Navigation:  Loans > Loan Screens > Payoff Screen > Investor/Dealer tab >

Investor Master field group

Navigation:  Loans > Loan Screens > Payoff Screen > Investor/Dealer tab >

Investor Master field group

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This tab displays investor information for the customer loan account, if applicable.

 

lp_investormaster

 

The fields in this field group are as follows:

 

Field

Description

Investor Payoff Code

 

Mnemonic: POICCD

This field displays a code representing how the investor's portion of interest is calculated in the payoff transaction (if the loan is sold). See Investor Payoff Codes for more information.

Investor Master

 

Mnemonic: LNIMST

This field displays the number assigned by your institution to a particular investor to whom the loan was sold. Investor masters are created on the Loans > Investor Reporting > Investor Master screen.

Investor Group

 

Mnemonic: LNIGRP

This field displays the number assigned by the institution to a particular investor group representing the loan sale to which the loan belongs. Investor groups are created on the Loans > Investor Reporting > Investor Group screen.

Portion Sold

 

Mnemonic: LNISLD

This field displays the percentage of the loan sold to the investor. This field is pulled from the Portion Sold field on the Loans > Investor Reporting > Loan Investor Fields screen.

Guaranteed Rt

 

Mnemonic: LNIGRT

This field displays the guaranteed yield rate promised to the investor on this particular group of loans. This field is pulled from the Guaranteed Rate field group on the Loans > Investor Reporting > Loan Investor Fields screen.

Acct

 

Mnemonic: LNIACT

This field displays the number set up by the investor on their records for the loan account. This field is pulled from the Investor Account Number on the Loans > Investor Reporting > Loan Investor Fields screen.

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