| Return Reference | Explanation |
|---|---|
| FORM 990, PAGE 6, PART VI, LINE 6 | ORGANIZATION IS OPERATED AS A COOPERATIVE WITH MEMBERS BEING CUSTOMERS WHO RECEIVE POWER AND HAVE PAID A MEMBERSHIP FEE. MEMBERS HAVE A RIGHT TO ELECT THE MEMBERS OF THE GOVERNING BOARD OF DIRECTORS AND TO RECEIVE A SHARE OF THE ORGANIZATION'S PROFITS OR NET ASSETS UPON DISSOLUTION. |
| FORM 990, PAGE 6, PART VI, LINE 7A | THE CORPORATION HOLDS AN ANNUAL MEETING DURING OCTOBER OF EACH YEAR. DIRECTORS OF THE CORPORATION ARE ELECTED BY DISTRICT AT THE ANNUAL MEETING. EACH TERM FOR THE DIRECTORS IS FOUR YEARS. THE CORPORATION HAS A NOMINATING COMMITTEE THAT NOMINATES CANDIATES FOR EACH EXPIRING TERM. |
| FORM 990, PAGE 6, PART VI, LINE 11B | A COPY OF THE COMPLETED RETURN IS PROVIDED TO THE GENERAL MANAGER BEFORE IT IS FILED. THE GENERAL MANAGER REVIEWS AND APPROVES AND SIGNS THE RETURN. |
| FORM 990, PAGE 6, PART VI, LINE 12C | THE EXECUTIVE COMMITTEE OF THE BOARD IS RESPONSIBLE FOR REVIEWING ALL POLICY INTERPRETATIONS OR VIOLATIONS. |
| FORM 990, PAGE 6, PART VI, LINE 19 | THE CORPORATIONS GOVERNING DOCUMENTS ARE AVAILABLE TO THE PUBLIC UPON REQUEST OR AVAILABLE FOR INSPECTION AT THE CORPORATION'S OFFICE. |
| FORM 990, PART IX, LINE 24E | CUSTOMER RECORDS & COLLEC 542,011 0 0 MAINT OVERHD LINES - TREE 499,773 0 0 MAINT OF O/HD CONTRACT - 407,888 0 0 OUTSIDE SERVICES EMPLOYED 274,985 0 0 UNDERGROUND LINE EXPENSE 221,992 0 0 MISC GENERAL EXP - DIRECT 189,580 0 0 STATION EXPENSE 178,591 0 0 MAINT OF STATION EQUIPMEN 155,083 0 0 MAINTENANCE OF GENERAL PL 149,537 0 0 CUSTOMER ASSISTANCE EXPEN 147,066 0 0 MISCELLANEOUS GENERAL EXP 143,793 0 0 METER EXPENSE 133,555 0 0 MAINT OF LINE TRANSFORMER 121,586 0 0 OFFICE SUPPLIES & EXPENSE 97,010 0 0 MISC GENERAL EXP - ANNUAL 86,634 0 0 FIBER LINE EXPENSES 71,792 0 0 MISC DISTRIBUTION EXP - M 66,628 0 0 ADM & GEN - FIBER 66,050 0 0 MAINT OVERHD LINES - STOR 64,725 0 0 OPERATION SUPERVISION & E 55,587 0 0 INJURIES AND DAMAGES 46,416 0 0 ADVERTISING EXPENSE - RUR 41,752 0 0 METER READING EXPENSE 41,715 0 0 UNCOLLECTIBLE ACCOUNTS 39,770 0 0 MAINT OF MISC DISTRIBUTIO 34,360 0 0 MAINT SUPERVISION & ENGIN 32,485 0 0 ADMIN. SUPPLIES & EXPENSE 32,407 0 0 S C A D A EXPENSE 29,325 0 0 MAINT - OEMC R/W EXPENSE 22,986 0 0 ADM & GEN - IMAGING 21,958 0 0 FUEL FOR GENERATOR 19,662 0 0 MISC CUSTOMER ACCOUNTS EX 18,891 0 0 MAINT OF UNDERGROUND LINE 18,177 0 0 SUPERVISION CUSTOMERS ACC 17,960 0 0 DONATIONS & EDUCATIONAL E 17,956 0 0 MISC CUSTOMER SERV & INF 16,933 0 0 ADVERTISING EXPENSE - OTH 14,270 0 0 MAINT OF LOAD MANAGEMENT 9,413 0 0 CUSTOMER INSTALLATIONS EX 9,238 0 0 MAINT OF S C A D A EQUIPM 8,575 0 0 LOAD DISPATCHING 5,797 0 0 MAINT OVERHD LINES - RECL 5,381 0 0 EMPLOYEE PENSIONS & BENEF 4,923 0 0 ADVERTISING EXPENSE - NEW 4,794 0 0 MISC OTHER POWER GENERATI 4,363 0 0 MISC DISTRIBUTION EXPENSE 1,648 0 0 LOAD MANAGEMENT & EXPENSE 1,426 0 0 MAINTENANCE OF METERS 1,300 0 0 OTH DED - ABANDONED W/O'S 655 0 0 EXP FOR CIV/POL/RELATED A 481 0 0 CUST RECORD & COLL - IMAG 338 0 0 D A R EXPENSE 294 0 0 CUST RECORD & COLL - CASH 195 0 0 MAINT - STORM DISASTER AS -2,051 0 0 SALARIES ON LINE 5 -312,768 0 0 TOTAL 3,884,891 0 0 |
| FORM 990, PART XI, LINE 9 | INCREASE IN OTHER EQUITIES 2,276 FASB 158 POST RETIREMENT 32,943 ROUNDING 1 INCREASE IN MEMBERSHIPS 90 PATRONAGE CAPITAL GAINS 0 PATRONAGE CAPITAL ASSIGNABLE 0 RETIREMENT OF CAPITAL CREDITS 0 FASB 158 POSTRETIREMENT 0 DECREASE IN MEMBERSHIPS 0 ROUNDING 0 DECREASE IN OTHER EQUITIES 0 TOTAL 35,310 |
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