Subchapter 2 - SCHEDULE OF RATES, CHARGES AND DEBT SERVICE ASSESSMENTS FOR THE SALE OF WATER FROM THE RARITAN BASIN SYSTEM
- Section 7:11-2.1 - General provisions
- Section 7:11-2.2 - Definitions
- Section 7:11-2.3 - General rate schedule for operations and maintenance
- Section 7:11-2.4 - Debt service assessments
- Section 7:11-2.5 - Capital Fund Component
- Section 7:11-2.6 - Source Water Protection Fund Component
- Section 7:11-2.7 - Daily allotment charge
- Section 7:11-2.8 - Equivalent sustained supply: Raritan Basin System
- Section 7:11-2.9 - Production factor
- Section 7:11-2.10 - Annual Demand Charge
- Section 7:11-2.11 - Standby service
- Section 7:11-2.12 - Standby charge
- Section 7:11-2.13 - Rate adjustment
- Section 7:11-2.14 - Procedures for rate adjustments
- Section 7:11-2.15 - Special user rates: Raritan Basin System
- Section 7:11-2.16 - Short-term user rate
- Section 7:11-2.17 - Overdraft service rate
- Section 7:11-2.18 - Annual overdraft rate
- Section 7:11-2.19 - Late payment interest charge