HomeRulebook HomeBalancing and Settlement CodeBSC ProceduresBSCp 11 Trading Disputes
CONTENTS
- 1 Introduction
- 1.1 Purpose and Scope of the Procedure
- 1.2 Main Users of Procedure and their Responsibilities
- 1.3 Data Retention Requirements for use in Settlement Runs and Extra-Settlement Determinations
- 1.4 Information required on a BSCP11/01 Trading Dispute Form
- 1.5 Balancing and Settlement Code Provision
- 1.6 Associated BSC Procedures
- 1.7 EMR Requirements
- 1.8 Claims relating to the application of Non BM Unit ABSVD
- 2 Timeliness Criteria
- 2.1 Dispute Deadline
- 2.2 Exceptional circumstances
- 3 Acronyms and Definitions
- 3.1 Acronyms
- 3.2 Definitions
- 4 Not Used
- 5 Interface and Timetable Information
- 5.1 Trading Disputes Process
- 5.2 Deferral of Trading Dispute
- 5.3 Correction of Errors in the next scheduled Settlement Run
- 5.4 Performing a Post-Final Settlement Run
- 5.5 Errors rectified outside of Settlement Runs via an Extra-Settlement Determination
- 6 Appendices
- For contact details please refer to the BSC Website.6.1 Trading Dispute Raising Form (BSCP11/01)
- 6.2 This form is no longer used and is intentionally blank
- 6.3 Request for Assistance (BSCP11/03)
- 6.4 BSCCo Findings Form (BSCP11/04)
- 6.5 BSCCo Trading Dispute Closure Form (BSCP11/05)
- 6.6 Extra-Settlement Determination Request (BSCP11/06)
- 6.7 TDC Trading Dispute Findings (BSCP11/07)
- 6.8 TDC Deferral Form (BSCP11/08)
- 6.9 Trading Dispute Payment Authorisation Form (BSCP11/09)
- 6.10 Rectification of Trading Disputes
- 6.11 Extra-Settlement Determinations performed prior to the Final Reconciliation Run
- 6.12 Recovery of Rectification Costs and other Costs which may be incurred
- 6.13 Trading Dispute Charge
- 6.14 Materiality Threshold
- 6.15 Multiple Raising Parties
- 6.16 References to the Panel and Arbitration
- AMENDMENT RECORD – BSCP11
BSCP 11: Trading Disputes V25.0
Effective From Date:22/09/2025
Status:LIVE
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