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At the beginning of each month, marketers will be notified that they can commence trading non-daily with non-daily ATV imbalances and daily imbalances with other daily imbalances. Trades are due three (3) days after the notification.
When engaging in trade transactions with other parties, each party must submit a completed form via email to Liberty.Noms@libertyutilities.com
Retail Choice and Broker Billing correspondence:
Assistant General Council
15 Buttrick Road
Londonderry, NH 03053