HomeMy WebLinkAboutAgenda Packet 09/30/2008
Utility Advisory Committee
Special Meeting
Public Works Conference Room
Port Angeles, W A 98362
September 30, 2008
11 :00 A.M.
AGENDA
I. Call To Order
II. Roll Call
III. Approval Of Minutes For September 9,2008
IV. Late Items
V. Discussion Items
A. Solid Waste Utility Cost Of Service Study
B. Electric Utility Rates And Fees
VI. Next Meeting Date:
October 14, 2008 Special Meeting
(1 :00 p.m. to 5:00 p.m.)
VI. Adjournment
N :\uac\final\093008
Utility Advisory Committee
Public Works Conference Room
Port Angeles, W A 98362
September 9,2008
3:00 p.m.
b~~,.
1. Call To Order
Chairman Reed called the meeting to order at 3:00 p.m.
II. Roll Call
Members Present:
Chairman Reed, Betsy Wharton, Dan Di Guilio, Karen Rogers,
Orville Campbell
Members Absent:
None
Staff Present:
Glenn Cutler, Yvonne Ziomkowski, Mike Puntenney, Steve Sperr,
Larry Dunbar, Phil Lusk, Cate Rinehart
Others Present:
Shirley Nixon - Citizen
Robert Elofson - Lower Elwha Klallam Tribe
III. Approval of Minutes:
Chairman Reed asked if there were any corrections to the minutes August 12,2008.
Councilmember Wharton moved to approve the minutes. Councilmember Rogers seconded the
motion, which carried unanimously.
IV.
Late Items
Watermain Break September 8, 2008
Landfill Post Closure Order Consultant Agreement
Future Meeting Needs
Meeting Location
UAC Membership
V. Discussion Items:
A. Watermain Break September 8,2008
Mike Puntenney, Deputy Director of Operations, gave a brief picture presentation of the 12 inch
watermain break in the 900 block ofE Front by Walgreens Drug Store. Early cost estimate is
$125,000. There was a brief discussion.
Information only. No action taken.
UTILITY ADVISORY COMMITTEE
September 9, 2008
B. Landfill Post-Closure Consultant Agreement
Steve Sperr, City Engineer, advised that an agreement for professional services was being
negotiated which includes scope of work and fee structure. Tasks include producing biannual
and annual reports. A discussion followed.
Information only. No action taken.
C. Water And Wastewater Utility Rates And Fees
Larry Dunbar, Deputy Director of Power Systems, distributed a handout and gave a presentation
based upon it. Public hearing comments were addressed as well as clarification of proposed
rates. Shirley Nixon, citizen, passed out a letter of comments on the proposed adjustments.
Committee members didn't have time to read the suggestions and were advised to put it aside
since public hearing comments were still open. There was a brief discussion.
Councilmember Rogers moved to recommend City Council proceed with the proposed rate
and fee adjustments for the Water and Wastewater Utilities. Orville Campbell seconded
the motion, which carried unanimously.
D. Conservation Marketing Update
Phil Lusk, Power Resources Manager, noted that the City was renewing its marketing efforts to
target single-family homeowners, low-income customers, manufactured homeowners, small
commercial customers, larger commercial customers, and primary and industrial transmission
customers. A discussion followed.
Information only. No action taken.
E. Utility Discounts And Conservation Programs
Phil Lusk, Power Resources Manager, passed out a copy of the municipal code regarding utility
discounts for low-income senior citizens and low-income disabled citizens noting that customers
can maintain the utility discount if they participate in City conservation programs. Staff will
target owner occupied single-family homes with an estimate of impacting 100 customers. It was
noted that customers applying for the discount in 2009 would need to agree to participate in
conservation programs that are available at no charge. There was a brief discussion.
Information only. No action taken.
F. Future Meeting Needs
Larry Dunbar, Deputy Director of Power Systems, requested a special meeting September 30th
UTILITY ADVISORY COMMITTEE
September 9,2008
from 11 a.m. to 1 p.m. for a presentation of the Solid Waste Cost of Service Study. A time
change for the regular October 14th was made for 1 p.m. due to the possible length of discussions.
G. Meeting Location
Councilmember Wharton mentioned that she had been asked ifthe UAC couldn't meet in a more
public place like the Vern Burton meeting rooms noting some citizens were uncomfortable in the
current atmosphere. Glenn Cutler, Director of Public Works and Utilities explained that the
current room provided special equipment for presentations that other rooms didn't have. A
discussion followed. Staff was directed to use signage as a solution for public direction.
H. UAC Membership
Councilmember Wharton questioned the size of the committee with respect to adding another
citizen at large. Glenn Cutler, Director of Public Works and Utilities gave a brief history of the
purpose of the committee explaining the advantages and disadvantages of increased membership.
VI. Next Meeting Date:
Special Meeting September 30, 2008 (11 a.m. to 1 p.m.)
<?ctober 14,2008 (1 :00 p.m. to 5 p.m.)
VII. Adjournment:
The meeting was adjourned at 4:23 p.m.
Chairman Reed
Cate Rinehart, Admin Spec II
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Utility Advisory Committee Memo
September 30, 2008
Utility Advisory Committee
Larry Dunbar, Deputy Director of Power Systems
Solid Waste Utility Cost of Service Study
Summary: FCS Group recently completed comprehensive rate studies for the Solid Waste
Collection and Transfer Station utilities. The studies will be presented to the Utility Advisory
Committee including the recommended retail rate adjustments. It will be necessary to adjust retail
rates at this time to maintain the funds in a financially prudent position.
Recommendation: Forward a favorable recommendation to City Council to proceed with a
public hearing on the cost of service studies for the Solid Waste Collection and Transfer
Station Utilities.
Background/Analysis: Earlier this year, the City contracted with FCS Group to complete
comprehensive rate studies for the Water, Wastewater, Solid Waste Collections, and Solid Waste
Transfer Station utilities. The studies for Water and Wastewater utilities have been presented and
rate and fee adjustments have been considered and approved. The studies for the Solid Waste
Collections and Transfer Station utilities have recently been completed.
Following a web-based presentation by FCS Group, staff will seek the recommendation of the
Utility Advisory Committee to City Council to proceed with a public hearing on the
comprehensive rate studies for the Solid Waste Collection and Transfer Station utilities. The
proposed City Council public hearing is October 7, 2008 for a presentation of the comprehensive
rate studies and to allow public input to the process after the presentation. The public hearing
would be continued to October 21, 2008 at which time the public hearing will be closed. Staff will
return to the Utility Advisory Committee on October 14, 2008 requesting a recommendation to
City Council to adopt rate ordinance amendments. The proposed rate adjustments would be
effective January 1, 2009.
N:\UAC\Final\Solid Waste Cost Of Service Study.doc
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Discussion Outline
II Overview of Rate Study Process
. Transfer Station Operations
II Closure and Post-Closure Reserves
1\1 Collection Operations
III Next Steps
PaGe 2
1
TRA~SFER ST A nON
Overview of Study Process
COLLECTIO'\i
I ,--VSTfn.![R II L'OULCTION II DiSPOSAL
I REnTU~G I 1 YARD \\' ASIT I
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COSTOFSERVICESTUDY
2
Transfer Station Background
.. Began operations in 2007
II New City enterprise based on 2004 cost of service study
. No future capital facility plan projects anticipated
. Reserves allocated for operations through 2010
Iii Scale house operated by City
III 20-vear service agreement with vVaste Connections
" -
./ Transfer station & moderate risk waste facility (design /buildl
operate) - city owned
./ Transfer station operation, solid waste transport & disposal,
composting & recycling drop-off facility, Blue Mountain drop-
box facility operation
P3,€ 5
Revenue Requirement: Key Factors
G Study period: 2008 - 2014
Ell Rate revenue calculated using Citv annualized tonna!Ze
~ ~ ~
data
./ Tonnage growth I % annually based on historical data
Iii Used 2008 and 2009 budget as base for expenses
1m Future year expenses calculated by applying all..nual
escalation factors: general inflation 3.15%, Labor 5%
9 Contractual services based on contract rate forecast,
which is tied to fuel and consumer price indices
FJ Existing annual debt service- MR \VF $32K, Transfer
Station $722K
I.'il Target reserve level of$1.05M
--
P3ge 6
3
Transfer Station Revenue Requirement Findings
10.5% avg. rate increase in 2009,10.5% in 2010, followed by 7.75% in 2011
Use ofreserves (S1.25M from 2009-2011) to minimize rate impact
Full cost of service slowly being phased in
Revenue Requirements
Revenues
Rate Revenues Under EXIsting Rates 4.665.414 4.712.068 4,759,189 4.806.781
Non-Rate Revenues 407.510 485.031 470.913 461.264
Total Revenues 5.072.924 5.197,100 5,230,102 5,268,045
Expenses
We! Contract 3.530.819 4.013.085 4.273,183 4.568.116
Non..contract Expenses 1,376.780 1,466.915 1.504.965 1.544.630
Existing Debt Service 753.345 753.345 753.345 753,345
New Debt Service
Rate Funded System Reinvestment
Total Expenses 5,660,944 6,233,345 6,531.493 6,866,090
Net Surplus (Deficiency) (588,020) (1,036,245) (1,301,390) (1.598,045)
% of Rate Revenue 12.60% 23.37% 30.26% 37.43%
A verage Annual Rate Adjustment 0.0% 10.5% 10.5% 7.75%
Rate Revenues After Rate Increase S 4.665.414 $ 5,206.836 $ 5.816.556 6.341,406
Additional Taxes from Rate Increase $ $ 64.815 $ 138.515 201,036
1588.0201 /606.292) 382,538\ 264.456
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Transfer Station Fund Balance
Funds
2008
2009
2010
2011
TRANSFER STATION 405.10
Beginning Balance $ 3.012,001 $ 2,423,981 $ 1.817,689 $ 1.360.358
plus: Net Cash Flow after Rate Increase (588.020) (606,292) (382.538) (264.456)
less: Transfer to Post-Closure Fund to Maintain Min_ Bal. (74792)
Endin9 Balance $ 2.423.981 $ 1,817.689 1.360.358 1.095.902
Minimum Target Balance 1,050.000 1.050,000 1,050,000 1,050,000
Maximum Funds to be Kept as Operating Reserves 1,210,093 1,351.233 1,424,749 1,507,252
Info: No of Days of Cash Operating Expenses 180 121 86 65
Met Met Met Met
. Fund balance used in 2010 to cover post-closure reserve minimum balance
requirements
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Transfer Station Cost Allocation
YARD W ASTEI
COMPOST, 2.8%
BLUE MOUNTAIN,
4.5%
SERVICE
AGREEMENT, 64.8%
Page 11
Transfer Station Customer Allocation Factors
Self-Haulers
Collection Entities
Receiving & Facilities Costs
% of Total Tickets
87%
13%
Municipal Solid Waste
Tires
Asbestos
Contaminated Soils
Tax Free MSW
Service Agreement Costs
Rates x Tons
28,4%
0.7%
0.1%
0.3%
70.6%
Disposal Tonnage Costs
Tons
28.5%
0.3%
0.0%
0.2%
70.9%
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Page 12
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Transfer Station
Present and Proposed Rates per Ton
Current 2009 Total 2009
Class Rate COS Prooosed
Self Haul:
Municipal Solid Waste $ 104.30 $ 141.32 $ 114.90
Asbestos 253.40 329.13 329.15
Contaminated Soils 104.30 172.93 172.95
Yard Waste 43.00 79.79 43.00
Metals and White Goods Recycling 51.25 70.66 57.45
Tax Exempt Transfer Station Collection Entity:
Municipal Solid Waste 82.90 98.78 91.35
Yard Waste 25.75 40.18 25.75
WWTP Biosoiids 21.35 40.18 45.00
Blue Mountain 197.80 204.65 204.65
Compost >3 yards 17.00 nla 17.00
Compost <3 yards 20.00 nla 20.00
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Transfer Station Findings/Conclusions
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1:1 Revenue is extremely sensitive to recent economic downturn
1'1 Cost forecast will improve as better data and history available
II Use of reserves to minimize rate impact - $1.25M through 2011
II Level of rate increases proposed - 10.5% average increase in
2009
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Post-Closure Reserve
II Closure and Post-Closure funds to be combined
. Reserve established to meet post-closure costs
.. Must maintain minimum balance assumed in final post-closure
plan
II Interest accumulates in this reserve
Ell Annual budgeted expenses deducted
II Deficiency in post-closure reserve covered by transfer station
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OFSERVICE STUDY
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Collection Operations: Background Info
II City collects municipal solid waste
./ July '06 new every-other-week service began
II Waste Connections provides collection of recyclables and
yard waste
./ City charged by residential account receiving service
./ City charged for commercial cardboard recycling
El Completed first disposal weight survey in 2008
./ Ongoing plan to complete 2 surveys per year
./ Results will refine cost allocation process
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Page 17
Collection Revenue Requirement: Key Factors
liD Study period: 2008 - 2014
111 Rate revenue calculated using City-provided tonnage and
customer forecast
v" Growth rate: Residential O.7%/year, Commerciall.3%/year
G Used 2008 and 2009 budget as base for expenses
. m Future year expenses calculated by applying annual
escalation factors: general inflation 3.15%; Labor 5%;
Medical 10%
111 Transfer Station Charges (disposal)- includes proposed
rate increases
D 90 day working capital reserve target
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Collection Revenue Requirement Findings
1.23% increase in 2009 (COS shifts), with additiona13.5% increases in 2010
and 2011
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2011
Revenues
Rate Revenues Under Existing Rates $ 3,154,000 3.181,561 $ 3.209,389 $ 3,237.487
Non-Rate Revenues 126,000 121.000 130,297 122.52~
Total Revenues 3,280,000 3,302,561 $ 3,339,686 $ 3,360,008
Expenses
Contractual Services 544.492 559. ~ 89 576,801 594,967
MSW/YW Disposal Expenses 917,200 956,473 1,070,543 1,167,014
All Other Expenses 1,773,-+32 1,829,830 1,875,098 1,924,669
Existing Debt Ser~ce
New Debt SerAce
Total Expenses 3.235,124 3,345,492 $ 3,522,442 3,686,650
Net Surplus (Deficiency) 44,876 (42,931) $ (182,756) (326,642)
% of Rate Revenue 0.00% 1.53% 6.41% 11.36%
Annual Rate Adjustment 0,00% 1.23% 3.50% 3.50%
Rate Revenues After Rate Increase $ 3.154,000 $ 3,220,634 $ 3,362."41 $ 3,510,316
Additional Taxes from Rate Increase $ $ 5,900 $ 23,111 $ 41,1971
Net Cash Flow After Rate increase 159,876 9.758 152,815; 95,010
)- r~ ( .:~ Page 19
Cost Allocation
DA.SCHOOL
RECYCLING
0.04%
COMTvERCL"L CB
RECYCLING
1.71%
P3qe 20
10
Residential Weekly
Residential EOW
Commercial 90
Commercial 300
Commercial Recvclina Onlv - Schools
Residential Weekly
Residential EOW
Commercial 90
Commercial 300
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Allocation Factors
Customer Costs
% of Total Accounts
48.2%
40.9%
6.3%
4.6%
0.1%
Disposal and Collection COStS
% of Total Tons
39.7%
18.8%
10.9%
30.7%
P2ge 21
Summary of Unit Costs, Present and Proposed
Rates
Class
Residential
Weekl
$26.80
$27.80
$1.00
Residential
EOW
$19.45
$19.45
$0.00
Residential' Commercial
Yardwaste 90
$7.40 $21.75
$7.40 $22.40
$0.00 $0.65
Commercial
300
$75.15
$75.15
$0.00
Scnool
Rec elin
$11.05
$13.05
$2.00
'.111;( Current Rate
~~. 2009 Pro osed Rate
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aResidential recycling charged in monthly rate (all residential customers pay regardless if they use the
recycling option or not)
_Commercial cardboard charged in monthly rate (all commercial customers pay regardless if they subscribe
to this service or not)
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PaGe 22
11
Collection Operations Findings/Conclusions
II Use of reserves to minimize rate impact - $158K through 2011
II Level of rate increases proposed - COS changes in 2009 totaling
1.2% increase, 3.5% in 2010 and 2011
II Continue current depreciation funding policy for future
equipment/vehicle needs
III Overall good news
./ cas analysis issues have time to correct
./ Adequate reserves
./ Will continue waste audits and refIne cost-of-service data
Page 23
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Next Steps
D Incorporate feedback and comment from Senior
Management
'-'
IJ Meeting / Presentation
./ September 30 Utility Advisory Committee
./ Joint Solid Waste Advisory Committee (TBD)
./ October 7 Council Presentation
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Page 24
12
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Utility Advisory Committee Memo
September 30, 2008
Utility Advisory Committee
Larry Dunbar, Deputy Director of Power Systems
Electric Utility Rates and Fees
Summary: HDR Engineering, Inc. completed a comprehensive rate study in 2005 for the Electric
Utility. The study was updated by staff and was presented on August 12,2008 to the Utility
Advisory Committee including the recommended retail rate and fee adjustments. It will be
necessary to adjust retail rates and fees at this time to maintain the fund in a financially prudent
position.
Recommendation: Forward a favorable recommendation to City Council to proceed with
the proposed rate and fee adjustments for the Electric Utility.
Background/Analysis: In 2005, the City contracted with HDR Engineering, Inc. to complete
a comprehensive rate study for the Electric Utility. The electric utility is scheduled for its next
comprehensive rate study in 2009.
On August 12,2008, staff presented this year's rate study update including recommendations to
increase retail rates by 2.1 %, a 25.0% increase to electrical permit fees, and housekeeping
ordinance amendments. The main reasons for retail rate and fee adjustments include: continuing to--'
rebuild operating and rate mitigation reserves, continuing to contribute to the light operations
facility reserve, inflation, primary sales & bad debt, capital facilities plan, additional light
operations crew, and phasing in electrical permit fees to recover costs over the next three years.
On August 12,2008, the Utility Advisory Committee recommended that City Council schedule a
public hearing on October 7,2008 and directed staff to return to the Utility Advisory Committee
after the Bonneville Power Administration (BP A) announces its decision about wholesale
generation rates for the period of October 1,2008 through September 30,2009. Staff may need to
revise its recommendation based on BPA's decision on wholesale generation rates, which is
anticipated to be received prior to the September 30, 2008 Utility Advisory Committee.
Staff recommends that the Utility Advisory Committee forwards a favorable recommendation to
City Council to continue the public hearing to October 21, 2008, close the public hearing, then
adopt rate and fee ordinance amendments. The proposed rate and fee adjustments would be
effective January 1,2009.
N:\UAC\Final\Electric Utility Rates & Fees.doc
City of Port Angeles
Electric Rate Study Update
Utility Advisory Committee
September 30, 2008
Presentation Agenda
· August 12th presentation review
· ChanQes from AUQust 12th
- Review slides 6, 8 & 11
· Revised recommendations
- Slide 13
1
~
Looking Back
· 2005 Cost of service study
· Prior rate adjustments:
- 2002 - 0%
- 2003 - 5.7%
- 2004 - 0%
- 2005 - 6.5%
- 2006 - 0%
- 2007 - 5.9%
2
Rate Adjustment Needs
· Operating reserves
· Rate mitigation reserves
· Light operations facility reserve
· Inflation
· Primary sales & bad debt
· Capital facilities plan
3
2
Rate Adjustment Needs
Vital need to expand Pole Replacement Program
- seriously deteriorated infrastructure
· 1500 - 2000 poles beyond their design life
· Uneconomical to contract (3 times the cost)
Requesting new 3 person Light Operations crew
(will perform pole replacement & inspection,
and utility tree trimming)
· $302,800 personnel expense
· $ 11,700 supplies & services expenses
· -$125,000 expense reductions for contracts
· $189,500 net annual cost
4
Electrical Permits
· $105,500 annual expense
· $64,000 annual revenue
· City versus State fee schedule
· Simplification where possible
· Electrical contractor meeting
· Cost recovery within 3-years
5
3
Residential Exchange Program
· Initial compensation received
· True-up compensation - finalized
· New "Iookback" compensation
· Investor owned utility settlement?
6
Rate Study Update
· 2009 Revenues
- Rate revenues based on 2008 revised
budget & normal weather
- Distribution weather adjustment -1.7%
- Growth residential 0.9%, commercial
0.9%, industrial (0%)
7
4
Rate Study Update
· 2009 Operation & Maintenance
- Utilized 2008 revised budget
- Escalation factors range from 3% to 30%
- $200K rate mitigation reserve
- $114K light operations reserve
- $275K capital improvement plan
· SPA FY 2009 Wholesale Generation Rates
-1 % distribution system cost reduction
-1.7% industrial transmission cost reduction
-1.4% overall cost reduction
8
Rate Study Update
· 2009 Debt Service
- Existing bonds
-WUGA Debt Service
· 2009 Taxes & Transfers
- State & City Utility Taxes
- Departmental Transfers
· CFP
· Rate Mitigation
· New Light Operations Center
· Conservation
· Return on Investment
· NICE
· Economic Development
9
5
CFP Projects ($OOO's)
Capital Facilities Plan 2008 2009
Charges & Services 5 -
Downtown Upgrades 60 -
Upgrade College Substation 110 -
Remote Monitoring 70 -
Replace Cable @ Canyon Edge 50 -
Downtown pedestrian lights 162 -
Laurel Substation Structure 105
Replace Cable @ Crabapple Road 50
Replace Cable in Plaza Mall - 90
Rayonier Transmission Line Renovation - 30
Total 457 275
Capital Facilities Plan Funding Sources
CFP Cash
Cash/Rate Financed Contribution
Total
2008
232
225
457
2009
(0)
275
275
Revenue Requirement ($OOO's)
Without Rate Adjustments
Cf)
W
:J
Z
W
>
W
0::
Description 2008 2009
Distribution System Sales 17,568 17,423
Industrial Transmission Sales 13,379 13,176
Permit & Construction Related 383 506
Miscellaneous 3,483 262
Contribution from Light Operations Sale 777 -
Pole Rental 59 59
Total Revenues 35,649 31,426
Operation & Maintenance 5,135 5,398
Purchased Generation & Transmission 23,498 19,948
Taxes 3,016 2,985
Transfer Payments 1,570 1,131
Debt Service 448 451
Materials - Job Cost 350 520
Total Expenses 34,018 30,433
Revenues Less Expenses '. .... ".941 ','993
Cf)
w
Cf)
z
w
n.
x
w
10
11
6
Ending Fund Balances ($OOO's)
Without Rate Adjustments
Type of Reserve 2008 2009 Target
Operating 3,389 4,382 3,000
Rate Stabilization 900 1,100 1,500
CFP - - -
Light Operations Center 403 517 2,000
Total Reserves 4,692 5,482 6,500
12
Recommendations
· Current rates are sufficient through 2009
· Continue to rebuild reserves
· Proposed Ordinance Amendments
- 25% electrical work permit fee increase
- Housekeeping amendments
./ Billing demand changes {power factor eliminated)
./ Responsibility beyond point of delivery
./ Industrial Transmission housekeeping
· Proceed with fee increase & housekeepinQ
amendments (no rate adiustment)
13
7