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Board Of Aldermen - Agenda - 4/13/2021 - P45

By dnadmin on Mon, 11/07/2022 - 07:04
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-10-

bond issuance associated with these capital investments and the QCPAC surcharge will be
completed and funded. The Order will allow recoupment of the surcharge from all its customers
based on their actual bills incurred between April 1, 2021 and the final effective date of the
Order.

Board Of Aldermen - Agenda - 4/13/2021 - P44

By dnadmin on Mon, 11/07/2022 - 07:04
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Directors and the Sole Shareholder. This issuance had previously received NHPUC approval on
Order No. 26,101, dated February 2, 2018, which authorized up to $32.5 million in bonds via
multiple issuances for the years 2018-2021.

Board Of Aldermen - Agenda - 4/13/2021 - P43

By dnadmin on Mon, 11/07/2022 - 07:04
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Capital Expenditures

Capital expenditures in the fourth quarter of 2020 were $4.9 million compared to $7.2 million
in the fourth quarter of 2019. For the year 2020, capital expenditures were $10.7 million as
compared to $16.6 million in 2019.

The major expenditures for 2020 were as follows:

Locke Lake New Water Source $ 1,923,000

25 Walnut Street Office Building Fit-Up and Relocation 619,000

Peacham Road Pipeline — Locke Lake 591,000

Carbon Filter Media Changeout — 5 & 6 495,000

Merrimack River Intake 485,000

Board Of Aldermen - Agenda - 4/13/2021 - P42

By dnadmin on Mon, 11/07/2022 - 07:04
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Notes to Balance Sheet

Note 1 (Restricted Cash) — At December 31, 2020, the balance of $8.9 million represents an
increase of $6.9 million from the end of 2019, mainly due to: (1) the cash generated from the
increased revenue levels year-over-year; and (2) the additional proceeds received from
Pennichuck Water’s September 2™ bonding event as a one-time replenishment of the existing
MOERR Rate Stabilization Fund.

Board Of Aldermen - Agenda - 4/13/2021 - P41

By dnadmin on Mon, 11/07/2022 - 07:04
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Balance Sheet ($000’s)
As of As of
December 31, 2020 December 31, 2019
(Audited) (Audited)
Assets
Property, Plant & Equipment, Net $ 242.469 $ 237,182

Current Assets:

Board Of Aldermen - Agenda - 4/13/2021 - P40

By dnadmin on Mon, 11/07/2022 - 07:04
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Unaudited Cash Flow Statement

Cash Flow on a GAAP basis for the fourth quarter of 2020 as compared to the fourth quarter of
2019, and the year-to-date 2020 versus 2019, are as follows:

Board Of Aldermen - Agenda - 4/13/2021 - P39

By dnadmin on Mon, 11/07/2022 - 07:04
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-4-

Consolidated operating expenses increased by $0.8 million, or 2.1%, for the full year,
from 2019 to 2020, mainly due to the higher direct production costs, as well as labor and
benefit costs, as previously discussed.

Board Of Aldermen - Agenda - 4/13/2021 - P38

By dnadmin on Mon, 11/07/2022 - 07:04
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-3-

Board Of Aldermen - Agenda - 4/13/2021 - P37

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-2-

Third, the Mayor and Board of Aldermen unanimously agreed to establish a corporate
governance system for the purposes of managing Pennichuck Corporation. This corporate
governance system relies upon well-established principles of corporate law, and is established
pursuant to Pennichuck Corporation’s Articles of Incorporation and By-Laws, as adopted by the
City and the Company at the time of the acquisition pursuant to the Merger Agreement.

Board Of Aldermen - Agenda - 4/13/2021 - P36

By dnadmin on Mon, 11/07/2022 - 07:04
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V2 PENNICHUCK?®

March 31, 2021
ANNUAL REPORT TO THE SOLE SHAREHOLDER

Dear Shareholder:

The Annual Meeting of Pennichuck Corporation will be held at 9:00 a.m. on Saturday, May 8,
2021. Due to the state of emergency declared by Governor Sununu relating to the COVID-19

virus, the Annual Meeting of Sole Shareholder will be conducted via electronic and telephonic
means. To attend the meeting, please use the following dial-in instructions — Dial-in Number:

1-425-436-6322, Access Code: 871028#.

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