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Consolidated Balance Sheets - USD ($)
Jun. 30, 2017
Dec. 31, 2016
Current assets [Abstract]    
Cash and cash equivalents $ 10,512,000 $ 23,077,000
Restricted cash and cash equivalents 16,991,000 23,084,000
Customer accounts receivable (less allowance for doubtful accounts) 70,347,000 56,780,000
Other accounts receivable 36,872,000 19,778,000
Unbilled revenue 39,945,000 34,268,000
Fuel inventory, at average cost 55,994,000 46,410,000
Materials and supplies, at average cost 81,757,000 81,818,000
Energy risk management assets 18,245,000 7,884,000
Accumulated deferred fuel 26,922,000 20,787,000
Cash surrender value of company-/trust-owned life insurance policies 79,618,000 77,225,000
Prepayments 8,572,000 7,813,000
Regulatory assets 30,409,000 26,803,000
Other current assets 408,000 1,315,000
Total current assets 476,592,000 427,042,000
Property, plant, and equipment [Abstract]    
Property, plant, and equipment 3,534,966,000 3,476,581,000
Accumulated depreciation (129,954,000) (75,816,000)
Net property, plant, and equipment 3,405,012,000 3,400,765,000
Construction work in progress 130,531,000 78,577,000
Total property, plant, and equipment, net 3,535,543,000 3,479,342,000
Equity investment in investees 18,172,000 18,672,000
Goodwill 1,490,797,000 1,490,797,000
Prepayments 2,040,000 4,731,000
Restricted cash and cash equivalents 23,500,000 23,410,000
Regulatory assets - deferred taxes, net 240,319,000 237,449,000
Regulatory assets 437,534,000 454,644,000
Net investment in direct financing lease 13,394,000 13,420,000
Intangible assets 128,395,000 142,634,000
Tax credit fund investment, net 10,742,000 11,888,000
Other deferred charges 34,238,000 39,115,000
Total assets 6,411,266,000 6,343,144,000
Current liabilities [Abstract]    
Short-term debt 85,800,000 0
Long-term debt due within one year 19,007,000 19,715,000
Accounts payable 103,180,000 112,087,000
Customer deposits 57,351,000 56,599,000
Provision for rate refund 3,693,000 3,974,000
Provision for merger commitments 8,321,000 14,371,000
Taxes payable 19,422,000 3,942,000
Interest accrued 15,835,000 14,783,000
Energy risk management liabilities 302,000 201,000
Deferred compensation 11,158,000 11,654,000
Other current liabilities 16,453,000 14,850,000
Total current liabilities 340,522,000 252,176,000
Long-term liabilities and deferred credits [Abstract]    
Accumulated deferred federal and state income taxes, net 1,051,473,000 1,033,055,000
Accumulated deferred investment tax credits 2,420,000 2,751,000
Postretirement benefit obligations 229,040,000 223,003,000
Restricted storm reserve 17,911,000 17,385,000
Other deferred credits 24,294,000 29,440,000
Total long-term liabilities and deferred credits 1,325,138,000 1,305,634,000
Long-term debt, net 2,724,893,000 2,738,571,000
Total liabilities 4,390,553,000 4,296,381,000
Commitments and Contingencies (Note 12)
Member's equity [Abstract]    
Membership interest 2,013,721,000 2,069,376,000
Retained earnings/Accumulated deficit 7,623,000 (24,113,000)
Accumulated other comprehensive (loss) income (631,000) 1,500,000
Total member’s equity 2,020,713,000 2,046,763,000
Total liabilities and member’s equity 6,411,266,000 6,343,144,000
Cleco Power    
Current assets [Abstract]    
Cash and cash equivalents 3,469,000 21,482,000
Restricted cash and cash equivalents 16,991,000 23,084,000
Customer accounts receivable (less allowance for doubtful accounts) 70,347,000 56,780,000
Accounts receivable - affiliate 753,000 1,406,000
Other accounts receivable 36,682,000 19,457,000
Taxes receivable, net 0 12,490,000
Unbilled revenue 39,945,000 34,268,000
Fuel inventory, at average cost 55,994,000 46,410,000
Materials and supplies, at average cost 81,757,000 81,818,000
Energy risk management assets 18,245,000 7,884,000
Accumulated deferred fuel 26,922,000 20,787,000
Cash surrender value of company-/trust-owned life insurance policies 20,154,000 20,018,000
Prepayments 7,193,000 5,892,000
Regulatory assets 21,552,000 17,721,000
Other current assets 0 577,000
Total current assets 400,004,000 370,074,000
Property, plant, and equipment [Abstract]    
Property, plant, and equipment 4,843,139,000 4,790,565,000
Accumulated depreciation (1,662,791,000) (1,618,241,000)
Net property, plant, and equipment 3,180,348,000 3,172,324,000
Construction work in progress 128,919,000 77,306,000
Total property, plant, and equipment, net 3,309,267,000 3,249,630,000
Equity investment in investees 18,172,000 18,672,000
Prepayments 2,040,000 4,731,000
Restricted cash and cash equivalents 23,479,000 23,389,000
Regulatory assets - deferred taxes, net 240,319,000 237,449,000
Regulatory assets 256,989,000 268,016,000
Intangible assets 50,279,000 58,473,000
Other deferred charges 32,294,000 37,014,000
Total assets 4,332,843,000 4,267,448,000
Current liabilities [Abstract]    
Short-term debt 75,800,000 0
Long-term debt due within one year 19,007,000 19,715,000
Accounts payable 96,235,000 101,874,000
Accounts payable - affiliate 7,119,000 7,190,000
Customer deposits 57,351,000 56,599,000
Provision for rate refund 3,693,000 3,974,000
Provision for merger commitments 8,321,000 14,371,000
Taxes payable 9,742,000 0
Interest accrued 8,178,000 7,141,000
Energy risk management liabilities 302,000 201,000
Other current liabilities 11,329,000 9,951,000
Total current liabilities 297,077,000 221,016,000
Long-term liabilities and deferred credits [Abstract]    
Accumulated deferred federal and state income taxes, net 1,075,303,000 1,068,592,000
Accumulated deferred investment tax credits 2,420,000 2,751,000
Postretirement benefit obligations 162,800,000 159,107,000
Restricted storm reserve 17,911,000 17,385,000
Other deferred credits 22,359,000 28,339,000
Total long-term liabilities and deferred credits 1,280,793,000 1,276,174,000
Long-term debt, net 1,226,305,000 1,235,056,000
Total capitalization 2,754,973,000 2,770,258,000
Commitments and Contingencies (Note 12)
Member's equity [Abstract]    
Total member’s equity 1,528,668,000 1,535,202,000
Total liabilities and member’s equity $ 4,332,843,000 $ 4,267,448,000