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

Ninth Revised Sheet No. 310 Ninth Revised Sheet No. 310

Superseding: Eighth Revised Sheet No. 310

 

TRANSPORTATION GENERAL TERMS AND CONDITIONS

(Continued)

 

12. BILLING AND PAYMENT

 

12.1 Billing - On or before the ninth Business Day of each Month

Transporter shall render to Shipper an invoice evidencing the bill

for services rendered to Shipper under the Executed TSA during the

preceding Month. When Shipper is in control of information

required by Transporter to prepare invoices, Shipper shall cause

such information to be received by Transporter on or before the

fifth Business Day of the Month immediately following the Month to

which the information applies.

 

(a) Invoices shall be deemed rendered when Transporter posts

notification on its EBB that invoices are approved or final,

unless the Shipper has elected to have invoices rendered via

U.S. mail. If the Shipper elects to have invoices rendered via

U.S. mail, then Shipper's invoice shall be deemed rendered if

Transporter places such invoice in the U.S. mail service with

sufficient postage for delivery to the person and address

designated pursuant to the applicable TSA.

 

(b) A Shipper may request a complimentary e-mail notification

provided that it is the Shipper's responsibility to maintain

current e-mail information on Transporter's EBB to ensure

delivery.

 

(c) A Shipper may elect to change its invoice delivery mechanism

by notifying Transporter before the end of the month to be

effective for the next billing cycle.

 

12.2 Payment by Wire Transfer - Payment to Transporter for services

rendered during the preceding Month shall be due 11 Days from the

date the invoice for such service was issued by Transporter and

shall be paid by Shipper on or before such due date. Subject to

the provisions of Section 12.3 of the GT&C, Shipper shall make such

payment to Transporter by wire transfer in immediately available

funds to a depository designated by Transporter. When the due date

falls on a Day that the designated depository is not open in the

normal course of business to receive Shipper's payment, Shipper

shall cause such payment to be actually received by Transporter on

or before the first Business Day on which the designated depository

is open after such due date.