Form U-13-60 Mutual and Subsidiary Service Companies Revised February 7, 1980 ANNUAL REPORT For the Period Beginning January 1, 2002 and Ending December 31, 2002 To The U.S. SECURITIES AND EXCHANGE COMMISSION OF NISOURCE CORPORATE SERVICES COMPANY, INC. ----------------------------------------- (Exact Name of Report Company) A Subsidiary Service Company ("Mutual" or "Subsidiary") Data of Incorporation December 31, 1932 State or Sovereign Power Under which Incorporated or Organized - Delaware Location of Principal Executive Offices of Reporting Company: 801 East 86th Avenue, Merrillville, IN VINCENT DEVITO, CONTROLLER 200 Civic Center Drive Columbus, OH 43215 --------------------------------------------------------------------- (Name, title and address of officer to whom correspondence concerning this report should be addressed) NISOURCE, INC/COLUMBIA ENERGY GROUP --------------------------------------------------------------------- (Name of Principal Holding Company whose Subsidiaries are served by Reporting Company) INSTRUCTIONS FOR USE OF FORM U-13-60 1. Time of Filing - Rule 94 provides that on or before the first day of May in each calendar year, each mutual service company and each subsidiary service company as to which the Commission shall have made a favorable finding pursuant to Rule 88, and every service company whose application for approval or declaration pursuant to Rule 88 is pending shall file with the Commission an annual report on Form U-13-60 and in accordance with the instructions for that form. 2. Number of Copies - Each annual report shall be filed in duplicate. The company should prepare and retain at least one extra copy for itself in case correspondence with reference to the report become necessary. 3. Period Covered by Report - The first report filed by any company shall cover the period from the date the Uniform System of Accounts was required to be made effective as to that company under Rules 82 and 93 to the end of that calendar year. Subsequent reports should cover a calendar year. 4. Report Format - Reports shall be submitted on the forms prepared by the Commission. If the space provided on any sheet of such form is inadequate, additional sheets may be inserted on the same size as a sheet of the form or folded to such size. 5. Money Amounts Displayed - All money amounts required to be shown in financial statements may be expressed in whole dollars, in thousands of dollars or in hundred thousands of dollars, as appropriate and subject to provisions of Regulation S-X (Section 210.3-01[b]). 6. Deficits Displayed - Deficits and other like entries shall be indicated by the use of either brackets or a parenthesis with corresponding reference in footnotes. (Regulation S-X, Section 210.3-01[C]). 7. Major Amendments or Corrections - Any company desiring to amend or correct a major omission or error in a report after it has been filed with the Commission shall submit an amended report including only those pages, schedules, and entries that are to be amended or corrected. A cover letter shall be submitted requesting the Commission to incorporate the amended report changes and shall be signed by a duly authorized officer of the company. 8. Definitions - Definitions contained in Instruction 01-8 to the Uniform System of Accounts for Mutual Service Companies and Subsidiary Service Companies, Public Utility Holding Company Act of 1935, as amended February 2, 1979, shall be applicable to words or terms used specifically within this Form U-13-60. 9. Organization Chart - The service company shall submit with each annual report a copy of its current organization chart. 10. Methods of Allocation - The service company shall submit with each annual report a listing of the currently effective methods of allocation being used by the service company and on file with the Securities and Exchange Commission pursuant to the Public Utility Holding Company Act of 1935. 11. Annual Statement of Compensation for Use of Capital Billed - The service company shall submit with each annual report a copy of the annual statement supplied to each associate company in support of the amount of compensation for use of capital billed during the calendar year. Page 2 LISTING OF SCHEDULES AND ANALYSIS OF ACCOUNTS Schedule or Account Page Description of Schedules and Accounts Number Number ---------------------------------------------------------- ------------- ------ COMPARATIVE BALANCE SHEET Schedule I 5-6 Service Company Property Schedule II 7-8 Accumulated Provision For Depreciation and Schedule III 9 Amortization of Service Company Property Investments Schedule IV 10 Accounts Receivable From Associated Companies Schedule V 11-12 Fuel Stock Expenses Undistributed Schedule VI 13 Stores Expense Undistributed Schedule VII 14 Miscellaneous Current and Accrued Assets Schedule VIII 15 Miscellaneous Deferred Debits Schedule IX 16 Research, Development or Demonstration Expenditures Schedule X 17 Proprietary Capital Schedule XI 18 Long-Term Debt Schedule XII 19 Current and Accrued Liabilities Schedule XIII 20-21 Notes to Financial Statements Schedule XIV 22-23 COMPARATIVE INCOME STATEMENT Schedule XV 24 Analysis of Billing - Associate Companies Account 457 25 Analysis of Billing - Nonassociate Companies Account 458 26 Analysis of Charges for Service - Associate and Schedule XVI 27 Nonassociate Companies Schedule of Expense by Department or Service Function Schedule XVII 28-30 Departmental Analysis of Salaries Account 920 31 Outside Services Employed Account 923 32-35 Employee Pensions and Benefits Account 926 36 General Advertising Expenses Account 930.1 37 Miscellaneous General Expenses Account 930.2 38 Rents Account 931 39 Taxes Other Than Income Taxes Account 408 40 Donations Account 426.1 41 Other Deductions Account 426.5 42 Notes to Statement of Income Schedule XVIII 43 Page 3 LISTING OF INSTRUCTIONAL FILING REQUIREMENTS Page Description of Reports or Statements Number ---------------------------------------------------------- ------ Organization Chart 44 Methods of Allocation 45 Annual Statement of Compensation for Use of Capital Billed 46-47 Officer Authorization 48 Page 4 ANNUAL REPORT OF NISOURCE CORPORATE SERVICES COMPANY, INC. 2002 SCHEDULE I - COMPARATIVE BALANCE SHEET Give balance sheet of the Company as of December 31 of the current and prior year ACCOUNT ASSETS AND OTHER DEBITS AS OF DECEMBER 31 ------- ----------------------- --------------------------- CURRENT PRIOR ------- ------- $000 $000 SERVICE COMPANY PROPERTY 101 Service company property (Schedule II) 77,421 87,727 107 Construction work in progress (Schedule II) -- -- ------- ------- Total Property 77,421 87,727 ------- ------- 108 Less accumulated provision for depreciation and amortization of service company property (Schedule III) 34,091 31,223 ------- ------- Net Service Company Property 43,330 56,504 ------- ------- INVESTMENTS 123 Investments in associate companies (Schedule IV) -- -- 124 Other investments (Schedule IV) -- -- ------- ------- Total Investments -- -- ------- ------- CURRENT AND ACCRUED ASSETS 131 Cash 424 22 134 Special deposits 171 171 135 Working funds 656 21 136 Temporary cash investments (Schedule IV) -- -- 141 Notes receivable -- -- 143 Accounts receivable 8,065 (7,268) 144 Accumulated provision for uncollectible accounts -- -- 146 Accounts receivable from associate companies (Schedule V) 72,248 171,728 152 Fuel stock expenses undistributed (Schedule VI) -- -- 154 Materials and supplies -- -- 163 Stores expense undistributed (Schedule VII) -- -- 165 Prepayments 685 195 174 Miscellaneous current and accrued assets 1,317 2,099 (Schedule VIII) -- -- ------- ------- Total Current and Accrued Assets 83,566 166,968 ------- ------- DEFERRED DEBITS 181 Unamortized debt expense -- -- 184 Clearing accounts 9,207 71,784 186 Miscellaneous deferred debits (Schedule IX) 41,259 13,062 188 Research, development, or demonstration expenditures (Schedule X) -- -- 190 Accumulated deferred income taxes 27,667 7,677 ------- ------- Total Deferred Debits 78,133 92,523 ------- ------- TOTAL ASSETS AND OTHER DEBITS 205,029 315,995 ======= ======= Page 5 ANNUAL REPORT OF NISOURCE CORPORATE SERVICES COMPANY, INC. 2002 SCHEDULE I - COMPARATIVE BALANCE SHEET ACCOUNT LIABILITIES AND PROPRIETARY CAPITAL AS OF DECEMBER 31 ------- ----------------------------------- ---------------------------- CURRENT PRIOR ------- ------- $000 $000 PROPRIETARY CAPITAL 201 Common stock issued (Schedule XI) 400 400 211 Miscellaneous paid-in-capital (Schedule XI) -- -- 215 Appropriated retained earnings (Schedule XI) -- -- 216 Unappropriated retained earnings (Schedule XI) -- -- 219 Other Comprehensive Income (21,165) ------- ------- Total Proprietary Capital (20,765) 400 ------- ------- LONG-TERM DEBT 223 Advances from associate companies (Schedule XII) 23,930 23,930 224 Other long-term debt (Schedule XII) -- -- 225 Unamortized premium on long-term debt -- -- 226 Unamortized discount on long-term debt -- -- ------- ------- Total Long-Term Debt 23,930 23,930 ------- ------- CURRENT AND ACCRUED LIABILITIES 231 Notes payable -- -- 232 Accounts payable 13,947 34,094 233 Notes payable to associate companies (Schedule XIII) 74 21,479 234 Accounts payable to associate companies (Schedule XIII) 49,667 165,875 236 Taxes accrued 20,440 (4,171) 237 Interest accrued 783 1 238 Dividends declared -- -- 241 Tax collections payable 90 9,484 242 Miscellaneous current and accrued liabilities (Schedule XIII) 57,522 44,357 ------- ------- Total Current and Accrued Liabilities 142,523 271,119 ------- ------- DEFERRED CREDITS 253 Other deferred credits 55,391 9,329 255 Accumulated deferred investment tax credits -- -- ------- ------- Total Deferred Credits 55,391 9,329 ------- ------- 282 ACCUMULATED DEFERRED INCOME TAXES 3,950 11,217 ------- ------- TOTAL LIABILITIES AND PROPRIETARY CAPITAL 205,029 315,995 ======= ======= Page 6 ANNUAL REPORT OF NISOURCE CORPORATE SERVICES COMPANY, INC. For the Year Ended December 31, 2002 SCHEDULE II - SERVICE COMPANY PROPERTY BALANCE BALANCE AT AT BEGINNING RETIREMENTS OTHER CLOSE DESCRIPTION OF YEAR ADDITIONS OR SALES CHANGES OF YEAR ----------------------------------------------- ------ ------ ------ ----- ------ $000 $000 $000 $000 $000 SERVICE COMPANY PROPERTY Account: 301 ORGANIZATION -- -- -- -- -- 303 MISCELLANEOUS INTANGIBLE PLANT -- -- -- -- -- 304 LAND AND LAND RIGHTS 62 -- -- -- 62 305 STRUCTURES AND IMPROVEMENTS 23,404 288 -- -- 23,692 306 LEASEHOLD IMPROVEMENTS -- -- -- -- 307 EQUIPMENT (1),(2) 43,121 12,157 22,722 -- 32,556 308 OFFICE FURNITURE AND EQUIPMENT 7,318 16 -- -- 7,334 309 AUTOMOBILES, OTHER VEHICLES AND RELATED GARAGE EQUIPMENT 472 -- 45 -- 427 310 AIRCRAFT AND AIRPORT EQUIPMENT 13,207 -- -- -- 13,207 311 OTHER SERVICE COMPANY PROPERTY (3) 143 -- -- -- 143 ------ ------ ------ ----- ------ SUB-TOTAL 87,727 12,461 22,767 -- 77,421 ------ ------ ------ ----- ------ 107 CONSTRUCTION WORK IN PROGRESS (4) -- -- -- -- -- ------ ------ ------ ----- ------ TOTAL 87,727 12,461 22,767 -- 77,421 ====== ====== ====== ====== ====== (1) PROVIDE AN EXPLANATION OF THOSE CHANGES CONSIDERED MATERIAL: 307 - The decrease in the information technology and telecommunications areas was due to consolidation and integration of business operations. Page 7 SCHEDULE II - CONTINUED (2) SUBACCOUNTS ARE REQUIRED FOR EACH CLASS OF EQUIPMENT OWNED. THE SERVICE COMPANY SHALL PROVIDE A LISTING BY SUBACCOUNT OF EQUIPMENT ADDITIONS DURING THE YEAR AND THE BALANCE AT THE CLOSE OF THE YEAR: BALANCE AT CLOSE OF SUBACCOUNT DESCRIPTION ADDITIONS YEAR ---------------------- ------ ------ $000 $000 307-1 Telecommunications Equipment -- 90 307-2 Communications Management Center -- 724 307-3 Data Processing Equipment -- 872 307-4 Print Services Equipment -- -- 307-5 Research & Laboratory Equipment -- -- 307-6 Telecommunications Equipment 733 6,791 307-7 EDP Equipment - 4 years 6,466 10,834 307-8 EDP Equipment - 10 years -- 5 307-9 Personal Computer and Peripheral Equipment 4,958 6,687 307-10 Distribution Research Equipment -- -- 307-11 Electrical Supply Generators -- 1,788 307-14 CGT EQUIPMENT -- -- 307-37 CPA EQUIPMENT -- -- 307-51 TCO Equipment -- -- 307-90 NiSource Equipment -- 4,765 ------ ------ TOTAL 12,157 32,556 ====== ====== (3) DESCRIBE OTHER SERVICE COMPANY PROPERTY: Costs incurred in the internal development of the Employee Accounting System Interface, Labor Distribution System, and Intercompany Billing software. (4) DESCRIBE CONSTRUCTION WORK IN PROGRESS: Not Applicable Page 8 ANNUAL REPORT OF NISOURCE CORPORATE SERVICES COMPANY, INC. For the Year Ended December 31, 2002 SCHEDULE III ACCUMULATED PROVISION FOR DEPRECIATION AND AMORTIZATION OF SERVICE COMPANY PROPERTY ADDITIONS BALANCE CHARGED OTHER BALANCE AT TO CHANGES AT BEGINNING ACCOUNT ADD CLOSE DESCRIPTION OF YEAR 403 RETIREMENTS (DEDUCT) OF YEAR --------------------------------------------- -------- -------- -------- -------- -------- $000 $000 $000 $000 $000 ACCOUNT 301 ORGANIZATION -- -- -- -- -- 303 MISCELLANEOUS INTANGIBLE PLANT -- -- -- -- -- 304 LAND AND LAND RIGHTS -- -- -- -- -- 305 STRUCTURES AND IMPROVEMENTS 7,127 470 -- -- 7,597 306 LEASEHOLD IMPROVEMENTS -- -- -- 307 EQUIPMENT (1) 20,564 6,518 22,722 17,600 21,960 308 OFFICE FURNITURE AND FIXTURES 2,875 460 -- -- 3,335 309 AUTOMOBILES, OTHER VEHICLES AND RELATED GARAGE EQUIPMENT 119 78 45 3 155 310 AIRCRAFT AND AIRPORT EQUIPMENT 396 506 -- -- 902 311 OTHER SERVICE COMPANY PROPERTY 142 -- -- -- 142 -------- -------- -------- -------- -------- TOTAL 31,223 8,032 22,767 17,603 34,091 ======== ======== ======== ======== ======== (1) PROVIDE AN EXPLANATION OF THOSE CHANGES CONSIDERED MATERIAL: Please refer to page 7 Page 9 ANNUAL REPORT OF NISOURCE CORPORATE SERVICES COMPANY, INC. For the Year Ended December 31, 2002 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, etc. Under Account 136, "Temporary Cash Investments," list each investment separately. BALANCE AT BALANCE AT BEGINNING CLOSE DESCRIPTION OF YEAR OF YEAR ----------------------------------------------- ---------- ---------- Account 123 - Investment in Associate Companies None None Account 124 - Other Investments None None Account 136 - Temporary Cash Investments System Money Pool - Unaffiliated None None ---------- ---------- TOTAL None None ========== ========== Page 10 ANNUAL REPORT OF NISOURCE CORPORATE SERVICES COMPANY, INC. For the Year Ended December 31, 2002 SCHEDULE V - ACCOUNTS RECEIVABLE FROM ASSOCIATE COMPANIES INSTRUCTIONS: Complete the following schedule listing accounts receivable from each associate company. Where the service company has provided accommodation or convenience payments for associate companies, a separate listing of total payments for each associate company BALANCE AT BALANCE AT BEGINNING CLOSE DESCRIPTION OF YEAR OF YEAR ----------------------------------------------------------- --------- -------- $ 000 $ 000 ACCOUNT 146 - ACCOUNTS RECEIVABLE FROM ASSOCIATE COMPANIES Bay State Gas Company 2,014 1 Bay State Massachusetts 423 2,476 Columbia Atlantic Trading Corporation -- 4 Columbia Energy Group 5,437 13,853 Columbia Energy Group Capital Corporation 56 -- Columbia Energy Resources, Inc. 2,814 934 Columbia Energy Services Corporation 228 249 Columbia Finance Company 13 -- Columbia Gas of Kentucky, Inc. 6,879 1,201 Columbia Gas of Maryland, Inc. 2,432 551 Columbia Gas of Ohio, Inc. 18,779 8,832 Columbia Gas of Pennsylvania, Inc. 17,687 4,691 Columbia Gas of Virginia, Inc. 8,920 2,432 Columbia Gas Transmission Corporation 17,084 8,608 Columbia Gulf Transmission Company 4,455 2,392 Columbia LNG Corporation 158 209 Columbia Network Services Corporation 76 163 Columbia Remainder Corporation 267 233 Columbia Service Partners -- 6 Columbia Transmission Communications Corporation 150 (57) Energy USA, Inc 9,759 2,004 Granite State Gas -- 47 Indianapolis Water Resources -- 5 Kokomo Gas and Fuel Company 47 155 NiSource Capital Markets 14 12 NiSource Crossroads Pipeline 512 42 NiSource Development Company, Inc 1,107 6 NiSource Energy Services, Inc 308 421 NiSource Energy Technology 296 (2) NiSource Finance Company -- 67 NiSource Insurance Corporation, Ltd. -- 7 NiSource Pipeline Group, Inc (38) 17 NiSource, Inc. 36,712 14,517 Northern Indiana Fuel and Light Company 61 458 Northern Indiana Public Merchant 1,017 -- Northern Indiana Public Service Company 32,910 6,621 Northern Utilities Maine 34 660 Northern Utilities New Hampshire 50 277 Primary Energy, Inc 1,067 156 --------- -------- TOTAL 171,728 72,248 ========= ======== ANALYSIS OF CONVENIENCE OR ACCOMMODATION PAYMENTS: TOTAL PAYMENTS -------- $000 See Schedule V-A, page 12 TOTAL PAYMENT 807,187 ======= Page 11 SCHEDULE V-A NISOURCE CORPORATE SERVICES COMPANY, INC. Convenience & Accommodation Payments For the Year Ended December 31, 2002 Employee Corporate Audit PH&H Associate Company Benefits Telecomm Insurance Fees Leases Other (1) Total --------------------------------------------- --------- -------- ---------- --------- --------- ---------- ----------- $000 $000 $000 $000 $000 $000 $000 Bay State Gas Company 833 83 50 985 (3) 1,951 Bay State Massachusetts 25,381 1,776 2,023 127 10,480 (3) 39,787 Columbia Energy Group Capital Corporation 7 1 8 Columbia Atlantic Trading Corporation 14 1,407 1,421 Columbia Energy Group 1,923 79 7,588 153 26 413,863 (2) 423,632 Columbia Energy Resources, Inc. 6,349 666 2,473 148 3,099 8,851 21,586 Columbia Energy Services Corporation 47 36 22 19,676 19,781 Columbia Finance Company 7 228 235 Columbia Gas of Kentucky, Inc. 4,148 319 (129) 967 753 6,058 Columbia Gas of Maryland, Inc. 934 102 (238) 182 288 1,268 Columbia Gas of Ohio, Inc. 27,940 2,979 (4,419) 374 3,393 8,967 39,234 Columbia Gas of Pennsylvania, Inc. 11,211 1,564 789 136 1,513 4,175 19,388 Columbia Gas of Virginia, Inc. 4,845 626 (1,225) 16 927 5,871 11,060 Columbia Gas Transmission Corporation 31,978 4,553 6,536 505 6,361 6,941 56,874 Columbia Gulf Transmission Company 6,389 957 4,024 84 479 1,405 13,338 Columbia LNG Corporation 52 3 32 87 Columbia Network Services Corporation 36 20 6 62 Columbia Pipeline Corporation 4 2 6 Columbia Remainder Corporation 155 (1,340) 3,089 1,904 Columbia Service Partners 21 3 13 34 71 Columbia Transcom Company 55 4 131 8,653 8,843 Crossroads Pipeline Company 8 11 38 16 73 Energy USA, Inc 2,338 19 742 215 1,987 5,301 Granite State Gas 285 91 167 (3) 543 Indianapolis Water Resources 6 2,959 2,965 IWC Resource Corporation 2,046 14 77 25 1,780 (3) 3,942 Kokomo Gas and Fuel Company 1,040 4 145 45 382 (3) 1,616 NiSource Capital Markets 1 1 NiSource Development Company, Inc 30 (82) 46 (6) NiSource Energy Services, Inc 20 15 35 NiSource Energy Technology 591 6 20 137 (3) 754 NiSource Finance Company 13 43 56 NiSource Insurance Corporation, Ltd. 4 20 24 NiSource Pipeline Group, Inc 5 - 5 NiSource, Inc. -121 (91) 601 2,129 2,518 Northern Indiana Fuel and Light Company 1,397 111 76 315 (3) 1,899 Northern Indiana Public Merchant 309 22 512 434 1,277 Northern Indiana Public Service Company 69,866 1,908 13,217 658 20,373 (3) 106,022 Northern Utilities Maine 2,283 140 120 1,124 (3) 3,667 Northern Utilities New Hampshire 691 194 138 211 (3) 1,234 Primary Energy, Inc 1,311 50 1,180 353 (3) 2,894 SM&P Resources, Inc 3,033 2,740 5,773 --------- -------- ---------- --------- --------- ---------- ----------- Total 207,396 16,118 32,586 3,201 16,947 530,939 807,187 ========= ======== ========== ========= ========= ========== =========== 1) Primarily reflects a service offered by the Corporate Treasury Department to provide a non-repetitive electronic funds transfer. 2) Interest and principal payments on long term debentures made on behalf of CEG. 3) Includes one month of payroll. Page 12 ANNUAL REPORT OF NISOURCE CORPORATE SERVICES COMPANY, INC. For the Year Ended December 31, 2002 SCHEDULE VI - FUEL STOCK EXPENSES UNDISTRIBUTED INSTRUCTIONS: Report the amount of labor and expenses incurred with respect to fuel stock expenses 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 service company. DESCRIPTION LABOR EXPENSES TOTAL --------------- --------------- ----------------- $000 $000 $000 Account 152 - Fuel Stock Expenses Undistributed None None None --------------- --------------- ----------------- TOTAL None None None SUMMARY: Not Applicable Page 13 ANNUAL REPORT OF NISOURCE CORPORATE SERVICES For the Year Ended December 31, 2002 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. DESCRIPTION LABOR EXPENSES TOTAL ----------------------------------------------- ----------------- ----------------- ----------------- $000 $000 $000 Account 163 - Stores Expenses Undistributed None None None ----------------- ----------------- ----------------- TOTAL None None None Page 14 ANNUAL REPORT OF NISOURCE CORPORATE SERVICES COMPANY, INC. For the Year Ended December 31, 2002 SCHEDULE VIII MISCELLANEOUS CURRENT AND ACCRUED ASSETS INSTRUCTIONS: Provide detail of items in this account. Items less than $10,000 may be grouped, showing the number of items in each group. BALANCE AT BALANCE AT BEGINNING CLOSE DESCRIPTION OF YEAR OF YEAR ---------------------------------------------------------------------- ----------------- ----------------- $000 $000 Account 174 - Miscellaneous Current and Accrued Assets 2,099 1,317 Non-Compete Deferred Debit (Amortized over 15 Years Phantom Stock) ----------------- ----------------- TOTAL 2,099 1,317 Page 15 ANNUAL REPORT OF NISOURCE CORPORATE SERVICES COMPANY, INC. 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. BALANCE AT BALANCE AT BEGINNING CLOSE DESCRIPTION OF YEAR OF YEAR ---------- ---------- $ 000 $ 000 ACCOUNT 186 - MISCELLANEOUS DEFERRED DEBITS Other Post Retirement Employee Benefits 8,636 10,699 Deferred Insurance Receivables 3,299 1,953 Intangible Asset - Pension Restoration Plan 1,127 21,232 Misc. Deferred Property -- 7,375 ------- ------- TOTAL 13,062 41,259 Page 16 ANNUAL REPORT OF NISOURCE CORPORATE SERVICES COMPANY, INC. For the Year Ended December 31, 2002 SCHEDULE X RESEARCH, DEVELOPMENT OR DEMONSTRATION EXPENDITURES INSTRUCTIONS: Provide description of each material research, development, or demonstration project which incurred costs by the service corporation during the year. DESCRIPTION AMOUNT -------------------------------------------------------------------------- ------ $000 None ------ TOTAL None Page 17 ANNUAL REPORT OF NISOURCE CORPORATE SERVICES COMPANY, INC. For the Year Ended December 31, 2002 SCHEDULE XI - PROPRIETARY CAPITAL OUTSTANDING CLOSE OF PERIOD NUMBER OF SHARES PAR OR STATED VALUE -------------------------------- ACCOUNT NUMBER CLASS OF STOCK AUTHORIZED PER SHARE NO. OF SHARES TOTAL AMOUNT -------------- -------------- ----------------- ------------------- ------------- ------------ 201 COMMON STOCK 4,000 $100 4,000 $400,000 INSTRUCTIONS: Classify amounts in each account with brief explanation, disclosing the general nature of transactions which give rise to the reported amount. DESCRIPTION AMOUNT ----------- ------ ACCOUNT 211 - MISCELLANEOUS PAID-IN CAPITAL $0 ACCOUNT 215 - APPROPRIATED RETAINED EARNINGS ------ TOTAL $0 INSTRUCTIONS: Give particulars concerning net income or (loss) during the year, distinguishing between compensation for the use of capital owed or net loss remaining from servicing nonassociates per the General Instructions of the Uniform System of Accounts. For dividends paid during the year in cash or otherwise, provide rate percentage, amount of dividend, date declared and date paid. BALANCE AT BALANCE AT BEGINNING NET INCOME DIVIDENDS CLOSE DESCRIPTION OF YEAR OR (LOSS) PAID OF YEAR ------------------------------------------------- ---------- ---------- --------- ---------- $000 $000 $000 $000 ACCOUNT 216 - UNAPPROPRIATED RETAINED EARNINGS Rate/Share Amount of Dividend Date Declared Date Paid ---------- ------------------ ------------- --------- $ $000 ----------------------------------------------------------------------------- ---------- ---------- --------- --------- TOTAL - - - - Page 18 ANNUAL REPORT OF NISOURCE CORPORATE SERVICES COMPANY, INC. For the Year Ended December 31, 2002 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. BALANCE TERMS OF OBLIG DATE BALANCE AT AT CLASS & SERIES OF INTEREST AMOUNT BEGINNING DEDUCTIONS CLOSE NAME OF CREDITOR OF OBLIGATION MATURITY RATE AUTHORIZED OF YEAR ADDITIONS (1) OF YEAR ---------------- ------------- -------- --------- ---------- --------- --------- --------- ------- % $000 $000 $000 $000 $000 ACCOUNT 223 - ADVANCES FROM ASSOCIATE COMPANIES: Columbia Energy Group Promissory Note 11/28/05 7.30 2,246 2,246 - - 2,246 Columbia Energy Group Promissory Note 11/28/07 7.55 2,246 2,246 - - 2,246 Columbia Energy Group Promissory Note 11/28/10 7.82 2,246 2,246 - - 2,246 Columbia Energy Group Promissory Note 03/01/14 7.33 12,700 12,700 - - 12,700 Columbia Energy Group Promissory Note 11/28/15 7.92 2,246 2,246 - - 2,246 Columbia Energy Group Promissory Note 11/28/25 8.12 2,246 2,246 - - 2,246 ACCOUNT 224 - OTHER LONG-TERM DEBT: - - - - - TOTAL 23,930 23,930 - - 23,930 Page 19 ANNUAL REPORT OF NISOURCE CORPORATE SERVICES COMPANY, INC. For the Year Ended December 31, 2002 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. BALANCE AT BALANCE AT BEGINNING CLOSE DESCRIPTION OF YEAR OF YEAR ------------------------------------------------------------------- ---------- ---------- $000 $000 ACCOUNT 233 - NOTES PAYABLE TO ASSOCIATE COMPANIES Installment Promissory Note - Current Note 11/28/02 - 7.11% 2,246 -- Nisource, Inc. 19,233 74 ---------- ---------- TOTAL 21,479 74 ACCOUNT 234 - ACCOUNTS PAYABLE TO ASSOCIATE COMPANIES Bay State Gas Company 25 -- Columbia Energy Group 4,890 4,514 Columbia Gas of Kentucky, Inc. 13 2 Columbia Gas of Maryland, Inc. 11 -- Columbia Gas of Ohio, Inc. 1,988 387 Columbia Gas of Pennsylvania, Inc. 160 -- Columbia Gas of Virginia, Inc. 137 8 Columbia Gas Transmission Corporation 1,401 525 Columbia Gulf Transmission Company 98 150 Energy USA, Inc 1,762 -- NiSource Development Company, Inc 351 208 NiSource, Inc. 30,879 5,037 NiSource Crossroads Pipeline 206 -- Northern Indiana Public Service Company 6,565 1,321 Primary Energy, Inc 68 -- System Money Pool Interest 340 72 System Money Pool Principal 116,981 37,443 ---------- ---------- TOTAL 165,875 49,667 ACCOUNT 242 - MISCELLANEOUS CURRENT AND ACCRUED LIABILITIES Deferred Compensation 3,906 5,325 Accrued Vacation 6,548 7,998 LTIP Dividend Credit -- -- Retirement Income Plan (497) 2,418 Pension Retirement Benefits 2,250 2,250 Thrift Restoration Plan 1,642 2,101 Pension Restoration Plan 334 4,178 401k Loan 793 -- Building 215 -- Flexible Spending 213 1,135 SICA Group Life 202 313 Comprehensive Medical Expense Plan Accrual 258 813 Employee Thrift Plan (217) 1,745 Post Employment Benefit Obligation 74 74 Thrift Plan - Company 60 60 Credit Union - 31 -- United Way (95) (72) Contract Retainage 174 (152) Aircraft Engine Overhaul Accrual 7 -- Dental Assistance Plan Accrual 412 28 Phantom Stock 600 600 Restricted Stock Options 8,879 9,883 Contingent Stock -- 6,641 Severance- 11,545 10,374 Job Placement - 1,026 793 Relocation - 3,341 9 Miscellaneous 2,630 1,028 Voluntary Personal Accident Insurance (16) (20) Employment Agreements 24 -- Release & Retention Program 18 -- ---------- ---------- TOTAL 44,357 57,522 Page 20 SCHEDULE XIII-A ANNUAL REPORT OF NISOURCE CORPORATE SERVICES COMPANY, INC. Notes Payable to Associate Companies Account 233 Balance at Balance at Beginning Close of Year of Year ---------- ---------- $000 $000 Columbia Energy Group 6.89% Installment Promissory Note None None 7.11% Installment Promissory Note 2,246 None 7.30% Installment Promissory Note None None 7.55% Installment Promissory Note None None 7.82% Installment Promissory Note None None 7.33% Installment Promissory Note None None 7.92% Installment Promissory Note None None 8.12% Installment Promissory Note None None ---------- ---------- Total 2,246 None ========== ========== Page 21 ANNUAL REPORT OF NISOURCE CORPORATE SERVICES COMPANY, INC. For the Year Ended December 31, 2002 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. 1. SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES a. Property, Plant and Equipment and Related Depreciation Property, Plant and Equipment is stated at historical cost. Depreciation is provided on a composite straight-line basis using the average of depreciable property at the beginning and end of each year. b. Income Taxes The Corporation provides deferred taxes with respect to timing differences in the recognition of revenues and expenses for tax and accounting purposes. The major difference results from using accelerated depreciation for tax purposes. The Corporation is included in the Consolidated Federal Income Tax Return filed for NiSource, Inc. c. Pension Costs The Corporation participates in the NiSource, Inc. Pension Plan and the Retirement Income Plan of the Columbia Energy Group. These are trusteed noncontributory pension plans which, with certain exceptions, cover all regular employees. NiSource Corporate Services Company, Inc.'s portion was $2,915,000 in 2002 and $1,794,000 in 2001. d. Leases Payments made by the Corporation in connection with operating leases are charged to expense incurred. No capitalized leases existed in 2002. e. Account Numbers The Corporation uses certain FERC accounts which do not match existing SEC accounts; therefore, the year-end balances of the following FERC accounts were reclassified to a corresponding SEC account. Account Number -------------------- Year-End Account Description FERC SEC Balance ------------------- ---- --- -------- $000 Interest Receivable 171 143 35 Deferred Income Taxes 283 282 90 Page 22 ANNUAL REPORT OF NISOURCE CORPORATE SERVICES COMPANY, INC. For the Year Ended December 31, 2002 SCHEDULE XIV NOTES TO FINANCIAL STATEMENTS f. Post-Retirement Benefits Other Than Pensions During 1991, the System adopted SFAS No. 106, Employer's Accounting for Post-Retirement Benefits Other Than Pensions, retroactive to January 1, 1991. The Corporation has elected to record and defer the full amount of its estimated accumulated post-retirement obligations other than pensions. These obligations total $7,920,378 as of December 31, 2002, and represent the actuarial present value of the post-retirement benefits to be paid to current employees and retirees based on services rendered. g. System Money Pool The Parent Company and its subsidiaries participate in the System Money Pool (Pool) which is administered by the Corporation on behalf of the participants. Participants invest their excess funds to the Pool. Short-term financing requirements of participants, with the exception of the Parent Company, are satisfied by advances from the Pool. Excess funds in the Pool are invested by the Corporation on a short-term basis on behalf of the depositors. Participants depositing funds in the Pool share in the interest earned on these investments plus interest paid to the Pool by borrowers on a basis proportionate to their investment in the Pool. Participants borrowing from the Pool pay interest at the rate equivalent to the composite rate on short-term transactions of the Pool. Participants may withdraw their investments in the Pool at any time. Borrowings from the Pool are payable on demand, and may be prepaid at any time without premium or penalty. h. Restructuring Activities For the year ended December 31, 2002, liabilities were recorded for termination benefits related to the corporate restructuring initiative and other cost reduction programs. NiSource Corporate Services portion expensed in 2002 was $6,358,160 for severance and $745,400 for job placement. Page 23 ANNUAL REPORT OF NISOURCE CORPORATE SERVICES COMPANY, INC, For the Year ended December 31, 2002 -------------------------------------------------------------------------------- SCHEDULE XV STATEMENT OF INCOME -------------------------------------------------------------------------------- 2002 2001 ------------ ---------- ACCOUNT DESCRIPTION CURRENT YEAR PRIOR YEAR ------- ---------------------------------------------- ------------ ---------- $000 $000 INCOME 457 Services rendered to associate companies 304,443 339,527 458 Services rendered to nonassociate companies -- -- 417 Interest Revenue 1 -- 419 Interest Revenue - Other 187 8 421 Miscellaneous Income or Loss -- -- --------- --------- Total Income 304,631 339,535 EXPENSE 920 Salaries and wages 139,915 120,210 921 Office supplies and expenses 11,997 38,421 922 Administrative expense transferred - credit -- 4,961 923 Outside services employed 72,981 93,227 924 Property insurance 49 (10) 925 Injuries and damages 1,249 729 926 Employee pensions and benefits 24,846 18,428 928 Regulatory commission expense -- -- 930.1 General advertising expenses 542 1,065 930.2 Miscellaneous general expenses 2,909 (1,361) 931 Rents 19,700 31,298 932 Maintenance of structures and equipment 8,510 8,666 403 Depreciation and amortization expense 8,032 8,288 408 Taxes other than income taxes 9,844 8,129 409 Income taxes 11,571 (11,889) 410 Provision for deferred income taxes 59,405 28,559 411 Provision for deferred income taxes - credit (72,240) (16,174) 426.1 Donations 255 984 426.3 Other deductions 2 4 430 Interest on debt to associate companies 4,078 5,688 431 Other interest expense 986 312 --------- --------- Total Expense 304,631 339,535 --------- --------- Net Income or (Loss) -- -- ========= ========= Page 24 ANNUAL REPORT OF NISOURCE CORPORATE SERVICES COMPANY, INC, For the Year ended December 31, 2002 -------------------------------------------------------------------------------- ANALYSIS OF BILLING ASSOCIATE COMPANIES ACCOUNT 457 -------------------------------------------------------------------------------- DIRECT INDIRECT COMPENSATION TOTAL COSTS COSTS FOR USE AMOUNT NAME OF ASSOCIATE COMPANY CHARGED CHARGED OF CAPITAL BILLED ------------------------------------------------ ------- ------- ------------ -------- 457-1 457-2 457-3 ------- ------- ------- $000 $000 $000 $000 Bay State Gas Company 2,664 968 4 3,636 Bay State Massachusetts 15,336 6,551 161 22,048 Columbia Atlantic Trading Corporation 9 8 -- 17 Columbia Energy Group 3,437 217 3 3,657 Columbia Energy Group Capital Corporation 10 9 -- 19 Columbia Energy Resources, Inc. 9,468 5,008 94 14,570 Columbia Energy Services Corporation 528 156 3 687 Columbia Finance Company 12 9 -- 21 Columbia Gas of Kentucky, Inc. 5,173 2,669 54 7,896 Columbia Gas of Maryland, Inc. 1,787 1,026 21 2,834 Columbia Gas of Ohio, Inc. 39,840 18,338 370 58,548 Columbia Gas of Pennsylvania, Inc. 14,971 7,310 147 22,428 Columbia Gas of Virginia, Inc. 11,620 5,572 111 17,303 Columbia Gas Transmission Corporation 33,925 14,705 313 48,943 Columbia Gulf Transmission Company 7,420 3,737 78 11,235 Columbia LNG Corporation 13 15 -- 28 Columbia Network Services Corporation 23 22 0 45 Columbia Remainder Corporation 742 121 2 865 Columbia Service Partners 468 44 1 513 Columbia Transmission Communications Corporation 3,049 399 7 3,455 Energy USA, Inc 5,976 4,029 59 10,064 Granite Gas Transmission 173 107 3 283 Indianapolis Water Resources 27 2 -- 29 IWC Resource Corporation 1,457 547 9 2,013 Kokomo Gas and Fuel Company 573 225 5 803 NiSource Capital Markets 8 9 -- 17 NiSource Crossroads Pipeline 209 126 3 338 NiSource Development Company, Inc 483 248 5 736 NiSource Energy Services, Inc 1,859 51 1 1,911 NiSource Energy Technology 279 100 2 381 NiSource Finance Company 223 42 1 266 NiSource Insurance Corporation, Ltd 79 44 1 124 NiSource Pipeline Group, Inc 54 37 -- 91 NiSource, Inc. 4,386 621 9 5,016 Northern Indiana Fuel and Light Company 920 650 10 1,580 Northern Indiana Public Merchant 9,417 3,456 59 12,932 Northern Indiana Public Service Company 40,111 16,911 350 57,372 Northern Utilities Maine 1,390 686 16 2,092 Northern Utilities New Hampshire 1,581 800 19 2,400 Primary Energy, Inc 4,243 1,267 23 5,533 SM&P Resources, Inc 283 80 1 364 ------- ------- ------- -------- Total Amount Billed in 2002 224,226 96,922 1,945 323,093 Reconciliation to Total Revenues: Difference between Amount of Unbilled Revenue December 2001 and December 2002 852 (21,635) 2,133 (18,650) ------- ------- ------- -------- 225,078 75,287 4,078 304,443 ======= ======= ======= ======== Page 25 ANNUAL REPORT OF NISOURCE CORPORATE SERVICES COMPANY, INC, For the Year Ended December 31, 2002 -------------------------------------------------------------------------------- ANALYSIS OF BILLING NONASSOCIATE COMPANIES ACCOUNT 458 -------------------------------------------------------------------------------- DIRECT INDIRECT COMPENSATION COST COST FOR USE TOTAL EXCESS OR AMOUNT NAME OF NONASSOCIATE COMPANY CHARGED CHARGED OF CAPITAL COST DEFICIENCY BILLED ---------------------------- ------- -------- ------------ ----- ---------- ------ 458-1 458-2 458-3 458-4 ------- -------- ------------ ---------- N/A $000 $000 $000 $000 $000 -------------------------------------------------------------------------------- INSTRUCTION: Provide a brief description of the services rendered to each nonassociate company: Page 26 ANNUAL REPORT OF NISOURCE CORPORATE SERVICES COMPANY, INC. For the Year Ended December 31, 2002 -------------------------------------------------------------------------------- Schedule XVI ANALYSIS OF CHARGES FOR SERVICE ASSOCIATE AND NONASSOCIATE COMPANIES -------------------------------------------------------------------------------- ASSOCIATE COMPANY NONASSOCIATE COMPANY TOTAL CHARGES FOR CHARGES CHARGES SERVICE ---------------------------- ------------------------ ------------------------------ DESCRIPTION OF ITEMS DIRECT INDIRECT DIRECT INDIRECT DIRECT INDIRECT COST COST TOTAL COST COST TOTAL COST COST TOTAL ----------------------------------- ------- ------- ------- ------- -------- ----- ------- -------- ------- $000 $000 $000 $000 $000 $000 $000 $000 $000 920 Salaries and Wages 109,781 30,134 139,915 -- -- -- 109,781 30,134 139,915 921 Office Supplies and Expenses 8,196 3,801 11,997 -- -- -- 8,196 3,801 11,997 922 Administrative Expenses Transferred -- Credit 1,872 (1,872) -- -- -- -- 1,872 (1,872) -- 923 Outside Services Employed 68,860 4,121 72,981 -- -- -- 68,860 4,121 72,981 924 Property Insurance 37 12 49 -- -- -- 37 12 49 925 Injuries and Damages 691 558 1,249 -- -- -- 691 558 1,249 926 Employee Pensions and Benefits 945 23,901 24,846 -- -- -- 945 23,901 24,846 928 Regulatory Commission Expense -- -- -- -- -- -- -- -- -- 930.1 General Advertising Expenses 470 72 542 -- -- -- 470 72 542 930.2 Miscellaneous General Expense 3,166 (257) 2,909 -- -- -- 3,166 (257) 2,909 931 Rents 19,647 53 19,700 -- -- -- 19,647 53 19,700 932 Maintenance of Structure and Equipment 5,579 2,931 8,510 -- -- -- 5,579 2,931 8,510 403 Depreciation and Amortization Expense 5,470 2,562 8,032 -- -- -- 5,470 2,562 8,032 408 Taxes Other Than Income Taxes 122 9,722 9,844 -- -- -- 122 9,722 9,844 409 Income Taxes -- 11,571 11,571 -- -- -- -- 11,571 11,571 410 Provision for Deferred Income Taxes -- 59,405 59,405 -- -- -- -- 59,405 59,405 411 Provision for Deferred Income Taxes -- -- -- -- Credit -- (72,240) (72,240) -- -- -- -- (72,240) (72,240) 417 Interest on Money Mkt Sweep Account -- (1) (1) -- -- -- -- (1) (1) 419 Other Interest (2) (185) (187) (2) (185) (187) 426.1 Donations 244 11 255 -- -- -- 244 11 255 426.5 Other Deductions -- 2 2 -- -- -- -- 2 2 427 Interest on Long-Term Debt -- -- -- -- -- -- -- -- -- 431 Other Interest Expense -- 986 986 -- -- -- -- 986 986 ----------------------------------- ------- ------- ------- ------- -------- ----- ------- -------- ------- Instructions: Total cost of service will equal the amount billed to associate and nonassociate companies under their separate analysis of billing schedules. ----------------------------------- ------- ------- ------- ------- -------- ----- ------- -------- ------- Total Expenses 225,078 75,287 300,365 -- -- -- 225,078 75,287 300,365 ------- ------- ------- ------- -------- ----- ------- -------- ------- 430 Interest on Short-Term Debt 2,133 2,133 ------- ------- ------- ------- Compensation for Use of Capital-Associated Companies ------- ------- 430 Intercompany Interest on Indebtedness 1,945 1,945 ------- ------- Compensation for Use of Equity Capital -- -- ------- ------- Total Cost of Service 304,443 304,443 ---------------------------------------------------------------------------------------------------------------------------------- Page 27 ANNUAL REPORT OF NISOURCE CORPORATE SERVICES COMPANY, INC. For the Year Ended December 31, 2002 -------------------------------------------------------------------------------- Schedule XVII SCHEDULE OF EXPENSE DISTRIBUTION BY DEPARTMENT OR SERVICE FUNCTION -------------------------------------------------------------------------------- DEPARTMENT OR SERVICE FUNCTION ------------------------------------------------- AIR CONSOL- TOTAL ACCOUNTING TRANS- IDATION DESCRIPTION OF ITEMS AMOUNT OVERHEAD SERVICES PORTATION AUDITING ACCOUNTING ----------------------------------------------------- ---------- ---------- ---------- ---------- ---------- ---------- 920 Salaries and Wages 139,915 30,134 6,833 100 1,490 1,068 921 Office Supplies and Expenses 11,997 3,801 235 165 86 47 922 Administrative Expenses Transferred - -- -- -- -- -- Credit -- (1,872) -- -- -- -- 923 Outside Services Employed 72,981 4,121 782 884 73 92 924 Property Insurance 49 12 -- -- -- -- 925 Injuries and Damages 1,249 558 -- -- -- -- 926 Employee Pensions and Benefits 24,846 23,901 (98) -- (21) (1) 928 Regulatory Commission Expense -- -- -- -- -- -- 930.1 General Advertising Expense 542 72 -- -- -- -- 930.2 Miscellaneous General Expense 2,909 (257) 1,028 287 19 13 931 Rents 19,700 53 1 505 -- -- 932 Maintenance of Structures and Equipment 8,510 2,931 3 -- -- -- 403 Depreciation and Amortization Expense 8,032 2,562 -- 506 -- -- 408 Taxes Other Than Income Taxes 9,844 9,722 -- -- -- -- 409 Income Taxes 11,571 11,571 -- -- -- -- 410 Provision for Deferred Income Taxes 59,405 59,405 -- -- -- -- 411 Provision for Deferred Income Taxes - -- -- -- -- -- -- Credit (72,240) (72,240) -- -- -- -- 411.5 Investment Tax Credit (1) (1) -- -- -- -- 419 Other Interest (187) (185) -- -- -- -- 421 Miscellaneous Income or Loss -- -- -- -- -- -- 426.1 Donations 255 11 -- -- -- -- 426.3 Other Deductions 2 2 -- -- -- -- 427 Interest on Long-Term Debt -- -- -- -- -- -- 430 Interest on Debt to Associate Companies 4,078 -- -- -- -- -- 431 Other Interest Expense 986 986 -- -- -- -- ----------------------------------------------------- Instruction: Indicate each department or service function. (See Instruction 01-3 General Structure of Accounting System: Uniform System Account) ----------------------------------------------------- ---------- ---------- ---------- ---------- ---------- ---------- Total Expenses 304,443 75,287 8,784 2,447 1,647 1,219 ----------------------------------------------------- ---------- ---------- ---------- ---------- ---------- ---------- DEPARTMENT OR SERVICE FUNCTION ------------------------------------------------- CORPORATE COMMUNI- CORPORATE CORPORATE CORPORATE DESCRIPTION OF ITEMS CATIONS PLANNING SECRETARY TREASURY ----------------------------------------------------- ---------- ---------- ----------- ---------- 920 Salaries and Wages 865 489 252 1,093 921 Office Supplies and Expenses 33 80 16 14 922 Administrative Expenses Transferred - -- -- -- -- Credit -- -- -- -- 923 Outside Services Employed 74 9 1,457 219 924 Property Insurance -- -- -- -- 925 Injuries and Damages -- -- -- -- 926 Employee Pensions and Benefits -- -- -- -- 928 Regulatory Commission Expense -- -- -- -- 930.1 General Advertising Expense -- -- -- -- 930.2 Miscellaneous General Expense 3 5 64 410 931 Rents -- 2 -- -- 932 Maintenance of Structures and Equipment -- -- -- 6 403 Depreciation and Amortization Expense -- -- -- -- 408 Taxes Other Than Income Taxes -- -- -- -- 409 Income Taxes -- -- -- -- 410 Provision for Deferred Income Taxes -- -- -- -- 411 Provision for Deferred Income Taxes - -- -- -- -- Credit -- -- -- -- 411.5 Investment Tax Credit -- -- -- -- 419 Other Interest -- -- -- -- 421 Miscellaneous Income or Loss -- -- -- -- 426.1 Donations 3 -- 1 -- 426.3 Other Deductions -- -- -- -- 427 Interest on Long-Term Debt -- -- -- -- 430 Interest on Debt to Associate Companies -- -- -- -- 431 Other Interest Expense -- -- -- -- ----------------------------------------------------- Instruction: Indicate each department or service function. (See Instruction 01-3 General Structure of Accounting System: Uniform System Account) ----------------------------------------------------- ---------- ---------- ---------- ---------- Total Expenses 978 585 1,790 1,742 ----------------------------------------------------- ---------- ---------- ---------- ---------- Page 28 ANNUAL REPORT OF NISOURCE CORPORATE SERVICES COMPANY, INC. For the Year Ended December 31, 2002 -------------------------------------------------------------------------------- Schedule XVII SCHEDULE OF EXPENSE DISTRIBUTION BY DEPARTMENT OR SERVICE FUNCTION -------------------------------------------------------------------------------- DEPARTMENT OR SERVICE FUNCTION -------------------------------------------------------------------------------- ENTERPRISE ENVIRON- Account ED ENERGY USA MULTIMEDIA MENTAL Number MARKETING TPC COMMUNICATIONS AFFAIRS EXECUTIVE -------------------- ----------------- ----------------- ----------------- ----------------- ----------------- $000 $000 $000 $000 $000 920 2,262 1,452 1,911 6,222 22,086 921 166 6 446 706 708 922 -- -- -- -- -- 923 828 42 460 282 8,168 924 -- -- -- -- -- 925 -- -- -- -- 3 926 -- 32 1 -- 848 928 -- -- -- -- -- 930.1 -- -- 433 -- -- 930.2 26 -- 216 82 211 931 -- -- 5 147 (498) 932 -- -- 3 -- 6 403 -- -- -- -- -- 408 -- -- -- -- -- 409 -- -- -- -- -- 410 -- -- -- -- -- 411 -- -- -- -- -- 411.5 -- -- -- -- -- 419 -- -- -- -- (2) 421 -- -- -- -- -- 426.1 -- -- 156 15 56 426.5 -- -- -- -- -- 427 -- -- -- -- -- 430 -- -- -- -- 4,078 431 -- -- -- -- -- -------------------- ----------------- ----------------- ----------------- ----------------- ----------------- Total Expenses 3,282 1,532 3,631 7,454 35,664 ---------------------------------------------------------------------------------------------------- Account FACILITIES FINANCE & FLEET GOVERNMENTAL Number MGMT STRATEGY MANAGEMENT GAS SUPPLY AFFAIRS -------------------- ----------------- ----------------- ----------------- ----------------- ----------------- $000 $000 $000 $000 $000 920 759 3,034 1,496 7,556 293 921 16 176 55 207 42 922 1,872 -- -- -- -- 923 46 4,462 2 614 118 924 -- -- -- -- -- 925 -- -- -- -- -- 926 119 -- -- 33 -- 928 -- -- -- -- -- 930.1 -- -- -- -- -- 930.2 10 10 4 12 1 931 7,960 -- -- 2 76 932 1,253 -- -- 12 -- 403 60 2 -- -- -- 408 (86) -- -- -- -- 409 -- -- -- -- -- 410 -- -- -- -- -- 411 -- -- -- -- -- 411.5 -- -- -- -- -- 419 -- -- -- -- -- 421 -- -- -- -- -- 426.1 -- -- -- -- 3 426.5 -- -- -- -- -- 427 -- -- -- -- -- 430 -- -- -- -- -- 431 -- -- -- -- -- -------------------- ----------------- ----------------- ----------------- ----------------- ----------------- Total Expenses 12,009 7,684 1,557 8,436 533 ---------------------------------------------------------------------------------------------------- Page 29 ANNUAL REPORT OF NISOURCE CORPORATE SERVICES COMPANY, INC. For the Year Ended December 31, 2002 -------------------------------------------------------------------------------- Schedule XVII SCHEDULE OF EXPENSE DISTRIBUTION BY DEPARTMENT OR SERVICE FUNCTION -------------------------------------------------------------------------------- DEPARTMENT OR SERVICE FUNCTION -------------------------------------------------------------------------------- Account INFORMATION INVESTOR MATERIALS & Number TECHNOLOGY RELATIONS LEGAL SUPPLIES PAYROLL -------------------- ----------------- ----------------- ----------------- ----------------- ----------------- $000 $000 $000 $000 $000 920 33,410 359 4,860 2,711 184 921 3,416 62 545 66 7 922 -- -- -- -- -- 923 13,351 117 33,284 50 (23) 924 -- -- -- -- -- 925 -- -- -- -- -- 926 7 -- 3 -- -- 928 -- -- -- -- -- 930.1 6 -- 20 2 -- 930.2 320 3 225 1 32 931 11,402 3 1 1 -- 932 4,296 -- -- -- -- 403 4,902 -- -- -- -- 408 208 -- -- -- -- 409 -- -- -- -- -- 410 -- -- -- -- -- 411 -- -- -- -- -- 411.5 -- -- -- -- -- 419 -- -- -- -- -- 421 -- -- -- -- -- 426.1 3 -- 1 -- -- 426.5 -- -- -- -- -- 427 -- -- -- -- -- 430 -- -- -- -- -- 431 -- -- -- -- -- -- -- -------------------- ----------------- ----------------- ----------------- ----------------- ----------------- Total Expenses 71,321 544 38,939 2,831 200 ---------------------------------------------------------------------------------------------------- Account PROCURE- REG. & RISK Number MENT GOVT. MANAGEMENT SECURITY TAX -------------------- ----------------- ----------------- ----------------- ----------------- ----------------- $000 $000 $000 $000 $000 920 596 2,944 1,443 128 1,680 921 54 443 137 21 77 922 -- -- -- -- -- 923 158 2,478 66 23 486 924 -- -- 37 -- -- 925 -- -- 688 -- -- 926 -- 84 (73) -- -- 928 -- -- -- -- -- 930.1 1 8 -- -- -- 930.2 1 133 2 14 7 931 1 18 1 -- 1 932 -- -- -- -- -- 403 -- -- -- -- -- 408 -- -- -- -- -- 409 -- -- -- -- -- 410 -- -- -- -- -- 411 -- -- -- -- -- 411.5 -- -- -- -- -- 419 -- -- -- -- -- 421 -- -- -- -- -- 426.1 -- 6 -- -- -- 426.5 -- -- -- -- -- 427 -- -- -- -- -- 430 -- -- -- -- -- 431 -- -- -- -- -- -- -- -- -- -- -------------------- ----------------- ----------------- ----------------- ----------------- ----------------- Total Expenses 811 6,114 2,301 186 2,251 ---------------------------------------------------------------------------------------------------- Page 30 ANNUAL REPORT OF NISOURCE CORPORATE SERVICES COMPANY, INC. For the Year Ended December 31, 2002 DEPARTMENTAL ANALYSIS OF SALARIES ACCOUNT 920 -------------------------------------------------------------------------------- DEPARTMENTAL SALARY EXPENSE -------------------------------------------------- NUMBER INCLUDED IN AMOUNTS BILLED TO PERSONNEL NAME OF DEPARTMENT -------------------------------------------------- --------- Indicate each department or TOTAL PARENT OTHER NON END OF service function AMOUNT COMPANY ASSOCIATES ASSOCIATES YEAR ----------------------------------- ------- ------- ---------- ---------- ------- $000 $000 $000 $000 Accounting Services 6,833 93 6,740 -- 136 Air Transportation 100 -- 100 -- 2 Auditing 1,490 31 1,459 -- 23 Consolidation Accounting 1,068 37 1,031 -- 18 Corporate Communications 865 -- 865 -- 7 Corporate Planning 489 17 472 -- 5 Corporate Secretary 252 3 249 -- 3 Corporate Treasury 1,093 20 1,073 -- 10 ED Marketing 2,262 -- 2,262 -- 39 Energy USA -- TPC 1,452 -- 1,452 -- 4 Enterprise Multimedia Communication 1,912 -- 1,912 -- 23 Environmental Affairs 6,223 42 6,181 -- 87 Executive 22,086 5,166 16,920 -- 42 Facilities Management 759 12 747 -- 16 Finance & Strategy 3,034 -- 3,034 -- 50 Fleet Management 1,496 -- 1,496 -- 25 Gas Supply 7,556 -- 7,556 -- 85 Governmental Affairs 293 -- 293 -- 2 Human Resources/ Benefits 2,205 -- 2,205 -- 40 Information Technology 33,410 2 33,408 -- 501 Investor Relations 359 4 355 -- 3 Legal 4,860 1 4,859 -- 49 Materials and Supplies 2,711 -- 2,711 -- 38 Payroll 184 -- 184 -- 9 Procurement 596 -- 596 -- 9 Reg. & Govt 2,944 -- 2,944 -- 44 Risk Management 1,443 -- 1,443 -- 13 Security 127 3 124 -- 5 Tax 1,679 49 1,630 -- 28 ------- ----- ------- -- ----- Total 109,781 5,480 104,301 -- 1,316 ------- ----- ------- -- ----- Page 31 ANNUAL REPORT OF NISOURCE CORPORATE SERVICES COMPANY, INC. For the Year Ended December 31, 2002 -------------------------------------------------------------------------------- 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 the amount of all such payments included within the subaccount need be shown. Provide a subtotal for each type of service. RELATIONSHIP ------------ "A"= ASSOCIATE FOR WHOM PURCHASED ADDRESS "NA"= NON-ASSOCIATE AMOUNT ------------------ ------- ------------------ ------ $000 See schedule 923-A 72,981 Page 32 SCHEDULE 923-A ANNUAL REPORT OF NISOURCE CORPORATE SERVICES COMPANY, INC. OUTSIDE SERVICES EMPLOYED ACCOUNT 923 RELATIONSHIP "A"=ASSOCIATE AMOUNT "NA"=NON --------------- FOR WHOM PURCHASED ADDRESS ASSOCIATE $000 $000 ------------------------------- ---------------------------------------------------------- ------------- ------ ------ 1-Special Services - Audit ARTHUR ANDERSEN LLP P.O. BOX 13882, NEWARK, NJ 07188-0882 NA 531 Total Special Services - Audit 531 ------ 2-Special Services - Legal AKIN,GUMP,STRAUSS,HAUER&FELD 1900 PENNZOIL PL - SOUTH TWR, HOUSTON, TX 77002 NA 864 BAKER & DANIELS 300 N MERIDAN ST STE 2700, INDIANAPOLIS, IN 46204-1750 NA 536 BAKER, DONELSON, BEARMAN & 165 MADISON AVE STE 2000, MEMPHIS, TN 38103-2799 NA 101 BORDEN LADNER GERVAIS LLP 400 3RD AVE SW STE 1000, CALGARY, AB T2P 4H2 NA 345 BOSS&TORMEY,P.C. 952 ECHO LN STE 330, HOUSTON, TX 77024-2774 NA 359 BRICKER & ECKLER LLP 100 S THIRD ST, COLUMBUS, OH 43215-4236 NA 448 BRICKLEY, SEARS & SORETT, P.A. 75 FEDERAL ST, BOSTON, MA 02110-2699 NA 914 C.D. BENGTSON RESOURCE MGT LTD 2900, 350 - 7TH AVENUE S.W., CALGARY, ALBERTA, T2P 3NP NA 109 CRANE, GREENE & PARENTE 90 STATE STREET, ALBANY, NY 12207 NA 345 DELOITTE & TOUCHE PO BOX 840148, DALLAS, TX 75284-0148 NA 101 DOERNER,SAUNDERS,DANIELS&ANDER 320 S BOSTON AVE STE 500, TULSA, OK 74103-3725 NA 473 DRINKER, BIDDLE & REATH 1500 K STREET, WASHINGTON, DC 20005 NA 1,697 EICHHORN & EICHHORN 200 RUSSELL ST., HAMMOND, IN 46325 NA 797 HAGEMIER, ALLEN & SMITH 1170 MARKET TOWER, INDIANAPOLIS, IN 46204-2964 NA 121 HOWREY SIMON ARNOLD&WHITE LLP 1299 PENNSYLVANIA AVE NW, WASHINGTON, DC 20004-2402 NA 750 JACKSON & KELLY PO BOX 11276, CHARLESTON, WV 25339 NA 404 LEBOEUF, LAMB, GREENE & MACRAE 99 WASHINGTON AVENUE, ALBANY, NY 12210-2820 NA 165 LECG, LLC dept 33210, SAN FRANCISO, CA 94139-3210 NA 167 LEXECON P.O. BOX 3600-81, BOSTON, MA 02241-0681 NA 159 MARK W COOPER 1449 N COLLEGE AVE, INDIANAPOLIS, IN 46202-2720 NA 113 MCGUIRE WOODS ONE JAMES CENTER-ACCOUNTING, RICHMOND, VA 23219-4030 NA 471 MORGAN LEWIS AND BOCKIUS PO BOX 8500 S-6050, PHILADELPHIA, PA 19178-6050 NA 314 MORGAN, BROWN, & JOY LLP 1 BOSTON PLACE, BOSTON, MA 02108-4472 NA 135 OGLETREE, DEAKINS, NASH, SMOAK 2 FIRST NATIONAL PLAZA, CHICAGO, IL 60603 NA 106 PAUL HASTINGS 75 EAST 55TH STREET, NEW YORK, NY 10022-3205 NA 447 PORTER, WRIGHT, MORRIS & WRIGH 41 SOUTH HIGH STREET, COLUMBUS, OH 43215-6194 NA 321 REED SMITH LLP PO BOX 360074M, PITTSBURGH, PA 15251-6074 NA 848 ROBERT G KERN ESQ 1200 CRA-MER LN, CHAPEL HILL, NC 27516-8382 NA 158 ROBERTSON, FREILICH, BRUNO & COHEN, LLC, NEWARK, NJ 07102 NA 282 ROBINSON & MCELWEE LLP P.O. BOX 1791, CHARLESTON, WV 25326 NA 1,183 RUBIN & RUDMAN, LLP 50 ROWES WHARF, BOSTON, MA 02110-3319 NA 554 SCHIFF HARDIN & WAITE 6600 SEARS TOWER, CHICAGO, IL 60606-6473 NA 15,415 SIDLEY & AUSTIN 1501 K STREET NW, WASHINGTON, DC 20005 NA 283 SIDLEY AUSTIN BROWN & WOOD BANK ONE PLAZA, CHICAGO, IL 60603 NA 511 STATE OF MAINE EXECUTIVE DEPARTMENT, AUGUSTA, ME 04333-0112 NA 250 STEPTOE & JOHNSON CLARKSBURG, WV 26302-1732 NA 1,363 THELEN REID & PRIEST LLP 40 WEST 57TH STREET, NEW YORK, NY 10019-4097 NA 468 THORP REED & ARMSTRONG ONE OXFORD CENTRE, PITTSBURGH, PA 15219-1425 NA 164 240 Organizations 3,377 ------ Total Special Services - Legal 35,618 ====== Page 33 SCHEDULE 923-A ANNUAL REPORT OF NISOURCE CORPORATE SERVICES COMPANY, INC. OUTSIDE SERVICES EMPLOYED ACCOUNT 923 RELATIONSHIP "A"=ASSOCIATE AMOUNT "NA"=NON ---------------------- FOR WHOM PURCHASED ADDRESS ASSOCIATE $000 $000 --------------------------------- ------------------------------------------------- ------------- --------- --------- 3- Special Services - Consulting ACCENTURE LLP PO BOX 70629, CHICAGO, IL 60673-0629 NA 6,517 ANALYTECH CONSULTING BROADFIELD CENTER-SUITE K, MERRILLVILLE, IN 46410 NA 135 BRICKLEY, SEARS & SORETT, P.A. 75 FEDERAL ST, BOSTON, MA 02110-2699 NA 611 COMPUTER TASK GROUP INC P. O. BOX 711778, CINCINNATI, OH 45271-1778 NA 626 COMPUWARE CORPORATION DRAWER #64376, DETROIT, MI 48264-0376 NA 104 CUSTOMER INFORMATION CONSULTI CONSULTING INC, PORTER, IN 46304-2982 NA 276 DELOITTE & TOUCHE PO BOX 840148, DALLAS, TX 75284-0148 NA 193 ENERGY STRATEGIES 111 WEST 5TH STREET, TULSA, OK 74103 NA 164 F1, INC. 359 S. FRANKLIN ST., VALPARAISO, IN 46383-6423 NA 1,808 FRANK SHAMBO 26000 FITZROY ST., WESTLAKE, OH 44145 NA 234 HMB 191 W. NATIONWIDE BLVD., COLUMBUS, OH 43215 NA 197 INFORMATION CONTROL CORP. 2500 CORPORATE EXCHANGE DRIVE, COLUMBUS, OH 43231 NA 104 INFORMATION INTEGRATORS, INC. 2540 FOSSIL STONE ROAD, DYER, IN 46311-1956 NA 1,328 JAMES W TROST, CONSULTING 606 DISKIN PLACE SW, LEESBURG, VA 20175-5052 NA 209 KLS ENTERPRISES, INC 1760 STAGECOACH CT, POWELL, OH 43065-9283 NA 115 LECG LLC DEPT 33210, SAN FRANCISCO, CA 94139-3210 NA 285 NAVIGANT CONSULTING, INC. 135 S. LASALLE, CHICAGO, IL 60674-3720 NA 191 P. L. PRAIRIE, LTD 18272 EDENDERRY, NORTHVILLE, MI 48167 NA 124 PA CONSULTING SERVICES INC PO BOX 406301, ATLANTA, GA 30384-6301 NA 306 RUBINO SOFTWARE SOLUTIONS 8943 ARBOR HILL DR, HIGHLAND, IN 46322-2172 NA 103 STATEGIC GLOBAL POLICY CONSULT 17 SOUTH HIGH STREET, COLUMBUS, OH 43215 NA 275 THOMAS GREEN & ASSOCIATES LLC COLUMBUS, OH 43215-4243 NA 236 WILKERSON & ASSOCIATES 3339 TAYLORSVILLE ROAD, LOUISVILLE, KY 40205-3103 NA 477 WINTERS INVESTMENT CONSULTING 9138 S CLAREMONT STREET, CHICAGO, IL 60620 NA 192 230 Organizations 4,384 --------- Total Special Services - Consulting 19,194 --------- Page 34 SCHEDULE 923-A ANNUAL REPORT OF NISOURCE CORPORATE SERVICES COMPANY, INC. OUTSIDE SERVICES EMPLOYED ACCOUNT 923 RELATIONSHIP "A"=ASSOCIATE AMOUNT "NA"=NON ---------------------- FOR WHOM PURCHASED ADDRESS ASSOCIATE $000 $000 --------------------------------- ----------------------------------------------------- ------------- --------- --------- 4-Special Services - Other ADVANCED WASTE MGMT SYSTEMS PO BOX 100, HIXSON, TN 37343-0100 NA 87 A T KEARNEY PO BOX 96796, CHICAGO, IL 60693-6796 NA 4,150 ACCENTURE LLP PO BOX 70629, CHICAGO, IL 60673-0629 NA 1,045 ADDECO TECHNICAL PO BOX 371084, PITTSBURGH, PA 15250-7084 NA 195 ADECCO EMPL SVCS - PALATINE DEPT CH 14091, PALATINE, IL 60055-4091 NA 179 AT&T 7872 7872 COLLECTION CENTER DRIVE, CHICAGO, IL 60693 NA 357 BMC SOFTWARE DISTRIBUTORS, INC P.O. BOX 201040, HOUSTON, TX 77216 NA 627 CANDLE CORPORATION PO BOX 92278, CHICAGO, IL 60675-2278 NA 104 CEDAR ENTERPRISE SOLUTION ACCOUNT RECEIVABLE, BALTIMORE, MD 21275-5209 NA 207 COMPUTER ASSOCIATES INTL.,INC. PO BOX 360355, PITTSBURGH, PA 15251 NA 1,710 COMPUWARE CORPORATION DRAWER #64376, DETROIT, MI 48264-0376 NA 461 CORPORATE TRANSFER SERVICES PO BOX 691527, CINCINNATI, OH 45269-1527 NA 265 FREDERICK J. RAWSKI 18 PROVIDENCE COURT, NEWTOWN, PA 18940 NA 135 KEVIN M. CONSIDINE, P C 1 BEACON ST STE 1320, BOSTON, MA 02108-3107 NA 120 LAWSON SOFTWARE SDS 12-1095, MINNEAPOLIS, MN 55486-1095 NA 112 LEXIS-NEXIS P.O. BOX 2314, CAROL STREAM, IL 601322314 NA 183 MARKETING SERVICES BY VECTRA I 3990 BUSINESS PARK DRIVE, COLUMBUS, OH 43204 NA 212 MELLON INVESTOR SERVICES ACCOUNTING DEPARTMENT, PITTSBURGH, PA 15251-6857 NA 892 META GROUP INC PO BOX 19114, NEWARK, NJ 07195-0114 NA 324 MOSSBERG & COMPANY INC 301 E SAMPLE STREET, SOUTH BEND, IN 46601-3547 NA 204 NORTHERN INDIANA PUBLIC SERVIC 5201 INDUSTRIAL HIGHWAY, GARY, IN 46406-1125 A 753 PEOPLESOFT, USA, INC. DEPT. CH10699, PALATINE, IL 60055-0699 NA 737 POMEROY COMPUTER RESOURCES, INC., CINCINNATI, OH 452640381 NA 489 PRICEWATERHOUSE COOPERS LLP P.O. BOX 75647, CHICAGO, IL 60675-5647 NA 313 RHI CONSULTING INC P.O. BOX 6248, CAROL STREAM, IL 601976248 NA 163 SAS INSTITUTE, INC. PO BOX 406922, ATLANTA, GA 30384-6922 NA 272 SUNGARD RECOVERY SERVICES INC. CHICAGO, IL 60693 NA 145 TECHNICAL SOLUTIONS GROUP 200 CAMPUS VIEW, COLUMBUS, OH 43235 NA 138 TEKSYSTEMS P.O. BOX 198568, ATLANTA, GA 303848568 NA 277 World Com/UUnet Payment Processing Center, Richmond, VA 23285-4100 NA 144 XEROX CORPORATION P.O. BOX 802555, CHICAGO, IL 60680-2555 NA 218 701 ORGANIZATIONS 2,420 --------- Total Special Services - Other 17,638 --------- Total All Special Services 72,981 ========= Page 35 ANNUAL REPORT OF NISOURCE CORPORATE SERVICES COMPANY, INC. For the Year Ended December 31, 2002 -------------------------------------------------------------------------------- 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 $000 ---------- Medical Expense Plan 6,972 Thrift Plan 2,873 Pension Restoration Plan 6,839 Long-Term Disability Insurance 892 Dental Assistance Plan 1,024 Employee Relocation Expense 947 Educational Assistance 459 Miscellaneous 170 Employee Cafeteria Subsidy 60 Employee Assistance Plan 272 Flexible Spending Health & Dental 46 Group Life Insurance 702 Employee Retirement Expense 3,590 ---------- Total 24,846 ---------- Page 36 ANNUAL REPORT OF NISOURCE CORPORATE SERVICES COMPANY, INC. For the Year Ended December 31, 2002 -------------------------------------------------------------------------------- GENERAL ADVERTISING EXPENSES ACCOUNT 930.1 -------------------------------------------------------------------------------- INSTRUCTIONS: Provide a listing of the amount included in Account 930.1, "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 ------------------------------- -------------------------------- ---------- $000 Employee Recruiting/Advertising Clear Channel Outdoor 11 Employee Recruiting/Advertising Gary Steelheads 10 Employee Recruiting/Advertising Infinityesp 9 Employee Recruiting/Advertising KPC 27 Employee Recruiting/Advertising Lord, Sullivan & Yoder 20 Employee Recruiting/Advertising Marketing Services By Vectra Inc 3 Employee Recruiting/Advertising Metromedia Technologies Inc 5 Employee Recruiting/Advertising Personnel Consultants Internet 31 Employee Recruiting/Advertising Pilot News 12 Employee Recruiting/Advertising Rendell Inaugural Committee 10 Employee Recruiting/Advertising Scott Advertising 4 Employee Recruiting/Advertising Service Web Offset Corporation 20 Employee Recruiting/Advertising Shaker Advertising Agency 16 Employee Recruiting/Advertising South Bend Silver Hawks 5 Employee Recruiting/Advertising St George Broadcasting Llc 8 Employee Recruiting/Advertising The David Group 8 Employee Recruiting/Advertising The Ehrlich - Steele Inaugural 15 Employee Recruiting/Advertising The Goshen News 23 Employee Recruiting/Advertising The News-Dispatch 11 Employee Recruiting/Advertising The Times 33 Employee Recruiting/Advertising Think, Inc. 124 Employee Recruiting/Advertising Truth Publishing Company, Inc 44 Employee Recruiting/Advertising Wasserman Barry Group 28 Employee Recruiting/Advertising WJJJ/WWSW/WKST 10 Employee Recruiting/Advertising WKKJ 4 Employee Recruiting/Advertising WLJE-FM RADIO 4 Employee Recruiting/Advertising WSBA AM 910 3 Employee Recruiting/Advertising York Newspaper Company 3 Employee Recruiting/Advertising All Others 41 ---------- TOTAL 542 ---------- Page 37 ANNUAL REPORT OF NISOURCE CORPORATE SERVICES COMPANY, INC. For the Year Ended December 31, 2002 -------------------------------------------------------------------------------- MISCELLANEOUS GENERAL EXPENSES ACCOUNT 930.2 -------------------------------------------------------------------------------- INSTRUCTIONS: Provide a listing of the amount included in Account 930.2, "Miscellaneous General Expenses," 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. Section 441 (b)(2) shall be separately classified. -------------------------------------------------------------------------------- DESCRIPTION AMOUNT -------------------------------- ------------ $000 Employee Recruiting 5 Dues and Memberships - Corporate 365 Aircraft Service 18 Relocation 850 Employee Training 496 Other 1,175 --------- TOTAL 2,909 --------- Page 38 ANNUAL REPORT OF NISOURCE CORPORATE SERVICES COMPANY, INC. For the Year Ended December 31, 2002 -------------------------------------------------------------------------------- RENTS ACCOUNT 931 -------------------------------------------------------------------------------- INSTRUCTIONS: Provide a listing of the amount included in Account 931, "Rents", classifying such expenses by major grouping of property, as defined in the account definition of the Uniform System of Accounts. -------------------------------------------------------------------------------- AMOUNT ----------- $000 Data Processing 7,676 Office Space 7,518 Air Transportation 424 Miscellaneous 3,330 Auto and General Tools 691 Communications 61 ----------- TOTAL 19,700 ----------- Page 39 ANNUAL REPORT OF NISOURCE CORPORATE SERVICES COMPANY, INC. For the Year Ended December 31, 2002 -------------------------------------------------------------------------------- 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 taxes, and (2) U.S. Government taxes. Specify each of the various kinds of taxes and show the amounts thereof. Provide a subtotal for each class tax. -------------------------------------------------------------------------------- AMOUNT ------------ $000 (1) Other than U.S. Government Taxes: Property 1,057 Sales and Use 1 Unemployment 172 License or Franchise (27) ----------- Total - other 1,203 (2) U.S. Government Taxes: Federal Insurance Contribution 8,551 Unemployment 90 Miscellaneous - ----------- Total - Federal 8,641 TOTAL 9,844 ----------- Page 40 ANNUAL REPORT OF NISOURCE CORPORATE SERVICES COMPANY, INC. For the Year Ended December 31, 2002 -------------------------------------------------------------------------------- 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 ------------------------------- ------------------- ------ $000 Calumet College Of St Joseph Community Welfare 50 Catholic Social Services Inc. Community Welfare 5 First Night Columbus Community Welfare 5 Fitz Gerald & Robbins Inc. Community Welfare 9 Indiana Environmental Institute Community Welfare 12 Indiana Fiscal Policy Institute Community Welfare 6 Lakeshore Chamber Of Commerce Community Welfare 4 Louisiana Alive!, Inc. Community Welfare 3 Operation Feed Community Welfare 4 Team Columbus Soccer LLC Community Welfare 3 Miscellaneous (362) 154 ------ TOTAL 255 ------ Page 41 ANNUAL REPORT OF NISOURCE CORPORATE SERVICES COMPANY, INC. For the Year Ended December 31, 2002 -------------------------------------------------------------------------------- OTHER DONATIONS 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 AMOUNT -------------------------------------------------------------------------------- $000 Fees 2 ---------------- TOTAL 2 -------------------------------------------------------------------------------- Page 42 ANNUAL REPORT OF NISOURCE CORPORATE SERVICES COMPANY, INC. For the Year Ended December 31, 2002 -------------------------------------------------------------------------------- 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 increase 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. -------------------------------------------------------------------------------- Salary and wage expense was higher $6.5 million in 2002 when compared to 2001. This was primarily due to higher severance charges in 2002 due to a corporate restructuring initiative. Also, NiSource Corporate Services had fewer employees the first half of 2001 thus labor costs for the year were lower than in 2002. Office supplies and expenses decreased approximately $26.4 million from 2001 to 2002. This primarily relates to $21.6 million of Telecommunications costs being convenience billed in 2002 as opposed to being expensed through Corporate Services in 2001. See schedule V-A for an analysis of Telecommunications convenience billing. Also, travel expenses related to the merger were $1.7 million higher in 2001 than in 2002. Outside Services decreased approximately $20 million from 2001 to 2002. $14 million of this decrease was a result of decreased Information Technology (IT) expenses. These IT expenses were higher in 2001 due to increased spending as a result of the merger. Legal and Auditing expenses were also $5.4 million higher in 2001 than in 2002 as a result of additional merger related costs. Benefits expense increased in 2002 by $6.4 million. This increase was primarily due to increased Pension Restoration Plan expense and Retirement Income Plan expense from 2001 to 2002. Rent expensed was less in 2002 than 2001 by approximately $11.6 million. This decrease was primarily due to the sale of the former Columbia Energy Group headquarters in Herndon, Virginia in 2001. This was offset by rent expense incurred by NiSource Corporate Services to occupy office space in Columbus, Ohio and Merrillville, Indiana. Page 43 NiSource Corporate Services Company Inc. Organization Chart ----------------------------- | Chairman, President and | | CEO | | Gary Neale | ----------------------------- | | _______________________________________________________________________________________________________ | | | | | ------------------ ----------------------- ---------------------- ------------------------- ----------------------- | Vice Chairman | | Executive VP and | | Executive VP and | | General Counsel | | Executive VP | | Steve Adik | | COO | | CFO | | Peter Fazio | | Human Resources & | | | | Sam Miller | | Mike O'Donnell | | Schiff Hardin & Waite | | Communications | | | | | | | | | | LaNette Zimmerman | ------------------ ----------------------- ---------------------- ------------------------- ----------------------- | | | | | | | | | ----------------------- | ---------------------- | ------------------------- | ----------------------- |--| Accounting | |--| Auditing | |--| Corporate | |--| Corporate | | | Services | | | | | | Secretary | | | Communications | | ----------------------- | ---------------------- | ------------------------- | ----------------------- | | | | | ----------------------- | ---------------------- | ------------------------- | ----------------------- |--| Air Transportation | |--| Consolidation | |--| Environmental | |--| Human Resources/ | | | | | | Accounting | | | Affairs | | Benefits | | ----------------------- | ---------------------- | ------------------------- ----------------------- | | | | ----------------------- | ---------------------- | ------------------------- |--| Corporate | |--| Corporate | |--| Legal | | | Planning | | | Treasury | | | | | ----------------------- | ---------------------- | ------------------------- | | | | ----------------------- | ---------------------- | ------------------------- |--| ED | |--| Investor | |--| Security | | | Marketing | | | Relations | | | | ----------------------- | ---------------------- ------------------------- | | | ----------------------- | ---------------------- |--| Energy USA | |--| Risk | | | TPC | | | Management | | ----------------------- | ---------------------- | | | ----------------------- | ---------------------- | | Enterprise | | | Tax | |--| Multimedia | |--| | | | Communication | | | | ----------------------- ---------------------- | | ----------------------- |--| Executive | | | | | ----------------------- | | ----------------------- |--| Facilities | | | Management | | ----------------------- | | ----------------------- |--| Finance & | | | Strategy | | ----------------------- | | ----------------------- |--| Fleet Management | | | | | ----------------------- | | ----------------------- |--| Gas | | | Supply | | ----------------------- | | ----------------------- |--| Governmental | | | Affairs | | ----------------------- | | ----------------------- |--| Information | | | Technology | | ----------------------- | | ----------------------- |--| Materials & | | | Supplies | | ----------------------- | | ----------------------- |--| Payroll | | | | | ----------------------- | | ----------------------- |--| Procurement | | | | | ----------------------- | | ----------------------- |--| Regulatory & | | Government | ----------------------- Page 44 ANNUAL REPORT OF NISOURCE CORPORATE SERVICES COMPANY, INC. METHODS OF ALLOCATION -------------------------------------------------------------------------------- The following Basis of Allocation have been approved by the SEC as a method of allocating Job Order charges and convenience payments directly to Associate Companies. - Total Gross Fixed Assets and Total Operating Expenses - Total Gross Fixed Assets - Total Distribution Property and Distribution Expenses - Total Production Property and Expense - Total Storage Property and Expense - Transmission Property and Transmission Expenses - Total Operating Expenses and Gross Depreciable Property - Gross Depreciable Property - Number of Automobile Units Owned and Leased - Number of Retail Customers - Number of Regular Employees - Fixed Allocation - Number of Transportation Customers - Total Employees and Customers - Total Plant, State Employees and Customers - Total Tariff and Transportation Customers - Direct Costs Page 45 ANNUAL REPORT OF NISOURCE CORPORATE SERVICES COMPANY, INC. For the Year Ended December 31, 2002 ANNUAL STATEMENT OF COMPENSATION FOR USE OF CAPITAL BILLED -------------------------------------------------------------------------------- COMPENSATION FOR USE OF CAPITAL SUMMARY OF BILLING TO ASSOCIATE COMPANIES Direct & Allocated Compensation Company Labor Billed ------------------------------------------------ --------- ------------ $000 $000 Bay State Gas Company 160 4 Bay State Massachusetts 6,450 161 Columbia Atlantic Trading Corporation 8 0 Columbia Energy Group 131 3 Columbia Energy Group Capital Corporation 6 0 Columbia Energy Resources, Inc. 3,719 94 Columbia Energy Services Corporation 116 3 Columbia Finance Company 8 0 Columbia Gas of Kentucky, Inc. 2,180 54 Columbia Gas of Maryland, Inc. 826 21 Columbia Gas of Ohio, Inc. 14,830 370 Columbia Gas of Pennsylvania, Inc. 5,887 147 Columbia Gas of Virginia, Inc. 4,428 111 Columbia Gas Transmission Corporation 12,532 313 Columbia Gulf Transmission Company 3,111 78 NiSource Insurance Corporation, Ltd. 29 1 Columbia LNG Corporation 7 0 Columbia Network Services Corporation 18 0 Columbia Pipeline Corporation 10 0 Columbia Remainder Corporation 96 2 Columbia Service Partners 35 1 Columbia Transmission Communications Corporation 297 7 Energy USA, Inc 2,339 59 Granite Gas Transmission 102 3 IWC Resource Corporation 325 9 Kokomo Gas and Fuel Company 182 5 NiSource Capital Markets 7 0 NiSource Crossroads Pipeline 103 3 NiSource Development Company, Inc 210 5 NiSource Energy Services, Inc 40 1 NiSource Energy Technology 77 2 NiSource Finance Company 35 1 NiSource Pipeline Group, Inc 11 0 NiSource, Inc. 388 9 Northern Indiana Fuel and Light Company 413 10 Northern Indiana Public Merchant 2,321 59 Northern Indiana Public Service Company 14,012 350 Northern Utilities Maine 658 16 Northern Utilities New Hampshire 745 19 Primary Energy, Inc 913 23 SM&P Resources, Inc 30 1 ------ ------ Total 77,795 1,945 ====== ====== The above is a summary of the Compensation for Use of Capital billed to each company. Attached is a sample of the annual statement sent to each associate company. Since they are identical except for the amount billed, the summary is included in lieu of forty-four individual statements (see page 47). -------------------------------------------------------------------------------- Page 46 NISOURCE CORPORATE SERVICES COMPANY, INC. COMPENSATION FOR USE OF CAPITAL --------------------------------------------------------------- BILLED TO COLUMBIA GULF TRANSMISSION COMPANY DURING 2002 --------------------------------------------------------------- SYSTEM MONTHLY MANAGEMENT INTEREST DIRECT & RATE D&A LABOR COMPENSATION BILLING TO NET TOTAL ALLOCATED COL. 3/ BILLED TO BILLED MONTH PARENT INCOME COMPENSATION LABOR COL. 4 CGT COL. 5 x COL. 6 --------- ------------- ------------ ------------- ------------- ---------- ------------- --------------- (1) (2) (3) (4) (5) (6) (7) JANUARY 163,335.62 0.00 163,335.62 5,945,687.75 0.02747 940,147.22 25,827.04 FEBRUARY 163,335.62 0.00 163,335.62 5,915,849.92 0.02761 933,499.86 25,773.77 MARCH 163,335.62 0.00 163,335.62 6,046,350.40 0.02701 940,133.69 25,396.70 APRIL 163,335.62 0.00 163,335.62 6,638,843.45 0.02460 1,056,681.87 25,997.57 MAY 163,335.62 0.00 163,335.62 6,587,302.69 0.02480 1,062,697.12 26,350.13 JUNE 163,335.62 0.00 163,335.62 6,663,400.96 0.02451 1,093,563.29 26,805.81 JULY 163,335.62 0.00 163,335.62 6,622,468.70 0.02466 1,058,792.54 26,113.91 AUGUST 163,335.62 0.00 163,335.62 7,046,832.69 0.02318 1,158,392.20 26,849.89 SEPTEMBER 163,335.62 0.00 163,335.62 6,632,867.66 0.02463 1,142,590.97 28,136.52 OCTOBER 163,335.62 0.00 163,335.62 7,059,870.39 0.02314 1,158,303.71 26,798.26 NOVEMBER 162,004.84 0.00 162,004.84 6,404,240.69 0.02530 1,024,135.73 25,907.04 DECEMBER 150,028.04 0.00 150,028.04 6,231,703.29 0.02407 962,723.51 23,177.54 ------------- ------------ ------------- ------------- ---------- ------------- ------------- 1,945,389.08 0.00 1,945,389.08 77,795,418.59 0.30098 12,531,661.71 313,134.18 ============= ============ ============= ============= ========== ============= ============= -------------------------------------------------------------------------------- Page 47 SIGNATURE 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. NISOURCE CORPORATE SERVICES COMPANY, INC. By: ------------------------------------------ Vincent DeVito Controller Date: April 30, 2003 -------------------------------------------------------------------------------- Page 48