Pricing Manifest Error

Affected Period
N/A

Status
Closed

Category
Balancing

Run Type
Imbalance Pricing

Created

Last Updated

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