TF03 114A0020005P126Second Revised Sheet No. 114A TF04 First Revised Sheet No. 114A TF05Edward C. McMurtrie, Vice President/General Manager TF06073102050102RM96-1-020 100102 TF079961146 GENERAL TERMS AND CONDITIONS (Continued) 15. REVENUE CREDITING FOR CAPACITY RELEASES (FIRM) 15.1 Definitions: The definitions in Section 14 of the General Terms and Condi- tions apply also to this Section. 15.2 Revenue Credits for Released Capacity - Eligibility: Paiute shall provide revenue credits to any Shipper which tem- porarily releases (Releasing Shipper), under the Capacity Release provisions of this tariff, all or any portion of its contract demand under a Service Agreement (released capacity) governed by the provisions of any Part 284 Firm Rate Schedule included in Paiute's tariff. 15.3 Monthly Crediting Procedures: Revenue credits for temporarily released capacity shall be cre- dited monthly, as an offset to, or a refund of, a Releasing Shipper's reservation charges otherwise payable to Paiute under the applicable Rate Schedule for the service that has been re- leased, as provided by Section 15.4 below. The credits shall be based on the actual reservation charge revenue to be collected by