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Supplementary Information to Consolidated Statements of Cash Flows
12 Months Ended
Dec. 31, 2024
Supplementary Information to Consolidated Statements of Cash Flows [Abstract]  
Supplementary Information to Consolidated Statements of Cash Flows
31. SUPPLEMENTARY
 
INFORMATION TO CONSOLIDATED
 
STATEMENTS
 
OF
CASH FLOWS
For the
 
Year ended December 31
millions of dollars
2024
2023
Changes in non-cash working capital:
 
Inventory
$
 
38
$
(31)
 
Receivables and other current assets
(1)
(154)
 
653
 
Accounts payable
 
536
(538)
 
Other current liabilities
(2)
 
32
(179)
Total
 
non-cash working capital
 
$
 
452
$
(95)
(1) The year ended December 31, 2023, includes $
162
 
million related to the January 2023 NMGC gas
 
hedges. Offsetting change in
regulatory liabilities is included in operating cash
 
flow before working capital resulting in no
 
impact to net cash provided by operating
activities.
(2) The year ended December 31, 2023, includes ($
166
) million related to the decreased accrual for
 
the Nova Scotia Cap-
and-Trade emissions compliance charges. Offsetting regulatory asset (FAM) balance is included
 
in operating cash flow before
working capital resulting in no impact to net
 
cash provided by operating activities.
For the
 
Year ended December 31
millions of dollars
2024
2023
Supplemental disclosure of cash paid:
Interest
$
 
989
$
 
930
Income taxes
$
 
34
$
 
43
Supplemental disclosure of non-cash activities:
Accrued proceeds from disposal of investment subject to significant influence
$
 
25
$
-
 
Common share dividends reinvested
$
 
291
$
 
271
Reclassification of short-term debt to long-term debt
$
-
 
$
 
657
Decrease in accrued capital expenditures
$
-
 
$
(19)
Supplemental disclosure of operating activities:
Net change in short-term regulatory assets and liabilities
$
(118)
$
 
123