For settlement of payments, GME will determine the Market Participant’s net position
of debit or credit towards GME (net balance to be settled) on the basis of the amounts
(including VAT, where applicable) of the invoices issued and received by GME in respect
of the same invoicing period.
Payments will be made by bank transfer (“bonifico di importo rilevante”, BIR). Until
March 2012, the bank in charge of GME’s treasury services and of receiving and making
payments is “Banca Popolare di Sondrio”.
The amounts due for negotiations in the MGAS must be transferred to the following bank account:
Banca Popolare di Sondrio
ABI 05696
CAB 03211
CONTO 000007210X36
CIN E
BBAN E 05696 03211 05696 03211 000007210X36
IBAN IT58 E056 9603 2110 0000 7210 X36
SWIFT CODE POSOIT22
If GME, by its own fault, makes the payments beyond the established time limits, it will pay default interest
to creditor Market Participants; the interest rate will be equal to the monthly average of the 1 (one) month
Euribor (act/365), reduced by 0.10% (ten hundredths of percentage points).
The amounts of the invoices issued and received by GME within the 10th
working day of the month will be offset in
order to determine the net balance to be settled.