Common use of Scheduling Checkout Protocols Clause in Contracts

Scheduling Checkout Protocols. 35.13.1.1 Both Parties shall require all transaction schedules to be tagged in accord with the NERC tagging standard. For reserve sharing and other emergency schedules that are not tagged, the Parties will enter manual schedules after the fact into their respective scheduling systems. 35.13.1.2 When there is a transaction scheduling conflict, the Parties will work to modify the schedule as soon as practical. 35.13.1.3 The Parties will perform the following types of checkouts. Checkouts will be consistent with 35.13.1.1 and 35.13.1.2. (a) Day-ahead checkout shall be performed daily on the day before the transaction is to flow. Day-ahead checkout includes the verification of import and export totals and individual transaction schedules. (b) Real-time checkout shall be performed hourly during the hour before the transaction is to flow. Real-time checkout includes the verification of import and export totals and individual transaction schedules. (c) After-the-fact checkout of transactions shall be performed the next business day following the day of the transactions. (d) After-the-fact reporting of hourly scheduled energy interchanged and hourly actual energy interchanged shall be updated by each Party each day and exchanged with the other Party. Each day, month to date data shall be exchanged. Parties shall resolve discrepancies within ten (10) business days of the end of each month.

Appears in 64 contracts

Samples: Joint Operating Agreement, Joint Operating Agreement, Joint Operating Agreement

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Scheduling Checkout Protocols. 35.13.1.1 Both Parties shall require all real-time energy market transaction schedules over Interconnections to be tagged in accord with the NERC tagging standard. For reserve sharing Simultaneous Activation of Reserves (“SAR”) and other emergency schedules that are not tagged, the Parties will enter manual schedules after the fact into their respective scheduling operating systems. 35.13.1.2 . When there is a real-time energy market transaction scheduling conflict, the Parties will work to modify the schedule as soon as practical. 35.13.1.3 The . Consistent with the foregoing requirements, the Parties will perform the following types of checkouts. Checkouts will be consistent with 35.13.1.1 and 35.13.1.2.: (a) Day-ahead checkout shall be performed daily on the day before the transaction is to flow. Day-ahead checkout includes the verification of import and export net interchange totals and individual transaction schedules.; (b) Real-time checkout shall be performed hourly during the hour period before the transaction is to flow. Real-time checkout includes the verification of import and export net interchange totals and individual transaction schedules.; (c) After-the-fact checkout of real-time transactions shall be performed the next business day following the day of the transactions.; (d) After-the-fact reporting of hourly scheduled energy interchanged interchange and hourly actual energy interchanged interchange shall be updated by each Party each day and exchanged with the other Party. Each day, month to date data shall be exchanged. Parties shall resolve discrepancies within Within ten (10) business days of the end of each month, the previous month’s data shall be reconciled.

Appears in 29 contracts

Samples: Joint Operating Agreement, Coordination Agreement, Coordination Agreement

Scheduling Checkout Protocols. 35.13.1.1 Both Parties shall require all real-time energy market transaction schedules over Interconnections to be tagged in accord with the NERC tagging standard. For reserve sharing Simultaneous Activation of Reserves (“SAR”) and other emergency schedules that are not tagged, the Parties will enter manual schedules after the fact into their respective scheduling operating systems. 35.13.1.2 . When there is a real-time energy market transaction scheduling conflict, the Parties will work to modify the schedule as soon as practical. 35.13.1.3 The . Consistent with the foregoing requirements, the Parties will perform the following types of checkouts. Checkouts will be consistent with 35.13.1.1 and 35.13.1.2.: (a) Day-ahead checkout shall be performed daily on the day before the transaction is to flow. Day-Day- ahead checkout includes the verification of import and export net interchange totals and individual transaction schedules.; (b) Real-time checkout shall be performed hourly during the hour period before the transaction is to flow. Real-Real- time checkout includes the verification of import and export net interchange totals and individual transaction schedules.; (c) After-the-fact checkout of real-time transactions shall be performed the next business day following the day of the transactions.; (d) After-the-fact reporting of hourly scheduled energy interchanged interchange and hourly actual energy interchanged interchange shall be updated by each Party each day and exchanged with the other Party. Each day, month to date data shall be exchanged. Parties shall resolve discrepancies within Within ten (10) business days of the end of each month, the previous month’s data shall be reconciled.

Appears in 2 contracts

Samples: Coordination Agreement, Coordination Agreement

Scheduling Checkout Protocols. 35.13.1.1 Both Parties shall require all transaction schedules to be tagged in accord with the NERC tagging standard. For reserve sharing and other emergency schedules that are not tagged, the Parties will enter manual schedules after the fact into their respective scheduling systems. 35.13.1.2 When there is a transaction scheduling conflict, the Parties will work to modify the schedule as soon as practical. 35.13.1.3 The Parties will perform the following types of checkouts. Checkouts will be consistent with 35.13.1.1 and 35.13.1.2. (a) Day-ahead checkout shall be performed daily on the day before the transaction is to flow. Day-ahead checkout includes the verification of import and export totals and individual transaction schedules. (b) Real-time checkout shall be performed hourly during the hour before the transaction is to flow. Real-time checkout includes the verification of import and export totals and individual transaction schedules. (c) After-the-fact checkout of transactions shall be performed the next business day following the day of the transactions. (d) After-the-fact reporting of hourly scheduled energy interchanged and hourly actual energy interchanged shall be updated by each Party each day and exchanged with the other Party. Each day, month to date data shall be exchanged. Parties shall resolve discrepancies within ten (10) business days of the end of each month.. NYISO Tariffs --> Open Access Transmission Tariff (OATT) --> 35 OATT Attachment CC - Joint Operating Agreement Among And - -> 35.14 OATT Att CC TTC/ATC/AFC Calculations

Appears in 1 contract

Samples: Joint Operating Agreement

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Scheduling Checkout Protocols. 35.13.1.1 35.12.1.1 Both Parties shall require all transaction schedules to be tagged in accord with the NERC tagging standard. For reserve sharing and other emergency schedules that are not tagged, the Parties will enter manual schedules after the fact into their respective scheduling systems. 35.13.1.2 35.12.1.2 When there is a transaction scheduling conflict, the Parties will work to modify the schedule as soon as practical. 35.13.1.3 35.12.1.3 The Parties will perform the following types of checkouts. Checkouts will be consistent with 35.13.1.1 35.12.1.1 and 35.13.1.235. (a) Day-ahead Day‑ahead checkout shall be performed daily on the day before the transaction is to flow. Day-ahead checkout includes the verification of import and export totals and individual transaction schedules. (b) Real-time Real‑time checkout shall be performed hourly during the hour before the transaction is to flow. Real-time Real‑time checkout includes the verification of import and export totals and individual transaction schedules. (c) After-the-fact checkout of transactions shall be performed the next business day following the day of the transactions. (d) After-the-fact reporting of hourly scheduled energy interchanged and hourly actual energy interchanged shall be updated by each Party each day and exchanged with the other Party. Each day, month to date data shall be exchanged. Parties shall resolve discrepancies within ten (10) business days of the end of each month.

Appears in 1 contract

Samples: Joint Checkout Procedures

Scheduling Checkout Protocols. 35.13.1.1 Both Parties shall require all transaction schedules to be tagged in accord with the NERC tagging standard. For reserve sharing and other emergency schedules that are not tagged, the Parties will enter manual schedules after the fact into their respective scheduling systems. 35.13.1.2 When there is a transaction scheduling conflict, the Parties will work to modify the schedule as soon as practical. 35.13.1.3 The Parties will perform the following types of checkouts. Checkouts will be consistent with 35.13.1.1 and 35.13.1.2. (a) Day-ahead checkout shall be performed daily on the day before the transaction is to flow. Day-ahead checkout includes the verification of import and export totals and individual transaction schedules. (b) Real-time checkout shall be performed hourly during the hour before the transaction is to flow. Real-time checkout includes the verification of import and export totals and individual transaction schedules. (c) After-the-fact checkout of transactions shall be performed the next business day following the day of the transactions. (d) After-the-fact reporting of hourly scheduled energy interchanged and hourly actual energy interchanged shall be updated by each Party each day and exchanged with the other Party. Each day, month to date data shall be exchanged. Parties shall resolve discrepancies within ten (10) business days of the end of each month.

Appears in 1 contract

Samples: Joint Operating Agreement

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