Message-ID: <29264645.1075852393250.JavaMail.evans@thyme> Date: Mon, 11 Jun 2001 06:22:57 -0700 (PDT) From: m..forney@enron.com To: andrea.dahlke@enron.com Subject: Teco test power for Friday Cc: wayne.vinson@enron.com Mime-Version: 1.0 Content-Type: text/plain; charset=us-ascii Content-Transfer-Encoding: 7bit Bcc: wayne.vinson@enron.com X-From: Forney, John M. X-To: Dahlke, Andrea X-cc: Vinson, Donald Wayne X-bcc: X-Folder: \JFORNEY (Non-Privileged)\Forney, John M.\Sent Items X-Origin: FORNEY-J X-FileName: JFORNEY (Non-Privileged).pst Andrea, Please see the attached spreadsheet for Friday. All of the deals listed have been moved to Teco Services for this day only. We entered a buy (which is an estimate of the cost of gen) and the appropriate sales. We need to talk about how this gets reconciled. I would like to know the detail of this transaction. I know that not everything has been discussed with this account, so I would like to discuss it. I am positive that I need to change all deals for over the weekend. We had some length for this customer that was sold hourly. I assume that everything from now on will be entered under Teco Services for this account. Can you think of any exceptions? I will let you know when the weekend is complete. Thanks, JMF