ANNEX S-1: PERFORMANCE LEVELS AND SUPPLIER CHARGES
1.1.1 This Annex S-1 forms a part of Section S.
1.1.2 This Annex S-1 sets out:
(a) the Menu of Supplier Charges (including Performance Levels and Supplier Charges); and
(b) payment arrangements in respect thereof.
1.2.1 In this Annex S-1, unless the context otherwise requires:
(a) references to a
Performance Level or
Serial shall be to a
Performance Level or (as the case may be)
Serial as specified in
paragraph 2 or
3 respectively;
(b) references to a Metering System shall be to a SVA Metering System;
(c) references to the term "
for which a Supplier is responsible" when used in relation to a particular
Metering System or
Metering Equipment shall mean the relevant
Metering System or (as the case may be)
Metering Equipment in relation to which the Supplier is registered with a
Supplier Meter Registration Agent including for the avoidance of doubt a
Metering System for which the Supplier is treated as
Registrant pursuant to
Section K7.1.3(a)(ii);
(d) references to a paragraph shall be to a paragraph of this Annex S-1;
(e) the acronyms employed in the formulae and other algebraic expressions shall bear the respective meanings set out in
Annex X-2;
(f) the subscripts and summations used in the formulae shall bear the respective meanings set out in
Annex X-2; and
(g) references to the
Menu of Supplier Charges are to
paragraphs 2 and
3 of this Annex S-1.
1.2.2 For the purposes of this Annex S-1:
(a) "Applicable Settlement Period" means, in relation to any month, a Settlement Period in respect of which the relevant Volume Allocation Run for Supplier Volume Allocation is carried out in that month;
(b) "Applicable Settlement Day" means, in relation to any month, a Settlement Day in respect of which the relevant Volume Allocation Run for Supplier Volume Allocation is carried out in that month.
1.3 Acknowledgement by Parties
1.3.1 Each of the Parties acknowledges and confirms that each of the charges set out in the Menu of Supplier Charges represents a genuine pre-estimate of the loss likely to be suffered by other Parties as a result of a failure by a Supplier to meet the applicable Performance Level and is reasonable in all the circumstances.
1.3.2 Each of the Parties further acknowledges and confirms that the charges set out in the Menu of Supplier Charges constitute the sole remedy of a Party in respect of any claim for damages for any losses arising from any failure by a Supplier to meet the applicable Performance Level or Serial.
1.3.3 Nothing contained in this
paragraph 1.3 shall be construed so as to limit a Party’s ability to seek any other form of remedy (such as specific performance or injunctive relief) in respect of a Supplier’s failure to meet a
Performance Level or
Serial, subject to
Section C.
2.1 Compliance with performance levels
2.1.1 Each Supplier shall, without prejudice to its other obligations pursuant to
Section S and elsewhere, comply with the
Performance Levels set out in the
Menu of Supplier Charges.
2.1.2 Each Supplier acknowledges that the Performance Levels represent the minimum requirements to be achieved.
2.1.3 In the
Menu of Supplier Charges compliance with the
Performance Levels set out in
paragraphs 2.2 to 2.5 (both inclusive) shall be measured separately by reference to each
GSP Group and not by reference to all
GSP Groups.
2.2 Energy and Metering Systems on Annual Advances and Actual Readings at Each Volume Allocation Run - Serial SP08
2.2.1 In relation to each GSP Group, the percentage of total energy attributable to a Supplier in respect of Non Half Hourly Metering Systems settled on the basis of Annualised Advances for each Settlement Day shall be not less than the percentage set out in the table below against the applicable Volume Allocation Run:
Volume Allocation Run | Performance Level |
Initial Volume Allocation Run | n/a |
First Reconciliation Volume Allocation Run | 30% |
Second Reconciliation Volume Allocation Run | 60% |
Third Reconciliation Volume Allocation Run | 80% |
Final Reconciliation Volume Allocation Run | 97% |
(a) the percentage of total energy attributable to a Supplier settled on the basis of Annualised Advances shall be calculated in accordance with the following formula:-
x 100
AHZ means ΣN(AA) Σj (CiNj + CLOSSiNj); and
EHZ means ΣN(EAC) Σj (CiNj + CLOSSiNj);
(b) the following summations shall bear the following respective meanings:
ΣN(AA) means summed over all Consumption Component Classes (N) that are associated with Annualised Advances. For the avoidance of doubt, values associated with Consumption Component Classes associated with Third Party Generating Plant comprised in SVA Metering Systems shall be added to those values associated with all other Consumption Component Classes; and
ΣN(EAC) means summed over all Consumption Component Classes (N) that are associated with Estimated Annual Consumptions and are not associated with Unmetered Supplies. For the avoidance of doubt, values associated with Consumption Component Classes associated with Third Party Generating Plant comprised in SVA Metering Systems shall be added to those values associated with all other Consumption Component Classes;
(c) the relevant values shall be those included in the relevant run of Settlement.
2.2.3 The
Performance Levels set out in the table in
paragraph 2.2.1 are referred to elsewhere in this Annex S-1 as
Serial SP08a.
2.2.4 In relation to each GSP Group and in respect of Half Hourly Metering Systems which are 100kW Metering Systems for which the Supplier is responsible, the Supplier shall ensure that (in accordance with the relevant BSC Procedure) in respect of each month, actual (rather than estimated) values in respect of not less than 99 per cent. of total energy attributable to that Supplier relating to such Metering Systems for the aggregate of the Applicable Settlement Periods are provided by its Half Hourly Data Aggregator to the SVAA in time for each Supplier Volume Allocation Run.
(a) the percentage of total energy attributable to a Supplier represented by actual values in respect of any month shall be calculated in accordance with the following formula:-
x 100
AHZ means Σmd ΣN(HHA) Σj (CiNj + CLOSSiNj); and
EHZ means Σmd ΣN(HHE) Σj (CiNj + CLOSSiNj);
(b) the following summations shall bear the following respective meanings:-
Σmd means summed over all Applicable Settlement Days;
ΣN(HHA) means summed over all Consumption Component Classes (N) that are associated with actual values and with half hourly data aggregation in relation to Metering Systems which are 100kW Metering Systems save those Consumption Component Classes associated with Third Party Generating Plant comprised in SVA Metering System(s);
ΣN(HHE) means summed over all Consumption Component Classes (N) that are associated with estimated values and with half hourly data aggregation in relation to Metering Systems which are 100kW Metering Systems save those Consumption Component Classes associated with Third Party Generating Plant comprised in SVA Metering System(s);
(c) the relevant values shall be those included in the relevant Volume Allocation Run.
2.2.6 In calculating the
Performance Levels set out in
paragraph 2.2.4, no account shall be taken of any
Metering System which is at the relevant time de-energised for the purposes of
BSC Procedure BSCP502, unless a consumption value has in fact been provided to the
SVAA for the relevant
Volume Allocation Run.
2.2.7 The
Performance Levels set out in
paragraph 2.2.4 are referred to elsewhere in this Annex S-1 as
Serial SP08b.
2.2.8 In relation to each GSP Group and in respect of Half Hourly Metering Systems for which a Supplier is responsible which are identified as not being 100kW Metering Systems, the Supplier shall ensure that (in accordance with the relevant BSC Procedure) in respect of each month actual (rather than estimated) values in respect of:
(b) subject always to
paragraph 2.2.8A, in respect of
Metering Systems that are comprised in
Measurement Class "F" and "G", not less than 90 per cent,
of the total energy attributable to that Supplier relating to such Metering Systems for the aggregate of the applicable Settlement Periods are provided by its Half Hourly Data Aggregator to the SVAA in time for the relevant First Reconciliation Volume Allocation Run and any subsequent Reconciliation Volume Allocation Runs.
(a) only apply to the relevant
First Reconciliation Volume Allocation Run and shall not apply to any subsequent
Reconciliation Volume Allocation Runs (for which the
Performance Level shall be not less than 99 per cent as set out in
paragraph 2.2.8(a)); and
(b) cease to have effect from and including the Settlement Day that falls on 1st January 2020.
(a) the percentage of total energy attributable to a Supplier represented by actual values in respect of any month shall be calculated in accordance with the following formula:
x 100
AHZ means Σmd ΣN(HHA) Σj (CiNj + CLOSSiNj); and
EHZ means Σmd ΣN(HHE) Σj (CiNj + CLOSSiNj);
(b) the following summations shall bear the following respective meanings:-
Σmd means summed over all Applicable Settlement Days;
ΣN(HHA) means summed over all Consumption Component Classes (N) that are associated with actual values and with half hourly data aggregation in relation to Metering Systems which are not 100kW Metering Systems save those Consumption Component Classes associated with Third Party Generating Plant comprised in SVA Metering System(s);
ΣN(HHE) means summed over all Consumption Component Classes (N) that are associated with estimated values and with half hourly data aggregation in relation to Metering Systems which are not 100kW Metering Systems save those Consumption Component Classes associated with Third Party Generating Plant comprised in SVA Metering System(s);
(c) the relevant values shall be those included in the relevant Volume Allocation Run.
2.2.10 In calculating the
Performance Levels set out in
paragraph 2.2.8, no account shall be taken of any
Metering System which is at the relevant time de-energised for the purposes of
BSC Procedure BSCP502, unless a consumption value has in fact been provided to the
SVAA for the relevant
Volume Allocation Run in respect of that
Metering System.
2.2.11 The
Performance Levels set out in
paragraph 2.2.8 are referred to elsewhere in this Annex S-1 as
Serial SP08c.
2.3 Use of Default Values of Estimated Annual Consumption - Serial SP09
2.3.1 In relation to each
GSP Group and in respect of
Non Half Hourly Metering Systems for which the Supplier is responsible, the Supplier shall ensure that the number of such
Non Half Hourly Metering Systems (whether metered
Metering Systems or
Metering Systems for Unmetered Supplies) that are settled on the basis of
Default Estimated Annual Consumption For Metered Metering Systems or
Default Estimated Annual Consumption For Unmetered Metering Systems, as the case may be, expressed as a percentage of the total number of
Non Half Hourly Metered
Metering Systems (both metered
Metering Systems and
Metering Systems for Unmetered Supplies) for which the Supplier is responsible, shall be no greater than the values set out in the table below against the applicable
Volume Allocation Run, provided that this
paragraph 2.3.1 shall not apply where the total number of
Non Half Hourly Metering Systems for which the Supplier is responsible is less than one thousand.
Volume Allocation Run | Performance Level |
Initial Volume Allocation Run | 0.5% |
First Reconciliation Volume Allocation Run | 0.5% |
Second Reconciliation Volume Allocation Run | 0.2% |
Third Reconciliation Volume Allocation Run | 0.1% |
Final Reconciliation Volume Allocation Run | 0% |
2.3.2 In relation to each
GSP Group and in respect of
Non Half Hourly Metering Systems for which the Supplier is responsible, the number of such
Non Half Hourly Metering Systems (whether metered
Metering Systems or
Metering Systems for Unmetered Supplies) that are settled on the basis of
Default Estimated Annual Consumption For Metered Metering Systems or
Default Estimated Annual Consumption For Unmetered Metering Systems, as the case may be, shall be no greater than the values set out in the table below against the applicable
Volume Allocation Run provided that this
paragraph 2.3.2 shall not apply where the total number of
Non Half Hourly Metering Systems for which the Supplier is responsible is one thousand or more.
Volume Allocation Run | Performance Level (number of Metering Systems) |
Initial Volume Allocation Run | 5 |
First Reconciliation Volume Allocation Run | 5 |
Second Reconciliation Volume Allocation Run | 2 |
Third Reconciliation Volume Allocation Run | 1 |
Final Reconciliation Volume Allocation Run | 0 |
2.3.3 The
Performance Levels set out in this
paragraph 2.3 are referred to elsewhere in this
Menu of Supplier Charges as
Serial SP09.
2.5 Reporting by Suppliers - Serial SP02
2.5.1 A Supplier shall update, or procure the updating of, its Performance Monitoring Log in respect of each GSP Group in accordance with the relevant BSC Procedure, by not later than 20 Business Days after the end of each month and shall make such updated logs available promptly on request from time to time to the Performance Assurance Board or as it may direct.
2.5.2 The
Performance Level set out in
paragraphs 2.5.1 and is referred to elsewhere in this Annex S-1 as
Serial SP02.
3.1 Application of Charges
3.1.1 This
paragraph 3 will have effect in determining the charges payable by a Supplier in respect of any failure to comply with the
Performance Levels including the maximum amount payable by a Supplier under
paragraph 3.7.
3.1.2 The arrangements for payment, collection and distribution of the charges are set out in
paragraph 4 of this Annex S-1.
3.1.3 The charges specified in this
paragraph 3 are cumulative and not mutually exclusive one of the other.
3.2 Failure to Comply with Serial SP08a
3.2.1 A Supplier who fails to comply with Serial SP08a shall be liable to the charge set out in the table below against the relevant item in Serial SP08a:
Item in Serial SP08a (as referred to in the table in paragraph 2.2.1) | Amount per Chargeable MWh |
Initial Volume Allocation Run | No Charge |
First Reconciliation Volume Allocation Run | No Charge |
Second Reconciliation Volume Allocation Run | No Charge |
Third Reconciliation Volume Allocation Run | £0.13 |
Final Reconciliation Volume Allocation Run | £1.43 |
3.2.2 For the purposes of
paragraph 3.2.1, the Chargeable MWh for a Supplier shall be calculated in respect of a
GSP Group for any month for each
Settlement Day (if any) in relation to which the relevant
Volume Allocation Run was carried out in that month, in respect of which there has been a failure to comply with
Serial SP08a, in accordance with the following formula:
SCMWh = NHHEA x
SCMWh is the Chargeable MWh attributable to that Supplier for the relevant Settlement Day in respect of the relevant GSP Group;
NHHEA is the sum of A
HZ and E
HZ (expressed in MWh) attributable to that Supplier in respect of such
GSP Group for such
Settlement Day, as determined in accordance with
paragraph 2.2.2; and
p is the number of percentage points by which the Performance Level in Serial SP08a was not met by that Supplier in such GSP Group in respect of such Settlement Day, rounded to 1 decimal place.
3.3 Failure to Comply with Serial SP08b
3.3.1 A Supplier who fails to comply with Serial SP08b shall be liable to the charge set out in the table below:-
Item in Serial SP08b (as referred to in paragraph 2.2.4) | Amount per Chargeable MWh |
Initial Volume Allocation Run | £0.13 |
First Reconciliation Volume Allocation Run | £1.43 |
Second Reconciliation Volume Allocation Run | £0.00 |
Third Reconciliation Volume Allocation Run | £0.00 |
Final Reconciliation Volume Allocation Run | £0.00 |
3.3.2 For the purposes of
paragraph 3.3.1, the Chargeable MWh for a Supplier shall be calculated in respect of a
GSP Group for any month in respect of which there has been a failure to comply with
Serial SP08b in accordance with the following formula:
SCMWh = HHEA x
SCMWh is the Chargeable MWh attributable to that Supplier for all Applicable Settlement Periods in respect of the relevant GSP Group;
HHEA is the sum of A
HZ and E
HZ (expressed in MWh) attributable to that Supplier for such month in respect of the relevant
GSP Group for the relevant month, as determined in accordance with
paragraph 2.2.5; and
p is the number of percentage points by which the relevant Performance Level in Serial SP08b was not met by the Supplier in such GSP Group in respect of such month, rounded to 2 decimal places.
3.4 Failure to Comply with Serial SP08c
3.4.1 A Supplier who fails to comply with Serial SP08c shall be liable to a charge set out in the table below:-
Item in Serial SP08c (as referred to in paragraph 2.2.8) | Amount per Chargeable MWh |
First Reconciliation Volume Allocation Run | £0.00 |
Second Reconciliation Volume Allocation Run | £0.00 |
Third Reconciliation Volume Allocation Run | £0.00 |
Final Reconciliation Volume Allocation Run | £1.43 |
3.4.2 For the purposes of
paragraph 3.4.1, the Chargeable MWh for a Supplier shall be calculated in respect of a
GSP Group for any month in respect of which there has been a failure to comply with
Serial SP08c, in accordance with the following formula:
SCMWh = HHEA x
SCMWh is the Chargeable MWh attributable to that Supplier for all Applicable Settlement Periods in the relevant month in respect of the relevant GSP Group;
HHEA is the sum of A
HZ and E
HZ (expressed in MWh) attributable to that Supplier in respect of the relevant
GSP Group for the relevant month, as determined in accordance with
paragraph 2.2.9; and
p is the number of percentage points by which the Performance Level in Serial SP08c was not met by the Supplier in such GSP Group in respect of such month, rounded to the nearest 2 decimal places.
3.5 Not Used 3.6 Failure to Comply with Serial SP02
3.6.1 A Supplier who fails to comply with:
Serial SP02 shall be liable to a charge of £25.50 per business day in respect of each Performance Monitoring Log which is not maintained in accordance with the time limits and in the manner specified in Serial SP02.
3.7.1 A Supplier’s liability to pay charges in respect of any month in respect of a
GSP Group (after taking account of its share of such charges receivable pursuant to
paragraph 4.1.13) shall in no circumstances exceed the
Supplier’s Monthly Cap.
3.7.2 A Supplier’s Monthly Cap for any month in respect of a GSP Group shall be calculated by the Performance Assurance Board on or before the end of the next succeeding month (on the basis of the then latest available Volume Allocation Run) according to the following formula:
Sc means the Supplier’s Monthly Cap for the relevant month;
GSP
MC means the
GSP Group liability cap for the relevant month, calculated in accordance with
paragraph 3.7.3;
SCT means the total quantity of active import energy attributable to that Supplier determined as the sum of Supplier Cap Take for that Supplier in the relevant GSP Group across all Settlement Periods in the relevant month; and
GSPDT means the total quantity of active import energy attributable to all Suppliers determined as the sum of Supplier Cap Take for all Suppliers in the relevant GSP Group across all Settlement Periods for the relevant month.
3.7.3 The GSP Group liability cap in respect of a GSP Group for any month shall be calculated by the Performance Assurance Board on or before 30th April in each year (in each case, on the basis of the then latest available Volume Allocation Run) according to the following formula:-
GSP
MC = £1,275,000 x
GSPMC means the GSP Group liability cap for the relevant month;
GSPA means the total quantity of energy (rounded to the nearest two decimal places) attributable to all Suppliers determined as the GSP Group Take in that GSP Group across all Settlement Periods in the 12 month period ending on the immediately preceding 31st March, as determined by the Performance Assurance Board on the basis of information provided by the SVAA; and
GSPAS means the total quantity of energy (rounded to the nearest two decimal places) attributable to all Suppliers determined as the sum of all GSP Group Takes for all GSP Groups across all Settlement Periods in the 12 month period ending on the immediately preceding 31st March, as determined by the Performance Assurance Board on the basis of information provided by the SVAA.
3.7.4 The
Performance Assurance Board shall, in its discretion, establish reasonable transitional arrangements (by reference to information available to it from the
CDCA) for determining the quantity of energy attributable to all Suppliers for the purposes of
paragraph 3.7.3 in relation to any 12 month period for which information as to the
GSP Group Take is not available in respect of each month in that period.
3.8 Adjustment to Charges and Caps
3.8.1 The charges specified
in paragraphs 3.2.1, 3.3.1, 3.4.1 and 3.6.1 and the figure of £1,275,000 in
paragraph 3.7.3 (for the purposes of this paragraph 3.8 in each case described as the "
Base Sum"), shall be calculated, in respect of each 12 month period beginning on 1st April, from and including 1st April, 2001, in accordance with the following formula:
adjusted Base Sum = Base Sum x
where RPIP is the percentage change (whether of a positive or negative value) in the Retail Price Index between that published in, or (as the case may be) the substitute index for, the third month before 1st April, 2000 and that published in, or the substitute index for, the third month before the anniversary from which the adjusted charges and the adjusted GSP Group liability cap are to take effect.
3.9 Timing of Commencement of Charges
3.9.1 The charges specified in this Annex S-1 except paragraph 3.6 shall apply in respect of months commencing on or after the
Implementation Date of the
Approved Modification pursuant to which this
paragraph 3.9.1 was introduced.
3.9.2 The charges specified in
paragraph 3.6 shall apply in respect of months (in respect of which
Performance Monitoring Reports are to be delivered and
Performance Monitoring Logs updated) commencing on or after the date two months after the
Implementation Date of the
Approved Modification pursuant to which this
paragraph 3.9.2 was introduced.
3.10 Temporary Unavailability in Central Monitoring System
3.10.1 The provisions of this
paragraph 3.10 shall apply where the
Performance Assurance Reporting and Monitoring System is temporarily unavailable for whatever reason and, for the avoidance of doubt, a Supplier shall remain liable to pay charges in respect of which the
Performance Assurance Board is, for the time being, unable to determine the payment of such charges due to the temporary unavailability of the
Performance Assurance Reporting and Monitoring System.
3.10.2 Each of the Suppliers acknowledges and confirms that those charges specified in this
paragraph 3 which cannot be separately determined by the
Performance Assurance Board without the assistance of the
Performance Assurance Reporting and Monitoring System shall not be payable in respect of a Supplier until such time as the
Performance Assurance Reporting and Monitoring System is available in order to record data and determine the charges payable by Suppliers pursuant to the
Menu of Supplier Charges (as determined by the
Performance Assurance Board) provided that such charges shall nevertheless continue to accrue for the purposes of
paragraph 3.10.3.
3.10.3 Once the
Performance Assurance Reporting and Monitoring System is available (as determined by the
Performance Assurance Board in accordance with
paragraph 3.10.2), a Supplier shall be liable to pay charges in respect of its performance against those
Serials in respect of which the
Performance Assurance Board could not determine the payment of such charges without the assistance of the
Performance Assurance Reporting and Monitoring System, for the period from the relevant date when such System became temporarily unavailable.
3.10.4 The charges referred to in
paragraph 3.10.3 shall be calculated in accordance with the
Menu of Supplier Charges (and shall have deemed due dates for payment) for the purposes of
paragraph 4 as if such
Performance Assurance Reporting and Monitoring System had been available.
4. COLLECTION AND PAYMENT OF SUPPLIER CHARGES
4.1 Supplier Charges - Collection and Recovery
4.1.1 The Performance Assurance Board shall determine whether a Supplier has failed to comply with any of the Serials and the associated charges payable.
4.1.3 When making its determination pursuant to
paragraph 4.1.1 of whether a Supplier has failed to comply with any of the
Serials and the associated charges payable by the Supplier:
(a) the Performance Assurance Board shall compare the Supplier’s Net Liability for the relevant month (calculated as SNL below) with the Supplier’s Monthly Cap;
(b) if the Supplier’s Net Liability exceeds the Supplier’s Monthly Cap then the total charges payable by the Supplier in respect of the relevant month shall be calculated according to the following formula (instead of by general application of the Menu of Supplier Charges):-
Supplier’s charges =
S
TGC is the total charges which would be payable by the Supplier for the relevant month under this
paragraph 4 in respect of the relevant
GSP Group before the application of this paragraph;
S
C is the
Supplier’s Monthly Cap for the relevant month (calculated pursuant to
paragraph 3.8 of the
Menu of Supplier Charges); and
S
NL is the total charges which would be payable by the Supplier for the relevant month under this
paragraph 4 in respect of the relevant
GSP Group before the application of this
paragraph 4.1.3, less any share of those charges payable by the Supplier which would otherwise be receivable by the Supplier pursuant to
paragraph 4.1.13 before the application of this paragraph.
4.1.4 As soon as practicable following a determination pursuant to
paragraph 4.1.1, the
Performance Assurance Board shall notify each Supplier of the amount (if any) due from it pursuant to this paragraph in respect of any particular month in respect of failures to comply with any of the
Serials and any such notice shall specify the
GSP Group in relation to which the relevant amount is payable by a Supplier (where relevant).
4.1.5 Each Supplier shall pay the amount notified to it by the
Performance Assurance Board in accordance with
paragraph 4.1.4 within 15 days after the invoice date. Any such payment shall be made to the
Performance Assurance Board (for distribution in accordance with
paragraphs 4.1.13 and
4.1.14) in sterling in cleared funds in full without set-off or counterclaim (subject to
paragraph 4.1.20), withholding or deduction of any kind whatsoever but without prejudice to any other remedy.
4.1.6 All charges under this
paragraph 4.1 are exclusive of VAT which shall be added to such charges, if applicable.
4.1.7 In the event of any dispute regarding charges under this
paragraph 4.1 in respect of any month, no Supplier may withhold payment of any invoiced amount.
(a) if any amount due under this
paragraph 4.1 is not received on the due date, the Supplier required to pay such amount shall pay interest to the
Performance Assurance Board on such amount from and including the date of default to the date of actual payment (before as well as after judgment) at the
Default Interest Rate from time to time during such period of default;
(b) if the
Performance Assurance Board has to calculate any amount due under this
paragraph 4.1 following the late receipt of a
Performance Monitoring Report (in this paragraph, the “
Relevant Report”), the Supplier required to pay such amount shall pay interest to the
Performance Assurance Board on such amount for the period of default (before as well as after judgment) at the
Default Interest Rate;
(c) if an amount due from a Supplier pursuant to this Annex S-1 in respect of a failure to comply with any of the Serials is subsequently recalculated or redetermined (whether as a result of a dispute or otherwise howsoever), interest shall be payable to the Performance Assurance Board by or for the account of the Supplier and/or the Trading Parties concerned on the difference between the original amount and the amount as so recalculated or redetermined from (and including) the first day of the month following that in respect of which the original charge was levied to (and including) the last day of the month immediately preceding that in which the amount is recalculated or redetermined (before as well as after judgment) at the Base Rate calculated for successive monthly periods and determined as at the first day of each such period;
(i) the period of default shall be deemed to begin on the due date for delivery of the Relevant Report and shall be deemed to end on the due date for delivery of the next succeeding Performance Monitoring Report required to be delivered by that Supplier after receipt by the Performance Assurance Board of the Relevant Report (in this paragraph, the “Next Report”) (or, if the Relevant Report shall be the last report due from that Supplier, the date that would have been the due date for delivery of the Next Report); and
(ii) the Default Interest Rate shall be calculated as at the first day of each month for successive monthly periods beginning with the month in which the period of default is deemed to begin and ending with the month in which such period of default is deemed to end.
4.1.9 If the
Performance Assurance Board is unable to calculate any amounts due under this
paragraph 4.1 as a result of any temporary unavailability of the
Performance Assurance Reporting and Monitoring System, then the Supplier required to pay any such amounts shall pay interest to the
Performance Assurance Board from and including the deemed due date for payment, calculated in accordance with
paragraph 3.10 of the
Menu of Supplier Charges, to the date of payment (before as well as after judgment) at the BSC Interest Rate from time to time during such period.
4.1.10 Any amount received by the
Performance Assurance Board pursuant to this
paragraph 4.1 shall be applied by the
Performance Assurance Board (unless otherwise specified by the paying Supplier) in or towards payment of amounts payable by the Supplier in respect of the longest outstanding invoice and (where there is a shortfall in payment by a Supplier of any amounts specified in a single invoice in respect of different
GSP Groups) according to the proportion which the individual amounts payable pursuant to the invoice bear to the total amount payable under that invoice.
4.1.11 Any amounts paid by a Supplier pursuant to this
paragraph 4.1 shall be accounted for separately by the
Performance Assurance Board by reference to the
GSP Group in respect of which the relevant amounts have been collected or appropriated.
4.1.12 The
Performance Assurance Board shall not be obliged to segregate any amounts received pursuant to this
paragraph 4.1 into separate funds.
4.1.13 Each qualifying Supplier shall be entitled to receive its due proportion of amounts recoverable pursuant to this
paragraph 4.1 and available for distribution in respect of a
GSP Group and, for this purpose:-
(a) a "qualifying Supplier" is a Supplier who has at any time during the relevant month supplied any Customers in the relevant GSP Group who have Non Half Hourly Metering Systems;
(b) the due proportion relating to a qualifying Supplier is the amount (as near as may be) calculated by the Performance Assurance Board as that Supplier’s share of the total quantity of energy (after adjustment for Line Loss Factors) attributable to Non Half Hourly Metering Systems taken by all Suppliers in the GSP Group during the relevant month pursuant to the Code;
(c) the amount available for distribution in relation to a
GSP Group in respect of a particular month is 90 per cent. of the total amount from time to time paid or due and payable from Suppliers pursuant to this
paragraph 4.1 in relation to the relevant
GSP Group in respect of that month, whether or not then paid; and
(d) the information as to total quantity of energy referred to in paragraph (b) shall be as provided by the SVAA based on the latest available run of Supplier Volume Allocation as at the time when the relevant calculation falls to be made.
4.1.14 Each qualifying Trading Party shall be entitled to receive a share of amounts recoverable pursuant to this paragraph 4.1 and available for distribution in respect of Trading Parties in the proportion to which a Trading Party’s Main Funding Share bears to the Main Funding Shares of all Trading Parties applicable in respect of the relevant month and, for this purpose:-
(a) a "qualifying Trading Party" is a Trading Party who was at any time during the relevant month a Trading Party; and
(b) the amount recoverable pursuant to this
paragraph 4.1 and available for distribution to qualifying Trading Parties in respect of a particular month is 10 per cent. of the total amount from time to time paid or due and payable from Parties pursuant to this
paragraph 4.1 in relation to the relevant
GSP Group in respect of that month, whether or not then paid.
4.1.15 The
Performance Assurance Board shall, by no later than the end of each month, calculate the amount (if any) payable to each qualifying Supplier and qualifying Trading Parties pursuant to
paragraph 4.1.13 and
paragraph 4.1.14 in respect of the relevant preceding month (or months) to which a Supplier’s
Performance Monitoring Report relates and any earlier months.
4.1.16 The Performance Assurance Board shall, by no later than the end of each month, notify each qualifying Supplier and qualifying Trading Party of the amounts (if any) so recoverable by them and shall account to each qualifying Supplier and qualifying Trading Party on a monthly basis out of the funds received in respect of any particular GSP Group for the amounts so recoverable.
4.1.17 The
Performance Assurance Board shall in no circumstances be obliged to account to a qualifying Supplier or qualifying Trading Party in an amount exceeding the available funds collected pursuant to this
paragraph 4.1.
4.1.18 Any amounts paid by the Performance Assurance Board to a qualifying Supplier or qualifying Trading Party shall be deemed to be inclusive of any VAT, if applicable.
4.1.19 The provisions of this
paragraph 4.1 shall give rise to rights and obligations as between Suppliers within the same
GSP Group and as between qualifying Trading Parties generally and the relevant Supplier and, accordingly, the procedures for collection and payment of amounts by the
Performance Assurance Board shall accordingly be without prejudice to the rights of any qualifying Supplier or qualifying Trading Parties to enforce its claim (to the extent not paid or otherwise satisfied) against any Supplier who fails to make payment on the due date.
4.1.20 For administrative convenience, the
Performance Assurance Board shall be entitled at any time and from time to time to arrange for the payment and collection of amounts by, and for the payment and account of amounts to, Suppliers and Trading Parties (or particular ones of them) pursuant to this
paragraph 4.1 to be made on a net basis (in which case such payments, collections and accounts with respect to, and as between, the Suppliers and Trading Parties in question shall be so made) but any such netting shall be without prejudice to
paragraph 4.1.19.
4.1.21 The Performance Assurance Board may request BSCCo to arrange for the FAA or some other person nominated by it from time to time to carry out all or any of its functions pursuant to this paragraph 4.1 (save where the Performance Assurance Board is required to make a determination pursuant to paragraph 4.1.1 or paragraph 4.1.13(b)), in which case references to the Performance Assurance Board in this paragraph 4.1 are to be read as references to FAA or such other person so long as such delegation continues.
4.1.22 A Supplier may query the amounts notified to it pursuant to paragraph 4.1.16 within ten Business Days of receiving such notification in accordance with BSCP536.
AMENDMENT RECORD – SECTION S-1
Section S-1 | Version 13.0 | Effective Date: 23 February 2023 |
Modification Proposal | Decision Date | Implementation Date | Version |
P450 | 12/01/23 | 23/02/23 | 13.0 |
P429 | 11/02/22 | 24/02/22 | 12.0 |
P393 | 14/07/19 | 27/02/20 | 11.0 |
P347 | 19/01/17 | 01/04/17 | 10.0 |
P338 Fast Track Self-Governance | 14/04/16 | 01/04/17 | 10.0 |
P320 | 09/09/15 | 01/04/17 | 10.0 |
P272 v2.0 | 29/10/14 | 01/04/17 | 10.0 |
P300 | 15/10/14 | 05/11/15 | 9.0 |
P288 Self Governance | 13/12/12 | 08/01/13 | 8.0 |
P208 | 16/01/07 | 22/02/07 | 7.0 |
P124 | 18/05/04 | 01/12/04 | 6.0 |
P99 | 25/07/03 | 01/05/04 | 5.0 |
P130 | 29/08/03 | 20/01/04 | 4.0 |
P68 | 24/07/02 | 01/11/02 | 3.0 |
P60 | 09/04/02 | 11/04/02 | 2.0 |