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HomeMy WebLinkAbout20170222Application.pdfMountalnwaTBnwonIIs February 22,2OL7 ldaho Public Utilities Commission Attn: Secretary PO Box 83720 Boise, lD 83720-0074 i', i: ,'-' I ti/ t: f] i ' " '' - ,,: -r'Jl PI1 ?: 39lJ:j.-t-;r-r' rtr b \;;i:rl{)i RE: Grouse Point Woter Company Rote Case Application Dear ldaho Public Utilities Commission Staff: On behalf of Grouse Point Water Company, Mountain Watenuorks is pleased to submit an original and seven (7) copies of the completed Small Water System Case Application (Application), exhibits, appendices and worksheets for ldaho Public Utilities Commission (IPUC) Staff review and comment. We look forward to hearing from the IPUC Staff on the Application submittal. Please contact us at 208.780.3990 or by email at ksillespie@mountainwtr.com to discuss this or any questions regarding the submittal. Sincerely, Tim Farrell,.E. I Mountain Waterworks, Inc. PRINCIPAL ENGINEER Boise - C.oeur dAlene - Lewiston - McCrll Boise - Coeur d'Alene - Lewiston - McCall 208.780.3990 - office@mountainwtr.com www. m ou nta inwtr. com Number Description Page No. Application Rate Case Application Exhibit No. 1, Schedule A Plant in Service Exhibit No. 1, Schedule B Accumulated Depreciation Exhibit No. 1, Schedule C Rate Base Summary Exhibit No. 2, Schedule A Revenues Exhibit No. 2, Schedule B Expenses Exhibit No. 2, Schedule C lncome Statement Exhibit No.3 Cost of Capital and Rate of Return Exhibit No.4 Revenue Requirement Exhibit No.5 Existing (with Proposed Changes) Residential Tariff Exhibit No.5 Customer Bill Notification Exhibit No.7 Published Notice Exhibit No.8 Monthly Schedule of Fees Exhiblt No.9 MonthlyWater Pumped Exhiblt No.10 Wells, Pumping CapaciW Appendix A system Map Appendix B Legal Description Appendix C Certificate of Organization Appendix D Chart of Accounts Appendix E Operation and Maintenance/Revenue Narrative Worksheet A Operation and Maintenance/Revenue Summary Worksheet A1 Operation and Maintenance 2012 -2015 Details Worksheet A2 Operation and Maintenance 2012 Details Worksheet A3 Operation and Maintenance 2013 Details Worksheet A4 Operation and Maintenance 2014 Details Worksheet A5 Operation and Maintenance 2015 Details Worksheet B Ptant in Service/Depreciation Schedule Summary Worksheet 81 2009 CIP Cost Summary Worksheet 82 2009 CIP Cost Detaal Worksheet 83 2013 CIP Cost Summary Worksheet 84 2013 CIP Cost Detail Worksheet C IPUC Application Filing Expense Worksheet D Revenue Requirement Model Worksheet E Proposed Tariff/Rate Catcutation o o Grouse Point Water Company IPUC Rate Case Application-20l7 Table of Contents o February 6,2OL7 o o LISA A. WAI\NER PERSONAL REPRESENTATIVE GROUSE POINT WATER COMPAIYY, LLC PO BOX 9906 BOISE,IDAHO 83707 20&780-3990 offi ce@ mountainwtr.com IDAIIO STATE BAR NO. 1296 IN TIIE MATTER OF THE APPLICATION Or") GROUSE POINT WATER COMPAIYY, LLC rOR) AUTHORITY TO INCREASE fTS RATES AND) CHARGES FOR WATER SERVICE IN THE STATE OF IDAHO. BEFORE THE IDAIIO PT]BLIC UTILITIES COMMISSION CASE NO. Assiened bv the Commission Secretary COMES NOW Grouse Point Water Company, LLC hereinafter referred to as "Applicant" or "Grouse Poinf'and holder of Certificate of Public Convenience and Necessity No.360 from the Idatro Public Utilities Commission hereby applies to the Commission for authoizationto increase its rates and charges for water service. Applicant is a Limited Liability Corporation duly qualified to do business in Idaho. The Applicant provides water service to 24 residential customers in or about the City of Kuna in Ada County, Idaho. Attached to this Application is a current map of the service area showing the location of wells, reservoirs, transmission mains and disfribution lines. Also attached is a written legal description defining the boundaries of the service area. The Applicant's existing tariffis based on a simple base rate and uniform, single block structure. Grouse Point is proposing an increasing rate block structure consisting of two unique consumptive rates. The increasing rate block structure is appropriate to protect customers utilizing water senrice for in-home purposes only. The secondary block of the proposed rate structure is used as a deterrent from excessive irrigation or outside water usage. o l lPage o o Application is made to the Commission to authorize a general increase in water rates as follows: Increase flat rate residential rates from $N/A per month to $N/A per month. lncrease metered residential rates from, Existing rates: $22.00 per month base rate, plus $0.50 per 1.000 Gal consumptive charge for all consumption in excess of 8.000 Gal per month Proposed rates: $113.86 per month base rate, plus Proposed increasing block rate structure: Block 1: $1.83 per 1.000 Gal consumptive charge for all consumption up to or equal to 8.000 Gal per month. Block 2: $5.00 per 1.000 Gal consumptive charge for all consumption greater than 8.000 Gal per month. Applicant requests that such changes in rates and charges be ef[ective on April 15, 2017. When the Applicant receives a Case Filing Number from IPUC, the Applicant will notiff its customers of the Application by inserting a notice in each customer's bill mailed on3ll7l20l7. A similar notice will be published in the ldaho Statesman. A copy of both notices are included with this Application. During a pre-application meeting Randy Lobb and IPUC staff it was determined that operation and maintenance expenses could be assessed on a multiple test year basis. The operation and maintenance expenses were averaged from the test years 2012 through 2015. The Applicant believes its proposed increase in rates and charges are justified because Grouse Point has collected insufficie,nt revenue to meet operating expenses. Over the test year period, 2012-2015, Grouse Point Water Company, on average, has collected approximately 40%o of the revenue requirernent to offset operation and maintenance expenses of the water systern. In addition, the Applicant did not file for the rate base associated with significant capital improvements totaling $119,018 in 2009 and $8,423 in 2013. Grouse Point has been collecting insufficient revenue to offset its basic operational and maintenance expenses. Therefore, the Applicant is requesting a total company revenue requirement total of $36,997 to recover the true cost of service for providing water service to the Grouse Point Water Company customers. The Applicant is requesting a rate increase that will result in an increase in customer revenue from approximately $6,842 to approximately $36,997 to recover general operation and maintenance expenses, depreciation of assets, a return on rate base and the expense associated with this IPUC filing the application. o 2lPage o As part of this filing, the Applicant will apply for capital improvements to the water system that were constructed as part of 2009 and 2013 projects. The 2009 capital improvement projects were associated with consfruction of a new well and associated mechanical piping and pumping equipment. These projects were required to replace an existing well that supplied water to the public water system in excess of the uranium primary drinking water standard. The new well project was required due to new EPA regulations associated with a new primary drinking water standard for uranium. The existing well water quality exceeded the new drinking water standard of 30 ug/I. In lieu of providing expensive water treatrnent at the existing well, a new well was constructed into a unique aquifer zone that produced water in compliance with EPA uranium drinking standards. The 2013 capital improvement project was required to remove and replace a failing well pump. Both capital improvement projects were required to meet regulatory and system operational issues. As shown on Worksheet B, total project costs of the 2009 and2013 projects were $127,441.T\e Applicant is requesting rate base additions in the amount of $96,930 which is the total cost of construction minus accumulated depreciation. Annual depreciation expense associated with the net rate base is calculated at $4,599. The Applicant is requestin g a l2oh return on net rate base equating to $ 1 I ,632 annually. As shown in Worksheet C, Grouse Point has estimated the cost of filing this Application, including actual and projected costs. These expenditures total $25,9M which include administrative, bookkeeping, engineering, legal and Applicant representative costs. The Applicant is proposing to recover these costs amortized over a seven-year time period at a 0.0 interest rate. The annual revenue requirernent of filing this Application is $3,706. The Applicant is therefore requesting a total revenue requireme,nt of $36,997 Included with this Application are an original and seven copies of the Application and Exhibit Nos. 1 through 10, Appendix A-E and Worksheet A-E, as follows: Exhibit No. l, Schedule A, Plant in Service Exhibit No. l, Schedule B, Accumulated Depreciation Exhibit No. 1, Schedule C, Rate Base Summary Exhibit No. 2, Schedule A, Revenues Exhibit No. 2, Schedule B, Expenses Exhibit No. 2, Schedule C, lncome Statement Exhibit No. 3, Cost of Capital and Rate of Retum Exhibit No. 4, Revenue Requirement Exhibit No. 5, a marked up copy of Applicant's existing Residential Tariff showing the proposed changes in rates and charges Exhibit No. 6 a copy of the Customer's Bill Notification Exhibit No. 7, a copy of the draft Published Notice Exhibit No. 8, a copy of the Customer's Monthly Schedule of Fees Exhibit No. 9, a copy of the Monthly Water Pumped Exhibit No. 10, a copy of the System's Wells and Pumping Capacity o o 3lPage o o Appendix A, a copy of the Syston Map Appendix B, a written Legal Description of the boundaries of the service area Appendix C, a copy of the Certificate of Organization Appendix D, a copy of the System's Chart of Accounts Appendix E, Operation and Maintenance/Revenue Narative Worksheet A, a summary of Operation and Maintenance/Revenue Worksheet Al, a copy of all Operation and Maintenance 2012-2015 expenses Worksheet A2, a copy of all Operation and Maintenance 2012 expenses Worksheet ,A'3, a copy of all Operation and Maintenance 2013 expenses Worksheet A4, acopy of all Operation and Maintenance2014 expenses Worksheet A5, a copy of all Operation and Maintenance 2015 expenses Worksheet B, a summary of Plant in Service/Depreciation Schedule Worksheet B1, a summary of 2009 CIP costs Worksheet 82, a copy of all 2009 CIP costs Worksheet 83, a summary of all 2013 CIP costs Worksheet 84, a copy of all20l3 CIP costs Worksheet C, a copy of all IPUC Application expenses Worksheet D, a copy of the Revenue Requirernent Model Worksheet E, a copy of the New TariffModel Applicant further states that it stands ready for immediate consideration of this Application. Grouse Point Water Company, LLC respectfully requests favorable consideration of this Application. Please direct any questions or correspondence related to the Application to the Applicant, as indicated on page l. Dated February 6h,2}l7 Respectfully submitted, Grouse w Company, LLC Lisa A. Wanner, Personal Representative O 4lPage o o ACCT # ldaho PUC Case Number: To Be Assigned by the Commission Secretory RATE BASE (SCHEDULE "A" ACCOUNT 101 PLANT tN SERVTCE ) Name: Grouse Point Water Company Year: 4-Yea r Average-20 12-201-5 5 *+ A) Actual (B) Known (c) Pro FormaPlant in Service (Annual DESCRIPTION t301 302 1 2 3 303 S s s 4 304 3055 6 306 s s S 7 307 Franchises and Consents Structures and lmprovements Collecting & lmpounding Reservoirs Lake, River & Other lntakes Land & Land Rights Wells Organization s 8 9 308 309 10 310 311L7 L2 84,4L6 S s s s $ s s s s 13 331 320 330 L4 15 333 16 334 335 18 L7 336 33919 20 340 84,476 43,025 s s s s S s s s s s s S s s 34121 22 342 343 34424 25 23 345 34626 27 347 $ $ s s s I S I s $ s $ s $I s s s 28 29 348 Trans. & Distrib. Mains & Accessories lines 1 - 28) ations and calculations showing nt year data the development of each "Known Change" to the test s s s t s s St s s S t s s s t s Communications ut nt Miscellaneous ul Other Ta ble Su Mains Power Generation ut nt E ment *Attach detailed Power Operated Equipment Meters and Meter lnstallations Backflow Prevention Devices Other Plant & Misc. Office Furniture and ut Stores Tools, Shop and Garage TOTAL PLANT IN SERVICE lnfiltration Galleries & Tunnels uPower P Purification La Distribution Reservoirs & Stand Services Exhibit No. 1 Schedule A t27,447 a o a Known ACCT #Actual Changes* ldaho PUC Case Number:To Be the Commission est Year: -Year L2-20t5 mulated ual Report, pg. 6) RATE BASE EDULE "B' ACCUMULATED DEPRECIATION Company Name: Grouse Point Water Company Pro Forma (A+B) 1 304 DESCRIPTION Structu res and lmprovements s s 2 Collecting & lmpounding Reservoirs s s s3 30s 305 Lake, River & Other lntakes I s s s S rz,rso L7,136s4307Wells s5308lnfiltration Galleries & Tunnels s s s s s6309Supply Mains 7 s s S310Power Generation Equipment 8 311 Power Pumping Equipment s 9 320 Purification Systems s S t33tq 10 330 Distribution Reservoirs & Standpipes tt 331 Trans. & Distrib. Mains & Accessories s s L2 333 13 Services Meters and Meter lnstallations I s S s s S s 73,374s s s s sI sL4 334 335 Hydrants 15 336 Backflow Prevention Devices 16 339 Other Plant & Misc. Equipment t7 s s s s s s s s s s340Office Furniture and Equipment 18 347 Transportation Equipment s 19 342 Stores Equipment s s s s s 20 343 Tools, Shop and Garage Equipment s 27 344 Laboratory Equipment s s s s s 22 345 Power Operated Equipment s s s s23346Communications Equipment s24Miscellaneous Equipment S s S s s sOther Tangible Property s25 26 348 347 TOTALS (Add Lines 1- 25)s 30,511s *Attach detailed explanations and calculations showing the development of each "Known Change" to the test year data. s 30,511 Exhibit No. 1 Schedule B o o o RATE BASE EDULE,,C,'SUM Company Name: Grouse Point Water ldaho PUC Case Number:To Be the Commission Test Year: 4-Yea r Average-2012-201s (A)(B)(c) Test Year Known Pro Forma Actual Changes*(A+B) S pt,cqtts5 t2t,+qt s S go,srr s go,stt2Accumulated Depreciation (Ex 1, Sch B, line 26) Total Plant in Service Ex 1, Sch line 3 Net Plant in Service (Line l less line 2)s S 96,930 S 90,930 4 Add UtilitV Plant Acquisition Adjustmentr*S S s s(Annual Report page 7, line 5) 5 Add Materials & Supplies lnventories (Annual Report page 7, line 22)s s s s 6 Less Accum Amortization Util Plant Acq Adj** (Annual Report page 7, line 12)s s s s 7 Less Customer Advances for Construction S s s(Annual Report page 8, line 22)s s8Less Contributions in Aid of Construction s s(Annual Report page 8, line 27)s s9Add Working Capital (1/8 Operating Expenses) s 2,t26 s 2,726(Exhibit No. 2, Sch B, line 2218) 10 Add Deferred Charges (lf any, attach detail) (Annual Report pageT,lines 29 & 30)S s s s tt s 2,!26 s 96,930TOTAL RATE BASE S 99,056 * Attach detailed explanations and calculations showing the development of each "Known Change" to the test year data Exhibit No. 1 Schedule C ** On if Commission approved. o OPERATING RESULTS (SCHEDULE 'A" REVENUES) Company Name: Grouse Point Water ldaho PUC Case Number:To Be the Commission Test Year: 4-Year (A)(B)(c) Pro Forma (See Annual Report page 3) Test Year Actual Known Changes*(A+B) Water Revenues: 1 s sUnmetered 2 Metered-Residential s 6,842 s s s 6,842 3 Metered-Commercial & lndustrial s s s 4 s s 5 Fire Protection Revenue Other Water Sales Revenue S s s 6 s Slrrigation Sales Revenue 7 s S s s 8 Total Water Revenue (Add lines 1 - 7) Sales for Resale s 6,842 S s 6,842 9 DEQ Fees billed separately to customers s S 10 Hook-up or Connection Fees collected s s ss s s s11Commission-approved Surcharges collected L2 TOTAL REVENUE (Add lines 8 - 11)s 6,842 s 6,842t * Attach detailed explanations and calculations showing the development of each "Known Change" Exhibit No. 2 Schedule A to the test r data. o o C o e oPERAT|NG RESULTS (SCHEDULE "B' EXPENSES) pany Name: Grouse Point Water Com ldaho PUC Case Number:To Be the Commission Secreto ry Test Year: 4-Year Average-2012-2015 (A)(B)(c) Known Pro FormaTest Year Changes*(A+B)Actual s s SLabor-Operation & Maintenance7 page 3)(See Annual 2 Labor-Customer Accounts s s s s s3Labor-Administrative & General s s s s4 5 Salaries-Officers & Directors Employee Pensions & Benefits s s s S s s6 S 4,206 s s 4,2067Purchased Power & Fuel for Power Purchased Water 8 Chemicals s s s s 2,294 s S z,zgq9Materials & Supplies-Operation & Maintenance s s10Materials & Supplies-Admin & General 11 Contract Services-Professional s 8,665 s s s 8,665 s s sL2Contract Services-Water Testing 4L8s s 4L8S13Rentals-Property & Eguipment L4 Transportation Expense s s s t,L02s s S r,roz15lnsurance s s16 t7 Rate Case Expense (Amortization) Advertising s S s s 18 Regulatory Comm. Exp. (Other Except Taxes)S s s s19Bad Debt Expense S 325S s s_ 325s20 77,O!Os s s 17,0102LTOTAL OPERATING EXPENSES the development of each "Known * Attach detailed lanations and calculations Miscellaneous Expenses Exhibit No. 2 Schedule B to the test year data. o o o o opERATtNG RESULTS (SCHEDULE "C" TNCOME STATEMENT) the Commission Com Name: Grouse Point Water Company ldaho PUC Case Number: Io 8e (A)(c) Test Year (B) Known Pro Forma Changes+(A+B) 1 Actual 6,842s s 30,155 s 36,997 Year:4-Year t2-20t5 Revenue Ex.Sch 2 Operating Expenses (From page 3, line 33) Ex 2/Sch B L7,OLOs s 17,010s Oepreciation Expense s 4,599 s 4,599 s 3 4 Amortization, Utility Plant Acquisition Adj. s s s 3,706s5Amortization Exp.-Other s 5 s s 3,706_ 50s 50s 7 Regulatory Fees (PUC) Property Taxes s s s 8 Payroll Taxes s s s 9A OtherTaxes (list) DEQ Fees s s s 9B s s s 9C s s s s s s9p_ 10 s 1,745s s t,745Federal lncome Taxes 11 803s 803sState lncome Taxes L2 Provision for Deferred lncome Tax-Federal s s s s 13 s s s L4 Provision for Deferred lncome Tax-State Provision for Deferred Utility lncome Tax Credits s s s s s s15 17,010s 27,9t3s16Total Expenses from Operations before interest (Add lines 2 - 15) lnvestment Tax Credits-Utility s s 10,903 s $t7 lncome from Utility Plant Leases to Others 5 s s18Gains (Losses) from Disposition of Utility Plant s (10,168)s 19,252 s 9,08419Net Operating lncome (Add lines 1, 17 &18 less line 16) s s s20Revenues, Merchandizing, Jobbing & Contract Work 2T s s s 22 s slnterest & Dividend lncome Expenses, Merchandizin&Jobbine & Contracts 23 s s 24 s 25 s s s s s s $26 Allowance for funds used during construction Miscellaneous Non-Utility lncome Miscellaneous Non-Utility Expense Other Taxes, Non-Utility Operations s s s s s s (10,168) s s s s t9,252 s s s s s 9,OU s s s s 9,OU Exhibit No. 2 22,23,&24 less lines 21, 25,26 & 27l- 32 NET INCOME (Line 29 less lines 30 & 31) 27 lncome Taxes, Non-Utility Operations 28 Net Non-Utility lncome (Add lines 29 Gross lncome lines 19 & 28) DebtlnterestOn 31 Other lnterest Charges to the test year data. I Attach detailed the and calculations of each "Known s (10,168)L9,252s Schedule C o O COST OF CAPITAL AND RATE OF RETURN Company Name: Grouse Point Water Company ldaho PUC Case Number: To Be Assigned by the Commission Secretory Test Year: 4-Year Average-2012-20L5 (A)(B)(c)(D) Amount % of Total Cost Weighted Outstanding Outstanding of Cost (Column A"/Capital (Column B X Total Line 5)Column C) 1 Common Equity (Proprietor Capital Paid ln)S tzt,++t LOO%t2o/o L2% 2 Retained Earnings s 3 Total Common Equitv (Proprietor Capital) Line 1 + Line 2 5 nt,qqt 4 5 Long-Term Debt S s s s 6 Total Capital S nt,qqt 7 Weighted Cost of Capital (Rate of Return Required)t20A (Line 3 + 5) Exhibit No. 3 o o a REVENUE REQUIREMENT mpany Name: Grouse Point Water Company ldaho PUC Case Number: Io 8e the Commission Year:4-Year (A)(B)(c) Test Year Known Pro Forma Actual (A+B) 7 Rate Base Ex. 1, Sch C, line 11)s S 96,990 s 96,930 2 Required Rate of Return Ex.line 72% 3 lncome Required (Line 1x Line 2)s s 11,632 S g,os+4 lncome Realized (Ex. 2, Sch C, line 29) lncome Deficiency (Line 3 less Line 4) S (10,168)s L9,252 5 S ro,ros Exhibit No. 4 a Tariff No. f .P.U.C. No. Canceli Page D r{o Pt BLtc unLmEs coMi,tsstoitAPPROVED EFFECNVE Jr6-04 Jffi 1-04 Pon o.nr. aq.{o} a^nf,*lt w? 1 SEamp) o o Issued by By Name of Utilit.y GROUSB POINT WATER SCHEDUIJ NO. 1 Customer Charges: Base Rate: B.GgAM,. 4 I t5.8 k, v,rD^\I,L.--S22,0e?ermon0r@ B\oCJal lpt tSmp.r rOOO p[ons'emes.E-O -B B\ocJcJlS"o Dcr- t r@3{lons, obcv-c-€ Bills will be issuedbi.rnsrftly. tt a^\i\Y" The Company shall follow the "Rules and Regulations of the Idatro Public Utilities Commission Governing Customer Relations of Natural Gas, Electic, and Water Public Utilities Under the Jurisdiction of the Commission." Apprcved by Commission Ordcr No .29402 Iseued December 19, 2OO3 Effect,ive 'J 2004l_, a tiea Powell PresidenE Tariff No. I.P.U.C. NO. Cancellin Issued by By Page rDAl{o PUBLI c UTILmES @[l ttlstloNAPPROVED EFFECTNE APR,-'00 Amr-!u h^t*l sEcRErABr (Approval Stamp) o o P Name of Utility CROUSE POIITE TATER COMPAIII SCEEDUIJE NO. 2 NON.RECURNING CITARGES Cust,oner Charges: $ iafroO --$fg+e reconnect feein the event t,hat service is disconnected M.+,\z"rT<.bV..( Ec- /5_'co'B The courpany shall follow the "Rules and Regulations of thefdaho Public Utilt,ies Commiegion Governing Customer RElationsof Naturaf Gae, Electricr and Water PubIic Utilties Underthe Jurisdict.ion of the Commiggion." 1 9I_/, .- o 1 Tit.le President Tariff No. 1 I.P.U.C. No. Cancellin Issued by IDAI{O PUBLIC UT!LITIES COMTISSION.-eipnoveo EFFEcrlvE AB5-9s sPl-ee YZ1f* ! )/"ll..5EcRErARy Page L o o vaL St B a Name of Utility GROUSE POINI ITATER Co.iPIIW Ap GEBNERAI. RI'I,ES T REGT,IATIOIIS FOR SDIAI|L ITAEER UIIL,IIIES 1. @NERII. 2 1.1 The Customer, in receiving water service, and the Company, in providing water service, both agree to abide by these Rules and Regulations. In the event that there is a conflict between Lhe Companyrs Rules and Regufations and the Rules and Regulations Governing Customer Relations of Gas,Electric, and Water PubIic Utilities under theJurisdiction of the Idaho Public Utilities Commission, the Rules and Regulations of the Commission shall take precedence unless an exception has been granted. t.2 1.3 Any additions, deleti-ons or modifications to these General Rules and Regulations are to be made in the "Special Provisions" section attached as Attachment1. Any such changes are subject to approval. by the Commission prior to becoming effective. DEFINITIONS 2.1 Billing Period - the period of t.ime between bills from the Company for normal services rendered. 2.2 Commission Idaho Public Utilities Commission. 2.3 Commodity Charge charge based only on thequantity of wat.er Recurring used. TitIe President Tariff No. 1 I. P. U. C. No. Cancellin IDAHO PUBLIC UTILITIES COMI'ISSION APPROVED EFFECTIVE am 5- 99 SP 1- 99 Y4^. !. )/"/LsEcRErAFv Page 2 o o roval St Name of Utility CROUSE POINT IIATER COIPA}II App amr 2.4 Company - water company. Connection or Hook-Up Feeby a Customer requesting recovery of the Company's servi.ce connection. 2.5 - non-recurring charge paid service for parEial or fuIIcost of provid5-ng a new 2.6 Contribut,ion in Aid of Construction - non-recurri ng charge paid by a Customer or Developer to help defraythe cost of system expansion. 2.1 Customer - a person, business or government agencyresponsible for paying bills and conplying with therules and regulations of the company. 2.8 Customer Charqe - minimum recurring charge that doesnot include any water 2.9 Fixed Rate - a recurring charge of a fixed amount,usually in an unmetered system. 2.10 Franchise Tax - tax governmental entity business within its imposed on a Company by afor the privilege of doing boundaries. 2.t1. Minimum Charqe - ninimum recurring charge for a abilling period that may or may not includespecified quantity of water. 2.12 Non-recurrinq Charges - charges that are not assessed each billing period. 2.13 Premises - a Customer's property including outIot orbuildings which are normally located on oneparcel of ground. a I ssued By Title President Tariff No. 1 I.P.U.C. No. CanceIli IDA}IO PUBLIC UTILITIES COMMISSION'-iriFnovto EFFEcrlvE AE 5- 99 StP 1- 99 Y4* p i"J;.*sEcRErARY Page 3 o o roval- St Name of Utility GROUSE POIIST NATER COMPIIII amApp 2.1,4 Rate Structure non-recurrrng - a schedule of all recurring and charges of the company. 3 2.15 Reconnection Eee charge paid by a Customer to theservice after its disconnection.Company to restore 2.16 Recurring Charges -charges that are assessed eachbilling period. 2.L7 Tariff - rate schedules and Rules and RegulationsffiG-qovern the Company's service. SERVICB FOR NEI9 CUSTODGRIS 3.1 The Company shall furnish service to applicantswithin its service area under the jurisdiction of the ldaho PubIic Utilities Commission ln accordance withrates and Ru1es and Regulations approved by the Commission. 3.2 Applieants for water service may be reguired to signa sLandard form of service application. 3.3 The Company shaIl not be obligated to provide serviceat a service location until any required deposit or guatantee of payment has been received by the Companyin accordance with the "Rules and Regulations Governing Customer Relations of Gas, Electric, andWater PubIic Utilities under the Jurisdiction of theIdaho Public Utilit,ies Commission" attached andreferred to herein as Utility Customer Relations Rules (UCRR). O I s sued B TitIe President I Tariff No. 1 P. U. C. No. Cancel li Page 4 IDAHO PUBLIC UTILITIES COMI'ISSION'-iii'pnovro EFFEcrlvE llB 5 - '99 sP 1- ul YZrp ! )l"l:.*sEcREr rY o a roval St Issued by By Name of Utility CROUSE POIIItr IIATER COIPANI 3.4 3.5 Special contracts may be required where largeinvestments in special facilities are necessary Loprovide the requested service. The Company mayrequire contribution toward such investment andestablish such minimum charges as are deemednecessary. AIl such contracts are subject to theapproval of the Commission. The Company reserves the right to place limitat.ions on the amount and character of water service it will supply and to refuse service to new Customers if, inits opinion: (a) The Company is reguired to refuse or l-imitservice by regulatory authorities havingjurisdiction over the Company. (b) The requested service installation is of larger size than is necessary to properly serve the premises. (c) The permanency of the building, structure, orinstitution requested to be served is such thatthe Company's investment in such service is j eopardi zed . (d) The depth of the Customer's service than the minimum depth required forprotection. line is Lessfrost (e) The Customer's proposed service, main or other appurtenance does not conform to good engineering design or meet the standardspecifications of the Company. o TitIe President Tari f f P. U. C. No. No. L Page 5 tDtllo PUBLIc unLmES COUmF$ol'aipnoro EFFEcnvE flE5-tg sPt-u fAF ! -l"l;a.*sEcREnnt o o I Cancellin lssued by oval St Narne of Utility GROUSE POIX:I IXATER COTP.trNI (Appr amE (f) The Customer refuses to agree to abide by the Rules and Regulations of the Company. If the Company denies service to a potential Customer for any reason, it will immediatelyprovide the applicant with a written explanationof its decision in accordance with UCRR. 4 DEPOgITS 4.1 Rules and Regulations regarding deposits to guarantee payment of bills can be found in Rules 101-109 UCRR. 5 B.trTES 5.1 Rates charged for water service and supply shaLl be those published in the Company's tariff and approvedby the Idaho Public Utilities Commission. 6 BILLTNG T}ID PII!|EIIT 6.L AII Customers will be billed on aident,ified on the applicable rate regular basis as schedu.Le. o By TitIe President No. No. Tariff P. U. C.I L Page 6 IDA}IO PUBLIC UTlLITIES COMMISSIONAPPROVED EFFECTIVE AE 5- le SP 1- 19 Y4+* p g"lbsEchErARy roval St o o CancelIin Issued by Name of Utility GROUSE PC)INT WATER COMPrIW App amr 6.2 5.3 6.4 6.5 If the system is metered, the Company shall try to read the meters prior to each billing unlessspecified differently on the applicable rateschedule. If the Company's rneter reader is unable togain access to t,he premises to read the meter, or inthe event the meter fails to register, the Company may estimate the Customerrs water consumption for the current billing period based on known consumption for a prior similar period or average of several periods. Subseguent readings will automatically adjust fordifferences between estimated and actual. Estimatedbitls shall carry appropriate notice to that effect. AIf bills shall clearly indicate the balance due and shaLl be due and payable no fess than 15 days afterthe date rendered. A]1 bills not paid by due date shall be considered deJ.inquent and service may be disconnected subject to the provisions of UCRR. The minimum bill or cusEomer charge sha1l apply when service is provided for less than one month. Owners of premises with one or more condominiums,buildings, sLores, apartments or any other divisionsof like or simii.ar character, all of which are servedfrom one (1) service connection are responsible forthe entire water charges. If the owner desires to cease being responsible for water bills for suchplaces and desires Ehat the occupant of each divisionshall be responsi-ble for her or her respective bi1l, such transfer of responsibility will not be acceptedor recognized by the Company until the plumbing Issued /1999 Effective 1 999 o B rR er Title President Tariff No. 1 I.P.U.C. No. Cancelli Issued by By IDA}IO PUBLIC UTILITIES COMMISSION'-irbFnovro EFFEcrlvE llF 5 - 19 SP 1- '99 YZr# p J/"absEcRErArv Page 1 o o oval St Name of Utility EROUSE POINT MTEB COTP}N! 6Appr 6.6 1 arrangements of the building or premises are so changed by the olrner or his or her agent as to permit the Company, to its satisfaction, to serve eachdivision or occupant separately from the other occupants in the same building. Accounts will be continued and water bi]ls renderedregularly until the Company has been duly notified todiscontinue service. IiEIERINO (If ry)plioeblo) 1.t Meters will be installed by the Company near the Customer's property line or at any oLher reasonablelocation on the Customerrs premJ-ses that is mutually agreed upon. 1.2 The Company'6 representative shall be given access tothe Customer's premises at alL reasonable hours forthe purpose of obtaining meter readings. In the event of recurring inaccessibility, the Company, atits option, may relocate its metering equipment atthe Customerrs expense. 7.3 The Company is responsible for the maintenance of its metering equipment. Meters are considered to besufficiently accurate if tests indicate that meter accuracy is within + 2 percent. When for any reason a meter fails to register within these limits of accuracy, the Customerrs use of water wiII be estimated on the basis of available data and chargeswill be adjusted accordingly. Corrected bilIs will then be sent out to the customer and additional payment or refund arrangements made in accordancewith UCRR. Issued 19991999 Effective o a rR r Title President Tariff No. L I.P.U.C. No. Cancell IDAHO PUBLIC UTILITIES COMMISSION'-ti'p-noveo EFFEstlvE AF 5-le w 1- 9e YZn** ! J/'tbsEcREr^RY Page I O o oval St Issued by By Name of Utility GROUSE POINA IXATER COMPTNI (Appr amt 1.4 7.5 7.5 7.7 The Company reserves the right to test and/or replace any meter. Upon deposit of a "Meter Testing Fee" by a Cust,omer, the Company will test the Customerrs meter. If the test indicates that the meterover-registers by more than 2 percent, it wiII be replaced with an accurate meter at no cost to the Customer and the "Meter Testing Fee" will be refunded and water bills will be adjusted in accordance with UCRR. 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. The Company shall have the right to set meters orother devices without notice to the Customer for thedetectlon and prevention of fraud. In any building where the meter is to be installed inthe basement, the incoming water pipe must enter the basement at least sixteen (16) inches from the riserin order that a meter can be set in a horizontalposition in t,he basement. AII pipes to thedifferent parts of the building or grounds must lead from the riser at least one (1) foot above the elbow. Issued 19991999 Effective a a anner Title President Tariff I.P.U.C. No No 1 Page 9 IDA}IO ruBLrc UNLMES APPROVED EFFECTIVE sP 1- 9e!18 5- le ff# p )/"/LsEcRErAry roval St o o CanceIIi lssued by Narne of Utility GROUSE POIIIT MTER COMPIIW (App amr 8 CUSTO}IER PI.TD@TNC AIID APPI.ITITCES B.L A11 plumbing, piping, fixtures Customer's side of the serviceinstalled and maintained underat the expense of the Customer premises. and appliances on the connection shall bethe responsibility andor owner of the 8.2 8.3 8.4 The plumbing, piping, fixtures and appliances shall be maj-ntained in conformity with all municS.pal, state and federal requirements. The nature and conditionof this plumbing, piping and equipment shall be such as not to endanger life or property, interfere wit.h service to other Custoners or permit those with metered services to divert system water without meterregistration. A stop-and-waste valve must be installed on the Customer's plumbing in a place always accessible and so located as to permit shutting off Lhe water for Lhe entire premises with the least. possible delay. A11 persons having boilers, water tanks or other eguipment supplied by direct pressure from the Company's mains should install a pressure reliefvalve, or other device to serve the same purpose, soas to prevent excess pressure from forcing hot waterand/or steam back into the water meter and mains ofthe Company. AII damage to the Companyrs property resuJ-ting from failure to properly equip Customerplumbing wit,h a relief valve shall be billed to the Customer. L999 EffectiveI ssued 1999 o By Wa rR nner Title President Tariff No P. U. C. No 1 I Cancellin Issued by tDAllo ruBUC UTlLlrlES coMltlssloN APPROVEO EFFE TNE AS 5- ee sp 1- 99 YZ** ! )/"lb-sEcRErAtrv Page 10 o o oval S o Name of Utility GROUSE POIITT IIATER COMPANI Appr tam[ 8.5 8.6 8.7 8.8 The Company is not obligated to perform any service whatever in locating leaks or other trouble with the customer's piping. When the premises served by the Company is also served in any manner from another water supply of any kj-nd, an approved backflow prevention device sha1l beinstalled at the service eonnection. Water servicefor either stand-by or other purposes will not be furnished untl1 piping and connections are inspected and approved by a representative of the Company. Property owners wiII not be allowed to connect the water servj.ce of different properties toget,her. All of the Customer's service pipes and fixtures must be kept in repair and protected from freezing at hisor her expense. When there are leaking or defectivepipes or fixtures, the water may be turned off at the option of the Company until the proper repairs are made. IIISTTI.IAEION OE SERVICE COINECTIONS 9.1 The service connection is the property of the Company and as such, the Company is responsible for itsinstalLation and maintenance. It consj-sts of piping, curbstop and valve or meter box and a meter, if the system is metered. The service connection transmits water from the Conpany's water main to a valve or meter box generally located near the Custornerrsproperty line. AIl piping, va.Lves or appliances beyond this point are the property and responsibilityof the Customer. 9 1999 EffectiveIssued 1999 B Wa rR anner TitIe President No No Tarif f 1 Page 11 ITTAI{O PUBLIC UTI LITIES COMM ISSIONAPPROVED EFFECTIVE AE 5- 19 SIP 1- ts YZr+.* p )t"/a^sEcRErARy roval St I.P.U.Co o Cancelli Issued by By I Name of Utility GROUSE POINT IIATER COIIPIITI (App amr 9.2 9.3 9.4 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 rnust be left unobstructed for theinstallation and future maintenance and operationthereof. 9ilhere a service connection is desired for a premises on which there is no permanent structure, the Companywill install a service connection to said premisesonly upon payment by the appJ.icant of the estimatedcost of said service connection. If within a period of five (5) years from the installation of saidservice connection a permanent structure is erected on the premises, the Company wiII refund, withinterest, the difference between any approved new Customer charges in effect at the time of connecti-on, and the applicantrs advance. The extra costs of any out-of-the-ordinary circumstances requiring additional eguipment orspecial construction techniques involved in theinstallation of a service connection will be agreedto in advance by the Customer and the Company. 1999 EffectiveI ssued 1999 o ner TitIe President o o Tariff No. 1 I.P.U.C. NO. CanceIl Issued by By Page L2 IOAHO PUBLIC UTILITIES COMMAPPROVED EFFECTIVE AtE5-ee sPr-99 f4.*- p -/-l^usEcRErARy rovaL St o Name of Utility GROUSE POIITT IItrTER COMPTNI Approval Stamg 10.REPI.ACED'ENE OR EIII.IRGETIEITE OT EERVICE CONIIECTION 10.1 UnLess otherwise provided herein, the Company shal1 replace or enl-arge service conDections at its own expense, as follows: (a) $lhenever 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 thetype or volume of use has changed and the enlargement will result in sufficient increasein annual revenue to justify the enlargement. r-0.2 The relocation, enlargement or reduction of service connections for the convenience of the Customer will be at the expense of the Customer. Prior to suchrelocation, enlargement or reduction, the Customerwill 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 cost exceeds the actuaf cost. The amount by which the actual cost exceeds the estimated costshall be due and payable within fifteen (15) days after bllling for such deficiency. 10.3 Enlargement of any service connection wiII be madeonly after such time as the Customer's plumbing inside his or her premises shall have been enlarged sufficiently to accommodate the additional capacity. I ssued 19991999 Effective R nner TitIe President IDA}IO PUBLIC UTILITIES COMM Tariff No. I.P.U.C. No. Cancell- Page 13 APPROVED aE 5-99 EFFECTIVE sP 1- 99o o YZ** p )*rasEcREr^ry oval St Issued by By Name of Utility GROUSE POIISf, IIATER CS| TNI 11. 1t_.1 LL.2 t_1.3 11.4 t-1.5 DIgCONTIECTION TND RECOTWECTION OF SERVICE When a Customer desires to discontinue service he sha]l give notice to the Company at least two l2l days in advance and shall be responsibLe for all water consumed for the t.wo (2) days after the date of such notice. The Company may discontinue a Customer's service on an involuntary basis only in accordance with UCRR. $lhen it becomes necessary for the Company toinvoluntarily discontinue water service to a Customer, service will be reconnected only after a11bills for service then due have been paid or satisfactory payment arrangements have been made. A reconnection fee wiII be charged each Eime a Customer is disconnected, either voluntarily orinvoluntarily, and reconnected at the same premises. The reconnection fee shall be paid before service is restored. Reconnection fees will not be charged for any situation or circumstance in whlch the Customer's waLer supply is disconnected by the Company for its convenience. The Company reserves the right at any time, uponnotice, to shut off the waLer for maintenance or expansion and, in emergencies, mdy do so without notice. The Company shall at all times use reasonable diligence and care to prevent interruptionof said water servi-ce. 1999 EffectiveIssued 1 999 o Wa .Wa r TitIe PresidenE IDAHO PUBLIC UTILITIES COMM Tariff No. 1 I.P.U.C. No. Cancellin Page 14 APPROVED Ar5-$ EFFECTIVE s[P 1- !9o o f4,* p )/-th*sEcRErARy roval St Issued by By Name of Utility GROUSE POINT NATER CO}TPENY L2 11..5 Except in the case of an emergency, no one, except an authorized Company representative, is allowed toturn-on or turn-off the water on the Company's sideof the service connection. E:(IEIISION OF MTER IITINS 1,2.1 The extension of system water mains for Lhe purposeof providing new service shaIl be done on a time andmaterial basis. 13 UISCEI.I.ATIEOUS 13. r.No Customer shall permit any person from another premises to take water from his or her water service or tap for more than (1) week without the written permission and consent of the Company. 13.2 No person acting either on his or her own behalf or an agent of any person, firm, corporation or municipality, not authorized by the Company, sha11take any lrater from any fire hydrant on the Company's system except in the case of an emergency. r.3.3 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 soas to prevent free access aL all- times to the same. 13.4 Service will be maintained to domestic Customers on apreferential basis. Delivery of water under al"1 schedules may be rest.rict.ed, interrupted or curtailedat the discretion of the Company in case of shortageor threatened shortage of water. L999 EffectiveIssued 1999 o a rR nner Title President I Tariff No. 1 P. U. C. No. Cancelli Page 15 IDAHO PUBLIC UTI LITIES COM MISSIONAPPROVED EFFECTIVE AE 5- 9s S61 1- le f4* ! )/-/LsEcnET^ry o o roval S Issued by Byo Name of Utility CROUSE POIITT HAIIER COiPTNI (App tamS 13.5 13. 5 No rate contract or applicatlon is assignable from one user to another, except upon agreement of aIIparties concerned. The representative of the Company shall be given access to the premises of the Customer at all reasonable hours for obtaining meter readings, forturning on or shutting off the flow of water, forinspecting, removing, repairing or protecting from abuse or fraud any of the property of the Companyinstalled on the premises, Access shall be granted at all times for emergency purposes. L3.1 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 Companyrs property. 13.8 $lhenever an applicant desires service of a characterfor which there is no available serviceclassification, a contract may be executed in lieu of a tariff. Any such contract is subject to the approval of the Idaho Public Utilities Comrnission. 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, orindirectly, by the customer. 13.10 Copies of the Company's rates and rules sumrnary ofregulations wiLl be available at utility's office;will be provided to customers upon conmencernent ofservice,' and, wiII be provided to customers annuallyin accordance with Utility Customer Relations Rules (UCRR) and Utility Customer Information Rules (UCIR). 1999 EffectiveIssued 1.99 9 aL R nner Title President o Grouse Point Water Company, LLC PO Box 9906 Boise,ID 83707 CUSTOMER NOTICE 2/612017 To Customers of Grouse Point Water Company, LLC An application has been filed with the Idaho Public Utilities Commission (IPUC) for approval of changes in rates and charges for residential water use ef[ective April 15,2017. Currently, the base rate is $22.00 per month plus $0.50 per 1.000 Gal consumptive charge for all consumption in excess of 8.000 Gal per month. We are requesting that the base rate be increased to $115.91 per month, plus the proposed block structure for consumptive charges : Block 1: $1.83 per 1.000 Gal consumptive charge for all consumption less than or equal to 8.000 Gal per month. Block 2: $5.00 per 1.000 Gal consumptive charge for all consumption greater than 8.000 Gal per month. As you know, there has not been a rate increase for over 15 years. On average, Grouse Point has collected approximately 40% of the revenue requirement to offset operation and maintenance expenses of the system for numerous years. In addition, Grouse Point did not file for significant capital improvements totaling $l19,018 in 2009 and $8,423 in 2013. Grouse Point has been collecting insufficient revenue to offset its basic operational and maintenance expenses. Therefore, Grouse Point is requesting a revenue requirement total of $17,010 associated with basic operation and maintenance of the system. As part of this filing, Grouse Point will apply for capital additions to the water system that were constructed as part of the 2009 and 2013 projects. The 2009 capital improvement projects were associated with construction of a new well and associated mechanical piping and pumping equipment. These projects were required to replace an existing well that supplied water to the public water system in excess of the uranium primary drinking water standard. In lieu of providing water treatment at the existing well, a new well was constructed into a unique aquifer zone that produced water in compliance with EPA drinking standards. The 2009 capital improvement project was completed to replace a failing well pump. o o o Both capital improvement projects were required to meet regulatory and systern operational issues. As shown on Worksheet B, total project costs of the 2009 and 2013 projects were $I27,441. Grouse Point is requesting rate base additions in the amount of $96,930 which is the total cost of consfruction minus accumulated depreciation. Annual depreciation expense associated with the net rate base is calculated at $4,599. Grouse Point is requesting a l2o/o return on net rate base equating to $11,632 annually. A copy of the Application is on file and available for review at the Company's business office located at 1116 W. River St. Suite 130, Boise, Idaho. A copy is also posted on the Idatro Public Utility Commission's website at www.puc.idaho.eov . Anyone may subscribe to the Commission's RSS feed to receive periodic updates via email about the case. Written comments may also be submitted to the Idaho Public Utilities Commission on its website by going to the "Consumers" section and using the link to the "Case Comment Form" or by letter sent to the Commission mailing address below. The assigned case number, XXX-X-I7-XX, should be identified in all correspondence with the Idatro Public Utilities Commission. Grouse Point Water Company, LLC PO Box 9906 Boise,ID 83707 Phone: 208-780-3990 Idatro Public Utilities Commission PO Box 83720 Boise, lD 83720-0074 Phone: 208-334-0300 Phone: 800-432-0369o o o o 21612017 GROUSE POINT WATER COMPANY Notice of Application for an lncrease in Rates and Charges Grouse Point Water Company (Company) filed an application with the Idaho Public Utilities Commission (IPUC) for approval of changes in rates and charges for residential water use effective April 15, 2017. Currently, the base rate is $22.00 per month plus $0.50 per 1.000 Gal consumptive charge for all consumption in excess of 8,000 Gal per month. The Company is requesting that the base rate be increased to $115.91 per month, plus the proposed block structure for consumptive charges: Block 1: $1.83 per 1.000 Gal consumptive charge for all consumption less than or equal to 8.000 Gal per month. Block 2: $5.00 per 1.000 Gal consumptive charge for all consumption greater than 8.000 Gal per month. Rates have not been adjusted for overl5 years. On average, the Company has collected approximately 40%o of the revenue requirement to offset operation and maintenance expenses of the system for numerous years. ln addition, the Company did not file for significant capital improvonentstotaling$119,018 in2009 and$8,423 in20l3.TheCompanyhasbeencollecting insufEcient revenue to offset its basic operational and maintenance expenses. Therefore, the Company is requesting a revenue requironent total of $17,010 associated with basic operation and maintenance of the system. As part of this filing, the Company will apply for capital additions to the water system that were constructed as part of the 2009 and 2013 projects. The 2009 capital improvement projects were associated with construction of a new well and associated mechanical piping and pumping equipment. These projects were required to replace an existing well that supplied water to the public water syston in excess of the uranium primary drinking water standard. In lieu of providing water treatment at the existing well, a new well was constructed into a unique aquifer zone that produced water in compliance with EPA drinking standards. The 2009 capital improvement project was completed to replace a failing well pump. Both capital improvement projects were required to meet regulatory and system operational issues. As shown on Worksheet B, total project costs of the 2009 and 2013 projects were $127,441. Grouse Point is requestingrate base additions in the amount of $96,930 which is the total cost of construction minus accumulated depreciation. Annual depreciation expense associated with the net rate base is calculated at $4,599. Grouse Point is requesting a l2oh refurn on net rate base equating to $11,632 annually. A copy of the Application is on file and available for review at the Company's business office located at 1l 16 W. River St. Suite 130, Boise, Idaho. A copy is also posted on the Idaho Public Utility Commission's website at www.puc.idaho.sov . Anyone may subscribe to the Commission's RSS feed to receive periodic updates via email about the case.o o o Written comments may also be submitted to the Idaho Public Utilities Commission on its website by going to the "Consumers" section and using the link to the "Case Comment Form" or by letter sent to the Commission mailing address below. 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LI€ 2- Theacffiessoftheiritiatregi#redffice[B: {225 Riva Riclge Drive, Boise, Idaho OdrPOlo08370e ild lhe nanr dtre inilid rEgislGd {p'tt d thd address is:Italter R. Tfanrer Slgndrc of ragisErad agaat: 3- TIE ldesn ddE ertain on uhiofi the limiEd littbility corpany will dissohrc:d2n -eI 1q 4- ls manruerpr* dthe lhk l&5ifty cfipcry rrssted in a nur4er r marngers? EI Y* tr ltlo Frcmrtto e f nr*rqgffiiart is vecbd in a,n c EUE trrragEr(s), fst flre mmats) ad adre{cc) of d, lest me inlltal managr- lf nsrynerf b rrcEtod in the Egnb€rs, list ttte nalte(s! ad *ese(es) dat Btorp initialmsnts.ilstn: Addresc Ea'l .}ar D Eqnnar lq-E Riurr R:fdg,e frrirrar E.^'israr fdrha 83709 6- Sigrrdra mB p€rstrt litbd in #5 Sorc: ffiffill,f,EIffiFffiffiEl: ---Sr* :: +:r1-?"11'-"'rc.:+;':i' , -"1":---,Etli,l.: . :------- -- Chart of Accounts Type Income Tax Line t2l23l20t6l0:23 AM Accounto a e D. L. Evans - Checking Mountain West Bank - Checking Accounts Receivable Undeposited Funds Accumulated Depreciation Furniture and Equipment Accounts Payable Loan From Estate Loan From W & S Investments Payroll Liabilities Opening Balance Equity Partner I Draws Partner I Equity Partner 2 Draws Partner 2 Equity Retained Earnings Commission Income Services Income Advertising and Promotion Automobile Expense Bank Service Charges Business Licenses and Permits Computer and Internet Expenses Continuing Education Depreciation Expense Dues and Subscriptions Insurance Expense Interest Expense Licenses and Fees Meals and Entertainment Office Supplies Payroll Expenses Postage and Delivery Printing and Reproduction Professional Fees Accounting Engineering Legal Fees Personal Representative Rent Expense Repairs & Maintenance Taxes Telephone Expense Bank Bank Accounts Receivable Other Current Asset Fixed Asset Fixed Asset Accounts Payable Other Current Liability Other Current Liability Other Current Liability Equity Equity Equity Equity Equity Equity Income Income Expense Expense Expense Expense Expense Expense Expense Expense Expense Expense Expense Expense Expense Expense Expense Expense Expense Expense Expense Expense Expense Expense Expense Expense Expense Page I B/S-Assets: Cash B/S-Assets: Cash <Unassigned> <Unassigned> B/S-Assets: BuildingVoth. depr. assets B/S-Assets: Buildings/oth. depr. assets <Unassigned> B/S-Liabs/Cap: Other current liabilities B/S-Liabs/Cap: Other current liabilities B/S-Liabs/Cap: Other current liabilities <Unassigned> <Unassigned> <Unassigned> <Unassigned> <Unassigned> <Unassigned> Income: Gross receipts or sales not on line la Income: Gross receipts or sales not on line la Other Deductions: Other deductions Other Deductions: Other deductions Other Deductions: Other deductions Deductions: Licenses Other Deductions: Other deductions Other Deductions: Other deductions <Unassigned> Other Deductions: Other deductions Other Deductions: Other deductions Deductions: Interest expense <Unassigned> Deductions: Meals and entertainment(subj to 50% li Other Deductions: Other deductions Deductions: Other salaries and wages Other Deductions: Other deductions Other Deductions: Other deductions Other Deductions: Other deductions <Unassigned> <Unassigned> <Unassigned> <Unassigned> Deductions: Rents <Unassigned> <Unassigned> Other Deductions: Other deductions Chart of Accounts Type Income Ter Line 12/23/201610:23 AM AccountaTravel Expense utilities Power United Water Ask My Accountant Expense Expense Expense Expense Other Expense Other Deductions: Other deductions Other Deductions: Other deductions <Unassigned> <Unassigned> <Unassigned> e e Page 2 o o MountalnI,IIATBNIUOBT$ 2l6l2OL7 ldaho Public Utilities Commission PO Box 83720 Boise, lD 83720-0074 On behalf of Grouse Point Water Company, and as part of this Application submittal, Mountain Waterworks respectfully submits this narrative for IPUC review. We believe that the enclosed information show our methodology for recovering the true cost of service associated with providing public water service to Grouse Point Water Company customers. 1. General The Grouse Point Water Company (Company) provides public water supply to 24 residential customers for primarily in-home use, with outside watering provided through a separate irrigation and pumping system owned and operated by the HOA. lrrigation water is supplied from the New York Canal system, adjacent to the subdivision. The existing base rate of S22.00 per month and the consumptive charge of S0.S0 per 1,000 gallons, over a base usage of 8,000 gallons is insufficient in meeting the revenue requirement of the Water System. The existing rate structure collects revenue that equates to an average annual water bill of 5285.00 over the test year period of 2OL2-2O15. During a drought year, such as 2013, when irrigation water from the New York Canal is not available late in summer, water from the drinking water system must then be used for irrigation. The Company has been operating on a financial deficit since the Company's startup in 2003. Over the years of 2OL2-2OL5, general operation and maintenance expense exceeded customer revenue by approximately S10,000 annually. This equates to a revenue deficit of approximately S10,000 per year. This revenue shortfall does not include accounting for depreciation of facilities, return on rate base, taxes or management expenses. To account for the revenue shortfall, the owners of the Company have been subsidizing customer revenue with cash inputs into the Company on an annual basis. ln addition to annualoperation and maintenance expenses, the Company invested in two primary capital improvement projects: the first in 2009 and the second in 2013. The 2009 project was required to drill a new well supply to meet a new EPA primary drinking water regulation that was established in 2006 for uranium in drinking water. ln August of 2006, EPA established a maximum contaminant level (MCL) for uranium of 30 micrograms per liter (pg/L) in drinking water. The MCL is the maximum permissible level of a contaminant in water that is delivered to any user of a public water system. The existing Well No.1 exceeded this standard and IDEQ required the Company to either provide treatment or develop another water supply. After evaluation of the treatment and disposal options, it was determined that a new well could be drilled into a new aquifer that met all primary drinking water standards. The cost associated with drilling into a deeper aquifer was less than the cost associated with treatment and disposal of uranium. Most utilities in the Treasure Valley, including United Water ldaho, have chosen the same solution to comply with the new uranium water quality standard. ln addition to the 2009 well project, the Company installed a replacement well pump and motor in 2009 as the existing pump, failed. The effort included pulling and replacing the pump. Boise I Coeur d'Alene I Lewiston I McCall 208.780.3990 - offi ce@mountainwtr.com www.mountainvvtr.com o lfiountalnIIIATEBIrIOBTI o o 2. Operation and Maintenance/Revenue History - Worksheet A The Operation and Maintenance/Revenue-Worksheet A shows Company expenses and revenue collected from 2OL2-2015. The water system is operated by a contract operations company, Valley Hydro. Tom Mehiel is the owner of Valley Hydro and he is an ldaho licensed water operator. lnstead of using a single test year, it was determined that a four-year average would be used to normalize routine operation and maintenance costs that occur for a small water company over time. Expenses such as repairs and maintenance and professional fees associated with contract operation can vary depending on routine maintenance projects that are needed every few years and may cause high expense yearly totals as compared with other years. Fixed and variable expenses are also shown on this spreadsheet. Variable charges are those that vary with the use or production of water to customers. Variable charges are usually associated with power and chemicals. For this water system, power cost are classified as the only variable expense. Chemical costs are charged to the system through the contract operato/s monthly charges. The disinfection chemical used is hydrogen peroxide instead of chlorine. Hydrogen peroxide is used to offset taste and odor issues that arise with the use of chlorine. The chemical is effective in reducing the taste and odor issues. All peroxide chemical cost has been shown under the professional fees account and due to the regularity of use and cost have been shown as fixed expenses. The total average annual expenses 120L2-2O1-5l are shown as 517,010, with fixed charges of 512,804 and variable charges of 54,206. Detailed operation and maintenance expenses are included digitally and hard copies within the Application package. The IPUC, and IDEQ fees are included. 3. Capital lmprovement, Depreciation Schedule - Worksheet B The Capital lmprovement, Depreciation Schedule-Worksheet B includes the 2@9 and 2013 capital improvement project costs, annual depreciation and accumulated depreciation. The projects were not included as plant in service after construction, and are included in this Application as original capital cost, less accumulated depreciation. The original capita! cost of these projects totaled 5L27,441and the current 2016 net plant in service was estimated at 596,930. Therefore, the potential rate base was decreased by 530,511 due to depreciation from the time the projects were put into service until this Application ending in 2016. The Company is requesting the addition of initial capital cost of installation minus accumulated depreciation to be included as a rate base moving fonrard. Annual depreciation was calculated at approximately $+,599 based on standard NARUC depreciation rates. 4. 2009 Capital Cost - Worksheet 81 The 2009 Capital Cost-Worksheet 81 shows the actual cost associated with the 2009 well replacement project. The new well project including permitting and engineering totaled 5119,018. Project cost details are included in Worksheet 82. Boise I Coeur d'Alene I Lewiston I McCall 208.780.3990 - offi ce@mountainMr.com www.mountainwtr.com o 2 MountalnWATBBI'YONrS o o 5. 2Ot3 Capital Cost - Worksheet 83 The 2013 Capital Cost-Worksheet 83 shows the actual cost associated with the 2013 pump replacement project. The project cost includes management, contract operator and contractor costs totaling 58,423. Project cost details are included Worksheet 84. 6. Rate Application Filing Expense Schedule - Worksheet C The cost associated with filing the Application to the IPUC is estimated an Rate Application Filing Expense Schedule-Worksheet C. The costs include those associated with the initial2015 investigation,20LG actual costs and 2OL7 proiected costs. The costs are estimated at approximately |ZS,gqq. The Company is requesting to recover filing expenses over a 7-year period through rates. The annual expense is estimated at 53,706 and will be trued up after actual costs are known. 7. Revenue Requirement Model - Worksheet D The Company has calculated the revenue requirement of operating the utiiity in Worksheet D - Revenue Requirement Model. The Company is requesting to recover the full cost of Operation and Maintenance, Depreciation Expense, Return on Rate Base@l2% and the cost of filing the Application over a 7-year period. The Company is requesting a revenue requirement of approximately 536,997, which includes 532,79L in fixed expenses and 54,206 in variable charges. 8. ProposedTaritf lRate Calculation - Worksheet E The Company has developed a proposed tariff as shown in Worksheet E - Proposed Tariff and Rate Calculation. Water usage is estimated at approximately 2.3 million gallons annually. This equates to approximately 8,000 gallons per customer per month or 267 gallons per month per customer. To recover the fixed charges of 532,791annually a monthly base rate of 5113.85. To recover the variable charges of 54,206, a consumptive charge of 51.83 per 1,000 gallons was calculated. There is not a usage allowance included in the base rate, so consumptive charges will be applied to all usage. The Company is proposing an increasing rate block structure. Two blocks will be utilized as a conservation effort to minimize outside watering. Block 1 should recover all variable charges, Block 2 has a consumptive charge of 55.00 per 1,000 gallons. At a consumptive rate of 2.5 times the rate of Block 1, water customers will be pay a high rate for all water in excess of inside usage above the 267 gallons per day Block 1, 8,000 upper limit. The proposed rate structure will support conservation efforts and match the annual revenue requirement of the water utility by generating approximately S37,000 annually. 9. Taxes Corporate income taxes have been estimated based on federal (15%) and state (5.9%) income tax rates applied to net income estimates. Net operating income was estimated by taking the proposed revenue requirement collected through rates minus gross operating expenses which included a return on rate base, depreciation expense and recovery of IPUC filing expenses. 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