Publication according to daily financial settlement of network balancing accounts

With effect from 1 October 2016, the reporting, disclosure and settlement rules prescribed by the monthly settlement of imbalances in network operators' network balancing accounts  by a regime which involves the daily financial settlement of imbalances in network operators' network balancing accounts ( Netzkontenabrechnung).

The publication according to the daily financial settlement of network balancing accounts is performed here

Code Code type Network account Network operator
9870119800000 DVGW NCHN007011980000 Industriepark Werk Bobingen GmbH & Co. KG
9870075700005 DVGW NCHN007007570000 Stadtwerke Buchen GmbH