Granite State Gas Transmission, Inc.

Third Revised Volume No. 1

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Effective Date: 05/03/2020, Docket: RP99-286-002, Status: Accepted

Sub First Revised Sheet No. 147 Sub First Revised Sheet No. 147 : Effective

Superseding: First Revised Sheet No. 147

 

 

RATE SCHEDULE LMS

(Load Management Service)

(continued)

 

 

6. Monthly Imbalances (continued)

 

(b)(continued)

 

(ii) Excess of Deliveries

 

If the Delivery Point Operator's monthly imbalance

on an upstream pipeline is due to an excess of deliveries by

Transporter relative to Scheduled Quantities, Delivery Point

Operator shall pay Transporter in accordance with this Section

6(b)(ii). Transporter's monthly cash-out price per Dth for

each individual upstream interconnecting pipeline will be

derived from that interconnecting upstream pipeline's cash-out

prices, tolerance penalties, fuel, and transportation components,

if any. The product of the upstream pipeline's total cash-out

price plus any applicable transportation and fuel components of

Transporter and the monthly imbalance excess of the Delivery

Point Operator with that interconnecting upstream pipeline will

be included in the cash-out of the Delivery Point Operator.

This portion of the monthly cash-out will be payable to the

Transporter by the Delivery Point Operator.