HomeRulebook HomeBalancing and Settlement CodeBSC ProceduresBSCp 01 Overview of Trading Arrangements
CONTENTS
- 1 Introduction
- 1.1 Purpose and Scope of the Procedure
- 1.2 Main Users of the Procedure and their Responsibilities
- 1.3 Key Milestones
- 1.4 Balancing and Settlement Code Provision
- 1.5 Associated BSC Procedures
- 1.6 Overview of Trading Arrangements and Settlement Process
- 1.6.1 Introduction
- 1.7 Use of the Procedure
- 1.7.1 Description of Context and Process Diagrams
- 1.7.2 Overview of Settlement Timetable
- 1.8 Settlement Administration Agent Obligations with regard to input data
- 2 Acronyms and Definitions
- 2.1 Acronyms
- 2.2 Definitions
- 3 Process Diagrams
- 3.1 Trading Arrangements Context Diagram
3.2 Trading Processes prior to Settlement- 3.3 Interim Information and Initial Volume Allocation / Settlement Runs
- 3.4 Reconciliation and Final Reconciliation Volume Allocation / Settlement Runs[2]
- 3.5 Replacement Reserve Process
- 4 Interface and Timetable Information
- 4.1 Interim Information and Initial Settlement Timetable and Settlement Reports
- 4.2 Reconciliation Timetable and Settlement Reports
- 4.3 Produce Payment Calendar and SAA Settlement Calendar (transferred to BSCP301)
- 5 Appendices
- 5.1 Interim Information Settlement Run
- 5.2 Initial Settlement Run
BSCP 01: Overview of Trading Arrangements V31.0
Effective From Date:28/09/2026
Status:LIVE
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