Message-ID: <4306812.1075853673211.JavaMail.evans@thyme> Date: Thu, 26 Oct 2000 05:48:00 -0700 (PDT) From: chris.germany@enron.com To: joann.collins@enron.com, alvin.thompson@enron.com, sherry.anastas@enron.com, brenda.fletcher@enron.com, victor.lamadrid@enron.com, donna.greif@enron.com, katherine.kelly@enron.com, kimat.singla@enron.com, william.kelly@enron.com Subject: CGAS Storage Cc: scott.goodell@enron.com, victoria.versen@enron.com Mime-Version: 1.0 Content-Type: text/plain; charset=us-ascii Content-Transfer-Encoding: 7bit Bcc: scott.goodell@enron.com, victoria.versen@enron.com X-From: Chris Germany X-To: Joann Collins, Alvin Thompson, Sherry Anastas, Brenda H Fletcher, Victor Lamadrid, Donna Greif, Katherine L Kelly, Kimat Singla, William Kelly X-cc: Scott Goodell, Victoria Versen X-bcc: X-Folder: \Chris_Germany_Dec2000\Notes Folders\All documents X-Origin: Germany-C X-FileName: cgerman.nsf The CGAS exchange deals I set up for CGAS storage end Oct 31st. I'm thinking of changing the process effective 11/1/2000 - 3/31/2001. ENA billed CES (now New Power) for the gas delivered to storage. Now ENA needs to pay New Power for the gas taken out of storage. In my example, we would need to recognize the beginning storage balanc e effective 11/1/2000. Take a look - let me know if you have any comments.