Enron Mail

From:victor.lamadrid@enron.com
To:joan.veselack@enron.com
Subject:Re: Dayton Stuff & Calp & other fun stuff
Cc:joann.collins@enron.com, robert.allwein@enron.com, katherine.kelly@enron.com,chris.germany@enron.com
Bcc:joann.collins@enron.com, robert.allwein@enron.com, katherine.kelly@enron.com,chris.germany@enron.com
Date:Wed, 19 Jan 2000 01:28:00 -0800 (PST)

Answers to your quetions:
Yes; no; maybe

Just kidding....
Interconnects for Calp and Dayton handled the same...just add those meters to
the sell tkts to CES and the buys are the delivery points. Don't path the
actual contract in Unify...When we hold that capacity and EDI, we'll path in
Unify.... We don't get the bills from TCO in January for that contract. Get
em in February (when we hold the capacity). They are set up in Unify but we
won't actually use....We are providing that service for those guys.

Try your best for trueing up the transport tkts and the CALP and Dayton tkts
in Sitara. Impact is on P and L for the desk daily and later on for the
(O/A) operational analysis where the accountants compare what we estimated
our costs and revenues for the desk were and what they actually came in
at.......We know January will be messy...

Go ahead and true up the PAL agreement to match physical flow......

BUY/SELLS with ENA and CES. We talked at the beginning of the month about
this. Sales/buys to/from ENA on the CES reports and sales/buys to/from CES
on the ENA facilitation by location reports should just be pahted as
buy/sells. (hopefully should be done already......)

I have a meeting from 3-4 today...other than that I'll be downstairs with
y'all to answer any questions....

THANKS!!!!


To: Victor Lamadrid/HOU/ECT@ECT
cc: Joann Collins/Corp/Enron@ENRON@ECT, Robert Allwein/HOU/ECT@ECT, Katherine
L Kelly/HOU/ECT@ECT, Chris Germany/HOU/ECT@ECT
Subject: Re: Dayton Stuff & Calp & other fun stuff

You were a busy little bee last night!!!! Thanks for the help.

FSS 63304 - we are not using. I'll ask John Hodge what this storage had been
used for in the past.

Clarification needed for the Dayton and Calp sell at the pool. How is the
interconnect gas supply done... we had some on Calp with Virginia Power and
Coral. In the past we have some on Dayton... don't think we have any in
January yet. Does this through another monkey wrench into the works?

We will probably have to run some report out of navigator to true-up
transport tickets. There are a ton of cuts lately and Joann receives daily
request from CES retail for volume changes. Not sure the best, efficient way
to maintain these tickets daily.

PAL for CES was physically flowed on January 1. Should we change the tickets
to match physical flow???

I'm bummed about the storage ticket change again... but will redo the paths.
This will be a couple hours of rework for me... not sure about Joann.

You have lost me on the ENA to CES and CES to ENA buy sell tickets. Can't
think of any examples yet. Hope this doesn't cause repathing.






Victor Lamadrid@ECT
01/18/2000 09:38 PM
To: Joann Collins/Corp/Enron@ENRON, Joan Veselack/Corp/Enron@ENRON, Robert
Allwein/HOU/ECT@ECT
cc: Katherine L Kelly/HOU/ECT@ECT, Chris Germany/HOU/ECT@ECT

Subject: Dayton Stuff & Calp & other fun stuff

Hello my favorite TCO people: Here's what we here at team TCO have done so
far....Let's recap shall we..........

Dayton and Calp get the invoices from the p/l and we re-imburse them for the
transport differenentials so......

Dayton capacity buy at the citygate = Sitara #151878 - path as buy/sell with
your markets.
Dayton capacity sell at the pool = Sitara #151877 - path as buy sell from
pool. These 2 tkts should be released by Stephanie tomorrow morning. True
these up as best you can daily.

Also:
Calp capacity buy at the citygate = Sitara #149776 - path as buy/sell wth
your markets.
Calp capacity sell at the pool = Sitara #149775 - path as buy/sell at pool.
These 2 tkts should be released by Stephanie tomorrow morning. True these up
as best you can daily.

Our transport tkts from pool to city gate for all other transport still
remains Sitara# 95448 and Sitara# 95449. Please true up as best you can.

NEXT:
Do ya'll have 2 FSS Storages Contracts # 51407 and 63304?

Deal # 151879 covers storage K# 63304 and deal # 151880 covers storage K#
51407. The Sitara gods have to approve, bounce the server and then it will
appear in Unify for you to path....

Deal # 149778 is the storage w/d ticket for both K# 63304 and K#51407. Deal
# 151882 is the storage injection ticket for the same. The counterparty had
to be changed back to CPR storage. You guys have to unpath and re-path that
piece showing the purchase from CES for the storage w/d. Really SORRY about
this!!! Counterparty could not be CES --- We can't path on stg. contract and
out of inventory and buy from CES at the same time w/o the point not being
balanced.

Park and Lend contract #64031 and # 64041 are being set up by Chris in Sitara
but we have to get the Sitara gods to set up PAL contracts as ENA agency
deals for CES so he can't put the deals in the system just yet. They should
be available tomorrow hopefully!!!! They are for 250,000 on the first and
the 300,000 on the second of January. Path them accordingly depending on
where that PAL gas went.

In addition all deals that are ENA to CES or CES to ENA should be pathed as
buy/sells.

I think that is it for now. Let me know if anything else stops you from
pathing, running tracking and balancing and finally from bridging back the
first to Sitara. Let's set a GOAL to have the first totally pathed and
tracked and balanced and bridged back and clean by close of business the
19th. YEAH BABY!!!!

By the way, we really appreciate the monumental effort you three have made in
meeting all logistical requirements of the old and new TCO business and
keeping track of the volumes in Sitara, Unify and Navigator...We're are
zeroing in on end of month balance tie outs between Navigator and Sitara for
the 4 CES pools and the 2 ENA pools. We've kept a bunch of balls in the air
for the last 4 weeks and to my knowledge haven't dropped one darn ball yet.
Thanks.........