Enron Mail

From:owner-nyiso_tech_exchange@lists.thebiz.net
To:
Subject:April 2001, December 2000 4-month, & October 6-month Invoice Banking Instructions
Cc:
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Date:Mon, 7 May 2001 09:10:00 -0700 (PDT)

The NYISO will be posting invoices for the April 2001 initial invoice,
October, 2000 6-month settlement adjustment, and December, 2000 4-month
settlement adjustment by 2300 May 7, 2001.


Funds due the NYISO for April 2001 settlements are to be transferred into
the NYISO Clearing Account by close of business Wednesday, May 16, 2001. Funds
due the NYISO for the December 2000 4-month settlement adjustment are to be
transferred into the NYISO Clearing Account by close of business Thursday,
May 17, 2001. Funds due the NYISO for the October 2000 6-month settlement
adjustment are to be transferred into the NYISO Clearing Account by close of
business Friday, May 18, 2001.


Funds due Market Participants from the NYISO for April 2001 settlements will
be
transferred into Market Participant accounts by close of business Monday,
May 21, 2001. Funds due Market Participants from the NYISO for the December
4-month settlement adjustment will be transferred into Market Participant
accounts
by close of business Tuesday, May 22, 2001. Funds due Market Participants from
the
NYISO for the October 6-month settlement adjustment will be transferred into
Market
Participant accounts by close of business Wednesday, May 23, 2001.


Please be aware that as per the ISO Services Tariff any disputed amounts are
to
be paid in full. Upon resolution of the dispute, if it is determined that an
overpayment has been made by the Customer, a refund, with interest, will be
made
by the ISO

Attached please find banking instructions for the transfer of funds resulting
for these settlements.

In order to reconcile customer invoices for the December 2000 3-month
settlement
adjustment, it will be necessary to net the following versions of the daily
advisory statements:

Date Current Previous
1 V-4 minus V-3
2 V-4 minus V-3
3 V-4 minus V-3
4 V-4 minus V-3
5 V-4 minus V-3
6 V-4 minus V-3
7 V-4 minus V-3
8 V-5 minus V-3
9 V-4 minus V-3
10 V-4 minus V-3
11 V-4 minus V-3
12 V-4 minus V-3
13 V-4 minus V-3
14 V-4 minus V-3
15 V-4 minus V-3
16 V-4 minus V-3
17 V-3 minus V-2
18 V-3 minus V-2
19 V-3 minus V-2
20 V-3 minus V-2
21 V-3 minus V-2
22 V-3 minus V-2
23 V-3 minus V-2
24 V-3 minus V-2
25 V-3 minus V-2
26 V-3 minus V-2
27 V-3 minus V-2
28 V-3 minus V-2
29 V-3 minus V-2
30 V-4 minus V-3
31 V-3 minus V-2


In order to reconcile customer invoices for the October 2000 6-month
settlement
adjustment, it will be necessary to net the following versions of the daily
advisory statements:

Date Current Previous
1 V-7 minus V-5
2 V-7 minus V-5
3 V-7 minus V-5
4 V-7 minus V-5
5 V-8 minus V-6
6 V-8 minus V-6
7 V-8 minus V-6
8 V-7 minus V-5
9 V-7 minus V-5
10 V-7 minus V-5
11 V-6 minus V-4
12 V-6 minus V-4
13 V-7 minus V-5
14 V-7 minus V-5
15 V-7 minus V-5
16 V-7 minus V-5
17 V-6 minus V-4
18 V-6 minus V-4
19 V-6 minus V-4
20 V-7 minus V-5
21 V-6 minus V-4
22 V-6 minus V-4
23 V-6 minus V-4
24 V-6 minus V-4
25 V-6 minus V-4
26 V-6 minus V-4
27 V-6 minus V-4
28 V-6 minus V-4
29 V-7 minus V-5
30 V-6 minus V-4
31 V-6 minus V-4


In addition to adjustments to billing units due to the receipt of billing
quality
metering data, this settlement adjustment includes the following billing code
modifications/corrections:

Billing code was modified to model scheduling & dispatch of grouped
generators
for settlement of energy & bid production cost guarantee payments.
Generators
affected by this modification should see proper payment of those
quantities.
Any
costs incurred by the NYISO will be recovered from transmission customers
through
their OATT Schedule 1 residual & BPCG adjustments
For the December settlement adjustment, billing code was modified to ensure
that
appropriate prices corrections resulting from ECA-B were captured in the
billing.
This may impact transmission customers whose transactions were subject to
ECA-B
treatment, resulting in transmission usage charge adjustments. Any costs
incurred
by the NYISO will be recovered from transmission customers through their
OATT
Schedule 1 residual adjustment.
For the December settlement adjustment, a number of grandfathered rights &
TCC
configurations were corrected. Customers affected by this would see either
their
TCC's converted back to grandfathered rights, or vice versa. Any excess or
deficiency
in cost recovery will be balanced with the Transmission Owners, based upon
their
respective megawatt-mile coefficients.
There was a code modification to allow for Class 2 PURPA generators to sell
all
over-generation to the real-time market. This would result in payment to
those
affected suppliers. Any costs incurred by the NYISO will be recovered
from
transmission customers through their OATT Schedule 1 residual adjustment.

(See attached file: April_Banking_Instructions.PDF)

- April_Banking_Instructions.PDF