Message-ID: <7567734.1075853809859.JavaMail.evans@thyme> Date: Thu, 16 Mar 2000 01:01:00 -0800 (PST) From: chris.germany@enron.com To: jeff.westover@enron.com, sherry.anastas@enron.com, bryce.baxter@enron.com, mechelle.stevens@enron.com, colleen.sullivan@enron.com Subject: CES Storage Cc: scott.goodell@enron.com, scott.neal@enron.com Mime-Version: 1.0 Content-Type: text/plain; charset=us-ascii Content-Transfer-Encoding: 7bit Bcc: scott.goodell@enron.com, scott.neal@enron.com X-From: Chris Germany X-To: Jeff W Westover, Sherry Anastas, Bryce Baxter, Mechelle Stevens, Colleen Sullivan X-cc: Scott Goodell, Scott Neal X-bcc: X-Folder: \Chris_Germany_Dec2000\Notes Folders\Sent X-Origin: Germany-C X-FileName: cgerman.nsf I know we have not been treating storage correctly in Sitara. I would like to disscuss the best way to handle the CES storage. It involves several pipelines. Who should I talk to? On some storage contracts, ENA will buy the gas from CES on withdrawals and sell the gas to CES on injections. On other storage contracts, CES will give ENA a predetermined injection schedule. However, ENA will make the acutal injection and withdrawal decisions. Which means, what we bill CES will be different from what actually happens. I know this is what we did with BUG, I just don't know how to do it. Who do I need to meet with to discuss CES storage?