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., <br />10. A single "Reservoir Releases" sheet should show the releases made and the credit <br />attributable to each well. Data such as transit losses, reservoir share yield, etc. <br />should be shown for the current month. The accounting must be able to adjust <br />factors such as share yield and transit loss on a month-by-month basis and must not <br />simply rely on the initial beginning of season yield estimate, etc. <br />71. If there are other categories of replacement.waterused in the plan such as "Fully <br />Consumable Effluent", "Ditch Bypass Credits", "Augmentation Wells", etc., <br />each of these categories should have a single data input sheet that breaks the <br />information down to show the credit due each well as a result of the subject <br />replacement water. (In the specific case of the augmentation wells, the input volume <br />would simply reference the "Pumping Information" sheet, which is to be the sole <br />source of pump input data.) <br />12. A "Summary Information" sheet should show the depletions, associated credits <br />and net impact on the river of each well for the subject month. <br />13. The accounting should contain any other sheet necessary to show how the input <br />data are used to determine the depletions and recharge credits for each well, such <br />as AWAS/SDF program input table and output table, etc. <br />Augmentation Plan Accounting Protocol -September 9, 2004 <br />