Message-ID: <10263541.1075860028386.JavaMail.evans@thyme> Date: Wed, 18 Oct 2000 07:50:00 -0700 (PDT) From: david.forster@enron.com To: mark.taylor@enron.com Subject: Pipeline Capacity Trading Mime-Version: 1.0 Content-Type: text/plain; charset=us-ascii Content-Transfer-Encoding: 7bit X-From: David Forster X-To: Mark Taylor X-cc: X-bcc: X-Folder: \Mark_Taylor _Dec_2000\Notes Folders\Notes inbox X-Origin: Taylor-M X-FileName: mtaylor.nsf Mark, Can you please start putting together documentation for the following? - Pipeline Capacity Trading ETA (to appear on the new capacity trading website) - Pipeline Capacity Trading Service Contract (entered into on paper with piplelines wishing to post their capacity on EnronOnline I imagine the ETA will be modeled pretty closely on the existing ETA. For the Service Contract, I assume we will be covering things like: - Nature of the Service (what we will do and what they will do) - They will -Post products on EnronOnline - Take responsibility for their prices - Be bound by any transactions which result, subject to their Tariff schedules. - Pay for any hardware needed at their end and/or any 3rd party connection costs (e.g. internet service providers) - We will - Provide the software - Host and maintain the database - Facilitate access to the application - Administer User ID's - Provide support for Product creation - Representation, warranties and limitations of our liability for the service - Confidentiality I assume we may need to sit down and discuss in more detail. I will forward the latest copy of our functional spec. Please call and let me know what I can do to help in putting the above together. Thanks, Dave