Canyon Creek Compression Company

Third Revised Volume No. 1

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Effective Date: 09/24/2001, Docket: RP01-515-000, Status: Effective

Second Revised Sheet No. 130 Second Revised Sheet No. 130 : Effective

Superseding: First Revised Sheet No. 130

GENERAL TERMS AND CONDITIONS

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12.4 OPERATIONAL DATA VS. ACTUALS

 

In determining the cashout tier applicable under

Section 12.3 above, Canyon will utilize the operational data

posted on its Interactive Website as of the end of the month or

the actual flow volumes (or, if actual flow volumes are not

available at the time of billing, the reasonable estimates),

whichever results in a lower cashout tier.

 

12.5 PRIOR PERIOD ADJUSTMENTS

 

Any imbalances for a month that are booked after the

transportation for that month has been billed as a result of

receiving actual or corrected flow information will be cashed out

at 100% of the AMIP in effect during the month the imbalance

occurred.

 

12.6 PURCHASE AND SALE OF GAS

 

Canyon is not providing a supply service under any

Rate Schedule of this Tariff. Without limitation of the

foregoing, Canyon may buy and sell gas to the extent necessary to

maintain System pressure, to implement the cashout procedures

under this Section 12 and to perform other functions in connection

with providing transportation service. The point of any such sale

shall occur at Receipt Points on a Shipper Agreement. Such sales

shall be authorized pursuant to Canyon's blanket sales

certificate. Nothing herein shall impose on Canyon any obligation

to provide a supply function to any of its Shippers.