PHYSICAL INVOICE
1
CNF
ENERGYABC
2015-11-16T11:33:57
Independent Electricity System Operator
Station A, Box 4474
Toronto
ON
M5W 4E5
CA
870513959RT0002
905-403-6900
1-888-448-7777
TD Bank
Settlement Clearing
0004
10202
0690-0458762
123456
ENERGYABC
ENERGYABC CORPORATION
123 MAIN ST
Toronto
ON
A1B 2C3
Canada
123456789RT0001
PI00123456
2015-11-16
2015-10-01
2015-10-31
101
NET ENERGY MARKET SETTLEMENT FOR NON-DISPATCHABLE LOAD
30596.88000
148
CLASS B GLOBAL ADJUSTMENT SETTLEMENT AMOUNT
93027.95000
150
NET ENERGY MARKET SETTLEMENT UPLIFT
553.72000
155
CONGESTION MANAGEMENT SETTLEMENT UPLIFT
383.46000
169
STATION SERVICE REIMBURSEMENT DEBIT
20.61000
183
GENERATION COST GUARANTEE RECOVERY DEBIT
421.18000
186
INTERTIE FAILURE CHARGE REBATE
-8.67000
250
10-MINUTE SPINNING MARKET RESERVE HOURLY UPLIFT
48.47000
252
10-MINUTE NON-SPINNING MARKET RESERVE HOURLY UPLIFT
68.31000
254
30-MINUTE OPERATING RESERVE MARKET HOURLY UPLIFT
38.12000
450
BLACK START CAPABILITY SETTLEMENT DEBIT
12.02000
451
HOURLY REACTIVE SUPPORT AND VOLTAGE CONTROL SETTLEMENT DEBIT
304.45000
452
MONTHLY REACTIVE SUPPORT AND VOLTAGE CONTROL SETTLEMENT DEBIT
33.62000
454
REGULATION SERVICE SETTLEMENT DEBIT
307.36000
650
NETWORK SERVICE CHARGE
7817.04000
651
LINE CONNECTION SERVICE CHARGE
2036.48000
652
TRANSFORMATION CONNECTION SERVICE CHARGE
4736.00000
753
RURAL RATE SETTLEMENT CHARGE
1602.98000
754
OPA ADMINISTRATION CHARGE
541.31000
900
GST/HST CREDIT
-16.91000
950
GST/HST DEBIT
18789.37000
1351
CAPACITY BASED DEMAND RESPONSE PROGRAM RECOVERY AMOUNT FOR CLASS B LOADS
680.07000
1463
RENEWABLE GENERATION CONNECTION - MONTHLY COMPENSATION AMOUNT SETTLEMENT DEBIT
6.53000
1550
DAY-AHEAD PRODUCTION COST GUARANTEE RECOVERY DEBIT
204.91000
1560
DAY-AHEAD GENERATOR WITHDRAWAL REBATE
-2.01000
1650
FORECASTING SERVICE BALANCING AMOUNT
5.00000
9990
IESO ADMINISTRATION CHARGE
990.15000
9992
ONTARIO CLEAN ENERGY BENEFIT (-10%) PROGRAM SETTLEMENT AMOUNT
-16155.41000
130061.00
16981.99
2015-11-18