Pricing Manifest Error

Affected Period
N/A

Status
Closed

Category
Balancing

Run type
Imbalance Pricing

Created
28/01/2020 14:46

Last Updated
28/01/2020 15:06

Dear Market Participant,

SEMO have identified the following manifest errors in the calculation of the Imbalance Settlement Price.

Known Issue #6104

A recurrence of known issue #6104 has impacted the following Imbalance Settlement Periods:

Trading Day

Imbalance Settlement Periods

21st January 2020

07:30 - 10:00

17:00 - 18:30

22nd January 2020

07:30 - 10:00

24th January 2020

07:00 - 09:00

25th January 2020

09:30 - 11:30

26th January 2020

13:30 - 17:00


Known issue #6104 can be tracked via the Known Issues Report.


Incorrect Application of a Dispatch Instruction

A Sync Dispatch Instruction was incorrectly applied to the Imbalance Pricing calculation, impacting the calculation of  the Net Imbalance Volume. The period impacted was between 13:30 on the 26th January 2020 and 12:00 on the 27th January 2020.

Kind regards,
SEMO Trading Operations