BSUoS End of Scheme Year Reconciliation 2009/10

The End of Scheme Reconciliation re-evaluates the BSUoS charge for every settlement day in the 2009/10 scheme using actual costs and out-turn RPI where appropriate.  The charge is allocated to each BMU using metered energy volumes from the latest SAA volume allocation runs. 

 

The End of Scheme Reconciliation will result in a revised BSUoS charge for each BMU for each settlement day in the scheme.  The difference between this revised charge and the payments already made at the Initial Settlement stage, for each day, will be aggregated over the scheme year. 

 

The total difference (including daily interest at the base rate) will then be charged or refunded by National Grid, via a single payment. 

 

In order to accommodate the End of Scheme Reconciliation process, some of the daily BSUoS charge runs will be delayed.  A revised BSUoS charge settlement calendar is available on the circular that has been emailed to each BSUoS Customers’s registered contact.

 

This circular with more information and details of the End of Scheme Year Reconciliation Process and revisions to the charge settlement calendar is available at the link below.

 

BSUoS Circular - End of Scheme Reconciliation 2009/10

 

End of Scheme Year BSUoS Charge files

 

To assist customers in validating the charges made at the End of Scheme Reconciliation, the revised BSUoS Charging Reports (BCR) for each day in the 2009-2010 Scheme are available at the link below that will open a link to a *.zip file that contains the files required.

 

BSUoS 2009/10 End of Scheme Files (*.PRT files)