Navigation: Loans > Loan Screens > Bankruptcy and Foreclosure Screen Group > Foreclosure, Repossession and Judgment Information Screen > Notices and Sale tab >
PMI field group
Use this field group to view and edit information about private mortgage insurance information on the customer loan account.
The fields in this field group are as follows:
Field |
Description |
Mnemonic: LNPMIP |
This field displays the percent of mortgage insurance coverage on the loan. Information in this field is pulled from the Loans > Account Information > Additional Fields screen. |
Mnemonic: RDPLCY |
This field displays the private-mortgage insurance policy number pulled from the Policy Number field on the Loans > Account Information > Reserves > Account Reserve Detail screen. Valid reserve disbursement types for this field are 50-59 and 76. |
Mnemonic: FCPMDS |
Use this field to indicate the date a Default notice was sent to the PMI company. The field to the right of the date field is a mailing Method indicator. Possible selections in this indicator field are "Registered" and "Certified." Method indicators are not required. |
Mnemonic: N/A |
Use this field to indicate the date the foreclosure instructions from the PMI company were received by your institution. |