Imbalance Trading Online Training: The Trading Screen - Fields

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.