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      • Markets and Operations
      • Settlements and Billing
      • Understanding the Bill
      • Billable Line-Item Descriptions

      High-Voltage Volt Ampere Reactive (VAR) Cost Reallocation

      IN THIS SECTION

      • Understanding the Bill
      • Billable Line-Item Descriptions
      • MIS Report Descriptions, Templates, and Samples
      • Sample Invoice and Remittance Advice

      What is High-Voltage VAR Cost Reallocation?

      High Voltage Ampere Reactive (VAR) is the payment made to an asset for providing support during a high voltage condition. The High Voltage VAR Cost Reallocation settlement information is provided under the Standard Settlement reporting structure to reallocate the charges from Pool Network Load to Network Load within Reliability Region(s).

      In what document(s) do I find details about the High-Voltage VAR Cost Reallocation?

      Primary provisions for the settlement of high voltage are located in Schedule 2 of the 快活app官网 Open Access Transmission Tariff (OATT). Other sections of the OATT and other documents, including, but not limited to, 快活app官网 Operating Procedure No. 12 (Voltage and Reactive Control), are also applicable.

      Who can expect to incur a High-Voltage VAR Cost Reallocation Credit or Charge?

      Credits

      Transmission Customers

      VAR Service costs resulting from high voltage conditions are refunded to all transmission customers with Regional Network Service (RNS) and/or Through or Out (TOUT) Service allocated in the OATT -Schedule 2 VAR settlement.

      Charges

      Network Load

      VAR Service costs are reallocated to all transmission customers with Regional Network Service in the affected Reliability Region(s).

      Related Standard Settlements

      N/A

      Related Billing Adjustments

      N/A

      Bill Detail

      The monthly contains the net of charges and credits for High Voltage VAR Cost Reallocation, in the bill roll-up item entitled "OATT-Schedule 2 VAR".

      Reports

      Daily Financial Position Report

      BL_DAILYPOSITION Daily financial position including all market service settlements and miscellaneous billing adjustments generated on a daily basis; and, issued to all active customers registered as a Participant or Non-Participant.

      High Voltage VAR Cost Reallocation

      SS_HVVAR Summarized in the monthly MIS Report issued one month in arrears of the settlement obligation month.

      FERC EQR

      Variable payments for CEP associated with NCPC are reported on the SP_EQR report, available on a monthly basis one month after the given settlement, as referenced in the FERC EQR mapping line items NCPC - Day Ahead or NCPC - Real Time.

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