Note! This process component is not in use at the moment, as Elhub are invoicing ATAM on behalf of the Grid Access Provider
Reconciliation – to Grid Access Provider
The reconciliation process runs in Elhub once a month and calculates aggregated values per balance supplier/metering grid area split into profiled and non profiled metering points. Only metering points where metering values are changed after the closing of the balance settlement are included in the calculation.
The result of the calculation is reported to the balance suppliers in this process by the message PriceVolumeCombinationForReconciliation.
In 5.5 it is possible to order the reconciliation manually by using query type code STLM and business type equal to RE01 or RE02.
Sequence diagram reconciliation – to grid access provider
Message reconciliation – to grid access provider
The message used in the process is described below.
Price Volume Combination for Reconciliation
Ref. Price Volume Combination for Reconciliation
Validated metered data, time series
Reporting data for reconciliation
Business Process Role
Grid Access Provider
Message Implementation Guide