An In Depth Guide To Imbalance Trading-Free Books

An In Depth Guide to Imbalance Trading
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One Introduction,Introduction 3,Starting the INSIDEtracc Application 4. Logging On 6,Logging Off 6,Changing Your Password 7. Two Imbalance Trading Process,Accessing the Imbalance Trading Screen 8. Create Trade Screen 9,Field Descriptions 9,Buttons 10. Creating a New Trade 10,Query Balances 11,Query Trades 13.
Modifying Trades 14,Confirm Reject Trades 15,Three Market Center Trading. Create Market Center Trade 17,Four Simple Trading Example. Simple Trading Example 18,Five Imbalance Trading Messages. Imbalance Trading Messages 19,Six Market Center Trades Messages. Market Center Trades Messages 20,Seven Troubleshooting.
Troubleshooting 21,October 2008,One Introduction,Introduction. This user guide provides explanations and illustrations for all aspects of Imbalance Trading through. California Gas Transmission s INSIDEtracc system, In the pages that follow you will learn how to log on and off INSIDEtracc through CGT s Pipe Ranger. Web site retrieve your Balance and Imbalance Account balances access archived trades and most. importantly how to electronically trade and resolve your imbalances A simple imbalance trading. overview and trouble shooting tips are included in the Appendix that follows. Trade period dates are posted on CGT s Pipe Ranger Web site and can be found on the current month. Cashout Rates link under the Tools Services Imbalance Trading section of the site The Imbalance. Trading period typically begins no later than the 15th of the month and lasts until the close of NYMEX. close of Henry Hub Gas Future Contracts The CPBA Trade Period closes the last business day of the. If you have questions or need help with any features of Imbalance Trading please contact a CGT Account. Services Representative at 1 800 343 4743,October 2008 3. Introduction,Starting the INSIDEtracc Application, From the Pipe Ranger Web site home page www pge com pipeline click on the INSIDEtracc Log On. link You can find the INSIDEtracc Log On link under the top navigation INSIDEtracc link or using the. link in the right hand Pipe Ranger Controls navigation. October 2008 4,Introduction, Enter your INSIDEtracc User Name and Password then click SUBMIT If you do not currently have an.
INSIDEtracc User Name and Password click the Register here link and follow the sign up instructions. From the Login screen you will be able to,Logon to INSIDEtracc. Have your User Name or a temporary password e mailed to you. Register as a new user, NOTE After five 5 tries with an incorrect password the authentication process will. automatically lock you out of the system for a minimum of 15 minutes or maximum of. one hour CGT strongly recommends clicking the link to have a new password sent. to you after three 3 incorrect tries to prevent being locked out of the system. October 2008 5,Introduction,Logging On, Once you have successfully logged on the INSIDEtracc Home page will appear. NOTE After two hours of activity or inactivity you will be prompted to re enter your logon. information Once you have re entered your logon information you will be returned to. the screen you were using and all data will be current. Logging Off,To log out of INSIDEtracc, Click the top navigation Pipe Ranger link to open a new browser window for CGT s Pipe Ranger. Click into the INSIDEtracc window and click the Logout link on the top navigation bar. A logout confirmation page will appear You are now properly logged off. Click the CONTINUE button to return to PG E s company Web site or close your browser window using. the X in the top right corner, NOTE Always end your INSIDEtracc session by logging off Please do not move to another.
application without logging off first,October 2008 6. Introduction,Changing Your Password,To change your password. Click the My Account link within any of the INSIDEtracc pages. From the authentication login screen click the Forgot your password link to have a temporary. password sent to you, Logon with the temporary password you will be asked to change your password at that time The. system will record your new Password and the INSIDEtracc Home page will appear. Your Password may be up to 10 alpha numeric characters letters and or numbers and must be at least 6. characters in length CGT recommends the following guidelines be used when changing passwords. Set length to be at least eight characters, Include a mix of numbers characters uppercase and lowercase letters with letters mixed. Do not form recognized words,Use a number at the beginning or end.
NOTE Passwords are C8Se Sens1tivE,October 2008 7,Two Imbalance Trading Process. Accessing the Imbalance Trading Screen, Use the Balancing navigation selection to Query Balances Query Trades Create Trade or. Confirm Reject Trade, NOTE The Create Market Center Trade selection is used to net park and lend balances and is. detailed in Section Three of this document,October 2008 8. Imbalance Trading Process,Create Trade Screen,Field Descriptions.
Imbalance The month and year for which you are trading the imbalance This field is set. Month Year to the previous calendar month which is the imbalance month currently being. NOTE If you are trading or retrieving an Operating Imbalance this. field must be changed to three months prior to the current. Trade Period, Volume The volume of therms not decatherms to be traded. Src Cust Code Source Customer Code This is the 4 digit customer code designating the. owner of the Source Balancing Account, Source Bal Source Balance Account Identifies the Balance Imbalance Account from. Acct which the volume will be traded Valid Source Balance Imbalance Accounts. include NBAA Cumulative Premises Cumulative Noncore Storage CTA. Operating CTA Cumulative Core Storage and CPBA Accounts. While trades may be made to or from Storage Accounts they may not be. made between two Storage Accounts, Src Bal Type Source Balancing Type Identifies the type of source balancing account This. field will automatically populate once the Source Balance Account has been. Dest Cust Destination Customer Code This is the 4 digit customer code designating the. Code owner of the Destination Balancing Account,October 2008 9. Imbalance Trading Process, Dest Bal Acct Destination Balance Account Identifies the Balance Imbalance Account.
from which the volume will be traded Valid Source Balance Imbalance. Accounts include NBAA Cumulative Premises Cumulative Noncore. Storage CTA Operating CTA Cumulative Core Storage and CPBA. While trades may be made to or from Storage Accounts they may not be. made between two Storage Accounts, Dest Bal Type Destination Balancing Type Identifies the type of destination balancing. account This field will automatically populate once the Destination Balance. Account has been entered, Submit Enters a trade proposal in the system prior to confirmation. Creating a New Trade, Prior to creating a trade you will need to negotiate with an appropriate trade partner independently of the. INSIDEtracc Imbalance Trading application Once you have identified a trading partner you should do the. following before you create your trade, Retrieve account balances to determine types and volumes of imbalance trades. Exchange Customer Codes Source and Destination Balance Account Codes and Names types of. accounts and total volume of therms to be traded, Determine which trade partner will enter the trade and which will confirm it electronically.
Once you have finished exchanging trade information follow these steps to create your trade. Enter the Imbalance Month Year in the Imbalance Month Year field for the imbalance you are. NOTE This field defaults to the prior month which represents the imbalance month for any. Cumulative Imbalance If you are a trade partner for an Operating Imbalance this field. must be changed to reflect three months prior For example if the trade period is 6. June yyyy the Operating Imbalance Month and Year should be changed to 3 March. yyyy This date change must be made only for trades involving Operating Imbalances. Enter the volume of therms in the Volume Therms field. Enter the Source Customer Code and Source Balance Account Name in the Src Cust Code and. Src Bal Acct fields on the left side of the trading screen If you are trading from a Core Transport. Agent CTA Balance Account you must select the appropriate CTA Balance Account type from. the drop down menu using the button This step is necessary because the three types of. CTA Balance Accounts have identical 5 digit codes, Enter the Trading To Customer Code and Destination Balance Account Name in the Dest Cust. Code and Dest Bal Acct fields on the right side of the trading screen If you are trading to a CTA. Account you must first enter the CTA Balance Account Name in the Dest Bal Acct field before. accessing the appropriate account with the button This step is necessary because the three. types of CTA Balance Accounts have identical codes. Click once on the SUBMIT button,October 2008 10,Imbalance Trading Process. The trade will appear in the Balance Imbalance Trades Table and display a Pending status. NOTE The customer submitting the trade may be either the source customer or the destination. A trade may also be created between two Balance Accounts owned by the same entity. When submitted the status of this trade will immediately display as Confirmed since. accounts having a single owner or agent do not require confirmation. Query Balances, To view account balances select Balancing Query Balances from the top navigation A list of the most. recent trading period account balances will be shown in the table sorted by Balance Account Type. You may view both Imbalance Accounts and Balance Accounts with the Imbalance Trading tool. Imbalance accounts include Cumulative Operating and California Production CPBA Accounts Balance. accounts include Market Center Parking and Lending Accounts as well as Storage Accounts. Select a specific balance account by choosing an account from the drop down list in the Bal Acct. Code field to see just that account information Click the QUERY button to refresh the table. Select an account category to see only specific types of accounts Click the QUERY button to. refresh the table,October 2008 11,Imbalance Trading Process. NOTE Imbalance Account balances are current only during the Trade Period. Current Balance Account balances may be retrieved at any time regardless of the. Trade Period being in effect or not, In the illustration above the difference between the Current Balance Therms.
and Must Trade to Avoid Cashout represents the applicable Tolerance Band for. the type of balance account displayed Please check the tariffs since rules. governing Balance Account types differ,October 2008 12. Imbalance Trading Process,Query Trades, To view current trades select Balancing Query Trades from the top navigation A list of the most recent. trading period account trades will be shown in the table sorted by Status. Options to limit your current trades query include the following fields all yellow mandatory fields are. required for the query, Filter By limits your query to one of several selections. Imbalance Month Year limits your query to a specific imbalance month and year. Trade Date limits your query to a specific trade date. Click on the QUERY button to populate the Results Table with your selections. October 2008 13,Imbalance Trading Process,Modifying Trades. Once confirmed a trade may not be modified If you wish to change a trade you have previously entered. you must reject the pending trade and re enter the desired trade. Select Balancing Confirm Reject Trade from the main navigation. Click once on the icon in the Actions column for the Pending trade you wish to modify This. action causes that particular trade to populate a new screen with the Pending trade information. Click on the Reject button, Re enter the desired trade by navigating to Balancing Create Trade from the main navigation.
October 2008 14,Imbalance Trading Process,Confirm Reject Trades. After your trading partner has entered a trade you will need to confirm or reject it A trade may be rejected. by either trade partner prior to confirmation,Action Required Please Confirm or Reject. NOTE Each trading party will only view their own account position In this example. Customer 9999 is viewing a trade made with Customer 8888 Customer 9999 will. only be able to view the Source Account Position since the source account. belongs to them,Confirm and Reject buttons will be enabled. if you are confirming or rejecting a pending trade Only the Reject button will. show if you are the party that entered the trade,October 2008 15.


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