Notice to Members
Notice No. 367
08/30/2005
September ATOM Processing Schedule
DATE
BANKING DAY
EVENT
9/1
1
Preliminary ATOM reports and Give up Listings
9/6
3
Last day for adjustments
9/7
4
Final ATOM reports
9/8
5
CMs debited for brokerage
9/12
7
NYMEX gets confirmation of available funds in escrow account and initiates Transfer to Brokers
9/13
8
Funds are deposited to broker accounts
9/14
9
Brokers who check their morning balances will see the ATOM deposits reflected in their bank balances
     
9/15
10

Funds are wired to brokers with European based accounts



NOTE: Broker enrollments for August cycle, must be received by the Membership Department, no later than 10:00 A.M. on September 29, 2005.
Should you have any questions or require any further information, please contact exchangeinfo@nymex.com