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LAND USE PROPOSAL SUBMISSION FORM Date Received by NAV CANADA file N./ Ref NTC File N / Ref GENERAL INFORMATION: Company/Owner Name:Contact Person:Address:City:Tel:Fax:Prov:Email:24 Hour Emergency
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To fill out the date received by nav, follow these steps:
02
Locate the date received field on the NAV form.
03
Click on the field to activate it.
04
Enter the date using the correct format (e.g., MM/DD/YYYY or DD-MM-YYYY).
05
Double-check the entered date for accuracy.
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Save or submit the form to complete the process.

Who needs date received by nav?

01
The date received by NAV is required by individuals or organizations who receive financial transactions or reports through the NAV system. This date is important for record-keeping, tracking, and auditing purposes.
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Date received by nav is the date on which the Net Asset Value (NAV) of a mutual fund is received.
Mutual fund companies and their administrators are required to file date received by nav.
Date received by nav can be filled out by inputting the specific date on which the NAV is received.
The purpose of date received by nav is to accurately track when the NAV of a mutual fund is received.
The specific date on which the NAV of the mutual fund is received must be reported on date received by nav.
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