Section 110.03. Distribution of other monies.  


Latest version.
  • A retail electric utility which has received a patronage dividend or capital credit refund from its wholesale supplier as a result of cooperative policies shall distribute the refund to its retail customers in the following manner:
    (1)  The utility, after commission approval, shall distribute the refund through adjustment to the power cost adjustment clause.
    (2)  If the utility has the billing capability, it shall show as a separate item on the customer's bill the refund dollar amount or the change in the purchased power adjustment clause level due to the refund. If the utility does not have the billing capability, it shall inform customers of the refund through bill inserts or a newspaper announcement.
History: Cr. Register, December, 1983, No. 336 , eff. 1-1-84.