Advanced Search

BSCP536: Supplier Charges

v 17.0
Download Forms
Download

Balancing and Settlement Code

BSC PROCEDURE

BSCP536

Supplier Charges

Version 17.0

Date: 29 June 2023

BSCP536 relating to SUPPLIER CHARGES

1. Reference is made to the Balancing and Settlement Code, and, in particular, to the definition of “BSC Procedure” in Section X, Annex X-1 thereof.

2. This is BSCP536, Version 17.0 relating to Supplier Charges.

3. This BSC Procedure is effective from 29 June 2023.

4. This BSC Procedure has been approved by the Panel.

Intellectual Property Rights, Copyright and Disclaimer

The copyright and other intellectual property rights in this document are vested in Elexon or appear with the consent of the copyright owner. These materials are made available for you for the purposes of your participation in the electricity industry. If you have an interest in the electricity industry, you may view, download, copy, distribute, modify, transmit, publish, sell or create derivative works (in whatever format) from this document or in other cases use for personal academic or other non-commercial purposes. All copyright and other proprietary notices contained in the document must be retained on any copy you make.

All other rights of the copyright owner not expressly dealt with above are reserved.

No representation, warranty or guarantee is made that the information in this document is accurate or complete. While care is taken in the collection and provision of this information, Elexon Limited shall not be liable for any errors, omissions, misstatements or mistakes in any information or damages resulting from the use of this information or action taken in reliance on it.

AMENDMENT RECORD

Version

Effective Date

Description of Changes

CRs Included

MODS / Panel Ref

1.1

Code Effective Date

Re-badged AP536 to form BSCP536

NCR313

2.0

27 March 2001

Approved by the Panel 22 February 2001

P/013/008

3.0

01 November 2002

Changes for Modification P68

P68

NPAB19/210

4.0

01 March 2003

Update to reflect the terminology used in the BSC

Update Reports BSCP536/02, BSCP536/03, BSCP536/04, BSCP536/05, BSCP536/06

CP851, CP852

NPAB22/244

5.0

1 July 2004

Changes for Modification P99.

P99

SVG41/002

6.0

BETTA Effective Date

BETTA 6.3 and SVA February 2005 Release CPs agreed by SVG

BETTA 6.3, CP1091

SVG/48/004

7.0

30 June 2005

SVA June 05 Release

CP1103

SVG/52/005

8.0

03 November 2005

SVA November 05 Release

CP1141

SVG/56/004

9.0

26 June 2008

June 08 Release

CP1176 (part)

ISG86/02, SVG76/02

CP1223

ISG84/01, SVG84/02, PAB84/11, TDC109/01

10.0

26 Nov 2008

P207 Release

P207

PAB91/12

SVG91/06

11.0

5 November 09

November 2009 Release

CP1287

SVG100/02

12.0

24 June 2010

June 2010 Release

CP1316

SVG106/01

13.0

01 November 10

November 2010 Release

CP1339

SVG116/05

PAB116/06

14.0

7 November 13

November 2013 Release

CP1399

PAB152/04

SVG152/08

15.0

5 November 15

November 2015 Release

P300

P228/06

P319 Self-Governance

P239/07

16.0

1 April 17

1 April 2017 Standalone Release

P339 Self-Governance

P261/06

CP1481

PAB192A/07

SVG191/07

17.0

29 June 2023

29 June 2023 Standard Release

CP1580

P338/04

1. Introduction

1.1 Scope of the Procedure

This BSC Procedure (BSCP) defines the process of applying Supplier Charges to Suppliers operating under Supplier Volume Allocation. It describes the key interfaces and timetable responsibilities for Suppliers, SVAA, PARMS, the Performance Assurance Administrator (PAA) and BSC Finance.

1.2 Risk Based Performance Assurance Framework

Performance Assurance Techniques (PAT)s will be applied to a Performance Assurance Party (PAP) based on the net significance of the applicable Settlement Risk and an assessment of the PAP’s contribution to the Settlement Risk.

Settlement Risks and their net significance are captured on the Risk Evaluation Register (RER). All the Settlement Risks identified are rated in terms of severity of impact and probability (including a weighting for the strength of controls).

The Settlement Risks are assigned Performance Assurance Techniques to mitigate those risks and these PATs are recorded in the Risk Operating Plan (ROP) against each Settlement Risk.

The Risk Evaluation Register and the ROP are produced for a Performance Assurance Operating Period in accordance with the Annual Performance Assurance Timetable and the agreed Risk Evaluation Methodology (REM), which details the processes used to identify and evaluate the Settlement Risks and assess their materiality.

Supplier Charges’ is a Performance Assurance Technique. The menu of Supplier Charges, including performance levels are detailed in Annex S-1 of the BSC.

1.3 Main Users of the Procedure

This BSC Procedure should be used by Suppliers, the PAA, the Performance Assurance Board (PAB) and BSC Finance. It will also be of general interest to all Trading Parties who will receive Supplier Charges from Suppliers.

1.4 Use of the Procedure

The purpose of this procedure is to enable Suppliers to understand the application of Supplier Charges, their responsibilities with regard to payment of these and the query process available to them.

Throughout this procedure, timetables reflect the number of Working Days following defined events by which an activity should be completed.

1.5 Balancing and Settlement Code Provision

This BSC Procedure has been produced in accordance with the provisions of the Balancing and Settlement Code (BSC), in particular Section S-1. In the event of an inconsistency between the provisions of this BSC Procedure and the Balancing and Settlement Code, the provisions of the Balancing and Settlement Code shall prevail.

1.6 Associated BSC Procedures

This BSC Procedure interfaces with:

BSCP533 PARMS Data Provision, Reporting and Publication of Peer Comparison Data

1.7 Acronyms and Definitions

1.7.1 Acronyms

The terms used in this BSC Procedure are defined as follows:

BSC

Balancing and Settlement Code (The “Code”)

BSCCo

Balancing and Settlement Code Company

SCs

Supplier Charges

PAA

Performance Assurance Administrator

PAB

Performance Assurance Board

PAP

Performance Assurance Party

PAT

Performance Assurance Technique

PARMS

Performance Assurance Reporting and Monitoring System

REM

Risk Evaluation Methodology

RER

Risk Evaluation Register

ROP

Risk Operating Plan

SVAA

Supplier Volume Allocation Agent

WD

Working Day

1.7.2 Definitions

Full definitions of the acronyms in Section 1.7.1 are, where appropriate, included in the Balancing and Settlement Code.

2. Not Used

3. Interface and Timetable Information

3.1 Application of SCs

REF

WHEN

ACTION

FROM

TO

INFORMATION REQUIRED

METHOD

3.1.1

Monthly, 26 WD after the last day of the calendar month and following receipt of the Funding Share as per 4.5.3

Calculate SCs and determine the manner in which they should be re-distributed. Produce reports and payment authorisation forms and issue to PAA.

PARMS

PAA

Performance data as specified in BSCP533. Forms BSCP536/01, /02,/03,/04 and BSCP536/05,/06

Email

3.1.2

With output data report as per BSCP533, 3.2.1

Send notification of extenuating circumstances (e.g. claiming Force Majeure against SCs)

Supplier

PARMS

Details of extenuating circumstances

BSC Service Desk

3.1.3

PAB Paper Day

Send report to PAB (incorporating information from 3.1.2)

PAA

PAB

Performance data as specified in BSCP533.

Paper

3.1.4

Next PAB meeting

Authorise reports and payment.

PAB

PAA

Form BSCP536/06 and cover paper.

Paper

3.1.5

2 WD after 3.1.4

Distribute reports & payment authorisation

PARMS

Suppliers/ Trading Parties/ BSC Finance

Forms BSCP536/01/03 (to Suppliers), Form BSCP 536/02 (to Suppliers where applicable), Form BSCP536/04 (to Trading Parties ) and Form BSCP536/06 to BSC Finance (electronic copy & paper)

Email

3.1.6

Next BSCCo Bill run

Issue BSCCo Bill, ref. 4.7 for payment rules

BSC Finance

Suppliers/ Trading Parties

Net figure for amount owed/owing

Paper

3.1.7

In line with BSC Co Finance procedures

Make payment

Supplier

BSC Finance

BSCCo Bill

Electronic

3.1.8

In line with BSC Co Finance procedures

Receive funds.

BSC Finance

Suppliers/ Trading Parties

Payment due information

Electronic

3.2 Raising a Query on SC reports

REF

WHEN

ACTION

FROM

TO

INFORMATION REQUIRED

METHOD

3.2.1

Within 10 WD of receipt of report

Raise Queries on SC Reports

Suppliers/ Trading Parties

PARMS

Query Form BSCP536/07

BSC Service Desk

3.2.2

Within 1 WD of 3.2.1

Log, check completeness of information and acknowledge Query

PARMS

Supplier/ Trading Parties

Query Form BSCP536/07

BSC Service Desk

3.2.3

Within 5 WD of 3.2.2

Assess Query and request additional information where required.

If no additional information required, go to 3.2.5

PARMS

Supplier/ Trading Parties/ SVAA, as appropriate

Query Form BSCP536/06

Request for Information Form F536/08

BSC Service Desk

3.2.4

Within 4 WD of 3.2.3

Receive Information Request and respond.

Supplier/ Trading Parties/

SVAA

PARMS

Request for Information Form F536/08 (Supplier's response on this form)

BSC Service Desk

3.2.5

Within 5 WD of 3.2.4

Receive additional information, if required, analyse Query and notify Supplier of response.

If Query resolved, go to 3.2.6. If Query not resolved, go to 3.2.7

PARMS

Supplier

Query Form BSCP536/07

Request for Information Form F536/08 and response (if required)

BSC Service Desk

3.2.6

Within 5 WD of 3.2.5

For those Queries that have been resolved and action is necessary, either (a) adjust SCs in next month or (b) send revised report to PAB for authorisation (refer to 3.1.1 or 3.1.3).

PAA

(a) BSC Finance

(b) PAB

Decision on Query.

Query Decision Form BSCP536/10, if appropriate

Paper

3.2.7

Within 5 WD of 3.2.5

For those Queries that have not been resolved, request escalation of Query.

Supplier

PAA

Request for escalation and supporting evidence

Paper

3.2.8

PAB Paper Day

Escalate Query and notify Supplier of action taken.

PAA

PAB

Query Escalation Form BSCP536/09, plus evidence from Supplier and PAA

Paper (to PAB)

Telephone/ E-mail (to Supplier)

3.2.9

Next PAB Meeting

PAB makes decision on escalated Queries and notifies PAA.

PAB

PAA

Query Escalation Form BSCP536/09 & Query Decision Form BSCP536/10

Paper

3.2.10

Within 1 WD of 3.2.9

PAA notifies Supplier and proceeds to 3.2.6

PAA

Supplier

Query Decision Form BSCP536/10

Paper

4. Appendices

The information in sections 4.1 – 4.5 is provided for guidance only and details can be found in Annex S-1 of Section S of the Code which takes precedence over this BSCP.

4.1 Supplier Standards Subject to SCs

Paragraph 2 of Annex S-1 of the Code details five Serials with related Standards, of which four Serials are associated with Supplier Charges.

4.2 Levels of SCs

The financial value of SCs is determined by what Trading Parties have agreed is “a genuine pre-estimate of the loss likely to be suffered by other Trading Parties”. The agreed charges are detailed in paragraph 3 in Annex S-1 of Section S of the Code.

4.3 Collection of Performance Data

4.3.1 Information from the Supplier. As detailed in BSCP533, all Suppliers are required to submit a performance report to the BSCCo 20 WD after the end of the month. The information in this report that will be used in the calculation of SCs relates to Serial SP04.

4.3.2 Information from SVAA. As detailed in BSCP533, SVAA will submit a performance report to BSCCo 7 working days after the end of the month. This report will contain details of Settlement data provided (the mix of actual and estimated data) and will be used in the calculation of SCs relating to Serial SP08.

Information on GSP Group Take and Supplier Deemed Take (needed for the calculation of the SCs) is provided from SVAA 20 WD after the last calendar day of the month.

4.3.3 Information from PARMS. Serials SP01 & SP02 relate to the timely submission of performance reports (every month) and performance logs (only on request from the PAA). Performance against these Standards is monitored by PARMS and the SC will be charged in the following month. For example, if the performance report for February’s performance is not received on the due date in March, the SC will be included in the batch run in April. All Serials provided by a Supplier's appointed agent, on behalf of that Supplier shall be subject to SP01, with the exception of those Serials referred to in BSCP533 Appendix B: PARMS Calculation Guidelines.

In the instance where SVAA provides performance data late, Suppliers will not be liable for an SC against Serial SP01 as long as their own monthly performance report was received on time.

4.4 Calculation of SCs

4.4.1 Calculation of SCs is a mechanical process carried out by PARMS on the data provided under BSCP533. Details of the calculations performed can be found in Annex S-1 of Section S of the Code.

4.4.2 Liability Caps. There is a limit set on each GSP Group liability by the PAB, in accordance with paragraph 3.8 of Annex S-1 of Section S of the Code. In addition, each Supplier has a cap set for each month for each GSP Group in which it trades, derived from Supplier Cap Take within the GSP Group. Details of this calculation can be found in Annex S-1 of Section S of the Code.

4.4.3 Retrospective SCs. SCs will be applied retrospectively within the parameters laid down by Annex S-1 of Section S of the Code. Interest will be due on retrospective SCs at Base Rate from the deemed due payment date.

4.5. Calculation of Re-Distribution of SCs

4.5.1 SupplierTrading Party Allocation. Of the total SCs payable, 90% is re-distributed to Suppliers trading NHH energy in the GSP Group where the SC was incurred and 10% is re-distributed to Trading Parties.

4.5.2 GSP Group Re-distribution. Funds are re-distributed to all Suppliers who are NHH traders in the GSP Group as per that Supplier’s share of the total quantity of energy attributable to Non Half Hourly Metering Systems (after adjustment for Line Loss Factors) taken by all Suppliers in the GSP Group during the relevant month.

4.5.3 Trading Party Re-distribution. The funds due to Trading Parties (including the Supplier who incurred the SC) will be re-distributed on the basis of their Funding Shares. This information will be provided by BSCCo, on a monthly basis.

BSCCo calculates the Main Funding Share on the final Working Day of the third month after the month for which the Main Funding Share is to be calculated. For example the Main Funding Share for the January period is calculated on 30 April.

For this reason Supplier Charges for a reporting period cannot be calculated until the fourth month after the reporting period itself, when the Main Funding Share is available for that reporting period. For example the Supplier Charges for the January period will be calculated on or after 1 May.

4.6. Report Authorisation and Distribution

4.6.1 SC Reports and a Payment Instruction will be produced monthly at the monthly batch run of PARMS (end of the month + 26 WD, as in accordance with BSCP533).

4.6.2 All SC Reports and the Payment Instruction will be submitted to the next PAB meeting for approval. (paragraph 1.4.2 (c) of Section J of the Code).

4.6.3 Once approved, the SC Reports will be distributed to the appropriate Suppliers and Trading Parties. The Payment Instruction will be passed to BSC Finance on the day after the PAB meeting.

4.7 Invoicing

4.7.1 BSC Finance will incorporate a net figure for Supplier Charges for each Trading Party in its next BSCCo Bill.

4.7.2 Typically, BSCCo Bills are issued monthly and rules for payment are in accordance with Annex S-1 of Section S of the Code.

4.8 Adjustments

4.8.1 Adjustments may be required as a result of the need to apply interest to an earlier months payment or as a result of an error in an earlier months SCs calculation. BSC Finance will record overdue (late) payments and apply interest from date at which payment should have occurred. Adjustments required to payment will be carried out by BSC Finance on the basis of notification provided by the PAA. These will be determined on a case by case basis.

4.8.2 Query resolution adjustments to data will be input manually into PARMS, so that the data in the System is correct. Reports will be re-run as necessary.

4.9 Collection and Re-distribution of Funds

4.9.1 Responsibility for collecting funds and adding interest for late payment rests with BSC Finance. A Payment Instruction form will be issued by the PAA to BSC Finance detailing the individual net payments/receipts applicable for each Trading Party– this will form the basis of the item in the BSCCo Bill.

The Payment Instruction form will include in the net figure any adjustments relating to previous months. These adjustments may arise as a result of the need to apply Interest to an earlier months payment or as a result of an error in an earlier months SC calculation.

4.9.2 Interest may be applied in the event that:

A Supplier fails to submit its Routine Performance Monitoring Report within the required timescales and the report identifies that Supplier Charges are due as a result of a failure to comply with SP04;

A Supplier fails to pay its Supplier Charges on the due date;

A change is made to an amount due to or from a Supplier or Trading Party as a result of an error being identified and corrected.

4.9.3 For (i) and (ii) Interest is applied at the Default Interest Rate from the date on which payments were due (which in the case of (i) is the date on which payments of the SC’s would have been due had the report been delivered within the required timescales) to the date on which payments are actually made. In the case of (iii), interest is applied at Base Rate.

4.9.4 The PAA is responsible for applying interest in the case of (i) and (iii) and incorporating these in the net figure advised to BSC finance in the Payment Instruction. BSC Finance is responsible for applying interest in the case of (ii).

In the event of default, the PAA will be responsible for re-calculating the distribution of funds and will ensure that the revised figures are incorporated in the Payment Instruction to BSC finance.

4.10 Queries

4.10.1 If a Supplier wishes to query their SC Report for a particular month, they must do so within 10 WD of receipt of the SC Report. Receipt of the report is deemed to be 1 WD after electronic submission of reports by PARMS.

4.10.2 A Supplier can only raise a query in relation to a GSP Group in which it trades.

4.10.3 All queries will be logged on the PAA Supplier Charges Queries Log.

4.10.4 Queries that cannot be resolved by mutual agreement between the PAA and party/parties concerned within 16 WD of receipt of the query by the BSC Service Desk, will be escalated to the PAB.

4.10.5 In response to a PAB Query resolution, adjustments may be made as per section 4.8, above or the PAB may instruct the PAA to amend and rescale liability or waive payment.

4.11 Not in Use

4.12 Forms

Copies of all forms follow below

4.12.1 Trading Party Summary Receipts – to be sent with Supplier Summary Trading Report & Supplier Trading Reports.

BSCP536/01

[Contact Name]

[Contact Address line 1]

[Contact Address line n]

SUPPLIER CHARGES

Trading Party Summary Receipts, [SC Reporting Period]

[Party Name]

Charges payable as a Supplier

(including interest)

£

Receipts as a NHH Trader

£

Receipts as a Trading Party

£

Net Position

£ *

* This is the figure that appears on your BSCCo Bill and which will be added to/deducted from amounts owing, as appropriate

4.12.2 Supplier Charge Apportionment Report – one provided for each Supplier as front sheet to Supplier Trading Reports (4.12.3)

BSCP536/02

PARMSSupplier Charge Apportionment

Party Id [party id], Reporting Period [period] in [SC Period]

Supplier

[Supplier ID], [Supplier Name]

GSP Group

[GSP Group ID], [GSP Group Name]

Supplier Ownership from

[From]

To

[To]

Apportionment Ratios

Ref

Supplier

[party id]

Total

Share

Where CCC IDs have a metered / unmetered indicator value of ‘M’ and a consumption component indicator value of ‘C’

1

HH 100kW MSID Counts at SF for HHDA Runs

2

HH 100kW Energy (MWh) at SF for SVA Runs

3

HH 100kW MSID Counts at R1 for HHDA Runs

4

HH 100kW Energy (MWh) at R1 for SVA Runs

5

HH non-100kW MSID Counts at SF for HHDA Runs

6

HH non-100kW Energy (MWh) at SF for SVA Runs

7

Where CCC IDs have a consumption component indicator value of ‘C’

NHH Active Import Energy (MWh) at SF for SVA Runs

8

Days in Reporting Month

9

Serial 10 Days Late

10

SP01 Days Late

11

HH 100kW Energy (SP08B) at SF

12

HH 100kW Energy (SP08B) at R1

13

HH non-100kW Energy (SP08C) at RF

14

NHH Energy at R3 (SP08A)

15

NHH Energy at RF (SP08A)

16

NHH Energy at R3 (Serial 1)

17

NHH Energy at RF (Serial 1)

18

HH non-100kW Energy (SP08C) at R1

19

HH non-100kW Energy (SP08C) at R2

20

HH non-100kW Energy (SP08C) at R3

Apportioned Charges

Charge

Ratio

Supplier

[party id]

Ref

Total

Share

Serial SP01 Late Days

10

Serial SP02 Late Days

8

Serial SP04

8

Serial SP08A R3

14

Serial SP08A RF

15

Serial SP08B SF

11

Serial SP08B R1

12

Serial SP08C R1

18

Serial SP08C R2

19

Serial SP08C R3

20

Serial SP08C RF

13

Serial 1 R3

16

Serial 1 RF

17

Serial 2

1

Serial 3

2

Serial 4

3

Serial 5

4

Serial 6

5

Serial 7

6

Serial 9

8

Serial 10 Late Days

9

Uncapped Serial Charge

Capped Serial Charge

Interest

8

Supplier Receipt

7

Total Supplier Charge

Queries

Any query on this report must be raised in by logging an incident with the BSC Service Desk (email: bscservicedesk@cgi.com ; telephone: 0370 010 6950).

Funds Collection and Distribution

Funds are collected and distributed via your BSCCo bill, in accordance with BSCP536.

4.12.3 Supplier Trading Report – one to be provided for each GSP Group within which the Supplier is trading.

BSCP536/03

PARMSSupplier Trading Report

Party Id [party id], Reporting Period [period] in [SC Period]

GSP Group

[GSP Group ID], [GSP Group Name]

Total GSP Group Take

MWh

Total NHH Energy in GSP Group

MWh

GSP Group Monthly Liability Cap

£

Total Supplier Cap take

£

Supplier

[Supplier ID], [Supplier Name]

Supplier Cap Take

MWh

Supplier NHH Energy in GSP Group

MWh

Supplier Group Monthly Liability Cap

£

Performance Analysis

Serial

Performance

Under

Serial Charge

Id

Target

Achieved

Performance

SP01

SP02

Serial

Metering System

Performance

Under

Serial Charge

Id

Target

Achieved

Performance

SP04

SP04

Serial

Settlement

Performance

Under

Serial Charge

Id

Date

Type

Target

Achieved

Performance

SP08a

97 %

%

SP08b

99 %

%

Uncapped Supplier Charge

£

Supplier Own Uncapped Monthly Receipts

£

Supplier Net Liability

£

Late Submission Interest

£

Adjustment Interest

£

Supplier Charge Adjusted for Cap Breach and Interest

£

GSP Group Total

£

Party Total

£

SP08c

99 %

%

Uncapped Supplier Charge

£

Supplier Own Uncapped Monthly Receipts

£

Supplier Net Liability

£

Late Submission Interest

£

Adjustment Interest

£

Supplier Charge Adjusted for Cap Breach and Interest

£

GSP Group Total

£

Party Total

£

This report details performance against Supplier Serials SP01, SP02, SP04, SP08, and Pre-P99 Serials 1, 2, 3, 4, 5, 6, 7, 9, 10 & 11. Omission of any Serial indicates that performance data was not received and related SCs (including Serial 10 charges) will appear in subsequent monthly reports.

Any query on this Report must be raised by logging an incident with the BSC Service Desk (email: bscservicedesk@cgi.com ; telephone: 0370 010 6950) no later than 10 WD from the date of receipt.

4.12.4 Trading Party Trading Report.

BSCP536/04

PARMSTrading Party Trading Report

Party Id [party id] [Party Name]

Reporting Period [period] in [SC Period]

Supplier Charges

Total Supplier Charges for all Suppliers in all GSP Groups:

(incl. interest)

£

Total Trading Party Allocation:

£

Trading Party Entitlement

Funding Share:

Total Receipts due to [Party] *(in accordance with Annex S1 4.1.14 of the BSC)

£

Funds Collection

Funds due from/ to you will be credited against your statement of costs for the BSCCo budget.

*Note: This payment is over and above any Supplier Charges you may receive as a NHH Supplier within a given GSP Group

Queries

You have 10 WD from the date of receipt to raise any queries about this report by logging an incident with the BSC Service Desk (email: bscservicedesk@cgi.com ; telephone: 0370 010 6950).

4.12.5 PAA Summary Supplier Charges Report

BSCP536/05

PAA Summary Supplier Charges Report

Monthly Breakdown of Supplier Charges by GSP Group

For Period Ending: ‘Month End’

Date of Issue: dd Month yyyy

GSP Group Id: ‘GSP Id’

GSP Group: ‘GSP Group Name’

Breakdown of Charges by Supplier for this GSP Group

Supplier Id

Supplier Name

Supplier Charges

Late Sub. Interest

Adjustment Interest

Total Supplier Charges

Supplier Id’

Supplier Name’

£

£

£

£

Total for this GSP Group

£

£

£

£

Total Receipts to NHH Traders within this GSP Group:

£

£

£

£

Trading Party Receipts within this GSP Group:

£

£

£

£

Summary of Supplier Charges by GSP Group

For Period Ending: ‘Month End’

Date of Issue: dd Month yyyy

GSP Id

GSP Group Name

Total Supplier Charges this Month

Total Receipts due to NHH Traders Year to Date

Total Trading Party Receipts Year to Date

‘GSP Id’

‘GSP Name’

£

£

£

Total for all GSP Groups

£

£

£

Total Supplier Charges across all GSP Groups

For Period Ending: ‘Month End’

Date of Issue: dd Month yyyy

Supplier Id

Supplier Name

Total charges this Month

Total Charges Year to Date (inc. this report)

Supplier PARMS Id’

Supplier PARMS Name’

£

£

Summary of Supplier Charges for all GSP Group

For Period Ending: ‘Month End’

Date of Issue: dd Month yyyy

Supplier Charges

Late Sub. Interest

Adjustment Interest

Total Supplier Charges

Total for all GSP Groups

£

£

£

£

4.12.6 BSCCo Finance Payment Instructions and Authorisation

BSCP536/06

PARMS - Payment Instructions

[Reporting Period]

Trading Party Id

Trading Party Name

Total Supplier Charges

Total Supplier Receipts

Total Trading Party Receipts

Net Position

Trading Party PARMS Id’

Trading Party PARMS Name’

£

£

£

£

Check Total:

£

These funds are to be collected and distributed by BSCCo Finance in accordance with the procedures outlined in BSCP536.

AUTHORISED BY

Signed: ________________________________

Performance Assurance Board Chair

Date: _______________________

4.12.7 Query Form

BSCP536/07

QUERY FORM

To: PARMS Date:

From: Authorised:

Telephone No: Signature:

Fax No: E-mail:

Category of Data Provider: Supplier:

Log No:

Description of Query:

Explanatory Documentation Attached:

Please raise this query by logging an incident with the BSC Service Desk (email: bscservicedesk@cgi.com ; telephone: 0370 010 6950).

4.12.8 Request for Information Form

BSCP536/08

REQUEST FOR INFORMATION

To:

Company Name:

From:

Performance Assurance Administrator

Date:

Contact Name:

Reporting Period:

From:

To:

Log/Query *No.

*delete as appropriate

Description/Request

Query Response

Please send information/data to PAA at Elexon Limited, 4th Floor, 350 Euston Road, London NW1 3AW or E-Mail: paa@elexon.co.uk

4.12.9 Query Escalation Form

BSCP536/09

QUERY ESCALATION FORM

To:

Performance Assurance Board

Query No.

From:

Performance Assurance Administrator

Date:

Query Raised By:

Description of Query:

Explanatory Documentation Attached:

4.12.10 Query Decision Form

BSCP536/10

QUERY DECISION FORM

Decision made at PAB Meeting held on _____________relating to Query No. _____________

Brief description of Query:

Decision:

Authorised by:

PAB Chair

Date:

To be forwarded to PAA immediately.

4.12.11 Supplier Charge Contact Form

BSCP536/11

SUPPLIER CHARGES: NOMINATION OF CONTACT PERSON

To: PARMS

From: ____________________________ Date: ___________________

Company Name: ___________________________________________________

I would like to nominate the following person as our company’s contact for all matters relating to Supplier Charges

Name: ______________________________________

Job Title: ____________________________________

Company Name:

Party ID: ___________________

Address: _________________________________

_______________________________________

________________________________________ Postcode: ______________

Telephone: ______________________ Fax: ________________________

Email: ________________________________________

Please submit this form by logging an incident with the BSC Service Desk (email: bscservicedesk@cgi.com ; telephone: 0370 010 6950).