Balancing group managers

Balancing group managers

Publication of the reconciliation price

Differences between allocation data relevant to the balancing group and the actual consumption at an exit point are referred to as reconciliation quantities, which are settled between the market area manager and network operators, among others. The reconciliation price is determined and published by the market area manager.

The reconciliation price is based on the prices for quantity differences. It is a symmetrical price that applies to both positive and negative reconciliation quantities.

Further information can be found here.


Month of use Reconciliation price (EUR/kWh)