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02/15/2019 11:06 acco 251
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02/15/2019 11:06 acco 251
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02/15/2019 11:02 CASASRN 83
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02/15/2019 11:01 1480 4
02/15/2019 11:01 LOCKRATE 10,562
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02/15/2019 10:59 type 1,019
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02/15/2019 10:59 validation 2
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02/15/2019 10:59 MI 1,232
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02/15/2019 10:59 3169 2
02/15/2019 10:59 underw 256
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02/15/2019 10:59 loan originato 10
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02/15/2019 10:58 1601 3
02/15/2019 10:58 3293 2
02/15/2019 10:57 Aggregate 5
02/15/2019 10:57 NEWHUD.X1147 1
02/15/2019 10:57 coun 610
02/15/2019 10:57 MI # 16
02/15/2019 10:57 1198 4
02/15/2019 10:57 Borrower Cred 25
02/15/2019 10:56 closing date 197
02/15/2019 10:56 841 32
02/15/2019 10:56 uldd.x101 1
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02/15/2019 10:56 owner existing 2
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02/15/2019 10:55 AMOUNT TYPE 2
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02/15/2019 10:55 USDA - Hav 4
02/15/2019 10:55 doc date 37
02/15/2019 10:55 Mavent 18
02/15/2019 10:55 hmda.x92 1
02/15/2019 10:55 32 1,033
02/15/2019 10:55 MORNET.X4 4
02/15/2019 10:54 underwriting appraisal completed 2
02/15/2019 10:54 adv 318
02/15/2019 10:54 origination credit 1
02/15/2019 10:54 Loan Origination Fees 23
02/15/2019 10:54 12 month 36
02/15/2019 10:54 collateral underwriter 1
02/15/2019 10:54 Number Bor 12
02/15/2019 10:54 date of b 9
02/15/2019 10:54 reduction 12
02/15/2019 10:54 loan fina 44
02/15/2019 10:54 manageme 362
02/15/2019 10:54 CID 1
02/15/2019 10:53 uwc 29
02/15/2019 10:53 trackin 530
02/15/2019 10:53 f 16,962
02/15/2019 10:53 Housing Ratio 15
02/15/2019 10:53 upfont 12
02/15/2019 10:53 p 24,959
02/15/2019 10:53 VEND.X6 111
02/15/2019 10:53 holdback 2
02/15/2019 10:53 728 22
02/15/2019 10:53 Mtg ins co 17
02/15/2019 10:53 nsurance 261
02/15/2019 10:53 384 111
02/15/2019 10:53 addre 347
02/15/2019 10:53 U 25,742
02/15/2019 10:53 proposed 37
02/15/2019 10:53 amo 4,174
02/15/2019 10:53 le1. 120
02/15/2019 10:52 pa 7,317
02/15/2019 10:52 LE1.X68 1
02/15/2019 10:52 x1299 2
02/15/2019 10:52 INSURANCE COVERAGE 5
02/15/2019 10:52 952 15
02/15/2019 10:52 Lenders i 26
02/15/2019 10:52 disclosure.x95 11
02/15/2019 10:52 point 294
02/15/2019 10:52 capiap.x15 5
02/15/2019 10:52 NEW CONST 17
02/15/2019 10:52 Fannie Mae 253
02/15/2019 10:52 discount 175
02/15/2019 10:52 home pho 10
02/15/2019 10:51 ucd.x1 1
02/15/2019 10:51 ED 9,593
02/15/2019 10:51 finish 1
02/15/2019 10:51 In 16,530
02/15/2019 10:51 IRS4506.X61 1
02/15/2019 10:51 hmda.x 12
02/15/2019 10:51 Trans Details c 315
02/15/2019 10:51 secondary 4
02/15/2019 10:51 ESCROW 430
02/15/2019 10:51 441 113
02/15/2019 10:51 identifier 32
02/15/2019 10:51 CAPIAP.X60 1
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02/15/2019 10:50 bo 4,211
02/15/2019 10:50 298 52
02/15/2019 10:50 DISCLOSURE.X481 1
02/15/2019 10:50 account no 2
02/15/2019 10:50 Cl 4,056
02/15/2019 10:50 FHA purch 4
02/15/2019 10:49 858 9
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02/15/2019 10:49 telephone 32
02/15/2019 10:49 originat 121
02/15/2019 10:49 tolerance cure 7
02/15/2019 10:49 4070 13
02/15/2019 10:49 Certificate amount 1
02/15/2019 10:49 resci 3
02/15/2019 10:49 funds sent date 1
02/15/2019 10:49 DIS 3,201
02/15/2019 10:49 to 6,006
02/15/2019 10:49 1541 2
02/15/2019 10:49 settings 20
02/15/2019 10:49 qm.x69 1
02/15/2019 10:49 chrgs 90
02/15/2019 10:49 cash to 24
02/15/2019 10:49 444 43
02/15/2019 10:49 112 188
02/15/2019 10:49 19 1,436
02/15/2019 10:49 3442 2
02/15/2019 10:48 3518 13
02/15/2019 10:48 36 1,126
02/15/2019 10:48 Cash out 10
02/15/2019 10:48 Social S 20
02/15/2019 10:48 AUS.x 384
02/15/2019 10:48 uc 289
02/15/2019 10:48 payment 832
02/15/2019 10:48 type 908
02/15/2019 10:48 Rate Lock Reques 8,028
02/15/2019 10:48 newhud.x1415 1
02/15/2019 10:47 Comp 3,342
02/15/2019 10:47 1725 3
02/15/2019 10:47 homeowner insurance 6
02/15/2019 10:47 1895 2
02/15/2019 10:47 warehouse bank 22
02/15/2019 10:47 paid by seller 407
02/15/2019 10:47 15 1,634
02/15/2019 10:47 expiration 53
02/15/2019 10:47 servici 350
02/15/2019 10:47 1107 11
02/15/2019 10:47 1209 49
02/15/2019 10:47 973 11
02/15/2019 10:47 Down Payment 34
02/15/2019 10:47 declarations 32
02/15/2019 10:47 Borr Equifax 52
02/15/2019 10:47 Mort 1,570
02/15/2019 10:46 contractor paym 1
02/15/2019 10:46 organization 43
02/15/2019 10:46 x133 38
02/15/2019 10:46 NEWHUD.x 1,819
02/15/2019 10:46 1643 3
02/15/2019 10:46 4506t 61
02/15/2019 10:46 liquid 3
02/15/2019 10:46 lqa 19
02/15/2019 10:46 doc file 62
02/15/2019 10:46 HMDA loan purpose 1
02/15/2019 10:45 420 91
02/15/2019 10:45 ST License ID 18
02/15/2019 10:45 usda 228
02/15/2019 10:45 months 74
02/15/2019 10:45 S32DISC.X48 1
02/15/2019 10:45 1057 3
02/15/2019 10:45 254 57
02/15/2019 10:45 ISPAY.All.1.AMT 1
02/15/2019 10:45 purchase advice sell 9
02/15/2019 10:45 1040 44
02/15/2019 10:45 Escrow Fee 37
02/15/2019 10:45 disclosure actual received 1
02/15/2019 10:45 Non-Warrantable 13
02/15/2019 10:45 pymt 419
02/15/2019 10:45 1827 1
02/15/2019 10:44 009 126
02/15/2019 10:44 date approv 36
02/15/2019 10:44 ret 117
02/15/2019 10:44 CIP 144
02/15/2019 10:44 Cancel 34
02/15/2019 10:44 identifier 32
02/15/2019 10:44 Arm type 33
02/15/2019 10:44 1005 37
02/15/2019 10:44 lowest arm 1
02/15/2019 10:43 VEND.X129 1
02/15/2019 10:43 allco 3
02/15/2019 10:43 PTA Count 5
02/15/2019 10:43 checked 296
02/15/2019 10:43 ma 4,593
02/15/2019 10:43 HUD 9 1,496
02/15/2019 10:43 Log.MS 9
02/15/2019 10:43 Qu 8,891
02/15/2019 10:43 265 167
02/15/2019 10:43 release 11
02/15/2019 10:43 Disclosure.X5 95
02/15/2019 10:43 PREQUAL.X274 1
02/15/2019 10:43 Aggregate adjust 3
02/15/2019 10:42 UL 662
02/15/2019 10:42 disclosure.x499 1
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02/15/2019 10:42 1544 3
02/15/2019 10:42 ULDD.X13 11
02/15/2019 10:42 253 52
02/15/2019 10:42 Modificat 4
02/15/2019 10:42 INSURA 261
02/15/2019 10:42 COMORTGAGORCOUNT 1
02/15/2019 10:42 4183 2
02/15/2019 10:42 new hud x137 22
02/15/2019 10:42 requestcombined 12
02/15/2019 10:42 history 70
02/15/2019 10:41 752 33
02/15/2019 10:41 86 435
02/15/2019 10:41 VF 2
02/15/2019 10:41 lpa 49
02/15/2019 10:41 2406 2
02/15/2019 10:41 FM0019 1
02/15/2019 10:41 File co 981
02/15/2019 10:41 SERVICE.X82 1
02/15/2019 10:41 monthly housing expense 1
02/15/2019 10:41 DISCLOSURE.X364 1
02/15/2019 10:41 Current Add 7
02/15/2019 10:41 2690 2
02/15/2019 10:40 bu 3,236
02/15/2019 10:40 VA service 20
02/15/2019 10:40 descriptio 406
02/15/2019 10:40 1343 3
02/15/2019 10:40 Actual Closed Da 5
02/15/2019 10:40 TOTAL FEE PERCEN 140
02/15/2019 10:40 2397 2
02/15/2019 10:39 USDA - Have You 4
02/15/2019 10:39 vend.x318 1
02/15/2019 10:39 VEND.X148 1
02/15/2019 10:39 2450 12
02/15/2019 10:39 fha mip 14
02/15/2019 10:39 Engineering Fees 2
02/15/2019 10:39 3979 2
02/15/2019 10:39 f 17,026
02/15/2019 10:39 First Lien 3
02/15/2019 10:38 both 3
02/15/2019 10:38 expir 188
02/15/2019 10:38 lender c 781
02/15/2019 10:38 HUD41 1
02/15/2019 10:38 1677 3
02/15/2019 10:38 1487 3
02/15/2019 10:38 Status 207
02/15/2019 10:38 monthly pi 2
02/15/2019 10:38 Mortgage Property 31
02/15/2019 10:38 ener 99
02/15/2019 10:37 1012 7
02/15/2019 10:37 disbursement 35
02/15/2019 10:37 337 146
02/15/2019 10:37 dit 1,085
02/15/2019 10:37 TPO.X14 1
02/15/2019 10:37 consent when d 2
02/15/2019 10:37 certificat 20
02/15/2019 10:37 Secti 819
02/15/2019 10:37 login 4
02/15/2019 10:37 NEWHUD.X1143 1
02/15/2019 10:37 loan proce 52
02/15/2019 10:37 LT 478
02/15/2019 10:36 907 77
02/15/2019 10:36 Upfont MI Premium/Funding Amt Paid in Cash 12
02/15/2019 10:36 borr phone 19
02/15/2019 10:36 nmls.x11 1
02/15/2019 10:36 948 21
02/15/2019 10:36 20 1,947
02/15/2019 10:36 disclosure.x394 1
02/15/2019 10:36 sco 747
02/15/2019 10:36 AMORTIZATION 32
02/15/2019 10:36 SPOUSE 25
02/15/2019 10:36 nc purchase 18
02/15/2019 10:36 Custom Field 1
02/15/2019 10:35 scor 568
02/15/2019 10:35 4210 2
02/15/2019 10:35 submission date 8
02/15/2019 10:35 EXCLUDE 9
02/15/2019 10:35 consent 73
02/15/2019 10:35 name 1,070
02/15/2019 10:35 VA Funding Fee 6
02/15/2019 10:35 loan info r 177
02/15/2019 10:35 NEWHUD2.X125 8
02/15/2019 10:35 Borrower paid comp 17
02/15/2019 10:34 disclosure.x511 1
02/15/2019 10:34 4178 2
02/15/2019 10:34 j 8,855
02/15/2019 10:34 4175 2
02/15/2019 10:34 funds 46
02/15/2019 10:34 act 1,396
02/15/2019 10:34 contact type 67
02/15/2019 10:34 Worth of Business 1
02/15/2019 10:33 3042 2
02/15/2019 10:33 LTV 41
02/15/2019 10:33 FUNDING FEE 145
02/15/2019 10:33 EXISTING LOAN 77
02/15/2019 10:33 cash to close 15
02/15/2019 10:33 agency case identifier 1
02/15/2019 10:33 pre 7,715
02/15/2019 10:33 verbiage 3
02/15/2019 10:33 loan officer na 8
02/15/2019 10:33 Ecoa 14
02/15/2019 10:33 debt- 3
02/15/2019 10:33 2025 2
02/15/2019 10:33 10 4,104
02/15/2019 10:33 constr 110
02/15/2019 10:33 initial Lock 18
02/15/2019 10:32 planc 8
02/15/2019 10:32 cd1.x53 1
02/15/2019 10:32 special feature code 1
02/15/2019 10:32 fun 478
02/15/2019 10:32 automobi 7
02/15/2019 10:32 203K 134
02/15/2019 10:32 Lock Reque 8,176
02/15/2019 10:32 foreclosure 18
02/15/2019 10:32 Estimated Value 11
02/15/2019 10:32 Loan amo 351
02/15/2019 10:32 CASASRN.X88 1
02/15/2019 10:32 fi 4,871
02/15/2019 10:31 1307 58
02/15/2019 10:31 69 510
02/15/2019 10:31 1752 2
02/15/2019 10:31 Lenders inspection Fee 2
02/15/2019 10:31 Impounds 35
02/15/2019 10:31 branch concession 48
02/15/2019 10:31 Construction Type 8
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02/15/2019 10:31 pr 10,358
02/15/2019 10:31 AUSTRACKING.AUS.X133 1
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02/15/2019 10:31 file c 1,018
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02/15/2019 10:30 newhud2. 3,978
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02/15/2019 10:30 borro 1,816
02/15/2019 10:30 Tit 383
02/15/2019 10:30 docs prepared 24
02/15/2019 10:30 41 828
02/15/2019 10:30 HELOC Actual 13
02/15/2019 10:30 balan 88
02/15/2019 10:30 borr id 671
02/15/2019 10:30 Borr F 2,321
02/15/2019 10:30 EDISCLOSEDTRK 37
02/15/2019 10:30 DENIAL.X76 1
02/15/2019 10:30 UPB 3
02/15/2019 10:30 VASUMM.X4 11
02/15/2019 10:30 denial 2,945
02/15/2019 10:30 100 603
02/15/2019 10:29 HMDA.X88 1
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02/15/2019 10:29 survey date 3
02/15/2019 10:29 newhud.x1305 1
02/15/2019 10:29 326 50
02/15/2019 10:29 Consumerconnect 1
02/15/2019 10:29 4171 2
02/15/2019 10:29 lock (Most recent) 4,457
02/15/2019 10:29 closing date 197
02/15/2019 10:29 closing city 71
02/15/2019 10:29 22 1,686
02/15/2019 10:28 disclosure tracking 11
02/15/2019 10:28 beneficiary 30
02/15/2019 10:28 Debt to income 8
02/15/2019 10:28 expi 184
02/15/2019 10:28 EDISCLOSED2015TRK.EDISCLOSUR 5
02/15/2019 10:28 GFE Rate Lock 5
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02/15/2019 10:28 loanteammember.associatetype 1
02/15/2019 10:28 Automobile 7
02/15/2019 10:28 Initial Escrow Payment 3
02/15/2019 10:28 15 1,660
02/15/2019 10:28 alaska 1
02/15/2019 10:28 USDA.X48 1
02/15/2019 10:27 Flood Insurance 31
02/15/2019 10:27 Amount 4,145
02/15/2019 10:27 base 9,293
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02/15/2019 10:27 qm sta 54
02/15/2019 10:27 3196 2
02/15/2019 10:27 VA 1,048
02/15/2019 10:27 e 34,199
02/15/2019 10:26 Contac 1,171
02/15/2019 10:26 Leasehold 1
02/15/2019 10:26 3103 1
02/15/2019 10:26 Max 261
02/15/2019 10:26 HMDA.X50 1
02/15/2019 10:26 3261 2
02/15/2019 10:26 guaranty 17
02/15/2019 10:26 2099 13
02/15/2019 10:26 Terms.IntrOnly 1
02/15/2019 10:26 Closing date 199
02/15/2019 10:26 fees interest from 2
02/15/2019 10:26 NEWHUD2.X44 104
02/15/2019 10:26 1418 4
02/15/2019 10:26 656 23
02/15/2019 10:26 reo 5
02/15/2019 10:26 flood 109
02/15/2019 10:26 HMDA.X45 1
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02/15/2019 10:26 Disclosure.x872 1
02/15/2019 10:26 TRANSUN 168
02/15/2019 10:26 arm li 11
02/15/2019 10:26 compliancereview.x1 10
02/15/2019 10:26 Source Type 22
02/15/2019 10:26 Fee Details - Li 3,681
02/15/2019 10:26 VEND. X979 1
02/15/2019 10:25 cash reserv 1
02/15/2019 10:25 doc 1,087
02/15/2019 10:25 endorsemen 44
02/15/2019 10:25 homeowners 6
02/15/2019 10:25 BE0017 2
02/15/2019 10:25 a 32,335
02/15/2019 10:25 E 31,239
02/15/2019 10:25 1519 3
02/15/2019 10:25 summary 80
02/15/2019 10:25 Rate Lock Request L 7,896
02/15/2019 10:25 notary 67
02/15/2019 10:25 attorney 91
02/15/2019 10:25 1101 308
02/15/2019 10:25 NEWHUD.X806 1
02/15/2019 10:25 loan documentation type 2
02/15/2019 10:25 4055 2
02/15/2019 10:25 Fee Estima 127
02/15/2019 10:25 Property use 8
02/15/2019 10:24 va 1,048
02/15/2019 10:24 federal 9
02/15/2019 10:24 fund 489
02/15/2019 10:24 40 905
02/15/2019 10:24 2108 12
02/15/2019 10:24 l248 2
02/15/2019 10:24 LEI 13
02/15/2019 10:24 Escrowe 7
02/15/2019 10:23 fees i 1,763
02/15/2019 10:23 MORN 120
02/15/2019 10:23 desi 9
02/15/2019 10:23 CD1.X71 1
02/15/2019 10:23 fe 8,788
02/15/2019 10:23 SUBJECT PROPERTY PURCHASE 1
02/15/2019 10:22 rate lock 11,527
02/15/2019 10:22 mornet.x40 1
02/15/2019 10:22 4073 2
02/15/2019 10:22 4213 2
02/15/2019 10:22 REQUEST.X35 1
02/15/2019 10:22 buyer Agent 25
02/15/2019 10:22 295 172
02/15/2019 10:22 undisclosed 2
02/15/2019 10:22 pmi 36
02/15/2019 10:22 newhud.x351 2
02/15/2019 10:21 Oc 16,733
02/15/2019 10:21 persona 23
02/15/2019 10:21 53 441
02/15/2019 10:21 4472 2
02/15/2019 10:21 submission 34
02/15/2019 10:21 Application Da 15
02/15/2019 10:21 NEWHUD.X572 1
02/15/2019 10:21 827 68
02/15/2019 10:21 per diem 3
02/15/2019 10:21 p 25,451
02/15/2019 10:21 real estate owned 1
02/15/2019 10:21 mave 18
02/15/2019 10:20 Expenses Calc 29
02/15/2019 10:20 1838 2
02/15/2019 10:20 Borr HMDA Ethnicity Reported Fields 2
02/15/2019 10:20 new 5,805
02/15/2019 10:20 leasehold 1
02/15/2019 10:20 limi 102
02/15/2019 10:20 rem 225
02/15/2019 10:20 Cobor 151
02/15/2019 10:20 1200 63
02/15/2019 10:20 INTRATE2 1
02/15/2019 10:19 installmen 2
02/15/2019 10:19 desc 4,600
02/15/2019 10:19 299 54
02/15/2019 10:19 LP 279
02/15/2019 10:19 analysis 23
02/15/2019 10:19 HMDA. 73
02/15/2019 10:19 352 147
02/15/2019 10:19 alt 187
02/15/2019 10:19 underwriting decision 5
02/15/2019 10:18 uw 22
02/15/2019 10:18 rate 13,947
02/15/2019 10:18 50 908
02/15/2019 10:18 incor 7
02/15/2019 10:18 uldd.x148 1
02/15/2019 10:17 561 13
02/15/2019 10:17 av 138
02/15/2019 10:17 752 32
02/15/2019 10:17 4126 1
02/15/2019 10:17 Purchase 260
02/15/2019 10:17 intent to proceed 7
02/15/2019 10:17 rate 11,859
02/15/2019 10:16 23 1,004
02/15/2019 10:16 per diem 3
02/15/2019 10:16 MONTHLY mi 35
02/15/2019 10:16 uldd.x49 1
02/15/2019 10:16 ju 10,039
02/15/2019 10:16 DU.LP.ID 1
02/15/2019 10:16 universal 3
02/15/2019 10:16 ad 11,472
02/15/2019 10:16 03 1,050
02/15/2019 10:15 ft 119
02/15/2019 10:15 hired 2
02/15/2019 10:15 X1277 2
02/15/2019 10:15 tracking 530
02/15/2019 10:15 1177 4
02/15/2019 10:15 Underwriting Fe 35
02/15/2019 10:15 source 74
02/15/2019 10:15 Aggregate adjust 3
02/15/2019 10:15 4113 3
02/15/2019 10:15 noti 148
02/15/2019 10:14 back 17
02/15/2019 10:14 to 4,934
02/15/2019 10:14 1531 3
02/15/2019 10:14 X3 2,207
02/15/2019 10:14 initial 154
02/15/2019 10:14 demo 24
02/15/2019 10:14 USDA Annual 52
02/15/2019 10:14 coll 68
02/15/2019 10:14 1039 6
02/15/2019 10:14 CASASRN.X158 1
02/15/2019 10:14 uldd.x17 11
02/15/2019 10:13 charges 424
02/15/2019 10:13 HUD REO 1
02/15/2019 10:13 closing template 1
02/15/2019 10:13 private mortgage insurance 3
02/15/2019 10:13 underwriter email 2
02/15/2019 10:13 products 13
02/15/2019 10:13 investor buy 12
02/15/2019 10:13 4092 1
02/15/2019 10:12 Borr F 2,469
02/15/2019 10:12 race 49
02/15/2019 10:12 sys.x116 1
02/15/2019 10:12 a 32,335
02/15/2019 10:12 Net Buy Rate 60
02/15/2019 10:12 MI Factor field locked 1
02/15/2019 10:12 Disclosure.X48 11
02/15/2019 10:12 MORNET 54
02/15/2019 10:12 request status 33
02/15/2019 10:12 Total credits 4
02/15/2019 10:12 Appr 238
02/15/2019 10:12 template 24
02/15/2019 10:11 exclusion 1
02/15/2019 10:11 livin 4
02/15/2019 10:11 DISCLOSU 2,471
02/15/2019 10:11 m 22,053
02/15/2019 10:11 liability count 3
02/15/2019 10:11 lead 8
02/15/2019 10:11 self indicator 1
02/15/2019 10:11 CD 1,308
02/15/2019 10:11 4181 2
02/15/2019 10:11 eSigned Disclosures 6
02/15/2019 10:10 terms.intr 1
02/15/2019 10:10 pool number 13
02/15/2019 10:10 originator 17
02/15/2019 10:10 2170 13
02/15/2019 10:10 orgID 1
02/15/2019 10:10 ssa 49
02/15/2019 10:10 2218 12
02/15/2019 10:10 vend.x311 1
02/15/2019 10:10 BORPCC 1
02/15/2019 10:10 Sub Fin Second 1
02/15/2019 10:10 sa 672
02/15/2019 10:10 68 604
02/15/2019 10:10 Existing Lo 77
02/15/2019 10:10 2150 13
02/15/2019 10:09 lender iD 285
02/15/2019 10:09 Liability Mon 17
02/15/2019 10:09 4014 2
02/15/2019 10:09 h 11,696
02/15/2019 10:09 ULDD.X29 1
02/15/2019 10:09 HMDA exclude 1
02/15/2019 10:09 payable t 23
02/15/2019 10:08 fee 6,998
02/15/2019 10:08 by o 1,184
02/15/2019 10:08 intend to 4
02/15/2019 10:08 retirement 14
02/15/2019 10:08 File Contacts Mtg Ins 15
02/15/2019 10:07 HMDA.X21 1
02/15/2019 10:07 3154 2
02/15/2019 10:07 lockrate.4093 1
02/15/2019 10:07 Resident 7
02/15/2019 10:07 mt 1,435
02/15/2019 10:07 bas 9,322
02/15/2019 10:07 empiri 172
02/15/2019 10:07 COREMILESTONE 1
02/15/2019 10:07 Borr P 2,166
02/15/2019 10:07 mgt 28
02/15/2019 10:07 mornet.x67 12
02/15/2019 10:07 li 9,481
02/15/2019 10:07 newhud.x1 852
02/15/2019 10:07 Mornet.x67 12
02/15/2019 10:07 net rental income 6
02/15/2019 10:07 factors 30
02/15/2019 10:07 lender's titl 8
02/15/2019 10:06 1397 3
02/15/2019 10:06 contra 71
02/15/2019 10:06 GFE Interest 11
02/15/2019 10:06 HELOC credit limit 15
02/15/2019 10:06 NEWHUD.X1244 1
02/15/2019 10:06 va 1,010
02/15/2019 10:06 global 157
02/15/2019 10:06 22 1,715
02/15/2019 10:06 Draw 27
02/15/2019 10:05 revolving 1
02/15/2019 10:05 property taxes 7
02/15/2019 10:05 1040 44
02/15/2019 10:05 payab 23
02/15/2019 10:05 estimated 41
02/15/2019 10:05 Borr Vietnamese Indicator 2
02/15/2019 10:05 rel 1,147
02/15/2019 10:05 3543 2
02/15/2019 10:05 discharged 1
02/15/2019 10:05 be0007 2
02/15/2019 10:05 lock rate 11,619
02/15/2019 10:05 1006 40
02/15/2019 10:04 wire instruction 1
02/15/2019 10:04 3131 2
02/15/2019 10:04 credit 517
02/15/2019 10:04 investor 640
02/15/2019 10:04 service.x21 1
02/15/2019 10:04 top ra 15
02/15/2019 10:04 l812 1
02/15/2019 10:04 cl 4,160
02/15/2019 10:04 3424 2
02/15/2019 10:04 LOG.MS.LASTCOM 1
02/15/2019 10:04 rate adjustment freq 2
02/15/2019 10:04 denial.x35 1
02/15/2019 10:04 settlement 127
02/15/2019 10:04 Income Source 17
02/15/2019 10:04 rate s 13,918
02/15/2019 10:04 Interest Onl 27
02/15/2019 10:04 Addi 396
02/15/2019 10:04 trans detai 436
02/15/2019 10:03 mod 40
02/15/2019 10:03 optio 241
02/15/2019 10:03 1018 6
02/15/2019 10:03 Underwriting Suspended Date 1
02/15/2019 10:03 changed 61
02/15/2019 10:03 make 3
02/15/2019 10:03 type of 54
02/15/2019 10:03 open 29
02/15/2019 10:02 x969 5
02/15/2019 10:02 nmls.x3 1
02/15/2019 10:02 file contacts closer name 1
02/15/2019 10:02 Jurisdiction 45
02/15/2019 10:02 tpo loan 28
02/15/2019 10:02 3332 2
02/15/2019 10:02 MORNET.X66 1
02/15/2019 10:02 SUBJECT PROPERTY TITLE NAME 2
02/15/2019 10:02 1040 44
02/15/2019 10:02 Refer 24
02/15/2019 10:02 biweekly 15
02/15/2019 10:02 fund total 12
02/15/2019 10:02 NEWHUD.X1082 1
02/15/2019 10:01 com 3,849
02/15/2019 10:01 trans 740
02/15/2019 10:01 vend.x501 1
02/15/2019 10:01 vend.x317 1
02/15/2019 10:01 document vie 5
02/15/2019 10:01 hmda.x91 1
02/15/2019 10:01 credit date 21
02/15/2019 10:01 loan is locked 1
02/15/2019 10:01 3973 2
02/15/2019 10:01 settlement service provider 37
02/15/2019 10:01 720 22
02/15/2019 10:01 itemi 120
02/15/2019 10:01 notices.x 96
02/15/2019 10:01 all conditi 24
02/15/2019 10:01 2610 2
02/15/2019 10:01 E 34,098
02/15/2019 10:00 refi 100
02/15/2019 10:00 439 152
02/15/2019 10:00 liabi 150
02/15/2019 10:00 Mortgage Insura 77
02/15/2019 10:00 2401 2
02/15/2019 10:00 Lender Nam 37
02/15/2019 10:00 HMDA.X36 1
02/15/2019 10:00 Cuban 2
02/15/2019 10:00 qualifies as 5
02/15/2019 09:59 vend.x141 1
02/15/2019 09:59 680 34
02/15/2019 09:59 x225 19
02/15/2019 09:59 cell 70
02/15/2019 09:59 maximum rate increase 2
02/15/2019 09:59 1637 3
02/15/2019 09:59 vi 7,242
02/15/2019 09:59 loss 157
02/15/2019 09:59 o 30,097
02/15/2019 09:59 PurchaseDate 2
02/15/2019 09:59 act 1,439
02/15/2019 09:59 1000 77
02/15/2019 09:59 2686 13
02/15/2019 09:59 Borrower Age 275
02/15/2019 09:58 218 158
02/15/2019 09:58 Loan Info Id 17
02/15/2019 09:58 Non-Warra 13
02/15/2019 09:58 450 266
02/15/2019 09:58 FS 56
02/15/2019 09:58 979 12
02/15/2019 09:58 1149 4
02/15/2019 09:58 Trans Details preapproval 1
02/15/2019 09:58 813 89
02/15/2019 09:58 1151 3
02/15/2019 09:58 approved 34
02/15/2019 09:58 avail d 9
02/15/2019 09:57 requested date 8
02/15/2019 09:57 _2 16
02/15/2019 09:57 living 4
02/15/2019 09:57 disclosure.x482 1
02/15/2019 09:57 settlement service provider 37
02/15/2019 09:57 it 4,380
02/15/2019 09:57 denial.x40 1
02/15/2019 09:57 amor 75
02/15/2019 09:57 prev 6,102
02/15/2019 09:57 lockrate 10,551
02/15/2019 09:56 U 28,919
02/15/2019 09:56 waiver 17
02/15/2019 09:56 pcc 9
02/15/2019 09:56 shipped 5
02/15/2019 09:56 payments 32
02/15/2019 09:56 Accrued 1
02/15/2019 09:56 2774 12
02/15/2019 09:56 d 30,692
02/15/2019 09:55 pay 1,320
02/15/2019 09:55 Actual Closed Date 5
02/15/2019 09:55 apprai 135
02/15/2019 09:55 community len 5
02/15/2019 09:55 2286 13
02/15/2019 09:55 253 53
02/15/2019 09:55 trans details 421
02/15/2019 09:55 verification 16
02/15/2019 09:55 Shipping Pool 2
02/15/2019 09:55 pres 71
02/15/2019 09:55 REQU 8,790
02/15/2019 09:55 1353 1
02/15/2019 09:55 currentstatus 1
02/15/2019 09:55 VEND.X73 11
02/15/2019 09:54 LE1.X24 1
02/15/2019 09:54 title company 3
02/15/2019 09:54 2366 2
02/15/2019 09:54 lates 48
02/15/2019 09:54 deposit 64
02/15/2019 09:54 BE 1,027
02/15/2019 09:54 second Term 1
02/15/2019 09:54 9 9,440
02/15/2019 09:54 Disclosure 2,471
02/15/2019 09:54 collater 14
02/15/2019 09:53 fm0043 1
02/15/2019 09:53 176 57
02/15/2019 09:53 payable to your 1
02/15/2019 09:53 New Con 24
02/15/2019 09:53 Actual 64
02/15/2019 09:53 cus 1,190
02/15/2019 09:53 1039 5
02/15/2019 09:53 security 54
02/15/2019 09:53 payment 359
02/15/2019 09:53 740 44
02/15/2019 09:53 Seller C 1,366
02/15/2019 09:53 1543 3
02/15/2019 09:53 cleared 16
02/15/2019 09:53 sell side 2,334
02/15/2019 09:53 indi 593
02/15/2019 09:53 P 25,451
02/15/2019 09:53 1823 1
02/15/2019 09:53 ass 289
02/15/2019 09:52 DISCLOSURE.X448 1
02/15/2019 09:52 interest i 306
02/15/2019 09:52 NEWHUD.X960 1
02/15/2019 09:52 71 546
02/15/2019 09:52 in 16,708
02/15/2019 09:52 Funding date 5
02/15/2019 09:52 Financing type 1
02/15/2019 09:51 BORROW 1,934
02/15/2019 09:51 trans details 427
02/15/2019 09:51 1144 5
02/15/2019 09:51 992 11
02/15/2019 09:51 property info flo 2
02/15/2019 09:51 Freddie Mac AccountChek Asset 2
02/15/2019 09:51 newhud.x818 1
02/15/2019 09:51 s32 126
02/15/2019 09:51 user 305
02/15/2019 09:51 us 14,444
02/15/2019 09:51 VEND 991
02/15/2019 09:51 Manual 1
02/15/2019 09:51 employ 308
02/15/2019 09:51 heloc template 1
02/15/2019 09:51 FM0022 1
02/15/2019 09:51 co-bor 582
02/15/2019 09:50 eligibility 128
02/15/2019 09:50 m 21,554
02/15/2019 09:50 borrower pair 38
02/15/2019 09:50 circum 43
02/15/2019 09:50 Constr.Refi 12
02/15/2019 09:50 action taken 2
02/15/2019 09:49 indi 694
02/15/2019 09:49 total credi 8
02/15/2019 09:49 Loan Discount Po 7
02/15/2019 09:49 Pr 12,488
02/15/2019 09:49 consent s 73
02/15/2019 09:49 2626 2
02/15/2019 09:49 FE0217 1
02/15/2019 09:49 payment 832
02/15/2019 09:49 instrumen 30
02/15/2019 09:49 tpo 128
02/15/2019 09:48 1016 6
02/15/2019 09:48 heloc 49
02/15/2019 09:48 tolerance c 171
02/15/2019 09:48 q 8,103
02/15/2019 09:48 lock (previous 6,770
02/15/2019 09:48 First Time Homebuye 24
02/15/2019 09:48 after 36
02/15/2019 09:47 DISCLO 2,770
02/15/2019 09:47 requestcom 12
02/15/2019 09:47 91 697
02/15/2019 09:47 ownership 13
02/15/2019 09:47 ms.dur 1
02/15/2019 09:47 disab 22
02/15/2019 09:47 gfe application 2
02/15/2019 09:47 veteran status 6
02/15/2019 09:47 task 12
02/15/2019 09:47 apr 182
02/15/2019 09:47 UCD.x3 1
02/15/2019 09:47 lock expired 1
02/15/2019 09:47 le3.x3 1
02/15/2019 09:47 endorse 46
02/15/2019 09:47 payment frequency 3
02/15/2019 09:47 MS complete 1
02/15/2019 09:47 Net Change 2
02/15/2019 09:47 4193 1
02/15/2019 09:47 fees line 910 15
02/15/2019 09:47 intend to continue 2
02/15/2019 09:46 MS 567
02/15/2019 09:46 23 989
02/15/2019 09:46 NEWHUD.X1588 1
02/15/2019 09:46 3122 2
02/15/2019 09:46 milestone 34
02/15/2019 09:46 confirm 1,153
02/15/2019 09:46 completion 7
02/15/2019 09:46 Rent 384
02/15/2019 09:46 NEWHUD.X593 1
02/15/2019 09:46 NEWHUD.X584 1
02/15/2019 09:46 borr time 31
02/15/2019 09:46 NEWHUD.X592 1
02/15/2019 09:46 NEWHUD.X583 1
02/15/2019 09:46 uldd.x101 1
02/15/2019 09:45 latefeesetting.x1 9
02/15/2019 09:45 NEWHUD.X592 1
02/15/2019 09:45 NEWHUD.X584 1
02/15/2019 09:45 NEWHUD.X1586 1
251 of 35,191 Fields in Encompass 19.1 contain 'acco'
Type Field ID Format Opts Description First Chng
Standard 2009 STRING Funding Wired To Account Number
Standard 3878 YN 2 Underwritten According to Contractual Agreement with Agency/GSE 9.1
Standard 3880 YN 2 Manually Underwritten according to Agency/GSE Guidelines 9.1
Standard 3944 STRING Correspondent Purchase Advice Warehouse Bank Account Number 15.1
Standard 4202 STRING Correspondent Purchase Advice Warehouse Bank Account Name 17.4
Standard 4203 STRING Correspondent Purchase Advice Warehouse Further Credit Account Number 17.4
Standard 4204 STRING Correspondent Purchase Advice Warehouse Further Credit Account Name 17.4
Standard BR0014 STRING Borr Residence Account Name
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 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.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.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.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.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.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.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.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.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.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.X1051 STRING 7 Closing Disclosure Page 3 - Due from Seller at Closing - Payoffs (line 6) - Fee Account Type - Line 02 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.X1057 STRING 7 Closing Disclosure Page 3 - Due from Seller at Closing - Payoffs (line 6) - Fee Account Type - Line 04 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.X1063 STRING 7 Closing Disclosure Page 3 - Due from Seller at Closing - Payoffs (line 6) - Fee Account Type - Line 06 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.X1069 STRING 7 Closing Disclosure Page 3 - Due from Seller at Closing - Payoffs (line 7) - Fee Account Type - Line 01 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.X1075 STRING 7 Closing Disclosure Page 3 - Due from Seller at Closing - Payoffs (line 7) - Fee Account Type - Line 03 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.X1081 STRING 7 Closing Disclosure Page 3 - Due from Seller at Closing - Payoffs (line 7) - Fee Account Type - Line 05 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.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.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.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.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.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.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.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.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.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.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.X1236 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Account Type - 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.X1416 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Account Type - Line 01 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.X1421 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Account Type - Line 02 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.X1431 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Account Type - Line 04 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.X1441 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Account Type - Line 06 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.X1451 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Account Type - Line 08 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.X146 STRING 21 Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Account Type - Line 2 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.X1466 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Account Type - Line 11 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.X1476 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Account Type - Line 13 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.X1486 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Account Type - Line 15 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.X1496 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Account Type - Line 17 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.X1501 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 19) - Fee Account Type - Line 18 16.2
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.X158 STRING 21 Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Account Type - Line 5 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.X166 STRING 21 Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Account Type - Line 7 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.X174 STRING 21 Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Account Type - Line 9 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.X182 STRING 21 Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Account Type - Line 11 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.X190 STRING 21 Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Account Type - Line 13 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.X198 STRING 21 Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Account Type - Line 15 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.X206 STRING 21 Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Account Type - Line 17 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.X214 STRING 21 Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Account Type - Line 19 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.X222 STRING 21 Closing Disclosure Page 3 - Due from Borrower at Closing (line 4) - Fee Account Type - Line 21 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.X230 STRING 6 Closing Disclosure Page 3 - Due from Borrower at Closing (line 6) - Fee Account Type - 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.X238 STRING 6 Closing Disclosure Page 3 - Due from Borrower at Closing (line 7) - Fee Account Type - Line 2 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.X246 STRING 6 Closing Disclosure Page 3 - Due from Borrower at Closing (line 7) - Fee Account Type - Line 4 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.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.X266 STRING 26 Closing Disclosure Page 3 - Due from Borrower at Closing (line 11) - Fee Account Type 16.2 17.4
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.X272 STRING 26 Closing Disclosure Page 3 - Due from Borrower at Closing (line 13) - Fee Account Type 16.2 17.4
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.X278 STRING 26 Closing Disclosure Page 3 - Due from Borrower at Closing (line 15) - Fee Account Type 16.2 17.4
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.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.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.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.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.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.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.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.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.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.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.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.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.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.X349 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 15) - Fee Account Type 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.X357 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 18) - Fee Account Type - Line 1 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.X367 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 18) - Fee Account Type - Line 3 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.X377 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Account Type - Line 5 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.X387 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Account Type - Line 7 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.X397 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Account Type - Line 9 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.X407 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Account Type - Line 11 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.X417 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Account Type - Line 13 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.X427 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Account Type - Line 15 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.X437 STRING 18 Closing Disclosure Page 3 - Adjustments for Items Unpaid by Seller (line 17) - Fee Account Type - Line 17 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.X446 STRING 6 Closing Disclosure Page 3 - Due to Seller at Closing (line 3) - Fee Account Type - 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.X494 STRING 6 Closing Disclosure Page 3 - Due to Seller at Closing (line 5) - Fee Account Type - 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.X542 STRING 6 Closing Disclosure Page 3 - Due to Seller at Closing (line 7) - Fee Account Type - 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.X570 STRING 6 Closing Disclosure Page 3 - Due to Seller at Closing (line 8) - Fee Account Type - Line 02 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.X578 STRING 6 Closing Disclosure Page 3 - Due to Seller at Closing (line 8) - Fee Account Type - Line 04 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.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.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.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.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.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.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.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.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.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.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.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.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.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 CR0014 STRING Co-Borr Residence Account Name
Standard DD0008 STRING 25 Depository Account 1 Type 19.1
Standard DD0009 STRING Depository Account 1 Name
Standard DD0010 STRING Depository Account 1 Identifier
Standard DD0011 DECIMAL_2 Depository Account 1 Balance
Standard DD0012 STRING 25 Depository Account 2 Type 19.1
Standard DD0013 STRING Depository Account 2 Name
Standard DD0014 STRING Depository Account 2 Identifier
Standard DD0015 DECIMAL_2 Depository Account 2 Balance
Standard DD0016 STRING 25 Depository Account 3 Type 19.1
Standard DD0017 STRING Depository Account 3 Name
Standard DD0018 STRING Depository Account 3 Identifier
Standard DD0019 DECIMAL_2 Depository Account 3 Balance
Standard DD0020 STRING 25 Depository Account 4 Type 19.1
Standard DD0021 STRING Depository Account 4 Name
Standard DD0022 STRING Depository Account 4 Identifier
Standard DD0023 DECIMAL_2 Depository Account 4 Balance
Standard DD0047 STRING 14 Depository Account Type - URLA 2020 19.1
Standard DD0048 DECIMAL_2 Depository Account 1 Balance - URLA 2020 19.1
Standard DD0049 DECIMAL_2 Depository Account 2 Balance - URLA 2020 19.1
Standard DD0050 DECIMAL_2 Depository Account 3 Balance - URLA 2020 19.1
Standard DD0051 DECIMAL_2 Depository Account 4 Balance - URLA 2020 19.1
Standard DENIAL.X71 STRING Statement of Denial - Description of Account, Transaction or Request Credit Line 1
Standard DENIAL.X72 STRING Statement of Denial - Description of Account, Transaction or Request Credit Line 2
Standard DENIAL.X73 STRING Statement of Denial - Description of Account, Transaction or Request Credit Line 3
Standard DISCLOSURE.X260 STRING State Disc - Broker Adv Fees Trust Account Location
Standard DISCLOSURE.X261 STRING State Disc - Broker Adv Fees Trust Account Number
Standard DISCLOSURE.X336 STRING State Disc - Account Number in North Carolina
Standard DISCLOSURE.X337 STRING State Disc - Trust Account Location
Standard DISCLOSURE.X339 YN 2 State Disc - Escrow Account Selected at Borrower's Option
Standard DISCLOSURE.X460 YN 2 State Disc - Election of Escrow Account or Pledged Time Deposit Account
Standard DISCLOSURE.X874 YN 2 State Disc - Borrower Elects to Establish an Escrow Account for Payment of Real Estate Property Taxes
Standard DISCLOSURE.X913 YN 2 Disclosure- CA Borrower Elects To Establish Escrow Account Indicator
Standard DISCLOSURE.X914 DECIMAL_2 Disclosure- CA Borrower Elects To Establish Escrow Account Amount
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 FL0008 STRING 13 Liability Account Type
Standard FL0009 STRING Liability Account Name
Standard FL0010 STRING Liability Account Number
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 IR0047 YN 2 IRS Transcript - History Record - Account Transcript 8.1
Standard IR0048 YN 2 IRS Transcript - History Record - Record of Account 8.1
Standard IRS4506.X47 YN 2 IRS Transcript - Account Transcript
Standard IRS4506.X48 YN 2 IRS Transcript - Record of Account
Virtual ISPAY.OTHER.0.ACCTNO STRING Interim Servicing - Account Number (Most Recent Other Payment)
Virtual ISPAY.OTHER.1.ACCTNO STRING Interim Servicing - Account Number (Previous 1 Other Payment)
Virtual ISPAY.OTHER.2.ACCTNO STRING Interim Servicing - Account Number (Previous 2 Other Payment)
Virtual ISPAY.OTHER.3.ACCTNO STRING Interim Servicing - Account Number (Previous 3 Other Payment)
Virtual ISPAY.OTHER.4.ACCTNO STRING Interim Servicing - Account Number (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.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.2.ACCTHOLDER STRING Interim Servicing - Account Holder (Previous 2 Mortgage Payment)
Virtual ISPAY.PAYMENT.2.ACCTNO STRING Interim Servicing - Account Number (Previous 2 Mortgage Payment)
Virtual ISPAY.PAYMENT.3.ACCTHOLDER STRING Interim Servicing - Account Holder (Previous 3 Mortgage Payment)
Virtual ISPAY.PAYMENT.3.ACCTNO STRING Interim Servicing - Account Number (Previous 3 Mortgage Payment)
Virtual ISPAY.PAYMENT.4.ACCTHOLDER STRING Interim Servicing - Account Holder (Previous 4 Mortgage Payment)
Virtual ISPAY.PAYMENT.4.ACCTNO STRING Interim Servicing - Account Number (Previous 4 Mortgage Payment)
Standard MAX23K.X103 DECIMAL_2 FHA 203k - Rehabilitation Escrow Account (Sum of A1 thru A3) 16.1
Standard NTB.X54 YN 2 Net Tangible Benefit Existing Loan Info - The borrower is able to recoup the costs of refinancing the home loan within two years, taking into account the costs and...? 8.1
Standard NTB.X56 YN 2 Net Tangible Benefit Existing Loan Info - There is a change from an adjustable rate loan to a fixed rate loan, taking into account costs and fees and the costs can be...? 8.1
Virtual PRECON.ACCOUNT INTEGER Preliminary Conditions AC Count
Standard S32DISC.X180 STRING 2 Sec 32 - There is a prepayment penalty and it will/will not be charged more than 36 months after consummation or account opening. 9.1
Standard TPO.X91 YN 2 Indicator that the user logged in using a TPO test account 16.2
Standard ULDD.GNM.ACHBNKACCNTDSCR STRING ACH Bank Account Description 15.2
Standard ULDD.GNM.ACHBNKACCNTIDENTFR STRING ACH Bank Account Identifier 15.2
Standard ULDD.GNM.ACHBNKACCNTPRPSTRNSTIDNTFR STRING ACH Bank Account Purpose Transit Identifier 15.2
Standard ULDD.GNM.ACHBNKACCNTPRPSTYP STRING 2 ACH Bank Account Purpose Type 15.2
Standard ULDD.GNM.ACHRCVRSBCCNTNAME STRING ACH Receiver Subaccount Name 15.2
Virtual UWC.ACCOUNT INTEGER Number of all External External Underwriting Conditions AC - Not Cleared/Not Waived 18.2
Virtual UWC.ALLACCOUNT INTEGER Number of all External/Internal External Underwriting Conditions AC - Not Cleared/Not Waived 18.2
Standard VASUMM.X65 STRING 2 VA Loan Disbursement - Account Type Withheld from Loan Proceeds and Deposited in 9.1
Standard VEND.X397 STRING File Contacts Escrow Co Account Number
Standard VEND.X399 STRING File Contacts Title Co Account Number
Standard VEND.X401 STRING File Contacts Buyers Attorney Account Number
Standard VEND.X403 STRING File Contacts Sellers Attorney Account Number
Standard VEND.X405 STRING File Contacts Custom Category #1 Account Number
Standard VEND.X407 STRING File Contacts Custom Category #2 Account Number
Standard VEND.X409 STRING File Contacts Custom Category #3 Account Number
Standard VEND.X411 STRING File Contacts Custom Category #4 Account Number