Maintenance of Pool Ledger Accounts. The Pool Funds Administrator shall maintain ledger accounts showing all amounts payable and receivable by each Pool Member, the Ancillary Services Provider and the Grid Operator according to calculations made and notifications issued by the Pool Funds Administrator pursuant to this Schedule.
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Samples: Supplemental Agreement (Southern Investments Uk PLC), Supplemental Agreement (Txu Eastern Holdongs LTD)
Maintenance of Pool Ledger Accounts. The Pool Funds Administrator shall maintain ledger accounts showing all amounts payable and receivable by each Pool Member, Member and the Ancillary Services Provider and the Grid Operator according to calculations made and notifications issued by the Pool Funds Administrator pursuant to this Schedule.
Appears in 1 contract
Maintenance of Pool Ledger Accounts. The the Pool Funds Administrator shall maintain ledger accounts showing all amounts payable and receivable by each Pool Member, Member and the Ancillary Services Provider and the Grid Operator according to calculations made and notifications issued by the Pool Funds Administrator Administration pursuant to this Schedule.
Appears in 1 contract