FORM U-13-60

 

 

 

 

 

SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549

 

FORM U-13-60

ANNUAL REPORT

 

For the Year Ended December 31, 2001

 

UNITIL RESOURCES, INC.

6 Liberty Lane West, Hampton, New Hampshire 03842-1720

 

 

Date of Incorporation:

May 26, 1993

State of Incorporation:

New Hampshire

 

Name, Title and address of officer to whom correspondence concerning this report should be addressed:

Mark H. Collin, Treasurer

6 Liberty Lane West

Hampton, New Hampshire 03842-1720

Name of Principal Holding Company:

UNITIL Corporation

 

(1)  This report is being filed pursuant to the requirements of H.C.A.R. Number 35-25816, which specifies that UNITIL Resources, Inc. must file an annual report using, where applicable, Form U-13-60 reporting format.

 

 

 

 

                              LISTING OF SCHEDULES AND ANALYSIS OF ACCOUNTS

 

Description of Schedules and Accounts                          

    Schedule or      Account Number

 

COMPARATIVE BALANCE SHEET

Schedule I

COMPANY PROPERTY

Schedule II

ACCUMULATED PROVISION FOR DEPRECIATION AND AMORTIZATION OF COMPANY PROPERTY

Schedule III

INVESTMENTS

Schedule IV

ACCOUNTS RECEIVABLE FROM ASSOCIATE COMPANIES

Schedule V

FUEL STOCK EXPENSES UNDISTRIBUTED

Schedule VI

STORES EXPENSE UNDISTRIBUTED

Schedule VII

UNBILLED AND ACCRUED REVENUES

Schedule VIII

MISCELLANEOUS DEFERRED DEBITS

Schedule IX

RESEARCH, DEVELOPMENT, OR DEMONSTRATION EXPENDITURES

Schedule X

PROPRIETARY CAPITAL

Schedule XI

LONG-TERM DEBT

Schedule XII

CURRENT AND ACCRUED LIABILITIES

Schedule XIII

NOTES TO FINANCIAL STATEMENTS

Schedule XIV

COMPARATIVE INCOME STATEMENT

Schedule XV

ANALYSIS OF BILLING - ASSOCIATE COMPANIES

Account 451

ANALYSIS OF BILLING - NONASSOCIATE COMPANIES

Account 451

ANALYSIS OF CHARGES FOR SERVICE - ASSOCIATE AND NONASSOCIATE COMPANIES

Schedule XVI

SCHEDULE OF EXPENSE BY DEPARTMENT OR FUNCTION

Schedule XVII

DEPARTMENTAL ANALYSIS OF SALARIES

Account 920

OUTSIDE SERVICES EMPLOYED

Account 923

EMPLOYEE PENSIONS AND BENEFITS

Account 926

GENERAL ADVERTISING EXPENSES

Account 930.1

MISCELLANEOUS GENERAL EXPENSES

Account 930.2

RENTS

Account 931

TAXES OTHER THAN INCOME TAXES

Account 408

DONATIONS

Account 426.1

OTHER DEDUCTIONS

Account 426.5

NOTES TO STATEMENT OF INCOME

Schedule XVIII

 

 

 

 

LISTING OF INSTRUCTIONAL FILING REQUIREMENTS

Description of Reports or Statements

   

ORGANIZATION CHART

 
   

METHODS OF ALLOCATION

 
   

ANNUAL STATEMENT OF COMPENSATION FOR USE OF CAPITAL BILLED

   
   
   

 

 

 

 

SCHEDULE I - COMPARATIVE BALANCE SHEET

 

 

ACCOUNT

ASSETS AND OTHER DEBITS

AS OF DECEMBER 31

  

   

CURRENT

PRIOR

COMPANY PROPERTY

101

  Company property (Schedule II)

871,475

1,083,809

107

  Construction work in progress (Schedule II)

895

2,666,185

      Total Property

872,370

3,749,994

108

  Less accumulated provision for depreciation and

    Amortization of company property (Schedule III)

434,061

329,514

      Net Company Property

438,309

3,420,480

INVESTMENTS

123

  Investments in associate companies (Schedule IV)

0

0

124

  Other investments    (Schedule IV)

0

0

      Total investments

0

0

CURRENT AND ACCRUED ASSETS

131

  Cash

324,231

75,903

134

  Special deposits

0

0

135

  Working funds

0

0

136

  Temporary cash investments (Schedule IV)

0

0

141

  Notes receivable

0

0

143

  Accounts receivable

227,390

88,405

144

  Accumulated provision for uncollectable

    accounts

0

0

146

  Accounts receivable from associate companies (Schedule V)

87,990

3,295

152

  Fuel stock expense undistributed (Schedule VI)

0

0

154

  Materials and supplies

0

0

163

  Stores expense undistributed (Schedule VII)

0

0

165

  Prepayments

55,897

9,637

173

  Unbilled and Accrued Revenues   (Schedule VIII)

0

0

      Total Current and Accrued Assets

695,508

177,240

DEFERRED DEBITS

181

  Unamortized debt expense

0

0

184

  Clearing accounts

0

0

186

  Miscellaneous deferred debits (Schedule IX)

34,990

171,481

188

  Research, development, or demonstration expenditures (Schedule X)

0

0

190

  Accumulated deferred income tax

0

0

      Total Deferred Debits

34,990

171,481

TOTAL ASSETS AND OTHER DEBITS

1,168,807

3,769,201

 

 

 

 

SCHEDULE I - COMPARATIVE BALANCE SHEET

 

 

 

 

ACCOUNT

LIABILITIES AND PROPRIETARY CAPITAL

AS OF DECEMBER 31

  

  

CURRENT

PRIOR

PROPRIETARY CAPITAL

201

  Common stock issued (Schedule XI)

100

100

207

  Premium on common stock (Schedule XI)

9,900

9,900

211

  Miscellaneous Paid in Capital

4,290,000

4,290,000

215

  Appropriated retained earnings (Schedule XI)

0

0

216

  Unappropriated retained earnings (Schedule XI)

(3,421,339)

(2,419,550)

      Total Proprietary Capital

878,661

1,880,450

LONG-TERM DEBT

223

  Advances from associate companies (Schedule XII)

0

0

224

  Other long-term debt (Schedule XII)

0

0

225

  Unamortized premium on long- term debt

0

0

226

  Unamortized discount on long-term debt-debit

0

0

      Total Long-Term Debt

0

0

227

  Obligations under capital leases - non-current

0

0

CURRENT AND ACCRUED LIABILITIES

231

  Notes payable

0

0

232

  Accounts payable

47,960

330,565

233

  Notes payable to associate companies (Schedule XIII)

0

1,380,585

234

  Accounts payable to associate companies (Schedule XIII)

80,975

110,394

236

  Taxes accrued

334,173

109,556

237

  interest accrued

0

0

238

  Dividends declared

0

0

241

  Tax collections payable

0

0

242

  Misc. current and accrued Liabilities (Schedule XIII)

0

19,403

243

  Obligations under capital leases - current

0

0

      Total Current and Accrued Liabilities

463,108

1,950,503

DEFERRED CREDITS

253

  Other deferred credits

0

0

255

  Accumulated deferred investment tax credits

0

0

      Total Deferred Credits

0

0

282

ACCUMULATED DEFERRED INCOME TAXES

(172,962)

(61,752)

TOTAL LIABILITIES AND PROPRIETARY CAPITAL

1,168,807

3,769,201

 

 

 

 

 

SCHEDULE II - COMPANY PROPERTY

 

 

 

DESCRIPTION

BALANCE AT BEGINNING OF YEAR

ADDITIONS

RETIREMENTS OR SALES

OTHER CHANGES 1/

BALANCE AT CLOSE OF YEAR

ACCOUNT

COMPANY PROPERTY

301

ORGANIZATION

303

MISCELLANEOUS

INTANGIBLE PLANT

304

LAND AND LAND RIGHTS

305

STRUCTURES AND

IMPROVEMENTS

306

LEASEHOLD

IMPROVEMENTS

307

EQUIPMENT 2/

308

OFFICE FURNITURE

213,648

0

213,648

0

AND EQUIPMENT

309

AUTOMOBILES, OTHER

  VEHICLES AND

  RELATED GARAGE

  EQUIPMENT

310

AIRCRAFT AND

AIRPORT EQUIPMENT

311

OTHER

COMPANY PROPERTY 3/

870,161

1,314

871,475

SUB-TOTAL

1,083,809

1,314

213,648

0

871,475

107

CONSTRUCTION WORK

IN PROGRESS

2,666,185

535,290

3,200,580

895

TOTAL

3,749,994

536,604

213,648

3,200,580

872,370

1)   PROVIDE AN EXPLANATION OF THOSE CHANGES CONSIDERED MATERIAL:   

                    Software development project transferred to Unitil Service Corp.

 

 

 

 

 

 

SCHEDULE II - CONTINUED

 

2)   SUBACCOUNTS ARE REQUIRED FOR EACH CLASS OF EQUIPMENT OWNED. THE COMPANY SHALL PROVIDE A LISTING BY SUBACCOUNT OF EQUIPMENT ADDITIONS DURING THE YEAR AND THE BALANCE AT THE CLOSE OF THE YEAR:

SUBACCOUNT DESCRIPTION

ADDITIONS

BALANCE AT CLOSE OF YEAR

NONE

TOTAL

0

0

3)   DESCRIBE OTHER COMPANY PROPERTY:

    Software Licenses

1,314

858,579

    Trademark

0

12,896

TOTAL

1,314

871,475

4)   DESCRIBE CONSTRUCTION WORK IN PROGRESS:     Software Development

 

 

 

 

 

SCHEDULE III - ACCUMULATED PROVISION FOR DEPRECIATION AND AMORTIZATION OF COMPANY PROPERTY

 

 

ACCOUNT

DESCRIPTION

BALANCE AT BEGINNING OF YEAR

ADDITIONS CHARGED TO ACCOUNT 403

RETIRE -MENTS

OTHER CHANGES ADD
(DEDUCT)1/

BALANCE AT CLOSE OF YEAR

301

ORGANIZATION

303

MISCELLANEOUS INTANGIBLE PLANT

304

LAND AND LAND RIGHTS

305

STRUCTURES AND IMPROVEMENTS

306

LEASEHOLD IMPROVEMENTS

307

EQUIPMENT 2/

308

OFFICE FURNITURE AND EQUIPMENT

77,536

18,260

95,796

0

309

AUTOMOBILES, OTHER

  VEHICLES AND

  RELATED GARAGE

  EQUIPMENT

310

AIRCRAFT AND

AIRPORT EQUIPMENT

311

OTHER

COMPANY PROPERTY 3/

251,978

182,083

434,061

TOTAL

329,514

200,343

95,796

0

434,061

1) PROVIDE AN EXPLANATION OF THOSE CHANGES CONSIDERED MATERIAL:

 

 

 

SCHEDULE IV - INVESTMENTS

INSTRUCTIONS:

Complete the following schedule concerning investments. Under Account 124 "Other Investments" state each investment separately, with description, including, the name of issuing company, number of shares or principal amount. Under Account 136, "Temporary Cash Investments", list each investment separately.

ACCOUNT

DESCRIPTION

 

BALANCE AT BEGINNING OF YEAR

BALANCE AT CLOSE OF YEAR

123

INVESTMENT IN ASSOCIATE COMPANIES

0

0

124

OTHER INVESTMENTS

0

0

136

TEMPORARY CASH INVESTMENTS

0

0

TOTAL

0

0

 

 

 

SCHEDULE V - ACCOUNTS RECEIVABLE FROM ASSOCIATE COMPANIES

INSTRUCTIONS:

Complete the following schedule listing accounts receivable from each associate company. Where the company has provided accommodation or convenience payments for associate companies, a separate listing of total payments for each company, number of shares or principal amount associate company by subaccount should be provided.

ACCOUNT

DESCRIPTION

BALANCE AT BEGINNING OF YEAR

BALANCE AT CLOSE OF YEAR

146

ACCOUNTS RECEIVABLE FROM ASSOCIATE COMPANIES:

    UNITIL Service Corp.

3,295

87,990

TOTAL

3,295

87,990

ANALYSIS OF CONVENIENCE OR ACCOMMODATION PAYMENTS:    NONE

 

 

 

SCHEDULE VI - FUEL STOCK EXPENSES UNDISTRIBUTED

INSTRUCTIONS:

Report the amount of labor and expenses incurred with respect to fuel stock expense during the year and indicate amount attributable to each associate company. Under the section headed "Summary" listed below give an overall report of the fuel functions performed by the company.

ACCOUNT

DESCRIPTION

 

LABOR

EXPENSE

TOTAL

152

FUEL STOCK EXPENSE UNDISTRIBUTED

0

0

0

TOTAL

0

0

0

SUMMARY:    NOT APPLICABLE

 

 

 

SCHEDULE VII - STORES EXPENSE UNDISTRIBUTED

INSTRUCTIONS:

Report the amount of labor and expenses incurred with respect to stores expense during the year and indicate amount attributable to each associate company.

ACCOUNT

DESCRIPTION

 

LABOR

EXPENSE

TOTAL

163

STORES EXPENSE UNDISTRIBUTED

0

0

0

TOTAL

0

0

0

 

 

 

 

SCHEDULE VIII - UNBILLED AND ACCRUED REVENUE

INSTRUCTIONS:

Provide detail of items in this account. Items less than $10,000 may be grouped, showing the number of items in each group.

ACCOUNT

DESCRIPTION

 

BALANCE AT BEGINNING OF YEAR

BALANCE AT CLOSE OF YEAR

173

ACCRUED AND UNBILLED REVENUE

0

0

TOTAL

0

0

 

 

 

 

SCHEDULE IX - MISCELLANEOUS DEFERRED DEBITS

INSTRUCTIONS:

Provide detail of items in this account. Items less than $10,000 may be grouped by class showing the number of items in each class.

ACCOUNT

DESCRIPTION

 

BALANCE AT BEGINNING OF YEAR

BALANCE AT CLOSE OF YEAR

186

MISCELLANEOUS DEFERRED DEBITS

    Financing

106,273

0

    Licensing

65,208

36,425

    Other

0

(1,435)

TOTAL

171,481

34,990

 

 

 

 

SCHEDULE X - RESEARCH, DEVELOPMENT OR DEMONSTRATION EXPENDITURES

INSTRUCTIONS:

Provide a description of each material research, development, or demonstration project which incurred costs by the company during the year.

ACCOUNT

DESCRIPTION

BALANCE AT BEGINNING OF YEAR

BALANCE AT CLOSE OF YEAR

188

RESEARCH, DEVELOPMENT OR DEMONSTRATION EXPENDITURES

0

0

TOTAL

0

0

 

 

 

 

 

SCHEDULE XI - PROPRIETARY CAPITAL

INSTRUCTIONS:

Classify amounts in each account with brief explanation, disclosing the general nature of transactions which gave rise to the reported amounts.

ACCOUNT

CLASS OF STOCK

NUMBER OF SHARES AUTHORIZED

PAR OR STATED VALUE PER SHARE

OUTSTANDING CLOSE OF PERIOD

NO. OF SHARES

TOTAL AMOUNT

201

COMMON STOCK ISSUED

10,000

1.00

100

100

 

ACCOUNT

DESCRIPTION

 

 

 

BALANCE AT CLOSE OF YEAR

207

PREMIUM ON COMMON STOCK

9,900

211

MISCELLANEOUS PAID IN CAPITAL

     

4,290,000

215

APPROPRIATED RETAINED EARNINGS

TOTAL

4,299,900

 

 

ACCOUNT

DESCRIPTION

BALANCE AT BEGINNING OF YEAR

NET INCOME OR(LOSS)

DIVIDENDS PAID

BALANCE AT CLOSE OF YEAR

216

UNAPPROPRIATED RETAINED EARNINGS

(2,419,550)

(1,001,789)

0

(3,421,339)

TOTAL

(2,419,550)

(1,001,789)

0

(3,421,339)

 

 

 

 

 

 

SCHEDULE XII - LONG-TERM DEBT

INSTRUCTIONS:

Advances from associate companies should be reported separately for advances on notes, and advances on open account. Names of associate companies from which advances were received shall be shown under the class and series of obligation column. For Account 224 - Other long-term debt provide the name of creditor company or organization, terms of the obligation, date of maturity, interest rate, and the amount authorized and outstanding.

NAME OF CREDITOR

TERMS OF OBLIG CLASS & SERIES OF OBLIGATION

DATE OF MATURITY

INTEREST RATE

AMOUNT AUTHORIZED

BALANCE AT BEGINNING OF YEAR

ADDITIONS

1/ DEDUC- TIONS

BALANCE AT CLOSE OF YEAR

ACCOUNT 223 -
ADVANCES FROM

  ASSOCIATE COMPANIES:

0

0

0

0

ACCOUNT 224 -
OTHER LONG-TERM DEBT:

0

0

0

0

0

0

0

0

1) GIVE AN EXPLANATION OF DEDUCTIONS:  NOT APPLICABLE

 

 

 

 

SCHEDULE XIII - CURRENT AND ACCRUED LIABILITIES

INSTRUCTIONS:

Provide balance of notes and accounts payable to each associate company. Give description and amount of miscellaneous current and accrued liabilities. Items less than $10,000 may be grouped, showing the number of items in each group.

ACCOUNT

DESCRIPTION

BALANCE AT BEGINNING OF YEAR

BALANCE AT CLOSE OF YEAR

233

NOTES PAYABLE TO ASSOCIATE COMPANIES

    Cashpool

1,380,585

0

TOTAL

1,380,585

0

234

ACCOUNTS PAYABLE TO ASSOCIATE COMPANIES:

    UNITIL Service Corp.

110,394

80,975

TOTAL

110,394

80,975

242

MISCELLANEOUS CURRENT AND ACCRUED LIABILITIES:

    Accrued Expenses

19,403

0

TOTAL

19,403

0

 

 

 

 

SCHEDULE XIV - NOTES TO FINANCIAL STATEMENTS

INSTRUCTIONS:

The space below is provided for important notes regarding the financial statements or any account thereof. Furnish particulars as to any significant contingent assets or liabilities existing at the end of the year. Notes relating to financial statements shown elsewhere in this report may be indicated here by reference.

Selected Notes to the Financial Statements:

UNITIL Resources, Inc. (URI), a wholly-owned subsidiary of UNITIL Corporation, a public utility holding company, provides consulting and other services on energy related matters to non-affiliates. These services include power brokering and related operational services. In 1999, URI licensed Internet-based software technology for brokering electricity and natural gas sales between consumers and suppliers. Usource, Inc., a subsidiary of URI formed in April of 2000, offers retail energy consumers the market benefits of energy supply bidding with the efficiency and cost benefits of e-commerce. URI is subject to the jurisdiction of the Securities and Exchange Commission (SEC) under the Public Utility Holding Company Act of 1935. Usource, Inc. is an Exempt Telecommunications Company (ECTS) under Section 34 of The Act. URI prepares its financial statements in conformity with generally accepted accounting principles.

Please refer to the 2001 Unitil Corporation Form 10-K for additional disclosures.

 

 

 

 

SCHEDULE XV -STATEMENT OF INCOME

 

ACCOUNT

DESCRIPTION

CURRENT YEAR

PRIOR YEAR

INCOME

451

  Service revenue

383,754

130,556

451.01

  Accrued and unbilled service revenue

0

0

419

  Interest Income

27,874

0

421

  Miscellaneous income or loss

0

21,063

Total Income

411,628

151,619

EXPENSE

920

  Salaries and wages

135,768

391,222

921

  Office supplies and expenses

301,571

439,118

922

  Administrative expense transferred - credit

0

0

923

  Outside services employed

1,396,579

1,332,232

924

  Property insurance

0

0

925

  Injuries and damages

3,038

1,673

926

  Employee pensions and benefits

(9,303)

29,965

928

  Regulatory commission expense

0

0

930.1

  General advertising expense

(30,901)

171,061

930.2

  Miscellaneous general expense

1,548

34,164

931

  Rents

0

0

932

  Maintenance of structures and equipment

0

0

403

  Depreciation and amortization expense

229,203

229,781

408

  Taxes other than income taxes

13,302

33,363

409

  Income taxes

(540,453)

(814,453)

410

  Provision for deferred income taxes

(111,210)

(37,020)

411

  Provision for deferred income taxes -Credit

0

0

411.5

  Investment tax credit

0

0

426.1

  Donations

0

0

426.5

  Other deductions

348

0

427

  Interest on long-term debt

0

0

430

  Interest on debt to associate companies

31,891

47,058

431

  Other interest expense

0

0

555

  Purchase Power Expense

(7,963)

(28,130)

904

  Customer Accounting

0

(137)

Total Expense

1,413,418

1,829,897

Net Income or (Loss)

(1,001,790)

(1,678,278)

 

 

 

 

 

 

ANALYSIS OF BILLING ASSOCIATE COMPANIES ACCOUNT 451

NAME OF ASSOCIATE COMPANY

DIRECT CHARGES

INDIRECT CHARGES

COMPENSATION FOR USE OF CAPITAL

TOTAL CHARGES

 

EXCESS OR DEFICIENCY

TOTAL AMOUNT BILLED

None

TOTAL

0

0

0

0 0 0

 

 

 

ANALYSIS OF BILLING NONASSOCIATE COMPANIES ACCOUNT 451

NAME OF NONASSOCIATE COMPANY

DIRECT CHARGES

INDIRECT CHARGES

COMPENSATION FOR USE OF CAPITAL

TOTAL CHARGES

EXCESS OR DEFICIENCY

TOTAL AMOUNT BILLED

Usource (a)

383,754

383,754

0

383,754

TOTAL

383,754

0 0 383,754

0

383,754

 

INSTRUCTION: Provide a brief description of the services rendered to each non-associate company.

(a) Revenue generated from power sales through the Internet exchange.

 

 

 

 

 

SCHEDULE XVI - ANALYSIS OF CHARGES FOR SERVICE - ASSOCIATE AND NONASSOCIATE COMPANIES

DESCRIPTION OF ITEMS

ASSOCIATE COMPANY CHARGES

NONASSOCIATE COMPANY CHARGES

TOTAL CHARGES FOR SERVICE

DIRECT COST

INDIRECT COST

TOTAL

DIRECT COST

INDIRECT COST

TOTAL

DIRECT COST

INDIRECT COST

TOTAL

920   SALARIES AND WAGES

 

0

  

 

0

0

0

0

921   OFFICE SUPPLES AND EXPENSES

 Non-applicable

0

0

0

0

0

922   ADMIN EXPENSE TRANS-CREDIT

  

 

0

  

 

0

0

0

0

923   OUTSIDE SERVICES EMPLOYED

  

 

0

 

 

0

0

0

0

924   PROPERTY INSURANCE

  

 

0

 

 

0

0

0

0

925   INJURIES AND DAMAGES

  

0

 

 

0

0

0

0

926   EMPLOYEE PENSIONS AND BENEFITS

  

0

 

 

0

0

0

0

928   REGULATORY COMMISSION EXPENSE

  

0

 

 

0

0

0

0

930.1 GENERAL ADVERTISING EXPENSE

  

0

 

 

0

0

0

0

930.2 MISC. GENERAL EXPENSE

  

0

 

 

0

0

0

0

931   RENTS

  

0

 

 

0

0

0

0

932   MAINT. OF STRUCT. & EQUIP.

   

0

 

 

0

0

0

0

403   DEPR. AND AMORT. EXPENSE

  

0

 

 

0

0

0

0

408   TAXES OTHER THAN INCOME

  

0

 

 

0

0

0

0

409   INCOME TAXES

 

0

 

 

0

0

0

0

410   PROV FOR DEF INC TAXES

 

0

 

 

0

0

0

0

411   PROV FOR DEF INC TAX CREDIT

 

0

 

 

0

0

0

0

411.5 INVESTMENT TAX CREDIT

 

0

 

 

0

0

0

0

419   INTEREST INCOME

 

0

 

 

0

0

0

0

426.1 DONATIONS

 

0

 

 

0

0

0

0

426.5 OTHER DEDUCTIONS

 

0

  

 

0

0

0

0

427   INTEREST ON LONG-TERM DEBT

 

0

 

 

0

0

0

0

431   OTHER INTEREST EXPENSE

 

 

0

  

 

0

0

0

0

 

  

  

 

  

  

 

 

 

SUBTOTAL EXPENSES

  

  

0

 0

 0

0

0

0

0

COMPENSATION FOR USE OF EQUITY CAPITAL

  

 

0

 

 

0

 

 

0

430   INTEREST ON DEBT TO ASSOCIATE COMPANIES

  

  

0

  

  

0

0

0

0

TOTAL EXPENSES

  

  

0

 0

 0

0

0

0

0

421   MISCELLANEOUS INCOME

  

 

0

  

  

0

0

0

0

TOTAL COST OF SERVICE

  

 

0

 0

 0

0

0

0

0

 

 

 

 

 

 

SCHEDULE XVII - SCHEDULE OF EXPENSE DISTRIBUTION BY DEPARTMENT OR FUNCTION

DEPARTMENT OR FUNCTION

DESCRIPTION OF ITEMS

TOTAL AMOUNT

OVERHEAD

               NONE

    

920   SALARIES AND WAGES

0

921   OFFICE SUPPLES AND EXPENSES

0

Non-applicable

922   ADMIN. EXPENSE TRANS-CREDIT

0

923    OUTSIDE SERVICES EMPLOYED

0

924   PROPERTY INSURANCE

0

925   INJURIES AND DAMAGES

0

926   EMPLOYEE PENSIONS AND BENEFITS

0

928   REGULATORY COMMISSION EXPENSE

0

930.1 GENERAL ADVERTISING EXPENSE

0

930.2 MISC. GENERAL EXPENSE

0

931   RENTS

0

932   MAINT. OF STUCT. & EQUIP.

0

403   DEPR. AND AMORT. EXPENSE

0

408   TAXES OTHER THAN INCOME

0

409   INCOME TAXES

0

410   PROV. FOR DEF. INC. TAXES

0

411   PROV. FOR DEF. INC. TAX CREDIT

0

411.5 INVESTMENT TAX CREDIT

0

426.1 DONATIONS

0

426.5 OTHER DEDUCTIONS

0

427   INTEREST ON LONG-TERM DEBT

0

430   INTEREST ON DEBT TO ASSOCIATE COMPANIES

0

431   OTHER INTEREST EXPENSE

0

TOTAL EXPENSES -

0

0

0

0

0

0

 

 

DEPARTMENTAL ANALYSIS OF SALARIES - ACCOUNT 920

NAME OF DEPARTMENT

DEPARTMENTAL SALARY EXPENSE

NUMBER PERSONNEL

INCLUDED IN AMOUNTS BILLED TO

TOTAL AMOUNT

PARENT COMPANY

OTHER ASSOCIATES

NON ASSOCIATES

END OF YEAR

  

Non-applicable

TOTAL

0

0

0

0

0

 

 

 

 

OUTSIDE SERVICES EMPLOYED - ACCOUNT 923

INSTRUCTIONS:

Provide a breakdown by subaccount of outside services employed. If the aggregate amounts paid to any one payee and included within one subaccount is less than $100,000, only the aggregate number and amount of all such payments included within the subaccount need be shown. Provide a subtotal for each type of service.

FROM WHOM PURCHASED

ADDRESS

RELATIONSHIP
"A" = ASSOCIATE
"NA"=NON ASSOCIATE

AMOUNT

Outside Services

   UNITIL Service Corp.

A

1,144,301

Outside Services - Legal

   Various

NA

176,933

Outside Services - Other

   Various

NA

75,345

TOTAL

1,396,579

 

 

 

 

EMPLOYEE PENSIONS AND BENEFITS - ACCOUNT 926

INSTRUCTIONS:

Provide a listing of each pension plan and benefit program provided by the service company. Such listing should be limited to $25,000

DESCRIPTION

AMOUNT

Health Insurance

7,733

Net Periodic Pension Expense

(7,065)

401K

410

Life Insurance

581

Other

(10,962)

TOTAL

(9,303)

 

 

 

 

GENERAL ADVERTISING EXPENSES - ACCOUNT 930.1

INSTRUCTIONS:

Provide a listing of the amounts included in Account930.1 "General Advertising Expenses", classifying the items according to the nature of the advertising and as defined in the account definition. If a particular class includes an amount in excess of $3,000 applicable to a single payee, show separately the name of the payee and the aggregate amount applicable thereto.

DESCRIPTION

NAME OF PAYEE

AMOUNT

Advertising

Amazon Referral Fee

(27)

Bonci on Design

860

BusinessEdge Solutions

12,239

Casey & Company

11,841

Enermetrix

(67,417)

Kinko's Inc

3,550

Lavigne

8,053

TOTAL

(30,901)

 

 

 

 

MISCELLANEOUS GENERAL EXPENSES - ACCOUNT 930.2

INSTRUCTIONS:

Provide a listing of the amount included in Account 930.2 "Miscellaneous General Expense", classifying such expenses according to their nature. Payments and expenses permitted by Section 321 (b) (2) of the Federal Election Campaign Act, as amended by Public Law 94-283 in 1976 (2 U.S.C. 441 (b) (2) shall be separately classified.

DESCRIPTION

AMOUNT

Business Development

0

Communications

0

Other

1,548

TOTAL

1,548

 

 

 

 

 

RENTS - ACCOUNT 931

INSTRUCTIONS:

Provide a listing of the amount included in Account 931, "Rents" classifying such expenses by major groupings of property, as defined in the account definition of the Uniform System of Accounts

TYPE OF PROPERTY 

AMOUNT

Not Applicable

TOTAL

0

 

 

 

 

TAXES OTHER THAN INCOME TAXES - ACCOUNT 408

INSTRUCTIONS:

Provide an analysis of Account 408, "Taxes Other Than Income Taxes". Separate the analysis into two groups: (1) other than U. S. Government and (2) U.S. Government taxes. Specify each of the various kinds of taxes and show the amounts there of Provide a subtotal for each class of tax.

KIND OF TAX

AMOUNT

Other than U.S. Government Tax:

  State Unemployment Tax

2,309

U.S. Government Tax:

  Federal Insurance Contribution Act

10,713

  Federal Unemployment Tax

280

TOTAL

13,302

 

 

 

 

DONATIONS - ACCOUNT 426.1

INSTRUCTIONS:

Provide a listing of the amount included in Account 426.1, "Donations", classifying such expenses by its purpose. The aggregate number and amount of all items of less than $3,000 may be shown in lieu of details

NAME OF RECIPIENT

PURPOSE OF DONATION

AMOUNT

0

TOTAL

0

 

 

 

 

OTHER DEDUCTIONS - ACCOUNT 426.5

INSTRUCTIONS:

Provide a listing of the amount included in Account 426.5,"Other Deductions", classifying such expenses according to their nature.

DESCRIPTION

NAME OF PAYEE

AMOUNT

Commission of Revenue

50

NYS Dept of Taxation & Finance

298

TOTAL

348

 

 

 

 

SCHEDULE XVIII - NOTES TO STATEMENT OF INCOME

INSTRUCTIONS:

The space below is provided for important notes regarding the statement of income or any account thereof. Furnish particulars as to any significant increases in services rendered or expenses incurred during the year. Notes relating to financial statements shown elsewhere in this report may be indicated here by reference.

See Schedule XIV - Notes to Financial Statements

 

 

 

 

ORGANIZATION CHART

 

 

 

Organization Chart as of December 31, 2001

President

Robert G. Schoenberger

Vice President

Todd R. Black

Vice President & Treasurer

Mark H. Collin

Controller

Laurence M. Brock

Asst. Treasurer

Charles J. Kershaw, Jr.

Secretary

Sandra L. Whitney

 

 

 

METHODS OF ALLOCATION -   Not Applicable

 

 

ANNUAL STATEMENT OF COMPENSATION FOR USE OF CAPITAL BILLED -   Not applicable

 

 

 

 

 

 

 

SIGNATURE CLAUSE

 

Pursuant to the requirements of the Public Utility Holding Company Act of 1935 and the rules and regulations of the Securities and Exchange Commission issued thereunder, the undersigned company has duly caused this report to be signed on its behalf by the undersigned officer thereunto duly authorized,

 

 

 

UNITIL Resources, Inc

 

By:    /s/  Mark H. Collin,
Mark H. Collin,
Treasurer

 

 

 

April 29, 2002