Northern Border Pipeline Company

First Revised Volume No. 1

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Effective Date: 05/01/2004, Docket: RP04-212-000, Status: Effective

Second Revised Sheet No. 235A.01 Second Revised Sheet No. 235A.01 : Effective

Superseding: First Revised Sheet No. 235A.01

 

GENERAL TERMS AND CONDITIONS

 

 

6. BILLING AND PAYMENT (Continued)

 

6.3 Payment (Continued)

 

If the effective payment due date falls on a day that

the designated depository is not open in the normal

course of business to receive customer's payment, then

customer's payment shall be made on or before the first

business day after the effective payment date that such

depository is available.

 

If invoice is in dispute, customer shall pay portion

not in dispute and provide documentation identifying

basis for the dispute. [3.3.19/v1.0]

 

When a customer disputes an invoice, the remittance

statement will communicate details of the dispute to

Company, shall include the appropriate supporting data,

and shall reference the invoice code and invoice detail

line numbers of the items disputed.