XXXXXXXX, COMPUTATIONS AND PAYMENTS. 9.1 On or before the thirtieth (30th) day following the end of each Billing Period, PacifiCorp shall send to Seller payment for Seller’s deliveries of Net Output to PacifiCorp, together with computations supporting such payment. PacifiCorp may offset any such payment to reflect amounts owing from Seller to PacifiCorp pursuant to this Agreement, the Generation Interconnection Agreement, or any other agreement between the Parties.
Appears in 10 contracts
Samples: Power Purchase Agreement, Power Purchase Agreement, Power Purchase Agreement
XXXXXXXX, COMPUTATIONS AND PAYMENTS. 9.1 10.1 On or before the thirtieth (30th) day following the end of each Billing Period, PacifiCorp shall send to Seller payment for Seller’s 's deliveries of Net Output Delivered Energy to PacifiCorp, together with computations supporting such payment. PacifiCorp may offset any such payment to reflect amounts owing from Seller to PacifiCorp pursuant to this Agreement, the Generation Interconnection Agreement, or any other agreement between the PartiesParties or otherwise.
Appears in 6 contracts
Samples: Non Firm Power Qualifying Facility Purchase Agreement, Non Firm Qualifying Facility Power Purchase Agreement, Non Firm Qualifying Facility Power Purchase Agreement
XXXXXXXX, COMPUTATIONS AND PAYMENTS. 9.1 On or before the thirtieth (30th) day following the end of each Billing Period, PacifiCorp shall send to Seller payment for Seller’s deliveries of Net Output to PacifiCorp, together with computations supporting such payment. payment PacifiCorp may offset any such payment to reflect amounts owing from Seller to PacifiCorp pursuant to this Agreement, the Generation Interconnection Agreement, or any other agreement between the Parties.
Appears in 5 contracts
Samples: Power Purchase Agreement, Power Purchase Agreement, Power Purchase Agreement
XXXXXXXX, COMPUTATIONS AND PAYMENTS. 9.1 10.1 On or before the thirtieth (30th) day following the end of each Billing Period, PacifiCorp shall send to Seller payment for Seller’s 's deliveries of Net Output Delivered Energy to PacifiCorp, together with computations supporting such payment. PacifiCorp shall offset any amounts then due to it under the Master Electric Service Agreement and may offset any such payment to reflect amounts owing from Seller to PacifiCorp pursuant to this Agreement, the Generation Interconnection Agreement, or any other agreement between the PartiesParties or otherwise.
Appears in 2 contracts
Samples: Non Firm Power Purchase Agreement, Non Firm Power Purchase Agreement
XXXXXXXX, COMPUTATIONS AND PAYMENTS. 9.1 On or before the thirtieth (30th) day following the end of each Billing Period, PacifiCorp shall send to Seller payment for Seller’s deliveries of Net Output to PacifiCorp, together with computations supporting such payment. PacifiCorp may offset any such payment to reflect amounts owing from Seller to PacifiCorp pursuant to this Agreement, the Generation Interconnection Agreement, Agreement or any other agreement between the Parties.
Appears in 2 contracts
XXXXXXXX, COMPUTATIONS AND PAYMENTS. 9.1 8.1 On or before the thirtieth (30th) day following the end of each Billing Period, PacifiCorp shall send to Seller payment for Seller’s deliveries of Net Output to PacifiCorp, together with computations supporting such payment. PacifiCorp may offset any such payment to reflect amounts owing from Seller to PacifiCorp pursuant to this Agreement, the Generation Interconnection Agreement, or any other agreement between the Parties.. SAMPLE
Appears in 1 contract
Samples: Non Firm Power Purchase Agreement
XXXXXXXX, COMPUTATIONS AND PAYMENTS. 9.1 10.1 On or before the thirtieth (30th) day following the end of each Billing Period, PacifiCorp shall send to Seller payment for Seller’s 's deliveries of Net Output to PacifiCorp, together with computations supporting such payment. PacifiCorp may offset any such payment to reflect amounts owing from Seller to PacifiCorp pursuant to this Agreement, the Generation Interconnection Agreement, or any other agreement between the Partiesparties or otherwise.
Appears in 1 contract
Samples: Power Purchase Agreement
XXXXXXXX, COMPUTATIONS AND PAYMENTS. 9.1 8.1 On or before the thirtieth (30th) day following the end of each Billing Period, PacifiCorp shall send to Seller payment for Seller’s deliveries of Net Output to PacifiCorp, together with computations supporting such payment. PacifiCorp may offset any such payment to reflect amounts owing from Seller to PacifiCorp pursuant to this Agreement, the Generation Interconnection Agreement, or any other agreement between the Parties.
Appears in 1 contract
Samples: Non Firm Power Purchase Agreement