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NSPA/JEA Fall 2025
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Nashville
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TOTALNSPAJEALocal Committee
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Calculation of Cash Due to Partners:
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Net Shared Revenue Collected $ 853,024 $ 422,981 $ 405,665 $ 24,378 See Revenue Collected sheet
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Net reimbursement (payments) of shared costs 0 54,368 (51,754) (2,614)See Expense Summary sheet
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Total Cash Due to Partners 853,024 477,349 353,911 21,765
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Payment on 10/29/2025 (227,366)
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Balance Due $ 126,544 $ 21,765
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