Message-ID: <27588623.1075853052036.JavaMail.evans@thyme> Date: Sun, 24 Jun 2001 23:05:00 -0700 (PDT) From: lynn.blair@enron.com To: lynn.blair@enron.com Subject: Transwestern Invoicing Mime-Version: 1.0 Content-Type: text/plain; charset=us-ascii Content-Transfer-Encoding: 7bit X-From: Lynn Blair X-To: Lynn Blair X-cc: X-bcc: X-Folder: \LBLAIR (Non-Privileged)\Blair, Lynn\'Sent Mail X-Origin: Blair-L X-FileName: LBLAIR (Non-Privileged).pst Amy Mulligan 04/30/2001 10:52 AM To: Lynn Blair/ET&S/Enron@ENRON, Albert Hernandez/ET&S/Enron@ENRON, Amy_Mulligan@enron.com, Cynthia Rivers/ET&S/Enron@ENRON, Tracy Minter/ET&S/Enron@Enron, Linda Ward/ET&S/Enron@ENRON, Beverly Miller/ET&S/Enron@ENRON, Christine McEvoy/ET&S/Enron@Enron cc: Subject: Transwestern Invoicing I have attached a spreadsheet that Elizabeth put together for us for our February invoicing so you can get an idea of the categories and the number of invoices. These are the 7 categories Elizabeth checks, and how they can be redistributed: Void Invoices: There are only two of these invoices each month, MSR's can check these, but Marketing will have to communicate when there are additional Invoices that need to be voided. Delete Line Items: This can also be checked by MSR's but new contracts with these exceptions need to be explained by Marketing to the corresponding MSR for that customer Volume Adjust: These are also only for exceptional contracts, MSR's can check these exceptions, but Marketing will have to explain exceptions on New Contracts to the corresponding MSR for that customer. Make-up Volume: MSR's Adjust Reservation Invoices for change in Credit for Commodity due to make-up: MSR's Adjust Rate: Marketing Regenerate Invoice: MSR's We will start checking these for May Accounting, The TW Team