HomeMy WebLinkAbout2015Annual Report.pdfR
C
E
I
V
ED
!6
f
P
R
18
PH
3:
2
1
.1
1
1
tT
I
E
c1
1
3
S
l
O
N
d
Ui
D
LL
0
C\
J
__
0
0
DIw
I—
w
C
Independent Accountants' Compilation Report
To the Board of Directors
CTC Telecom,lnc.
Cambridge, Idaho 83610
Management is responsible for the accompanying financial statements of CTC Telecom, Inc. (an Idaho
corporation), which comprise the balance sheets as of December 31, 2015 and 2014, and the related
statements of income forthe year ended December 31,2015, included in the prescribed form. We have
also compiled the supplementary information presented in Company Information, Directors, Managers,
Central Office Data, Number Calls Completed and Customer Relations Rules Compliance. We have
performed a compilation engagement in accordance with Statements on Standards for Accounting and
Review Services promulgated by the Accounting and Review Services Committee of the AICPA. We did
not audit or review the financial statements included in the accompanying prescribed form nor were we
required to perform any procedures to verif, the accuracy or completeness of the information provided by
management. Accordingly, we do not express an opinion, a conclusion, nor provide any form of
assurance on these findings.
Supplementary Information
The supplementary information contained on the aforementioned schedules (Company Information,
Directors, Managers, Central Office Data, Number Calls Completed and Customer Relations Rules
Compliance) of the accompanying prescribed form are presented for the purposes of additional analysis and
are required by the Idaho Public Utility Commission. We have not audited or reviewed the supplementary
information and, accordingly, do not express an opinion or provide any assurance about whether the
supplementary information is in accordance with the form prescribed by the Idaho Public Utility
Commission.
Other Matters
These financial statements and the supplementary information are presented in accordance with the
requirements of the Idaho Public Utility Commission, which differ from accounting principles generally
accepted in the United States of America. This report is intended solely for the information and use of the
Idaho Public Utility Commission and the relevant state and local regulatory agencies and is not intended to be
and should not be used by anyone other than these specified parties.
e, ar^-,<:J*, lLP
Kiesling AssociatesL6
Madison, Wisconsin
April8,2016
Kiesling Associates LLP I Kiesling Consulting LLC I Kiesling lnvestment Management LLC
ANNUAL REPORT OF SMALL TELEPHONE COMPANIES TO
THE IDAHO PUBLIC UTILITIES COMMISSION
FOR THE YEAR ENDING DECEMBER 31, 2015
COMPANY INFORMATION
Exact name of utility: CTC Telggqrn !c.
Address of principal office: !.O.qo1 69, 130 Superior St., Cambridge, lD 83610
Telephone Number Area Code ( 208 ) 257-33'14 Emailaddress: rwiggins@ctctele,com
Cities or towns served: Hidden Sprinqs and Boise
Name and title of officer having custody of the general corporate books of account:
Richard Wiggins, President
Address of office where corporate books are kept and phone number:
P.O. Box 69, 130 Superior St., Cambridse, lD 83610, (2081257-3314
Organized under the laws of the State of: ldaho
Date of organization: 17-Feb-98
Form of organization (proprietorship, association, corporation):Corporation
lf a Subchapter S Corporation, please specify:
Name and address of controlling company, if any: Ca[bridge Telephone Company, lnc.
P.O. Box 69, 130 Superior St., Cambridge, lD 83610
Names of affiliated companies. Give address and description of business: Cambridge Telephone Company, lnc.
P.O. Box 69, 130 Superior St., Cambridge, lD 83610-Telecommunications Service;
CTC Construction, LLC P.O. Box 88, Cambridge, lD 83610-Construction Services
lnCom Telecom LLC, 130 N. Superior, Cambridge, lD 8361O-DSL, Telecommunications
OFFICERS
Report below the title, name and otfice address of each general officer of the utility at the end of the
year. lf there were any changes during the year, show the name, title, and address of the previous
officer and the date of change.
Title Name
President Richard Wiggins
Address
1745 Fairview Ave., Weiser, lD 83672
Vice President Kermit Wiggins P.O. Box 69, Cambridge, lD 83610
Secretary Kristie Kanady P.O. Box 353, Cambridqe, lD 83610
Treasurer Joana Wiggins P.O. Box 69, Cambridge, lD 83610
Page 1Rev 3/02
See Accountant's Compilation Report
D!RECTORS
List the name of each person who was a member of the Board of Directors at any given time during the
year: (Fees related to meetings only.)
Term Expired
or Current Term Meetings Attended Fees Paid
During YearName
and Address
WillExpire This year
Richard Wiggins
P.O. Box 69, Cambridge, lD 83610 lndefinite 1 None
Kermit Wiggins
P.O. Box69, Cambridge, lD Q3610]39!g[!1i!e 1 None
Kristie Kanady
P.O. Box 353, Cambridge, lD 83610 lndefinite 1 None
Joana Wiggins
P.O. Box69, Cambridge, lDip3610!rtg!e.[!rt!!e 1 None
Name of Chairman of the Board: Richard Wiggins
Name of Secretary (or Clerk) of Board: Kristie Kanady
Number of Meetings of the Board during the year:
MANAGERS
List the name of each person who performed management duties for the Company during the year, and
the totalwages and bonuses paid to those persons: (Do not include Director fees in these amounts.)
Name Wages and Bonuses Paid
Rev 3/02 Page2
See Accountant's Compilation Report
NOTES TO THE FINANCIAL STATEMENTS
Please provide important information such as changes in accounting or depreciation practices,
extensions or additions to the system; disposal of any substantial portion of the property of the utility;
reorganization, mergers, or consolidations with other companies; leases executed; other contracts
or agreements entered into; changes made in articles of incorporation or amendments; the
occurrence of contingency losses or gains.
1 ln 1998, CTC Telecom, lnc., (CTC) a wholly-owned subsidiary of Cambridge Telephone Company
lnc. was incorporated, with an initial investment of $100,000. CTC operates as a Competitive
Local Exchange Carrier in the state of ldaho. Construction of plant facilities was complete in 1999
and beqan providing services on September 1, 1999. PCS wireless facilities were completed and
service initiated in September,2001. Additional paid-in capital of $1,900,000 was invested by
Cambridqe Telephone Company, lnc. through December 31,2015.
2 ln 2015 the Company aqreed to a term loan beginning January 29,2016. The loan was
for $760.000 due January 29.2023 with a variable interest rate of 4.98o/o.
3 The Company has annual operating lease payments of $12,900
Rev 3/02 Page 3
See Accountant's Compilation Report
BALANCE SHEETAssets and Other Debits
Balance
Beginning
of Year
Balance
at End
of Year
lncrease
or
(Decrease)
1120
1 130
't140
1 150
1 160
1 180
1 181
1 190
1 191
1200
1201
1210
1220
1280
1290
1 300
1310
1320
1 330
1 350
140',1
1402
't406
1407
1408
1410
1438
1439
1 500
2001
2002
2003
2004
2005
2006
2007
31 00
3200
3300
3400
3410
3420
3500
3600
Title of Account
Current Assets
Cash and Equivalents
Cash
SpecialCash Deposits
Working Cash Advances
Temporary lnvestments
Telecommunications Accts. Receivable
Accts. Rec. Allow. -Telecommunications
Other Accounts Receivable
Accounts Receivable Allow. - Other
Notes Receivable
Notes Receivable Allowance
lnterest & Dividends Receivable
Materialand Supplies
Prepayments
Prepaid Rents
Prepaid Taxes
Prepaid lnsurance
Prepaid Directory Expenses
Other Prepayments
Other Current Assets
Noncurrent Assets
lnvestment in Affiliated Companies
lnvestment in Nonaffiliated Companies
Nonregulated I nvestments
Unamortized Debt lssuance Expense
Sinking Funds
Other Noncurrent Assets
Deferred Maintenance & Retirements
Deferred Charges
Other Jurisdiction Assets - Net
Propefty, Plant and Equipment
Telecommunications Plants in Service
Prop. Held for Future Telecom. Use
Telecom. Plant under Constr. - Short Term
Telecom. Plant under Constr. - Long Term
Telecom. Plant Adjustment
Nonoperating Plant
Goodwill
Depreciation and Amortization Accounts
Accumulated Depreciated
Accum. Depre. - Held for Future Use
Accumulated Depreciation - Nonoperating
Accumulated Amortization - Tangible
Accum. Amort. - Capitalized Leases
Accum. Amort. - Leasehold lmprovements
Accumulated Amortization - lntangible
Accumulated Amortization - Other
TOTAL ASSETS
mffi
-g0o- -00-3,864,554 4,254,053 389,499
2,273,051 2,725,277 452,226
2,011,486 2,019,392 7,906
Page 4
@w
-660-
w
-2
@
-E'ffi
-
(20,13e)
(6,989)
(3,1e0)
(246,330)
(16,637)
-50r
--ffio-
-;e-85-
3,1 90
(1s9,778)
109,806
(406,108)
93,169
Rev 3/02
See Accountant's Compilation Report
BALANCE SHEET
Liabilities & Stockholders' Equity
Title of Account
Current Liabilities
Accounts Payable
Notes Payable
Advance Billings and Payments
Customer Deposits
Current Maturities - Long -Term Debt
Current Maturities - Capital leases
lncome Taxes - Accrued
Other Taxes - Accrued
Net Current Defer. Oper. lncome Taxes
Net Current Defer, Nonoper. lncome Taxes
Other Accrued Liabilities
Other Current Liabilities
Long-Term Debt
Funded Debt
Premium on Long-Term Debt
Discount on Long-Term Debt
Reacquired Debt
Obligations Under Capital Leases
Advances from Affiliated Companies
Other Long-Term Debt
Other Liabilities & Deferred Credits
Other Long-Term Liabilities
Unamort. Oper. lnvest. Tax Credits - Net
Unamort. Nonoper. lnvest. Tax Credits - Net
Net Noncurrent Defer. Oper. lncome Taxes
Net Noncur. Defer. Nonoper. lncome Taxes
Other Deferred Credits
Other Juris. Liab. & Def. Credits - Net
Stockholders' Equity
CapitalStock
Additional Paid-ln Capital
Treasury Stock
Other Capital
Retained Earnings
TOTAL LIAB. & OTHER CREDITS
4010
4020
4030
4040
4050
4060
4070
4080
4100
4110
4120
41 30
4210
4220
4230
4240
4250
4260
4270
4310
4320
4330
4340
4350
4360
4370
4510
4520
4530
4540
4550
Balance
Beginning
of Year
421,113
116,471
10,208
220,046
(34,646)
Balance
at End
of Year
@
(33,763)
lncrease
or
(Decrease)
(9,471)
11,011
9,526
883
re6i
7,906
411.642
127.482
10,361 153
100,000
1,900,000
(721,706)
2,011,486
100.000
1,900,000
-(@2,019,392
Rev 3/02 Page 5
See Accountant's Compilation Report
-l$lttloN"
(r)
l*l,l
s=t
nE
$:EF"3F !r'
.. !t !,E 9E-g'E (,,c&E
Eoo-o)tr
Eo
o'a
E@booP-urrE oPE
=ooo
ooU)
E
L€8E
FL.= o.gE of
o
E,*,;ggu ggEEEsgggEIEg,*gsgE*ggi,
I.ea
$= * p: p e N N R N = s p R E $ = N E E E E e N & N E E E 6 $ p ?E i-::: i-; i:;j;; NN N Gioi oiaDi't dd5 6 + U t U t U t + 6 6 s a< N N N c.r c.r N N N c.t cr N N N N N N N N N N N d d N cir N cir dl cil N N + t
1-l
(,
@ot-
@(oN(9
@ot-"
o)(r)
(.o@@.
Ir
@
l*l
l*l
(Y)
@-
(f)r()
@"N@lr)
ll
ul*l
,F.e, 5EE E3a <t
Ga
Eoo
F..6ro6.E;Ftrco! c>g'Fr
tr
IIJI
d
IIJo
Z
zIo.
utz9
IzDEEo(,
IIJJIrJ
lro
9!o:
z
O'L8oS.u tr;EurL@o
oOEf:EF"3
F!'
Eor-&offo)=8b ,o'a
Eo
C)o
co€cfooo
o)o@
.!rE
.l,'E (/)
z
(L
o
E kis ?9 6.E E.q \E ='= "4.g id soeoaI
e
E')g=5
Grc-.E ED=of -
o
zfooo
zIo.ozo
9zf
==oo
UI
lrJF
ILo
.2o
z
o(.).E
oo
.E
.Eo.oco
a!
.9
E
Eoo
-9oF=r5co(!.9-o
(u-
( c.t
No(')
o)tr
anFe=botro6()e<LL*2
-o):o o--E€ rEP SEg bJ: F
-9o(Eoj
oEootrz E3cD 6qE sauEE.=-<_ 3 6
!u-co-EOO(E:<oo
@FFFN(Otf@$$s(oNN6IN
o
-oo-go€Eo=oEOE'tr -o
=l@ (/)
EE3g o, Pao- ePgE' c€t;ot IEo= =EEE SdEg
s AgH EBEETaHsfrEEEE €
E * IFE gE EegHfi Egsfig sEE, E E
c!dr$tO(O-C\l(o\i-NtJ)OFN -Nr-N;;+;F(\1c\lNN N(')(f)-Nxlrr(OFC!C\,1&&&N&&FNFNNNNNNRRR&RNNN
(')\iNC\I$tNN
NO@o,@(oNC!
o
(!'6=EbCLEE E+E orF
I*,Bgis
ggEEEggggEgEg,ngsgg=
E
E* - \t l.l) (O e N d) t F N l{) O F N F F - - N - - N (r, $ (O r O FA ; ; - - i N N N N F F - (\ (') (v) r N $ l() @ r N N N N N (O r'tE - - r - r i - - - N(\ N (\l N N cO c/, CO (') (O $ $ $ $ S S $ S $( ru o N N N N N c{ N Nc\I N N C! N N N N N N N N N N N N N - N
l*l
t1
sou?
N
oq
o,
$rory(o*l,l
n-lNI6) r $-l 'He$ ElE't I
I
s9ECoo
EEE
PE*
F-
€ P: 3E'= -5 ..'66-
s58
9,9.go N
EE
ELoo
E 3r g
! c>
S FEo
l*l,l
l-l-lftl
-ll*l
@s
soro
c.i
$l-
zotr
6IUto-
IIJooulok'sio o
=3 a
=a,, l!oE S?= E
-o I
=O ra< AIUFEPzUIltoo6
=
E@o-. o-Ep(U lr-(LC o
-g'6.
Eo
C){,iEo
eaooo
ooU)
soqoN
@@@
(f,(a
+jE)ooo(E
!ooa
Lo
oo
Eo
(E'6o
o.o!,
E-!,
.=E.s
.9,Br(E=o '-'no
OL
He$SUJLtrlo
9P
E. P
E EEpI*
too-ouc.9o'a
Eooococlooo
ooU)
o)oo)o(L
=e EEE $E6s6OJ
tr,?Fft8Po .gt, a
ur .} itr uI6fr "=o .h O
=3 H
- d:! .=!eE gI = o o EII .;-E i EEgfr- \ fi'FEe6d!Fzlultoo6
J5
Za!
CLoo
Eg
-g
E
o(J
ceE5
r.rJ >oooo'a =ES
{ c.t
EJ
g
;EgqE E
,Erg*,ggEEEssggEEEg,rgsggrg H(o\llJ)(OTNCD$rNtrTOFNFFFFNFFN(AS(g-r q A
FrrFFrrr(\N(\NNN(')(f)(f)(f)(D\f$\t$$$\t$ (L 0)C! N C! N C! N N C! C{ N N N N N c',1 c{ N N N N C! N c! N Crl C! N I- d
INVESTMENTS
Report below the investments in Accounts 1401, 1402 and 1406. ldentify each investment as to the
account in which included. Minor amounts in Account 1406 may be grouped by classes.
Book Gost of
lnvestments
Disposed of
This vear
Book Cost of
lnvestments
Held at
End of YearDescription
CoBank patronaoe
Date Acquired
vanous 63,569
Allcom Stock 11t27t2002 29,600
lnCom Telecom LLC 2013 (406,108)
Totals (312,939)
RECEIVABLES
Itemize amounts show in Accounts 1 180, 1 190 and 1200. For notes receivable list each note separately and
include the maturity date and interest rate. Minor amounts in Account 1210 may be combined.
Amount at End of Year
Name of Companv
Customer accounts receivable
Notes
Receivable
Accounts
Receivable
49 177
I nterexchanoe carriers 589
lnCom Telecom LLC 572,196
CTC Long Distance 37,755
Miscellaneous 6,143
USAC 5,612
Totals 671,472
Page 10
See Accountant's Compilation Report
Rev 3/02
NOTES PAYABLE
list each note separately and include the maturity date and interest rate.For Notes Payable,
Name of Greditor Date of Note
lnterest
Rate Due Date Face Amount
Totals
ACCOUNTS PAYABLE
Report below all Accounts Payable amounting to more than $100.00
Name of Creditor
Cambridqe Telephone Company
Amount
361.428
ADA County 911 1,592
ldaho Power Companv 1,182
Kiesling Associates 3,093
Neonova Network Services 5.146
Power and Tel 2,205
12,411Rina, LLC
Tolv Diqital Networks 7.762
Universal Service Ad min istration 15,001
Zions ACH Pavments 1,458
ANPI, LLC 322
Disline 113
ESPN lnc. Atfiliate 295
Gem State Locatinq 520
ldaho State Tax Commission 219
lntrado. lnc.230
Telecom Consulting Association 280
Airway Technoloqies 597
Other, Various (2,212)
Rev 3/02
411 642Totals
Page 1 1
See Accountant's Compilation Report
Loo.ou.co
o'a
Eoooc(!
tr
=ooo
ooa
N
oo)o(L
No
(f)
o)u
$oF
EI
=lol
HEIxLIol
elol
EIol
trl.El
l!Iet
ElI IIEI &I
i5t
EI
.=l
EI EI
E)oooo
-co(It
o)
LoI
.9(5
o
c, ;,?.=("=soE5aEEL
=(sF$3odEul(of
^NC t
=-cE B BIIJNOFtf9d e ;8
= $ slv-d!J o E.cE E,Pt c(5o '6-5
=lo= o'FO orq(J -ao l4or
3'o,au;Hgs€oo-cf!oc'E.-(EE>OrE(Ef6.lo(,.E'=IEooO)g:6€;-cEo'Eoc)@ob95=g6([trE-oPE.E
=i!BgLooo€>
ADN
:+
E')
fEtfiil
=)lo
-EEItEil
a
.E *'=l8"*l
=t
g* glI "El
oO-r
b .ell/,el€.Eo ltlHoloot
CAPITAL STOCK
Report below the particulars called for concerning common and preferred stock at end of year,
designating separate series of any general class. Show totals separately for common and
preferred.
For each class of preferred stock, show the dividend rate and whether dividends are cumulative or
noncumulative.
Show details in a footnote of capital stock sold during the year. lnclude number of shares,
consideration received, premium or discount, and expenses incurred.
Number Outstanding per
of Shares Par Value Balance Sheet
Class & Series of Stock
Common
Authorized per Share Shares Amount
5,000,000 No Par 10,000 100,000
Page 13Rev 3/02
See Accountant's Compilation Report
INCOME & RETAINED EARNINGS STATEMENT
Item Total Company ldaho Only
TotalOperating lncome (from page 15)
TotalOperating Expenses (from page 17)
7100 Other Operating lncome and Expense
7210 Operating lnvestment Tax Credits-Net
7220 Operating Federal lncome Taxes
7230 Operating State and Local lncome Taxes
7240 Operating Other Taxes
7250 Provision for Deferred Operating lncome Taxes-Net7200 Operating Taxes (Total)
7310 Dividend lncome
7320 lnterest lncome
7330 lncome from Sinking and Other Funds
7340 Allowance for Funds Used During Construction
7350 Gains/Losses from the Disposition of Certain Property
7360 Other Nonoperating lncome
7370 SpecialCharges
807,822 Same as
957,397 totalcompany
858
(3,043)
20,721
10,409
28,945
(246,330)
(4e6)7300 Nonoperating lncome and Expense (246,826)
7410 Nonoperating lnvestment Tax Credits-Net
7420 Nonoperating Federal lncome Taxes
7430 Nonoperating State and Local lncome Taxes
7440 Nonoperating Other Taxes
7450 Provision for Deferred Nonoperating lncome Taxes-Net7400 Nonoperating Taxes
7510 lnterest on Funded Debt
7520 lnterest Expense-Capital Leases
7530 Amortization of Debt lssuance Expense
7540 Other lnterest Deductions7500 lnterest and Related ltems
7610 Extraordinary lncome Credits
7620 Extraordinary lncome Charges
7630 Current lncome Tax Effect of Extraordinary ltems-Net
7640 Provision for Deferred lncome Tax Effect of
Extraordinary ltems-Net7600 Extraordinary ltems
7910 lncome Effect of Jurisdictional Ratemaking
Differences-Net
7990 Nonregulated Net lncome 421,151
AMOUNT TRANSFERRED TO RETATNED EARNTNGS (4,195)
Page 14
See Accountant's Compilation Report
Rev 3/02
Item
OPERATING REVENUES
TotalCompany ldaho Only
Local Network Services Revenues
5001 Basic Area Revenue
5002 Optional Extended Area Revenue
5003 Cellular Mobile Revenue
5004 Other Mobile Services Revenue
5010 Public Telephone Revenue
5040 Local Private Line Revenue
5050 Customer Premises Revenue
5060 Other Local Exchange Revenue
84,571 Same as
totalcompany
16.097
5069 Other Local Exchange Settlements 67,224
Network Access Services Revenues
5081 End User Revenue (SLC)102.430
5082 Switched Access Revenue (lnterstate) 5,302
5083 Special Access Revenue
5084 State Access Revenue (lntrastate) 175,211
Long Distance Network Services Revenues
5100 Long Distance Message Revenue - All
Miscellaneous Revenues
5230 Directory Revenue
5240 Rent Revenue
5250 Corporate Operations Revenue
5261 Special Billing Arrangements Revenue
5262 Customer Operations Revenue
5263 Plant Operations Revenue
5264 Other lncidental Regulated Revenue
5269 Other Revenue Settlements
5270 Carrier Billing & Collection Revenue
Uncollectible Revenues
5301 Uncollectible Revenue - Telecommunications
5302 Uncollectible Revenue - Other
TOTAL OPERATING REVENUES
210,482
807,822
Please identify the following revenues:
USAC USF $ 67.335 . To what account were they booked? Account # 5069.10
State USF $ NONE To what account were they booked?
Page 15
2,079
119,606
24.127
693
Rev 3/02
See Accountant's Compilation Report
Item
OPERATING REVENUES
Total Company ldaho Only
Plant Specific Operations Expense
6110 Network Support Expenses
6112 Motor Vehicle Expense
61 13 Aircraft Expense
6114 Special Purpose Vehicles Expense
6115 Garage Work Equipment Expense
6116 Other Work Equipment Expense
6120 General Support Expenses
6121 Land and Building Expenses
6122 Furniture and Artworks Expense
6123 Office Equipment Expense
6124 General Purpose Computers Expense
6210 Central Office Switching Expenses
6211 Analog Electronic Expense
6212 Digital Electronic Expense
6215 Elecho-Mechanical Expense
6220 Operators System Expense
6230 Central Office Transmission Expenses
6231 Radio Systems Expense
6232 Circuit Equipment Expense
6310 lnformation Originationffermination Expense
6311 Station Apparatus Expense
6341 Large Private Branch Exchange Expense
6351 Public Telephone Terminal Equipment Expense
6362 Other Terminal Equipment Expense
6410 Cable and Wire Facilities Expenses
6411 Pole Expense
6421 Aerial Cable Expense
6422 Underground Cable Expense
6423 Buried Cable Expense
6424 Submarine Cable Expense
6425 Deep Sea Cable Expense
6426 lntrabuilding Network Cable Expense
6431 Aerial Wire Expense
6441 Conduit Systems Expense
Same as
2,346 totalcompany
21,822
1,224
75.920
84.476
36,379
TOTAL PLANT SPECIFIC OPERATIONS EXPENSE 222.167
Page 16Rev 3/02
See Accountant's Compilation Report
!tem
OPERATING REVENUES
TotalCompany ldaho Only
PIant Nonspecifi c Operations Expense
651 0 Other Property/PlanUEquipment Expenses
6511 Property Held for Future Telecomm. Use Expenses
6512 Provisioning Expense
6530 Network Operations Expense
6531 Power Expense
6532 Network Administration Expense
6533 Testing Expense
6534 Plant Operations Administration Expense
6535 Engineering Expense
6540 Access Expense
6560 Depreciation and Amortization Expenses
6561 Depreciation Expense-Telecom. Plant in Service
6562 Depreciation Expense-Property Held for Future Use
6563 Amortization Expense - Tangible
6564 Amortization Expense - lntangible
6565 Amortization Expense - Other
Total Plant Nonspecific Operations Expenses
Customer Operations Expense
6610 Marketing
661 1 Product Management
6612 Sales
6613 Product Advertising
6620 Services
6621 Call Completion Services
6622 Number Services
6623 Customer Services
Total Customer Operations Expense
Corporate Operations Expense
6710 Executive and Planning
6711 Executive
6712 Planning
6720 General and Administrative
6721 Accounting and Finance
67 22 Exlernal Relations
6723 Human Resources
67 24 lnf ormation Management
6725 Legal
6726 Procurement
6727 Research and Development
6728 Other General and Administrative
6790 Provision for Uncollectible Notes Receivable
Total Corporate Operations Expense
TOTAL OPERATING EXPENSES
Rev 3/02
Same as
totalcompany
342
1.025
262,425
303,074
566,866
8,302
1,346
100,708
110.356
(673)
25,842
2,168
30,671
58,008
Page 17
See Accountant's Compilation Report
957,397
_sfrHEp$!c 6.E6p9- EdE6
.^O)FOOE#<o-r't
=(r)4',o-o6
Eoo-
0)E.
EoE
-(U'a
Eo@o
-Ooi-o)R(EE(L!Jooo
o)oa
I(')N
..tEo)
,9,coz
Lo.15
q)
!.9Efo-coz
E.=
=oLUP
PE,EO
att =f(J
Eto.eE
OEoz
-lo)\f
Iiliral
Es,. orijI c!I oEI -C)t_l oatel (U 'EI I ooI I -Ool; 6 q
lY E ot;'? E a..6e eEB,pE .. ESE=: PEtEeE
=EEuoo sbE
FrE E#; He33 E2p &
FOOr-.t
N@N(oo(a\t
l,_-l=ts
Pl= I:l
H:d -Be, v)l 6'6 l+
=lrol
- = PB,E 5 = +It r r
l.F" ;l :l -t Eq
st l*eg n' E:
;l qs E $ ;EIiE E b P
;I EE P H H EHE
iilEE = g g EB<l o= (L () o r
_too.E
rE
s :l!o'L= <*99u
EEEEOUUJO
,-a
=e.F=Jt
o
attooo
o
=o
o
=o
o
0
.E.J
,-o
o
-go
rooo
3o
TU
E'
-9
E
c.9oo)o
t,o
o.9It
.Eoo
o'EFO<.so5llJ oOongtrEo.?JroSE!rNz;ur a,ob
.Ct
Eo(,oo
oot!l'-@N(00r(o$
l,_-I elEE
$*1 Fet-
oo)>9E(J
E,EE5.=oc-Eotb'6,=!loOio.zEcozotu
ooat-IF !P,rbxl I
EgEoo<
aol6lOI6Iololcl
=lololololol<t
-cl
'= cL6 s-lo i! '-l(JEnr'
l\ =ov (Ea lolg t e -lEc o>artro El! o 0)O O@TE,
oo-
F
O,INI-l
,:i.oo
xlFo)
o_
ooc
LoU)coEpI
airJ
o
.ELc0)o
oq)
EGz
ooo.o
Loo-ot
CoEo
o-
Eoooicocfooo
ooa
o,
F
q)q)
GL
No
(f,
0)tN' (Q' tf' lf)' @' l-' €|rrrrrr@l-@O)rN'(Y)or
olo6l6 @_l
ERILIEI
I
@lctINIo otlP=l
@C'F6s-PEo(f)c
EE NE= $o-o'-
=oo9
OJ
oE')co
ox
LU
o9o)r,i NJ c\l
artlLIo)l'ElLIolol:lol*l., ol
lol
Pl slRl EllolL -=llEolo 'Ettolo t4l
=a ql
eEtot
UJ
=o
oDo
oo
IJJ
IIJdel
= Jllo"logl3 _el
olrotlrldl
=+=sEo
tse>.=<J
o(,)-ootro=oZJ
ANNUAL REPORT FOR SMALL TELEPHONE COMPANIES
YEAR ENDED DECEMBER 31,2015.
CUSTOMER RELATIONS RULES COMPLIANCE
Rule IDAPA 31.21.01.603
Rule IDAPA 31.41.01.105
Please provide copies of:
Summarv of Customer Relations Rules for Telephone Corporations
ldaho Telephone Solicitation Act Notification
Method of Notification:
Mailed separately to customers
lncluded in directory
Date of notification 111112015
Yes-L No_
Yes No X
Alternate method of notification N/A
Rule IDAPA 31.41.01.403.02
Record of Complaints:
Number received by Company
Category of complaints (if known):
Deposit Disputes
Charges on Bill
Denial/Termination
Quality or Availability
of Service
Carrier Selection/Assignment
Miscellaneous
Page 20
Rev 3/02
See Accountant's Compilation Report
CERTIFICATE
State of ldaho
County of Washington
WE, the undersigned RICHARD WIGGINS
of the CTC TELECOM. INC. utility,
on our oath do severally say that the foregoing return has been prepared under our direction, from
the original books, papers, and records of said utility; that we have carefully examined same, and
declare the same to be a correct statement of the business affairs of said utility for the period
covered by the return in respect to each and every matter and thing therein set forth, to the best of
our knowledge, information and belief.
Subscribed and Sworn to Before Me this tt'l day of Aoril , (Year) 2016
My Commission expires J-J , (Year) Jtt I'Z
Rev 3/02
Page21
SS
(Officer in Charge of