Algonquin Gas Transmission, LLC

Fifth Revised Volume No. 1

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Effective Date: 11/30/2009, Docket: RP10-77-000, Status: Effective

First Revised Sheet No. 611 First Revised Sheet No. 611

Superseding: Original Sheet No. 611

 

GENERAL TERMS AND CONDITIONS

(continued)

 

 

41. REVENUE CREDITS (continued)

 

had been in effect at the time of the required credit, and shall bill

Customer for the differences between revenues actually credited, and the

recalculated revenue credit, plus interest at the rate prescribed by the

Commission's regulations.

 

41.2 Retained Upstream Capacity Release Credits.

 

(a) Applicability. The credit available under this Section 41.2 shall apply

to all firm rate schedules except Rate Schedule AFT-CL.

 

(b) Basis of the Credit. Revenues to which the credit under this Section

41.2 shall apply ("Eligible Capacity Release Revenues") shall be the

revenues actually received by Algonquin that are attributable to demand

charges paid by parties to which Algonquin has released upstream capacity

rights held by Algonquin, to the extent that the costs of such rights

have been reflected in the rates paid by Customers under the rate

schedules identified in Section 41.2(a).

 

(c) Apportionment of Eligible Capacity Release Revenues. Eligible Revenues

attributable to a Month shall be apportioned among all Customers under

the applicable rate schedules by applying the following ratio for each

Customer: (i) the Customer's total MDTQ in effect during that Month

under the applicable rate schedules, (ii) divided by the summation of the

total MDTQs in effect during that Month for all Customers under the

applicable rate schedules, provided that, in the case of a Customer

paying less than the maximum reservation charge during any Month, the

Customer's MDTQ for purposes of both (i) and (ii) above shall be reduced

in the same proportion as the reservation charge paid bears to the

maximum reservation charge.