How should a PPA (Power Purchase Agreement) be reported?

How should a PPA (Power Purchase Agreement) be reported?

The PPA should be reported as a Table 2 entry, which can be actioned via the manual interface. Following this, you will need to report Table 1 'exercises' each month after settlement reporting the total volume at the average price. Upon completion of this, the 'exercise' must be linked to the Table 2 report using the LinkedTradeID field.