Reconciliation
Part 15 of the Code sets out the obligations on participants in relation to reconciliation standards. It deals with:
- how reconciliation participants must gather, store and provide information about electricity conveyed;
- how reconciliation participants must prepare and provide submission information;
- how the Reconciliation Manager must allocate volumes of electricity among reconciliation participants;
- how the Reconciliation Manager must pass information to the Clearing Manager, for the calculation of invoices;
- the obligations of the Reconciliation Manager to pass the information to reconciliation participants, the Registry and the Authority Board;
- the requirements for the creation, approval and maintenance of profiles; and
- the requirements for audits, auditors, approvals and certifications.
The Reconciliation Manager facilitates the monthly reconciliation process and is responsible for reconciling metering data against a register of contracts and passing the data to participants.
In this section you will find information on:
- Participant identifiers
- Reconciliation participants: certifications & audits
- Profiles
- Loss factor review panel
Information Papers
Guidelines for Managing Retailer Default Situations
Guidelines-for-Managing-Retailer-Default-Situations.pdf | pdf | 209 KB | Modified: 24/03/2011 5:32pm
Certified reconciliation participant audit guidelines v3.0
Reconciliationv3.pdf | pdf | 383 KB | Modified: 28/03/2011 10:32am
Guidelines on the calculation of loss factors for reconciliation purposes
Guidelines-calculation-lossfactors.pdf | pdf | 133 KB | Modified: 28/03/2011 10:32am
Certified reconciliation participant audit guidelines v3.0 - copy with changes clearly marked
reconciliationv3-tracked.pdf | pdf | 400 KB | Modified: 28/03/2011 10:32am
Guidelines on electricity supplied v1.0
Guidelines-electricity-supplied-v1-0.pdf | pdf | 53 KB | Modified: 28/03/2011 10:32am
Balancing area guidelines and network supply point implementation details v2.0
Balancing-area-guidelines-v2.pdf | pdf | 149 KB | Modified: 28/03/2011 10:32am
Default thresholds to be used under the Code
Default-thresholds-to-be-used-under-the-Code.pdf | pdf | 328 KB | Modified: 28/03/2011 10:32am
Guidelines for metering, reconciliation and registry arrangements for secondary networks v8.0
Secondary-network-v8.pdf | pdf | 258 KB | Modified: 02/11/2010 9:45am
Profile guide v1.1
Profiling-guide-v1.1.pdf | pdf | 57 KB | Modified: 28/03/2011 10:32am
(note: this document is under review)
Related Documents
Distributor: obligations under the Electricity Governance Rules 2003
Distributor-letter.pdf | pdf | 35 KB | Modified: 28/03/2011 10:32am
ISO 9001:2008: deemed as an equivalent for AS/NZS ISO 9001:2000
ISO9Memo-28Jan09.PDF | PDF | 169 KB | Modified: 28/03/2011 10:32am
Notification to all participants: further reconciliations for March, April, May, and July 2007
Further-reconciliations.pdf | pdf | 172 KB | Modified: 28/03/2011 10:32am
Distributors: changes to part E of the Rules as at 1 November 2008
memo-partE.pdf | pdf | 43 KB | Modified: 28/03/2011 10:32am
Q-Base: deemed as an equivalent for AS/NZS ISO 9001:2000
Q-Base.pdf | pdf | 182 KB | Modified: 28/03/2011 10:32am
Memo: seasonal adjustment shapes for the transitional review period
memo-seasonal-adjustment.pdf | pdf | 183 KB | Modified: 28/03/2011 10:32am
Purchaser: obligations with regard to certified reconciliation participant status
Purchaser-letter.pdf | pdf | 31 KB | Modified: 28/03/2011 10:32am
Generator: obligations with regard to certified reconciliation participation status
Generator-letter.pdf | pdf | 32 KB | Modified: 28/03/2011 10:32am
This page is related to: Retail and Wholesale Market.




