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02/20/2019 23:41 ( 13,767
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02/20/2019 23:41 ( 13,767
02/20/2019 23:41 Mi Tab 2
02/20/2019 23:41 annual 76
02/20/2019 23:41 archite 15
02/20/2019 23:41 closing date 212
02/20/2019 23:41 annual 76
02/20/2019 23:41 archite 15
02/20/2019 23:41 amount financed 137
02/20/2019 23:41 HMDA.X26 1
02/20/2019 23:41 appraisal revie 5
02/20/2019 23:41 Liability Ac 12
02/20/2019 23:41 amount financed 137
02/20/2019 23:41 disclosure reas 8
02/20/2019 23:41 appoint 7
02/20/2019 23:41 amnt 29
02/20/2019 23:41 prepayment t 50
02/20/2019 23:40 Lender Contact 69
02/20/2019 23:40 appoint 7
02/20/2019 23:40 cd3.x16 11
02/20/2019 23:40 Channel 2
02/20/2019 23:40 first payme 31
02/20/2019 23:40 amnt 29
02/20/2019 23:40 Servicing 350
02/20/2019 23:40 Lender Contact 69
02/20/2019 23:40 mornet 120
02/20/2019 23:40 alterna 45
02/20/2019 23:40 cd3.x 797
02/20/2019 23:40 amortization s 24
02/20/2019 23:40 Lend 1,005
02/20/2019 23:40 alterna 45
02/20/2019 23:40 alterati 1
02/20/2019 23:40 liab 150
02/20/2019 23:40 Lend 1,005
02/20/2019 23:40 si 9,715
02/20/2019 23:40 alterati 1
02/20/2019 23:40 Last mi 15
02/20/2019 23:40 alte 46
02/20/2019 23:40 amortization s 24
02/20/2019 23:40 completed 14
02/20/2019 23:40 agent addre 3
02/20/2019 23:40 alte 46
02/20/2019 23:40 BR00 30
02/20/2019 23:40 hud1 336
02/20/2019 23:40 Last 560
02/20/2019 23:40 agent addre 3
02/20/2019 23:40 agency case identifie 1
02/20/2019 23:40 Rate Lock Reques 7,896
02/20/2019 23:40 agency case identifie 1
02/20/2019 23:40 hmda profile 5
02/20/2019 23:39 Last 560
02/20/2019 23:39 UWC.PTD 2
02/20/2019 23:39 agency case id 1
02/20/2019 23:39 afford 4
02/20/2019 23:39 LOG.MT.Name 1
02/20/2019 23:39 agency case id 1
02/20/2019 23:39 LOG.MT.Name 1
02/20/2019 23:39 count borr 86
02/20/2019 23:39 agen t 199
02/20/2019 23:39 LOG.MS.LAST 1
02/20/2019 23:39 de 17,909
02/20/2019 23:39 agen t 199
02/20/2019 23:39 LOG.MS.LAST 1
02/20/2019 23:39 Downpayment 3
02/20/2019 23:39 584 12
02/20/2019 23:39 afford 4
02/20/2019 23:39 cert 57
02/20/2019 23:39 LOCKRATE.REQUEST 1,132
02/20/2019 23:39 ae 798
02/20/2019 23:39 address seller 3
02/20/2019 23:39 ae 798
02/20/2019 23:39 LOCKRATE.REQUEST 1,132
02/20/2019 23:39 address seller 3
02/20/2019 23:39 3632 1
02/20/2019 23:39 address # 3
02/20/2019 23:39 2407 2
02/20/2019 23:39 LOCKRATE.3841 1
02/20/2019 23:39 2403 2
02/20/2019 23:38 advic 190
02/20/2019 23:38 LOCKRATE.3841 1
02/20/2019 23:38 address # 3
02/20/2019 23:38 advic 190
02/20/2019 23:38 additional payment 43
02/20/2019 23:38 1452 14
02/20/2019 23:38 additional payment 43
02/20/2019 23:38 8 11,291
02/20/2019 23:38 Buydown 64
02/20/2019 23:38 295 172
02/20/2019 23:38 adjusted rate 15
02/20/2019 23:38 LOCKRATE. 4,531
02/20/2019 23:38 adjusted rate 15
02/20/2019 23:38 adjuste 61
02/20/2019 23:38 line 11 1,368
02/20/2019 23:38 LOCKRATE. 4,531
02/20/2019 23:38 file ID 16
02/20/2019 23:38 adjuste 61
02/20/2019 23:38 296 139
02/20/2019 23:38 2005 2
02/20/2019 23:38 adj 10,157
02/20/2019 23:38 asset 83
02/20/2019 23:38 activation 1
02/20/2019 23:38 LOCK type 265
02/20/2019 23:38 adj 10,157
02/20/2019 23:38 CLOSING DISCLOSURE 1,017
02/20/2019 23:38 addition 396
02/20/2019 23:38 2824 2
02/20/2019 23:38 ntb.x33 1
02/20/2019 23:38 LOCK type 265
02/20/2019 23:38 activation 1
02/20/2019 23:38 ability to repay 15
02/20/2019 23:38 ethnici 16
02/20/2019 23:37 ARM.FlrVerbgTyp 1
02/20/2019 23:37 ability to repay 15
02/20/2019 23:37 addition 396
02/20/2019 23:37 cd1.x2 11
02/20/2019 23:37 abil 186
02/20/2019 23:37 accoun 244
02/20/2019 23:37 3032 2
02/20/2019 23:37 LOANTEA 8
02/20/2019 23:37 Trans Deta 422
02/20/2019 23:37 abil 186
02/20/2019 23:37 accoun 244
02/20/2019 23:37 Cl 3,983
02/20/2019 23:37 acco 246
02/20/2019 23:37 Worth 2
02/20/2019 23:37 LOANTEA 8
02/20/2019 23:37 22 1,684
02/20/2019 23:37 acco 246
02/20/2019 23:37 Withdrawal Requested Date 1
02/20/2019 23:37 newhud2.x2 880
02/20/2019 23:37 NEWHUD.X1276 1
02/20/2019 23:37 Withdrawal Requested Date 1
02/20/2019 23:37 accept date 20
02/20/2019 23:37 pric 5,254
02/20/2019 23:37 accept date 20
02/20/2019 23:37 Well 8
02/20/2019 23:37 LOAN PROGRAM DESCR 1
02/20/2019 23:37 Well 8
02/20/2019 23:37 X27 231
02/20/2019 23:37 AUS 513
02/20/2019 23:37 newhud2.x1092 1
02/20/2019 23:37 X27 231
02/20/2019 23:37 LO NML 11
02/20/2019 23:37 Pre 6,707
02/20/2019 23:37 Withdrawal Request 1
02/20/2019 23:37 HUD1 Borr - Gr 6
02/20/2019 23:36 Withdrawal Request 1
02/20/2019 23:36 Verificati 17
02/20/2019 23:36 external conditions 11
02/20/2019 23:36 LO NML 11
02/20/2019 23:36 file contacts underwriter contact 30
02/20/2019 23:36 Loan Team 12
02/20/2019 23:36 Warran 31
02/20/2019 23:36 at 17,180
02/20/2019 23:36 Verificati 17
02/20/2019 23:36 LENDE 986
02/20/2019 23:36 Warran 31
02/20/2019 23:36 Waiver 15
02/20/2019 23:36 lock Confirmed 968
02/20/2019 23:36 category 70
02/20/2019 23:36 Waiver 15
02/20/2019 23:36 Vend.X685 1
02/20/2019 23:36 Wa 237
02/20/2019 23:36 Vend.X 999
02/20/2019 23:36 Wa 237
02/20/2019 23:36 2088 13
02/20/2019 23:36 VEND.X924 1
02/20/2019 23:36 VEND.X503 1
02/20/2019 23:36 VOL 2
02/20/2019 23:36 1881 1
02/20/2019 23:36 VEND.X503 1
02/20/2019 23:36 VEND.X172 1
02/20/2019 23:36 LENDE 986
02/20/2019 23:36 Closi 2,124
02/20/2019 23:36 VOL 2
02/20/2019 23:35 assessme 22
02/20/2019 23:35 73 613
02/20/2019 23:35 property 577
02/20/2019 23:35 VEND.X924 1
02/20/2019 23:35 newhud2.x133 11
02/20/2019 23:35 VEND.X924 1
02/20/2019 23:35 VEND.X172 1
02/20/2019 23:35 LE3.X4 1
02/20/2019 23:35 VEND.X63 11
02/20/2019 23:35 server 1
02/20/2019 23:35 VEND.X519 1
02/20/2019 23:35 LE3.X4 1
02/20/2019 23:35 3983 2
02/20/2019 23:35 VEND.X1032 1
02/20/2019 23:35 LE1.X28 1
02/20/2019 23:35 MESSAG 103
02/20/2019 23:35 VEND.X519 1
02/20/2019 23:35 VEND.X1032 1
02/20/2019 23:35 LE1.X8 11
02/20/2019 23:35 VEND.X501 1
02/20/2019 23:35 80 2,079
02/20/2019 23:35 VEND.X501 1
02/20/2019 23:35 ULDD 304
02/20/2019 23:35 LE1.X8 11
02/20/2019 23:35 VEND.X444 1
02/20/2019 23:35 mornet.x 90
02/20/2019 23:35 VEND.X444 1
02/20/2019 23:35 VAVOB.X51 1
02/20/2019 23:35 LE sent 36
02/20/2019 23:35 VEND.X206 1
02/20/2019 23:35 VAVOB.X51 1
02/20/2019 23:35 VEND.X206 1
02/20/2019 23:35 Fees interest from 2
02/20/2019 23:34 LE sent 36
02/20/2019 23:34 subject property 339
02/20/2019 23:34 Application Date 12
02/20/2019 23:34 VEND.X148 1
02/20/2019 23:34 VA military 48
02/20/2019 23:34 Building status 1
02/20/2019 23:34 LE Date 329
02/20/2019 23:34 VEND.X148 1
02/20/2019 23:34 expiration 56
02/20/2019 23:34 tolerance 171
02/20/2019 23:34 FHA 203k D2 16
02/20/2019 23:34 L122 1
02/20/2019 23:34 VA military 48
02/20/2019 23:34 L122 1
02/20/2019 23:34 VA disa 3
02/20/2019 23:34 VEND.X139 1
02/20/2019 23:34 KBYO 11
02/20/2019 23:34 VA disa 3
02/20/2019 23:34 VEND.X139 1
02/20/2019 23:34 Change 293
02/20/2019 23:34 KBYO 11
02/20/2019 23:34 VEND.X130 1
02/20/2019 23:34 VA Closing 175
02/20/2019 23:33 CTC 1
02/20/2019 23:33 Investor loan number 19
02/20/2019 23:33 COND 277
02/20/2019 23:33 prev 7,122
02/20/2019 23:33 VA Closing 175
02/20/2019 23:33 Investor loan number 19
02/20/2019 23:33 COMPLIANCEREVIEW.X16 1
02/20/2019 23:33 first pay date 10
02/20/2019 23:33 COE 3
02/20/2019 23:33 buy side base 2,244
02/20/2019 23:33 abilit 187
02/20/2019 23:33 Investor Payment Coupon Loan Transfer To Servicing City 2
02/20/2019 23:33 CD5.X55 1
02/20/2019 23:33 111 442
02/20/2019 23:33 CD5.X5 10
02/20/2019 23:33 VEND.X130 1
02/20/2019 23:33 Investor Payment Coupon Loan Transfer To Servicing City 2
02/20/2019 23:33 Upfont MI Premium/Funding Amt Paid in Cash 12
02/20/2019 23:33 CD5.X5 10
02/20/2019 23:33 loanid 3
02/20/2019 23:33 VEND.X126 1
02/20/2019 23:33 CD5.X18 1
02/20/2019 23:33 VEND.X126 1
02/20/2019 23:33 Intrm Serv Borr 6
02/20/2019 23:33 Upfont MI Premium/Funding Amt Paid in Cash 12
02/20/2019 23:33 CD5.X17 1
02/20/2019 23:33 VASUMM.X49 1
02/20/2019 23:33 Borrower Na 328
02/20/2019 23:33 Intrm Serv Borr 6
02/20/2019 23:33 Underwriting approval 4
02/20/2019 23:33 CD5.X17 1
02/20/2019 23:33 details 4,249
02/20/2019 23:33 Underwriting approval 4
02/20/2019 23:33 Interviewer 6
02/20/2019 23:33 VASUMM.X49 1
02/20/2019 23:33 USDA.X51 1
02/20/2019 23:33 CD5.X16 1
02/20/2019 23:33 VASUMM.X19 1
02/20/2019 23:32 Interviewer 6
02/20/2019 23:32 CD5.X16 1
02/20/2019 23:32 suspended 3
02/20/2019 23:32 arm.flrverbgtyp 1
02/20/2019 23:32 VASUMM.X19 1
02/20/2019 23:32 Intent to Proce 7
02/20/2019 23:32 Uwc 29
02/20/2019 23:32 CD5.X14 1
02/20/2019 23:32 VASUMM.X16 1
02/20/2019 23:32 veri 62
02/20/2019 23:32 Intent to Proce 7
02/20/2019 23:32 CD5.X12 1
02/20/2019 23:32 VASUMM.X16 1
02/20/2019 23:32 uldd loan servicer id 1
02/20/2019 23:32 USDA.X123 1
02/20/2019 23:32 VALA.X19 1
02/20/2019 23:32 CD5.X12 1
02/20/2019 23:32 Cuban 2
02/20/2019 23:32 ti 5,724
02/20/2019 23:32 construction 111
02/20/2019 23:32 Insurance PMI 1
02/20/2019 23:32 VALA.X19 1
02/20/2019 23:32 1264 3
02/20/2019 23:32 CD4.x2 6
02/20/2019 23:32 VA Veteran First 3
02/20/2019 23:32 USDA.X123 1
02/20/2019 23:32 CD4.x2 6
02/20/2019 23:32 Insurance PMI 1
02/20/2019 23:32 VA Veteran First 3
02/20/2019 23:32 USDA - Have You Ever Obtained a Loan/Grant from 4
02/20/2019 23:32 annual fee 12
02/20/2019 23:32 property type 50
02/20/2019 23:32 USDA - Have You Ever Obtained a Loan/Grant from 4
02/20/2019 23:32 CD4.X9 1
02/20/2019 23:32 VA Fu 38
02/20/2019 23:32 Insurance Mtg 14
02/20/2019 23:32 ULDD.ManufacturedHom 1
02/20/2019 23:32 VA Fu 38
02/20/2019 23:32 CD4.X9 1
02/20/2019 23:32 3578 2
02/20/2019 23:32 ULDD.ManufacturedHom 1
02/20/2019 23:32 Upfont MI Premium/Funding Amt Paid in Cash 12
02/20/2019 23:32 Insurance Mtg 14
02/20/2019 23:32 tract 72
02/20/2019 23:31 CD4.X43 1
02/20/2019 23:31 mortgage p 367
02/20/2019 23:31 base loa 17
02/20/2019 23:31 CD4.X43 1
02/20/2019 23:31 Upfont MI Premium/Funding Amt Paid in Cash 12
02/20/2019 23:31 Incurred 7
02/20/2019 23:31 Undisclosed 2
02/20/2019 23:31 CD4.X42 1
02/20/2019 23:31 Undisclosed 2
02/20/2019 23:31 ULDD.LoanIdentifierValueType 1
02/20/2019 23:31 Incurred 7
02/20/2019 23:31 CD4.X42 1
02/20/2019 23:31 UFMIP 8
02/20/2019 23:31 3984 2
02/20/2019 23:31 CD4.X3 10
02/20/2019 23:31 Type Oth 88
02/20/2019 23:31 Underwriting ap 26
02/20/2019 23:31 Type Oth 88
02/20/2019 23:31 CD4.X3 10
02/20/2019 23:31 fe0202 1
02/20/2019 23:31 Trans Details Est 124
02/20/2019 23:31 file contac 1,004
02/20/2019 23:31 Bor 3,518
02/20/2019 23:31 Trans Details Est 124
02/20/2019 23:31 CD4.X2 6
02/20/2019 23:31 Underwriting ap 26
02/20/2019 23:31 3968 1
02/20/2019 23:31 initi 189
02/20/2019 23:31 Impounds Waive 24
02/20/2019 23:31 CD4.X2 6
02/20/2019 23:31 Underwriter date 3
02/20/2019 23:31 USDA - 216
02/20/2019 23:31 Trans Details Cash From Borr 13
02/20/2019 23:31 reason for denial 6
02/20/2019 23:30 CD4. 36
02/20/2019 23:30 Underwriter date 3
02/20/2019 23:30 Impounds Waive 24
02/20/2019 23:30 Trans Details Cash From Borr 13
02/20/2019 23:30 2961 13
02/20/2019 23:30 USDA - Have You Ever Obta 4
02/20/2019 23:30 set 320
02/20/2019 23:30 USDA - Have You Ever Obta 4
02/20/2019 23:30 IR0006 1
02/20/2019 23:30 CD3.x136 1
02/20/2019 23:30 USDA - 216
02/20/2019 23:30 acre 2
02/20/2019 23:30 select 109
02/20/2019 23:30 USDA - 216
02/20/2019 23:30 CD3.x117 2
02/20/2019 23:30 Trans Details A 435
02/20/2019 23:30 IR0006 1
02/20/2019 23:30 1752 2
02/20/2019 23:30 US Res 331
02/20/2019 23:30 CD3.x117 2
02/20/2019 23:30 INVESTOR 642
02/20/2019 23:30 jurisdiction 45
02/20/2019 23:30 CD3.x109 2
02/20/2019 23:30 FE0204 1
02/20/2019 23:30 US Res 331
02/20/2019 23:30 ULDD.X17 11
02/20/2019 23:30 Trans D 604
02/20/2019 23:30 INVESTOR 642
02/20/2019 23:30 ULDD.X17 11
02/20/2019 23:30 CD3.x109 2
02/20/2019 23:30 Hud2 3,983
02/20/2019 23:30 Refinance Purpose 4
02/20/2019 23:30 ULDD.X142 1
02/20/2019 23:30 Hud2 3,983
02/20/2019 23:30 CD3.X96 11
02/20/2019 23:30 FR0306 1
02/20/2019 23:30 LICENSE TYPE 60
02/20/2019 23:30 Trans D 604
02/20/2019 23:30 ULDD.X142 1
02/20/2019 23:30 CD3.X96 11
02/20/2019 23:30 ULDD.X139 1
02/20/2019 23:30 Hud 92900 propert 1
02/20/2019 23:30 CD3.X85 1
02/20/2019 23:30 flood a 83
02/20/2019 23:30 Total costs 35
02/20/2019 23:30 Vend.X446 1
02/20/2019 23:29 ULDD.X139 1
02/20/2019 23:29 Rate Lock status 39
02/20/2019 23:29 CD3.X85 1
02/20/2019 23:29 Rate Lock Request Lock t 7,896
02/20/2019 23:29 ULDD.TotalMortga 1
02/20/2019 23:29 Rate Lock Request Lender Fee Waiver Option 12
02/20/2019 23:29 Hud 92900 propert 1
02/20/2019 23:29 1732 2
02/20/2019 23:29 ULDD.TotalMortga 1
02/20/2019 23:29 Rate Lock Request Lender Fee Waiver Option 12
02/20/2019 23:29 CD3.X81 1
02/20/2019 23:29 Homeowner's I 2
02/20/2019 23:29 fe0110 1
02/20/2019 23:29 ULDD.ManufacturedHom 1
02/20/2019 23:29 formtype 3
02/20/2019 23:29 Refinance Cash Out Amount 1
02/20/2019 23:29 CD3.X81 1
02/20/2019 23:29 Rate No Closing Cost Option 13
02/20/2019 23:29 Homeowner's I 2
02/20/2019 23:29 docum 488
02/20/2019 23:29 914 19
02/20/2019 23:29 CD3.X65 1
02/20/2019 23:29 Homeowner' 2
02/20/2019 23:29 Rate No Closing Cost Option 13
02/20/2019 23:29 Refi 101
02/20/2019 23:29 REQUEST.X8 1
02/20/2019 23:29 ARM Index 11
02/20/2019 23:29 Homeowner' 2
02/20/2019 23:29 fa 676
02/20/2019 23:29 Refi 101
02/20/2019 23:29 Notary 67
02/20/2019 23:29 CD3.X65 1
02/20/2019 23:29 Holdb 2
02/20/2019 23:29 underwriting flood 4
02/20/2019 23:29 4183 2
02/20/2019 23:29 Recordin 31
02/20/2019 23:29 REQUEST.X8 1
02/20/2019 23:29 CD3.X6 15
02/20/2019 23:29 newhud2.x2 880
02/20/2019 23:29 REQUEST.X16 1
02/20/2019 23:29 CD3.X6 15
02/20/2019 23:29 High Cost Review 1
02/20/2019 23:29 line 7,423
02/20/2019 23:29 Recordin 31
02/20/2019 23:29 REQUEST.X16 1
02/20/2019 23:28 CD3.X35 11
02/20/2019 23:28 High Cost Review 1
02/20/2019 23:28 Real Estate 35
02/20/2019 23:28 CD3.X313 1
02/20/2019 23:28 the 1,243
02/20/2019 23:28 Real Estate 35
02/20/2019 23:28 CD3.X313 1
02/20/2019 23:28 Qualifies as a Veteran 1
02/20/2019 23:28 Heloc 82
02/20/2019 23:28 Qualified mortgage loan type 1
02/20/2019 23:28 Rate Lock Request Base Price Adjustment 2,522
02/20/2019 23:28 Heloc 82
02/20/2019 23:28 CD3.X285 1
02/20/2019 23:28 Rate Lock Request Base Price Adjustment 2,522
02/20/2019 23:28 CD3.X17 11
02/20/2019 23:28 Qualified mortgage loan type 1
02/20/2019 23:28 Rate Lock Interest Rate 2
02/20/2019 23:28 modifi 20
02/20/2019 23:28 Property Valuation Effect 1
02/20/2019 23:28 CD3.X1522 1
02/20/2019 23:28 4176 2
02/20/2019 23:28 Property Valuation Effect 1
02/20/2019 23:28 CD3.X1522 1
02/20/2019 23:28 Rate Lock Interest Rate 2
02/20/2019 23:28 HUD1 Borr - Gross Amt Due from Borr Oth 1 Amt 4
02/20/2019 23:28 DD0024 1
02/20/2019 23:28 Rate Lock Current Number of Da 1
02/20/2019 23:28 CD3.X15 53
02/20/2019 23:28 Property Info # of L 1
02/20/2019 23:28 317 89
02/20/2019 23:28 CD3.X14 99
02/20/2019 23:27 Rate Lock Current Number of Da 1
02/20/2019 23:27 HMDA.x27 1
02/20/2019 23:27 CD3.X13 14
02/20/2019 23:27 vend.x75 11
02/20/2019 23:27 Rate Lock Current L 197
02/20/2019 23:27 vend.x117 1
02/20/2019 23:27 HMDA.X79 1
02/20/2019 23:27 underwriting except 3
02/20/2019 23:27 CD3.X13 14
02/20/2019 23:27 transaction fee 2
02/20/2019 23:27 Rate Lock Current L 197
02/20/2019 23:27 transa 31
02/20/2019 23:27 re8 343
02/20/2019 23:27 HMDA.X54 1
02/20/2019 23:27 property age 38
02/20/2019 23:27 HUD1 Borr - Gross Amt Due from Borr Oth 1 Amt 4
02/20/2019 23:27 Rate No Closing Cost Option 13
02/20/2019 23:27 prog 120
02/20/2019 23:27 principal pa 126
02/20/2019 23:27 CD3.X12 40
02/20/2019 23:27 pledg 1
02/20/2019 23:27 plc 3
02/20/2019 23:27 plan co 92
02/20/2019 23:27 pest i 14
02/20/2019 23:27 3658 2
02/20/2019 23:27 perm 60
02/20/2019 23:27 CD3.X12 40
02/20/2019 23:27 percentage of own 2
02/20/2019 23:27 1017 6
02/20/2019 23:27 penal 112
02/20/2019 23:27 Rate No Closing Cost Option 13
02/20/2019 23:27 payoff da 1
02/20/2019 23:27 heloc credit 3
02/20/2019 23:27 HMDA.X54 1
02/20/2019 23:27 payoff da 1
02/20/2019 23:27 CD3.X11 18
02/20/2019 23:27 paymenttable.c 1
02/20/2019 23:27 paid Mortgage Insurance 16
02/20/2019 23:27 CD3.X11 18
02/20/2019 23:27 RESP 216
02/20/2019 23:27 newhud.x139 11
02/20/2019 23:27 newhud.x114 12
02/20/2019 23:27 CD3.X100 11
02/20/2019 23:27 newhud.x114 12
02/20/2019 23:27 HMDA.X37 1
02/20/2019 23:27 HUD1 Borr - Gross Amt Due 6
02/20/2019 23:27 new const 17
02/20/2019 23:27 HMDA.X23 1
02/20/2019 23:27 new const 17
02/20/2019 23:27 RESP 216
02/20/2019 23:27 CD3.X100 11
02/20/2019 23:27 name on title 4
02/20/2019 23:27 HMDA.X23 1
02/20/2019 23:27 name on title 4
02/20/2019 23:27 multifamil 2
02/20/2019 23:26 CD3.X10 98
02/20/2019 23:26 FHA Streamline 2
02/20/2019 23:26 multifam 2
02/20/2019 23:26 ms.proc 1
02/20/2019 23:26 RESIDEN 78
02/20/2019 23:26 ms.proc 1
02/20/2019 23:26 HMDA.X22 1
02/20/2019 23:26 2825 2
02/20/2019 23:26 CD3.X10 98
02/20/2019 23:26 mortgage insuran 77
02/20/2019 23:26 mornet.x27 1
02/20/2019 23:26 negative 22
02/20/2019 23:26 monthl 198
02/20/2019 23:26 CD3.X1 367
02/20/2019 23:26 monthl 198
02/20/2019 23:26 mont 318
02/20/2019 23:26 RESIDEN 78
02/20/2019 23:26 mobil 7
02/20/2019 23:26 HMDA.X106 1
02/20/2019 23:26 CD3.X1 367
02/20/2019 23:26 fi 5,152
02/20/2019 23:26 HUD1 Borr - Gross Amt Due 6
02/20/2019 23:26 mobil 7
02/20/2019 23:26 mave 18
02/20/2019 23:26 RE88395. 282
02/20/2019 23:26 HMDA.X106 1
02/20/2019 23:26 mave 18
02/20/2019 23:26 HUD H 6,442
02/20/2019 23:26 market va 5
02/20/2019 23:26 CD3 798
02/20/2019 23:26 market va 5
02/20/2019 23:26 lockrate.curre 2
02/20/2019 23:26 CD2.XCCBO 1
02/20/2019 23:26 RE88395. 282
02/20/2019 23:26 lockrate.cu 2
02/20/2019 23:26 159 58
02/20/2019 23:26 1866 2
02/20/2019 23:26 lockrate. datetime 3
02/20/2019 23:26 Qualifies as a Vetera 1
02/20/2019 23:26 lockrate. datetime 3
02/20/2019 23:26 lock type 265
02/20/2019 23:26 CD1.x1 11
02/20/2019 23:26 Qualifies as a Vetera 1
02/20/2019 23:26 upfo 12
02/20/2019 23:26 lock type 265
02/20/2019 23:26 lock expiration d 27
02/20/2019 23:26 CD1.x1 11
02/20/2019 23:26 1615 3
02/20/2019 23:26 lock con 1,473
02/20/2019 23:26 HUD H 6,442
02/20/2019 23:26 lock con 1,473
02/20/2019 23:26 HC0014 1
02/20/2019 23:26 CD1.XD9 1
02/20/2019 23:26 lock PEN 58
02/20/2019 23:26 4215 2
02/20/2019 23:26 lock PEN 58
02/20/2019 23:26 lock PE 728
02/20/2019 23:26 QM.x40 1
02/20/2019 23:26 lock PE 728
02/20/2019 23:26 loan processor name 3
02/20/2019 23:26 CD1.XD9 1
02/20/2019 23:26 Funds ordered date 1
02/20/2019 23:26 CASASRN 83
02/20/2019 23:26 loan processor name 3
02/20/2019 23:26 HUD 92900 sub 1
02/20/2019 23:26 loan of 232
02/20/2019 23:26 4031 2
02/20/2019 23:26 last finished milestone 1
02/20/2019 23:26 CD1.X69 1
02/20/2019 23:26 QM.x40 1
02/20/2019 23:26 loan of 232
02/20/2019 23:26 loan is locked 1
02/20/2019 23:26 HUD 92900 sub 1
02/20/2019 23:26 basis 19
02/20/2019 23:26 1008 61
02/20/2019 23:25 loan info section 1
02/20/2019 23:25 QM.X6 11
02/20/2019 23:25 CD1.X69 1
02/20/2019 23:25 loan info section 1
02/20/2019 23:25 loan info sect 1
02/20/2019 23:25 Log.ms.currentmilestone 1
02/20/2019 23:25 Freddie Mac LP 54
02/20/2019 23:25 HUD 6,442
02/20/2019 23:25 loan info sect 1
02/20/2019 23:25 birth 2
02/20/2019 23:25 CD1.X61 1
02/20/2019 23:25 loan info refi existing lien 2
02/20/2019 23:25 loan info buydown rate 6
02/20/2019 23:25 QM.X6 11
02/20/2019 23:25 CD1.X61 1
02/20/2019 23:25 loan info buydown rate 6
02/20/2019 23:25 Fred 373
02/20/2019 23:25 loan in 972
02/20/2019 23:25 QM.X2 111
02/20/2019 23:25 loan in 972
02/20/2019 23:25 HUD 6,442
02/20/2019 23:25 CD1.X43 1
02/20/2019 23:25 loan i 1,741
02/20/2019 23:25 loan documen 29
02/20/2019 23:25 For financing 1
02/20/2019 23:25 loan documen 29
02/20/2019 23:25 CD1.X43 1
02/20/2019 23:25 loan cont 23
02/20/2019 23:25 HOLD 49
02/20/2019 23:25 Fannie mae 253
02/20/2019 23:25 loan classi 1
02/20/2019 23:25 QM.X2 111
02/20/2019 23:25 CD1.X2 11
02/20/2019 23:25 USDA.X 212
02/20/2019 23:25 loan classi 1
02/20/2019 23:25 loan appl 19
02/20/2019 23:25 QM resul 1
02/20/2019 23:25 loan appl 19
02/20/2019 23:25 CD1.X2 11
02/20/2019 23:25 FV.X392 1
02/20/2019 23:25 linkguid 1
02/20/2019 23:25 HOLD 49
02/20/2019 23:25 line 804 37
02/20/2019 23:25 CD1.X14 1
02/20/2019 23:25 QM resul 1
02/20/2019 23:25 DISCLOSURE.X256 1
02/20/2019 23:25 line 804 37
02/20/2019 23:25 DISCLOSURE.X253 1
02/20/2019 23:25 lender's title insurance 2
02/20/2019 23:25 lender cr 51
02/20/2019 23:25 CD1.X14 1
02/20/2019 23:25 Q 9,337
02/20/2019 23:25 lender cr 51
02/20/2019 23:25 DISCLOSU 2,471
02/20/2019 23:25 le1.x8 11
02/20/2019 23:25 Q 9,337
02/20/2019 23:25 HOE 4
02/20/2019 23:25 CD1.X1 11
02/20/2019 23:25 le1 130
02/20/2019 23:25 DENIAL.X85 1
02/20/2019 23:25 le1 130
02/20/2019 23:25 Current Addr 7
02/20/2019 23:25 Property Valuation Form Type 3
02/20/2019 23:25 le sent 36
02/20/2019 23:25 CD. 59
02/20/2019 23:25 hmda.x21 1
02/20/2019 23:25 le due 174
02/20/2019 23:25 Current Add 7
02/20/2019 23:25 le due 174
02/20/2019 23:25 operation 16
02/20/2019 23:25 CD. 59
02/20/2019 23:25 Property Valuation Form Type 3
02/20/2019 23:25 last na 405
02/20/2019 23:25 issue date 14
02/20/2019 23:25 Current Add 7
02/20/2019 23:25 HOE 4
02/20/2019 23:25 issue date 14
02/20/2019 23:25 CAIVRS 4
02/20/2019 23:25 Property Valuation 6
02/20/2019 23:24 isl 5
02/20/2019 23:24 numbe 410
02/20/2019 23:24 irs4506.x 52
02/20/2019 23:24 Broke 871
02/20/2019 23:24 irs4506.x 52
02/20/2019 23:24 Property Valuation 6
02/20/2019 23:24 investor status 4
02/20/2019 23:24 Proce 96
02/20/2019 23:24 HMDA.x11 4
02/20/2019 23:24 Borr Other Asian Ra 4
02/20/2019 23:24 investor status 4
02/20/2019 23:24 foreclosure 18
02/20/2019 23:24 Proce 96
02/20/2019 23:24 interview 7
02/20/2019 23:24 Borr Mailing Zip 2
02/20/2019 23:24 Pro Date 97
02/20/2019 23:24 HMDA.x11 4
02/20/2019 23:24 Curr 303
02/20/2019 23:24 Price a 5,250
02/20/2019 23:24 Borr First 59
02/20/2019 23:24 HMDA.X86 1
02/20/2019 23:24 Other Description 101
02/20/2019 23:24 Price a 5,250
02/20/2019 23:24 Borr F 2,397
02/20/2019 23:24 Price 5,250
02/20/2019 23:24 Borr Employer Name 6
02/20/2019 23:24 HMDA.X86 1
02/20/2019 23:24 Price 5,250
02/20/2019 23:24 Curr 303
02/20/2019 23:24 FE 7,520
02/20/2019 23:24 Borr Employer F 10
02/20/2019 23:24 Cur 398
02/20/2019 23:24 HMDA.X81 1
02/20/2019 23:24 Previo 7,061
02/20/2019 23:24 Ca 2,374
02/20/2019 23:24 Credit report Fee 19
02/20/2019 23:24 Borr Employer Date Terminated 2
02/20/2019 23:24 Previo 7,061
02/20/2019 23:24 HMDA.X81 1
02/20/2019 23:24 Credit Score disclosure 25
02/20/2019 23:24 Port Loan 10
02/20/2019 23:24 Borr Employer Base Pay 2
02/20/2019 23:24 HMDA.X77 1
02/20/2019 23:24 Port Loan 10
02/20/2019 23:23 Period Number 1
02/20/2019 23:23 fha case 4
02/20/2019 23:23 Borr Employer Base Pay 2
02/20/2019 23:23 Credit Score disclosure 25
02/20/2019 23:23 VASUMM.X23 12
02/20/2019 23:23 hazard 88
02/20/2019 23:23 Period Number 1
02/20/2019 23:23 Borr Mailing Addr Same as Present 2
02/20/2019 23:23 Borr Chinese Indicator 2
02/20/2019 23:23 HMDA.X77 1
02/20/2019 23:23 Pair 3 9
02/20/2019 23:23 Borr Chinese Indicator 2
02/20/2019 23:23 Package 3
02/20/2019 23:23 Clo 3,912
02/20/2019 23:23 Borr American Indian Tribe 2
02/20/2019 23:23 Package 3
02/20/2019 23:23 HMDA.X36 1
02/20/2019 23:23 Clear to close 2
02/20/2019 23:23 PROGRAM 117
02/20/2019 23:23 Cl 4,150
02/20/2019 23:23 Borr Addr 69
02/20/2019 23:23 Fa 764
02/20/2019 23:23 HMDA.X36 1
02/20/2019 23:23 PRO 2,051
02/20/2019 23:23 HMDA.X31 1
02/20/2019 23:23 Owners 21
02/20/2019 23:23 Borr 3,470
02/20/2019 23:23 Owners 21
02/20/2019 23:23 reco 291
02/20/2019 23:23 HMDA.X31 1
02/20/2019 23:23 fm002 8
02/20/2019 23:23 Bor 3,749
02/20/2019 23:23 OrgId 1
02/20/2019 23:23 HMDA.X3 10
02/20/2019 23:23 Bor 3,749
02/20/2019 23:22 view 69
02/20/2019 23:22 HMDA.X3 10
02/20/2019 23:22 loan info 192
02/20/2019 23:22 OrgId 1
02/20/2019 23:22 Biz 25
02/20/2019 23:22 lock waive 33
02/20/2019 23:22 Optimal 3
02/20/2019 23:22 broker lender ad 5
02/20/2019 23:22 HIRED 2
02/20/2019 23:22 Optimal 3
02/20/2019 23:22 Oc 16,552
02/20/2019 23:22 Bankrupt 5
02/20/2019 23:22 ter 1,069
02/20/2019 23:22 HIRED 2
02/20/2019 23:22 AUSTRACKING.AUS.X133 1
02/20/2019 23:22 Bankrupt 5
02/20/2019 23:22 HELOC i 70
02/20/2019 23:22 Oc 16,552
02/20/2019 23:22 Bankrup 5
02/20/2019 23:22 ORIGINAL A 36
02/20/2019 23:22 HELOC i 70
02/20/2019 23:22 Holdback 2
02/20/2019 23:22 closing c 2,046
02/20/2019 23:22 ORIGINA 148
02/20/2019 23:22 HELOC Line Amount 1
02/20/2019 23:22 Balloon 28
02/20/2019 23:22 current 229
02/20/2019 23:22 liabilities 41
02/20/2019 23:22 ORIGINA 148
02/20/2019 23:22 (Previou 5,954
02/20/2019 23:22 HELOC Line Amount 1
02/20/2019 23:22 Note Date 9
02/20/2019 23:22 Balloon 28
02/20/2019 23:22 month 318
02/20/2019 23:22 verification 31
02/20/2019 23:21 Note Amount 3
02/20/2019 23:21 Balloo 28
02/20/2019 23:21 name closed 7
02/20/2019 23:21 1011 10
02/20/2019 23:21 Note Amount 3
02/20/2019 23:21 HCLTV 3
02/20/2019 23:21 NewH 5,803
02/20/2019 23:21 Ba 9,700
02/20/2019 23:21 NewH 5,803
02/20/2019 23:21 Shippi 33
02/20/2019 23:21 NTB.X36 1
02/20/2019 23:21 HCLTV 3
02/20/2019 23:21 loan info 191
02/20/2019 23:21 BR0 30
02/20/2019 23:21 appraisal form 5
02/20/2019 23:21 NTB.X36 1
02/20/2019 23:21 HC0014 1
02/20/2019 23:21 BORROWER EQUIFAX BEACON 4
02/20/2019 23:21 NMLS.X8 1
02/20/2019 23:21 BORROWER EQUIFA 4
02/20/2019 23:21 NMLS.X1 9
02/20/2019 23:21 closing 2,119
02/20/2019 23:21 NMLS.X1 9
02/20/2019 23:21 BORROWER EQUIFA 4
02/20/2019 23:21 NFIP 5
02/20/2019 23:21 AUS underwriting 13
02/20/2019 23:21 waive 32
02/20/2019 23:21 br 1,071
02/20/2019 23:21 BALANCE 87
02/20/2019 23:21 HC0014 1
02/20/2019 23:21 Endorsement 44
02/20/2019 23:21 NFIP 5
02/20/2019 23:21 B 19,415
02/20/2019 23:21 NEWHUD.x1139 1
02/20/2019 23:21 147 62
02/20/2019 23:21 Guid 66
02/20/2019 23:21 NEWHUD2.X4 749
02/20/2019 23:21 B 19,415
02/20/2019 23:21 NEWHUD2.X4 749
02/20/2019 23:21 Automobile 7
02/20/2019 23:20 NEWHUD2.X3039 1
02/20/2019 23:20 Automobile 7
02/20/2019 23:20 NEWHUD2.X3039 1
02/20/2019 23:20 requested date 8
02/20/2019 23:20 NEWHUD2.X2848 1
02/20/2019 23:20 Assumption 16
02/20/2019 23:20 Attorney 91
02/20/2019 23:20 build 34
02/20/2019 23:20 Assumption 16
02/20/2019 23:20 ORGID 1
02/20/2019 23:20 Assum 33
02/20/2019 23:20 NEWHUD2.X2848 1
02/20/2019 23:20 Assistant 2
02/20/2019 23:20 FLo 125
02/20/2019 23:20 Guid 66
02/20/2019 23:20 3514 2
02/20/2019 23:20 Government refinance 1
02/20/2019 23:20 Assistant 2
02/20/2019 23:20 209 212
02/20/2019 23:20 Assets/Liabilities 1
02/20/2019 23:20 NEWHUD2.X205 9
02/20/2019 23:20 Assets/Liabilities 1
02/20/2019 23:20 Government refinance 1
02/20/2019 23:20 GS 247
02/20/2019 23:20 Assets 67
02/20/2019 23:20 Funding fu 345
02/20/2019 23:20 fl0017 1
02/20/2019 23:20 Funding fu 345
02/20/2019 23:20 denial 3,466
02/20/2019 23:20 Asset dES 13
02/20/2019 23:20 Asset Name 4
02/20/2019 23:20 FL0005 2
02/20/2019 23:20 NEWHUD2.X205 9
02/20/2019 23:19 Asset Ide 2
02/20/2019 23:19 LE3.x20 1
02/20/2019 23:19 joi 12
02/20/2019 23:19 83 1,004
02/20/2019 23:19 NEWHUD2.X129 9
02/20/2019 23:19 Funding Funder 3
02/20/2019 23:19 Asset Account I 2
02/20/2019 23:19 FR0112 1
02/20/2019 23:19 Funding Funder 3
02/20/2019 23:19 NEWHUD2.X129 9
02/20/2019 23:19 Freddie Mac Total Debt 1
02/20/2019 23:19 Asset Account I 2
02/20/2019 23:19 selects 55
02/20/2019 23:19 isclosure se 766
02/20/2019 23:19 Ass 305
02/20/2019 23:19 Freddie Mac Total Debt 1
02/20/2019 23:19 closed 388
02/20/2019 23:19 Ass 305
02/20/2019 23:19 Freddie Mac Loan To Value (LTV) 12
02/20/2019 23:19 Fees 1,884
02/20/2019 23:19 Freddie Mac Loan To Value (LTV) 12
02/20/2019 23:19 NEWHUD2.X1266 1
02/20/2019 23:19 Freddie Mac Accoun 2
02/20/2019 23:19 NEWHUD2.X1266 1
02/20/2019 23:19 As completed purchase price 1
02/20/2019 23:19 NEWHUD.x1179 1
02/20/2019 23:19 As completed purchase price 1
02/20/2019 23:19 908 73
02/20/2019 23:19 Flood 109
02/20/2019 23:19 907 77
02/20/2019 23:19 docs 526
02/20/2019 23:19 borr cert other re to be sold 1
02/20/2019 23:19 Flood 109
02/20/2019 23:19 907 77
02/20/2019 23:19 Fixed term 1
02/20/2019 23:19 NEWHUD.x1179 1
02/20/2019 23:19 906 75
02/20/2019 23:18 1516 3
02/20/2019 23:18 905 67
02/20/2019 23:18 term 207
02/20/2019 23:18 904 81
02/20/2019 23:18 equifax 177
02/20/2019 23:18 903 71
02/20/2019 23:18 generate 1
02/20/2019 23:18 903 71
02/20/2019 23:18 gif 16
02/20/2019 23:18 901 56
02/20/2019 23:18 id 9,998
02/20/2019 23:18 901 56
02/20/2019 23:18 sub 517
02/20/2019 23:18 900 147
02/20/2019 23:18 Preliminary 48
02/20/2019 23:18 900 147
02/20/2019 23:18 Verif 52
02/20/2019 23:18 Ap 1,336
02/20/2019 23:18 90 day 8
02/20/2019 23:18 Del 176
02/20/2019 23:18 Borrower Indicator 13
02/20/2019 23:18 90 1,066
02/20/2019 23:17 9 9,481
02/20/2019 23:17 894 19
02/20/2019 23:17 880 21
02/20/2019 23:17 interest 286
02/20/2019 23:17 low income 29
02/20/2019 23:17 88 856
02/20/2019 23:17 credit request 21
02/20/2019 23:17 pre payment 252
02/20/2019 23:17 88 856
02/20/2019 23:17 878 20
02/20/2019 23:17 874 32
02/20/2019 23:17 Fee Details 3,618
02/20/2019 23:17 86 435
02/20/2019 23:16 3658 2
02/20/2019 23:16 date received 46
02/20/2019 23:16 858 9
02/20/2019 23:16 subs 30
02/20/2019 23:16 LE3.X12 1
02/20/2019 23:16 858 9
02/20/2019 23:16 adj 10,157
02/20/2019 23:16 85 407
02/20/2019 23:16 ar 6,642
02/20/2019 23:16 newhud.x1721 1
02/20/2019 23:16 85 407
02/20/2019 23:16 Lender Fee Waiver Option 12
02/20/2019 23:16 842 21
02/20/2019 23:16 840 9
02/20/2019 23:16 X71 72
02/20/2019 23:16 840 9
02/20/2019 23:16 2306 2
02/20/2019 23:16 834 63
02/20/2019 23:16 737 32
02/20/2019 23:16 786 29
02/20/2019 23:15 2403 2
02/20/2019 23:15 AR 6,430
02/20/2019 23:15 1811 13
02/20/2019 23:15 172 75
02/20/2019 23:15 28 1,466
02/20/2019 23:15 1400 7
02/20/2019 23:15 loan officer name 5
02/20/2019 23:15 a 29,257
02/20/2019 23:15 1400 7
02/20/2019 23:15 lock request time 50
02/20/2019 23:15 1152 3
02/20/2019 23:15 hmda type 2
02/20/2019 23:15 r 28,850
02/20/2019 23:15 FHA S 262
02/20/2019 23:15 vas 126
02/20/2019 23:15 NEWHUD.X96 12
02/20/2019 23:15 uldd.x139 1
02/20/2019 23:15 milest 35
02/20/2019 23:15 sys.x2 104
02/20/2019 23:15 occupancy intent 3
02/20/2019 23:15 141 103
02/20/2019 23:15 Document.Date 6
02/20/2019 23:14 lock request 6,888
02/20/2019 23:14 Subjec 387
02/20/2019 23:14 GUID 66
02/20/2019 23:14 le1.x1 11
02/20/2019 23:14 l135 1
02/20/2019 23:14 NEWHUD.X1278 1
02/20/2019 23:14 endorsement 44
02/20/2019 23:14 LE2.X30 1
02/20/2019 23:14 apprais 135
02/20/2019 23:14 document type 26
02/20/2019 23:14 qm.x42 1
02/20/2019 23:14 document type 26
02/20/2019 23:14 LE AND se 42
02/20/2019 23:14 disclosure.x507 1
02/20/2019 23:14 newhud2 3,881
02/20/2019 23:14 SEC 1,133
02/20/2019 23:14 HMDA RaC 12
02/20/2019 23:14 Sch 249
02/20/2019 23:14 SEC 1,133
02/20/2019 23:14 VEND.X140 1
02/20/2019 23:14 Property 606
02/20/2019 23:13 Count 573
13,767 of 35,191 Fields in Encompass 19.1 contain '(' Page 1 of 14   Next 1000
Type Field ID Format Opts Description First Chng
Standard 2 DECIMAL_2 Trans Details Total Loan Amt (w/ MIP/FF)
Standard 4 INTEGER Trans Details Term (Mos)
Standard 5 DECIMAL_2 Trans Details Mo Pymt (P&I)
Standard 273 DECIMAL_2 Income Total Base Income (Borr/Co-Borr)
Standard 353 DECIMAL_3 Freddie Mac Loan To Value (LTV) 14.2
Standard 435 DECIMAL_2 Fees Total Payable Items (Broker/Lender)
Standard 901 DECIMAL_2 Income Total Base Income (Borr/Co-Borr)
Standard 902 DECIMAL_2 Income Total Overtime (Borr/Co-Borr)
Standard 903 DECIMAL_2 Income Total Bonuses (Borr/Co-Borr)
Standard 904 DECIMAL_2 Income Total Commissions (Borr/Co-Borr)
Standard 905 DECIMAL_2 Income Total Div/Int (Borr/Co-Borr)
Standard 906 DECIMAL_2 Income Total Net Rent Income (Borr/Co-Borr)
Standard 907 DECIMAL_2 Income Total Other 1 (Borr/Co-Borr)
Standard 908 DECIMAL_2 Income Total Other 2 (Borr/Co-Borr)
Standard 975 DECIMAL_3 Freddie Mac Total Loan to Value (TLTV) 14.2
Standard 976 DECIMAL_3 Trans Details Comb Loan to Value (CLTV)
Standard 1168 DECIMAL_2 Income Total Other Income (Borr/Co-Borr)
Standard 1171 DECIMAL_2 Income Total Positive Cash Flow (Borr/Co-Borr)
Standard 1389 DECIMAL_2 Income Total Mo Income (Borr/Co-Borr)
Standard 1815 DECIMAL_2 Income Borr Other Income 2 (User Defined)
Standard 1816 DECIMAL_2 Income Co-Borr Other Income 2 (User Defined)
Standard 1817 DECIMAL_2 Income Total Other Income (User Defined)
Standard 2580 INTEGER Closing Docs Mfg Home Length (Ft)
Standard 2581 INTEGER Closing Docs Mfg Home Width (Ft)
Standard 3199 YN 2 Continuous Money Loan (Texas Only)
Standard 3241 DECIMAL_3 Lock Request Loan to Value (LTV)
Standard 3242 DECIMAL_3 Lock RequestCOmbined Loan to Value (CLTV)
Standard 3347 STRING VA 261805 E-Mail Address (to be Notified When Appraisal Uploaded)
Standard 3349 STRING VA 261805 Applicable Point of Contact (POC) Information Name
Standard 3350 STRING VA 261805 Applicable Point of Contact (POC) Information Address
Standard 3351 STRING VA 261805 Applicable Point of Contact (POC) Information City
Standard 3352 STATE VA 261805 Applicable Point of Contact (POC) Information State
Standard 3353 ZIPCODE VA 261805 Applicable Point of Contact (POC) Information Zipcode
Standard 3354 PHONE VA 261805 Applicable Point of Contact (POC) Information Phone
Standard 3845 DECIMAL_2 Lock Request FHA 203k D2 Lesser of Sum(A2+B14)/A4 9.1
Standard 4086 YN 2 Trans Details Required Interest Reserve (Compound Interest) 16.1
Standard 4091 STRING 2 File Contacts Appraisal Co Appraisal Made (As Is or As Improved) 16.1
Standard 4180 DECIMAL_2 VA Maximum Seller Contribution (4%) 17.2
Standard AP.WF.EVNT.DOCREVIEW DATETIME Appraiser Sent Doc(s) for Review 19.1
Standard AUS.X10 STRING AUS Tracking - Doc Class (Freddie) 9.1
Standard AUS.X160 DECIMAL_2 AUS Tracking - Freddie Mac - Proposed Housing (PITI) 9.1 16.1
Standard AUSF.X22 STRING Last Snapshot - AUS Tracking - Freddie Mac LPA - LoanProcessingInformation (HA) 17.3
Standard AUSF.X23 STRING Last Snapshot - AUS Tracking - Freddie Mac LPA - LoanProcessingInformation (GO) 17.3
Standard AUSF.X24 STRING Last Snapshot - AUS Tracking - Freddie Mac LPA - LoanProcessingInformation (D4) 17.3
Standard AUSF.X25 STRING Last Snapshot - AUS Tracking - Freddie Mac LPA - DocumentationGuidelineMessages (8Y) 17.3
Standard AUSF.X26 STRING Last Snapshot - AUS Tracking - Freddie Mac LPA - DocumentationGuidelineMessages (CN) 17.3
Standard AUSF.X27 STRING Last Snapshot - AUS Tracking - Freddie Mac LPA - DocumentationGuidelineMessages (CP) 17.3
Standard AUSF.X28 STRING Last Snapshot - AUS Tracking - Freddie Mac LPA - DocumentationGuidelineMessages (CV) 17.3
Standard AUSF.X29 STRING Last Snapshot - AUS Tracking - Freddie Mac LPA - DocumentationGuidelineMessages (CZ) 17.3
Standard AUSF.X30 STRING Last Snapshot - AUS Tracking - Freddie Mac LPA - DocumentationGuidelineMessages (X1) 17.3
Standard AUSF.X31 STRING Last Snapshot - AUS Tracking - Freddie Mac LPA - DocumentationGuidelineMessages (X3) 17.3
Standard AUSF.X32 STRING Last Snapshot - AUS Tracking - Freddie Mac LPA - DocumentationGuidelineMessages (X5) 17.3
Standard AUSF.X33 STRING Last Snapshot - AUS Tracking - Freddie Mac LPA - DocumentationGuidelineMessages (X7) 17.3
Standard AUSF.X34 STRING Last Snapshot - AUS Tracking - Freddie Mac LPA - DocumentationGuidelineMessages (XA) 17.3
Standard AUSF.X35 STRING Last Snapshot - AUS Tracking - Freddie Mac LPA - DocumentationGuidelineMessages (XM) 17.3
Standard AUSF.X36 STRING Last Snapshot - AUS Tracking - Freddie Mac LPA - DocumentationGuidelineMessages (XP) 17.3
Standard AUSF.X37 STRING Last Snapshot - AUS Tracking - Freddie Mac LPA - DocumentationGuidelineMessages (XR) 17.3
Standard AUSF.X38 STRING Last Snapshot - AUS Tracking - Freddie Mac LPA - DocumentationGuidelineMessages (XT) 17.3
Standard AUSF.X39 STRING Last Snapshot - AUS Tracking - Freddie Mac LPA - DocumentationGuidelineMessages (Y8) 17.3
Standard AUSF.X40 STRING Last Snapshot - AUS Tracking - Freddie Mac LPA - DocumentationGuidelineMessages (YG) 17.3
Standard AUSF.X41 STRING Last Snapshot - AUS Tracking - Freddie Mac LPA - DocumentationGuidelineMessages (YJ) 17.3
Standard AUSF.X42 STRING Last Snapshot - AUS Tracking - Freddie Mac LPA - LoanProcessingInformation (MA) 17.3
Standard AUSF.X43 STRING Last Snapshot - AUS Tracking - Freddie Mac LPA - LoanProcessingInformation (LE) 17.3
Standard AUSF.X44 STRING Last Snapshot - AUS Tracking - Freddie Mac LPA - LoanProcessingInformation (LF) 17.3
Standard AUSF.X45 STRING Last Snapshot - AUS Tracking - Freddie Mac LPA - DocumentationGuidelineMessages (DZ) 17.3
Standard AUSF.X46 STRING Last Snapshot - AUS Tracking - Freddie Mac LPA - DocumentationGuidelineMessages (QJ) 17.3
Standard AUSF.X47 STRING Last Snapshot - AUS Tracking - Freddie Mac LPA - DocumentationGuidelineMessages (JF) 17.3
Standard AUSF.X48 STRING Last Snapshot - AUS Tracking - Freddie Mac LPA - DocumentationGuidelineMessages (QN) 17.3
Standard AUSF.X49 STRING Last Snapshot - AUS Tracking - Freddie Mac LPA - DocumentationGuidelineMessages (U7) 17.3
Standard AUSF.X5 STRING AUS Tracking - Latest Submission - Doc Class (Freddie) 9.1
Standard AUSF.X50 STRING Last Snapshot - AUS Tracking - Freddie Mac LPA - DocumentationGuidelineMessages (QQ) 17.3
Standard AUSF.X51 STRING Last Snapshot - AUS Tracking - Freddie Mac LPA - DocumentationGuidelineMessages (E5) 17.3
Standard AUSF.X52 STRING Last Snapshot - AUS Tracking - Freddie Mac LPA - DocumentationGuidelineMessages (QS) 17.3
Standard AUSF.X53 STRING Last Snapshot - AUS Tracking - Freddie Mac LPA - DocumentationGuidelineMessages (IM) 17.3
Standard AUSF.X54 STRING Last Snapshot - AUS Tracking - Freddie Mac LPA - DocumentationGuidelineMessages (IQ) 17.3
Standard AUSF.X55 STRING Last Snapshot - AUS Tracking - Freddie Mac LPA - DocumentationGuidelineMessages (4V) 17.3
Standard AUSF.X56 STRING Last Snapshot - AUS Tracking - Freddie Mac LPA - DocumentationGuidelineMessages (5C) 17.3
Standard AUSF.X57 STRING Last Snapshot - AUS Tracking - Freddie Mac LPA - DocumentationGuidelineMessages (CY) 17.3
Standard AUSF.X58 STRING Last Snapshot - AUS Tracking - Freddie Mac LPA - DocumentationGuidelineMessages (DP) 17.3
Standard AUSF.X59 STRING Last Snapshot - AUS Tracking - Freddie Mac LPA - DocumentationGuidelineMessages (YY) 17.3
Standard AUSF.X60 STRING Last Snapshot - AUS Tracking - Freddie Mac LPA - DocumentationGuidelineMessages (YZ) 17.3
Virtual AUSTRACKING.AUS.X10 STRING Last Snapshot - AUS Tracking - Doc Class (Freddie) 9.1 15.1 15.2 16.1
Virtual AUSTRACKING.AUS.X160 DECIMAL_2 Last Snapshot - AUS Tracking - Freddie Mac - Proposed Housing (PITI) 15.1 15.2 16.1
Standard CASASRN.X31 STRING Freddie Mac AccountChek Asset ID (Bor) 16.2
Standard CASASRN.X32 STRING Freddie Mac AccountChek Asset ID (CoBor) 16.2
Standard CD1.X67 YN 2 Closing Disclosure - Interest Rate dependent charges (Rate Lock) 15.1
Standard CD1.X72 YN 2 Closing Disclosure - Not a Natural Person (legal entity) Flag 16.2
Standard CD2.XSTJ DECIMAL_2 Closing disclosure - J. Total Closing Costs (BORROWER Paid) 15.1
Standard CD3.X1000 STRING 26 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Account Type - Line 09 16.2 17.4
Standard CD3.X1001 STRING Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Description - Line 10 16.2
Standard CD3.X1002 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Amount - Line 10 16.2
Standard CD3.X1003 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date From - Line 10 16.2
Standard CD3.X1004 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date To - Line 10 16.2
Standard CD3.X1005 STRING 26 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Account Type - Line 10 16.2 17.4
Standard CD3.X1006 STRING Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Description - Line 11 16.2
Standard CD3.X1007 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Amount - Line 11 16.2
Standard CD3.X1008 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date From - Line 11 16.2
Standard CD3.X1009 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date To - Line 11 16.2
Standard CD3.X1010 STRING 26 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Account Type - Line 11 16.2 17.4
Standard CD3.X1011 STRING Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Description - Line 12 16.2
Standard CD3.X1012 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Amount - Line 12 16.2
Standard CD3.X1013 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date From - Line 12 16.2
Standard CD3.X1014 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date To - Line 12 16.2
Standard CD3.X1015 STRING 26 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Account Type - Line 12 16.2 17.4
Standard CD3.X1016 STRING Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Description - Line 13 16.2
Standard CD3.X1017 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Amount - Line 13 16.2
Standard CD3.X1018 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date From - Line 13 16.2
Standard CD3.X1019 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date To - Line 13 16.2
Standard CD3.X1020 STRING 26 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Account Type - Line 13 16.2 17.4
Standard CD3.X1021 STRING Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Description - Line 14 16.2
Standard CD3.X1022 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Amount - Line 14 16.2
Standard CD3.X1023 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date From - Line 14 16.2
Standard CD3.X1024 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date To - Line 14 16.2
Standard CD3.X1025 STRING 26 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Account Type - Line 14 16.2 17.4
Standard CD3.X1026 STRING Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Description - Line 15 16.2
Standard CD3.X1027 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Amount - Line 15 16.2
Standard CD3.X1028 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date From - Line 15 16.2
Standard CD3.X1029 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date To - Line 15 16.2
Standard CD3.X1030 STRING 26 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Account Type - Line 15 16.2 17.4
Standard CD3.X1031 STRING Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Description - Line 16 16.2
Standard CD3.X1032 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Amount - Line 16 16.2
Standard CD3.X1033 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date From - Line 16 16.2
Standard CD3.X1034 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date To - Line 16 16.2
Standard CD3.X1035 STRING 26 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Account Type - Line 16 16.2 17.4
Standard CD3.X1036 STRING Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Description - Line 17 16.2
Standard CD3.X1037 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Amount - Line 17 16.2
Standard CD3.X1038 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date From - Line 17 16.2
Standard CD3.X1039 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date To - Line 17 16.2
Standard CD3.X1040 STRING 26 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Account Type - Line 17 16.2 17.4
Standard CD3.X1041 STRING Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Description - Line 18 16.2
Standard CD3.X1042 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Amount - Line 18 16.2
Standard CD3.X1043 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date From - Line 18 16.2
Standard CD3.X1044 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date To - Line 18 16.2
Standard CD3.X1045 STRING 26 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Account Type - Line 18 16.2 17.4
Standard CD3.X1048 STRING 7 Closing Disclosure Page 3 - Due from Seller at Closing - Payoffs (line 6) - Fee Account Type - Line 01 16.2
Standard CD3.X1049 STRING Closing Disclosure Page 3 - Due from Seller at Closing - Payoffs (line 6) - Fee Description - Line 02 16.2
Standard CD3.X1050 DECIMAL_2 Closing Disclosure Page 3 - Due from Seller at Closing - Payoffs (line 6) - Fee Amount - Line 02 16.2
Standard CD3.X1051 STRING 7 Closing Disclosure Page 3 - Due from Seller at Closing - Payoffs (line 6) - Fee Account Type - Line 02 16.2
Standard CD3.X1052 STRING Closing Disclosure Page 3 - Due from Seller at Closing - Payoffs (line 6) - Fee Description - Line 03 16.2
Standard CD3.X1053 DECIMAL_2 Closing Disclosure Page 3 - Due from Seller at Closing - Payoffs (line 6) - Fee Amount - Line 03 16.2
Standard CD3.X1054 STRING 7 Closing Disclosure Page 3 - Due from Seller at Closing - Payoffs (line 6) - Fee Account Type - Line 03 16.2
Standard CD3.X1055 STRING Closing Disclosure Page 3 - Due from Seller at Closing - Payoffs (line 6) - Fee Description - Line 04 16.2
Standard CD3.X1056 DECIMAL_2 Closing Disclosure Page 3 - Due from Seller at Closing - Payoffs (line 6) - Fee Amount - Line 04 16.2
Standard CD3.X1057 STRING 7 Closing Disclosure Page 3 - Due from Seller at Closing - Payoffs (line 6) - Fee Account Type - Line 04 16.2
Standard CD3.X1058 STRING Closing Disclosure Page 3 - Due from Seller at Closing - Payoffs (line 6) - Fee Description - Line 05 16.2
Standard CD3.X1059 DECIMAL_2 Closing Disclosure Page 3 - Due from Seller at Closing - Payoffs (line 6) - Fee Amount - Line 05 16.2
Standard CD3.X1060 STRING 7 Closing Disclosure Page 3 - Due from Seller at Closing - Payoffs (line 6) - Fee Account Type - Line 05 16.2
Standard CD3.X1061 STRING Closing Disclosure Page 3 - Due from Seller at Closing - Payoffs (line 6) - Fee Description - Line 06 16.2
Standard CD3.X1062 DECIMAL_2 Closing Disclosure Page 3 - Due from Seller at Closing - Payoffs (line 6) - Fee Amount - Line 06 16.2
Standard CD3.X1063 STRING 7 Closing Disclosure Page 3 - Due from Seller at Closing - Payoffs (line 6) - Fee Account Type - Line 06 16.2
Standard CD3.X1064 STRING Closing Disclosure Page 3 - Due from Seller at Closing - Payoffs (line 6) - Fee Description - Line 07 16.2
Standard CD3.X1065 DECIMAL_2 Closing Disclosure Page 3 - Due from Seller at Closing - Payoffs (line 6) - Fee Amount - Line 07 16.2
Standard CD3.X1066 STRING 7 Closing Disclosure Page 3 - Due from Seller at Closing - Payoffs (line 6) - Fee Account Type - Line 07 16.2
Standard CD3.X1067 STRING Closing Disclosure Page 3 - Due from Seller at Closing - Payoffs (line 7) - Fee Description - Line 01 16.2
Standard CD3.X1068 DECIMAL_2 Closing Disclosure Page 3 - Due from Seller at Closing - Payoffs (line 7) - Fee Amount - Line 01 16.2
Standard CD3.X1069 STRING 7 Closing Disclosure Page 3 - Due from Seller at Closing - Payoffs (line 7) - Fee Account Type - Line 01 16.2
Standard CD3.X1070 STRING Closing Disclosure Page 3 - Due from Seller at Closing - Payoffs (line 7) - Fee Description - Line 02 16.2
Standard CD3.X1071 DECIMAL_2 Closing Disclosure Page 3 - Due from Seller at Closing - Payoffs (line 7) - Fee Amount - Line 02 16.2
Standard CD3.X1072 STRING 7 Closing Disclosure Page 3 - Due from Seller at Closing - Payoffs (line 7) - Fee Account Type - Line 02 16.2
Standard CD3.X1073 STRING Closing Disclosure Page 3 - Due from Seller at Closing - Payoffs (line 7) - Fee Description - Line 03 16.2
Standard CD3.X1074 DECIMAL_2 Closing Disclosure Page 3 - Due from Seller at Closing - Payoffs (line 7) - Fee Amount - Line 03 16.2
Standard CD3.X1075 STRING 7 Closing Disclosure Page 3 - Due from Seller at Closing - Payoffs (line 7) - Fee Account Type - Line 03 16.2
Standard CD3.X1076 STRING Closing Disclosure Page 3 - Due from Seller at Closing - Payoffs (line 7) - Fee Description - Line 04 16.2
Standard CD3.X1077 DECIMAL_2 Closing Disclosure Page 3 - Due from Seller at Closing - Payoffs (line 7) - Fee Amount - Line 04 16.2
Standard CD3.X1078 STRING 7 Closing Disclosure Page 3 - Due from Seller at Closing - Payoffs (line 7) - Fee Account Type - Line 04 16.2
Standard CD3.X1079 STRING Closing Disclosure Page 3 - Due from Seller at Closing - Payoffs (line 7) - Fee Description - Line 05 16.2
Standard CD3.X1080 DECIMAL_2 Closing Disclosure Page 3 - Due from Seller at Closing - Payoffs (line 7) - Fee Amount - Line 05 16.2
Standard CD3.X1081 STRING 7 Closing Disclosure Page 3 - Due from Seller at Closing - Payoffs (line 7) - Fee Account Type - Line 05 16.2
Standard CD3.X1082 STRING Closing Disclosure Page 3 - Due from Seller at Closing - Payoffs (line 7) - Fee Description - Line 06 16.2
Standard CD3.X1083 DECIMAL_2 Closing Disclosure Page 3 - Due from Seller at Closing - Payoffs (line 7) - Fee Amount - Line 06 16.2
Standard CD3.X1084 STRING 7 Closing Disclosure Page 3 - Due from Seller at Closing - Payoffs (line 7) - Fee Account Type - Line 06 16.2
Standard CD3.X1085 STRING Closing Disclosure Page 3 - Due from Seller at Closing - Payoffs (line 7) - Fee Description - Line 07 16.2
Standard CD3.X1086 DECIMAL_2 Closing Disclosure Page 3 - Due from Seller at Closing - Payoffs (line 7) - Fee Amount - Line 07 16.2
Standard CD3.X1087 STRING 7 Closing Disclosure Page 3 - Due from Seller at Closing - Payoffs (line 7) - Fee Account Type - Line 07 16.2
Standard CD3.X1090 STRING 9 Closing Disclosure Page 3 - Due from Seller at Closing - Other Items (line 9) - Fee Account Type - Line 01 16.2
Standard CD3.X1117 STRING 9 Closing Disclosure Page 3 - Due from Seller at Closing - Other Items (line 10) - Fee Account Type - Line 01 16.2
Standard CD3.X1144 STRING 9 Closing Disclosure Page 3 - Due from Seller at Closing - Other Items (line 11) - Fee Account Type - Line 01 16.2
Standard CD3.X1171 STRING 9 Closing Disclosure Page 3 - Due from Seller at Closing - Other Items (line 12) - Fee Account Type - Line 01 16.2
Standard CD3.X1196 STRING Closing Disclosure Page 3 - Due from Seller at Closing - Other Items (line 13) - Fee Description - Line 01 16.2
Standard CD3.X1197 DECIMAL_2 Closing Disclosure Page 3 - Due from Seller at Closing - Other Items (line 13) - Fee Amount - Line 01 16.2
Standard CD3.X1198 STRING 9 Closing Disclosure Page 3 - Due from Seller at Closing - Other Items (line 13) - Fee Account Type - Line 01 16.2
Standard CD3.X1199 STRING Closing Disclosure Page 3 - Due from Seller at Closing - Other Items (line 13) - Fee Description - Line 02 16.2
Standard CD3.X1200 DECIMAL_2 Closing Disclosure Page 3 - Due from Seller at Closing - Other Items (line 13) - Fee Amount - Line 02 16.2
Standard CD3.X1201 STRING 9 Closing Disclosure Page 3 - Due from Seller at Closing - Other Items (line 13) - Fee Account Type - Line 02 16.2
Standard CD3.X1202 STRING Closing Disclosure Page 3 - Due from Seller at Closing - Other Items (line 13) - Fee Description - Line 03 16.2
Standard CD3.X1203 DECIMAL_2 Closing Disclosure Page 3 - Due from Seller at Closing - Other Items (line 13) - Fee Amount - Line 03 16.2
Standard CD3.X1204 STRING 9 Closing Disclosure Page 3 - Due from Seller at Closing - Other Items (line 13) - Fee Account Type - Line 03 16.2
Standard CD3.X1205 STRING Closing Disclosure Page 3 - Due from Seller at Closing - Other Items (line 13) - Fee Description - Line 04 16.2
Standard CD3.X1206 DECIMAL_2 Closing Disclosure Page 3 - Due from Seller at Closing - Other Items (line 13) - Fee Amount - Line 04 16.2
Standard CD3.X1207 STRING 9 Closing Disclosure Page 3 - Due from Seller at Closing - Other Items (line 13) - Fee Account Type - Line 04 16.2
Standard CD3.X1208 STRING Closing Disclosure Page 3 - Due from Seller at Closing - Other Items (line 13) - Fee Description - Line 05 16.2
Standard CD3.X1209 DECIMAL_2 Closing Disclosure Page 3 - Due from Seller at Closing - Other Items (line 13) - Fee Amount - Line 05 16.2
Standard CD3.X1210 STRING 9 Closing Disclosure Page 3 - Due from Seller at Closing - Other Items (line 13) - Fee Account Type - Line 05 16.2
Standard CD3.X1211 STRING Closing Disclosure Page 3 - Due from Seller at Closing - Other Items (line 13) - Fee Description - Line 06 16.2
Standard CD3.X1212 DECIMAL_2 Closing Disclosure Page 3 - Due from Seller at Closing - Other Items (line 13) - Fee Amount - Line 06 16.2
Standard CD3.X1213 STRING 9 Closing Disclosure Page 3 - Due from Seller at Closing - Other Items (line 13) - Fee Account Type - Line 06 16.2
Standard CD3.X1214 STRING Closing Disclosure Page 3 - Due from Seller at Closing - Other Items (line 13) - Fee Description - Line 07 16.2
Standard CD3.X1215 DECIMAL_2 Closing Disclosure Page 3 - Due from Seller at Closing - Other Items (line 13) - Fee Amount - Line 07 16.2
Standard CD3.X1216 STRING 9 Closing Disclosure Page 3 - Due from Seller at Closing - Other Items (line 13) - Fee Account Type - Line 07 16.2
Standard CD3.X1217 STRING Closing Disclosure Page 3 - Due from Seller at Closing - Other Items (line 13) - Fee Description - Line 08 16.2
Standard CD3.X1218 DECIMAL_2 Closing Disclosure Page 3 - Due from Seller at Closing - Other Items (line 13) - Fee Amount - Line 08 16.2
Standard CD3.X1219 STRING 9 Closing Disclosure Page 3 - Due from Seller at Closing - Other Items (line 13) - Fee Account Type - Line 08 16.2
Standard CD3.X1220 STRING Closing Disclosure Page 3 - Due from Seller at Closing - Other Items (line 13) - Fee Description - Line 09 16.2
Standard CD3.X1221 DECIMAL_2 Closing Disclosure Page 3 - Due from Seller at Closing - Other Items (line 13) - Fee Amount - Line 09 16.2
Standard CD3.X1222 STRING 9 Closing Disclosure Page 3 - Due from Seller at Closing - Other Items (line 13) - Fee Account Type - Line 09 16.2
Standard CD3.X1225 STRING 3 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller, Taxes and Assessments (line 14) - Fee Account Type 16.2
Standard CD3.X1228 STRING 2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller, Taxes and Assessments (line 15) - Fee Account Type 16.2
Standard CD3.X1231 STRING 3 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller, Taxes and Assessments (line 16) - Fee Account Type 16.2
Standard CD3.X1234 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Date From - Line 01 16.2
Standard CD3.X1235 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Date To - Line 01 16.2
Standard CD3.X1236 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Account Type - Line 01 16.2
Standard CD3.X1324 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 18) - Fee Date From - Line 01 16.2
Standard CD3.X1325 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 18) - Fee Date To - Line 01 16.2
Standard CD3.X1326 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 18) - Fee Account Type - Line 01 16.2
Standard CD3.X139 STRING Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Description - Line 1 16.2
Standard CD3.X140 DECIMAL_2 Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Amount - Line 1 16.2
Standard CD3.X141 STRING Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Paid to - Line 1 16.2
Standard CD3.X1412 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Description - Line 01 16.2
Standard CD3.X1413 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Amount - Line 01 16.2
Standard CD3.X1414 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date From - Line 01 16.2
Standard CD3.X1415 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date To - Line 01 16.2
Standard CD3.X1416 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Account Type - Line 01 16.2
Standard CD3.X1417 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Description - Line 02 16.2
Standard CD3.X1418 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Amount - Line 02 16.2
Standard CD3.X1419 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date From - Line 02 16.2
Standard CD3.X142 STRING 21 Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Account Type - Line 1 16.2
Standard CD3.X1420 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date To - Line 02 16.2
Standard CD3.X1421 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Account Type - Line 02 16.2
Standard CD3.X1422 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Description - Line 03 16.2
Standard CD3.X1423 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Amount - Line 03 16.2
Standard CD3.X1424 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date From - Line 03 16.2
Standard CD3.X1425 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date To - Line 03 16.2
Standard CD3.X1426 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Account Type - Line 03 16.2
Standard CD3.X1427 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Description - Line 04 16.2
Standard CD3.X1428 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Amount - Line 04 16.2
Standard CD3.X1429 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date From - Line 04 16.2
Standard CD3.X143 STRING Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Description - Line 2 16.2
Standard CD3.X1430 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date To - Line 04 16.2
Standard CD3.X1431 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Account Type - Line 04 16.2
Standard CD3.X1432 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Description - Line 05 16.2
Standard CD3.X1433 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Amount - Line 05 16.2
Standard CD3.X1434 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date From - Line 05 16.2
Standard CD3.X1435 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date To - Line 05 16.2
Standard CD3.X1436 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Account Type - Line 05 16.2
Standard CD3.X1437 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Description - Line 06 16.2
Standard CD3.X1438 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Amount - Line 06 16.2
Standard CD3.X1439 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date From - Line 06 16.2
Standard CD3.X144 DECIMAL_2 Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Amount - Line 2 16.2
Standard CD3.X1440 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date To - Line 06 16.2
Standard CD3.X1441 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Account Type - Line 06 16.2
Standard CD3.X1442 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Description - Line 07 16.2
Standard CD3.X1443 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Amount - Line 07 16.2
Standard CD3.X1444 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date From - Line 07 16.2
Standard CD3.X1445 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date To - Line 07 16.2
Standard CD3.X1446 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Account Type - Line 07 16.2
Standard CD3.X1447 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Description - Line 08 16.2
Standard CD3.X1448 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Amount - Line 08 16.2
Standard CD3.X1449 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date From - Line 08 16.2
Standard CD3.X145 STRING Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Paid to - Line 2 16.2
Standard CD3.X1450 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date To - Line 08 16.2
Standard CD3.X1451 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Account Type - Line 08 16.2
Standard CD3.X1452 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Description - Line 09 16.2
Standard CD3.X1453 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Amount - Line 09 16.2
Standard CD3.X1454 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date From - Line 09 16.2
Standard CD3.X1455 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date To - Line 09 16.2
Standard CD3.X1456 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Account Type - Line 09 16.2
Standard CD3.X1457 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Description - Line 10 16.2
Standard CD3.X1458 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Amount - Line 10 16.2
Standard CD3.X1459 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date From - Line 10 16.2
Standard CD3.X146 STRING 21 Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Account Type - Line 2 16.2
Standard CD3.X1460 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date To - Line 10 16.2
Standard CD3.X1461 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Account Type - Line 10 16.2
Standard CD3.X1462 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Description - Line 11 16.2
Standard CD3.X1463 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Amount - Line 11 16.2
Standard CD3.X1464 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date From - Line 11 16.2
Standard CD3.X1465 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date To - Line 11 16.2
Standard CD3.X1466 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Account Type - Line 11 16.2
Standard CD3.X1467 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Description - Line 12 16.2
Standard CD3.X1468 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Amount - Line 12 16.2
Standard CD3.X1469 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date From - Line 12 16.2
Standard CD3.X147 STRING Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Description - Line 3 16.2
Standard CD3.X1470 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date To - Line 12 16.2
Standard CD3.X1471 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Account Type - Line 12 16.2
Standard CD3.X1472 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Description - Line 13 16.2
Standard CD3.X1473 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Amount - Line 13 16.2
Standard CD3.X1474 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date From - Line 13 16.2
Standard CD3.X1475 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date To - Line 13 16.2
Standard CD3.X1476 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Account Type - Line 13 16.2
Standard CD3.X1477 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Description - Line 14 16.2
Standard CD3.X1478 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Amount - Line 14 16.2
Standard CD3.X1479 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date From - Line 14 16.2
Standard CD3.X148 DECIMAL_2 Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Amount - Line 3 16.2
Standard CD3.X1480 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date To - Line 14 16.2
Standard CD3.X1481 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Account Type - Line 14 16.2
Standard CD3.X1482 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Description - Line 15 16.2
Standard CD3.X1483 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Amount - Line 15 16.2
Standard CD3.X1484 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date From - Line 15 16.2
Standard CD3.X1485 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date To - Line 15 16.2
Standard CD3.X1486 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Account Type - Line 15 16.2
Standard CD3.X1487 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Description - Line 16 16.2
Standard CD3.X1488 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Amount - Line 16 16.2
Standard CD3.X1489 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date From - Line 16 16.2
Standard CD3.X149 STRING Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Paid to - Line 3 16.2
Standard CD3.X1490 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date To - Line 16 16.2
Standard CD3.X1491 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Account Type - Line 16 16.2
Standard CD3.X1492 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Description - Line 17 16.2
Standard CD3.X1493 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Amount - Line 17 16.2
Standard CD3.X1494 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date From - Line 17 16.2
Standard CD3.X1495 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date To - Line 17 16.2
Standard CD3.X1496 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Account Type - Line 17 16.2
Standard CD3.X1497 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Description - Line 18 16.2
Standard CD3.X1498 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Amount - Line 18 16.2
Standard CD3.X1499 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date From - Line 18 16.2
Standard CD3.X150 STRING 21 Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Account Type - Line 3 16.2
Standard CD3.X1500 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Date To - Line 18 16.2
Standard CD3.X1501 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Account Type - Line 18 16.2
Standard CD3.X1507 STRING 4 Closing Disclosure Page 3 - Section K - Paid By (line 5) - Line 1 17.3
Standard CD3.X1508 STRING 4 Closing Disclosure Page 3 - Section K - Paid By (line 6) - Line 1 17.3
Standard CD3.X1509 STRING 4 Closing Disclosure Page 3 - Section K - Paid By (line 7) - Line 1 17.3
Standard CD3.X151 STRING Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Description - Line 4 16.2
Standard CD3.X1510 STRING 4 Closing Disclosure Page 3 - Section K - Paid By (line 7) - Line 2 17.3
Standard CD3.X1511 STRING 4 Closing Disclosure Page 3 - Section K - Paid By (line 7) - Line 3 17.3
Standard CD3.X1512 STRING 4 Closing Disclosure Page 3 - Section K- Paid By (line 7) - Line 4 17.3
Standard CD3.X1513 STRING 4 Closing Disclosure Page 3 - Section K - Paid By (line 7) - Line 5 17.3
Standard CD3.X1514 STRING 4 Closing Disclosure Page 3 - Section K - Paid By (line 7) - Line 6 17.3
Standard CD3.X1515 STRING 4 Closing Disclosure Page 3 - Section L - Paid By (line 4) - Line 1 17.3
Standard CD3.X1516 STRING 4 Closing Disclosure Page 3 - Section L - Paid By (line 4) - Line 2 17.3
Standard CD3.X1517 STRING 4 Closing Disclosure Page 3 - Section L - Paid By (line 6) - Line 1 17.3
Standard CD3.X1518 STRING 4 Closing Disclosure Page 3 - Section L - Paid By (line 7) - Line 1 17.3
Standard CD3.X1519 STRING 4 Closing Disclosure Page 3 - Section L - Paid By (line 7) - Line 2 17.3
Standard CD3.X152 DECIMAL_2 Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Amount - Line 4 16.2
Standard CD3.X1520 STRING 4 Closing Disclosure Page 3 - Section L - Paid By (line 7) - Line 3 17.3
Standard CD3.X1521 STRING 4 Closing Disclosure Page 3 - Section L - Paid By (line 7) - Line 4 17.3
Standard CD3.X1522 STRING 4 Closing Disclosure Page 3 - Section L - Paid By (line 8) - Line 1 17.3
Standard CD3.X1523 STRING 4 Closing Disclosure Page 3 - Section L - Paid By (line 9) - Line 1 17.3
Standard CD3.X1524 STRING 4 Closing Disclosure Page 3 - Section L - Paid By (line 10) - Line 1 17.3
Standard CD3.X1525 STRING 4 Closing Disclosure Page 3 - Section L - Paid By (line 11) - Line 1 17.3
Standard CD3.X1526 STRING 4 Closing Disclosure Page 3 - Section L - Paid By (line 11) - Line 2 17.3
Standard CD3.X1527 STRING 4 Closing Disclosure Page 3 - Section L - Paid By (line 11) - Line 3 17.3
Standard CD3.X1528 STRING 4 Closing Disclosure Page 3 - Section L - Paid By (line 11) - Line 4 17.3
Standard CD3.X1529 STRING 4 Closing Disclosure Page 3 - Section M - Paid By (line 3) - Line 1 17.3
Standard CD3.X153 STRING Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Paid to - Line 4 16.2
Standard CD3.X1530 STRING 4 Closing Disclosure Page 3 - Section M - Paid By (line 4) - Line 1 17.3
Standard CD3.X1531 STRING 4 Closing Disclosure Page 3 - Section M - Paid By (line 5) - Line 1 17.3
Standard CD3.X1532 STRING 4 Closing Disclosure Page 3 - Section M - Paid By (line 6) - Line 1 17.3
Standard CD3.X1533 STRING 4 Closing Disclosure Page 3 - Section M - Paid By (line 7) - Line 1 17.3
Standard CD3.X1534 STRING 4 Closing Disclosure Page 3 - Section M - Paid By (line 8) - Line 1 17.3
Standard CD3.X1535 STRING 4 Closing Disclosure Page 3 - Section M - Paid By (line 8) - Line 2 17.3
Standard CD3.X1536 STRING 4 Closing Disclosure Page 3 - Section M - Paid By (line 8) - Line 3 17.3
Standard CD3.X1537 STRING 4 Closing Disclosure Page 3 - Section M - Paid By (line 8) - Line 4 17.3
Standard CD3.X1538 STRING 4 Closing Disclosure Page 3 - Section M - Paid By (line 8) - Line 5 17.3
Standard CD3.X1539 STRING 4 Closing Disclosure Page 3 - Section M - Paid By (line 8) - Line 6 17.3
Standard CD3.X154 STRING 21 Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Account Type - Line 4 16.2
Standard CD3.X1540 YN 2 Closing Disclosure Page 3 - Section L - Paid Already by or on Behalf of Borrower at Closing (line 4) - Fee POC - Line 1 17.3
Standard CD3.X1541 YN 2 Closing Disclosure Page 3 - Section L - Paid Already by or on Behalf of Borrower at Closing (line 4) - Fee POC - Line 2 17.3
Standard CD3.X155 STRING Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Description - Line 5 16.2
Standard CD3.X156 DECIMAL_2 Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Amount - Line 5 16.2
Standard CD3.X157 STRING Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Paid to - Line 5 16.2
Standard CD3.X158 STRING 21 Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Account Type - Line 5 16.2
Standard CD3.X159 STRING Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Description - Line 6 16.2
Standard CD3.X160 DECIMAL_2 Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Amount - Line 6 16.2
Standard CD3.X161 STRING Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Paid to - Line 6 16.2
Standard CD3.X162 STRING 21 Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Account Type - Line 6 16.2
Standard CD3.X163 STRING Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Description - Line 7 16.2
Standard CD3.X164 DECIMAL_2 Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Amount - Line 7 16.2
Standard CD3.X165 STRING Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Paid to - Line 7 16.2
Standard CD3.X166 STRING 21 Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Account Type - Line 7 16.2
Standard CD3.X167 STRING Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Description - Line 8 16.2
Standard CD3.X168 DECIMAL_2 Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Amount - Line 8 16.2
Standard CD3.X169 STRING Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Paid to - Line 8 16.2
Standard CD3.X170 STRING 21 Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Account Type - Line 8 16.2
Standard CD3.X171 STRING Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Description - Line 9 16.2
Standard CD3.X172 DECIMAL_2 Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Amount - Line 9 16.2
Standard CD3.X173 STRING Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Paid to - Line 9 16.2
Standard CD3.X174 STRING 21 Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Account Type - Line 9 16.2
Standard CD3.X175 STRING Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Description - Line 10 16.2
Standard CD3.X176 DECIMAL_2 Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Amount - Line 10 16.2
Standard CD3.X177 STRING Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Paid to - Line 10 16.2
Standard CD3.X178 STRING 21 Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Account Type - Line 10 16.2
Standard CD3.X179 STRING Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Description - Line 11 16.2
Standard CD3.X180 DECIMAL_2 Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Amount - Line 11 16.2
Standard CD3.X181 STRING Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Paid to - Line 11 16.2
Standard CD3.X182 STRING 21 Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Account Type - Line 11 16.2
Standard CD3.X183 STRING Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Description - Line 12 16.2
Standard CD3.X184 DECIMAL_2 Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Amount - Line 12 16.2
Standard CD3.X185 STRING Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Paid to - Line 12 16.2
Standard CD3.X186 STRING 21 Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Account Type - Line 12 16.2
Standard CD3.X187 STRING Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Description - Line 13 16.2
Standard CD3.X188 DECIMAL_2 Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Amount - Line 13 16.2
Standard CD3.X189 STRING Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Paid to - Line 13 16.2
Standard CD3.X190 STRING 21 Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Account Type - Line 13 16.2
Standard CD3.X191 STRING Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Description - Line 14 16.2
Standard CD3.X192 DECIMAL_2 Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Amount - Line 14 16.2
Standard CD3.X193 STRING Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Paid to - Line 14 16.2
Standard CD3.X194 STRING 21 Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Account Type - Line 14 16.2
Standard CD3.X195 STRING Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Description - Line 15 16.2
Standard CD3.X196 DECIMAL_2 Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Amount - Line 15 16.2
Standard CD3.X197 STRING Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Paid to - Line 15 16.2
Standard CD3.X198 STRING 21 Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Account Type - Line 15 16.2
Standard CD3.X199 STRING Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Description - Line 16 16.2
Standard CD3.X200 DECIMAL_2 Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Amount - Line 16 16.2
Standard CD3.X201 STRING Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Paid to - Line 16 16.2
Standard CD3.X202 STRING 21 Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Account Type - Line 16 16.2
Standard CD3.X203 STRING Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Description - Line 17 16.2
Standard CD3.X204 DECIMAL_2 Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Amount - Line 17 16.2
Standard CD3.X205 STRING Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Paid to - Line 17 16.2
Standard CD3.X206 STRING 21 Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Account Type - Line 17 16.2
Standard CD3.X207 STRING Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Description - Line 18 16.2
Standard CD3.X208 DECIMAL_2 Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Amount - Line 18 16.2
Standard CD3.X209 STRING Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Paid to - Line 18 16.2
Standard CD3.X210 STRING 21 Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Account Type - Line 18 16.2
Standard CD3.X211 STRING Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Description - Line 19 16.2
Standard CD3.X212 DECIMAL_2 Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Amount - Line 19 16.2
Standard CD3.X213 STRING Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Paid to - Line 19 16.2
Standard CD3.X214 STRING 21 Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Account Type - Line 19 16.2
Standard CD3.X215 STRING Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Description - Line 20 16.2
Standard CD3.X216 DECIMAL_2 Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Amount - Line 20 16.2
Standard CD3.X217 STRING Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Paid to - Line 20 16.2
Standard CD3.X218 STRING 21 Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Account Type - Line 20 16.2
Standard CD3.X219 STRING Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Description - Line 21 16.2
Standard CD3.X220 DECIMAL_2 Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Amount - Line 21 16.2
Standard CD3.X221 STRING Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Paid to - Line 21 16.2
Standard CD3.X222 STRING 21 Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Account Type - Line 21 16.2
Standard CD3.X223 STRING Closing Disclosure Page 3 - Due from Borrower at Closing (line 5) - Fee Description - Line 1 16.2
Standard CD3.X224 DECIMAL_2 Closing Disclosure Page 3 - Due from Borrower at Closing (line 5) - Fee Amount - Line 1 16.2
Standard CD3.X225 YN 2 Closing Disclosure Page 3 - Due from Borrower at Closing (line 5) - Fee POC - Line 1 16.2
Standard CD3.X226 STRING 6 Closing Disclosure Page 3 - Due from Borrower at Closing (line 5) - Fee Account Type - Line 1 16.2
Standard CD3.X227 STRING Closing Disclosure Page 3 - Due from Borrower at Closing (line 6) - Fee Description - Line 1 16.2
Standard CD3.X228 DECIMAL_2 Closing Disclosure Page 3 - Due from Borrower at Closing (line 6) - Fee Amount - Line 1 16.2
Standard CD3.X229 YN 2 Closing Disclosure Page 3 - Due from Borrower at Closing (line 6) - Fee POC - Line 1 16.2
Standard CD3.X230 STRING 6 Closing Disclosure Page 3 - Due from Borrower at Closing (line 6) - Fee Account Type - Line 1 16.2
Standard CD3.X231 STRING Closing Disclosure Page 3 - Due from Borrower at Closing (line 7) - Fee Description - Line 1 16.2
Standard CD3.X232 DECIMAL_2 Closing Disclosure Page 3 - Due from Borrower at Closing (line 7) - Fee Amount - Line 1 16.2
Standard CD3.X233 YN 2 Closing Disclosure Page 3 - Due from Borrower at Closing (line 7) - Fee POC - Line 1 16.2
Standard CD3.X234 STRING 6 Closing Disclosure Page 3 - Due from Borrower at Closing (line 7) - Fee Account Type - Line 1 16.2
Standard CD3.X235 STRING Closing Disclosure Page 3 - Due from Borrower at Closing (line 7) - Fee Description - Line 2 16.2
Standard CD3.X236 DECIMAL_2 Closing Disclosure Page 3 - Due from Borrower at Closing (line 7) - Fee Amount - Line 2 16.2
Standard CD3.X237 YN 2 Closing Disclosure Page 3 - Due from Borrower at Closing (line 7) - Fee POC - Line 2 16.2
Standard CD3.X238 STRING 6 Closing Disclosure Page 3 - Due from Borrower at Closing (line 7) - Fee Account Type - Line 2 16.2
Standard CD3.X239 STRING Closing Disclosure Page 3 - Due from Borrower at Closing (line 7) - Fee Description - Line 3 16.2
Standard CD3.X240 DECIMAL_2 Closing Disclosure Page 3 - Due from Borrower at Closing (line 7) - Fee Amount - Line 3 16.2
Standard CD3.X241 YN 2 Closing Disclosure Page 3 - Due from Borrower at Closing (line 7) - Fee POC - Line 3 16.2
Standard CD3.X242 STRING 6 Closing Disclosure Page 3 - Due from Borrower at Closing (line 7) - Fee Account Type - Line 3 16.2
Standard CD3.X243 STRING Closing Disclosure Page 3 - Due from Borrower at Closing (line 7) - Fee Description - Line 4 16.2
Standard CD3.X244 DECIMAL_2 Closing Disclosure Page 3 - Due from Borrower at Closing (line 7) - Fee Amount - Line 4 16.2
Standard CD3.X245 YN 2 Closing Disclosure Page 3 - Due from Borrower at Closing (line 7) - Fee POC - Line 4 16.2
Standard CD3.X246 STRING 6 Closing Disclosure Page 3 - Due from Borrower at Closing (line 7) - Fee Account Type - Line 4 16.2
Standard CD3.X247 STRING Closing Disclosure Page 3 - Due from Borrower at Closing (line 7) - Fee Description - Line 5 16.2
Standard CD3.X248 DECIMAL_2 Closing Disclosure Page 3 - Due from Borrower at Closing (line 7) - Fee Amount - Line 5 16.2
Standard CD3.X249 YN 2 Closing Disclosure Page 3 - Due from Borrower at Closing (line 7) - Fee POC - Line 5 16.2
Standard CD3.X250 STRING 6 Closing Disclosure Page 3 - Due from Borrower at Closing (line 7) - Fee Account Type - Line 5 16.2
Standard CD3.X251 STRING Closing Disclosure Page 3 - Due from Borrower at Closing (line 7) - Fee Description - Line 6 16.2
Standard CD3.X252 DECIMAL_2 Closing Disclosure Page 3 - Due from Borrower at Closing (line 7) - Fee Amount - Line 6 16.2
Standard CD3.X253 YN 2 Closing Disclosure Page 3 - Due from Borrower at Closing (line 7) - Fee POC - Line 6 16.2
Standard CD3.X254 STRING 6 Closing Disclosure Page 3 - Due from Borrower at Closing (line 7) - Fee Account Type - Line 6 16.2
Standard CD3.X257 STRING 3 Closing Disclosure Page 3 - Due from Borrower at Closing (line 8) - Fee Account Type 16.2
Standard CD3.X260 STRING 2 Closing Disclosure Page 3 - Due from Borrower at Closing (line 9) - Fee Account Type 16.2
Standard CD3.X263 STRING 3 Closing Disclosure Page 3 - Due from Borrower at Closing (line 10) - Fee Account Type 16.2
Standard CD3.X264 DATE Closing Disclosure Page 3 - Due from Borrower at Closing (line 11) - Fee Date From 16.2
Standard CD3.X265 DATE Closing Disclosure Page 3 - Due from Borrower at Closing (line 11) - Fee Date To 16.2
Standard CD3.X266 STRING 26 Closing Disclosure Page 3 - Due from Borrower at Closing (line 11) - Fee Account Type 16.2 17.4
Standard CD3.X267 DATE Closing Disclosure Page 3 - Due from Borrower at Closing (line 12) - Fee Date From 16.2
Standard CD3.X268 DATE Closing Disclosure Page 3 - Due from Borrower at Closing (line 12) - Fee Date To 16.2
Standard CD3.X269 STRING 26 Closing Disclosure Page 3 - Due from Borrower at Closing (line 12) - Fee Account Type 16.2 17.4
Standard CD3.X270 DATE Closing Disclosure Page 3 - Due from Borrower at Closing (line 13) - Fee Date From 16.2
Standard CD3.X271 DATE Closing Disclosure Page 3 - Due from Borrower at Closing (line 13) - Fee Date To 16.2
Standard CD3.X272 STRING 26 Closing Disclosure Page 3 - Due from Borrower at Closing (line 13) - Fee Account Type 16.2 17.4
Standard CD3.X273 DATE Closing Disclosure Page 3 - Due from Borrower at Closing (line 14) - Fee Date From 16.2
Standard CD3.X274 DATE Closing Disclosure Page 3 - Due from Borrower at Closing (line 14) - Fee Date To 16.2
Standard CD3.X275 STRING 26 Closing Disclosure Page 3 - Due from Borrower at Closing (line 14) - Fee Account Type 16.2 17.4
Standard CD3.X276 DATE Closing Disclosure Page 3 - Due from Borrower at Closing (line 15) - Fee Date From 16.2
Standard CD3.X277 DATE Closing Disclosure Page 3 - Due from Borrower at Closing (line 15) - Fee Date To 16.2
Standard CD3.X278 STRING 26 Closing Disclosure Page 3 - Due from Borrower at Closing (line 15) - Fee Account Type 16.2 17.4
Standard CD3.X279 STRING Closing Disclosure Page 3 - Section L - Paid Already by or on Behalf of Borrower at Closing (Line 4) - Fee Description - Line 1 16.2
Standard CD3.X280 DECIMAL_2 Closing Disclosure Page 3 - Section L - Paid Already by or on Behalf of Borrower at Closing (Line 4) - Fee Amount - Line 1 16.2
Standard CD3.X281 STRING 2 Closing Disclosure Page 3 - Section L - Paid Already by or on Behalf of Borrower at Closing (Line 4) - Fee Account Type - Line 1 16.2
Standard CD3.X282 STRING Closing Disclosure Page 3 - Section L - Paid Already by or on Behalf of Borrower at Closing (Line 4) - Fee Description - Line 2 16.2
Standard CD3.X283 DECIMAL_2 Closing Disclosure Page 3 - Section L - Paid Already by or on Behalf of Borrower at Closing (Line 4) - Fee Amount - Line 2 16.2
Standard CD3.X284 STRING 2 Closing Disclosure Page 3 - Section L - Paid Already by or on Behalf of Borrower at Closing (Line 4) - Fee Account Type - Line 2 16.2
Standard CD3.X285 STRING Closing Disclosure Page 3 - Section L - Paid Already by or on Behalf of Borrower at Closing (line 6) - Fee Description - Line 1 16.2
Standard CD3.X286 DECIMAL_2 Closing Disclosure Page 3 - Section L - Paid Already by or on Behalf of Borrower at Closing (line 6) - Fee Amount - Line 1 16.2
Standard CD3.X287 STRING Closing Disclosure Page 3 - Section L - Paid Already by or on Behalf of Borrower at Closing (line 6) - Fee Paid to - Line 1 16.2
Standard CD3.X288 YN 2 Closing Disclosure Page 3 - Section L - Paid Already by or on Behalf of Borrower at Closing (line 6) - Fee POC - Line 1 16.2
Standard CD3.X289 STRING 4 Closing Disclosure Page 3 - Section L - Paid Already by or on Behalf of Borrower at Closing (line 6) - Fee Account Type - Line 1 16.2
Standard CD3.X290 STRING Closing Disclosure Page 3 - Section L - Paid Already by or on Behalf of Borrower at Closing (line 7) - Fee Description - Line 1 16.2
Standard CD3.X291 DECIMAL_2 Closing Disclosure Page 3 - Section L - Paid Already by or on Behalf of Borrower at Closing (line 7) - Fee Amount - Line 1 16.2
Standard CD3.X292 STRING Closing Disclosure Page 3 - Section L - Paid Already by or on Behalf of Borrower at Closing (line 7) - Fee Paid to - Line 1 16.2
Standard CD3.X293 YN 2 Closing Disclosure Page 3 - Section L - Paid Already by or on Behalf of Borrower at Closing (line 7) - Fee POC - Line 1 16.2
Standard CD3.X294 STRING 4 Closing Disclosure Page 3 - Section L - Paid Already by or on Behalf of Borrower at Closing (line 7) - Fee Account Type - Line 1 16.2
Standard CD3.X295 STRING Closing Disclosure Page 3 - Section L - Paid Already by or on Behalf of Borrower at Closing (line 7) - Fee Description - Line 2 16.2
Standard CD3.X296 DECIMAL_2 Closing Disclosure Page 3 - Section L - Paid Already by or on Behalf of Borrower at Closing (line 7) - Fee Amount - Line 2 16.2
Standard CD3.X297 STRING Closing Disclosure Page 3 - Section L - Paid Already by or on Behalf of Borrower at Closing (line 7) - Fee Paid to - Line 2 16.2
Standard CD3.X298 YN 2 Closing Disclosure Page 3 - Section L - Paid Already by or on Behalf of Borrower at Closing (line 7) - Fee POC - Line 2 16.2
Standard CD3.X299 STRING 4 Closing Disclosure Page 3 - Section L - Paid Already by or on Behalf of Borrower at Closing (line 7) - Fee Account Type - Line 2 16.2
Standard CD3.X300 STRING Closing Disclosure Page 3 - Section L - Paid Already by or on Behalf of Borrower at Closing (line 7) - Fee Description - Line 3 16.2
Standard CD3.X301 DECIMAL_2 Closing Disclosure Page 3 - Section L - Paid Already by or on Behalf of Borrower at Closing (line 7) - Fee Amount - Line 3 16.2
Standard CD3.X302 STRING Closing Disclosure Page 3 - Section L - Paid Already by or on Behalf of Borrower at Closing (line 7) - Fee Paid to - Line 3 16.2
Standard CD3.X303 YN 2 Closing Disclosure Page 3 - Section L - Paid Already by or on Behalf of Borrower at Closing (line 7) - Fee POC - Line 3 16.2
Standard CD3.X304 STRING 4 Closing Disclosure Page 3 - Section L - Paid Already by or on Behalf of Borrower at Closing (line 7) - Fee Account Type - Line 3 16.2
Standard CD3.X305 STRING Closing Disclosure Page 3 - Section L - Paid Already by or on Behalf of Borrower at Closing (line 7) - Fee Description - Line 4 16.2
Standard CD3.X306 DECIMAL_2 Closing Disclosure Page 3 - Section L - Paid Already by or on Behalf of Borrower at Closing (line 7) - Fee Amount - Line 4 16.2
Standard CD3.X307 STRING Closing Disclosure Page 3 - Section L - Paid Already by or on Behalf of Borrower at Closing (line 7) - Fee Paid to - Line 4 16.2
Standard CD3.X308 YN 2 Closing Disclosure Page 3 - Section L - Paid Already by or on Behalf of Borrower at Closing (line 7) - Fee POC - Line 4 16.2
Standard CD3.X309 STRING 4 Closing Disclosure Page 3 - Section L - Paid Already by or on Behalf of Borrower at Closing (line 7) - Fee Account Type - Line 4 16.2
Standard CD3.X310 STRING Closing Disclosure Page 3 - Section L - Paid Already by or on Behalf of Borrower at Closing (line 8) - Fee Description - Line 1 16.2
Standard CD3.X311 DECIMAL_2 Closing Disclosure Page 3 - Section L - Paid Already by or on Behalf of Borrower at Closing (line 8) - Fee Amount - Line 1 16.2
Standard CD3.X312 YN 2 Closing Disclosure Page 3 - Section L - Paid Already by or on Behalf of Borrower at Closing (line 8) - Fee POC - Line 1 16.2
Standard CD3.X313 STRING 4 Closing Disclosure Page 3 - Section L - Paid Already by or on Behalf of Borrower at Closing (line 8) - Fee Account Type - Line 1 16.2
Standard CD3.X314 STRING Closing Disclosure Page 3 - Section L - Paid Already by or on Behalf of Borrower at Closing (line 9) - Fee Description - Line 1 16.2
Standard CD3.X315 DECIMAL_2 Closing Disclosure Page 3 - Section L - Paid Already by or on Behalf of Borrower at Closing (line 9) - Fee Amount - Line 1 16.2
Standard CD3.X316 YN 2 Closing Disclosure Page 3 - Section L - Paid Already by or on Behalf of Borrower at Closing (line 9) - Fee POC - Line 1 16.2
Standard CD3.X317 STRING 4 Closing Disclosure Page 3 - Section L - Paid Already by or on Behalf of Borrower at Closing (line 9) - Fee Account Type - Line 1 16.2
Standard CD3.X318 STRING Closing Disclosure Page 3 - Section L - Paid Already by or on Behalf of Borrower at Closing (line 10) - Fee Description - Line 1 16.2
Standard CD3.X319 DECIMAL_2 Closing Disclosure Page 3 - Section L - Paid Already by or on Behalf of Borrower at Closing (line 10) - Fee Amount - Line 1 16.2
Standard CD3.X320 YN 2 Closing Disclosure Page 3 - Section L - Paid Already by or on Behalf of Borrower at Closing (line 10) - Fee POC - Line 1 16.2
Standard CD3.X321 STRING 4 Closing Disclosure Page 3 - Section L - Paid Already by or on Behalf of Borrower at Closing (line 10) - Fee Account Type - Line 1 16.2
Standard CD3.X322 STRING Closing Disclosure Page 3 - Section L - Paid Already by or on Behalf of Borrower at Closing (line 11) - Fee Description - Line 1 16.2
Standard CD3.X323 DECIMAL_2 Closing Disclosure Page 3 - Section L - Paid Already by or on Behalf of Borrower at Closing (line 11) - Fee Amount - Line 1 16.2
Standard CD3.X324 YN 2 Closing Disclosure Page 3 - Section L - Paid Already by or on Behalf of Borrower at Closing (line 11) - Fee POC - Line 1 16.2
Standard CD3.X325 STRING 4 Closing Disclosure Page 3 - Section L - Paid Already by or on Behalf of Borrower at Closing (line 11) - Fee Account Type - Line 1 16.2
Standard CD3.X326 STRING Closing Disclosure Page 3 - Section L - Paid Already by or on Behalf of Borrower at Closing (line 11) - Fee Description - Line 2 16.2
Standard CD3.X327 DECIMAL_2 Closing Disclosure Page 3 - Section L - Paid Already by or on Behalf of Borrower at Closing (line 11) - Fee Amount - Line 2 16.2
Standard CD3.X328 YN 2 Closing Disclosure Page 3 - Section L - Paid Already by or on Behalf of Borrower at Closing (line 11) - Fee POC - Line 2 16.2
Standard CD3.X329 STRING 4 Closing Disclosure Page 3 - Section L - Paid Already by or on Behalf of Borrower at Closing (line 11) - Fee Account Type - Line 2 16.2
Standard CD3.X330 STRING Closing Disclosure Page 3 - Section L - Paid Already by or on Behalf of Borrower at Closing (line 11) - Fee Description - Line 3 16.2
Standard CD3.X331 DECIMAL_2 Closing Disclosure Page 3 - Section L - Paid Already by or on Behalf of Borrower at Closing (line 11) - Fee Amount - Line 3 16.2
Standard CD3.X332 YN 2 Closing Disclosure Page 3 - Section L - Paid Already by or on Behalf of Borrower at Closing (line 11) - Fee POC - Line 3 16.2
Standard CD3.X333 STRING 4 Closing Disclosure Page 3 - Section L - Paid Already by or on Behalf of Borrower at Closing (line 11) - Fee Account Type - Line 3 16.2
Standard CD3.X334 STRING Closing Disclosure Page 3 - Section L - Paid Already by or on Behalf of Borrower at Closing (line 11) - Fee Description - Line 4 16.2
Standard CD3.X335 DECIMAL_2 Closing Disclosure Page 3 - Section L - Paid Already by or on Behalf of Borrower at Closing (line 11) - Fee Amount - Line 4 16.2
Standard CD3.X336 YN 2 Closing Disclosure Page 3 - Section L - Paid Already by or on Behalf of Borrower at Closing (line 11) - Fee POC - Line 4 16.2
Standard CD3.X337 STRING 4 Closing Disclosure Page 3 - Section L - Paid Already by or on Behalf of Borrower at Closing (line 11) - Fee Account Type - Line 4 16.2
Standard CD3.X340 STRING 3 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (Taxes and Assessments line 12) - Fee Account Type 16.2
Standard CD3.X343 STRING 2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (Taxes and Assessments line 13) - Fee Account Type 16.2
Standard CD3.X346 STRING 3 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (Taxes and Assessments line 14) - Fee Account Type 16.2
Standard CD3.X347 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 15) - Fee Date From 16.2
Standard CD3.X348 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 15) - Fee Date To 16.2
Standard CD3.X349 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 15) - Fee Account Type 16.2
Standard CD3.X350 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 16) - Fee Date From 16.2
Standard CD3.X351 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 16) - Fee Date To 16.2
Standard CD3.X352 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 16) - Fee Account Type 16.2
Standard CD3.X353 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 18) - Fee Description - Line 1 16.2
Standard CD3.X354 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 18) - Fee Amount - Line 1 16.2
Standard CD3.X355 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 18) - Fee Date From - Line 1 16.2
Standard CD3.X356 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 18) - Fee Date To - Line 1 16.2
Standard CD3.X357 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 18) - Fee Account Type - Line 1 16.2
Standard CD3.X358 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 18) - Fee Description - Line 2 16.2
Standard CD3.X359 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 18) - Fee Amount - Line 2 16.2
Standard CD3.X360 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 18) - Fee Date From - Line 2 16.2
Standard CD3.X361 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 18) - Fee Date To - Line 2 16.2
Standard CD3.X362 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 18) - Fee Account Type - Line 2 16.2
Standard CD3.X363 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 18) - Fee Description - Line 3 16.2
Standard CD3.X364 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 18) - Fee Amount - Line 3 16.2
Standard CD3.X365 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 18) - Fee Date From - Line 3 16.2
Standard CD3.X366 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 18) - Fee Date To - Line 3 16.2
Standard CD3.X367 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 18) - Fee Account Type - Line 3 16.2
Standard CD3.X368 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 18) - Fee Description - Line 4 16.2
Standard CD3.X369 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 18) - Fee Amount - Line 4 16.2
Standard CD3.X370 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 18) - Fee Date From - Line 4 16.2
Standard CD3.X371 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 18) - Fee Date To - Line 4 16.2
Standard CD3.X372 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 18) - Fee Account Type - Line 4 16.2
Standard CD3.X373 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 18) - Fee Description - Line 5 16.2
Standard CD3.X374 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 18) - Fee Amount - Line 5 16.2
Standard CD3.X375 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Date From - Line 5 16.2
Standard CD3.X376 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Date To - Line 5 16.2
Standard CD3.X377 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Account Type - Line 5 16.2
Standard CD3.X378 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Description - Line 6 16.2
Standard CD3.X379 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Amount - Line 6 16.2
Standard CD3.X380 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Date From - Line 6 16.2
Standard CD3.X381 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Date To - Line 6 16.2
Standard CD3.X382 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Account Type - Line 6 16.2
Standard CD3.X383 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Description - Line 7 16.2
Standard CD3.X384 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Amount - Line 7 16.2
Standard CD3.X385 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Date From - Line 7 16.2
Standard CD3.X386 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Date To - Line 7 16.2
Standard CD3.X387 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Account Type - Line 7 16.2
Standard CD3.X388 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Description - Line 8 16.2
Standard CD3.X389 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Amount - Line 8 16.2
Standard CD3.X390 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Date From - Line 8 16.2
Standard CD3.X391 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Date To - Line 8 16.2
Standard CD3.X392 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Account Type - Line 8 16.2
Standard CD3.X393 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Description - Line 9 16.2
Standard CD3.X394 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Amount - Line 9 16.2
Standard CD3.X395 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Date From - Line 9 16.2
Standard CD3.X396 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Date To - Line 9 16.2
Standard CD3.X397 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Account Type - Line 9 16.2
Standard CD3.X398 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Description - Line 10 16.2
Standard CD3.X399 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Amount - Line 10 16.2
Standard CD3.X400 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Date From - Line 10 16.2
Standard CD3.X401 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Date To - Line 10 16.2
Standard CD3.X402 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Account Type - Line 10 16.2
Standard CD3.X403 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Description - Line 11 16.2
Standard CD3.X404 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Amount - Line 11 16.2
Standard CD3.X405 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Date From - Line 11 16.2
Standard CD3.X406 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Date To - Line 11 16.2
Standard CD3.X407 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Account Type - Line 11 16.2
Standard CD3.X408 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Description - Line 12 16.2
Standard CD3.X409 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Amount - Line 12 16.2
Standard CD3.X410 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Date From - Line 12 16.2
Standard CD3.X411 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Date To - Line 12 16.2
Standard CD3.X412 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Account Type - Line 12 16.2
Standard CD3.X413 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Description - Line 13 16.2
Standard CD3.X414 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Amount - Line 13 16.2
Standard CD3.X415 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Date From - Line 13 16.2
Standard CD3.X416 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Date To - Line 13 16.2
Standard CD3.X417 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Account Type - Line 13 16.2
Standard CD3.X418 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Description - Line 14 16.2
Standard CD3.X419 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Amount - Line 14 16.2
Standard CD3.X420 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Date From - Line 14 16.2
Standard CD3.X421 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Date To - Line 14 16.2
Standard CD3.X422 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Account Type - Line 14 16.2
Standard CD3.X423 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Description - Line 15 16.2
Standard CD3.X424 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Amount - Line 15 16.2
Standard CD3.X425 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Date From - Line 15 16.2
Standard CD3.X426 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Date To - Line 15 16.2
Standard CD3.X427 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Account Type - Line 15 16.2
Standard CD3.X428 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Description - Line 16 16.2
Standard CD3.X429 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Amount - Line 16 16.2
Standard CD3.X430 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Date From - Line 16 16.2
Standard CD3.X431 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Date To - Line 16 16.2
Standard CD3.X432 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Account Type - Line 16 16.2
Standard CD3.X433 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Description - Line 17 16.2
Standard CD3.X434 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Amount - Line 17 16.2
Standard CD3.X435 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Date From - Line 17 16.2
Standard CD3.X436 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Date To - Line 17 16.2
Standard CD3.X437 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Account Type - Line 17 16.2
Standard CD3.X438 STRING Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Description - Line 18 16.2
Standard CD3.X439 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Amount - Line 18 16.2
Standard CD3.X440 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Date From - Line 18 16.2
Standard CD3.X441 DATE Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Date To - Line 18 16.2
Standard CD3.X442 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Account Type - Line 18 16.2
Standard CD3.X443 STRING Closing Disclosure Page 3 - Due to Seller at Closing (line 3) - Fee Description - Line 01 16.2
Standard CD3.X444 DECIMAL_2 Closing Disclosure Page 3 - Due to Seller at Closing (line 3) - Fee Amount - Line 01 16.2
Standard CD3.X445 YN 2 Closing Disclosure Page 3 - Due to Seller at Closing (line 3) - Fee POC - Line 01 16.2
Standard CD3.X446 STRING 6 Closing Disclosure Page 3 - Due to Seller at Closing (line 3) - Fee Account Type - Line 01 16.2
Standard CD3.X467 STRING Closing Disclosure Page 3 - Due to Seller at Closing (line 4) - Fee Description - Line 01 16.2
Standard CD3.X468 DECIMAL_2 Closing Disclosure Page 3 - Due to Seller at Closing (line 4) - Fee Amount - Line 01 16.2
Standard CD3.X469 YN 2 Closing Disclosure Page 3 - Due to Seller at Closing (line 4) - Fee POC - Line 01 16.2
Standard CD3.X470 STRING 6 Closing Disclosure Page 3 - Due to Seller at Closing (line 4) - Fee Account Type - Line 01 16.2
Standard CD3.X491 STRING Closing Disclosure Page 3 - Due to Seller at Closing (line 5) - Fee Description - Line 01 16.2
Standard CD3.X492 DECIMAL_2 Closing Disclosure Page 3 - Due to Seller at Closing (line 5) - Fee Amount - Line 01 16.2
Standard CD3.X493 YN 2 Closing Disclosure Page 3 - Due to Seller at Closing (line 5) - Fee POC - Line 01 16.2
Standard CD3.X494 STRING 6 Closing Disclosure Page 3 - Due to Seller at Closing (line 5) - Fee Account Type - Line 01 16.2
Standard CD3.X515 STRING Closing Disclosure Page 3 - Due to Seller at Closing (line 6) - Fee Description - Line 01 16.2
Standard CD3.X516 DECIMAL_2 Closing Disclosure Page 3 - Due to Seller at Closing (line 6) - Fee Amount - Line 01 16.2
Standard CD3.X517 YN 2 Closing Disclosure Page 3 - Due to Seller at Closing (line 6) - Fee POC - Line 01 16.2
Standard CD3.X518 STRING 6 Closing Disclosure Page 3 - Due to Seller at Closing (line 6) - Fee Account Type - Line 01 16.2
Standard CD3.X539 STRING Closing Disclosure Page 3 - Due to Seller at Closing (line 7) - Fee Description - Line 01 16.2
Standard CD3.X540 DECIMAL_2 Closing Disclosure Page 3 - Due to Seller at Closing (line 7) - Fee Amount - Line 01 16.2
Standard CD3.X541 YN 2 Closing Disclosure Page 3 - Due to Seller at Closing (line 7) - Fee POC - Line 01 16.2
Standard CD3.X542 STRING 6 Closing Disclosure Page 3 - Due to Seller at Closing (line 7) - Fee Account Type - Line 01 16.2
Standard CD3.X563 STRING Closing Disclosure Page 3 - Due to Seller at Closing (line 8) - Fee Description - Line 01 16.2
Standard CD3.X564 DECIMAL_2 Closing Disclosure Page 3 - Due to Seller at Closing (line 8) - Fee Amount - Line 01 16.2
Standard CD3.X565 YN 2 Closing Disclosure Page 3 - Due to Seller at Closing (line 8) - Fee POC - Line 01 16.2
Standard CD3.X566 STRING 6 Closing Disclosure Page 3 - Due to Seller at Closing (line 8) - Fee Account Type - Line 01 16.2
Standard CD3.X567 STRING Closing Disclosure Page 3 - Due to Seller at Closing (line 8) - Fee Description - Line 02 16.2
Standard CD3.X568 DECIMAL_2 Closing Disclosure Page 3 - Due to Seller at Closing (line 8) - Fee Amount - Line 02 16.2
Standard CD3.X569 YN 2 Closing Disclosure Page 3 - Due to Seller at Closing (line 8) - Fee POC - Line 02 16.2
Standard CD3.X570 STRING 6 Closing Disclosure Page 3 - Due to Seller at Closing (line 8) - Fee Account Type - Line 02 16.2
Standard CD3.X571 STRING Closing Disclosure Page 3 - Due to Seller at Closing (line 8) - Fee Description - Line 03 16.2
Standard CD3.X572 DECIMAL_2 Closing Disclosure Page 3 - Due to Seller at Closing (line 8) - Fee Amount - Line 03 16.2
Standard CD3.X573 YN 2 Closing Disclosure Page 3 - Due to Seller at Closing (line 8) - Fee POC - Line 03 16.2
Standard CD3.X574 STRING 6 Closing Disclosure Page 3 - Due to Seller at Closing (line 8) - Fee Account Type - Line 03 16.2
Standard CD3.X575 STRING Closing Disclosure Page 3 - Due to Seller at Closing (line 8) - Fee Description - Line 04 16.2
Standard CD3.X576 DECIMAL_2 Closing Disclosure Page 3 - Due to Seller at Closing (line 8) - Fee Amount - Line 04 16.2
Standard CD3.X577 YN 2 Closing Disclosure Page 3 - Due to Seller at Closing (line 8) - Fee POC - Line 04 16.2
Standard CD3.X578 STRING 6 Closing Disclosure Page 3 - Due to Seller at Closing (line 8) - Fee Account Type - Line 04 16.2
Standard CD3.X579 STRING Closing Disclosure Page 3 - Due to Seller at Closing (line 8) - Fee Description - Line 05 16.2
Standard CD3.X580 DECIMAL_2 Closing Disclosure Page 3 - Due to Seller at Closing (line 8) - Fee Amount - Line 05 16.2
Standard CD3.X581 YN 2 Closing Disclosure Page 3 - Due to Seller at Closing (line 8) - Fee POC - Line 05 16.2
Standard CD3.X582 STRING 6 Closing Disclosure Page 3 - Due to Seller at Closing (line 8) - Fee Account Type - Line 05 16.2
Standard CD3.X583 STRING Closing Disclosure Page 3 - Due to Seller at Closing (line 8) - Fee Description - Line 06 16.2
Standard CD3.X584 DECIMAL_2 Closing Disclosure Page 3 - Due to Seller at Closing (line 8) - Fee Amount - Line 06 16.2
Standard CD3.X585 YN 2 Closing Disclosure Page 3 - Due to Seller at Closing (line 8) - Fee POC - Line 06 16.2
Standard CD3.X586 STRING 6 Closing Disclosure Page 3 - Due to Seller at Closing (line 8) - Fee Account Type - Line 06 16.2
Standard CD3.X589 STRING 3 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance (line 9) - Fee Account Type 16.2
Standard CD3.X592 STRING 2 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance (line 10) - Fee Account Type 16.2
Standard CD3.X595 STRING 3 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance (line 11) - Fee Account Type 16.2
Standard CD3.X598 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 12) - Fee Date From - Line 01 16.2
Standard CD3.X599 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 12) - Fee Date To - Line 01 16.2
Standard CD3.X600 STRING 26 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 12) - Fee Account Type - Line 01 16.2 17.4
Standard CD3.X688 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 13) - Fee Date From - Line 01 16.2
Standard CD3.X689 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 13) - Fee Date To - Line 01 16.2
Standard CD3.X690 STRING 26 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 13) - Fee Account Type - Line 01 16.2 17.4
Standard CD3.X778 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 14) - Fee Date From - Line 01 16.2
Standard CD3.X779 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 14) - Fee Date To - Line 01 16.2
Standard CD3.X780 STRING 26 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 14) - Fee Account Type - Line 01 16.2 17.4
Standard CD3.X868 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 15) - Fee Date From - Line 01 16.2
Standard CD3.X869 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 15) - Fee Date To - Line 01 16.2
Standard CD3.X870 STRING 26 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 15) - Fee Account Type - Line 01 16.2 17.4
Standard CD3.X956 STRING Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Description - Line 01 16.2
Standard CD3.X957 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Amount - Line 01 16.2
Standard CD3.X958 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date From - Line 01 16.2
Standard CD3.X959 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date To - Line 01 16.2
Standard CD3.X960 STRING 26 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Account Type - Line 01 16.2 17.4
Standard CD3.X961 STRING Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Description - Line 02 16.2
Standard CD3.X962 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Amount - Line 02 16.2
Standard CD3.X963 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date From - Line 02 16.2
Standard CD3.X964 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date To - Line 02 16.2
Standard CD3.X965 STRING 26 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Account Type - Line 02 16.2 17.4
Standard CD3.X966 STRING Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Description - Line 03 16.2
Standard CD3.X967 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Amount - Line 03 16.2
Standard CD3.X968 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date From - Line 03 16.2
Standard CD3.X969 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date To - Line 03 16.2
Standard CD3.X970 STRING 26 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Account Type - Line 03 16.2 17.4
Standard CD3.X971 STRING Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Description - Line 04 16.2
Standard CD3.X972 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Amount - Line 04 16.2
Standard CD3.X973 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date From - Line 04 16.2
Standard CD3.X974 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date To - Line 04 16.2
Standard CD3.X975 STRING 26 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Account Type - Line 04 16.2 17.4
Standard CD3.X976 STRING Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Description - Line 05 16.2
Standard CD3.X977 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Amount - Line 05 16.2
Standard CD3.X978 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date From - Line 05 16.2
Standard CD3.X979 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date To - Line 05 16.2
Standard CD3.X980 STRING 26 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Account Type - Line 05 16.2 17.4
Standard CD3.X981 STRING Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Description - Line 06 16.2
Standard CD3.X982 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Amount - Line 06 16.2
Standard CD3.X983 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date From - Line 06 16.2
Standard CD3.X984 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date To - Line 06 16.2
Standard CD3.X985 STRING 26 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Account Type - Line 06 16.2 17.4
Standard CD3.X986 STRING Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Description - Line 07 16.2
Standard CD3.X987 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Amount - Line 07 16.2
Standard CD3.X988 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date From - Line 07 16.2
Standard CD3.X989 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date To - Line 07 16.2
Standard CD3.X990 STRING 26 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Account Type - Line 07 16.2 17.4
Standard CD3.X991 STRING Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Description - Line 08 16.2
Standard CD3.X992 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Amount - Line 08 16.2
Standard CD3.X993 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date From - Line 08 16.2
Standard CD3.X994 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date To - Line 08 16.2
Standard CD3.X995 STRING 26 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Account Type - Line 08 16.2 17.4
Standard CD3.X996 STRING Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Description - Line 09 16.2
Standard CD3.X997 DECIMAL_2 Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Amount - Line 09 16.2
Standard CD3.X998 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date From - Line 09 16.2
Standard CD3.X999 DATE Closing Disclosure Page 3 - Adjustments for Items Paid by Seller in Advance Other (line 16) - Fee Date To - Line 09 16.2
Standard CD5.X40 STRING Real Estate Broker (B) Contact ST License ID 15.1
Standard CD5.X52 STRING Real Estate Broker (S) Contact ST License ID 15.1
Standard CL.WF.EVNT.DOCREVIEW DATETIME Title Closing Disclosure - Title/Closing Agent Sent Doc(s) for Review 19.1
Standard CLOSING.INVSVCRDAYOPADDL STRING Ellie Mae Closing Document Override - Investor Servicer Days of Operation (Additional) 8.1
Standard CLOSING.INVSVCRHRSOPADDL STRING Ellie Mae Closing Document Override - Investor Servicer Hours of Operation (Additional) 8.1
Standard CLOSING.LNDSVCRDAYOPADDL STRING Ellie Mae Closing Document Override - Lender Servicer Days of Operation (Additional) 8.1
Standard CLOSING.LNDSVCRHRSOPADDL STRING Ellie Mae Closing Document Override - Lender Servicer Hours of Operation (Additional) 8.1
Standard COND.OPEN.PTD STRING Tracking All Opnd Docs/File Start (not inc)-Docs Signd
Standard COND.OPEN.PTF STRING Tracking All Opnd Docs/Docs Signed (not inc)-Funding
Standard COND.PTD STRING Tracking All Docs/File Start (not inc)-Docs Signed
Standard COND.PTF STRING Tracking All Docs/Docs Signed (not inc)-Funding
Standard CONST.X45 YN 2 Construction Management Project Data - Lien Agent (North Carolina) Indicator 16.3
Standard CONST.X46 DATE Construction Management Project Data - Lien Agent (North Carolina) Date 16.3
Standard CONST.X54 INTEGER Construction Management Project Data - Future Advance Period (mths) 16.3
Virtual DISCLOSEDGFE.SNAPSHOT.2 DECIMAL_2 GFE Snapshot - Trans Details Total Loan Amt (w/ MIP/FF)
Virtual DISCLOSEDGFE.SNAPSHOT.4 INTEGER GFE Snapshot - Trans Details Term (Mos)
Virtual DISCLOSEDGFE.SNAPSHOT.5 DECIMAL_2 GFE Snapshot - Trans Details Mo Pymt (P&I)
Standard DISCLOSURE.X1174 YN 2 State Disc - Texas 50(a)(4) 18.2
Standard DISCLOSURE.X200 STRING 3 State Disc - Broker Places Loans W/Lender(s)
Standard DISCLOSURE.X244 INTEGER State Disc - Attorney Services Time (Hours)
Standard DISCLOSURE.X245 INTEGER State Disc - Attorney Services Time (Minutes)
Standard DISCLOSURE.X294 STRING State Disc - Descr of Relationship (Incl. % Ownership Interest)
Standard DISCLOSURE.X295 YN 2 State Disc - Broker (or Owner, Partner, etc.) Has Interest
Standard DISCLOSURE.X413 STRING State Disc - Name Under Which Broker Does Business (or Intends to)
Standard DISCLOSURE.X671 STRING 3 State Disc - Loan Terms Change Escrow Payment After Change (Hidden Field)
Standard DISCLOSURE.X672 STRING 3 State Disc - Loan Terms Change Mortgage Insurance After Change (Hidden Field)
Standard DISCLOSURE.X673 DECIMAL_2 State Disc - Loan Terms Change Closing Cost After Change (Hidden Field)
Standard DISCLOSURE.X910 YN 2 Disclosure-TX Estimated fees Will be Shown on the Good Faith Estimate Which We are Providing Now or Within three (3) Days.
Standard DISCLOSURE.X930 YN 2 Disclosure-NV Yield Spread Premium (YSP) Indicator
Standard DISCLOSURE.X931 DECIMAL_2 Disclosure-NV Yield Spread Premium (YSP) Charged Amount
Standard DISCLOSURE.X932 STRING 3 Disclosure-NV Yield Spread Premium (YSP) Paid By
Standard DISCLOSURE.X933 STRING 3 Disclosure-NV Identify one of three possible impacts of Yield Spread Premium (YSP) on the Interest Rate
Standard DISCLOSURE.X934 DECIMAL_3 Disclosure-NV Yield Spread Premium (YSP) Decreases Interest Rate By
Standard DISCLOSURE.X935 DECIMAL_3 Disclosure-NV Yield Spread Premium (YSP) Increases Interest Rate By
Virtual DOCS.CLOSING.INVSVCRDAYOPADDL STRING Closing Docs - Investor Servicer Days of Operation (Additional) 8.1
Virtual DOCS.CLOSING.INVSVCRHRSOPADDL STRING Closing Docs - Investor Servicer Hours of Operation (Additional) 8.1
Virtual DOCS.CLOSING.LNDSVCRDAYOPADDL STRING Closing Docs - Lender Servicer Days of Operation (Additional) 8.1
Virtual DOCS.CLOSING.LNDSVCRHRSOPADDL STRING Closing Docs - Lender Servicer Hours of Operation (Additional) 8.1
Standard EEM.X66 DECIMAL_2 EEM Cost of Improvements That Exceed 2000 IECC (New Construction Only) 8.1
Standard EEM.X67 DECIMAL_2 EEM Installed Cost of Energy Improvements (Existing Construction) 8.1
Standard EEM.X68 DECIMAL_2 EEM Expected Energy Savings Over Useful Life of Improvements (Calculated at Present Value) Per Audit Report 8.1
Standard EEM.X69 DECIMAL_2 EEM Installed Cost of EE Improvements (B1 or B2) 8.1
Standard EEM.X71 DECIMAL_2 EEM Inspection(s) Cost 8.1
Standard EEM.X72 DECIMAL_2 EEM Cost (All Costs Supported by Receipts) 8.1
Standard EEM.X73 DECIMAL_2 EEM Maximum Amount of EE Improvement Cost Per The EEM Calculator in FHA Connection (Note 3) 8.1
Standard EEM.X74 DECIMAL_2 EEM Lesser of C1 or C2 (This is The Cost-Effective Energy Package And The Amount That May be Added to the Base Loan Amount) (Note 4) 8.1
Standard EEM.X77 DECIMAL_2 EEM Total Base EEM Loan Amount (D1 + D2 + D3) 8.1
Standard EEM.X78 DECIMAL_2 EEM UFMIP (Factor Applied to D4) 8.1
Standard EEM.X79 DECIMAL_2 EEM Total Combined Loan Amount (D4 + D5) (Note: Only Whole Dollar Amounts May be Insured by FHA) 8.1
Standard EEM.X83 DECIMAL_2 EEM Total Monthly Housing Payment for E1 + E2 (PITI) 8.1
Standard EEM.X89 DECIMAL_3 EEM Total Debt-to-Income (Back) Ratio 8.1
Standard FANNIESERVICE.X3 STRING GSE Vendor Provider Data - AccountChek ID (Bor) 16.1 17.3
Standard FANNIESERVICE.X4 STRING GSE Vendor Provider Data - AccountChek ID (CoBor) 16.1 17.3
Standard FANNIESERVICE.X5 STRING GSE Vendor Provider Data - EWS Report ID (Bor) 16.1 16.3 17.3
Standard FANNIESERVICE.X6 STRING GSE Vendor Provider Data - EWS Report ID (CoBor) 16.1 16.3 17.3
Standard FM1084.X178 DECIMAL_2 1084A/1040 Borr Sched C Net Profit or (Loss) First Year Amount 16.2
Standard FM1084.X179 DECIMAL_2 1084A/1040 Borr Sched C Net Profit or (Loss) Second Year Amount 16.2
Standard FM1084.X180 DECIMAL_2 1084A/1040 Borr Sched C Net Farm Profit or (Loss) First Year Amount 16.2
Standard FM1084.X181 DECIMAL_2 1084A/1040 Borr Sched C Net Farm Profit or (Loss) Second Year Amount 16.2
Standard FV.X397 DECIMAL_2 Cure Applied to Principal Reduction (POC) 18.3
Standard GSEVENDOR.X1 STRING GSE Vendor Provider Data - CoreLogic 4506T (Bor) 17.2 17.3
Standard GSEVENDOR.X10 STRING GSE Vendor Provider Data - Avantus 4506T, VOE/VOI (Bor, CoBor) 17.2 17.3 19.1
Standard GSEVENDOR.X11 STRING GSE Vendor Provider Data - Avantus 4506T (CoBor) 17.2 17.3
Standard GSEVENDOR.X12 STRING GSE Vendor Provider Data - Universal Credit 4506T (Bor) 17.2 17.3
Standard GSEVENDOR.X13 STRING GSE Vendor Provider Data - Universal Credit 4506T (CoBor) 17.2 17.3
Standard GSEVENDOR.X14 STRING GSE Vendor Provider Data - Chronos (Bor,CoBor) 17.2 17.3 17.4
Standard GSEVENDOR.X15 STRING GSE Vendor Provider Data - Finlocker (Bor,CoBor) 17.2 17.3 17.4
Standard GSEVENDOR.X16 STRING GSE Vendor Provider Data - FirstAmerican (Bor,CoBor) 17.2 17.3 17.4
Standard GSEVENDOR.X17 STRING GSE Vendor Provider Data - Inco-Check (Bor,CoBor) 17.2 17.3 17.4
Standard GSEVENDOR.X18 STRING GSE Vendor Provider Data - Meridian Link (Bor,CoBor) 17.2 17.3 17.4
Standard GSEVENDOR.X19 STRING GSE Vendor Provider Data - NCS (Bor,CoBor) 17.2 17.3 17.4
Standard GSEVENDOR.X2 STRING GSE Vendor Provider Data - CoreLogic 4506T (CoBor) 17.2 17.3
Standard GSEVENDOR.X20 STRING GSE Vendor Provider Data - Plaid (Bor,CoBor) 17.2 17.3 17.4
Standard GSEVENDOR.X21 STRING GSE Vendor Provider Data - PointServ (VOE/VOI/4506T/Asset) (Bor,CoBor) 17.2 17.3 17.4
Standard GSEVENDOR.X22 STRING GSE Vendor Provider Data - SharperLending (Bor,CoBor) 17.2 17.3 17.4
Standard GSEVENDOR.X23 STRING GSE Vendor Provider Data - VeriTax (Bor,CoBor) 17.2 17.3 17.4
Standard GSEVENDOR.X24 STRING GSE Vendor Provider Data - Yodlee (Bor,CoBor) 17.2 17.3 17.4
Standard GSEVENDOR.X25 STRING GSE Vendor Provider Data - BankVOD (Bor,CoBor) 18.2
Standard GSEVENDOR.X26 STRING GSE Vendor Provider Data - LendSnap (Bor,CoBor) 18.2
Standard GSEVENDOR.X27 STRING GSE Vendor Provider Data - Quovo (Bor,CoBor) 18.2
Standard GSEVENDOR.X28 STRING GSE Vendor Provider Data - Roostify (Bor,CoBor) 18.2
Standard GSEVENDOR.X29 STRING GSE Vendor Provider Data - CoreLogic (VOE/VOI) (Bor,CoBor) 18.2
Standard GSEVENDOR.X30 STRING GSE Vendor Provider Data - Advanced Data Income Tax Verification (Bor,CoBor) 18.2
Standard GSEVENDOR.X31 STRING GSE Vendor Provider Data - Partners Credit (IncomeVerify) (Bor,CoBor) 18.2
Standard GSEVENDOR.X32 STRING GSE Vendor Provider Data - Taxdoor 4506-T Service (Chronos) (Bor,CoBor) 18.2
Standard GSEVENDOR.X33 STRING GSE Vendor Provider Data - ComplianceEase IRS Tax Transcript (Bor,CoBor) 18.2
Standard GSEVENDOR.X34 STRING GSE Vendor Provider Data - Private Eyes (4506-Transcripts.com) (Bor,CoBor) 18.2
Standard GSEVENDOR.X35 STRING GSE Vendor Provider Data - BankVOD IRS (Bor,CoBor) 18.2
Standard GSEVENDOR.X36 STRING GSE Vendor Provider Data - QuestSoft (Bor,CoBor) 18.2
Standard GSEVENDOR.X39 STRING GSE Vendor Provider Data - GSEVENDOR.X39 (Bor) 18.4
Standard GSEVENDOR.X4 STRING GSE Vendor Provider Data - Finicity (Bor) 17.2 17.3
Standard GSEVENDOR.X40 STRING GSE Vendor Provider Data - GSEVENDOR.X40 (CoBor) 18.4
Standard GSEVENDOR.X41 STRING GSE Vendor Provider Data - GSEVENDOR.X41 (Bor) 18.4
Standard GSEVENDOR.X42 STRING GSE Vendor Provider Data - GSEVENDOR.X42 (CoBor) 18.4
Standard GSEVENDOR.X43 STRING GSE Vendor Provider Data - GSEVENDOR.X43 (Bor) 18.4
Standard GSEVENDOR.X44 STRING GSE Vendor Provider Data - GSEVENDOR.X44 (CoBor) 18.4
Standard GSEVENDOR.X45 STRING GSE Vendor Provider Data - GSEVENDOR.X45 (Bor) 18.4
Standard GSEVENDOR.X46 STRING GSE Vendor Provider Data - GSEVENDOR.X46 (CoBor) 18.4
Standard GSEVENDOR.X47 STRING GSE Vendor Provider Data - GSEVENDOR.X47 (Bor) 18.4
Standard GSEVENDOR.X48 STRING GSE Vendor Provider Data - GSEVENDOR.X48 (CoBor) 18.4
Standard GSEVENDOR.X49 STRING GSE Vendor Provider Data - GSEVENDOR.X49 (Bor) 18.4
Standard GSEVENDOR.X5 STRING GSE Vendor Provider Data - Finicity (CoBor) 17.2 17.3
Standard GSEVENDOR.X50 STRING GSE Vendor Provider Data - GSEVENDOR.X50 (CoBor) 18.4
Standard GSEVENDOR.X51 STRING GSE Vendor Provider Data - GSEVENDOR.X51 (Bor) 18.4
Standard GSEVENDOR.X52 STRING GSE Vendor Provider Data - GSEVENDOR.X52 (CoBor) 18.4
Standard GSEVENDOR.X53 STRING GSE Vendor Provider Data - GSEVENDOR.X53 (Bor) 18.4
Standard GSEVENDOR.X54 STRING GSE Vendor Provider Data - GSEVENDOR.X54 (CoBor) 18.4
Standard GSEVENDOR.X55 STRING GSE Vendor Provider Data - GSEVENDOR.X55 (Bor) 18.4
Standard GSEVENDOR.X56 STRING GSE Vendor Provider Data - GSEVENDOR.X56 (CoBor) 18.4
Standard GSEVENDOR.X57 STRING GSE Vendor Provider Data - GSEVENDOR.X57 (Bor) 18.4
Standard GSEVENDOR.X58 STRING GSE Vendor Provider Data - GSEVENDOR.X58 (CoBor) 18.4
Standard GSEVENDOR.X6 STRING GSE Vendor Provider Data - Informative Research 4506T (Bor) 17.2 17.3
Standard GSEVENDOR.X7 STRING GSE Vendor Provider Data - Informative Research 4506T (CoBor) 17.2 17.3
Standard GSEVENDOR.X8 STRING GSE Vendor Provider Data - Blend (Bor) 17.2 17.3
Standard GSEVENDOR.X9 STRING GSE Vendor Provider Data - Blend (CoBor) 17.2 17.3
Standard HELOC.PARTICIPATIONFEES DECIMAL_2 HELOC Participation Fees: The total amount(s) payable at or before account opening for participation in an open-end credit plan. 15.2
Standard HMDA.X49 STRING Other AUX(s) 17.2
Standard HMDA.X55 STRING Other AUS Recommendation(s) 17.2
Standard HUD1P1.X15 STRING 3 HUD-1 Pg 1 Borr - Trans Details Total Loan Amt (w/ MIP/FF) - D/C
Virtual ISPAY.ALL.0.AMT DECIMAL_2 Interim Servicing - Amount (Most Recent Payment) 17.1
Virtual ISPAY.ALL.0.CREATEDBY STRING Interim Servicing - Created By (Most Recent Payment) 17.1
Virtual ISPAY.ALL.0.CREATEDDATETIME DATETIME Interim Servicing - Created Date Time (Most Recent Payment) 17.1
Virtual ISPAY.ALL.0.DATE DATE Interim Servicing - Date (Most Recent Payment) 17.1
Virtual ISPAY.ALL.0.MODIFIEDBY STRING Interim Servicing - Modified By (Most Recent Payment) 17.1
Virtual ISPAY.ALL.0.MODIFIEDDATETIME DATETIME Interim Servicing - Modified Date Time (Most Recent Payment) 17.1
Virtual ISPAY.ALL.0.TYPE STRING Interim Servicing - Type (Most Recent Payment) 17.1
Virtual ISPAY.ALL.1.AMT DECIMAL_2 Interim Servicing - Amount (Previous 1 Payment) 17.1
Virtual ISPAY.ALL.1.CREATEDBY STRING Interim Servicing - Created By (Previous 1 Payment) 17.1
Virtual ISPAY.ALL.1.CREATEDDATETIME DATETIME Interim Servicing - Created Date Time (Previous 1 Payment) 17.1
Virtual ISPAY.ALL.1.DATE DATE Interim Servicing - Date (Previous 1 Payment) 17.1
Virtual ISPAY.ALL.1.MODIFIEDBY STRING Interim Servicing - Modified By (Previous 1 Payment) 17.1
Virtual ISPAY.ALL.1.MODIFIEDDATETIME DATETIME Interim Servicing - Modified Date Time (Previous 1 Payment) 17.1
Virtual ISPAY.ALL.1.TYPE STRING Interim Servicing - Type (Previous 1 Payment) 17.1
Virtual ISPAY.ALL.2.AMT DECIMAL_2 Interim Servicing - Amount (Previous 2 Payment) 17.1
Virtual ISPAY.ALL.2.CREATEDBY STRING Interim Servicing - Created By (Previous 2 Payment) 17.1
Virtual ISPAY.ALL.2.CREATEDDATETIME DATETIME Interim Servicing - Created Date Time (Previous 2 Payment) 17.1
Virtual ISPAY.ALL.2.DATE DATE Interim Servicing - Date (Previous 2 Payment) 17.1
Virtual ISPAY.ALL.2.MODIFIEDBY STRING Interim Servicing - Modified By (Previous 2 Payment) 17.1
Virtual ISPAY.ALL.2.MODIFIEDDATETIME DATETIME Interim Servicing - Modified Date Time (Previous 2 Payment) 17.1
Virtual ISPAY.ALL.2.TYPE STRING Interim Servicing - Type (Previous 2 Payment) 17.1
Virtual ISPAY.ALL.3.AMT DECIMAL_2 Interim Servicing - Amount (Previous 3 Payment) 17.1
Virtual ISPAY.ALL.3.CREATEDBY STRING Interim Servicing - Created By (Previous 3 Payment) 17.1
Virtual ISPAY.ALL.3.CREATEDDATETIME DATETIME Interim Servicing - Created Date Time (Previous 3 Payment) 17.1
Virtual ISPAY.ALL.3.DATE DATE Interim Servicing - Date (Previous 3 Payment) 17.1
Virtual ISPAY.ALL.3.MODIFIEDBY STRING Interim Servicing - Modified By (Previous 3 Payment) 17.1
Virtual ISPAY.ALL.3.MODIFIEDDATETIME DATETIME Interim Servicing - Modified Date Time (Previous 3 Payment) 17.1
Virtual ISPAY.ALL.3.TYPE STRING Interim Servicing - Type (Previous 3 Payment) 17.1
Virtual ISPAY.ALL.4.AMT DECIMAL_2 Interim Servicing - Amount (Previous 4 Payment) 17.1
Virtual ISPAY.ALL.4.CREATEDBY STRING Interim Servicing - Created By (Previous 4 Payment) 17.1
Virtual ISPAY.ALL.4.CREATEDDATETIME DATETIME Interim Servicing - Created Date Time (Previous 4 Payment) 17.1
Virtual ISPAY.ALL.4.DATE DATE Interim Servicing - Date (Previous 4 Payment) 17.1
Virtual ISPAY.ALL.4.MODIFIEDBY STRING Interim Servicing - Modified By (Previous 4 Payment) 17.1
Virtual ISPAY.ALL.4.MODIFIEDDATETIME DATETIME Interim Servicing - Modified Date Time (Previous 4 Payment) 17.1
Virtual ISPAY.ALL.4.TYPE STRING Interim Servicing - Type (Previous 4 Payment) 17.1
Virtual ISPAY.ESCROW.0.AMT DECIMAL_2 Interim Servicing - Disbursement Amount (Most Recent Escrow Payment)
Virtual ISPAY.ESCROW.0.COMMENTS STRING Interim Servicing - Comments (Most Recent Escrow Payment)
Virtual ISPAY.ESCROW.0.DATE DATE Interim Servicing - Disbursement Date (Most Recent Escrow Payment)
Virtual ISPAY.ESCROW.0.DUEDATE DATE Interim Servicing - Due Date (Most Recent Escrow Payment)
Virtual ISPAY.ESCROW.0.ESCROWTYPE STRING Interim Servicing - Escrow Type (Most Recent Escrow Payment)
Virtual ISPAY.ESCROW.0.INTNAME STRING Interim Servicing - Institution Name (Most Recent Escrow Payment)
Virtual ISPAY.ESCROW.1.AMT DECIMAL_2 Interim Servicing - Disbursement Amount (Previous 1 Escrow Payment)
Virtual ISPAY.ESCROW.1.COMMENTS STRING Interim Servicing - Comments (Previous 1 Escrow Payment)
Virtual ISPAY.ESCROW.1.DATE DATE Interim Servicing - Disbursement Date (Previous 1 Escrow Payment)
Virtual ISPAY.ESCROW.1.DUEDATE DATE Interim Servicing - Due Date (Previous 1 Escrow Payment)
Virtual ISPAY.ESCROW.1.ESCROWTYPE STRING Interim Servicing - Escrow Type (Previous 1 Escrow Payment)
Virtual ISPAY.ESCROW.1.INTNAME STRING Interim Servicing - Institution Name (Previous 1 Escrow Payment)
Virtual ISPAY.ESCROW.2.AMT DECIMAL_2 Interim Servicing - Disbursement Amount (Previous 2 Escrow Payment)
Virtual ISPAY.ESCROW.2.COMMENTS STRING Interim Servicing - Comments (Previous 2 Escrow Payment)
Virtual ISPAY.ESCROW.2.DATE DATE Interim Servicing - Disbursement Date (Previous 2 Escrow Payment)
Virtual ISPAY.ESCROW.2.DUEDATE DATE Interim Servicing - Due Date (Previous 2 Escrow Payment)
Virtual ISPAY.ESCROW.2.ESCROWTYPE STRING Interim Servicing - Escrow Type (Previous 2 Escrow Payment)
Virtual ISPAY.ESCROW.2.INTNAME STRING Interim Servicing - Institution Name (Previous 2 Escrow Payment)
Virtual ISPAY.ESCROW.3.AMT DECIMAL_2 Interim Servicing - Disbursement Amount (Previous 3 Escrow Payment)
Virtual ISPAY.ESCROW.3.COMMENTS STRING Interim Servicing - Comments (Previous 3 Escrow Payment)
Virtual ISPAY.ESCROW.3.DATE DATE Interim Servicing - Disbursement Date (Previous 3 Escrow Payment)
Virtual ISPAY.ESCROW.3.DUEDATE DATE Interim Servicing - Due Date (Previous 3 Escrow Payment)
Virtual ISPAY.ESCROW.3.ESCROWTYPE STRING Interim Servicing - Escrow Type (Previous 3 Escrow Payment)
Virtual ISPAY.ESCROW.3.INTNAME STRING Interim Servicing - Institution Name (Previous 3 Escrow Payment)
Virtual ISPAY.ESCROW.4.AMT DECIMAL_2 Interim Servicing - Disbursement Amount (Previous 4 Escrow Payment)
Virtual ISPAY.ESCROW.4.COMMENTS STRING Interim Servicing - Comments (Previous 4 Escrow Payment)
Virtual ISPAY.ESCROW.4.DATE DATE Interim Servicing - Disbursement Date (Previous 4 Escrow Payment)
Virtual ISPAY.ESCROW.4.DUEDATE DATE Interim Servicing - Due Date (Previous 4 Escrow Payment)
Virtual ISPAY.ESCROW.4.ESCROWTYPE STRING Interim Servicing - Escrow Type (Previous 4 Escrow Payment)
Virtual ISPAY.ESCROW.4.INTNAME STRING Interim Servicing - Institution Name (Previous 4 Escrow Payment)
Virtual ISPAY.INTEREST.0.AMT DECIMAL_2 Interim Servicing - Interest Amount (Most Recent Escrow Interest Payment)
Virtual ISPAY.INTEREST.0.COMMENTS STRING Interim Servicing - Comments (Most Recent Escrow Interest Payment)
Virtual ISPAY.INTEREST.0.DATE DATE Interim Servicing - Interest Incurred Date (Most Recent Escrow Interest Payment)
Virtual ISPAY.INTEREST.1.AMT DECIMAL_2 Interim Servicing - Interest Amount (Previous 1 Escrow Interest Payment)
Virtual ISPAY.INTEREST.1.COMMENTS STRING Interim Servicing - Comments (Previous 1 Escrow Interest Payment)
Virtual ISPAY.INTEREST.1.DATE DATE Interim Servicing - Interest Incurred Date (Previous 1 Escrow Interest Payment)
Virtual ISPAY.INTEREST.2.AMT DECIMAL_2 Interim Servicing - Interest Amount (Previous 2 Escrow Interest Payment)
Virtual ISPAY.INTEREST.2.COMMENTS STRING Interim Servicing - Comments (Previous 2 Escrow Interest Payment)
Virtual ISPAY.INTEREST.2.DATE DATE Interim Servicing - Interest Incurred Date (Previous 2 Escrow Interest Payment)
Virtual ISPAY.INTEREST.3.AMT DECIMAL_2 Interim Servicing - Interest Amount (Previous 3 Escrow Interest Payment)
Virtual ISPAY.INTEREST.3.COMMENTS STRING Interim Servicing - Comments (Previous 3 Escrow Interest Payment)
Virtual ISPAY.INTEREST.3.DATE DATE Interim Servicing - Interest Incurred Date (Previous 3 Escrow Interest Payment)
Virtual ISPAY.INTEREST.4.AMT DECIMAL_2 Interim Servicing - Interest Amount (Previous 4 Escrow Interest Payment)
Virtual ISPAY.INTEREST.4.COMMENTS STRING Interim Servicing - Comments (Previous 4 Escrow Interest Payment)
Virtual ISPAY.INTEREST.4.DATE DATE Interim Servicing - Interest Incurred Date (Previous 4 Escrow Interest Payment)
Virtual ISPAY.OTHER.0.ACCTNO STRING Interim Servicing - Account Number (Most Recent Other Payment)
Virtual ISPAY.OTHER.0.AMT DECIMAL_2 Interim Servicing - Amount (Most Recent Other Payment)
Virtual ISPAY.OTHER.0.COMMENTS STRING Interim Servicing - Comments (Most Recent Other Payment)
Virtual ISPAY.OTHER.0.DATE DATE Interim Servicing - Date (Most Recent Other Payment)
Virtual ISPAY.OTHER.0.INTNAME STRING Interim Servicing - Institution Name (Most Recent Other Payment)
Virtual ISPAY.OTHER.0.REFNO STRING Interim Servicing - Reference Number (Most Recent Other Payment)
Virtual ISPAY.OTHER.0.ROUTINE STRING Interim Servicing - Institution Routine (Most Recent Other Payment)
Virtual ISPAY.OTHER.1.ACCTNO STRING Interim Servicing - Account Number (Previous 1 Other Payment)
Virtual ISPAY.OTHER.1.AMT DECIMAL_2 Interim Servicing - Amount (Previous 1 Other Payment)
Virtual ISPAY.OTHER.1.COMMENTS STRING Interim Servicing - Comments (Previous 1 Other Payment)
Virtual ISPAY.OTHER.1.DATE DATE Interim Servicing - Date (Previous 1 Other Payment)
Virtual ISPAY.OTHER.1.INTNAME STRING Interim Servicing - Institution Name (Previous 1 Other Payment)
Virtual ISPAY.OTHER.1.REFNO STRING Interim Servicing - Reference Number (Previous 1 Other Payment)
Virtual ISPAY.OTHER.1.ROUTINE STRING Interim Servicing - Institution Routine (Previous 1 Other Payment)
Virtual ISPAY.OTHER.2.ACCTNO STRING Interim Servicing - Account Number (Previous 2 Other Payment)
Virtual ISPAY.OTHER.2.AMT DECIMAL_2 Interim Servicing - Amount (Previous 2 Other Payment)
Virtual ISPAY.OTHER.2.COMMENTS STRING Interim Servicing - Comments (Previous 2 Other Payment)
Virtual ISPAY.OTHER.2.DATE DATE Interim Servicing - Date (Previous 2 Other Payment)
Virtual ISPAY.OTHER.2.INTNAME STRING Interim Servicing - Institution Name (Previous 2 Other Payment)
Virtual ISPAY.OTHER.2.REFNO STRING Interim Servicing - Reference Number (Previous 2 Other Payment)
Virtual ISPAY.OTHER.2.ROUTINE STRING Interim Servicing - Institution Routine (Previous 2 Other Payment)
Virtual ISPAY.OTHER.3.ACCTNO STRING Interim Servicing - Account Number (Previous 3 Other Payment)
Virtual ISPAY.OTHER.3.AMT DECIMAL_2 Interim Servicing - Amount (Previous 3 Other Payment)
Virtual ISPAY.OTHER.3.COMMENTS STRING Interim Servicing - Comments (Previous 3 Other Payment)
Virtual ISPAY.OTHER.3.DATE DATE Interim Servicing - Date (Previous 3 Other Payment)
Virtual ISPAY.OTHER.3.INTNAME STRING Interim Servicing - Institution Name (Previous 3 Other Payment)
Virtual ISPAY.OTHER.3.REFNO STRING Interim Servicing - Reference Number (Previous 3 Other Payment)
Virtual ISPAY.OTHER.3.ROUTINE STRING Interim Servicing - Institution Routine (Previous 3 Other Payment)
Virtual ISPAY.OTHER.4.ACCTNO STRING Interim Servicing - Account Number (Previous 4 Other Payment)
Virtual ISPAY.OTHER.4.AMT DECIMAL_2 Interim Servicing - Amount (Previous 4 Other Payment)
Virtual ISPAY.OTHER.4.COMMENTS STRING Interim Servicing - Comments (Previous 4 Other Payment)
Virtual ISPAY.OTHER.4.DATE DATE Interim Servicing - Date (Previous 4 Other Payment)
Virtual ISPAY.OTHER.4.INTNAME STRING Interim Servicing - Institution Name (Previous 4 Other Payment)
Virtual ISPAY.OTHER.4.REFNO STRING Interim Servicing - Reference Number (Previous 4 Other Payment)
Virtual ISPAY.OTHER.4.ROUTINE STRING Interim Servicing - Institution Routine (Previous 4 Other Payment)
Virtual ISPAY.PAYMENT.0.ACCTHOLDER STRING Interim Servicing - Account Holder (Most Recent Mortgage Payment)
Virtual ISPAY.PAYMENT.0.ACCTNO STRING Interim Servicing - Account Number (Most Recent Mortgage Payment)
Virtual ISPAY.PAYMENT.0.ADDESCROW DECIMAL_2 Interim Servicing - Additional Escrow Payment (Most Recent Mortgage Payment)
Virtual ISPAY.PAYMENT.0.ADDPRINCIPAL DECIMAL_2 Interim Servicing - Additional Principal Payment (Most Recent Mortgage Payment)
Virtual ISPAY.PAYMENT.0.AMOUNT DECIMAL_2 Interim Servicing - Check/Transaction/Lock Box/Wire Amount (Most Recent Mortgage Payment)
Virtual ISPAY.PAYMENT.0.AMTDUE DECIMAL_2 Interim Servicing - Total Amount Due (Most Recent Mortgage Payment)
Virtual ISPAY.PAYMENT.0.AMTRECE DECIMAL_2 Interim Servicing - Total Amount Received (Most Recent Mortgage Payment)
Virtual ISPAY.PAYMENT.0.CHKDATE DATE Interim Servicing - Check/Transaction/Credited/Wired Date (Most Recent Mortgage Payment)
Virtual ISPAY.PAYMENT.0.CHKNO STRING Interim Servicing - Check Number/Reference/ (Most Recent Mortgage Payment)
Virtual ISPAY.PAYMENT.0.COMMENTS STRING Interim Servicing - Comments (Most Recent Mortgage Payment)
Virtual ISPAY.PAYMENT.0.DEPODATE DATE Interim Servicing - Deposited Date (Most Recent Mortgage Payment)
Virtual ISPAY.PAYMENT.0.DUEDATE DATE Interim Servicing - Due Date (Most Recent Mortgage Payment)
Virtual ISPAY.PAYMENT.0.ESCROW DECIMAL_2 Interim Servicing - Escrow Payment (Most Recent Mortgage Payment)
Virtual ISPAY.PAYMENT.0.INDEXRATE DECIMAL_3 Interim Servicing - Index Rate (Most Recent Mortgage Payment)
Virtual ISPAY.PAYMENT.0.INTEREST DECIMAL_2 Interim Servicing - Interest Payment (Most Recent Mortgage Payment)
Virtual ISPAY.PAYMENT.0.INTNAME STRING Interim Servicing - Institution Name (Most Recent Mortgage Payment)
Virtual ISPAY.PAYMENT.0.INTRATE DECIMAL_3 Interim Servicing - Interest Rate (Most Recent Mortgage Payment)
Virtual ISPAY.PAYMENT.0.LATEDATE DATE Interim Servicing - Late Payment Date (Most Recent Mortgage Payment)
Virtual ISPAY.PAYMENT.0.LATEFEE DECIMAL_2 Interim Servicing - Late Fee (Most Recent Mortgage Payment)
Virtual ISPAY.PAYMENT.0.MISCFEE DECIMAL_2 Interim Servicing - Misc. Fee (Most Recent Mortgage Payment)
Virtual ISPAY.PAYMENT.0.PAYMETHOD STRING Interim Servicing - Payment Method (Most Recent Mortgage Payment)
Virtual ISPAY.PAYMENT.0.PRINCIPAL DECIMAL_2 Interim Servicing - Principal Payment(Most Recent Mortgage Payment)
Virtual ISPAY.PAYMENT.0.RDATE DATE Interim Servicing - Received Date (Most Recent Mortgage Payment)
Virtual ISPAY.PAYMENT.0.ROUTINE STRING Interim Servicing - Institution Routine (Most Recent Mortgage Payment)
Virtual ISPAY.PAYMENT.0.SDATE DATE Interim Servicing - Statement Date (Most Recent Mortgage Payment)
Virtual ISPAY.PAYMENT.1.ACCTHOLDER STRING Interim Servicing - Account Holder (Previous 1 Mortgage Payment)
Virtual ISPAY.PAYMENT.1.ACCTNO STRING Interim Servicing - Account Number (Previous 1 Mortgage Payment)
Virtual ISPAY.PAYMENT.1.ADDESCROW DECIMAL_2 Interim Servicing - Additional Escrow Payment (Previous 1 Mortgage Payment)
Virtual ISPAY.PAYMENT.1.ADDPRINCIPAL DECIMAL_2 Interim Servicing - Additional Principal Payment (Previous 1 Mortgage Payment)
Virtual ISPAY.PAYMENT.1.AMOUNT DECIMAL_2 Interim Servicing - Check/Transaction/Lock Box/Wire Amount (Previous 1 Mortgage Payment)
Virtual ISPAY.PAYMENT.1.AMTDUE DECIMAL_2 Interim Servicing - Total Amount Due (Previous 1 Mortgage Payment)
Virtual ISPAY.PAYMENT.1.AMTRECE DECIMAL_2 Interim Servicing - Total Amount Received (Previous 1 Mortgage Payment)