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 Name  | 
 Comment  | 
 Visibility  | 
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 BILLINGIRPARTSURPLUSSUM supports the Settlements Residue Auction, by showing the weekly billing SRA distribution and associated fees to Auction participants.  | 
 Private  | 
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 BILLINGPRIORADJUSTMENTS sets out prior period adjustments and associated interest inserted in subsequent Final Statements arising from Revision Statement postings.  | 
 Private  | 
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 BILLINGREALLOC shows reallocation contract values in each billing run, where participants have used reallocations.  | 
 Private  | 
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 Billing Reallocation Data aggregated by REALLOCATIONID for each billing run over the billing week.  | 
 Private  | 
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 BILLINGREGIONEXPORTS sets out the region summary table of overall energy exported to and from each region for each billing run.  | 
 Public  | 
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 BILLINGREGIONFIGURES sets out additional summary region details including ancillary service amounts for each billing run.  | 
 Public  | 
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 BILLINGREGIONIMPORTS sets out the region summary table of overall energy imported to and from each region for each billing run.  | 
 Public  | 
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 BILLINGRUNTRK identifies the Statement type (i.e. Status of PRELIM, FINAL, REVISE) and date of the BillRunNo posted, per WeekNo. This provides a further extension of tracking data from the BILLINGDAYTRK table.  | 
 Public  | 
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 Details of the RERT Usage and Availability Payments made to the participant.  | 
 Private  | 
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 Provides details of the RERT Recovery Amount for the Market Customers.  | 
 Private  | 
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 BILLWHITEHOLE shows white hole payments based on participant vs region demand.  | 
 Private  | 
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