El Paso Natural Gas Company
Second Revised Volume No. 1A
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Effective Date: 04/01/2010, Docket: RP10-454-001, Status: Effective
Second Revised Sheet No. 129A Second Revised Sheet No. 129A
Superseding: First Revised Sheet No. 129A
RATE SCHEDULE FDBS
Firm Daily Balancing Service
(Continued)
3. CONDITIONS OF SERVICE (Continued)
3.3 (Continued)
(c) At the end of the Month, an FDBS end-of-day balance at a
Delivery Point may be netted with an FDBS end-of-day balance at
another Delivery Point under the FDBS TSA as long as such
netting does not serve to effectuate transportation across
persistent system constraints.
(d) An FDBS end-of-day balance that has not been eliminated for 30
Days will be cashed out at the end of the next Month pursuant
to Section 10 of the GT&C.
3.4 Rate Schedule FDBS capacity may be released to another party. The
Acquiring Shipper must meet the requirements of this Rate Schedule.
3.5 Subject to the conditions and requirements for service under this
Rate Schedule, Shipper may request to re-designate a primary point
pursuant to Section 8.1(f) of the GT&C.
4. RATE
Shipper shall pay to Transporter each Month the charges set forth
below under the Executed FDBS TSA.
4.1 Transporter, at its sole discretion, may from time to time and at
any time, selectively discount any or all of the rates stated below
applicable to any individual Shipper; provided, however, that such
adjusted rates shall not exceed the applicable maximum rate nor
shall they be less than the minimum rate set forth on the currently
effective Statement of Rates.
4.2 Mainline Reservation Charges: Shipper shall pay the Reservation
Charges applicable to an FDBS TSA subject to this Rate Schedule.
This charge shall be determined by multiplying Shipper's TCD by the
reservation rate specified in the FDBS TSA. The Reservation Charges
payable under this Rate Schedule will include all applicable
reservation surcharges, unless otherwise provided in the FDBS TSA.