Title: Nueces Electric Coop
1Nueces Electric Co-op Competitive Retailer
Billing Processes
2Information Disclosure Issue
- In proposed 25.475, Information Disclosures, REPs
are required to disclose all material terms of
arrangement with the customer however, for
consolidated billing, the REPs need to have NEC
DSPs billing and collection practices to comply
with 25.475. - The NEC DSP billing and collection practices are
already defined and it is the purpose of this
meeting to help REP operations personnel to
understand those procedures and processes that
remain unclear.
3Agenda
- Member/Customer Billing Options in NEC DSP Area
- The Consolidated Bill Format
- Overview of Consolidated Billing Process
- NEC Billing Cycles Bill Ready Information for
CRs - Meter Usage Invoices
- Estimated Meter Reads Invoices
- Continuous Service Agreements (CSAs)
- Clarification of CPR 25.480
- Cancel/ Re-bill Process
- Account Numbers Account Balances
- Consolidated Payment Remittance to CRs
- Operational Issue- LOAs
- Off-Cycle Switches Drops
- TX SET Changes
4Customer Billing Options
- NEC allowed to bill members directly for NEC DSP
services (PURA 41.057) - NEC TDSP consumers have TWO options for billing
- 1- members can choose to receive two (2) bills
one from NEC and one from the CR - 2- members can choose to receive one (1) bill
SENT BY NEC - If no preference expressed, or CR chooses to not
inform members about option, default is single
bill sent by NEC (option 2) - Consumption/ billing information must be retained
by NEC to allow allocation return of capital
credits to members (determined in proportion to
their use)
5Consolidated Bill Format
- Energy charges on bill are bundled as in current
market - Non-energy fees will be itemized (NEC DSP CR)
- CR logo is allowed but will be in black or blue.
6Consolidated Bill Format
Q -In proposed 25.479, Issuance and Format of
Bills, it is not clear what rules apply if NEC
DSP is doing the billing. Current rules are
written to impose requirements on the REP. There
is no discussion of how the REPs charges will be
shown on the bill. A-NECs consolidated bill is
designed to meet all requirements for REP bills,
as stated in 25.479.
7Consolidated Bill Issue
- REPs are given a one-line brand/logo reference
with associated billing determinants for the
energy portion of the bill. - NEC has developed and approved a format for a
consolidated bill. NEC has provided a sample bill
to CRs, on request. - If any CR would like to recommend a different
consolidated bill format, it may submit a letter
(containing a sample recommended format, along
with an itemization of the CRs recommended
changes and justification for each change) to
NECs management and board of directors for
consideration.
8Transaction flow for Enrollment through First
Consolidated Billing with NEC
- Consumer enrolls with CR CR accepts consumer
- CR sends 814_01 to ERCOT
- ERCOT sends 814_03 to TDSP
- TDSP responds with a 814_04 Same day or Next day
(depending on when the 814_03 was received and
the Inbound and outbound process were ran). - When the account is made active TDSP will send
867_04 and 814_20 and spreadsheet with
discretionary charges - When the Bill-Calc is ran for this accounts
cycle. An 867_03 will be sent. - The CR will have three days to get the 810_03
back to the TDSP. - On the afternoon of the third day the TDSP will
run the Interactive bill print and send out the
current months billed charges for both the TDSP
and the CR (as long as the TDSP has received the
810_03 from the CR) If the CR does not make the
deadline CR charges will have to wait until next
months bill to be sent. - When the Payment is made (to make the TDSP whole
first), then the rest will apply to the CR. - Once the CR type service has money applied to the
account, it will be sent out to the CR as an
820_03 Remittance Advice only. - Co-op will then cut a check for this amount to
the CR.
9Transaction flow for Enrollment through First
Consolidated Billing with NEC
10NEC Billing Cycles Bill Ready Information from
CRs
- NEC reads meters in coincidence with billing
cycles (see 2005 NEC bill cycles on website) - NEC forwards all kWh usage per cycle to CR
(867_03) - CRs reply within 3 days with invoices (810_03)
- NEC mails bill to customer by next business day
after receiving invoice from CR - Bill due date is 16 days from the mail date
11NEC Billing Cycles
- NEC has 5 cycles 2005 calendar is on website at
http//www.nueceselectric.org/billing.htm - CR will know the NEC bill cycle by the 814_04.
12Meter Usage Invoicing
- In the 867_03, meter usage, NEC will send a date
and time of when the REP must provide NEC DSP
with REPs 810_03 to insure that it will be on
the customers bill. What is the timeframe from
when the REP receives the 867_03 from NEC DSP to
when the REP must get the 810_03 to NEC DSP? Is
there an established timeframe? - The timeframe is 5 days.
- Currently, Protocols dictate that the TDSP has 3
days from the day that the meter was read to get
the meter read to ERCOT. ERCOT then has 4 hours
to get the meter read to the REP. Based on the
time that a REP has to send the 810_03 to NEC
DSP, what if there is a delay in the REP
receiving the meter read and the REP does not
believe that the allotted time was given to them?
Can the REP reject the 867_03 with an 824? Will
NEC DSP allow the REP to send it late? How would
the REP notify NEC DSP of these situations? - If the CR knows that there will be a time delay a
phone call should be made to NEC CR Relations
(Eloise or Dave).
13Meter Usage Invoicing
- Will NEC DSP ever hold the REPs transactions
until the next month if the REP misses the date
transmitted in the 867_03? - Transactions are processed and if the bill window
is missed the REPs bill information will be
reflected on the next months bill. - In the 810_03 it states Any cancel/re-bill
invoices received after the bill window will be
reflected as an adjustment on the customers bill
for the next month. This statement is in the
current and future implementation guides. - TDSP will send a corrected bill to member if
error detected immediately after billing,
otherwise cancel rebill will be reflected as an
adjustment on the next months bill
14Meter Usage Invoicing
- If the REP receives the 867_03 usage and it is
rejected with an 824, are there any timelines
around when the REP will receive a new 867_03? Is
the customers bill held up until we receive a
valid 867_03? - The timeline is 3 days. There is a possibility
that the bill could go out incorrectly, but a
corrected bill will be sent out as soon as the
cancel rebill is received from the CR. - The current 810_03 states that After a final
867_03 and a final 810_03, a REP may discover
that late payment charges apply to a customer.
Therefore, the REP may submit another 810_03 to
the MC TDSP for these late charges. Currently in
the 2.0a TX SET release, there is no way for a
REP to send an invoice after the REP has sent a
final to the Co-op. How will this transactional
need be accommodated by NEC DSP until 2.1 is
implemented? - Yes, the CR will be able to send additional
charges after the final 810.03. - In 2.1, the 820_03 allows for the Muni/Co-op to
be able to send a debit to the REP for instances
when a customers funds were not available. How
is this going to be handled until the 2.1 changes
come in? - The co-op is able to send a debit payment now.
The only change in 2.1 is that we are adding code
to let the CR know what the debit payment is for.
15Estimated Meter Readings Invoicing
- Will NEC DSP denote on the read transition
whether the read is estimated? - Yes
- Does NEC DSP have any rules that limit number of
consecutive estimated reads that customers may
receive? - Yes, after three estimated readings NEC obtains a
reading. - If the REP has a technical issue, or for some
reason the usage is not received by the REP
however, the REP knows that an invoice needs to
be sent, can the REP estimate the customers
usage and send an 810_03? How will the REP
inform NEC DSP of any estimated invoice? - CRs cannot estimate usage. Contact CR Relations
in the event of technical issues that prevent
receiving usage.
16Continuous Service Accounts
- Since the 814_18, to establish a CSA, is not
passed from ERCOT to the Muni/Co-op until 2.1,
NEC DSP will not know the CSAs REP billing type
or the REPs account number. - ERCOT passes the billing type to NEC DSP on an
814_03. - The REPs account number is required on the
820_03, remittance. The billing type is required
to insure that NEC DSP knows if the REP is going
to be sending a bill to them or not. - NEC DSP gets the CR account on the 810_03 and
holds until the 820_03 is sent back to CR. - What procedures does NEC DSP have in place to
accommodate CSAs until the implementation of TX
SET 2.1? - We have the service location marked to notify
owner of a move-out. Which we translate to mean a
CSA exists and account is returned to owners name.
17Clarification of CPR 25.480
- In proposed 25.480, Bill Payment and Adjustments,
it is not clear what payment rules apply if NEC
DSP is doing the billing. For example, will the
DSP assess a late fee on behalf of the REP? - YES
- What happens if there is an over or underbilling
as a result of an error on the part of the DSP? - At the time the error is identified, NEC DSP will
implement the cancel rebill process. - If the customer doesnt pay the DSP, who can
order disconnection for non-payment? Can the DSP
agree to payment arrangements on behalf of the
REP? . - NEC DSP orders DNPs for wires charges. NEC DSP
will not make payment arrangements on behalf of
the REP.
18Cancel/ Re-bill Process
- Error is detected
- TDSP sends 867_03 cancel usage via EDI to CR
- CR sends TDSP cancel rebill invoice
- TDSP will send a corrected bill to member (if
error detected immediately after billing,
otherwise cancel rebill will be reflected as an
adjustment on the next months bill)
19Account Numbers Account Balances
- Account Number
- In the 810_03, it states that the REP is required
to send its customers account number in the
invoice transaction. Does NEC keep up with this,
or do they print this on the customers bill? - No, NEC does not print REPs account no. on the
bill. - This requirement is removed for 2.1, future
implementation. Do the REPs still need to send
their customers account number until that time? - Yes.
- In the 820_03, it indicates that the REPs
account number is sent from NEC to the REP. What
procedures does NEC have in place to capture and
maintain this account number from when the REP
sends it to NEC on the enrollment transactions? - While we have the capability to do this, at this
time, we are not capturing the account no. on the
enrollment. - Account Balances
- Will NEC be maintaining the REPs account
balances, or will the REPs need to send the
current and previous balances every month? - Yes, NEC will maintain the REPs account balances
and will be reflected on the customers next
months bill as balance forward.
20Consolidated Payment Remittance Issues
- The REPs need for NEC to provide a detailed,
end-to-end walk through and documentation for the
customer payment and remittance process. Detailed
communication processes need to be developed to
address the various scenarios related to customer
payments to NEC DSP such as partial payments,
and how NEC DSP will communicate with the REP,
and how payment issues will be resolved related
to disconnect/reconnect. - How many days from when the customer pays does
NEC DSP have to send payment to the REP? - On the 820_03, remittance advice, there are no
dates, invoice numbers or customer information.
When the REP talks to a customer about payment,
the REP will have no view or information about
this. The REP will have no dates, check numbers
or amounts for use in talking with the customer.
What procedures does NEC DSP have in place to
address these issues?
21Payment Options for Customers With Consolidated
Billing
- Cashiers available in main office in Robstown
with drive thru lane, and cashier available at
the Ricardo Service Center during regular
business hours- accept cash, checks, money
orders. - 24 hour payment drop box available outside main
office in Robstown and outside Ricardo Service
Center. - Mail picked up at daily in the Robstown Post
Office (Monday-Friday) and payments post thru the
remittance machine. - BillMatrix Corporation telephone and electronic
check/debit card, credit card or internet. 4.95
per transaction fee charged to member. Phone
payments (800-232-8190) or Internet payments
(www.nueceselectric.org). Payment notification
sent via e-mail to CR when posted. - Pay stations nineteen area pay stations. 1.00
per transaction fee charged to member and payment
notification is not posted for two (2) business
days. - Bank drafting service is available.
- Level Billing member should contact NEC (NEC
DSP must have 12 months of history with member at
the premise)
22Consolidated Payment Remittance
- Regular Payment Process
- When payment is received the coop portion is paid
first and balance is applied to CR/REP portion of
bill. - Remittance advisory (820_03) will be sent to
CR/REP twice daily. - Check will be remitted weekly each Monday or if
holiday the next business day to CR/REP with
corresponding remittance Tran Trace number
(820_03). - Credit balances left after the CR/REP is paid
will be retained by NEC DSP and applied to the
next bill. - Returned checks
- The CR/REP will be notified thru a 820_03 and
these payments will be debited for the amount of
the returned check. No fees will be charged to
the CR/REP by NEC. - When the member makes good on the returned check
the CR/REP will be notified by 820_03 and money
will be credited on that weeks payment.
23Consolidated Payment Remittance
- Payments on disconnect/reconnect
- Payment must be in full including any
disconnect/reconnect fee charged by DSP to the
member. - Remittance (820_03) will be sent to CR/REP twice
daily and payment by check will be remitted to
CR/REP weekly, each Monday or if holiday the next
business day, with corresponding remittance Tran
Trace number (820_03). - Reconnect (650_01 or 650_04) should be sent by
DSP or CR/REP. Reconnect (650_01) submitted by
the CR/REP can be rejected (650_02) by the DSP if
member has not paid the funds due the DSP. - Refer to DNP Guide for emergency reconnect.
24Consolidated Payment Remittance
- Dual Bill - Account has been disconnected either
by the DSP or CR/REP using disconnect (650_04 or
650_01). - DSP initiated (650_04)
- Cooperative confirms members satisfactory
correction of reason for disconnect and releases
reconnect request to FSR to be completed. - Payment must be made in the business office
during regular business hours or thru Bill Matrix
(payments can be confirmed by telephone). - Payment must be in full including any
disconnect/reconnect fee charged to the member
before a reconnect request can be released to FSR
for completion. - Cooperative will submit reconnect (650_04)
according to TX SET guidelines. - CR/REP initiated (650_01)
- Cooperative validates in accordance to the DNP
Guidelines and an internal service order is
routed and scheduled geographically to the
appropriate FSR. - Cooperative completes order and responds to
CR/REP with a 650_02 in according with the DNP
Guidelines. - CR/REP confirms customers satisfactory
correction of reasons for disconnect and submits
reconnect (650_01). - Cooperative receives reconnect (650.01) and
performs validations including making sure that
all funds have been paid to the DSP before a
service order will be released to FSR for
completion. - If validation is not complete a reject (650_02)
with the appropriate code and reason is sent to
CR. - Upon successfully validating the reconnect
(650_01), an internal service order is routed and
schedule to the appropriate FSR. - Cooperative completes order and responds to CR
with a (650_02) within one business day of
completion.
25LOAs
- The current LOA process is outlined in the Retail
Market Guide (RMG). Will NEC be updating this
information? - No plans exist at this time to update the
information. - Will NEC use the current process that is lined
out in the RMG for LOA information? - Yes, however, NEC will also reject the request if
neither our member on record for the ESI ID, nor
their spouse, is the signature on the historical
usage request. - When may a REP begin sending LOA forms, and where
should they be sent? - LOA submission may begin concurrently with the
release of the mass customer list to CRs. This
will be approximately 2 weeks after the pending
approval of PUCT Docket 30633 and thirty days
before the first phase of the transition of
customers into competition. Requests should be
e-mailed to NEC.
26Off Cycle Switches Drops
- When a REP sends an off-cycle switch, or
off-cycle drop, will NEC DSP send that charge to
the customer? - No, the CR will include the applicable charges on
its bill-ready invoice and NEC will send a paper
invoice to the CR for the fee. - If the customer does not agree with this charge,
will NEC DSP allow the customer to dispute this
charge with them and credit the customer for this
charge? - No. Since NEC will not be involved in the
customers request for the switch or the REPs
decision to drop the customer, the CR will handle
any billing issues regarding these charges with
the customers.
27New TX SET Changes
- There are 49 new TX SET draft requirements for
entities participating in an MOU/EC territory.
These will be implemented in the next version of
TX SET 2.1, which is currently scheduled for the
Dec. 2005 timeframe. Implementation of these
requirements is critical to provide for an
efficient market and positive customer
experience. - Yes there are 48 changes, however only 11 of them
are MOU/EC specific. We agree that these changes
must be implemented. However, work-arounds are in
place for all of these issues at this time. All
NEC DSP and ERCOT systems are operational for CRs
to successfully operate in the NEC territory
today.
28- ADDITIONAL
- QUESTIONS/ DISCUSSION