sp_meterdirect
Special Directly Metered

Current Status

Report Name

Change Summary

Effective Date

Description

Template

Sample

SP_METERDIRECT

Existing. 03.01.2003 PDF XLTX CSV

 

SP_METERDIRECT - Special Directly Metered Report - Rev 0

SP_METERDIRECT_<customer id>_<settlement date>_<version>.CSV
<Customer Name>
Date: mm/dd/yyyy and Version: mm/dd/yyyy hh:mm:ss GMT

Availability: During the data reconciliation process, available to Customers who are Participants with an ownership share of a directly metered asset.

REPORT COLUMN

DESCRIPTION

(DIRECTLY METERED TAB)

Trading Interval

Specific hour for which the information is reported. Numeric from 1 - 24 (For daylight-saving crossover days: the long day extra hour = 02X, the short day removes hour 02).

Asset Name

Name of the asset.

Asset ID

Numerical identifier for the asset.

Asset Type

Specified Asset type such as;

  • GENERATOR
  • LOAD
  • TIE LINE
  • ASSET RELATED DEMAND

Asset Sub-Type

Specified Asset sub-type such as;

  • COAL
  • COAL/OIL
  • COMPOSITE
  • DIESEL OIL
  • DISPATCHABLE
  • EHV
  • NORMAL

 

Location ID

Location Identification Number.

Location Name

Location Name.

Location Type

Node, Zone, Hub or Metering Domain.

Ownership Share

Ownership Share is a right or obligation, for purposes of settlement, to a percentage share of all credits or charges associated with a generating unit asset or Load Asset, where such unit or load is interconnected to the New England Transmission System. This field should be left blank for tie lines.

Current Asset Reading

The current MW value of the Asset. (For a tie line, this reading will have the opposite sign for the Host Participant of the Receiver Domain.)

Share of Current Asset Reading

Current Asset Reading MW value allocated to Participant based on ownership share. (For a tie line, this field will be equal to the
Current Asset Reading.)

Submittal Date of Current Asset Reading

The submittal date of the Current Asset Reading.

Last Billed Asset Reading

The MW value of the Asset included in the last bill. (For a tie line, this reading will have the opposite sign for the Host Participant of the Receiver Domain.)

Share of Last Billed Asset Reading

Last Billed Asset Reading MW value allocated to Participant based on ownership share. (For a tie line, this field will be equal to the Last Billed Asset Reading.)

Bill Date

Date of bill containing Last Billed Asset Reading.

Changed from Last Billed Asset Reading (Y/N)

A flag indicating whether the Current Asset Reading has changed since it was included on the bill issued on Bill Date.
(Value = 'Y' or 'N')

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