Sabal Trail Transmission Notice 181625

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Critical Notice Description: Critical Notices

Notice Effective Date / Time: 08/12/2026 08:40:45 AM

Notice End Date / Time: 11/10/2026 08:40:45 AM

Notice Identifier: 181625

Notice Status Description: Supersede

Notice Type: Capacity Constraint

Posting Date / Time: 08/12/2026 08:33:03 AM

Prior Notice Identifier: 179766

Required Response Indicator Description: No response required

Response Date / Time: None

Subject: STT Imbalance Notice -- UPDATE

Notice Text:
Sabal Trail Transmission, LLC (STT) has limited operational flexibility to manage due pipe imbalances which result in lower than desired linepack levels. STT continues to require all delivery point operators to keep actual daily takes out of the system equal to or less than scheduled quantities regardless of their cumulative imbalance position.

Shippers are required to coordinate any imbalance payback through STT's account representative and actual payback quantities may be limited depending on system operations and conditions. If customers do not adhere to imbalance requirements stated above, STT will utilize any provision of its tariff to ensure system integrity including the issuance of customer specific or system wide OFOs.

This notice will remain in effect until further notice.

Please call your Operations Account Representative should you have any questions.


Critical Notice Description: Critical Notices

Notice Effective Date / Time: 08/12/2026 08:40:45 AM

Notice End Date / Time: 11/10/2026 08:40:45 AM

Notice Identifier: 181625

Notice Status Description: Supersede

Notice Type: Capacity Constraint

Posting Date / Time: 08/12/2026 08:33:03 AM

Prior Notice Identifier: 179766

Required Response Indicator Description: No response required

Response Date / Time: None

Subject: STT Imbalance Notice -- UPDATE

Notice Text:
Sabal Trail Transmission, LLC (STT) has limited operational flexibility to manage due pipe imbalances which result in lower than desired linepack levels. STT continues to require all delivery point operators to keep actual daily takes out of the system equal to or less than scheduled quantities regardless of their cumulative imbalance position.

Shippers are required to coordinate any imbalance payback through STT's account representative and actual payback quantities may be limited depending on system operations and conditions. If customers do not adhere to imbalance requirements stated above, STT will utilize any provision of its tariff to ensure system integrity including the issuance of customer specific or system wide OFOs.

This notice will remain in effect until further notice.

Please call your Operations Account Representative should you have any questions.