Balancing and Settlement Code
BSC Service Description for Balancing Mechanism Reporting
Date:
|
Date | Version | Description of Change | Mods/ Panel/ Committee Refs |
27.03.01 | 1.0 | Baseline version | NETA Programme |
07.01.02 | 2.0 | Phase B – Modifications P8 and P18A (Patches) | S. Francis |
13/08/02 | 4.0 | Release 2 – Modifications P8, 18A (Reporting), P48, CP537, CP549, CP560) | CVA Programme |
10/12/02 | 5.0 | P12, CP589 | CVA Programme |
11/03/03 | 6.0 | P78, P71 | CVA Programme |
11/04/03 | 7.0 | P82 | CVA Programme |
05/11/03 | 8.0 | P82 – incorporates review comments from the NETA CSA | CVA Programme |
30/06/04 | 9.0 | Change Proposal for CVA Programme June 04 Release – CP921 | CVA Programme |
23/02/05 | 10.0 | CVA Programme Feb 05 Release, CP1091 | CVA Programme |
02/11/05 | 11.0 | CVA Programme Nov 05 Release | CVA Programme |
02/11/06 | 12.0 | BSC Systems November 06 Release – P194 | Change Implementation |
01/12/06 | 13.0 | BSC Systems November 06 Release – P205 | Change Implementation |
26/06/08 | 14.0 | BSC Systems June 08 Release – CP1220, CP1222 | Change Implementation |
06/11/08 | 15.0 | BSC Systems November 08 Release, CP1246, P220 | Change Implementation |
25/06/09 | 16.0 | BSC Systems June 09 Release, P226 | Change Implementation |
05/11/09 | 17.0 | BSC Systems November 09 Release, P217 | Change Implementation |
29/11/12 | 18.0 | BSC Systems November 12 Release, P278 | ISG138/10 |
16/12/14 | 19.0 | BSC Systems December 14 Release, P291, P295 | ISG162/01 |
05/11/15 | 20.0 | BSC Systems November 15 Release, P305 | ISG172/04 |
29/06/17 | 21.0 | June 2017 Release, P321 Self-Governance | P245/05 |
29/03/19 | 22.0 | 29 March 2019 Standalone Release – P369 | P285/12 |
27/06/19 | 23.0 | 27 June 2019 Release – P372 Self-Governance | P290/07 ISG218/03 |
11/12/19 | 24.0 | 11 December 2019 Standalone Release – CP1517 | ISG220/01 ISG222/03 |
04/11/21 | 25.0 | 4 November 2021 Standard Release – P399 | P310/04 |
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to receive current and forecast system related information (including data relating to Emergency Instructions), Replacement Reserve Data and Balancing Services Adjustment Data from the NETSO and input this information, having first inspected this information for errors, into its systems for use in carrying out the services specified in this Service Description. The system related information shall be as detailed in Table 1 of the BMRS Data Catalogue. Balancing Services Adjustment Data shall be as detailed in section 7.2.
to publish the system related information (including data relating to Emergency Instructions via the ‘System Warning’ function), Replacement Reserve Data and Balancing Services Adjustment Data, on-line, within five minutes of receipt, with the exception of the BM Unit Fuel Type List that shall be published within one Working Day of receipt. (For the purpose of this requirement Reference Temperature data and Reference Transmission Energy data relating to a particular day shall be deemed to have the same receipt time as that of the Out-Turn data relating to that day).
to report the matter to the NETSO should it be unable to process, or publish, the system related information, Replacement Reserve Data or Balancing Services Adjustment Data (e.g. because it is in the wrong format)1
to publish Manifest Error Claims received from the NETSO.
Buy-Price Cost Adjustment (Energy) (EBCAj)
Buy-Price Volume Adjustment (Energy) (EBVAj)
Buy-Price Volume Adjustment (System) (SBVAj)
Sell-Price Cost Adjustment (Energy) (ESCAj)
Sell-Price Volume Adjustment (Energy) (ESVAj)
Sell-Price Volume Adjustment (System) (SSVAj)
Buy-Price Price Adjustment (BPAj)
Sell-Price Price Adjustment (SPAj)
Buy-Price Cost Adjustment (Energy) (EBCAj) – submitted as zero
Buy-Price Volume Adjustment (Energy) (EBVAj) – submitted as zero
Buy-Price Volume Adjustment (System) (SBVAj) – submitted as zero
Sell-Price Cost Adjustment (Energy) (ESCAj) – submitted as zero
Sell-Price Volume Adjustment (Energy) (ESVAj) – submitted as zero
Sell-Price Volume Adjustment (System) (SSVAj) – submitted as zero
Buy-Price Price Adjustment (BPAj)
Sell-Price Price Adjustment (SPAj)
A number of Balancing Services Adjustment Actions. For each action:
Settlement Day
Settlement Period
ID
Cost (£)
Volume (MWh)
SO-Flag (T/F)
STOR Provider Flag (T/F) (for Settlement Days on or after the P305 effective date)
BSAD Party Id (for Settlement Days on or after the P399 effective date):
BSAD Asset Id
Tendered Status
Service Type
(in relation to all such Settlement periods) not later than 17:00 hours on the preceding day, the NETSO’s estimate (at the relevant time of sending) of Balancing Services Adjustment Data, as described in section 7.2.
(in relation to each such Settlement Period) after Gate Closure for, and not later than the end of such Settlement Period, the SO’s estimate (at the relevant time of sending) of Balancing Services Adjustment Data, as described in section 7.2.
On the day next following such Settlement Day, the Balancing Services Adjustment Data, as described in section 7.2.
FPN Data, (If no FPN Data has been received for a particular Settlement Period the FPN may have been defaulted by the NETSO to the previously submitted IPN Data as per agreed rules in the BSC), transmitted by the NETSO to the BMRA at, or soon after, Gate Closure for any Settlement Period;
Bid-Offer Data, transmitted by the NETSO to the BMRA at, or soon after, Gate Closure for any Settlement Period;
Bid-Offer Acceptance Data, transmitted by the NETSO to the BMRA at any time from Gate Closure to the end of the Settlement Period in close to real-time;
Dynamic Data, transmitted by the NETSO to the BMRA at any time from Gate Closure to the end of the Settlement Period in close to real-time; and
Loss of Load Probability and De-rated Margin data, transmitted by the NETSO to the BMRA each half hour for forthcoming Settlement Periods; and
STOR Availability Window data, transmitted by the NETSO to the BMRA from time to time in accordance with the NETSO’s STOR tender process.
Once per hour (approximately 45 minutes before the hour starts) National Grid shall send to BMRA details of all RR Bids submitted by GB parties for that RR Auction Period (RR Bid Data);
Once per hour (approximately 30 minutes before the hour starts) National Grid shall send to BMRA the Replacement Reserve Auction Result Data (RR Auction Results), which shall comprise:
RR Activation Data
GB Need Met Data
Terre Clearing Price
Interconnector Schedule Data
Party Id
BM Unit Id
Associated TSO
Market balance area
Divisible [A01 Yes / A02 No]
Linking Bid Id (where applicable)
Multipart Bid Id (where applicable)
Exclusive Bid Id (where applicable)
Flow Direction [A01 = UP / A02 = Down]
Incremental size (where applicable) [i.e. Divisible A01]
Minimum quantity (MW);
Maximum quantity (MW);
Bid Resolution [PT60M / PT30M / PT15M]
Position
Price (£/MWh);
Status [A06 Available / A28 unshared / A11 Restricted]
BM Unit Id
Flow Direction [A01 = UP / A02 = Down]
Activated Quantity (MW Level)
Bid Resolution [PT60M / PT30M / PT15M]
Position
Activation Price (i.e. TERRE Clearing Price)
Flow Direction [A01 = UP / A02 = Down]
Activated Quantity (MW Level)
Activation Price (i.e. TERRE Clearing Price)
Interconnector Id
Flow Direction [A01 = UP / A02 = Down]
Activated Quantity (MW Level)
Estimated Offtaking Transmission Losses Adjustment (ETLMO-j)
Estimated Delivering Transmission Losses Adjustment (ETLMO+j)
Arbitrage Flag
De Minimis Acceptance Threshold (DMATd)
Continuous Acceptance Duration Limit (CADLd)
In relation to Market Index Data Provider, Individual Liquidity Thresholds
Price Average Reference (PAR) Volume (PARd)
Replacement Price Average Reference (RPAR) Volume (RPARd)
a Market Index Volume expressed in MWh; and
a Market Index Price expressed in £/MWh.
the Market Index Data has been submitted by a valid Market Index Data Provider;
in respect of a Settlement Period and Market Index Data Provider the Individual Liquidity Threshold does not exceed the Market Index Volume (excluding where the Market Index Volume is supplied as zero).
the Individual Liquidity Threshold exceeds the Market Index Volume (excluding where the Market Index Volume is supplied as zero); or
a Market Index Data Provider fails for whatever reason to submit Market Index Data in time for it to be used in the indicative energy imbalance price calculations,
record the number of Settlement Periods where the BMRA has defaulted Market Index Data to zero for the reason described in 8A.3.a;
record the number of Settlement Periods where the MIDP has failed to provide Market Index Data for the reason described in 8A.3.b;
record the number of Settlement Periods where the Market Index Data with zero values has been used in indicative energy imbalance price calculations, for whatever reason (including, for the avoidance of doubt, instances where the Market Index Data Provider has provided zero values).
to receive Credit Default Notice data from the ECVAA;
to publish the Credit Default Notice within five minutes of receipt.
If an Outage is planned, the BMRA shall receive a prior warning from the NETSO detailing the expected date and time of the Outage. For unplanned Outages, or other periods of data unavailability, the BMRA will be informed of the date and time as soon as possible;
The BMRA shall inform BSCCo that Settlement calculations shall be suspended during the Outage or other period of data unavailability;
From the time at which the Outage commenced (if it was planned), or as soon as possible after it commenced (if the Outage was unplanned, or the requisite data was unavailable for other reasons) the BMRA shall disable its automatic calculation processes. In the case of an unplanned Outage, or other period of data unavailability, the BMRA shall also send confirmation to BSCCo that calculations have been suspended;
During the Outage or other period of data unavailability, the BMRA shall load and report any Bid-Offer and Physical Notification data received from the NETSO as normal;
When the Outage, or other period of data unavailability, has ceased, the BMRA shall receive and load the backlog of Bid-Offer Data issued by the NETSO. Once the backlog has been received and loaded, the automatic calculation processes shall be re-enabled to operate on the first Settlement Period affected by the Outage, or other period of data unavailability;
The BMRA will then inform BSCCo that calculations have resumed, and confirm the Settlement Periods that have been affected.
Indicative Accepted Offer Volume
Indicative Accepted Bid Volume
Indicative Period BM Unit Total Accepted Offer Volume
Indicative Period BM Unit Total Accepted Bid Volume
Indicative Period BM Unit Offer Cashflow
Indicative Period BM Unit Bid Cashflow
Indicative System Total Accepted Offer Volume
Indicative System Total Accepted Bid Volume
Indicative System Total Un-priced Accepted Offer Volume
Indicative System Total Un-priced Accepted Bid Volume
Indicative Total Accepted Priced Offer Volume
Indicative Total Accepted Priced Bid Volume
Indicative Net Imbalance Volume
Indicative System Buy Price
Indicative System Sell Price
Period Bid and Offer Acceptance Volumes (QABknij, QAOknij and CADL Flag)
Estimated Period Balancing Mechanism Bid and Offer Cashflows (CBnij and CO nij)
Estimated Period Balancing Mechanism Bid and Offer Cashflows (CBnij and CO nij)
Estimated Period BM Unit Original Accepted Bid and Offer Volume (QABnij and QAOnij)
Estimated Period BM Unit Tagged Accepted Bid and Offer Volume (QTABnij and QTAOnij)
Estimated Period BM Unit Repriced Accepted Bid and Offer Volume (QRABnij and QRAOnij)
Estimated Period BM Unit Originally-Priced Accepted Bid and Offer Volume (QOABnij and QOAOnij)
Estimated System Sell/Buy Prices (SBPj and SSPj)
Price Derivation Code (PDCj)
Indicative Net Imbalance Volume (NIVj)
Replacement Price (RPj)
Replacement Price Calculation Volume (RPVj)
Total System Accepted Bid Volume (TQABj)
Total System Accepted Offer Volume (TQAOj)
Total System Tagged Accepted Bid Volume (TQATBj)
Total System Tagged Accepted Offer Volume (TQATBj)
Total System Balancing Services Adjustment Buy Volume (TQBSABj)
Total System Balancing Services Adjustment Sell Volume (TQBSASj)
Total System Balancing Services Adjustment Tagged Buy Volume (TQBSATBj)
Total System Balancing Services Adjustment Tagged Sell Volume (TQBSATSj)
Loss of Load Probability
De-rated Margin Forecast
Reserve Scarcity Price (RSVPj)
Index
Component Identifier
Acceptance Number
Bid-Offer Pair Number
CADL Flag (T/F)
SO-Flag (T/F)
STOR Provider Flag (T/F)
Repriced Indicator (T/F)
Utilisation Price (£/MWh)
Reserve Scarcity Price (£/MWh)
Original Price (£/MWh)
Volume (MWh)
DMAT Adjusted Volume (MWh)
Arbitrage Adjusted Volume (MWh)
NIV Adjusted Volume (MWh)
PAR Adjusted Volume (MWh)
Final Price (£/MWh)
Transmission Loss Multiplier
TLM Adjusted Volume (MWh)
TLM Adjusted Cost (£)
Indicative Period RR Total Accepted Bid Volume (IRRABnij);
Indicative Period RR Total Accepted Offer Volume (IRRAOnij);
Indicative Period RR Accepted Bid Volume (IRRABknij);
Indicative Period RR Accepted Offer Volume (IRRAOknij)
the Indicative Quarter Hour RR Cashflow (ICCRij), and
the Indicative Period RR BM Unit Cashflow (ICRRij)
Input Flow Description | Flow Received from |
Balancing Mechanism Data | NETSO |
System related information (as listed in T the BMRS Data Catalogue) | NETSO |
TLF | CRA |
Estimated TLMO | BSCCo |
System Parameters | BSCCo |
Balancing Services Adjustment Data (BSAD) | NETSO |
BSC Party and BSC Party Agent Authentication details | CRA |
BM Unit & Energy Account Registration Data | CRA |
Market Index Data Provider Registration Data | CRA |
Market Index Data Provider Threshold Data | BSCCo |
Large Combustion Plant Directive Data | BSCCo |
Market Index Data | Market Index Data Provider |
Credit Default Notice Data | ECVAA |
REMIT Data | BMRS User, NETSO |
Transparency Regulation Data | NETSO |
Trading Unit Data | SAA |
RR Activation Data | NETSO |
GB Need Met Data | NETSO |
Terre Clearing Price | NETSO |
Interconnector Schedule Data | NETSO |
Output Flow Description | Flow Sent to |
BM Data GUI | BMRS User |
System related information GUI | BMRS User |
Balancing Services Adjustment Data GUI | BMRS User |
Registration Data GUI | BMRS User |
Credit Default Notices | BMRS User |
BM Data Reports | BSC Parties |
Data relating to Emergency Instructions (via ‘System Warning’ function) | BMRS User |
Data Exception Reports | BSCCo, NETSO, CRA |
Performance Reports | BSCCo |
FPN Data | SAA |
Dynamic Data | SAA |
Bid-Offer Data | SAA |
Bid-Offer Acceptance Data | SAA |
BM Unit Applicable Balancing Services Volume | BMRS User |
REMIT Data | BMRS User |
Transparency Regulation Data | BMRS User, ENTSO-E |
Trading Unit Data | BMRS User |
GBP-EUR exchange rate | BMRS User, ENTSO-E, SAA |
1 For Settlement Days on or after the P217 effective date any non-zero values for the 6 NETBSAD variables submitted as zero should be
reported to BSCCo.
2 Regulation (EU) No 1227/2011
3 Regulation (EU) No 543/2013