Notice No. 02-63
February 27, 2002

TO:		ALL NYMEX/COMEX DIVISION MEMBERS
ALL NYMEX/COMEX DIVISION MEMBER FIRMS
ALL NYMEX/COMEX DIVISION CLEARING FIRMS
ALL NYMEX/COMEX DIVISION OPERATION MANAGERS

FROM:	George Henderson, Vice President
		Michael Campanelli, Vice President

RE:		March ATOM Processing Schedule


DATE				BUSINESS DAY
EVENT

3/1					1
Preliminary ATOM reports and Give up

Listings.

3/5					3				Last
day for adjustments.

3/6					4
Final ATOM reports.

3/7					5				CMs
debited for brokerage.

3/11					7
NYMEX gets confirmation of available
Funds in escrow account and initiates

Transfer to Brokers.

3/12					8
Funds are deposited to broker

Accounts.

3/13 				 	9
Brokers who check their morning

Balances will see the ATOM deposits

Reflected in their bank balances.

NOTE:		Broker enrollments or Banking information changes for April
cycle must be received by
the Membership Department No Later than 3:00 P.M. on March 22, 2002.

If you have any questions regarding NYMEX, please contact Juan Serrano or
Gerard Taibi at (212) 299-2626.
If you have any questions regarding COMEX, please contact David Sherman at
(212) 299-2061.