SHALL be required to sign a standard form of service application that has been reviewed and approved by the Commission. 3.3 Company shall not be obligated to provide service at a service location until any required deposit or guarantee of payment has been received by the Company in accordance with the "Rules and Regulations Governing Customer Relations of Water Public Utilities under the Jurisdiction of the Idaho Public Utilities Commission" attached and referred to herein as Utility Customer Relations Rules (UCRR). 3.4 Special Contracts may be required where large investments in special facilities are necessary to provide the requested service. The Company may require contribution toward such investment and establish minimum charges as are deemed necessary. All such contracts are subject to the approval of the Commission. 3.5 The Company reserves the right to place limitations on the amount and character of water service it will supply and to refuse service to new Customers if, in its opinion : (a) The Company is required to refuse or limit service by regulatory authorities having jurisdiction over the Company. (b) The requested service installation is larger size than is necessary to properly serve the premises. (c) The permanency of the building, structure, or institution requested to be served is such that the Company's investment in such services is jeopardized. (ct) The depth of the Customer's service line is less than the minimum depth required for frost protection. Effective: 3/25/2021 e Utilities, LLC Issued Per IPUC Order No. 35033 CDS StoneRidge Utilities, LLC Tariff No. 3 Sheet 10 Original IDAHO PUBLIC UTILITIES COMMISSION Approved Effective May 6, 2021 March 25, 2021 Per ON 35033 Jan Noriyuki Secretary (e) The Customer's proposed service, main or other appurtenance does not conform to good engineering design or meet the standard specifications of the Company. (f) The Customer refuses to agree to and abide by the Rules and Regulations of the Company. 3.6 If the Company denies service to a potential Customer for any reason, it will immediately provide the applicant with a written explanation of its decision in accordance with UCRR. 4. DEPOSITS 4.1 Rules and Regulations regarding deposits to guarantee payment of bills can be found in Rules 101-109 UCRR. 5. RATES 5.1 Rates charged for water service and supply shall be those published in the Company's tariff and approved by the Idaho Public Utilities Commission. 6. BILLING AND PAYMENT 6.1 All Customers will be billed on a regular basis as identified on the applicable rate schedule . 6.2 If the system is metered, the Company shall try to read the meters prior to each billing unless specified differently on the applicable rate schedule, or weather related, emergency issues take precedence. If the Company's meter reader is unable to gain access to the premises to read the meter, or in the event the meter fails to register, the Company may estimate the Customer's water consumption for the current billing period based on known consumption for a prior similar period or average of several periods. Subsequent readings will automatically adjust for differences between estimated and actual. Estimated bills shall carry appropriates notice to that effect. Effective: 3/25/2021 Issued by CDS Issued Per IPUC Order No. 35033 Chan Karupiah , .v,c.,,"""' CDS StoneRidge Utilities, LLC Tariff No. 3 Sheet 11 Original IDAHO PUBLIC UTILITIES COMMISSION Approved Effective May 6, 2021 March 25, 2021 Per ON 35033 Jan Noriyuki Secretary 6.3 All bills shall clearly indicate the balance due and shall be due and payable no less than 15 days after the date rendered. All bills not paid by the due date shall be considered delinquent and service maybe disconnected subject to the provisions of the UCRR. 6.4 The minimum bill or customer charge, pro-rated for the days of service actually provided, shall apply when service is provided for less than one month. 6.5 Owners of premises with one or more condominiums, buildings, stores, apartments, or any other divisions of like or similar character, all of which are served from one (1) service connection are responsible for the entire water charges . If the owner desires to cease being responsible for water bills for such places and desires that the occupant of each division shall be responsible for his or her respective bill, such transfer of responsibility will not be accepted or recognized by the Company until the plumbing arrangements of the building or premises are so changed by the owner or his or her agent as to permit the Company, to its satisfaction, to serve each division or occupant separately from the other occupants in the same building. 6.6 Accounts will be continued, and water bills rendered regularly until the Company has been duly notified to discontinue service. 7. METERING 7. 1 Meters will be installed by the Company near the Customer's property line or at any other reasonable location on the Customer's premises that is mutually agreed upon. 7.2 The Company's representative shall be given access to the Customer's premises at all reasonable hours for the purpose of obtaining meter readings, making repairs or winterizing. 7.3 The Company is responsible for the maintenance of its metering equipment. Meters are considered to be sufficiently accurate if tests indicate that the meter accuracy is within +/-2 percent. When for any reason a meter fails to register within these limits of accuracy, the Customer's use of water will be estimated on the basis of available data and charges will be adjusted accordingly. Corrected bills will then be sent out to the Customer and additional payment or refund arrangements made in accordance with UCRR. Effective: 3/25/2021 Issued Per IPUC Order No. 35033 Issued by C Chan Karupi ember CDS StoneRidge Utilities, LLC Tariff No. 3 Sheet 12 Original IDAHO PUBLIC UTILITIES COMMISSION Approved Effective May 6, 2021 March 25, 2021 Per ON 35033 Jan Noriyuki Secretary 7.4 The Company reserves the right to test and/or replace any meter. If a test indicates that the meter over-registers by more than 2 percent, it will be replaced with an accurate meter at no cost to the Customer. 7.5 At the Company's discretion , unmetered Customers may be converted to metered service if such transition occurs in a planned, systematic manner without unreasonable discriminations and if the Company has an approved metered rate. 7 .6 The Company shall have the right to set meters or other devices without notice to the Customer for the detection and prevention of fraud or water leakage. 7.7 In any building where the meter is to be installed in the basement, the incoming water pipe must enter the basement at least sixteen (16) inches from the riser in order that the meter can be set in a horizontal position in the basement . All pipes to the different parts of the building or grounds must lead from the riser at least one (1) foot above the elbow. 8. CUSTOMER PLUMBING AND APPLIANCES 8.1 All plumbing, piping, fixtures, and appliances on the Customer's side of the service connection shall be installed and maintained under the responsibility and at the expense of the Customer or owner of the premises. 8.2 The plumbing, piping, fixtures, and appliances shall be maintained in conformity with all municipal, state, and federal requirements. The nature and condition of this plumbing, piping and equipment shall be such as not to endanger life or property, interfere with service to other Customers or permit those with metered services to divert system water without meter registration. 8.3 A stop-and-waste valve must be installed by Customer on the customer's side of the meter place always accessible and so located as to permit shutting off the water by the customer for the entire premises with the least possible delay. A stop-and-lock valve will be installed on the company's side of the water meter as part of the water meter installation. Shutting off said valve or water meter is prohibited by anyone other than an authorized agent of the Utility Company. l Effective: 3/25/2021 Issued by Issued Per IPUC Order No . 35033 CDS StoneRidge Utilities, LLC Tariff No. 3 Sheet 13 Original IDAHO PUBLIC UTILITIES COMMISSION Approved Effective May 6, 2021 March 25, 2021 Per ON 35033 Jan Noriyuki Secretary 8.4 All persons having boilers, water tanks or other equipment supplied by direct pressure from the Company's mains should install a pressure relief valve, or other device to serve the same purpose, so as to prevent excess pressure from forcing hot water and/or steam back into the water meter and mains of the Company. All damage to the Company's property resulting from failure to properly equip Customer plumbing with a relief valve shall be billed to the Customer. 8.5 The Company is not obligated to perform any service whatever in locating leaks or other trouble with the customer's piping. 8.6 No other water supply of any source shall be connected to the customer's system. The company may require an approved backflow device be installed at the service connection or another location to prevent contamination of the company's water supply, if determined necessary by the Company. The cost of installation and maintenance of a backflow device shall be the responsibility of the customer. 8.7 Property owners will not be allowed to connect the water service of different properties together. 8.8 All of the Customer's service pipes and fixtures must be kept in repair and protected from freezing at his or her expense. When there are leaking or defective pipes or fixtures, the water may be turned off at the option of the Company until the proper repairs are made. 9. INSTALLATION OF SERVICE CONNECTIONS 9.1 The service connection is the property of the Company and as such, the Company is responsible for its installation and maintenance. It consists of piping, curbstop and valve or meter box and meter, if the system is metered. The service connection transmits water from the Company's water main to a valve or meter box generally located near the Customer's property line. All piping, valves or appliances beyond this point are the property and responsibility of the Customer. 9.2 The Company reserves the right to designate the size and location of the service line, curbstop , meter (if applicable) and meter or valve box and the amount of space which must be left unobstructed for the installation and future maintenance and operation thereof. Effective: 3/25/2021 Issued Per IPUC Order No. 35033 Issued b toner Utilities, LLC Chan Ka ' ember CDS StoneRidge Utilities, LLC Tariff No. 3 Sheet 14 Original IDAHO PUBLIC UTILITIES COMMISSION Approved Effective May 6, 2021 March 25, 2021 Per ON 35033 Jan Noriyuki Secretary 9.3 All costs for installation of service connections will be paid prior to installation. Fees and completed applications shall be submitted to the Utility Company a minimum of 30-days prior to the requested installation. At the Company's option it may elect to accept other payment arrangements. Fees and applications must be accompanied by an approved building location or building permit issued by Bonner County. 9.4 The extra costs of any extraordinary circumstances requiring additional equipment or special construction techniques involved in the installation of a service connection will be agreed to in advance by the Customer and the Company. The cost for any additional services, work, or parts except those associated with the installation of a stop-and-waste valve and 3/4 inch water meter shall be the responsibility of the customer. 10. REPLACEMENT OR ENLARGEMENT OF SERVICE CONNECTION 10.1 Unless otherwise provided herein, the Company shall replace or enlarge service connections at its own expense as follows: (a) Whenever it is necessary to change the location of any service connection due to relocation or abandonment of the Company's mains; and (b) For Commercial or industrial services where the type or volume of use has changed, and the enlargement will result in sufficient increase in annual revenue to justify the enlargement. 10.2 The relocation, enlargement, or reduction of service connections for the convenience of the Customer will be at the expense of the Customer. Prior to such relocation, enlargement or reduction, the Customer will deposit the estimated cost thereof with the Company. Within fifteen (15) days a refund will be made to the Customer in the amount by which the estimated costs exceeds the actual costs. The amount by which the actual cost exceeds the estimated cost shall be due and payable within fifteen (15) days after billing for such deficiency. 10.3 Enlargement of any service connection will be made only after such time as the Customer's plumbing inside his or her premises shall have been enlarged sufficiently to accommodate the additional capacity . Effective: 3/25/2021 Issued Per IPUC Order No. 35033 CDS StoneRidge Utilities, LLC Tariff No. 3 Sheet 15 Original 11. DISCONNECTION AND RECONNECTION OF SERVICE IDAHO PUBLIC UTILITIES COMMISSION Approved Effective May 6, 2021 March 25, 2021 Per ON 35033 Jan Noriyuki Secretary 11.1 When a Customer desires to discontinue service, he shall give notice to the Company at least two (2) days in advance and shall be responsible for all water consumed for the two days after the date of such notice. 11.2 The Company may discontinue a Customer's service on an involuntary basis only in accordance with UCRR. 11.3 When it becomes necessary for the Company to involuntarily discontinue water service to a Customer, service will be reconnected only after all bills for service then due have been paid or satisfactory payment arrangements have been made. 11.4 A reconnection fee will be charged each time a Customer is disconnected, voluntarily or involuntarily, and reconnected at the same premises. The reconnection fee shall be paid before service is restored. Reconnection fees will not be charged for any situation or circumstances in which the Customer's water supply is disconnected by the Company for its convenience. 11.5 The Company reserves the right at any time, upon notice, to shut off the water for maintenance, expansion or change of customer location, ownership and, in emergencies, may do so without notice. The Company shall at all times use reasonable diligence and care to prevent interruption of said water service. 11.6 Except in the case of emergency, no one, except an authorized Company representative, is allowed to turn-on or turn-off the water on the Company's side of the service connection. 12. EXTENSION OF WATER MAINS 12.1 The extension of system water mains for the purpose of providing new service shall be done on a time and material basis. 13. MISCELLANEOUS 13.1 No Customer shall permit any person from another premises to take water from his or her water service at any time. 1 Effective: 3/25/2021 Issued by Issued Per IPUC Order No. 35033 CDS StoneRidge Utilities, LLC Tariff No. 3 Sheet 16 Original IDAHO PUBLIC UTILITIES COMMISSION Approved Effective May 6, 2021 March 25, 2021 Per ON 35033 Jan Noriyuki Secretary 13.2 No person acting either on his own or her own behalf or an agent of any person, firm, corporation , or municipality, not authorized by the Company , shall take any water from any fire hydrant on the Company's system except in the case of an emergency or unless authorized by the Company. 13.3 No person shall place upon or about any hydrant, gate, box, meter, meter box or other property of the Company, any building material or other substance so as to prevent free access at all times to the same. 13.4 Service will be maintained to domestic Customers on a preferential basis. Delivery of water under all schedules may be restricted, interrupted , or curtailed at the discretion of the Company in case of shortage or threatened shortage of water or as requested by outside Agencies. 13.5 No rate contract or application is assignable from one user to another, except upon agreement of all parties concerned and a reconnect fee paid in full. 13.6 The representative of the Company shall be given access to the premises of the Customer at all reasonable hours for obtaining meter readings, for turning on or shutting off the flow of water, for inspecting, removing, repairing, or protecting from abuse or fraud any of the property of the Company installed on the premises. Access shall be granted at all times for emergency purposes . 13. 7 No one, except an authorized agent of the Company, shall tamper with, interfere with, make repairs, connections, or replacements of or to any of the Company's property including performing a disconnection and/or reconnection . 13.8 Whenever an applicant desires service of a character for which there is no available service classification, a contract may be executed in lieu of a tariff. Any such contract is subject to approval of the Idaho Public Utilities Commission . 13.9 The Customer is held responsible for any violation of these Rules and Regulations even though the breach is committed by someone employed either directly, or indirectly, by the customer. 13.10 Copies of the Company's rates and rules summary of regulations will be available at utility's office, will be provided to customers upon commencement of service, and will be provided to customers annually in accordance with Utility Customer Relations Rules (UCRR) and Utility Customer Information Rules (UCIR). Effective: 3/25/2021 Issued by C Utilities, LLC Issued Per IPUC Order No. 35033 CDS StoneRidge Utilities, LLC Tariff No. 3 Sheet 17 Original IDAHO PUBLIC UTILITIES COMMISSION Approved Effective May 6, 2021 March 25, 2021 Per ON 35033 Jan Noriyuki Secretary 13.11 Where a Homeowner's Association is put in place to govern the operations of a multiple number of units and the Homeowner's Associations choose to collect dues to pay for utilities, the Utility Company may submit one billing to the Association which shall include customer charges equivalent to the number of units within the Association and commodity charge equivalent to the number of units within the association plus and commodity charge that may be assessed to cover common area water usages. Effective: 3/25/2021 Issued Per IPUC Order No. 35033 ember 25 I Page ATTACHMENT #Q Clean Copy of Proposed Tariff Both Residential and commercial rates are included in single tariff, also includes changes to non-recurring charges and other proposed changes to rules and regulations etc. 26 I Page ATTACHMENT #R Non-Recurring Fees Included in P & Q Both Residential and commercial rates are included in the single Tariff #3, also included are changes to non-recurring charges and other proposed changes to rules and regulations etc. 27 I Page ATTACHMENT #S Monthly Water Use By Customer Monthly Report of Water Use by Customer for 2023. Detailed print outs for 400+ customer for 12 months each would be approximately 4,800 pages. This is available in PDF format by request. 28 I Page ATTACHMENT T Monthly Well Pump Volumes Monthly Well Pump Volume Report for 2023 for our two system wells #1 & #2. Approximately 103,617,700 gallons pumped in 2023. StoneRidge Water Summary FYE 12/31/2022 Actual Meter Readings Well 1 Well 2 Total Both Chlorine Month Total Volume Total Volume Volume Used January 11,080 12,001 23,081 6.5 February 12,734 13,044 25,778 8.1 March 12,461 12,630 25,091 7.4 April 22,214 23,985 46,199 14.7 May 26,812 19,739 46,551 11.6 June 39,800 47,146 86,946 18.3 July 93,298 • 120,542 213,840 79.4 August 205,142 94,208 299,350 77.8 September 69,128 87,267 156,395 60 October 30,581 36,421 67,002 24 November 10,448 10,427 20,875 10.5 December 11,542 13,527 25,069 14.3 Total 545,240 490,937 1,036,177 333 Meter Readings Adjusted to Gallons (X100) Well 1 Well 2 Total Both Month Total Gallons Total Gallons Gallons January 1,108,000 1,200,100 2,308,100 February 1,273,400 1,304,400 2,577,800 March 1,246,100 1,263,000 2,509,100 April 2,221,400 2,398,500 4,619,900 May 2,681,200 1,973,900 4,655,100 June 3,980,000 4,714,600 8,694,600 July 9,329,800 12,054,200 21,384,000 August 20,514,200 9,420,800 29,935,000 September 6,912,800 8,726,700 15,639,500 October 3,058,100 3,642,100 6,700,200 November 1,044,800 1,042,700 2,087,500 December 1,154,200 1,352,700 2,506,900 Total 54,524,000 49,093,700 103,617,700 29 I Page ATTACHMENT U Overview of Company Wells Name Diameter Static Depth Total Depth Well #1 Well #2 10" 10# 94' 91' 145' 144' GPM 920 620 30IPage ATTACHMENT V Overview System Storage Details Name Storage Tank Concrete 2 Storage Tanks in ground 4 Storage Tanks in ground Location ¼ west of well 1 mile w of well 2 miles w of well Storage Volume 315,000 Gallons 20,000 Gallons 12,000 Gallons Name: SYSTEM ENGINEERING DATA :, -, '·-, /,l. ' • For Year Ended 1 . , '. ,...I !: • / ~--------~---- 1 Provide an updated system map if significant changes have been made to the system during the year. 2 Water Supply: Pu111 ,,· rwtIon or location I\ Rated Capacity Jm) Type of Treatment: (None, Chlorine Fluoride Filter etc. J --------- Annual Production OOO's Gal.) ------------t-------t---- Water Supply Source (Well, Spring, Surfac Wtr) ...,,,;f:;=~~~~:::---------'------L----L__-l..........:.."'1 l]S_....._ __ _ 3 System Storage: Stormie 0(!Siqnation or Location --.:,. --~ --- r . -----t Total Usable Capacity Capacity 000~ 000~ Gal. Gal. --~- Type of Reservoir Construction (Elevated.Pres-(Wood, Steel urized, Boosted) Con~!:.__CJ ---------- ~--------1--------- , . ------------- (Duplicate form and attach if necessary. Asterisk facilities added this year.) Rev 3/02 Page 10 31 I Page ATTACHENT W Details and supporting Documentation of Known Changes in 2024 From 2023 1. Reduction in revenue and expenses from irrigation water sales to StoneRidge Golf Course for sales of irrigation water to golf course. Document reduction in water sales from Golf Course and reduced expenses for power and chlorine. 2. Significant increase in Cap Ex Budget for replacing three well pump motors that are past life expectancy. See preliminary cost estimate W-1 attached. 3. Increase in Cap Ex Budget for installation of "Backup Electrical Generators at water pump sites. See preliminary cost W-2 attached. 4. Purchase of new System Operator Pickup and 4 Wheeler service vehicle. See Preliminary cost W-3 attached. 5. Finish approximately 20 vacant "platted" lots in StoneRidge Community to "Meter Ready" status to reduce future connection costs. See preliminary cost W-4 attached. 6. "Upgrade approximately 360 meters to remote read capability to reduce labor expense. See preliminary cost W-5 attached. STONERIDGE UTILITIES, LLC Customer Usage -1/1/2022 thru 12/31/2022 Accoyat Cu1tomu ~liime Se!Yi~I At!d[IH Tyg1 AmQYDt 08-02970-00 GOLF IRRIGATION -11TH TEE 11TH TEE BOX Water 397,000 08-02980-00 SRG&R IRRIGATION POND 6" PUMP HOUSE k Water 38,863,000 08-06180-00 SSCOA-GARAGES 946 CHATWOLD ST. Water 3,000 Total Usage: 39,263,000 January 28, 2024 Page 1 of 1 Current Charg.!:~ 2022 I I ' L_ I M~ter 52940 48727 35683 49947 ?Q~67 --- Location Well Pu'!l_Ps 18 H2O Feature : HVR Pump House . Fo~est Way Water Tank ,-Sewer Plant Month I f -l_ . -~ I I I 216.56 1 $ I J~n l $. -1,294.48 L $ I 147.121 $ --34.40 I 838.00 I I -:1 _ Fe~_ 1,292.77 _ --· 46.12 163.36 240.40 834.49 March I 1,390.60 34.40 136.77 203.83 693.07 .. ; --,---- April 1,245.66 1 34.401 134.66 193.60 600.00 . ,-•--I M~X1 ) ,698.610.-___ 46.121 ~ --80.341_ _ _;125.32 1 640.00 I I I I ►--· -- Ju~_ 2,094.01 l 46.121 72.241 119.87 1 1,113.00 i I 46.1 ~1----. _71.451 Ju14-. 3,110.99 . --176.66 1,874.10 August 4,537.33 34.40 111.47 307.37 2,632.18 •· ---·-=-- Sept 4,192.14 34.40 104.83 228.57 2,345.28 ------• ----j -- ~-~ 87691 I Oct. 1,988.70 ,----1_37.39 ·t 1,904.60 -. Nov (597.37) 124.44 1,358.21 34.40, 144.53 -. -. -----r ---------I I I I I 163.so I Dec 1,229.17 34.401 ]184.51 1,017.20 --I I $ 23,477.16 I $ I 1,254.46 1 $ 2,337.51 I $ Total For Year 459.68 I $ 15,850.13 Total For Water $ 23,477.16 ! $ 23,936.84 1 $ 25.191.30 I $ I 21.s2s.s, I Current Meter Charges For Inland Power Electrical Service 1 _;curre~~4 i o23 I ~----I -------~ -·----i-· Meter 52940 48727 35683 49947 50867 1--·----, --I --J ------- 1 ' -- Location I-Well Pumps , 18 H2O Feature I HVR Pump House I I Forest Way Water Tank I Sewer Plant Month -~------ _l _ ---.. f-r ------=t __ l I I 1---___ JanL $ 1,309.28 I $ 46.12 I $ 220.90-l _$ ----320. 13 I $ 1,056.40 t--_ Febl 1,297.88 j 46.12 j 242.04 j 253.38 j 1,088.92 j I I March i ----·,- 1,284.39 l 34.40 -----+-,-------+,-----·----233.01 252.96 1,034.00 April 1,258.47 37.20 I ___ , 174.81 198.47 686.80 I I -----j--May 2,066.25 37.20 I 104.88 j 143.03 j 1,275.45 1 June 2,485.47 37.20 71.56 172.08 1,982.40 I I-July1 4,204.96 }---37.20 l 90.46 j 244.30 I 2,561.12 .f-----!""9"Sl 4,603.14 -37.20 ---94.59 I ______ 2~5.62 I 2,801.36 j I Sept 4,029.69 37 .20 102.57 237 .11 I 2,361.44 I ;--- , Oct. 1,627.74 . 37.20 I 80.38 1 147.09 1 2,018.70 Nov 1,263.38 37.20 96.20 I 181.20 1,173.20 Dec• I ! I -,------l l ! I I i __ -i Total For Year I $25,431.22 I $ 424.24 I $ 1,511.40 ! $ 2,441.37 I $ 18,039.79 j [Water Total $25,431.22 I $ 25,855.46 I $ 21,366.86 I $ 29,808.23 STONERIDGE UTILITIES, LLC Customer Usage -1/1/2023 th ru 12/31/2023 Account Customer Name Sel'\lice Address Type 08-02970-00 GOLF IRRIGATION -11TH TEE 11TH TEE BOX Water ----08-02980-00 SRG&R IRRIGATl.f)N ROND 6" PUMP HOUSE ._;£_ ______ Wat_er __ 08-06180-00 SSCOA-GARAGES 946 CHATWOLD ST.____ Water .,-k:.. N"JLLJ hr15 , +, cu,,"""" i,~ (.,0 c....l( ~, '-'--' \ _; Total Usage: Amount 523,000 46,548,200 1,000 --- 47,072,200 32 I Page ATTACHMENT #X EXHIBIT 5 SCHEDULE A-C NEW RATE ANALYSIS WORKSHEETS ROOF OF REVENUE REQUIREMENT Worksheets Showing that proposed rates well generate adequate Revenue to meet target amount. I • C Im~ 1{1r ~ I! Ii II Iii : i ~ i! & II s ! ~ . J I ! • t I,_•~ 1, I, = ll 11 ; I!~~ ! 1~1• Ii 1,: p~ " It.· ij Ii ~ I~ ~ ~ ! i i t i . . . I• . I• ~ . . . . I!-~ II 1, i~ll 8 1~311 ll" § ~l~I! t " -~ ~l I! Ii, Ii e ~ I~ ~ E inf ~ -,; w ,; N 2 . I• • I• . . II 1, ~Ii I .!! 1! Ii -IP. : ~ 1)1( ~ 11 -,~ ,.~ I . . I• . t . I• ~ ~ . . Ll :§ 1:·1, ~ II ~ ! I! IE Ii Ii ~ 1111 -~ I~ % . -I~ b • i! • . --~ 1 a. i • I~ . . . . . . i; 1111.: § ~11 g § ~ Ill~ § § i ij ! li ]!J ~ 6 "I:' ii " ! ~ lo 5 " ? -.; " a " ~ !~ ~ !, Ii! ~ n~ ! . '! J . ~ ! ~ E • ~~!! " " R .1, ~ " ! ,i ~ = ! ~IDj -. . • I• . . ;. . ~ . ---~ ~ t.:::~ 1, ~ • !! /I ~ ·= ~ ·I! ~ If ! s i < J ~ ~ .. -~ ~ --. . ~ • N I! I! ~ . . • ltl~ lilt ll .., ~ ,: I~ It s. It ' I, ~ --f~! j Ii • I, I! ; " .. I~ ;i _1, -I: ~1; I: . : J JJ ·" -~ ' II ·1' ' • Ii. ;J . SJ lffiilfflffl Ii -. . " -II . --. . ll ; • j• •t & II ·11 ~ -• . i Ii~ . ~ I~ ~ &Ii. ~ • . X i a i -. \ Ii . I!' s~. . ! I . . . lj I ~ a ~ • ! , ~ ~ i e 2 ~ 2 2 e ~ I , . " -" 1: . 1 ti Company Name: CDS StoneRidge Utilities, LLC Exhibit 5 Schedule B Rate Design Summary Idaho PUC Case Number: SWS-W-24-01 Test Year ended: 12/31/2023 This Model Excludes Golf Irrigation Average Base Revenue From Avg. Commodity Annual Average Base¾ Commodity% Number Equivalent Base Rate Bill Monthly Commodity Charges Bill Monthly Total Monthly Of Total Of Total 3/4" Meters No Surcharge Per Customer $.79/1,000 Per Customer Revenue Bill/Customer Monthly Monthly 569 without surcharge $ 158,622 $ 23.25 $ 45,358 $ 6.65 $ 203,980 $ 29.90 78% 22% With Surcharae included $ 178,025 $ 26.09 $ 45,358 $ 6.65 $ 223 383 $ 32.74 80% 20% Equiv. Meters 569 Base Amount Commodity Commodity Total Revenue Per Base Amount Per Meter/Mo Charges Per Meter Mo. 1,000 Gallons 78% 22% Current Gross Revenue Wo Surcharge $ 204,997 $ 159 413 $ 23,37 $ 45 358 $ 6.65 $ 204 771 s 0.79 -78% 22% Additional Revenue Needed --555,190 431,735 63.28 123,454 18.10 $ 555,190 $ 2.15 ~ Total Pro Forma Revenue Needed $ 760.187 s 591 ,148 $. 86.65 $ 168,812 s 24.74 s 759,960 s 2.94 Incremental $ 555,190 $ 431,735 s 123.454 $ 555,190 Percentage Change in Rates 271% 272% Exhibit 5 Sched B Rate Summarv I Percentaae Increase 271% 272% Over Current Note: this table details each account per route, there is a 10'/. difference in Pro!ected Rent Chan11e Percentage over the rate table because the Gross Revenue Is onlv $23.37. I I I .E:xktbit S Sc:hcdu.lo-C Proot cl Revcnuo I I I Como:,ny N~ma: COS ~or'M!w_..,. OtiitlcJi UC I ld:lho PUC Case Numb4w.: SWS--W-24--01 Tnt Yoolr Ol"tdod: 1~1'20:ll Known <:hari1 tu: lnck.nkd In Revenue Annui:it Annual Meter Montt,ri, EaulY.tdvnl Revenue from Ann.Ulll flovonUtt From Annual Averaqe Avo,.si:1:0 Percentaae Service Routo Account MatorSi:.a VoJurnetric a.... Number of Numbor 8.1:se R-.Uo Total commoc1;,,, a..,. .. Tot.Ill Annuol Monthlv RovcllUC ft,i:m• Customer Grouo Tvno Nurnber Numbe.r -· Factor R:li1o-Metars 31' -Mctot-s No Surch.arao Cons1.JnV1lfon $2..!C/1,000 Rovonuo BilUMolt!-t B5WM.cter From~ 1 ~R.soo ~rdal Cu51:6mt'r1 (fort:111 & uui Residentia , l/4" 1.00 SM-6"5 55 55 S 57 189 4,237.001 s ,2.,,1 $ 68 6(6 $ :..e04 s ... 12% z stone JMBCA hr~lion Forest & Lil.U-lrrination/Residential ' ,,.. 1,00 szi;·.55 2 2 2 080 79 000 232 26 2.312 1156 s !M ~.,,, TOTAi. ROUTE 1 51 57 $ 59,269 4,316,001 $ 12'89 s 71,958 s 12'2 $ 10S 8Zo/. 3 Stoni:iRidoc Rc!'sidct'IS~I CUllom.ttw: ICob CouY•) R•-~lo 2 3(4'" 1 586.65 7l 73 75,906 9 iii 000 $ 29.368 s 105,Z'T.l • 1.442 s 120 727, 4 S4oMfodQC Si>OA f«.~or Convnor,,_ 2 oo«0-00 2· 7 11 $616.08 I 7.11 H93 3911000 1 1'47 l!UMO $ a~o. s 712 87% 5 S1onl!RJdoe Golt Sa.let. Offk:c-c. ..... cial 2 00520-00 Y•• 1 $e1l.65 1 1 1.0tO 416,000 1,223 ~3 s 2.263 $ ISQ •6% S S!oneRidM ~ C.nUu c. ..... ,a.1 2 00531).00 lW 1 $116.65 , I 1 040 192,000 156, 1 604 s 1.600 s 13-< 65°/4 7 StonotR>doe GolfP..o Shop6 G,. C<l1m',ocoal 2 03200-00 1.s-4 ~60 I 4 00 4.159 297 000 573 5032 $ $002 s 419 al% I! Stone.Rtdal! Golf B.aatoom •l Te-e Cornmer·ci-'I 2 ~0-00 l/4" 1 ,1"56.65 1 I I 040 25·= 7• 1.113 s I 113 ~ 93 93% TOTAL ROUTE 2 71 17 s 90,sn 11.309,000 $ 33.2'3 1231%6 $ 1,588 $ 132 7>1< ··--9,G~c.cn&kk-Ro.idenw.l Res,denual 3 l/4' 1 00 $86,65 12 12 S 12,,n <71.000 , 3&5 s 13,862 < I 1$5 S !M ,o .. . lD_Gt"filkk.\rna~ -trri ation Residential 3 03-1»630 2 7 11 $616.01 I 7 11 n gJ 641.000 1685 9 278 ~ U 73 S 1n !0% --TOTAL RO!!J:E J -1l 11 S 19,811 1,112,000 I us, $ 23 140 $ 1,780 $ 148 8611 11 Mc°v UiD:aJ)GO &~WO lmo.atlon • 03380-00 : 7.11 $616 OB ' 7.11 $ 7.393 ffl.000 785 s 8,178 $ 8171 s ~, 90% 12 MCV S-Molar Convncrdal • 0200-00 .. 64 .SS,545 61 ' 64 t;l;,547 aJnooo 24 628 91.176 91 176 7,598 n ,c, 13 Motor Coadl L.od~ Ce ,~ .. 1 • 03570-00 T 7 11 $61.6,0S I 7.11 7 llill 891.000 620 10013 1n 013 334 7<'11 TOTAL ROUTE• 3 78 S 11.l3J 9 SSS.000 $ 21.033 s 109 366 $ 36.!5S s 3 o:sa 7'% IC FairwavMe:a~o«tAchtdR~nt.111l'U"iis -5 314· 1.00 $&6.55 5 s 5 s1 .. ,sa.ooo I 3-<I s 6 5<0 s 1.308 $ 109 7~ 15 Fairway MUdaWI-Condo Residential 5 1.5 ,.00 $3<6,60 l 12 12478 li.9,00Q 111, 1l592 4,531 )73 112 .. l6 Fa,YW,11v Ma-adowt1 CMlcfo J,M~ltiof\lR.HkjaltW Jrriaation Residential 5 00540-00 1.0 2A3 :5,1~-2-4 1 2.43 I 851 3-31 000 9n 2,82• 2.32< Z:16 66'1', TOTAi. ROUTE 5 ' 19 S 19,527 1,166 000 s s.,21 s 22.956 s 2,551 s 213 1.5". 17 VinMtatdl Re-siderlll.:al Residential 6 .l/4" 1.00 S86 65 '9 ,1 s 49 910 1.413.oOO 4154 $ 54.065 s I 128 $ 9' 92% 19 V.ne:vards lrncr,a;f.lor\lflesidtnh~J lrri~atio/Residential e 2 7.11 $616,01 • 4266 25875 4.fillSOOO ll TT4 ]96'9 6 801 ,s, 65% TOTAL ROUTE i SI 91 $ 75,786 i 09.'I 000 17928 s 93 71• $ 7,735 $ 645 11% 19 FP'w:am ® Stonl.Rldot: Resldmial Uiits Residential 1 l/C" 1 586.65 11 17 17,677 I 955 000 5 741 S 2l~C24 $. U l'S $ 115 15% 20 Fll1rW.VI .. Slcn< t JMBCA Ft1i0llltion U"riaalio.nRes.ideciial 7 2" 7 I ~616.08 1 7,-1.1 7393 3112000 1 064 -9 ,.57 107 705 871' T<lTAL ROUTE 7 11 24 S 25,070 Z-317,000 S '-812 s 31 02 $ 1,n1 $ 148 79% 21 Golf ltrffl..lltion T 1 Uh TN Bo,: lmQ'iltion 8 2' 711 $616.03 I 7,11 $ 7393 357 000 1.16-7 $ 8= S 8.560 s 713 &6% 22 Golt ltriri:ation 5"" ~ t-tou.e lfrinatian a 8"' 64 55,545 61 0 0 . 0% 23 SSCOA-O.1U-i11nd 1 • CofflfT'\lltcal 8 31'" I $86.65 , 1 1.0110 3.000 8 I 0,8 I 048 87 -TOTAL ROUTE 8 2 • $ 8,433 400,000 $ 117' s 9,i08 $ 9,608 $ 801 88% lrOQ#OOd lbsid~al R~•~ 10 314• I SM-65 10 10 S 10,393 I 787,000 5264 s 15.652 1 565 130 66% 1ronwood l1riaalion IRe-d 4'2023\ lrriJ:1ation/Residential 10 0 7 .. ,, SO.DO 0 0.00 I 0% TOTAL R.OUTE 10 10 10 $ 10,393 1757000 s S,2SI s 15.612 s 1,565 s 1lD,4J 66% ~ Vallttv Rancho RclldentiAI Residential 2 l/4" I ~86,6.S 1l 6 125 1'""111 n7~ p; 171000 38 593 s 168 569 i 1 348.55 i 112.38 % TOTAL ROUTE 20 125 125 $ 12"975 1l ,127 000 s Jl,5'.13 s 161 "' s 1,34,I s 112..33 77% Stoi,oridoe TwnMh.ln:a Ro-so'1 Commctda.l Commercial 30 2 7 11 So16 05 1 49.77 $ 51 751 6,24-8,000 ,. J6!l $ 70.120 $ 10,017 s 835 74% TOTAL ROUTE JO 1 50 $ 51.751 ,.248.000 11369 s 10120 $ 1"0 017 $ 835 74% -· SYSTEta TQTALS 37, ,, .. s 571.,,0 57,-115,001 $ 16U OO $ 740,790 s 75,681 $ 6,307 ~ . I .. ADO BACK SURCHARGE I I 19 4.0l 1 ' TOTAL REVENUE PROVIDED I S 7G0.19S 33 I Page ATTACHMENT Y WATER SYSTEM OPERATOR LICENSES Water Sewer Management (WSM) is Licensed Operator for CDS StoneRidge Utilities, LLC. Robert Hansen and Jay Solomon are the individual operators. Their license information is listed below: 11/1/23, 3:18 PM Publlc Record Search •• Action Satlmctorlly Accompll1hlld ** I\:. tlt' Nur'1ber Eiq:iin·\ Ar·:t ,, Owner N.:me City, St.it ,:L ►'hon;; Supervi,,or7 --------- HANSEN, ROBERT F BAT-530 11/6/2024 No SANDPOINT ID 83864 2082654270 No HANSEN, ROBERT F DWD2-13440 11/6/2023 No SANDPOINT ID 83864 2082654270 No HANSEN, ROBERT F DWT2-10694 11/6/2024 No SANDPOINT ID 83864 2082654270 No HANSEN, ROBERT F WWC2-13710 11/6/2024 No SANDPOINT ID 83864 2082654270 No HANSEN, ROBERT F WWT2-15575 11/6/2024 No SANDPOINT ID 83864 2082654270 No tii HANSEN, ROBERT F WWTL-10693 11/6/2024 No SANDPOINT ID 83864 2082654270 No 12 HANSEN, ROBERT F WWTLA-14275 11/6/2024 No SANDPOINT ID 83864 2082654270 No ► First Previous Page 1 of 1 Next Last Search produced 7 results. ALL results are shown. The Transfer to Excel option WILL copy ALL selected records to your computer https://apps.dopj.idaho.govfDOPLPublic/LPRBrowser.aspx 1/1 11/1/23, 3:13 PM Public Record Search *-Action Satlsfactorlly Accomplished •• C SOLOMON, JAYS BAT-23656 4/15/2024 No BONNERS FERRY ID 83805 2082654270 SOLOMON, JAYS DWD1-21363 4/15/2024 No BONNE~S FERRY ID 83805 2082654270 SOLOMON, JAYS DWT2-22260 4/15/2024 No BONNERS FERRY ID 83805 2082654270 SOLOMON, JAYS WWC1-21361 4/1S/2024 No BONNERS FERRY ID 83805 2082654270 SOLOMON, JAYS WWCOIT-21038 4/4/2019 No BONNERS FERRY ID 83805 2082654270 SOLOMON, JAYS WWT2-22259 4/15/2024 No BONNERS FERRY ID 83805 2082654270 First Previous Page 1 of 1 Next Last Search produced 6 results. ALL results are shown. The Transfer to Excel option WILL copy ALL selected records to your computer h1tp9://apps,dopl.ldc1ho.gov/DOPLPubllc.lLPRBrowser.aspx No No No No No No 1/1 34 I Page ATTACHMENT Z EXHIBIT 7 CHANGES IN RATES TABLE EXHIBIT #7 Changes in Rate Table IPUC SWS-W-24-01 General Rate Case Application FYE 12/31/2023 Meter Rate of Proposed Change in % Change Size Meter Flow Current Tariff Tariff Tariff in Tariff Inches Area Rate Rate Rate 0.75 $24.00 $ 86.65 $ 62 .65 261% 1.00 $42.72 154.24 $ 111.52 261% 1.50 $96.00 346.60 $ 250.60 261% 2.00 $170.64 616.08 $ 445.44 261% 2.50 $266.64 962.68 $ 696.04 261% 3.00 $384.00 1,386.40 $ 1,002.40 261% 4.00 $682.56 2,464.33 $ 1,781.77 261% 6.00 $1,536.00 5,545.61 $ 4,009.61 261% EXHIBIT #7 Changes in Rate Table IPUC SWS-W-24-01 General Rate Case Application FYE 12/31/2023 35 I Page ATTACHMENT AA EXHIBIT #8 CASE COST AMORTIZATION WORKSHEET EXHIBIT 8 Rate Case Cost Amortiation Company Name: CDS StoneRidge Utilities, LLC Idaho PUC Case Number: SWS-W-24-01 Test Year ended: 12/31/2023 Monthly Cost Per Months Total Months to Amortization Salary % to Case Month to Case Cost Amortize Cost Primary Lead $ 3,000 30% $ 900 36 $ 32,400 30 $ 1,080 Secondary Lead $ 3,000 10% $ 300 36 10,800 30 $ 360 Supervisor $ 500 4 2,000 30 $ 67 Principal $ 139 36 10,000 30 $ 333 Total Labor $6,000 $ 1,839 $ 55,200 $ 1,840 Other Costs Mailing Costs $ 1,250 30 $ 42 Publication Costs $ 225 30 $ 8 Total Mail/Publish Costs $ 1,475 $ 49 Total Case Costs $ 56,675 $ 1,889 36 I Page ATTACHMENT# AB SAMPLE BILL FORMAT