| | This manual defines the Bid to Bill process and accounting data needed for the Day-Ahead market, Supplemental Resource Scheduling, the Real-time Balancing Market, annual services, and the Backup Operations System. It also defines the NYISO settlement process including settlements for power suppliers, transmission customers, transmission providers, and TCC holders, to include also discusses billing adjustments, financial services, and accounting and billing procedures. Attachments include a sample billing statement; the Retail Access Report; and load subzone definitions. |