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pdfRenewable Fuel Standard
EMTS User’s Guide
Version 5.3
Renewable Fuel Standard
EMTS User’s Guide
Version 5.3
Compliance Division
Office of Transportation and Air Quality
U.S. Environmental Protection Agency
IMPORTANT REMINDER:
Regulated parties are urged to conduct due diligence investigations and
exercise caution when conducting Renewable Identification Number (RIN)
transactions. Neither EPA nor its systems, including the EPA Moderated
Transaction System (EMTS), certify or validate RINs or make any provision for
parties who, despite good faith, transfer or receive invalid RINs. As specified
in the regulations at 40 CFR 80.1431(b)(2), invalid RINs cannot be used to
achieve compliance with the Renewable Volume Obligations of an obligated
party or exporter, regardless of the party’s good faith belief that the RINs
were valid at the time they were acquired. Additionally, the regulations at 40
CFR 80.1460(b)(2) prohibit the creation or transfer to any person of a RIN that
is invalid.
EPA-420-B-19-058
December 2019
December 2019
Table of Contents
Accessing EMTS........................................................................................................................................................................................ 1
Selecting an Organization .................................................................................................................................................................... 2
Viewing Registered Data ...................................................................................................................................................................... 3
Viewing RIN Holdings ............................................................................................................................................................................ 6
Viewing RIN Batch Details and Locking RINs .............................................................................................................................. 8
Viewing Expired RIN Holdings......................................................................................................................................................... 12
Generating RINs ..................................................................................................................................................................................... 13
Managing the Transaction Bin ......................................................................................................................................................... 18
Separating RINs ...................................................................................................................................................................................... 21
Retiring RINs ........................................................................................................................................................................................... 27
Trading RINs............................................................................................................................................................................................ 33
Managing the Blocked List ................................................................................................................................................................. 45
Viewing Historic RIN Holdings ........................................................................................................................................................ 48
Viewing Web Submissions ................................................................................................................................................................. 50
Submitting XML Files ........................................................................................................................................................................... 51
Converting Excel Files to XML .......................................................................................................................................................... 51
Processing by EMTS ............................................................................................................................................................................. 57
Receiving Notifications ....................................................................................................................................................................... 59
Receiving Documents .......................................................................................................................................................................... 62
On-Demand Reports ............................................................................................................................................................................. 66
Quarterly Reports.................................................................................................................................................................................. 66
Annual Reports ....................................................................................................................................................................................... 76
Agent Reports ......................................................................................................................................................................................... 77
EMTS Technical Support .................................................................................................................................................................... 81
December 2019
Accessing EMTS
To support the Renewable Fuel Standard (RFS2) program, the EPA Moderated Transaction System (EMTS)
has been developed to screen the generation and transfer of RINs between renewable fuel producers,
importers, exporters, obligated parties, and non-obligated RIN owners.
Access to EMTS requires registration with both the Central Data Exchange (CDX) and OTAQ Fuels. For
instructions on setting up these accounts, see the “Getting Started – MyCDX” and “To Add DC FUELS Program”
documents under Registration on the EMTS Documents website. You can access the EMTS website only
through the CDX. To do so, open your Internet browser, either Internet Explorer 7.0 and higher or Firefox
2.0 and higher (no other browsers are currently supported), and enter the following URL:
https://cdx.epa.gov/SSL/CDX/login.asp. Log in using your MyCDX user name and password. From your
account profile, click the "OTAQ EMTS Application" link under Available Account Profiles (see Figure 1). If
you do not see the "OTAQ EMTS Application" link, refer to "Getting Started - MyCDX" on the EMTS Documents
website for further instructions.
Figure 1: OTAQ EMTS Application Link
Clicking the link will take you to the EMTS Home screen (see Figure 2).
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Figure 2: EMTS Home Screen
Selecting an Organization
Upon accessing the EMTS Home screen, you will need to select an organization to represent if you are
affiliated with two or more organizations. To do so, click one of the organizations in the Select an
Organization popup (see Figure 3). You must select an organization to represent before you can perform any
actions on the EMTS website.
Figure 3: Select an Organization Popup
To confirm that you are now representing the selected organization, verify that the statement in the upper
right corner of the screen -- "Logged in as:" -- contains your CDX user ID followed by the name of the
appropriate organization. Note that you may change the organization you are representing by clicking on
the Organizations tab of the accordion on the right side of select screens (see Figure 4).
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Figure 4: Organizations Accordion Tab
The Organizations tab will appear in this accordion on the following screens:
●
●
●
●
●
●
●
●
●
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Home screen;
View Blocked List;
View Node Submissions;
View Web Submissions;
Review Trades;
Manage Subscriptions;
View Reports;
Compliance Data;
Manage RIN Holdings; and
Transaction Bin.
After you open the Organizations tab of the accordion, click "Select a Different Organization." In the Select
an Organization popup, click the name of the organization you wish to represent. Upon doing so, the
organization name in the upper right corner of the screen should reflect the new organization you selected.
Once you have selected an organization, you are ready to begin using the EMTS website functionality.
Viewing Registered Data
To view the data for which your organization is registered in the OTAQ Registration system, hover over the
Organizations menu options, and select View Organization Affiliations. On the View Organization Affiliations
screen, a grid displays a list of the organizations you have been associated with in OTAQReg: Fuels Programs
Registration application. A Search feature is provided that allows you to search your affiliated organizations
by Organization Identifier, Organization Name, User Role, or Agent. For each organization, you may use the
"I want to..." drop-down menu to select an organization or to view the registered data for that organization.
If you choose the Select Organization option, the organization name in the upper right corner of the screen
should change to reflect the organization that you identified, and the activities and reports on the EMTS
website will be limited to that organization. The View Registered Data screen displays your organization’s
registered business activities, users and their roles, and facilities. From this screen, you can view the details
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for the organization’s registered facilities. Choosing the View Registered Data option will take you to the
View Registered Data screen for the selected organization (see Figure 5).
Figure 5: View Registered Data
The View Facility Data screen displays the Facility, Identifier, Address, Total Capacity – Baseline Volume
Total Capacity – Actual Peak, and Registered Co-products (see Figure 6).
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Figure 6: View Facility Data
To view the pathways associated with your facility click “View Pathways”. Users can search for a specific
pathway The View Registered Pathways screen displays the Facility, Fuel(D Code), Fuel Category, Process,
Feedstock, QAP Provider, QAP Service Type, and if the Pathway is suspended (see Figure 7).
Figure 7: View Registered Pathways
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To view the Pathway Details select the View Pathway Details from the drop-down and click “Go”. Users can
view the QAP Provider, QAP Service Type, Coverage Start Date, Coverage End Date, Fuel (D Code), Fuel
Category Code, Process Code, Feedstock Code, Activated by EPA, If the Pathway is Suspended, and if it was
suspended the Suspend Date (see Figure 8).
Figure 8: View Pathway Details
You can only view your facility and pathway data in EMTS; you cannot make edits to the data in EMTS. You
may only edit your registered data through OTAQReg: Fuels Programs Registration. The registered data in
EMTS is updated nightly from OTAQReg: Fuels Programs Registration. If you make changes to your
registration in OTAQReg, the changes will be reflected in EMTS the morning after they have been activated
by EPA.
Viewing RIN Holdings
To view your RIN holdings, hover over RINs on the main menu of the EMTS website and select View RIN
Holdings (Current). The Manage RIN Holdings screen is organization-specific (indicated by the organization
name above the RIN Holdings grid, circled in Figure 9 below). To switch the organization for which you are
viewing RIN holdings, open the Organizations tab of the accordion, and click "Select a Different Organization."
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Figure 9: Manage RIN Holdings Screen
If you view the Manage RIN Holdings screen before your organization has completed any generate or buy
transactions, the RIN Holdings grid will be empty (see Figure 9). At this point, you can generate or buy RINs
(the only valid transaction types when there are no RIN Holdings) either by clicking the Generate or Buy
button or by selecting Generate or Buy in the "I want to..." drop-down and clicking Go.
Once you have completed a generate transaction or successfully purchased RINs from a trading partner, the
RIN Holdings grid will now display your RINs (see Figure 10 for an example). Each row in the RIN Holdings
grid represents a unique combination of Fuel (D Code), RIN Year, Assignment, and QAP Service Type. For
each row, the sum of RINs in the Available, Pending, Reserved, and Locked columns should equal the number
of RINs in the Total column. The RINs in the Available column are RINs that are available for you to use in
transactions. The RINs in the Pending column are RINs that are involved in a pending sell transaction that
you have initiated (see the Trading RINs section). The RINs in the Reserved column are RINs that are
associated with transactions in the Transaction Bin (see the Managing the Transaction Bin section). Finally,
the RINs in the Locked column are RINs that have been locked either by your organization or by the EPA.
Various sorting and filtering capabilities allow you work with this RIN data. For example, you can arrange
data in order to compare the total number of RINs EMTS has processed in your account to your own off-line
transaction records. These data are also available for download in a variety of formats.
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Figure 10: Populated RIN Holdings Grid Example
The final column in the RIN Holdings grid is the "I want to..." column. The drop-down for each row contains
the options View Details, Generate, Buy, Separate, Separate (Upward delegation), Sell, Retire (Obligation),
and Retire (Other). The options that are not applicable to the corresponding row of RINs will be grayed out.
For example, Retire (Obligation) is only applicable for separated RINs being retired by Non-renewable Fuel
Importers, Renewable Fuel Exporters, and Refiners, so in all other instances, the option will be grayed out.
If you select a transaction in the "I want to..." column for a row of RINs, the Fuel (D Code), RIN Year,
Assignment, and QAP Service Type fields in the resulting transaction wizard will be pre-populated with the
data from that row.
Viewing RIN Batch Details and Locking RINs
To view all of the RIN batches that make up a row in the RIN Holdings grid, select View Details in the "I want
to..." column and click Go. This opens the View RIN Holding Details screen (see Figure 11).
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Figure 11: View RIN Holding Details Screen
The View RIN Holding Details screen includes a Search box that allows you to search for RIN batches that
satisfy a specific set of criteria. The RIN Holding Details grid displays the originating source information
(originating organization, facility, and batch number) for each batch of RINs with the Fuel (D Code), RIN Year,
QAP Service Type and Assignment that you selected on the RIN Holdings screen. It also includes the status
of each RIN batch. For pending and reserved RINs, the options in the "I want to..." drop-down are View Details
and Transaction. Selecting Transaction opens the screen that details the last transaction that acted on that
RIN batch. Selecting View Details opens the RIN Batch Details screen, where you will have access to
information such as fuel category code, equivalence value, originating organization, and facility. From the
Batch Details screen, you may also select "Transaction" next to any batch of RINs to access the same
aforementioned screen. For available RINs, the "I want to..." drop-down options are View Details,
Transaction, and Lock RINs. Selecting Lock RINs opens the Lock RINs Confirmation screen (see Figure 12).
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Figure 12: Lock RINs Confirmation Screen
The screen contains the details of the RINs that you are about to lock along with a required Comment field.
After you enter a comment and click Confirm, you will return to the View RIN Holding Details screen. For the
RIN batch that you locked, the Status field will display Locked, and the Locked By field will include the name
and organization of the individual that locked the RIN batch. Locked RINs will not be available for any
transactions.
The EPA has the capability to lock any organization's available or locked RIN batches. If the EPA locks one of
your organization's RIN batches, the Status field for that row will display Locked, and the Locked By field will
display EPA. RINs locked by the EPA cannot be used in transactions and cannot be unlocked by your
organization.
If you wish to unlock a batch of RINs locked by your organization and not locked by the EPA, select Unlock
RINs in the "I want to..." drop-down. Like the Lock RINs Confirmation screen, the Unlock RINs Confirmation
screen requires a comment. Once you confirm the unlock action, the RINs will have a status of Available, and
you will be able to use them to complete transactions. Note that if the EPA locks a batch of RINs that your
organization had already locked, the EPA will need to unlock the RINs before you will have the ability to
unlock the RIN batch.
To lock or unlock multiple batches of RINS, hover over RINs on the main menu and click Lock RIN Batches
(see Figure 13).
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Figure 13: Select Lock RIN Batches
The Lock RIN Batches screen allows you to lock batches of RINs by organization, facility, RIN batch or QAP
Provider. RIN Year, under Basic Filter Options is a required search field. In the example below, the
organization was selected (RAP Inc. Gen Biodiesel) as well as the facility (Valley Medico Plant 12) (see
Figure 14). By clicking the search button, all batches that originated at the Waynesboro facility will appear
in the grid at the bottom of the screen (see Figure 15).
Figure 14: Lock RIN Batches
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Figure 15: Lock RIN Batches
In the status column, you can see that the RINs in the grid are “Available.” To lock all of these RIN batches
at one time, click the Lock All button (see Figure 15).
Viewing Expired RIN Holdings
To view your Expired RIN Holdings, hover over RINs on the main menu of the EMTS and click View Expired
RIN Holdings (see Figure 16):
Figure 16: Select View Expired RIN Holdings
The Expired RIN Holdings screen is organization-specific (indicated by the organization name at the top of
the screen). To switch the organization for which you are viewing expired RIN holdings, open the
Organizations tab of the accordion on the right side of the screen, and click "Select a Different Organization."
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If you view the RIN Holdings screen before your organization has retired any RINs, the RIN Holdings grid will
contain the message “Nothing found to display.” To filter on Fuel, RIN Year, Assignment Code, and/or QAP
Service Type select the filter options and click Filter (see Figure 17).
Figure 17: View Expired RIN Holdings
Note: A RIN is valid for compliance during the year that it was generated and the following calendar year.
The time period for retiring a RIN for a particular year extends two months into the following year. The
maximum amount of time a RIN can be valid in EMTS is two years and two months.
Generating RINs
From the Manage RIN Holdings screen, you have the option to generate RINs if your organization is a
Domestic Renewable Fuel Producer, a Renewable Fuel Importer, or a bonded Foreign Renewable Fuel
Producer. There are two different kinds of RIN generation, generating as an importer and generating as a
producer. To generate RINs as a producer, either click the Generate (Producer) button or select Generate as
a Producer in the "I want to..." drop-down and click Go. This opens the first screen (Report Fuel) of the threestep Generate Wizard (see Figure 18).
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Figure 18: Generate Wizard, Report Fuel Screen (Step 1)
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The green boxes on the right side of the screen indicate which of the three generate steps you are completing.
The following information is required to generate RINs:
● Type of fuel produced;
● Code that specifies the process used to create the renewable fuel;
● Date the renewable fuel was produced;
● Renewable fuel type as defined in Part M Section 80.1426;
● QAP Service Type for the RINs;
● Volume of renewable fuel produced;
● Volume of denaturant added to the renewable fuel (ethanol only);
● Number of RINs associated with the renewable fuel;
● Facility ID;
● Batch number;
● Codes for all feedstocks used to produce the renewable fuel;
● Quantity of all feedstocks used to produce the renewable fuel;
● Units of measure for all feedstock quantities;
● Affirmation that each feedstock meets the definition of renewable biomass; and
● Codes for all co-products produced along with the renewable fuel, if there are any.
All required fields are marked with a red asterisk. In the dropdown fields, the invalid options are grayed out.
For example, in Figure 19, the organization can produce only Advanced Biofuel, Renewable Fuel, and
Cellulosic Diesel, so the remaining Fuel (D Code) options are disabled.
You are not required to report an equivalence value. EMTS will automatically calculate the equivalence value
based on the type of fuel for which you are generating RINs. The number of RINs you are allowed to generate
for a specific fuel type will be determined by the volume of the batch of fuel multiplied by the equivalence
value. EMTS checks that the RINs you generate do not exceed your fuel volume by the equivalence value
multiplier. If you report an equivalence value, EMTS will re-calculate and check this value.
In the panel for Remedial Action, the “Is this an authorized Remedial Action” checkbox is used to indicate
that you are submitting a transaction for a “missed RIN generation” that has been authorized by EPA. The
following fields must match the EPA authorization in the system to generate a “missed” batch of RINs:
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●
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●
●
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Production Date;
RIN Quantity;
D Code;
QAP status;
Batch Number;
Originating Organization;
Originating Facility; and
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●
Import Facility (if applicable).Figure 19: Drop-down Example for Generate Wizard
Once you have completed all of the required fields, click Report Feedstocks at the bottom of the screen to
move to the second screen of the Generate Wizard. If all of the information on the Report Fuel screen is valid,
you will be redirected to the Report Feedstocks screen. Otherwise, you will remain on the Report Fuel screen,
and you will see a list of QA Check Errors at the top of the screen (see Figure 20). Once you correct the errors,
you will be able to move to the Report Feedstocks screen.
Figure 20: QA Check Errors
On the Report Feedstocks screen, you must enter all of the feedstocks used to generate the fuel specified on
the Report Fuel screen. To add a feedstock, you must populate the three required fields, check the checkbox
for renewable biomass (when generating RINs, all feedstock(s) must meet the definition of 'renewable
biomass'), and then click the Add button. In the Feedstock dropdown, the feedstocks that your organization
is not registered for are grayed out. After you have clicked the Add button, the feedstock information will be
displayed in the grid (see Figure 21).
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Figure 21: Generate Wizard – Report Feedstocks Screen (Step 2)
Once you have added all of the feedstocks used to generate the RINs specified on the Report Fuel screen, click
the Report Co-products button at the bottom of the screen. The Report Co-products screen, which is Step 3
of the Generate Wizard, behaves similarly to the Report Feedstocks screen. You must add any co-products
produced by your organization's fuel generation process. If there are no co-products to report, leave all fields
blank. To complete the Generate Wizard, click the Add to Transaction Bin button. Note: In addition, parties
must complete the RFS0701: RFS2 Renewable Fuel Producer Co-products Report and submit it quarterly.
If your organization is a Renewable Fuel Importer, you have the option to generate RINs as an importer. The
Generate Wizard for Importers is similar to the Generate Wizard for Renewable Fuel Producers, except when
you identify the production source on the Report Fuel screen, you must provide the originating organization
and facility (the Importer’s organization and facility) and the generating organization and facility (the
Foreign Producer’s organization and facility). The Foreign Fuel Producer Facility ID that you enter must be
registered for the Process, Fuel (D Code), Fuel Category, Feedstock, and QAP Service Type that you enter,
otherwise QA checks will prohibit RIN generation.
Foreign Fuel Producers that are identified by importers as the generating organization in a generate
transaction can view the details of the transaction by selecting View Importer Transactions under the
Submissions menu. The View Transactions screen (see Figure 22) includes an overview of all of the generate
transactions in which an importer has identified that organization as the generating organization. Selecting
"View Details" for a transaction displays the details of the transaction.
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Figure 22: View Importer Transactions
Foreign Fuel Producers can also subscribe to the Foreign Producer RIN Generation notification. This
notification is sent to the Foreign Fuel Producer every time an importer identifies their organization in a
generate transaction. For information on how to subscribe to notifications, see the Receiving Notifications
section of this document.
Managing the Transaction Bin
After you click Add to Transaction Bin, you are taken to the Transaction Bin, where transactions will be
stored temporarily until you are ready for EMTS to process them (see Figure 23).
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Figure 23: Transaction Bin
The Transaction Bin is organization-specific, so transactions added to the Transaction Bin by any of your
organization's submitters will be displayed on the screen. To switch the organization for which the
Transaction Bin is displayed, click Select a Different Organization. There is no restriction on the number of
transactions that you can add to the Transaction Bin, provided they are originated on behalf of a single
organization and that organization has sufficient RINs in its RIN Holding Account.
For each transaction in the Transaction Bin, you have the option to View Details, complete another
transaction of that transaction type (i.e., Generate RINs), or Remove the transaction (see Figure 24).
Figure 24: Transaction Bin Options
If you select View Details, you will be taken to a screen that displays all of the details of the transaction. This
screen can be used to verify the contents of the transaction before submitting it. If you select Generate RINs,
you will be taken to the first screen of the Generate Wizard so that you can complete an additional generate
transaction before you submit the transactions from the Transaction Bin. You cannot edit a transaction in
the Transaction Bin; you must remove it and then create a new transaction. If you select Remove, you will be
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taken to a screen that contains the transaction details. At the bottom of the screen, you will be able to click
a Confirm Remove button. This opens the Transaction Bin screen and the removed transaction is no longer
available.
Along with accessing the Transaction Bin at the end of each wizard, you can navigate to the Transaction Bin
from multiple screens of the EMTS website using the Transaction Bin accordion tab on the right side of the
screen (see Figure 25). The tab contains the number of un-submitted transactions and a link to the
Transaction Bin.
Figure 25: Accessing the Transaction Bin
Clicking the View Transaction Bin link opens the Transaction Bin screen. Note that the RINs associated with
each separate, sell, and retire transaction in the Transaction Bin are Reserved rather than Available (they
show up in the Reserved column of the View RIN Holdings grid). As a result, these RINs may not be used for
any other transactions. If a separate, sell, or retire transaction is removed from the Transaction Bin, the
associated RINs return to an Available status. RINs associated with a generate transaction do not show up
in the View RIN Holdings grid until the transaction is submitted from the Transaction Bin, and RINs
associated with a buy transaction do not show up in the View RIN Holdings grid until the transaction is
submitted from the Transaction Bin and accepted by the trading partner.
To complete a transaction, you must submit it from the Transaction Bin by clicking the Submit button at the
bottom of the screen. If you have multiple transactions in the Transaction Bin, you must submit all of the
transactions at once. If you do not wish to submit one of the transactions in the bin, you can remove that
transaction and submit the remaining transactions. In addition, if you have multiple transactions acting on
different RIN years, you need to select a RIN year before submitting your transactions from your Transaction
Bin. For example, if you have multiple sell transactions in your Transaction Bin that will act on RIN batches
for years 2011 or 2012, you must submit each year-specific batch separately. You may not submit all
transactions across multiple years as part of a single transaction bin submission.
Note: Submitting a transaction that is acting upon a large number of RIN batches may take several minutes,
causing your browser to timeout. Please be patient and do not submit another transaction until the
transaction has completed and your RIN Holdings and Transaction Bin reflect the results of that transaction.
After you click Submit, you will be taken to a Confirm and Submit screen, which displays an overview of the
transactions you are about to submit. You must click the Confirm Submit button circled in Figure 26 to
complete the submission.
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Figure 26: Confirm and Submit Screen
Once you confirm the submission, the View RIN Holdings (Current) screen will reflect the results of the
submitted transactions, and the Transaction Bin will be empty.
Note: Unconfirmed transactions in the Transaction Bin expire after five business days. At that point, the
transactions will be removed from the Transaction Bin, and all reserved RINs associated with expired
separate, sell, and retire transactions will return to the “Available” state. For this reason, it is important that
you complete your transactions as soon as possible to avoid loss of any transaction data that you have been
working on during multiple web sessions.
Separating RINs
Assigned RINs may be separated from the Manage RIN Holdings screen (see Figure 27). To separate RINs in
your RIN Holdings, select Separate in the "I want to..." drop-down, and click Go. Doing so will take you to the
first screen of the Separate Wizard (see Figure 28).
Figure 27: Separate Option for Available Assigned RINs
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Figure 28: Separate Wizard – Identify RINs (Step 1)
The green boxes on the right side of the screen indicate which of the two steps of the Separate Wizard you
are completing. The following information is required to separate RINs:
● Renewable fuel code (D code);
● Year the RINs being separated were generated;
● QAP Service Type Code;
● Number of RINs being separated;
● Volume of fuel associated with the RINs being separated;
● Date the RINs were separated; and
● Code which specifies the reason for the separate transaction.
All required fields are marked with a red asterisk. The Fuel (D Code), RIN Year, and QAP Service Type fields
are automatically populated with the information from the row of RINs in the RIN Holdings grid that you
selected to separate. In the Reason for Separation drop-down, only the reasons that are applicable to your
organization's registered business activities are available (the remaining options are disabled). The Separate
Wizard also contains a document grid; you can use this grid to specify the name and identifier of one or more
documents that support the separate transaction. Note that the document itself cannot be uploaded. To add
document information to the grid, fill in the Document Type and Document Identification fields, and click
Add (see Figure 29).
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Figure 29: Supporting Document Information
When you complete the Identify RINs screen, click Advanced Options at the bottom of the screen to navigate
to the second step of the Separate Wizard (see Figure 27). On the Advanced RIN Selection screen, you have
the option to specify a batch of RINs to separate. If you do not wish to make any selections on this screen
(this step is optional), click Add to Transaction Bin at the bottom of the screen to continue. In this situation,
EMTS will automatically separate RINs using the First-in, First-out (FIFO) accounting method (i.e., the oldest
RINs, based on production date, are used first, for the RIN Year, Fuel Code, Fuel Category and QAP Service
Type chosen). Alternatively, you may use this screen to identify a specific originating organization, or
organization and facility, or organization, facility, and batch number. To specify an organization, click the
originating organization's name, and click Select (see Figure 30).
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Figure 30: Optional Advanced RIN Selection Screen
After you click Select, the Selected Organization field and the Organization accordion tab will contain the
name of the organization you selected (see Figure 31).
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Figure 31: Selected Organization Example
To select a Facility, click the Facility tab of the Advanced RIN Selection accordion, and follow the same steps.
Repeat the steps to identify a particular batch from a specified organization and facility. Once you have
specified the originating source information, click Add to Transaction Bin to continue. After you submit the
separate transaction from the Transaction Bin, your RIN Holdings grid will reflect the results of the
separation.
From your RIN Holding Account, you may also separate assigned RINs on behalf of a Small Blender by
selecting the Separate (Upward delegation) option in the "I want to..." drop-down (see Figure 32). Doing so
will take you to the first step of the Separate Wizard for upward delegation (see Figure 33).
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Figure 32: Separate (Upward delegation) Option for Available Assigned RINs
Figure 33: Separate Wizard – Identify RINs (Step 1)
In the first step of the Separate Wizard for upward delegation, the Reason for Separation is pre-populated
with "Upstream Delegation for Blending," and the screen includes fields for the blender name and identifier.
You must provide this information in order to separate for upward delegation. Apart from the Identify RINs
section of Step 1, the Separate Wizard for upward delegation is identical to the Separate Wizard used for all
other reasons for separation.
Small Blenders that are identified in separate transactions for upward delegation can view the details of
those transactions by selecting View Blender Transactions under the View Transactions menu option. The
View Transactions screen (see Figure 34) includes an overview of all of the separate transactions in which
that organization has been identified as the blender. Selecting "View Details" for a transaction displays the
details of the transaction.
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Figure 34: View Blender Transactions
Small Blenders can also subscribe to the Small Blender RIN Separation notification. This notification is sent
to the Small Blender every time their organization is identified in a separate transaction for upward
delegation. For information on how to subscribe to notifications, see the Receiving Notifications section of
this document.
Retiring RINs
Depending on your organization's business activities you may choose to retire RINs for compliance or for
other reasons from your RIN Holding Account. If your organization is an obligated party (a Non-renewable
Fuel Importer, a Refiner, or a Renewable Fuel Exporter) your organization may retire separated RINs for
obligation (Retire (Obligation)) and assigned or separated RINs for other reasons (Retire (Other)). If your
organization is registered as more than one type of obligated party, you must choose from the drop-down
the compliance level you would like to use (see Figure 35). For organizations with any other business
activities (i.e., non-obligated parties), the only enabled retire option in your RIN Holdings grid will be Retire
(Other) (see Figure 36).
Figure 35: Retire Options for a Refiner (Obligated Party) with Separated RINs
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Figure 36: Retire Options for a Non-Obligated Party with Separated RINs
For a row of RINs in your RIN Holdings, select the Retire (Other) option in the "I want to..." drop-down, and
click Go. Doing so will take you to the first step of the Retire Wizard (see Figure 37).
Figure 37: Retire (Other) Wizard – Identify RINs (Step 1)
The green boxes on the right side of the screen indicate which of the two steps of the Retire Wizard you are
completing. The following information is required to retire RINs for reasons other than compliance:
● Renewable fuel code (D code);
● Year the RINs being retired were generated;
● Assignment of the RINs;
● QAP service type code;
● Number of RINs being retired;
● Date the RINs were retired; and
● Reason for the retire transaction.
All required fields are marked with a red asterisk. The Fuel (D Code), RIN Year, Assignment, and QAP Service
Type fields are automatically populated with the information from the row of RINs in the RIN Holdings grid
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that you selected to retire. In the Reason for Retire field, only the reasons that are applicable to your
organization's registered business activities are available (the remaining options are disabled). The Retire
Wizard also contains a document grid you can use to specify the name and identifier of one or more
documents that support the retire transaction. Note that the document itself cannot be uploaded. To add
document information to the grid, fill in the Document Type and Document Identification fields, and click
Add. Doing so will add a row to the documents grid (see the Separating RINs section for more details).
When you complete the Identify RINs screen, click Advanced RIN Selection at the bottom of the screen to
navigate to the second screen of the Retire Wizard. On the Advanced RIN Selection screen, you have the
option of specifying the batch of RINs that you wish to retire. If you do not wish to make any selections on
this screen, click Add to Transaction Bin at the bottom of the screen to continue. In this situation, EMTS will
automatically retire the RINs in your RIN Holding Account using the FIFO accounting method. Alternatively,
you may use this screen to identify a specific originating organization, or organization and facility, or
organization, facility, and batch number. See the Separating RINs section for details on how to use the
Advanced RIN Selection screen to specify originating source information. Once you have specified the
originating source information, click Add to Transaction Bin to continue. After you submit the retire
transaction from the Transaction Bin, the RINs will be removed from your RIN Holdings.
Obligated parties can retire separated RINs for obligation by selecting the Retire (Obligation) option in the
"I want to..." drop-down on the Mange RIN Holdings screen. The following information is required to retire
RINS for compliance:
● Renewable fuel code (D code);
● Year the RINs being retired were generated;
● QAP service type code;
● Number of RINs being retired; and
● Date the RINs were retired.
All required fields are marked with a red asterisk. The Fuel (D Code), RIN Year, and QAP Service Type fields
are automatically populated with the information from the row of RINs in the RIN Holdings grid that you
selected to retire. Additionally, the Assignment, Reason for Retire, Compliance Year, and Compliance Level
are automatically hard-coded based on your selections from the RIN Holdings grid although Compliance Year
is editable for Renewable Fuel Exporters (see Figure 38).
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Figure 38: Retire as Exporter – Identify RINs (Obligation)
To view the total number of RINs your organization has retired for obligation, select RFS2 Compliance under
the Reports main menu option. On the View Aggregate RINs Retired for Obligation screen, the retired RIN
quantities are aggregated by Fuel Code, RIN Year, Compliance Year, and Compliance Level. For Refiners with
a “Refinery by Refinery” compliance level, the RIN quantities are also aggregated by Facility. For
organizations that have not retired any RINs for obligation, the grid on this screen will be empty. You can
also view your retired RINs on the RIN Holdings (History) screen under the RINs menu (see Figure 39).
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Figure 39: View RIN Holdings History
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Trading RINs
You can initiate a trade from your RIN Holdings screen. To initiate a sell transaction, you must have RINs in
your RIN Holdings. The following information is required to initiate a trade through a sell transaction:
● Renewable fuel code;
● Year in which the RINs that were sold were generated;
● Assignment of the RINs;
● QAP service type code;
● Number of RINs that were sold;
● Volume of renewable fuel sold with the RINs (for assigned RINs only);
● Identifier of the organization to which you are selling RINs;
● Name of the organization to which you are selling RINs;
● Date on which the trade occurred as recorded on the Product Transfer Document (PTD);
● Price per RIN or the price per gallon of renewable fuel that was agreed upon by both parties (price
must be rounded to two decimal places)*; and
● Reason the RINs have been sold+.
*
For transactions completed on or after January 1, 2020, if the transaction contains Separated RINs
AND the Reason Code is either “Spot” or “Term Contract,” the Price Element must use “Per RIN”
units and the price cannot be $0.00, and the price must match between buyers and sellers.
+
The reason "Standard Trade" must not be reported for a sell transaction if Transfer Date is on or after
01/01/2020 and the RIN Assignment Code is Separated.
The reason "Spot", "Term Contract", or "Consignment" must not be reported for a sell transaction if the
Transfer Date is prior to 01/01/2020 or the RIN Assignment Code is Assigned.
o
o
A spot is a transaction with a fixed price, fixed quantity, and single delivery.
A term transaction would be any transaction where at least one of the above is untrue.
For a row of RIN data in your RIN Holdings grid, select Sell in the "I want to..." drop-down, and click Go. Doing
so will take you to the first screen of the Sell Wizard (see Figure 40).
Figure 40: Sell RINs – Identify RINs Screen (Step 1)
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The green boxes on the right side of the screen indicate which of the four steps of the Sell Wizard you are
completing. All required fields are marked with a red asterisk. The Fuel (D Code), RIN Year, Assignment, and
QAP Service Type fields are automatically populated with the information from the row of RINs in the RIN
Holdings grid that you selected to sell. Once you complete the information on this screen, click Select Trading
Partner to move to the next screen. On the Select Trading Partner screen, you must identify a trading partner
from a list of organizations that satisfy the search criteria. You can search for an organization by Organization
Name or Organization ID. In Figure 41, the organization names were filtered on the word "Better," and Better
Fuel Corporation was selected from the options. The trading partner organization must have an enabled
business activity that allows it to buy RINs.
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Figure 41: Sell RINs – Select Trading Partner
When you have selected your trading partner, click the Transaction Details button to move to the next screen.
On the Sell RINs – Transaction Details and Documents screen, you must enter the Transfer Date, Price Paid
(either price per RIN or price per gallon), and Sell Reason. The value entered for Price Paid must have exactly
two digits after the decimal place. Note that you may not enter both price per RIN and price per gallon.
You may also enter a Matching Transaction Identifier. This element allows users to accept specific buy/sell
transactions in the case of several similar transactions. It is the unique transaction identifier assigned by
EMTS to an initiated trade. When accepting a trade, users can include this element in the trade matching
criteria (along with the other trade matching criteria currently in effect). If this element is reported, EMTS
will attempt to locate a matching transaction based on the MatchedTransactionIdentifier and the other
matching criteria provided. If a match is not found, then the transaction will fail. If this element is not
reported, then it will not be used in the trade matching (but all other required matching elements will still
apply).
You can also provide a Product Transfer Document (PTD) number, Bill of Lading, Invoice, and other
additional information. The Transaction Details and Documents screen contains a document grid you can
use to specify the name and identifier of one or more documents that support the sell transaction. Note that
the document itself cannot be uploaded. To add document information to the grid, fill in the Document Type
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and Document Identification fields, and click Add (see the Separating RINs section for more details). When
you have completed this screen, click Advanced RIN Selection to move to the final screen of the Sell Wizard.
On the Advanced RIN Selection screen, you have the option of specifying the batch of RINs that you wish to
sell. If you do not wish to specify originating source information, click Add to Transaction Bin at the bottom
of the screen to continue. In this situation, EMTS will automatically sell the RINs in your RIN Holding Account
using the FIFO accounting method. Alternatively, you may use this screen to identify a specific originating
organization, or organization and facility, or organization, facility, and batch number. See the Separating
RINs section for details on how to use the Advanced RIN Selection screen to specify originating source
information. Once you have specified the originating source information, click Add to Transaction Bin to
continue. After you submit the sell transaction from the Transaction Bin, the transaction will be in a pending
state, and the RINs associated with the sale will be in the Pending column of the RIN Holdings grid (see Figure
42). The RINs will remain in the Pending column until the trading partner accepts the sell transaction.
Figure 42: Pending RINs in RIN Holdings Grid
The following information is required to initiate a buy transaction:
● Renewable fuel code;
● Year in which the RINs that were bought were generated;
● Assignment of the RINs;
● QAP service type code;
● Number of RINs that were bought;
● Volume of renewable fuel bought with the RINs (for assigned RINs only);
● Identifier of the organization that has sold the RINs;
● Name of the organization that has sold the RINs;
● Date on which the trade occurred as recorded on the PTD;
● Price per RIN or the price per gallon of renewable fuel that was agreed upon by both parties. Price
must be recorded to two decimal places*; and
● Reason the RINs have been bought+.
*
For transactions completed on or after January 1, 2020, if the transaction contains Separated RINs
AND the Reason Code is either “Spot” or “Term Contract,” the Price Element must use “Per RIN”
units and the price cannot be $0.00, and the price must match between buyers and sellers.
+
The reason "Standard Trade" must not be reported for a buy transaction if Transfer Date is on or after
01/01/2020 and the RIN Assignment Code is Separated.
The reason "Spot", "Term Contract", or "Consignment" must not be reported for a buy transaction if the
Transfer Date is prior to 01/01/2020 or the RIN Assignment Code is Assigned.
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o
o
A spot is a transaction with a fixed price, fixed quantity, and single delivery.
A term transaction would be any transaction where at least one of the above is untrue.
To initiate a buy transaction, go to the Manage RIN Holdings screen, and either click the Buy button below
the RIN Holdings grid or select Buy in the "I want to..." drop-down for a row in the RIN Holdings and click Go.
If you select Buy for an existing row in the RIN Holdings grid, the Fuel (D Code), RIN Year, Assignment, and
QAP Service Type in the Buy Wizard will be pre-populated with information from that row.
The green boxes on the right side of the screen indicate which of the three steps you are completing. All
fields marked with a red asterisk are required. On the Identify RINs screen, you must provide the Fuel (D
Code), RIN Year, Assignment, and Quantity of RINs.
You may also enter a Matching Transaction Identifier. This element allows users to accept specific buy/sell
transactions in the case of several similar transactions. It is the unique transaction identifier assigned by
EMTS to an initiated trade. When accepting a trade, users can include this element in the trade matching
criteria (along with the other trade matching criteria currently in effect). If this element is reported, EMTS
will attempt to locate a matching transaction based on the MatchedTransactionIdentifier and the other
matching criteria provided. If a match is not found, then the transaction will fail. If this element is not
reported, then it will not be used in the trade matching (but all other required matching elements will still
apply).
You also have the option of using the Advanced Options fields to specify originating source information for
the RINs that you wish to buy. To access the Advanced Options fields, click the Advanced Options tab circled
in Figure 43.
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Figure 43: Buy RINs – Identify RINs Screen (Step 1)
Once you click this tab, you will be able to access the Advanced Options fields (see Figure 44).
Figure 44: Buy RINs – Advanced Options
To specify the originating source for a buy transaction, you will need to know the Generating Organization
Identifier, the Generating Facility Identifier, and the Batch Number (unlike the Sell Wizard where you have
options available to you). Once you complete the Identify RINs screen of the Buy Wizard, click Select Trading
Partner. The Select Trading Partner and the Transaction Details and Documents screens of the Buy Wizard
have the same behavior as the corresponding screens in the Sell Wizard. For buy transactions, the trading
partner organization must have an enabled business activity that allows it to sell RINs. From the Transaction
Details and Documents screen, click Add to Transaction Bin. Submit the transaction from the Transaction
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Bin to complete the buy transaction. At this point, the transaction will be in a pending state, but the transfer
of RINs will not be reflected in your RIN Holdings grid until the trading partner accepts the buy transaction.
To view the pending transaction(s) that your organization has initiated or received (as the result of another
organization initiating a transaction with your organization as the trading partner), hover over Trades on
the main menu and select Review Trades. The Review Trades screen is organization-specific (see tabs in
Figure 45), so to switch the organization for which the screen is displayed, open the Organizations tab of the
accordion on the right side of the screen, and click Select a Different Organization.
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Figure 45: Review RFS2 Trades Screen
The Review Trades screen includes a number of filter options that you can use to search for specific initiated
or received buy or sell transactions. The labels on the Pending Transactions tabs include the number of
transactions within each tab. In Figure 46, the organization has two Pending Initiated Transactions and zero
Pending Received Transactions. In the Review Trades accordion, only one tab can be open at a time, so to
open the Pending Received Transactions tab of the accordion, you would click Pending Received
Transactions. As a result, the Pending Initiated Transactions tab would close.
For Pending Initiated Transactions, you can select View Details in the "I want to..." drop-down to view the
details of the transaction, or you can select Cancel Offer to cancel the trade (see Figure 43). If you choose
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Cancel, you will be prompted to confirm the cancellation, and the transaction will no longer appear in your
Pending Initiated Transactions (or your trading partner's Pending Received Transactions).
Figure 46: Pending Initiated Transactions Options
For Pending Received Transactions, you can select View Details, Accept Offer, or Deny Offer in the "I want
to..." drop-down (see Figure 47).
Figure 47: Pending Received Transactions Options
If you deny the offer, you will see the details of the transaction that you are denying, and you will need to
provide an explanation for denying the trade (see Figure 48). Once you click Confirm Deny, the transaction
will no longer appear in your Pending Received Transactions (or your trading partner's Pending Initiated
Transactions).
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Figure 48: Deny Trade Screen
If you select Accept Offer, you will also see the details of the transaction, and you will be prompted to provide
the price of the transaction (see Figure 49). For transactions completed on or after January 1, 2020 that
contain Separated RINs AND the Reason Code is either “Spot” or “Term Contract,” the Price Element must
use “Per RIN” units, the price cannot be $0.00, and the price must match between buyers and sellers.
Additionally, you will have the option of adding transaction details and document information. Note that the
document itself cannot be uploaded. To add document information to the grid, fill in the Document Type and
Document Identification fields, and click Add (see the Separating RINs section for more details).
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Figure 49: Accept Trade Screen
To report a PTD number for your transaction, enter the number in the "PTD" field. If you do not enter a
PTD number, your transaction details will not include a PTD number. Note that this field is not
automatically carried over from your trading partner's transaction.
Once you click Confirm Accept, the transaction will no longer appear in your Pending Received Transactions
(or your trading partner's Pending Initiated Transactions), and the results of the trade will be reflected in
your RIN Holdings.
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If you select View Details for a Pending Received transaction, you will see the details of the transaction along
with the option to either accept the trade or deny the trade. Clicking Deny Trade will take you to the Deny
Trade screen (see Figure 48), and clicking Accept Trade will take you to the Accept Trade screen (see Figure
49).
If a trade is not accepted, cancelled, or denied within ten business days of the submission date (the date that
you or your trading partner initiated the trade), the trade will expire, and it will no longer appear on your
Review Trades screen.
As described earlier in this section, a trade can be completed if one trading partner initiates a trade through
a Buy/Sell Wizard, and the other partner then accepts the initiated trade from the Review Trades screen.
Trades can also be completed in the following ways:
●
Both trading partners submit XML files for a trade (one buy and one sell);
●
One trading partner completes a buy/sell transaction on the web application, and the other trading
partner submits a matching XML file for the corresponding transaction; or
●
One trading partner completes a buy transaction on the web application, and the other trading
partner completes a matching sell transaction on the web application.
In all of these instances, the following fields must match for the trades to match:
1.
2.
3.
4.
5.
6.
7.
*
RIN Year;
Fuel Code;
RIN Quantity;
Reason Code;*
Assignment Code;
QAP Service Type; and
Transaction Date.
If the buy or sell reason is Deny Trade or Cancel Trade, then the Reason Codes do not need to
match.
In addition:
1) The Trading Partner Organization Identifiers must agree (e.g., the sell transaction should list
the buying organization as the Trading Partner, and the buy transaction should list the selling
organization as the Trading Partner); and
2) If one Trading Partner specifies Originating Source information, then the other Trading Partner
must specify the same Originating Source information.
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3)
For transactions completed on or after January 1, 2020 that contain Separated RINs AND the Reason
Code is either “Spot” or “Term Contract,” the Price Element must use “Per RIN” units, the price cannot be
$0.00, and the price must match between buyers and sellers.
If these fields do not match, then the trades submitted by both trading partners via XML or web application
will be considered pending initiated trades. For more information on using XML files to interact with EMTS,
see the Submitting XML Files Section.
Managing the Blocked List
In some cases, you may wish to ensure that your organization does not buy or own RINs that were generated
by a specific renewable fuel producer, importer, or facility. To do so, you can add a producer or facility to
your organization's Blocked List. When a trade includes RINs that originated from a producer, importer, or
facility on the buying organization's Blocked List, the transaction will automatically be denied by EMTS, and
a notification will be sent to both parties indicating that the transaction was not processed. You can access
your organization's Blocked List by selecting View Blocked List under Organization in the EMTS main menu.
Figure 50: View Blocked List Screen
From the View Blocked List screen (see Figure 50), click the Add Blocked Producer or Add Blocked Facility
button to add a producer or facility to your organization's Blocked List. Clicking Add Blocked Producer opens
the Add Producer to Blocked List screen (see Figure 51). On the Add Producer to Blocked List screen, you
must identify a renewable fuel producer from a list of organizations (the list includes only renewable fuel
producers). You can filter the list by Organization Name or Organization ID. To select a producer to add to
your Blocked List, click the organization name in the list, and click Select. In Figure 48, the organization list
was filtered with the word "Better," and Better Fuel Corporation was selected.
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Figure 51: Add Producer to Blocked List Screen
After you enter a comment in the Comment field and click Submit, you will return to the View Blocked List
screen, and the producer that you blocked will be added to the View Blocked List grid (see Figure 52).
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Figure 52: View Blocked List Grid
When you add a producer to your organization's Blocked List, the Facility column in the View Blocked List
grid will contain the text "All facilities," indicating that your organization has chosen to block RINs that
originate at all of the producer's facilities. If you add a facility to the Blocked List, the Facility column will
display the name of the facility that you have blocked, and the Organization column will display the name of
the organization associated with that facility. Note that you may select an organization on the View Blocked
List screen regardless of whether that organization has produced RINS or has been enabled as a current
producer.
For each row in the View Blocked List grid, you have the option to either View Details or Remove. Selecting
View Details opens the View Blocked List Details screen that includes the Organization, Facility, and Date
Blocked information displayed in the grid along with the name of the person that added the
organization/facility to the Blocked List and the comment provided with the action. Selecting Remove opens
the Confirm Removal screen (see Figure 53). The screen displays all of the information included on the View
Details screen. You must click Confirm Remove at the bottom of the screen to remove the
organization/facility from the Blocked List. Upon doing so, you will return to the View Blocked List grid, and
the removed organization/facility will no longer be included in the grid.
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Figure 53: Confirm Removal Screen
Viewing Historic RIN Holdings
To view information for RINs that your organization previously owned but has since removed from its RIN
Holding Account, select View RIN Holdings (History) under RINs on the EMTS main menu. The View RIN
Holding History screen contains details of your organization's retire and sell transactions (i.e., transactions
that remove RINs from your RIN holdings) (see Figure 54).
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Figure 54: View RIN Holding History Screen
This screen is organization-specific; to switch the organization for which the screen is displayed, open the
Organizations tab of the accordion on the right side of the screen, and click Select a Different Organization.
The RIN Holding History grid provides an overview of each retire and sell transaction performed on behalf
of the organization indicated above the grid. To filter the RIN Holding History grid to look for a particular
transaction, use the filter options in the Search for Transactions box, and click Search. To view the details of
a transaction in the grid, select View Details in the "I want to..." drop-down and click Go.
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Viewing Web Submissions
For every set of transactions that you submit from the Transaction Bin, EMTS will create and store a
submission details screen (a submission contains one or more transactions). To access the details of
Transaction Bin submissions, select View Web Submissions under Submissions on the EMTS main menu.
Figure 55: View Web Submissions Screen
The View Web Submissions screen is organization-specific, so it includes Transaction Bin submissions
completed by any of an organization's submitters. To switch the organization for which the View Web
Submissions screen is displayed, open the Organizations tab of the accordion on the right side of the screen,
and click Select a Different Organization. To filter the View Web Submissions grid to look for a particular
submission, use the options in the Search box, and click Filter. The Web Submissions grid includes an
overview of each submission from the Transaction Bin. For each transaction, you will see the submission ID,
submission date, submitter, and status. To view the details of a submission, select View Details in the "I want
to..." drop-down and click Go. This opens the View Submission Log Details screen, which contains the details
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of the submission and an overview of each transaction in the Submission (see Figure 56). You can also
download the submitted XML file the View Node Submissions screen by selecting “Download Submitted
XML” from the “I want to…” drop-down. The submitted files are stored and available for download for a
limited amount of time.
Figure 56: View Submission Log Details
To view the details of a transaction in the submission, select View Details in the "I want to..." drop-down and
click Go.
Submitting XML Files
If you wish to submit data to EMTS without using the website transaction wizards, you may do so by
submitting valid XML files from the EMTS web application, a personal node, or a node client. For more details
on XML file submission, please go to http://www.exchangenetwork.net/exchanges/air/emts.htm and
download the implementation resources available on the site. The Flow Configuration Document (FCD)
describes the different methods of file submission and contains details on the Exchange Network Header
v2.0, which must be included in an XML file for it to be valid. The XML Schema and Data Exchange Template
provide additional information on the structure and content requirements for a valid XML file. Please see
the Sample XML Instance File for an example of a valid XML file. In addition, please see the document titled
“Submitting EMTS Transactions Using XML.”
Converting Excel Files to XML
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EMTS includes functionality to convert an MS Excel file into a valid XML file. EPA provides a blank Excel
template, which allows users to include all transaction types in one file. It includes general notes about
submitting transactions, user-specific submittal information, and a tab for each transaction type.
The EMTS Excel Conversion Template is located on the EPA’s website here:
http://www2.epa.gov/fuels-registration-reporting-and-compliance-help/template-converting-ms-excelfiles-xml-epa.
Important Notes: The transaction types must remain in the same order presented in the template:
Generate, Buy, Separate, Sell, Retire, Lock, and Unlock. The template header rows also must remain
unchanged to allow EMTS to process the file.
Required columns have a header that is highlighted yellow. Additional information is included in column
header comments and in the Notes tab. To view comments, hover over the header, as shown in Figure 57
below.
Figure 57: Excel Template Comment
REQUIRED
Amount of RINs
that are involved
with the
transaction.
To convert an Excel file into XML, navigate to Submissions→ Submit File from the main EMTS menu or the
EMTS home screen (see Figure 58).
Figure 58: EMTS Home Screen Submit File Options
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The Submit File screen is user-specific, so if you represent multiple organizations, you can submit files for
all of your organizations from the Submit File screen without changing the organization that you represent.
However, submissions for each organization must be included in a separate file submission. From this
screen, you may submit only one Excel file at a time. In addition, you may not submit multiple files with the
same file name in a given calendar year (to prevent accidental duplication).
On the Submit File screen (see Figure 59), click the Browse button to identify the Excel file you would like
to convert. The tab order and name, as well as the header rows, must remain unchanged from the Excel
Template.
Figure 59: Submit File Screen
Once you have identified a file, click the Convert button (see Figure 60). After clicking the Convert button, it
may take some time to process, so please be patient.
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Figure 60: Submit File Screen – Loading the File
Test_file.xls
If your file was successfully converted from Excel to XML, you will see the following screen pop up (see
Figure 61), which provides you with an opportunity to save the XML file for your records. If your file had
any errors during conversion, you will see the corresponding QA Check Errors pop up on the Submit File
screen. Once you have corrected your errors, re-submit the file and click the Convert button.
Figure 61: Successful Conversion – Opportunity to Save XML File
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Once you have saved the XML file for your records, you are ready to submit it for processing. Click the
Submit button from the Submit File screen, as shown in Figure 62. It may take some time to process, so
please be patient and avoid clicking the Submit button again.
Figure 62: Submit Converted Excel File
Test_file.xls
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The file must first pass through the CDX node before it can be processed by the EMTS node. If your file does
not pass schema validation, you will receive an error message on the Submit File screen. If your file is valid,
the message on the Submit File screen will be updated to indicate that your file has been submitted, as seen
in the figure below.
Figure 63: Submit File Screen
To view the CDX node status details for your submission, click the View Submit File History button. You can
also access the Submit File History screen by hovering over the Submissions menu option and clicking
Submit File History. The Submit File History screen (see Figure 64), like the Submit File screen, is userspecific (not organization-specific), so it will include records for your submissions for all of your
organizations.
It will display information only for files submitted from the Submit File screen and not for files submitted
using a personal node or node client. If the ‘Received By CDX’ column displays ‘Yes’ for a submission, the
submission was successfully received by the CDX node and has been sent to the EMTS node for processing.
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Figure 64: Submit File History screen
Test Company
Test_file2.zip
Processing by EMTS
After confirming that the file was successfully received by CDX, you will need to check whether the file was
processed by EMTS. It is possible for your file to have been successfully received by CDX, but not
successfully processed by EMTS.
In order to confirm whether your transaction has been successfully processed by EMTS, hover over the
Submissions menu option and click View Node Submissions. The View Node Submissions screen displays
the results of XML files submitted from a personal node or node client along with XML files submitted from
the Submit File screen, which acts as a node client.
In the example shown in Figure 65, the submission was successfully sent to CDX, but failed to be processed
by EMTS, as seen in the results circled in the “Submission Status” column.
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Figure 65: View Node Submissions
Test Company
Test_file.zip
Tester, Demo
Test_file2.zip
Tester, Demo
The View Node Submissions screen is organization-specific (and not user-specific), which means that the
screen displays the status of all files submitted by representatives of the organization specified above the
View Node Submissions grid. To switch organizations, click Select a Different Organization in the
Organizations tab of the accordion. To filter the View Web Submissions grid to look for a particular
submission, use the options in the Search box, and click Filter.
This screen displays the date and time XML files were submitted, CDX and Submission IDs, the file names,
and whether the files were successfully processed. The Submission Status column of the View Node
Submissions grid displays the EMTS node status of each XML file submission. A status of Processed
indicates that the file passed all QA checks, and a status of Failed indicates that the file failed one or more
EMTS QA checks. For processed and failed files, you can select View Details in the “I want to…” column to
see more information about the submission and a list of transactions within the submission (see Figure 66).
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Figure 66: View Node Submissions Options
From the submission details screen, you will be able to view transaction details for each transaction in the
submission. For processed and failed files, you can also download the submitted XML file the View Node
Submissions screen. The submitted files are stored and available for download for a limited amount of time.
From the View Node Submissions screen, you can also select QA Results in the “I want to…” column for a
failed submission. This will take you to a QA Feedback Report, which contains a list of QA checks that the
submission failed.
Receiving Notifications
EMTS can communicate information to users by sending notifications via email. Some notifications will be
sent immediately while others will be aggregated and sent nightly. The current version of EMTS includes a
number of immediate notifications, such as the EMTS Trade Cancelled notification and the EMTS Trade
Denied notification, along with several aggregated daily notifications, such as the EMTS Notification of
Pending Trades and the Daily Processed Document Summary. For a complete list of notifications, see
Appendix E of the Flow Configuration Document, on the EMTS Documents screen.
To receive these notifications, you must first subscribe to the notifications from the RFS2 Subscriptions
screen (see Figure 67) (click RFS2 Subscriptions under the Reports menu option). Users will be automatically
subscribed to some notifications.
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Figure 67: RFS2 Subscriptions
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To subscribe to a notification, click Go in the "I want to..." column. On the Manage Subscription screen for
that notification, check the “Subscribed” checkbox. For the immediate notifications, the frequency will be
“Immediate,” and for the daily notifications, the frequency will be “Daily.” All notifications will be text format
and will be delivered via email. All subscriptions are organization specific, so if one submitter for an
organization subscribes to a notification, then all submitters for that organization will receive the
notification.
Receiving Documents
EMTS also creates various reports and documents that include information about data submitted for your
organization. These documents can be accessed from the EMTS website (click View Reports under the
Reports menu item) or retrieved from the EMTS node.
To download the documents from the EMTS website or retrieve them using a personal node or node client,
you must first subscribe to them from the RFS2 Subscriptions screen (see Figure 68) (click RFS2
Subscriptions under the Reports menu option).
Note: If you subscribe to a document and then do not download the document within 22 business days, you
will be automatically unsubscribed from that document. You will receive an email notification before and
after the system performs this action. You may re-subscribe to the document at any time.
On the RFS2 Subscriptions screen, click Go in the "I want to..." column to update the subscription for a specific
document. On the Manage Subscription screen for that document, check the “Subscribed” checkbox to
subscribe to the document. If the document is available at multiple frequencies (i.e. Daily and three-per-day),
select the desired frequency. Documents can be received in CSV or XML format and can be downloaded from
the EMTS website or from the EMTS node using a node or a node client.
After you subscribe to a document, you will be able to download the documents with a daily subscription
frequency the following morning and the documents with a subscription frequency of three times per day at
the next document generation interval. Three-per-day reports are generated at 1AM, 1PM, and 6PM. Weekly
reports are generated Sunday mornings. You can download the documents from the View RFS2 Reports
screen (see Figure 68) (click View RFS2 Reports under the Reports menu option).
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Figure 68: View RFS2 Reports Screen
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The grid on the View RFS2 Reports screen displays the documents to which you have subscribed. You will
also be able to see the frequency you have selected for each report or document and the last run time for
each document. To access the latest version of a document, select Download Document in the "I want to..."
drop-down. To access a prior version of the document, select View All Documents in the "I want to..." dropdown.
When you select Download Document and click Go, you will see a window asking you to either open or save
the ZIP file (see Figure 69). After you open the ZIP file, you will be able to access the document.
Figure 69: Download Document Window
For information on how to retrieve these documents using your personal node or node client, please refer to
Section 6 of the EMTS Flow Configuration Document, which can be downloaded from the Exchange Network
website http://www.exchangenetwork.net/exchanges/air/emts.htm.
The following documents are available to RFS users:
●
Cancelled Trades: This document, available on a nightly basis, lists all initiated and received trades
that have been cancelled within the past 10 calendar days.
●
Completed Trades: This document, available weekly, nightly, or three times per day, lists all trades
that have reached their final status (completed, cancelled, expired, or denied) within the past 10
calendar days.
●
Expired Trades: This nightly document lists all pending trades that will expire within 1 business day
as well as all trades that have expired within the past 10 calendar days.
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●
Monthly RIN Generation Report: Both organizations and agents may subscribe to the report. This
report is available monthly and contains detailed information on the RIN batches generated by the
subscribed organization during the prior month. The Monthly RIN Generation Report document is
created for the prior month’s transactions on the first Saturday of every month.
●
Monthly Transaction History: This document, available on a monthly basis, lists all generate,
separate, buy, sell and retire transactions submitted by an organization through XML files or the
EMTS web interface during the prior month. The Monthly Transaction History document is created
for the prior month’s transactions on the first Saturday of every month.
●
Monthly Verified RINs Generate Activity: This document, available on a monthly basis, is only
available to QAP Providers. It includes detailed information on RIN batches that were generated on
a verified pathway during the prior month. The Monthly Verified RINs Generate Activity document is
created for the prior month’s transactions on the first Saturday of every month.
●
Pathway Status: This document, available on a nightly basis, lists all of a fuel producer’s registered
pathways and the QAP status of those pathways.
●
Pending Trade Details: This document, available on a nightly basis or three times per day, lists the
RIN batch details of all pending initiated and pending received trades for an organization.
●
Pending Trades: This document, available on a nightly basis or three times per day, lists the details
of all pending initiated and pending received trades for an organization. This report is also available
“on-Demand” for node users (see section called “On-Demand Reports” below).
●
QA Feedback: This immediate document shows the failed QA check results for a given failed
submission. Note that you do not need to subscribe to this document because it is created after every
failed submission.
●
RIN Batches: This document, available on a daily or weekly basis, lists all RIN batches that an
organization owns.
●
RIN Generation: Both organizations and agents may subscribe to the report. These reports are
available in 3-per-day, daily, and weekly formats, and contain detailed information on the RIN
batches that were generated by the subscribed organization.
●
RIN Holdings: This document, available on a nightly basis or three times per day, lists the current
aggregate total RIN Holdings for an organization grouped by fuel code, assignment and RIN year. This
report is also available “on-Demand” for node users (see section called “On-Demand Reports” below).
●
Transaction History: This document, available weekly, nightly, or three times per day lists all
generate, separate, buy, sell and retire transactions submitted by an organization through XML files
or the EMTS web interface within the past 14 days.
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●
Transaction Status: This document, available nightly, includes transaction activity for the previous
day.
●
Verified RINs Generate Activity: This document, available on a nightly basis, is only available to QAP
Providers. It includes detailed information on RIN batches that were generated on a verified pathway
during the previous 10 days.
●
Verified RINs Retire Activity: This document, available on a nightly basis, is only available to QAP
Providers. It includes detailed information on verified RIN batches that were retired by the RIN
Generator during the previous 10 days.
●
Verified RINs Sell Activity: This document, available on a nightly basis, is only available to QAP
Providers. It includes detailed information on verified RIN batches that were sold by the RIN
Generator during the previous 10 days.
●
Verified RINs Separate Activity: This document, available on a nightly basis, is only available to QAP
Providers. It includes detailed information on verified RIN batches that were separated by the RIN
Generator during the previous 10 days.
Once the prior month’s Monthly Transaction History document is created, the Cancelled Trades, Completed
Trades, Expired Trades, Pending Trades, Pending Trade Details, and Transaction Status documents for that
month are purged. For more information on the available documents, please see the EMTS Document
Descriptions file on the EMTS Documents screen.
On-Demand Reports
Node users can solicit two “on-demand” reports. These reports are only available in XML format and cannot
be subscribed to through the EMTS web application. After a node user sends a solicit request to the EMTS
node, EMTS will generate a report of all transactions up to the second that the solicit request was received.
●
On-Demand RIN Holdings: This document, available on-demand to node users, matches the Daily RIN
Holdings report. It lists the current aggregate total RIN Holdings for an organization grouped by fuel
code, assignment and RIN year.
●
On-Demand Pending RIN Trades: This document, available on-demand to node users, matches the
Daily Pending Trades report. It lists the RIN batch details of all pending initiated and pending
received trades for an organization.
Quarterly Reports
NOTE: Beginning with 2018 Quarter 4 reports, EPA implemented a revised procedure for signing RIN
Transaction Reports in EMTS. For more information, refer to the job aid titled “How to Use e-Signature to
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Sign RIN Transaction Reports in EMTS” on EPA’s Fuels Registration, Reporting, and Compliance Help web
page.
Overview
EMTS generates the following quarterly reports:
●
●
●
●
●
RFS2 EMTS Activity Report (Assigned RINs)
RFS2 EMTS Activity Report (Separated RINs)
RFS2 EMTS RIN Transaction Report (Buy, Sell, Separate, Retire)
RFS2 EMTS RIN Generation Report
RFS2 EMTS Transaction Error Report
Examples of each report are contained in the appendix of the EMTS Quarterly Reports: Getting Started
Guide. All reports are generated automatically by EMTS, with the exception of the RFS2 EMTS Transaction
Error Report. See the section "How do I create a Transaction Error Report?" for guidance on how to
generate this report. Important: Once a Transaction Error Report is generated for your organization,
it cannot be changed in any way.
Figure 70 describes the reports and indicates how they are related to the reporting forms. All reporting
forms pursuant to requirements in 80.1451 are available at http://www2.epa.gov/fuels-registrationreporting-and-compliance-help/list-all-quarterly-and-annual-reports-renewable. Quarterly reports must
be submitted within two months of the end of the quarter.
Figure 70: EMTS Quarterly Report Descriptions
EMTS Report
Availability in
EMTS
Description
Old
RFS1 Reporting
Form
New RFS2
Reporting Form
RFS2 EMTS
Activity Report
(Assigned RINs)
Generated by
EMTS within 10
business days of
the end of the
quarter.
RFS2 RIN information for the
RFS0101 report. EMTS provides
the total number of assigned RINs
owned at the start of the reporting
period; the aggregate number of
RINs bought, sold, and retired for
the quarter; and the total number of
RINs owned at the end of the
quarter.
RFS0100: RFS
Activity Reporting
Form (40 CFR
80.1152(c)(2))
RFS0102 (40 CFR
80.1451(c)(2))
RFS2 EMTS
Activity Report
(Separated
RINs)
Generated by
EMTS within 10
business days of
the end of the
quarter.
RFS2 RIN information for the
RFS0101 report. EMTS provides
the total number of separated RINs
owned at the start of the reporting
period; the aggregate number of
RINs bought, sold, and retired for
the quarter; and the total number of
RINs owned at the end of the
quarter.
RFS0100: RFS
Activity Reporting
Form (40 CFR
80.1152(c)(2))
RFS0102 (40 CFR
80.1451(c)(2))
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RFS2 EMTS RIN
Transaction
Report (Buy,
Sell, Separate,
Retire)
Generated by
EMTS within 10
business days of
the end of the
quarter.
Detailed transactions grouped by
transaction type for an
organization. Includes Buy, Sell,
Separate and Retire transactions.
RFS0200: RIN
Transaction
Report.
No Excel version;
only EMTS PDF
version. Note that
RFS1 RIN
transactions are
reported in the new
RFS0201. (40 CFR
80.1451(c)(1))
(cont.)
EMTS Report
Availability in
EMTS
Description
Old
RFS1 Reporting
Form
New RFS2
Reporting Form
RFS2 EMTS RIN
Generation
Report
Generated by
EMTS within 10
business days of
the end of the
quarter.
Detailed batches of RINs generated
for an organization. Includes only
Generate transactions for the
quarter.
RFS0400: RFS RIN
Generation
Reporting Form
(40 CFR
80.1152(b)(1))
No Excel version;
only EMTS PDF
version. The
RFS0400 may only
be used for RFS1
RINs generated prior
to July 1, 2010. RFS2
RINs are reported in
the new RFS2 EMTS
RIN Generation
Report. (40 CFR
80.1451(b))
RFS2 EMTS
Transaction
Error Report
Can be created in
EMTS following
the quarter.
Deadline to create
is the quarterly
reports
submission
deadline.
Detailed transactions for which a
discrepancy exists between the
EMTS and the organization's
internal record-keeping system, as
reported by the organization.
No equivalent.
New report in RFS2.
When are the quarterly reports available?
Quarterly reports will be available to download within ten business days of the end of a quarter. An email
notification will be sent when the quarterly reports are available to download from the EMTS website. To
subscribe to the “Quarterly Reports Available” notification, access the Manage Subscriptions screen from the
Reports menu on the EMTS web interface.
How do I subscribe to quarterly reports?
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You must login to the EMTS web application to subscribe to quarterly reports. In the EMTS main menu, select
Reports, and then select Manage Subscriptions.
All of the reports are available in PDF format. In addition, the RFS2 EMTS RIN Generation Report and the
RFS2 EMTS RIN Transaction Report are available in XML and CSV format. You can subscribe to the PDF
format and either the XML or the CSV format if you wish. Subscriptions are organization specific, so all
submitters for an organization can download the reports.
To change the subscription for a quarterly report, click the Go button in the "I want to..." column for the
report. On the Manage Subscription screen for that report, check or uncheck the "Subscribed" box (see Figure
71).
Figure 71: Manage Subscriptions Screen
How do I access my quarterly reports?
You can access your quarterly reports either by downloading them from the EMTS web application or by
sending a Solicit request for them using your node. To download the reports from the EMTS web application,
select Reports, and then select View Reports. The View RFS2 Reports screen displays all of the reports to
which your organization has subscribed (see Figure 72).
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Figure 72: View RFS2 Reports Screen
To download a report, select Download Document in the "I want to..." drop-down menu and click the Go
button. Note that if the "I want to..." column for a report says "No valid actions," the report is not yet available
to be downloaded. To view reports from previous quarters, select View All Documents.
You will be prompted to open or save the ZIP file (see Figure 73). You must open the ZIP file to extract the
report.
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Figure 73: Download Document Window
How do I create a Transaction Error Report?
The RFS2 EMTS Transaction Error Report is used to report discrepancies that exist between the EMTS and
your organization's internal record-keeping system. A recommended practice is to review your current RIN
holdings periodically on the EMTS user interface, checking the total quantity of RINs against your own
transaction records. You may download data from this screen at any time. You can report transaction errors
following the end of the quarter. When you have entered and submitted your transaction errors, EMTS will
create a Transaction Error Report for your organization. If you do not enter any errors or if you do not submit
the reported errors, EMTS will not generate a Transaction Error Report for your organization. Note that you
may edit your transaction errors and request the Transaction Error Report for the prior quarter any number
of times until the quarterly report submittal deadline, is two months after the quarter ends. Reports are due
May 31, August 31, November 30, and February 28.
You must login to the EMTS web application to report transaction errors. In the EMTS main menu, select
Reports, and then select Transaction Errors. If the compliance period is closed or you have previously
submitted a Transaction Error Report for the quarter, you will see a message indicating that transaction
error reporting is not available. If the Compliance period is open and you have not yet submitted a
Transaction Error Report for the quarter, click Continue.
On the View Reported Errors screen, you can add transaction errors to the Reported Errors grid (see Figure
74). If you have already entered errors for the quarter, but have not yet submitted them, you can view and
edit the errors on this screen. You can also enter multiple errors at a time by uploading a properly formatted
CSV file on the View Reported Errors screen. The file must only include errors for transactions that have not
already been reported, transactions for the user’s organization, and from the current quarter.
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Figure 74: View Reported Errors Screen
To add a new transaction error to the Reported Errors grid, click Add Error. On the Search Transactions
screen (see Figure 75), use the Search for Transactions filters to identify the transaction for which you wish
to report an error.
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Figure 75: Search Transactions Screen
The Transactions grid will display your organization’s transactions that match the search criteria. The "I
want to..." drop-down will contain the Identify Error option for transactions without previously reported
errors and the Edit Details and Remove options for transactions with previously reported errors. To report
an error for a transaction without a previously reported error, click Go in the "I want to..." column.
On the Identify Transaction Errors screen, you can view the details of the transaction by clicking the "+" on
the Transaction Details panel (see Figure 76).
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Figure 76: Identify Transaction Errors
Provide an explanation of the error(s) in the "Explanation of Errors" field, and add any additional information
in the "Document Information" field (optional), then click Save. You will then return to the View Reported
Errors screen, and the error will appear in the Reported Errors grid. On the View Reported Errors screen,
you can use the filters to search for transactions for which you have already reported errors.
To edit the details of an error that you have already reported, select Edit Details in the "I want to..." dropdown menu. The Identify Transaction Errors screen will display the details that you previously provided.
Click Save to keep any updates.
To remove an error from the Reported Errors grid, select Remove in the "I want to..." drop-down menu. The
Confirm Remove screen will display the transaction details and reported errors. Click Remove to confirm
removal of the error.
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Once you have reported all transaction errors for the quarter, click Submit Errors on the View Reported
Errors screen. After you click the Submit button, you must confirm the transaction errors (see Figure 77).
Figure 77: Confirm Transaction Errors
Once you confirm the transaction errors, EMTS will generate your organization’s Transaction Error Report,
and you will be able to add or edit transaction errors until the end of the quarterly compliance period. EMTS
will generate the report within one business day of your confirmation. At that time, the Transaction Error
Report will be available for you to download from the View Reports screen (select View Reports under the
Reports menu option). To download the Transaction Error Report, select Download Document in the "I want
to..." drop-down menu. Note that if the "I want to..." column for the report says "No valid actions," the report
is not yet available to be downloaded. When you select Download Document and click Go, you will see a
window asking you to either open or save the ZIP file (see Figure 78). After you open the ZIP file, you will be
able to access the PDF report.
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Figure 78: Download Document Window
Which transactions are included in the quarterly reports?
The reports include transactions that were submitted and completed during the quarter. Thus, generate,
buy, and sell transactions with a generation date or transaction date in one quarter and a submission date in
another quarter will be included in the quarterly reports from the quarter that contains the submission date.
Retire and separate transactions are always included in the report from the quarter during which they were
submitted.
How do I submit quarterly reports?
You must submit your reports through the DC Fuels application, which is accessed through MyCDX. For more
information, visit http://www2.epa.gov/fuels-registration-reporting-and-compliance-help/how-reportquarterly-and-annually-renewable-fuel. You are required to submit the reports in PDF format within two
months of the end of the quarter. Note that the XML and CSV versions of the quarterly reports should be
used for verification purposes only.
Are examples of the quarterly reports available?
For examples of the quarterly reports, please see the document "EMTS Quarterly Reports - Getting Started
Guide."
Annual Reports
EMTS generates two organization-specific annual reports, both of which are provided in PDF format. The
RFS2 EMTS Annual Report shows details for every RIN batch that an organization has retired for compliance,
and the RFS2 EMTS Annual Statement shows aggregate values for the number of RINs an organization has
retired for compliance.
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Users must be subscribed to the reports to be able to download them after they are generated by EMTS.
Subscriptions are organization specific, so all submitters for an organization can download the reports. You
can subscribe to the annual reports on the Manage Subscriptions screen by selecting Manage Subscriptions
under Reports on the EMTS main menu.
To change the subscription for an annual report, click the Go button in the "I want to..." column for the report.
On the Manage Subscription screen for that report, check or uncheck the "Subscribed" box.
To download the annual reports, you must login to the EMTS web application. In the EMTS main menu, select
Reports, and then select View Reports. The View Reports screen displays all of the reports to which your
organization has subscribed. For the annual report that you wish to download, select Download Document
in the "I want to..." drop-down menu and click the Go button. Note that if the "I want to..." column for a report
says "No valid actions," the report is not yet available to be downloaded. You will be prompted to open or
save the ZIP file (see Figure 79). You must open the ZIP file to extract the report. EMTS quarterly reports
are provided in PDF format.
Agent Reports
EMTS users registered as Agents in the OTAQ Registration system see an additional menu item in the EMTS
main menu called “Agents.” This tab includes the option to subscribe and download EMTS documents for
all of their associated organizations, rather than having to switch organizations and download each
organization’s documents separately. The .ZIP files contain all EMTS documents – daily, three per day,
weekly, and monthly – for all organizations associated with the Agent. Note that the. ZIP file will only
include documents that have active subscriptions. Quarterly reports are not available as Agent Reports.
To subscribe to Agent reports, click the “Agent” menu item in the main menu (only visible to registered
Agents), and select “Manage Subscriptions” (see Figure 79).
Figure 79: Managing Agent Report Subscriptions
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Note: Agents must manage document subscriptions for individual organizations on the Manage
Subscriptions screen located under the Reports menu for each organization.
In the “I want to…” column, click the Go button to manage the subscription for a report (see Figure 80).
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Figure 80: List of Agent Reports
Click the “Subscribed” check box and then click Update (see Figure 81).
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Figure 81: Manage Agent Subscription
To retrieve Agent reports, select “View Reports” from the Agent menu. In the “I want to…” column, select
View Reports and click Go (see Figure 82).
Figure 82: Manage Agent Subscription
Open the compressed .ZIP file to access the documents. When Agent Reports are downloaded, EMTS will
automatically update the 22-day subscription expiration clock for each document included in the .ZIP file. If
an Agent is associated with an organization in a submitting role other than “Agent,” that organization’s
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documents will not be included in the Agent Reports. It is still possible to access documents for individual
organizations without retrieving documents for all organizations associated with an Agent.
EMTS Technical Support
If you have any questions or want to report defects, comments, enhancements, or feedback, you may
contact EMTS Technical Support at support@epamts-support.com, Monday – Friday, 9:00 a.m. to 5:00 p.m.
(EST). Additionally, to access contact information for the various EMTS support lines, you can click the
"Contact Us" link located on each screen of EMTS. When reporting defects or issues, please provide the
detailed steps that were taken to create the problem or issue, and provide screen shots to document the
screen and information entered. In addition, there are "Help" links on each screen of EMTS that provide
access to EMTS resources on the EPA's EMTS website.
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File Type | application/pdf |
File Title | Renewable Fuel Standard EMTS User's Guide, Version 5.3 (EPA-420-B-19-058, December 2019) |
Subject | EPA moderated transaction system, EMTS, renewable fuel standard, RFS, user guide, version, 5.3, renewable identification number, |
Author | U.S. EPA |
File Modified | 2019-12-19 |
File Created | 2010-02-09 |