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Aggregation contract view

Aggregation contracts are available when enabled for your workspace; see Introduction.

The aggregation contract view shows one aggregation contract: its terms, its fees, the counterparty's payment details, and the assets under it. The contract status appears next to the name. The view has three tabs: Overview, Change history, and Files.

The pencil on the Contract terms, Fee terms, and Payment terms cards opens the aggregation contract settings on the matching tab.

Contract terms card​

This card shows the contract kind, the counterparty, the signing date, and the initial term. It also shows the end date (Not set while the contract runs) and the renewal. The renewal refusal notice appears unless the contract has no auto-renewal. For grid battery contracts, the card also shows the penalty basis and, for the Per contract basis, the early-termination penalty per remaining month.

Payment and notice details card​

This card shows what the payment notice prints about the counterparty. On the left are the bank account details: bank, branch, account type, account number, and account holder. On the right are the notice details: postal code, address, registration number, recipient, and recipient emails. A missing value shows as Not set.

These details belong to the counterparty company, so you edit them in the stakeholders settings, not in the contract. Edit in Settings takes you there.

Fee terms card​

The items on this card depend on the fee model.

For PV contracts (service fee), the card shows the base fee per month, whether it is pro-rated, the base fee start month, and the per-kWh fee. It also shows the volume basis (TSO-confirmed meter volume) and the price reference (JEPX realized sale price).

For grid battery contracts (revenue share), the card shows the performance fee rate, the capacity award rate, and the settlement admin fee per month. It also shows the fee floor: no fee in months with a zero or negative net result.

Payment terms card​

This card shows the settlement period (calendar month), the settlement schedule, the consumption tax rate, and the rounding rule.

Assets card​

The card header shows the number of assets and their total site AC capacity. The table lists each asset with its ID, name, grid area, supply start date (planned operation start date for grid battery contracts), and end date. Grid battery contracts add the initial fee and its tier. Under the Per asset penalty basis, the asset's penalty also appears. Click an asset name to open the asset. Expand the card to view the table full screen.

Assets whose link has ended stay in the list. If the contract has no assets yet, the card shows Add assets now, which opens the Assets tab of the settings.

Change history tab​

The Change history tab lists every save to the contract and its assets, newest first, grouped by period: today, yesterday, this week, last week, this month, then earlier months and years. Each entry shows who made the change, when, and a summary such as "Contract updated · Assets: 2 added".

Press Show changes to see a table of each changed field with its value before and after, one group for the contract and one for each asset. For list fields such as the service scope, the table shows only the items removed (Before) and added (After). Go to asset opens the asset. Changes from deleting an asset appear here too.

Files tab​

The Files tab lets you upload, tag, and download documents that belong to the aggregation contract, such as the signed contract. It works like the Files tab of an asset.