
Date: Wed, 12 Apr 2000 00:46:00 -0700 (PDT)
From: chris.germany@enron.com
To: jeff.westover@enron.com, mark.feldman@enron.com, victor.lamadrid@enron.com,
molly.johnson@enron.com, scott.goodell@enron.com,
elizabeth.hernandez@enron.com, joann.collins@enron.com,
brenda.fletcher@enron.com
Subject: Re: Meeting
Cc: sherry.anastas@enron.com, robert.allwein@enron.com, joan.veselack@enron.com,
david.oliver@enron.com
Bcc: sherry.anastas@enron.com, robert.allwein@enron.com, joan.veselack@enron.com,
david.oliver@enron.com

The meeting is in room 3259 from 3:00 - 4:00.  Experience has taught me that
someone much more important may bump us.

This meeting will focus on the CGAS storage contract.  What we bill CES for
storage injections will be different than what we actually inject.  April is
a little more difficult because we will be injecting and withdrawing at the
same time.  CGAS only bills on the net injections or withdrawal amounts.  The
deals in Sitara are set up as CPR Storage for the injections and the
withdrawals.

Which brings up the following issues;
*   How do we bill CES for injections if we don't enter buy/sales with CES
at the storage facility.
Kate Fraser said there were never any BUG buy/sale tickets in Sitara for
storage.  How did that work?  Mark, I'm counting on you for this one.

* How do we track the storage balance in Unify?

* How are the injection/withdrawal cost capture, especially since CGAS will
bill on the net injections/withdrawals

I'm sure there are more issues that will come up during the meeting.

Thanks



Enron North America Corp.
