Fields | |
Submitted By | Field is set to the 4-digit Customer Code assigned to the partner entering the trade. |
Trade Date | Date is set to today's date within the current month's Trade Period. |
Volume to Trade | Shows the volume to be traded, in therms. |
Imbalance Month | The supply month for which user is trading an imbalance. This field is set to the month prior to the Trade Period. Note: If you are trading Operating to Operating Imbalances, the month must be changed to reflect the Operating Imbalance month. |
Status | The status defaults to the status of the trade: pending, confirmed, rejected, retained or expired. |
Source Balance Account | Identifies the account from which volumes will be traded. It may include NBAA Cumulative, Premises Cumulative, Storage, CTA Operating, CTA Cumulative, CTA Storage and CPBA Balance Accounts. |
Destination Balance Account | Identifies the account to which volumes will be traded. It may include NBAA Cumulative, Premises Cumulative, Storage, CTA Operating, CTA Cumulative, CTA Storage and CPBA Balance Accounts. |