Name |
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Comment |
Results from a published Settlements Run. The settlement data and billing run data are updated daily between 6am and 8am for AEMO's prudential processes. In a normal week, AEMO publishes one PRELIM, one FINAL and two REVISION runs in addition to the daily runs. |
Name |
Comment |
DAYTRACK identifies the actual settlement run processed for each settlement day. Settlement run is in the column EXPOSTRUNNO. Generally the number of the settlement run used in the latest statement is the maximum number. |
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APC Compensation payment amounts in the Settlements timeframe |
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APC Compensation recovery amounts in the Settlements timeframe |
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SET_ANCILLARY_SUMMARY summarises payments for all Ancillary Services to participants on the basis of regions and trading intervals. |
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SET_FCAS_PAYMENT sets out the enabling payment details for frequency controlled Ancillary Services. |
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SET_FCAS_RECOVERY shows reimbursements for the Frequency Control Ancillary Services (FCAS) to be recovered from participants. Beware of potential confusion with the table SETFCASRECOVERY, which reports reimbursements for Frequency Control Ancillary Services Compensation (now unused). |
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SET_FCAS_REGULATION_TRK shows FCAS Regulation Service Constraint tracking for Regional FCAS Regulation recovery |
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SET_MR_PAYMENT shows trading interval payments on a dispatchable unit basis for accepted MR capacity. |
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SET_MR_RECOVERY shows the trading interval recovery charges on a dispatchable unit basis for spot market income from dispatch of MR capacity. |
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SET_NMAS_RECOVERY sets out the NSCAS recovery data for payments other than testing. |
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SET_NMAS_RECOVERY_RBF publishes the RBF for NSCAS non testing payments on a half hourly basis. |
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SET_RUN_PARAMETER shows the input parameters and value associated with each settlement run (e.g. Residual System Load Causer Pays Factor). |
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SETAGCPAYMENT sets out specific payment details for Automatic Generation Control (AGC) services by period. |
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SETAGCRECOVERY shows reimbursements for Automatic Generation Control (AGC) Ancillary Services to be recovered from participants. |
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SETCPDATA shows meter settlement data for each connection point. This is the key view for retailers to verify energy charges. A regional summary view is also provided. As the view has values for each connection point by period, for each meter data file, it is a very large view. |
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SETCPDATAREGION sets out summary meter settlement data for each region. |
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SETFCASCOMP shows the compensation details for Frequency Controlled Ancillary Services (FCAS). These compensation values are calculated by a separate “what if” run of the LP Solver and entered as an unconstrained MW value into settlements. |
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SETFCASREGIONRECOVERY shows FCAS Regional Recovery Data against each Trading Interval. |
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SETGENDATA shows meter settlement data for each generation meter point. A regional summary is also provided. |
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SETGENDATAREGION sets out summary settlement data for generation within the specified region. |
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SETINTERVENTION shows intervention settlement payment details by unit. |
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SETINTERVENTIONRECOVERY shows intervention recovery details by participant. |
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This view supports the Settlements Residue Auction, by holding the NSP participant allocations of IRSurplus arising as a result of the unsold units for a quarter. |
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SETIRFMRECOVERY sets out reimbursements for Industrial Relations Force Majeure to be recovered from participants. |
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This view supports the Settlements Residue Auction, by showing the TNSP participant allocations of Interconnector Residue (IR) Surplus (i.e. derogated amounts) arising as a result of the sold units for a quarter. |
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This view supports the Settlements Residue Auction, holding the participant allocations of IRSurplus. |
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SETIRSURPLUS records the interregional residue calculation for each interconnector and each side of the interconnector. |
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SETLOCALAREAENERGY shows the UFE, AGE and associated values for each local area and trading interval in a settlement run. |
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SETLOCALAREATNI shows the list of TNIs constituent to a local area in a settlement run. |
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SETLSHEDPAYMENT shows specific payment details for load shed services by period. |
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SETLSHEDRECOVERY shows reimbursements for Load shed Ancillary Services to be recovered from participants. (Data no longer created for Settlement Days from 01/07/2012) |
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SETLULOADRECOVERY shows reimbursements for rapid-unit-load Ancillary Services to be recovered from participants. |
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SETLUNLOADPAYMENT shows specific payment details for rapid unit unload service. |
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SETLUNLOADRECOVERY shows reimbursements for rapid unit unloading Ancillary Services to be recovered from participants. |
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SETMARKETFEES shows payments for market fees for each settlement date. |
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SETREALLOCATIONS shows the trading interval value of reallocations processed, for those participants whose reallocation submissions have been accepted by AEMO. |
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SETRESERVERECOVERY shows reserve recovery details. |
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SETRESTARTPAYMENT shows specific payment details for System Restart services by period. |
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SETRESTARTRECOVERY shows reimbursements for system restart Ancillary Services to be recovered from participants. (Data no longer created for Settlement Days from 01/07/2012) |
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SETRPOWERPAYMENT shows specific payment details for Reactive power services by period. |
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SETRPOWERRECOVERY shows reimbursements for Reactive Power Ancillary Services to be recovered from participants. (Data no longer created for Settlement Days from 01/07/2012) |
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Publishes metering data and associated settlement values for with a registered Small Generator Aggregator participants connection points. |
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SETVICBOUNDARYENERGY is as requested by Participants for the settlement of Victorian Vesting contracts. |
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SETVICENERGYFIGURES is used in settlement of Victorian Vesting contracts. |
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SETVICENERGYFLOW is used in settlement of Victorian Vesting contracts. |
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