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01/17/2020 22:40 Acco 253
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01/17/2020 22:40 Acco 253
01/17/2020 22:40 prepaid 30
01/17/2020 22:40 funder name 1
01/17/2020 22:40 co-app 3
01/17/2020 22:40 Secu 63
01/17/2020 22:40 Margin 2,058
01/17/2020 22:40 4529 2
01/17/2020 22:40 ever 23
01/17/2020 22:40 Closing Disclosure count 160
01/17/2020 22:40 Prior to 12
01/17/2020 22:40 DISCLOSURE.x221 1
01/17/2020 22:40 message viewed 3
01/17/2020 22:40 cha 1,186
01/17/2020 22:40 investment 6
01/17/2020 22:39 princ 131
01/17/2020 22:39 UL 689
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01/17/2020 22:38 NEWHUD2.X4350 1
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01/17/2020 22:37 App date 69
01/17/2020 22:37 3363 13
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01/17/2020 22:37 affor 6
01/17/2020 22:37 ULDD.X132 1
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01/17/2020 22:37 loan financed 10
01/17/2020 22:37 appraisal information 5
01/17/2020 22:37 Submittal Date 2
01/17/2020 22:37 EDISCLOSED2015TRK.EDISCLOSUREBORROWERCONSE 1
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01/17/2020 22:36 1245 3
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01/17/2020 22:36 1010 46
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01/17/2020 22:36 Lender Comp Credit 20
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01/17/2020 22:36 explanation 23
01/17/2020 22:36 small creditor 20
01/17/2020 22:36 1891 2
01/17/2020 22:36 appraised v 34
01/17/2020 22:36 322 43
01/17/2020 22:36 3948 2
01/17/2020 22:36 interim 264
01/17/2020 22:36 Waive 56
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01/17/2020 22:36 Non Borrowing Owner 24
01/17/2020 22:36 econsent 50
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01/17/2020 22:36 recei 114
01/17/2020 22:36 coborrower last name 5
01/17/2020 22:36 Typ 1,068
01/17/2020 22:36 early check 1
01/17/2020 22:36 LE Lo 1,484
01/17/2020 22:35 empir 172
01/17/2020 22:35 next milestone 1
01/17/2020 22:35 multifamily unit 2
01/17/2020 22:35 cb2 26
01/17/2020 22:35 TPO.X38 1
01/17/2020 22:35 1109 70
01/17/2020 22:35 Rate Lock Request Base Pr 3,839
01/17/2020 22:35 VEND.X140 1
01/17/2020 22:35 Borr FICO 102
01/17/2020 22:35 Typ 955
01/17/2020 22:35 GF 476
01/17/2020 22:35 County Code 2
01/17/2020 22:35 Rate Lock Request Base Pr 3,799
01/17/2020 22:35 complian 49
01/17/2020 22:34 DEFAULT 10
01/17/2020 22:34 fha e 316
01/17/2020 22:34 proposed monthly payment 20
01/17/2020 22:34 Subject property Type 33
01/17/2020 22:34 Fee Line 1207 37
01/17/2020 22:34 TOTAL FEE PERCEN 140
01/17/2020 22:34 FR0204 1
01/17/2020 22:34 endorsements 1
01/17/2020 22:34 LE2.X26 1
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01/17/2020 22:34 4186 2
01/17/2020 22:34 0113 2
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01/17/2020 22:34 3363 13
01/17/2020 22:34 ID 10,113
01/17/2020 22:34 Disclosure.X647 1
01/17/2020 22:33 re prem 141
01/17/2020 22:33 starting adjusted rate 1
01/17/2020 22:33 wind 4
01/17/2020 22:33 financedind 79
01/17/2020 22:33 PMI TERMINATION 3
01/17/2020 22:33 cov amount 7
01/17/2020 22:33 SYS 556
01/17/2020 22:33 Disclosure Borr 374
01/17/2020 22:33 completed 16
01/17/2020 22:33 cush 10
01/17/2020 22:33 CD2.XSCCBC 1
01/17/2020 22:33 AUSf 70
01/17/2020 22:33 total asse 19
01/17/2020 22:33 current status 12
01/17/2020 22:33 cos 226
01/17/2020 22:33 planner 26
01/17/2020 22:33 corporate re 46
01/17/2020 22:33 closing disclosure page 2 97
01/17/2020 22:33 manufactured type 2
01/17/2020 22:33 Con 3,276
01/17/2020 22:33 3554 2
01/17/2020 22:33 one time close 1
01/17/2020 22:33 2024 2
01/17/2020 22:33 monthly hazard insurance 2
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01/17/2020 22:33 984 12
01/17/2020 22:33 conditions rev 4
01/17/2020 22:33 NEWHUD2.X669 1
01/17/2020 22:33 Con 3,396
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01/17/2020 22:33 BLEND 2
01/17/2020 22:33 4486 2
01/17/2020 22:33 prior 35
01/17/2020 22:33 contact date 61
01/17/2020 22:33 LOG 45
01/17/2020 22:33 HUD Lenders Rep Title 1
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01/17/2020 22:33 Amort term 1
01/17/2020 22:33 credit authorization 2
01/17/2020 22:33 799 33
01/17/2020 22:33 rate adjust 9,568
01/17/2020 22:33 ADDRESS 446
01/17/2020 22:32 x27 231
01/17/2020 22:32 qm.x82 1
01/17/2020 22:32 lender information 9
01/17/2020 22:32 co-mort 3 96
01/17/2020 22:32 title cert 2
01/17/2020 22:32 VEND.X656 1
01/17/2020 22:32 newhud.x957 1
01/17/2020 22:32 lock request time 50
01/17/2020 22:32 VEND.X323 1
01/17/2020 22:32 77 604
01/17/2020 22:32 econs 58
01/17/2020 22:32 1998 2
01/17/2020 22:32 selle 1,978
01/17/2020 22:32 serving 3
01/17/2020 22:32 part time 2
01/17/2020 22:32 re taxes 20
01/17/2020 22:32 wire fees 8
01/17/2020 22:32 DOCUMENTS 34
01/17/2020 22:32 trans details closing co 6
01/17/2020 22:32 subm 60
01/17/2020 22:32 Scenario 75
01/17/2020 22:32 forma 130
01/17/2020 22:32 trans detail lien 15
01/17/2020 22:32 section o 853
01/17/2020 22:32 pkg 3
01/17/2020 22:32 heloc amount 10
01/17/2020 22:32 comme 202
01/17/2020 22:32 borrower ok 10
01/17/2020 22:32 SYS.X116 1
01/17/2020 22:32 NM 273
01/17/2020 22:32 ULDD.FRE.PropertyFormType 1
01/17/2020 22:32 MS.STatus 3
01/17/2020 22:32 Property Info # o 2
01/17/2020 22:32 project cla 4
01/17/2020 22:32 selle 1,976
01/17/2020 22:32 rate adjust 9,608
01/17/2020 22:32 LoanTeamM 10
01/17/2020 22:32 2969 2
01/17/2020 22:32 subsequent 10
01/17/2020 22:32 financed loan closing costs 3
01/17/2020 22:32 borr first time homebuy 24
01/17/2020 22:32 UWC.All 7
01/17/2020 22:32 emp SSN 12
01/17/2020 22:32 Net Change 2
01/17/2020 22:32 896 20
01/17/2020 22:31 4493 3
01/17/2020 22:31 2834 2
01/17/2020 22:31 time 197
01/17/2020 22:31 orr Residence Years at Residence 2
01/17/2020 22:31 ms.curren 2
01/17/2020 22:31 liability i 120
01/17/2020 22:31 SYS.X361 1
01/17/2020 22:31 Fee Line 1210 37
01/17/2020 22:31 verificati 31
01/17/2020 22:31 NEWH 5,803
01/17/2020 22:31 REQU 9,142
01/17/2020 22:31 current balance 1
01/17/2020 22:31 Payout 10 Desc 1
01/17/2020 22:31 Borr Phone 28
01/17/2020 22:31 518 38
01/17/2020 22:31 closed end primary mortgage 2
01/17/2020 22:31 deni 3,636
01/17/2020 22:31 X28 244
01/17/2020 22:31 1085 5
01/17/2020 22:31 LOAN PROGR 86
01/17/2020 22:31 3162 3
01/17/2020 22:31 property valuation 6
01/17/2020 22:31 credit nu 3
01/17/2020 22:31 Approve Lock 24
01/17/2020 22:31 Port Loan 11
01/17/2020 22:31 CD3.X50 1
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01/17/2020 22:31 Ownership Type 1
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01/17/2020 22:31 liab 173
01/17/2020 22:31 extended 37
01/17/2020 22:31 cd3 798
01/17/2020 22:31 borr phon 28
01/17/2020 22:31 Total Income 107
01/17/2020 22:31 Rate Lock Reque 8,310
01/17/2020 22:31 Documen 490
01/17/2020 22:31 De 18,387
01/17/2020 22:31 Es 17,536
01/17/2020 22:31 ED 9,840
01/17/2020 22:31 1316 43
01/17/2020 22:31 VASUMM.x125 1
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01/17/2020 22:31 LE1.X3 11
01/17/2020 22:31 Y 12,768
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01/17/2020 22:31 personal 23
01/17/2020 22:31 previ 7,063
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01/17/2020 22:31 svc 165
01/17/2020 22:31 landl 32
01/17/2020 22:30 VEND.X492 1
01/17/2020 22:30 revised LE due date 1
01/17/2020 22:30 l252 1
01/17/2020 22:30 busine 181
01/17/2020 22:30 Received Method 12
01/17/2020 22:30 Total Loan Amount 14
01/17/2020 22:30 NEWHUD2.X3098 1
01/17/2020 22:30 Loan Type 116
01/17/2020 22:30 608 25
01/17/2020 22:30 services 32
01/17/2020 22:30 4158 1
01/17/2020 22:30 1399 3
01/17/2020 22:30 sta 1,565
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01/17/2020 22:30 cov amount 7
01/17/2020 22:30 borrowers age 2
01/17/2020 22:30 Mornet.X74 1
01/17/2020 22:30 40 1,078
01/17/2020 22:30 Mailing 28
01/17/2020 22:30 1607 3
01/17/2020 22:30 174 53
01/17/2020 22:30 borr position 8
01/17/2020 22:30 fai 51
01/17/2020 22:30 NEWH 5,803
01/17/2020 22:30 result 27
01/17/2020 22:30 deni 3,468
01/17/2020 22:30 uwc.ptdcount 1
01/17/2020 22:30 early check 1
01/17/2020 22:30 LE Due 173
01/17/2020 22:30 Principal reduction 2
01/17/2020 22:30 Qualifying rate 4
01/17/2020 22:30 Encompass Loan 1
01/17/2020 22:30 Document Type Code 1
01/17/2020 22:30 pair id 1
01/17/2020 22:30 OTHER INCOME 69
01/17/2020 22:30 NEWHUD.X1708 1
01/17/2020 22:30 3026 2
01/17/2020 22:30 33 1,268
01/17/2020 22:30 withdrawn 2
01/17/2020 22:30 uldd.x134 1
01/17/2020 22:30 to close 40
01/17/2020 22:30 settlem 128
01/17/2020 22:30 4196 2
01/17/2020 22:30 monthl 218
01/17/2020 22:30 paid off 10
01/17/2020 22:30 lock expires 123
01/17/2020 22:30 replacement 3
01/17/2020 22:30 fl 299
01/17/2020 22:29 rate lock sell 2,846
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01/17/2020 22:29 dividend 24
01/17/2020 22:29 MI cert 2
01/17/2020 22:29 Disclosures 14
01/17/2020 22:29 649 24
01/17/2020 22:29 previ 7,435
01/17/2020 22:29 4128 2
01/17/2020 22:29 freddie sub 9
01/17/2020 22:29 3401 12
01/17/2020 22:29 203K Contingency Rese 3
01/17/2020 22:29 07 743
01/17/2020 22:29 current payment 3
01/17/2020 22:29 NEWHUD2.X324 10
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01/17/2020 22:29 1707 3
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01/17/2020 22:29 purchase price 38
01/17/2020 22:29 credit authorizat 2
01/17/2020 22:29 cred 574
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01/17/2020 22:29 LE1.X92 1
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01/17/2020 22:29 670 24
01/17/2020 22:29 563 13
01/17/2020 22:29 1612 3
01/17/2020 22:29 1264 3
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01/17/2020 22:29 construction con 115
01/17/2020 22:29 Amortization Term 1
01/17/2020 22:29 AUS.X5 22
01/17/2020 22:29 112 191
01/17/2020 22:29 lock curren 197
01/17/2020 22:29 documents 34
01/17/2020 22:29 deliver 116
01/17/2020 22:29 clea 30
01/17/2020 22:29 Loan GUID 1
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01/17/2020 22:29 Expense ID 4
01/17/2020 22:28 DISCLOSEDTIL.COBORROWE 1
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01/17/2020 22:28 2962 13
01/17/2020 22:28 1073 5
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01/17/2020 22:28 Borrowe 2,005
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01/17/2020 22:28 NOTICES. 96
01/17/2020 22:28 File Contacts Closer 6
01/17/2020 22:28 Mi company name type 3
01/17/2020 22:28 LE3.X4 1
01/17/2020 22:28 671 34
01/17/2020 22:28 230 52
01/17/2020 22:28 119 91
01/17/2020 22:28 impr 121
01/17/2020 22:28 CLOSIN 2,119
01/17/2020 22:28 HUD Title 5
01/17/2020 22:28 descr 926
01/17/2020 22:28 import 6
01/17/2020 22:28 VEND.X177 1
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01/17/2020 22:27 1132 4
01/17/2020 22:27 routi 12
01/17/2020 22:27 CLOSIN 2,128
01/17/2020 22:27 purcha 262
01/17/2020 22:27 VASUMM.X2 22
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01/17/2020 22:27 ULDD 305
01/17/2020 22:27 NEWHUD2.X242 11
01/17/2020 22:27 good faith 39
01/17/2020 22:27 Lock (Most Recent 5,749
01/17/2020 22:27 Borr Own # Mos 2
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01/17/2020 22:27 first name 171
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01/17/2020 22:27 rati 267
01/17/2020 22:27 Fee Details 3,687
01/17/2020 22:27 be0011 2
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01/17/2020 22:27 Business Ch 8
01/17/2020 22:27 4012 2
01/17/2020 22:27 Lock 14,462
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01/17/2020 22:27 3474 13
01/17/2020 22:27 1370 2
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01/17/2020 22:26 4173 2
01/17/2020 22:26 2690 2
01/17/2020 22:26 ( 14,225
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01/17/2020 22:26 msa 3
01/17/2020 22:26 Ch 2,126
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01/17/2020 22:26 4460 2
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01/17/2020 22:25 rel 1,161
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01/17/2020 22:25 Fees Line 1113 12
01/17/2020 22:25 cd5.x16 1
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01/17/2020 22:24 va loan summ discount 1
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01/17/2020 22:24 Borr Puerto Rican Indicator 2
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01/17/2020 22:24 rate reduction 6
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01/17/2020 22:23 ms.start 1
01/17/2020 22:23 Buyside 156
01/17/2020 22:23 Confirmed CR FC EC 4
01/17/2020 22:23 Marital Status 2
01/17/2020 22:23 Project Classification Type 2
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01/17/2020 22:23 26 1,447
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01/17/2020 22:23 x35 207
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01/17/2020 22:23 credit authorizat 2
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01/17/2020 22:22 credit name 14
01/17/2020 22:22 clear t 28
01/17/2020 22:22 HTD 5
01/17/2020 22:22 LOCKRATE.RATEREQUESTSTATUS 1
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01/17/2020 22:21 Project Classification Type 2
01/17/2020 22:21 avail date for all other gfe 2
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01/17/2020 22:21 assigned dat 1
01/17/2020 22:20 Est Closing 294
01/17/2020 22:20 ballo 29
01/17/2020 22:20 933 21
01/17/2020 22:20 loan # 20
01/17/2020 22:19 haz 104
01/17/2020 22:19 Tot 1,257
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01/17/2020 22:18 Log.Ms.date 2
01/17/2020 22:18 1725 3
01/17/2020 22:17 trans deta 463
01/17/2020 22:17 SS 1,832
01/17/2020 22:17 GLOBAL.S4 11
01/17/2020 22:17 improvement 23
01/17/2020 22:17 DISCLOSURE.X635 1
01/17/2020 22:17 * 1
01/17/2020 22:17 FL 277
01/17/2020 22:16 Co-Borr Declarations f 2
01/17/2020 22:16 103 156
01/17/2020 22:16 letter 12
01/17/2020 22:15 savings 8
01/17/2020 22:15 cd2.xstj 1
01/17/2020 22:15 Funded 8
01/17/2020 22:15 NEWHUD.X252 1
01/17/2020 22:15 4150 2
01/17/2020 22:15 attorney fe 20
01/17/2020 22:14 103 157
01/17/2020 22:14 closi 2,128
01/17/2020 22:14 Loan Info Const 20
01/17/2020 22:14 fha lender id 5
01/17/2020 22:14 GLOBAL.S4 11
01/17/2020 22:14 cancel lock 5
01/17/2020 22:14 GLOBAL.S4 11
01/17/2020 22:14 String 2
01/17/2020 22:14 counselin 56
01/17/2020 22:14 previous 7,061
01/17/2020 22:14 GLOBAL.S4 11
01/17/2020 22:13 Qualifies as a Veteran 1
01/17/2020 22:13 24 1,864
01/17/2020 22:13 263 72
01/17/2020 22:13 ULDD.FRE.AUTOUWDEC 1
01/17/2020 22:13 QM.X23 11
01/17/2020 22:13 FULF 49
01/17/2020 22:13 borr counseling 6
01/17/2020 22:12 LE3.X5 1
01/17/2020 22:12 endorse 46
01/17/2020 22:12 last disclosed 10
01/17/2020 22:12 ULDD.X96 1
01/17/2020 22:12 UCD. 6
01/17/2020 22:11 LoanTeamMember.Name 1
01/17/2020 22:11 SECTION 853
01/17/2020 22:11 ter 1,339
01/17/2020 22:11 notices.x1 11
01/17/2020 22:11 balloo 29
01/17/2020 22:11 Shipped Date 2
01/17/2020 22:11 NEWHUD2.X112 7
01/17/2020 22:11 DISCLOSURE.X564 1
01/17/2020 22:11 3322 2
01/17/2020 22:11 usda.x51 1
01/17/2020 22:11 third party originator 2
01/17/2020 22:11 ssa 89 12
01/17/2020 22:11 seller's agent 11
01/17/2020 22:11 debt to income 8
01/17/2020 22:11 rati 267
01/17/2020 22:11 Doc date 37
01/17/2020 22:11 payab 23
01/17/2020 22:11 ordered 22
01/17/2020 22:11 mg 31
01/17/2020 22:11 line descr 288
01/17/2020 22:11 last disclosed 10
01/17/2020 22:11 assets cash deposit desc1 1
01/17/2020 22:11 addendu 38
01/17/2020 22:11 rate lock sell side price 1,272
01/17/2020 22:11 accountchek 4
01/17/2020 22:11 VEND.X6 111
01/17/2020 22:11 ULDD.FRE.X1172 1
01/17/2020 22:11 Occupancy Ty 29
01/17/2020 22:11 HMDA Date 1
01/17/2020 22:11 CE0006 2
01/17/2020 22:11 CD Disclosure Date 7
01/17/2020 22:11 770 32
01/17/2020 22:11 4118 13
01/17/2020 22:11 pledg 1
01/17/2020 22:11 328 51
01/17/2020 22:11 2835 2
01/17/2020 22:10 2215 13
01/17/2020 22:10 1518 3
01/17/2020 22:10 0116 3
01/17/2020 22:10 le2.x9 5
01/17/2020 22:10 Change Reason 10
01/17/2020 22:10 Fee Details - Line 801c 28
01/17/2020 22:10 FHA 346
01/17/2020 22:10 Form 187
01/17/2020 22:10 Cd 1,315
01/17/2020 22:09 1881 1
01/17/2020 22:09 borpaidamt 88
01/17/2020 22:09 l25 3
01/17/2020 22:09 casasrn.x167 1
01/17/2020 22:09 2171 13
01/17/2020 22:09 casasrn.x78 1
01/17/2020 22:08 correspondent 182
01/17/2020 22:08 Previous price 2,556
01/17/2020 22:08 2888 13
01/17/2020 22:08 actual received date 5
01/17/2020 22:08 subord 61
01/17/2020 22:07 Alterat 1
01/17/2020 22:07 underwriting conditions 30
01/17/2020 22:07 Buyer Agent 25
01/17/2020 22:07 investor exp 2
01/17/2020 22:07 other mort 19
01/17/2020 22:07 LE2.X28 1
01/17/2020 22:07 sys.x17 9
01/17/2020 22:07 newhud.x572 1
01/17/2020 22:07 loan scenario 31
01/17/2020 22:07 Lock Date (Most 160
01/17/2020 22:07 finis 1
01/17/2020 22:06 compliancereview.x14 1
01/17/2020 22:06 appraisal value 1
01/17/2020 22:06 disclosure.x913 1
01/17/2020 22:06 verificati 31
01/17/2020 22:06 trans details est closing date 13
01/17/2020 22:06 loan program template 12
01/17/2020 22:06 Living 4
01/17/2020 22:06 CD5.X18 1
01/17/2020 22:06 1753 2
01/17/2020 22:06 co m 8,759
01/17/2020 22:06 qua 340
01/17/2020 22:06 payou 48
01/17/2020 22:06 occup 45
01/17/2020 22:06 deduction 23
01/17/2020 22:06 disclosure.x993 1
01/17/2020 22:06 Natural 5
01/17/2020 22:06 Impoun 59
01/17/2020 22:06 3991 2
01/17/2020 22:06 pay off 76
01/17/2020 22:06 loanprogram 6
01/17/2020 22:06 escrow disclosure 23
01/17/2020 22:06 du approva 3
01/17/2020 22:06 disclosure due 253
01/17/2020 22:06 deduct 36
01/17/2020 22:05 advanced 5
01/17/2020 22:05 VA Eligibility 14
01/17/2020 22:05 TYPE OF 54
01/17/2020 22:05 TR000 14
01/17/2020 22:05 Lock Reques 8,466
01/17/2020 22:05 Conversion 8
01/17/2020 22:05 814 90
01/17/2020 22:05 3025 2
01/17/2020 22:05 2262 13
01/17/2020 22:05 1959 2
01/17/2020 22:05 1659 4
01/17/2020 22:05 veter 51
01/17/2020 22:05 negative amortization 16
01/17/2020 22:05 le received date 10
01/17/2020 22:05 STREAMLINE 2
01/17/2020 22:05 Lender Paid Mortgage 15
01/17/2020 22:05 FIRST PAY 35
01/17/2020 22:05 reconcil 3
01/17/2020 22:05 transaction fees 2
01/17/2020 22:05 4152 2
01/17/2020 22:05 2209 2
01/17/2020 22:05 borr present state 2
01/17/2020 22:05 VALA.X11 1
01/17/2020 22:05 NEWHUD.X555 2
01/17/2020 22:05 Child Support 12
01/17/2020 22:05 4243 2
01/17/2020 22:05 special 28
01/17/2020 22:05 Subject Pro 377
01/17/2020 22:05 REQU 9,142
01/17/2020 22:05 O 33,979
01/17/2020 22:05 MI fact 3
01/17/2020 22:05 HUD indicator 1
01/17/2020 22:05 Certificate 10
01/17/2020 22:05 975 13
01/17/2020 22:05 red 1,344
01/17/2020 22:04 total asse 19
01/17/2020 22:04 sys.x17 9
01/17/2020 22:04 report ID 13
01/17/2020 22:04 present add 18
01/17/2020 22:04 loan financed 10
01/17/2020 22:04 ULDD.X44 1
01/17/2020 22:04 L726 1
01/17/2020 22:04 Income Total Mo 18
01/17/2020 22:04 Escrow 432
01/17/2020 22:04 DD0016 1
01/17/2020 22:04 CD3.X1509 1
01/17/2020 22:04 Borrower POC Amou 121
01/17/2020 22:04 AUSTRACKING.AUS.X133 1
01/17/2020 22:04 2403 2
01/17/2020 22:04 1719 3
01/17/2020 22:04 1395 3
01/17/2020 22:04 1312 50
01/17/2020 22:04 co-mort7 12
01/17/2020 22:04 section o 853
01/17/2020 22:04 uwc.ptd 2
01/17/2020 22:04 relation 59
01/17/2020 22:04 summ 223
01/17/2020 22:03 requestco 13
01/17/2020 22:03 insurance m 196
01/17/2020 22:03 P&I 9
01/17/2020 22:03 Channel 2
01/17/2020 22:03 vend.x807 1
01/17/2020 22:03 total credi 10
01/17/2020 22:03 interest rate 116
01/17/2020 22:03 hazard poli 1
01/17/2020 22:03 formty 3
01/17/2020 22:03 disbursement 74
01/17/2020 22:03 cpl 13
01/17/2020 22:03 acct 40
01/17/2020 22:03 NEWHUD.X1151 1
01/17/2020 22:03 MIC 3
01/17/2020 22:03 FE0102 1
01/17/2020 22:03 490 38
01/17/2020 22:03 License 462
01/17/2020 22:03 conces 113
01/17/2020 22:03 Closing disclosure 1,018
01/17/2020 22:03 841 32
01/17/2020 22:03 prepai 30
01/17/2020 22:03 loan pros 3
01/17/2020 22:03 fha e 341
01/17/2020 22:03 date modif 8
01/17/2020 22:03 Rate No Closing Cost Optio 13
01/17/2020 22:03 Variance 19
01/17/2020 22:03 edisclosure 44
01/17/2020 22:03 Fees interest from 2
01/17/2020 22:03 1759 2
01/17/2020 22:02 MS.FUN 2
01/17/2020 22:02 LE ini 95
01/17/2020 22:02 Freddie Mac AccountChek Asset ID ( 2
01/17/2020 22:02 4076 2
01/17/2020 22:02 stat 1,268
01/17/2020 22:02 fl00 69
01/17/2020 22:02 cours 4
01/17/2020 22:02 OTHER INCOME 89
01/17/2020 22:02 MANUFACTURED 5
01/17/2020 22:02 comparison price 1,260
01/17/2020 22:02 vaelig.x3 11
01/17/2020 22:02 NEWHUD.X348 2
01/17/2020 22:01 Account Type 168
01/17/2020 22:01 pool number 13
01/17/2020 22:01 multifamily 2
01/17/2020 22:01 trans details est closing date 13
01/17/2020 22:01 GFE 476
01/17/2020 22:01 Fee Pai 1,951
01/17/2020 22:01 FHA date 24
01/17/2020 22:01 MORTGAGE P 399
01/17/2020 22:01 MI number 54
01/17/2020 22:01 Living 4
01/17/2020 22:01 vend.x500 1
01/17/2020 22:01 final approval date 1
01/17/2020 22:01 Property is 91
01/17/2020 22:00 AUS ran 17
01/17/2020 22:00 serial 1
01/17/2020 22:00 profile 6
01/17/2020 22:00 misc 29
01/17/2020 22:00 ex 2,206
01/17/2020 22:00 User ID 70
01/17/2020 22:00 Pension 7
01/17/2020 22:00 cash 127
01/17/2020 22:00 undiscounted rate 25
01/17/2020 22:00 disclosed date 43
01/17/2020 22:00 3397 13
01/17/2020 21:59 pledge 1
01/17/2020 21:59 mornet.x66 1
01/17/2020 21:59 NEWHUD2.X3064 1
01/17/2020 21:59 Loan offi 163
01/17/2020 21:59 tax id 53
01/17/2020 21:59 ULDD.X58 1
01/17/2020 21:59 payment freq 3
01/17/2020 21:59 Va total 38
01/17/2020 21:59 HMDA.X10 10
01/17/2020 21:59 DL 177
01/17/2020 21:59 Lock Date Expiration 27
01/17/2020 21:59 LoanT 39
01/17/2020 21:59 loan agree 2
01/17/2020 21:59 disclosure.x502 1
01/17/2020 21:59 denial.x73 1
01/17/2020 21:59 product descript 5
01/17/2020 21:59 LE ini 95
01/17/2020 21:59 HMDA.x107 1
01/17/2020 21:58 S32DISC.X150 1
01/17/2020 21:58 3122 2
01/17/2020 21:58 upfro 7
01/17/2020 21:58 Borrower POC Amount 121
01/17/2020 21:58 Document ordered 3
01/17/2020 21:58 1528 4
01/17/2020 21:58 yrs 24
01/17/2020 21:58 VA Veteran Firs 3
01/17/2020 21:58 Living 4
01/17/2020 21:58 Hmda.x88 1
01/17/2020 21:58 lock request rate 8,310
01/17/2020 21:57 sys.x23 9
01/17/2020 21:57 HMDA.X10 10
01/17/2020 21:57 tax id 53
01/17/2020 21:57 CD3.X46 4
01/17/2020 21:57 AUS ran 17
01/17/2020 21:57 broker compensation points 1
01/17/2020 21:57 Empl ID 31
01/17/2020 21:57 paymenthistory.pricipalreduction 1
01/17/2020 21:57 (Prev 7,310
01/17/2020 21:57 interest rate % 2
01/17/2020 21:57 date format 1
01/17/2020 21:56 teaser 14
01/17/2020 21:56 paymenthistory.pricipalreduction 1
01/17/2020 21:56 TOTAL FEE PERCEN 140
01/17/2020 21:56 STRING 2
01/17/2020 21:56 borrow can shop f 132
01/17/2020 21:56 2332 2
01/17/2020 21:56 Recorded Mortgage 12
01/17/2020 21:56 DISCLOSEDLE.SentDate 1
01/17/2020 21:56 GFE Interest 11
01/17/2020 21:56 newhud.x1642 1
01/17/2020 21:56 co Borrower First Name 3
01/17/2020 21:56 Odd Days 1
01/17/2020 21:56 down payment amount 2
01/17/2020 21:56 Loan File Id 2
01/17/2020 21:56 hawai 4
01/17/2020 21:56 disclosure.x39 11
01/17/2020 21:56 county Escrow 1
01/17/2020 21:56 HMDA.X3 10
01/17/2020 21:56 survey fee 9
01/17/2020 21:56 newhud.x696 1
01/17/2020 21:56 create 13
01/17/2020 21:55 VAVOB.X68 1
01/17/2020 21:55 QM.x2 111
01/17/2020 21:55 co-mort4 12
01/17/2020 21:55 guarantee fee 36
01/17/2020 21:55 FL006 7
01/17/2020 21:55 CONDIT 203
01/17/2020 21:55 manufactured 5
01/17/2020 21:55 1996 2
01/17/2020 21:55 1401 15
01/17/2020 21:55 FANNIESERV 6
01/17/2020 21:55 qm.x121 1
01/17/2020 21:55 disclosure.x959 1
01/17/2020 21:55 40 1,078
01/17/2020 21:55 date modif 8
01/17/2020 21:55 1608 3
01/17/2020 21:55 native 21
01/17/2020 21:55 disclosed LE sent 3
01/17/2020 21:55 VEND.X124 1
01/17/2020 21:54 HOEPA status 1
01/17/2020 21:54 disposition status 2
01/17/2020 21:54 LE1.X94 1
01/17/2020 21:54 subject indicator 6
01/17/2020 21:54 VEND.X140 1
01/17/2020 21:54 x48 85
01/17/2020 21:54 sent date 46
01/17/2020 21:54 rate lock status 39
01/17/2020 21:54 closing disclosure page 2 97
01/17/2020 21:54 HOL 292
01/17/2020 21:54 close 423
01/17/2020 21:54 USDA - Have You Ever Obtained a Loan/Grant from 4
01/17/2020 21:54 fl0009 2
01/17/2020 21:54 broker disclo 60
01/17/2020 21:54 uldd.x42 1
01/17/2020 21:54 Loan File Id 2
01/17/2020 21:54 print date 7
01/17/2020 21:54 credit contact 16
01/17/2020 21:54 branch price concession 12
01/17/2020 21:54 DISCLOSURE.X495 1
01/17/2020 21:54 Trans Details Loan # 5
01/17/2020 21:53 Lender's Title Policy 2
01/17/2020 21:53 ULDD.FNM.975 1
01/17/2020 21:53 no sc 161
01/17/2020 21:53 units 31
01/17/2020 21:53 1630 3
01/17/2020 21:53 CASASRN.x 83
01/17/2020 21:53 branch price concession 12
01/17/2020 21:53 HOL 292
01/17/2020 21:53 TRID 2
01/17/2020 21:52 newhud.x139 11
01/17/2020 21:52 VEND.X519 1
01/17/2020 21:52 wire transfer 13
01/17/2020 21:52 NOTICES.X1 11
01/17/2020 21:52 1547 3
01/17/2020 21:52 Co-Borr incom 73
01/17/2020 21:52 newhud2.x300 8
01/17/2020 21:52 marital 4
01/17/2020 21:52 dti 23
01/17/2020 21:52 1550 4
01/17/2020 21:52 VASUMM.X49 1
01/17/2020 21:52 MAVENT 18
01/17/2020 21:52 BORROW 2,028
01/17/2020 21:52 first time 29
01/17/2020 21:52 EDISCLOSED2015TRK.EDISCLOSUREBORROWER 1
01/17/2020 21:52 DISCLOSEDTIL.COBORROWERNAME 1
01/17/2020 21:52 loan originator NMLS ID 2
01/17/2020 21:52 CASH TO 51
01/17/2020 21:52 Acqu 37
01/17/2020 21:52 Under 291
01/17/2020 21:52 File Contacts Appraisal Co 18
01/17/2020 21:52 ir0002 1
01/17/2020 21:52 borrower score nam 4
01/17/2020 21:52 organization id 17
01/17/2020 21:52 lates 48
01/17/2020 21:52 borr address 65
01/17/2020 21:51 analysis 23
01/17/2020 21:51 Refinance Type 12
01/17/2020 21:51 VA Q 188
01/17/2020 21:51 Sent by 3
01/17/2020 21:51 1 8,738
01/17/2020 21:51 loan program 75
01/17/2020 21:51 NEWHUD2.X4700 1
01/17/2020 21:51 Lot # 1
01/17/2020 21:51 property inspection waiver 1
01/17/2020 21:51 first tim 35
01/17/2020 21:51 4210 2
01/17/2020 21:51 pta 10
01/17/2020 21:51 count 587
01/17/2020 21:51 VASUMM.X16 1
01/17/2020 21:51 Rate Lock Request Lock t 8,028
01/17/2020 21:51 buydown mo 209
01/17/2020 21:51 SYS.X379 1
01/17/2020 21:51 HMDA.X10 10
01/17/2020 21:51 casas 95
01/17/2020 21:51 NEWHUD2.X112 7
01/17/2020 21:51 3431 13
01/17/2020 21:51 QM.x2 111
01/17/2020 21:51 NEWHUD.X334 1
01/17/2020 21:51 specifi 76
01/17/2020 21:51 conforming loan indicator 1
01/17/2020 21:51 LE1.x5 11
01/17/2020 21:51 HUD closing date 2
01/17/2020 21:51 Employment St 18
01/17/2020 21:51 Borr Cuba 2
01/17/2020 21:51 3033 2
01/17/2020 21:51 amortization schedule 1
01/17/2020 21:51 verbiage 3
01/17/2020 21:51 mortgage cert 2
01/17/2020 21:51 transaction deta 1
01/17/2020 21:51 funded 8
01/17/2020 21:50 initial fixe 5
01/17/2020 21:50 X952 4
01/17/2020 21:50 Encompass Loan 1
01/17/2020 21:50 log.MS 11
01/17/2020 21:50 fraud service order 2
253 of 35,455 Fields in Encompass 19.2 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 19.3
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 19.3
Standard FL0009 STRING Liability Account Name
Standard FL0010 STRING Liability Account Number
Standard FL0065 STRING Other Account Type Description 19.2
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
Standard URLARAL0016 STRING 2 Additional Loans AccountType 19.2
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