Message-ID: <2310315.1075859050925.JavaMail.evans@thyme> Date: Tue, 30 Jan 2001 19:33:00 -0800 (PST) From: steve.kleb@enron.com To: tracy.geaccone@enron.com Subject: NNG Sources and Uses of Cash 2001 Mime-Version: 1.0 Content-Type: text/plain; charset=us-ascii Content-Transfer-Encoding: 7bit X-From: Steve Kleb X-To: Tracy Geaccone X-cc: X-bcc: X-Folder: \TGEACCO (Non-Privileged)\Geaccone, Tracy\ET&S X-Origin: Geaccone-T X-FileName: TGEACCO (Non-Privileged).pst FYI per your request. Please see attached worksheet reflecting the Cash Flow impact of January & February gas purchases / imbalance settlements. See you later! ---------------------- Forwarded by Steve Kleb/ET&S/Enron on 01/30/2001 03:28 PM --------------------------- From: Dan Fancler 01/30/2001 03:19 PM To: Steve Kleb/ET&S/Enron@Enron cc: Subject: NNG Sources and Uses of Cash 2001 ---------------------- Forwarded by Dan Fancler/ET&S/Enron on 01/30/2001 03:19 PM --------------------------- From: Dan Fancler 01/29/2001 12:35 PM To: James Saunders/FGT/Enron@ENRON cc: Steve Kleb/ET&S/Enron@Enron Subject: NNG Sources and Uses of Cash 2001 Current estimate of January and Feb. 2001 sources and uses of cash for purchases/Sales/imbalance.