Current Status |
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| Report Name |
Change Summary |
Effective Date |
Description |
Template |
Sample |
| ss_ncpccs | Existing. | 03.01.2008 | XLTX | CSV | |
SS_NCPCCS - NCPC - Cancelled Start - Rev 0SS_NCPCCS_<customer id>_<settlement date>_<version>.CSV Availability: Determined by associated market service |
|
|
REPORT COLUMN |
DESCRIPTION |
|
CALCULATION |
|
|
Trading Date |
Specific day for which the settlement(s) is calculated. |
|
Trading Interval |
Specific hour for which the settlement is calculated. |
|
Asset ID |
Numerical identifier for the asset. |
|
Asset Name |
Name of the asset. |
|
Location ID |
This column is optional. If the asset is committed for Local Second Contingency Protection Resource (LSCPR), this value will be the numerical identifier of the Reliability Region for which the asset was committed. For all other commitment reasons, this value will not be reported. |
|
Location Name |
This column is optional. Name of the location corresponding to the Location ID. |
|
Calculation Description |
Actual values used to calculate this settlement in the format of the calculation. The Cancelled Start Credit equals: |
|
Total Asset Dollars |
Total dollars associated with the asset. |
|
Allocation Share |
Customer's ownership share of the asset |
|
Customer Dollars |
Total Asset Dollars x Allocation Share. |
|
Comments |
Comments associated with each record, as determined by the specific standard settlement item. At a minimum, this column will contain an indicator of the commitment reason for each asset. (i.e. Economic, SCR, LSCPR) |
|
ALLOCATION |
|
|
Trading Date |
Specific day for which the settlement(s) is calculated. |
|
Asset ID |
This column is optional. It will be used to report the numerical identifier for any asset compensated for a cancelled SCR commitment. |
|
Asset Name |
This column is optional. Name of the asset corresponding to the Asset ID. |
|
Location ID |
This column is optional. If the asset is committed for Local Second Contingency Protection Resource (LSCPR), this value will be the numerical identifier of the Reliability Region for which the asset(s) was committed. For all other commitment reasons, this value will not be reported. |
|
Location Name |
This column is optional. Name of the location corresponding to the Location_ID. |
|
Allocation Description |
If Economic Commitment, allocation is: |
|
Total Allocation Factor |
Pool Daily NCPC Deviations |
|
Customer Allocation Factor |
Customer Daily NCPC Deviations |
|
Total Dollars |
Total dollars to be allocated for Cancelled Start Credits for the period. |
|
Customer Dollars |
Total Dollars x Customer Allocation Factor / Total Allocation Factor |
|
Comments |
Comments associated with each record, as determined by the specific standard settlement item. At a minimum, this column will contain an indicator of the commitment reasons associated with each allocation (i.e. Economic, SCR, LSCPR). |

