American Midstream (AlaTenn), LLC

Fifth Revised Volume No. 1

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Effective Date: 05/01/2010, Docket: RP10-493-000, Status: Effective

Original Sheet No. 122 Original Sheet No. 122

 

GENERAL TERMS AND CONDITIONS (continued)

 

(a) Monthly Imbalances -

(i) Non-Winter Period (April - October) Imbalances - Provided that Shipper has

not been notified

by

Transporter that its imbalances are creating an operational problem on

Transporter's system, and

the

continuation of the imbalance is endangering service to other Shippers,

Transporter shall notify

and post,

pursuant to Section 3.7(b) herein the imbalance for netting and/or trading. If a

trade is not made,

Shipper shall have until the end of the following Month to eliminate its imbalance

with no penalty.

If

Shipper does not eliminate such imbalance by the end of the following Month or

has been

notified by

Transporter that its imbalance is creating an operational problem, such imbalance

shall be

Cashed-out

pursuant to the provisions of Section 3.7(c) herein.

(ii) Winter Period (November - March) Imbalances - Provided that Shipper has

not been notified

by

Transporter that its imbalances are creating an operation problem on its system,

and the

continuation of

the imbalance is endangering service to other Shippers, and Shipper is not able to

trade its

imbalance

pursuant to the provisions of Transporter's imbalance netting and trading service

as provided

under

Section 3.7(b) herein, and Transporter and the applicable Shipper have not

mutually agreed to

an

alternate method, each Month Transporter and Shipper shall Cash-Out any

imbalance between

deliveries and scheduled nominations at the Delivery Point(s) as provided under

Section 3.7(c)

herein.

Transporter shall divide the monthly imbalance by the sum of all scheduled

nominations for all

Days of

the Month to determine the percentage monthly imbalance for the purpose of the

Cash-Out as

set forth

hereinafter.