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Loan Master Memopost Records LM

Navigation:  GOLDWriter Mnemonic Dictionary >

Loan Master Memopost Records LM

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This section of the GOLDWriter Mnemonic Dictionary provides the CIM GOLD source location and entry details for GOLDWriter field mnemonics within the Loan Master Memopost Records LM master record category. Note that this record does not appear in main GOLDWriter record lists and must be accessed manually by entering the record code (CFLM) in the Master Record field (during the first step of the GOLDWriter Report Wizard process).

 

LoanMasterMemopostLMGW

 

This table is organized alphabetically by field Mnemonic.

 

Mnemonic

Description

CIM GOLD Field Location

Details

LM1DUE

First Due Date


 

LM1ROL

Date Of First Due Date Roll



LM2LMT

Credit Limit



LM2ORT

Original Rate



LM2PAV

Pledged Percent Available



LM4NBR

Account Number With Branch



LM78AD

GL Amortization Date



LM78AF

Use Anniversary of 1st Due Date



LM78AM

GL Amortization Method



LM78AO

Rule 78 Add On Rate



LM78CD

Rule 78 Unearned Dealer Rsrv At Date



LM78CG

GL Unearned Interest



LM78CI

Rule 78 Unearned Int At Date Last Accr


 

LM78CX

Rule 78 Unearned Insur At Date Last Accr



LM78DL

Rule 78 Dealer Nbr



LM78DR

Rebate Rule Days


 

LM78EC

Rule 78 Extension Change Calc Code



LM78EN

Rule 78 Number Of Extensions Given



LM78EX

Rule 78 Extension Charge Amount



LM78OD

Rule 78 Original Unearned Dealer Reserve



LM78OI

Rule 78 Original Unearned Interest


 

LM78OP

Rule 78 Original Principal Before Add On



LM78OX

Rule 78 Original Unearned Interest



LM78PO

Use Rule Days at Payoff Only



LM78RD

Rule 78 Rebated Dealer Reserve



LM78RI

Rule 78 Interest Rebated To Customer



LM78RX

Rule 78 Rebated Insurance



LM78S1

PM3 Status Indicator



LM78SF

Start With 1st Due Date



LMA10C

Action Code 10


 

LMA10D

Action Date 10



LMA2CD

Action Code 2



LMA2DT

Action Date 2


 

LMA3CD

Action Code 3



LMA3DT

Action Date 3


 

LMA4CD

Action Code 4


 

LMA4DT

Action Date 4



LMA5CD

Action Code 5



LMA5DT

Action Date 5


 

LMA6CD

Action Code 6



LMA6DT

Action Date 6



LMA7CD

Action Code 7



LMA7DT

Action Date 7



LMA8CD

Action Code 8



LMA8DT

Action Date 8


 

LMA9CD

Action Code 9



LMA9DT

Action Date 9



LMABNK

Autopayment Source Bank Rt



LMACBL

Accrued Int Billed Less Pmt



LMACCD

Action Code 1



LMACCK

Account Is Savings



LMACDT

Action Date 1



LMACIN

Accrued Interest



LMACLS

Asset Classification



LMACST

Non Accrual Status



LMACTP

Last Activity Type



LMACTV

Date of Last Activity



LMACYC

Auto Payment Cycle Code



LMADT1

Aml Next Rate Effective Date 1



LMADT2

Aml Next Rate Effective Date 2



LMADT3

Aml Next Rate Effective Date 3



LMADT4

Aml Next Rate Effective Date 4



LMADT5

Aml Next Rate Effective Date 5



LMADT6

Aml Next Rate Effective Date 6



LMADT7

Aml Next Rate Effective Date 7



LMADT8

Aml Next Rate Effective Date 8



LMADT9

Aml Next Rate Effective Date 9



LMADTA

Aml Next Rate Effective Date 10



LMADTB

Aml Next Rate Effective Date 11



LMADTC

Aml Next Rate Effective Date 12



LMAHCD

Auto Hold Code 11



LMAIPD

Actual Interest Paid


 

LMALTX

Alt Tax Reporting



LMAMAD

AML Days Before Rate Change



LMAMCC

AML PI Const Change Counter


 

LMAMCM

AML Accr Rate Change Minimum



LMAMDC

AML Loan has PI Const Decrease Limit



LMAMDT

AML Date Of Next Rate Change



LMAMFQ

AML Accrual Rate Change Fequency


 

LMAMGI

GPM Increase Percentage



LMAMGN

GPM Number Of Increases



LMAMHI

AML Accrual Rate Lifetime Ceiling



LMAMID

AML Days Before Payment Change



LMAMIG

AML Freq To Ignore PI Con Inc Limit



LMAMLO

AML Accrual Rate Lifetime Floor



LMAMLP

AML Length Of Rate Cap Period



LMAMMX

AML Maximum Principal Balance



LMAMNA

AML Next Accrual Rate Index



LMAMHI

AML Next Interest Rate



LMAMOA

AML Original Rate



LMAMOF

AML Accrual Rate Offset



LMAMOR

Amortization Code



LMAMPC

AML PI Constant Change Freq



LMAMPD

AML Start Of Accrual Period



LMAMPL

AML PI Constant Increase Limit



LMAMPT

AML Accrual Rate Pointer


 

LMAMRD

AML Accr Rate Max Pts Prd Down



LMAMRT

AML Accrual Rate



LMAMRU

AML Accr Rate Max Pts Prd Up



LMAMSY

AML Rate At Period Start



LMAMUN

Unused Percentage Points


 

LMAMZ6

Reamortize PI For Pmth 6



LMANAL

Reserve Analysis Eff Date



LMANBR

Autopayment Source Account Number



LMANR1

AML Next Accrual Rate 1



LMANR2

AML Next Accrual Rate 2



LMANR3

AML Next Accrual Rate 3



LMANR4

AML Next Accrual Rate 4



LMANR5

AML Next Accrual Rate 5



LMANR6

AML Next Accrual Rate 6



LMANR7

AML Next Accrual Rate 7



LMANR8

AML Next Accrual Rate 8



LMANR9

AML Next Accrual Rate 9



LMANRA

AML Next Accrual Rate 10



LMANRB

AML Next Accrual Rate 11



LMANRC

AML Next Accrual Rate 12



LMAPAM

Appraised Amount



LMAPCD

Asset Purpose Code



LMAPIC

Amortized PI Constant



LMAPIN

AML Previous Index Rate



LMAPLY

Stop Applied To Pmth 6



LMAPNO

GOLD Trak Application Number



LMAPP2

Payment Application Code Feb



LMAPP3

Payment Application Code Mar



LMAPP4

Payment Application Code Apr



LMAPP5

Payment Application Code May


 

LMAPP6

Payment Application Code Jun



LMAPP7

Payment Application Code Jul



LMAPP8

Payment Application Code Aug



LMAPP9

Payment Application Code Sep



LMAPPA

Payment Application Code Oct



LMAPPB

Payment Application Code Nov



LMAPPC

Payment Application Code Dec



LMAPPL

Payment Application Code Normal



LMAPRM

Written Off



LMAPRS

Appraisal Date



LMASCD

Assumption Code



LMASDT

Assumption Date



LMASIN

AsOf Date Type Indicator



LMASOF

Sell Loan AsOf Date



LMASTP

Stop Auto Payments At Maturity



LMASVC

Annual Serv Fee Assessed



LMATAX

Loan Qualifies For Additional Tax



LMBAL2

Secondary Loan Balance



LMBCYC

Bill Cycle Code


 

LMBFEE

Broker Fee



LMBILL

Bill Code



LMBINX

AML Base Index



LMBRK#

Broker Number



LMBSIN

AML Use Base Index Calculation



LMBTAX

Borrower Pays Own Taxes



LMCACC

Current Month Accrued Int



LMCAMD

Cost Date Last Amortized



LMCBAL

LIP Customer Balance



LMCBAN

Loan Assumed And Reported New



LMCBAT

Loan Assumed And Terminated



LMCFEE

Commitment Fee



LMCGLP

Cost GL Posting Field



LMCKDG

Check Digit



LMCLAB

Add Premiums To Billing



LMCLAP

Add Premiums To Balance



LMCLAS

Class Code



LMCLAT

Payoff Amount



LMCLCA

Credit Life Constant



LMCLCY

Credit Life Cycle



LMCLDS

Collateral Description



LMCLDT

Date Paid Off


 

LMCLMC

Credit Life Max Prin Coverage



LMCLMD

Credit Life Method



LMCLPD

Credit Life Premiums Due



LMCLPF

Credit Life Premium Factor



LMCLRP

Credit Life Factor Pointer



LMCLSD

Account Closed



LMCLTP

Credit Life Type



LMCLYT

Credit Life YTD Paid



LMCMET

Cost Amortization Method


 

LMCNCV

Contract Conversion



LMCNTR

Record Subtype Counter



LMCOBL

Charge Off Partial Balance


 

LMCODT

Charge Off Date



LMCOLL

Collateral Code



LMCOMM

Commercial Loan



LMCORG

Cost Original Amount



LMCPR1

Capitalize Reserve One Balance



LMCRBU

Report To Credit Bureau



LMCREM

Cost Remaining Amount



LMCRT1

Cost APR Rate 1



LMCRT2

Cost APR Rate 2



LMCRT3

Cost APR Rate 3



LMCSHN

Override Cushion



LMCSTA

Cost Status Byte



LMCTM1

Cost Amort Term 1



LMCTM2

Cost Amort Term 2



LMCTM3

Cost Amort Term 3



LMCTOR

Collection Officer



LMCVDT

Date Loan Converted



LMDAMD

Discount Date Last Amortized


 

LMDCAP

AML Delay Rate Cap



LMDCAT

Delinquent Category


 

LMDDRA

Roll Due Date Amount



LMDDRT

Roll Due Date Type



LMDEFI

Deferred Interest



LMDELQ

Delinquency Pattern Field



LMDEOM

Date Interest At Monthend



LMDF78

Rule 78 Def Fees Amort



LMDFIM

Deferring Int Immediately


 

LMDFTI

Def Fees Not Taken when 100 Sold



LMDGLP

Discount GL Posting Field


 

LMDLAC

Date Last Accrued



LMDLAD

Dealer Date Last Amortize



LMDLAM

Amortize Dealer Interest



LMDLCD

Dealer Amortization Code



LMDLOC

Do Not Report As Line Of Credit



LMDLRC

Dealer Recourse



LMDLRE

Dealer Interest Earned



LMDLRP

Dealer Interest Prepaid



LMDLRT

Dealer Rate



LMDMET

Discount Amort Method



LMDORG

Discount Original Amount


 

LMDREM

Discount Remaining Amount



LMDRT1

Discount rate 1


 

LMDRT2

Discount rate 2



LMDRT3

Discount rate 3



LMDSTA

Discount


 

LMDTLP

Date Last Payment



LMDTM1

Discount Term 1



LMDTM2

Discount Term 2


 

LMDTM3

Discount Term 3



LMDUDT

Next Payment Due Date


 

LMDUDY

Due Date Day



LME040

AML Event 49 For PI Const Change



LMEDUE

Escrow Constant Due



LMELN2

Event Letter 2



LMELN3

Event Letter 3


 

LMELN4

Event Letter 4



LMELN5

Event Letter 5


 

LMELNO

Event Letter 1


 

LMEVD2

Event Date 2


 

LMEVD3

Event Date 3


 

LMEVD4

Event Date 4


 

LMEVD5

Event Date 5


 

LMEVDT

Event Date 1


 

LMEVN2

Event Number 2



LMEVN3

Event Number 3



LMEVN4

Event Number 4



LMEVN5

Event Number 5



LMEVNT

Event Number 1



LMEXPY

Exception To Policy


 

LMFAMD

Feed Date Last Amortized



LMFEES

Total Loan Fees



LMFGLP

Fees GL Posting Field



LMFHLC

FHLB Collateral Class



LMFHLT

FHLB Collateral Type



LMFIRS

Report Orig Fees To IRS



LMFMET

Fees Amortization Method



LMFORG

Fees Original Amount



LMFPRF

FHA Risk Based Premium Factor



LMFREM

Fees Remaining Amount



LMFREQ

Payment Frequency


 

LMFREX

Fixed Rate Expiration



LMFRT1

Fees Rate 1



LMFRT2

Fees Rate 2



LMFRT3

Fees Rate 3



LMFSTA

Fees Status Byte



LMFTM1

Fees Term 1



LMFTM2

Fees Term 2



LMFTM3

Fees Term 3



LMFTRM

FHA Risk Based Premium Term



LMFVNO

FHA or VA Account Number



LMGEMF

GEM Frequency in Months



LMGEMR

GEM Pmt Change Percent



LMGENL

General Category



LMGFEE

Investor Loan Level Guaranty Fee



LMGNET

Stop GOLDPhone Advanced



LMGPIN

Goldphone Pin



LMGPMC

GPM Current Year in the Plan



LMGPMN

GPM Negative Amortizing Plan


 

LMGPMR

GPM Annual Pmt Chng Percent



LMGPXF

Restrict GOLDPhone



LMGRAD

GPM Graduated Pmts



LMHLD1

Hold Code 1



LMHLD2

Hold Code 2



LMHPMI

Loan Has PMI



LMHSEQ

Next History Sequence Counter



LMHVEC

Have EC Record On Account


 

LMIACT

Investor Assigned Account Num



LMIBAS

Interest Calc Code



LMICAP

Investor Per Rate Cap On Guar


 

LMICDT

Investor Guar Rate Change Date



LMICMN

Investor Curtailment Minimum



LMIDYS

Investor Days Before Rate Chg



LMIEF1

Investor Next Rate Eff Date 1



LMIEF2

Investor Next Rate Eff Date 2



LMIEF3

Investor Next Rate Eff Date 3



LMIEF4

Investor Next Rate Eff Date 4



LMIEF5

Investor Next Rate Eff Date 5



LMIEF6

Investor Next Rate Eff Date 6



LMIEF7

Investor Next Rate Eff Date 7



LMIEF8

Investor Next Rate Eff Date 8



LMIEF9

Investor Next Rate Eff Date 9



LMIEFA

Investor Next Rate Eff Date 10


 

LMIEFB

Investor Next Rate Eff Date 11



LMIEFC

Investor Next Rate Eff Date 12



LMIFRQ

Investor Frequency of Rate Change



LMIGNX

Investor Next Guar Rate



LMIGOF

Investor Guar Rate Offset



LMIGRP

Investor Group Number



LMIGRT

Investor Guaranteed Rate



LMIICL

Investor Interest Calc Code



LMILCL

Investor Late Charge Calc Code



LMIMAX

Investor Guar Rate Ceiling


 

LMIMDF

Amort Def Fees By Interest Mthd



LMIMIN

Investor Guar Rate Floor



LMIMPD

Impaired Loan



LMIMST

Investor Master Number



LMINAD

Stop Internet Advances



LMINDU

Interest Due



LMINNO

Installments Made



LMINR1

Investor Next Accrual Rate 1



LMINR2

Investor Next Accrual Rate 2



LMINR3

Investor Next Accrual Rate 3



LMINR4

Investor Next Accrual Rate 4



LMINR5

Investor Next Accrual Rate 5


 

LMINR6

Investor Next Accrual Rate 6



LMINR7

Investor Next Accrual Rate 7



LMINR8

Investor Next Accrual Rate 8



LMINR9

Investor Next Accrual Rate 9



LMINRA

Investor Next Accrual Rate 10



LMINRB

Investor Next Accrual Rate 11



LMINRC

Investor Next Accrual Rate 12



LMINS#

LIP Inspector Number



LMINSU

Insurer Code



LMINXF

Restrict Internet



LMIPCL

Investor Principal Calc Code



LMIPIC

Interest PI Constant



LMIPLN

Investor Guar Rate Cap Prd



LMIPMN

Investor Guar Rate Prd Min



LMIPMX

Investor Guar Rate Prd Max



LMIPOF

Investor Payoff Calc Code



LMIPRE

Investor PrePayment Calc Code



LMIPSD

Investor Guar Rate Period Start



LMIPSR

Investor Guar Rate At Period Start



LMIPTR

Investor Rate Pointer



LMIR10

Investor Rount Rate To Nearest 10th



LMIRCL

Investor Reserve Calc Code



LMIRDN

Investor Round Rate Down



LMIRLS

Investor Recoup Lost Int On Guar Rate



LMIRN8

Investor Round Guar Rate To Nearest 8th



LMIRPT

Using Irregular Pmt


 

LMIRRQ

Investor Round Rate To Nearest 4th



LMIRRS

Investor Round Rate To Nearest 16th



LMIRS1

Pay Interest On Reserve 1



LMIRS2

Pay Interest On Reserve 2



LMIRSC

IRS Statement Corrected



LMIRSI

Interest Adjustment Amount



LMIRSY

Interest Adjustment Year



LMIRUP

Investor Round Rate Up



LMISCL

Investor Srvc Fee Calc Code



LMISFC

Investor Service Fee is a Constant



LMISFM

Investor Service Fee is a Minimum



LMISLD

Investor Percentage Sold



LMISTA

Investor Status Byte



LMISUB

Interest On Subsidy



LMISVC

Investor Service Fee Rate



LMIUNU

Investor Guar Rate Unused Points



LMLACC

LIP Accrued Interest



LMLADT

Date Last Escrow Analysis



LMLATE

Late Charges Due



LMLBAL

LIP Undisbursed Funds Balance



LMLCAP

LIP Periodic Rate Cap On LIP



LMLCBS

Last Credit Bureau Status Rpt



LMLCGA

LIP Charge Amount



LMLCGR

LIP Charging Int By Fixed Amt



LMLCHD

LIP Rate Change Date



LMLCHG

LIP Interest Charge Bill Code



LMLCPM

Stop Late Charge Past Orig Maturity Date



LMLCRT

LIP Billing Rate If Billed



LMLDUE

LIP Due Date



LMLDYS

LIP Days Before Rate Change



LMLFIX

LIP Uses Fixed Rate Roll


 

LMLFRQ

LIP Rate Change Frequency



LMLHRT

LIP Uses High Rate



LMLIND

LIP Inspection Date



LMLLTC

Life Of Loan Late Charges Collected


 

LMLMAX

LIP Lifetime Ceiling



LMLMIN

LIP Lifetime Floor


 

LMLMTH

LIP Method Code


 

LMLND1

Late Notice Days 1st


 

LMLND2

Late Notice Days 2nd


 

LMLND3

Late Notice Days 3rd


 

LMLNPR

LIP Previous Index Rate



LMLNXT

LIP Next Interest Rate



LMLOFF

LIP Interest Rate Offset



LMLPCC

LIP Percent Complete



LMLPCG

LIP Prior Unpaid Billing


 

LMLPEF

Penalty Rate Days


 

LMLPIN

LIP Previous Index Rate



LMLPLN

LIP Rate Cap Period



LMLPMN

LIP Periodic Rate Minimum



LMLPMX

LIP Periodic Rate Maximum



LMLPRT

Penalty Rate



LMLPSD

LIP Rate Periodic Start Date



LMLPSR

LIP Periodic Starting Rate



LMLPTR

LIP Rate Pointer


 

LMLR10

LIP Round Rate To Nearest 10th



LMLRAT

LIP Interest Rate



LMLRDN

LIP Round Rate Down



LMLRET

LIP Retention Amount



LMLRIN

Reserved For Interest of LIP



LMLRLS

LIP Recoup Lost Int



LMLRN8

LIP Round Rate To Nearest 8th



LMLRRQ

LIP Round Rate To Nearest 4th



LMLRRS

LIP Round Rate To Nearest 16th


 

LMLRSV

LIP Use Reserves On Statement



LMLRUP

LIP Round Rate Up


 

LMLSTA

LIP Status Byte



LMLSTB

Last Billed Amount



LMLT10

10 to 29 Days Late



LMLT30

30 to 59 Days Late



LMLT60

60 to 89 Days Late


 

LMLT90

90 or More Days Late



LMLTCD

Late Charge Code



LMLTDT

Late Charge Date Last Assessed



LMLTGR

Late Charge Grace Days



LMLTMN

Late Charge Minimum



LMLTMX

Late Charge Maximum



LMLTNO

Times Late Life Of Loan



LMLTP1

Late Notice Type 1



LMLTP2

Late Notice Type 2



LMLTP3

Late Notice Type 3



LMLTRT

Late Charge Rate



LMLTWV

Late Charge Times Waived



LMLYTD

LIP YTD Interest



LMLYTL

LIP Previous Year YTD Interest



LMMATD

Maturity Date



LMMATM

Maturity Modifier



LMMBNT

Multiple Late Notices



LMMEMO

Loan is to be Memo Posted



LMMEPB

Month End Principal Balance



LMMEXP

Memo Expiration Date



LMMISC

Miscellaneous Funds



LMMLRT

Multi Rated Tiering



LMMONY

Money Tran On Memopost Loan



LMMULP

Multiple Pmt Appls Reqrd



LMMVPT

Market Value Pointer



LMMVRT

Market Value Rate



LMNABB

NonAccrual Book Balance



LMNDX1

AML Index Rate



LMNDX2

AML Index Rate 2



LMNDX3

AML Index Rate 3



LMNDX4

AML Index Rate 4



LMNDX5

AML Index Rate 5



LMNDX6

AML Index Rate 6



LMNDX7

AML Index Rate 7



LMNDX8

AML Index Rate 8



LMNDX9

AML Index Rate 9



LMNDXA

AML Index Rate 10



LMNDXB

AML Index Rate 11



LMNDXC

AML Index Rate 12



LMNETX

Surplus Check Amount



LMNEVR

AML Never Defer Interest



LMNHST

No Analysis History Stmt



LMNLOC

NonRevolving LOC



LMNOIL

Second Mtg No Intervening Liens


 

LMNONP

NonPerforming Loan



LMNPRX

Proxy On File



LMNRRS

Round Rate To Nearest 16th



LMOADD

Original Add On Amount



LMOAPR

Original APR



LMOBAL

Original Balance



LMODOC

Document Override



LMOFCR

Officer Number From GOLDTrak



LMOFEE

Original Loan Fees



LMOLD#

Old Account Number



LMOPIC

Original PI Constant



LMOPMT

Extra Principal With Auto Payment



LMOPND

Date Opened



LMORGN

Originated or Purchased



LMORIG

Origination Code



LMOSTA

Override Cushion


 

LMOWNR

Owner Occupied



LMPACC

Previous Mont Accrued Int



LMPAMD

Date Premium Last Amortiz



LMPBAL

Principal Balance



LMPBLD

Passbook Date Last Updated



LMPBLT

Passbook Time Last Updated



LMPCAP

AML Uses Payment Caps


 

LMPDDY

Number Of Days Prepaid



LMPDTO

Interest Paid To Date



LMPDUE

Principal Portion Of Pmt Due


 

LMPEF1

AML PI Effective Date 1



LMPEF2

AML PI Effective Date 2



LMPEF3

AML PI Effective Date 3



LMPEF4

AML PI Effective Date 4



LMPEF5

AML PI Effective Date 5



LMPEF6

AML PI Effective Date 6



LMPEF7

AML PI Effective Date 7



LMPEF8

AML PI Effective Date 8



LMPEF9

AML PI Effective Date 9



LMPEFA

AML PI Effective Date 10



LMPEFB

AML PI Effective Date 11



LMPEFC

AML PI Effective Date 12



LMPFRB

Pledged for FRB



LMPGLP

Premium GL Posting Field



LMPGRP

Investor Previous IGRP Number


 

LMPHH1

Mon Pymt Hst 1st Half



LMPHH2

Mon Pymt Hst 2nd Half


 

LMPHST

Month Payment History


 

LMPICN

PI Constant



LMPIEF

AML PI Constant Change Date



LMPINX

AML Next PI Constant



LMPIVD

Investor Date Inv Changed


 

LMPLCL

Pledged for Collateral



LMPLDG

Loan Pledged But Not Sold



LMPMAT

Use Penalty Rate At Maturity



LMPMET

Premium Amortization Meth


 

LMPMIC

PMI Code



LMPMIP

PMI Percentage



LMPMSC

Account Uses Pmt Schedules



LMPMTH

Payment Method Code



LMPNCH

Force PIN Change



LMPNX1

AML PI Constant 1


 

LMPNX2

AML PI Constant 2


 

LMPNX3

AML PI Constant 3



LMPNX4

AML PI Constant 4



LMPNX5

AML PI Constant 5



LMPNX6

AML PI Constant 6


 

LMPNX7

AML PI Constant 7



LMPNX8

AML PI Constant 8



LMPNX9

AML PI Constant 9


 

LMPNXA

AML PI Constant 10



LMPNXB

AML PI Constant 11



LMPNXC

AML PI Constant 12


 

LMPORG

Premium Original Amount



LMPPEN

PrePayment Penalty Code


 

LMPREM

Premium Remaining Amount



LMPRT1

Premium Rate 1



LMPRT2

Premium Rate 2


 

LMPRT3

Premium Rate 3


 

LMPRTL

Partial Payment Amount



LMPSHI

Prime High Limit



LMPSLO

Prime Low Limit



LMPSTA

Premium Status Byte



LMPT99

Create 1099 PTL



LMPTM1

Premium Term 1



LMPTM2

Premium Term 2



LMPTM3

Premium Term 3



LMPTST

Pmt Test Applies



LMPUDT

Date Purchased



LMPWOA

Partial Write Off Amount



LMPYTD

Previous Year YTD Interest



LMPYTR

Previous Year YTD Int On Reserves



LMPYTS

Previous Year YTD On Subsidy



LMPYTT

Previous Year YTD Taxes



LMR1AI

Accrued Interest On Reserve 1


 

LMR1BL

Reserve 1 Balance



LMR1C2

2nd Reserve One Constant



LMR1CN

Reserve 1 Constant



LMR1D2

2nd Reserve One Effective



LMR1EF

Next Reserve 1 Effective Date



LMR1IN

Charge Interest on Neg Reserve 1



LMR1IR

Interest Rate For Reserve 1



LMR1LA

Date Last Accrued Reserve 1



LMR1NX

Next Reserve 1 Constant



LMR1OF

Rate Offset Reserve 1



LMR1RP

Rate Pointer For Reserve 1


 

LMR2AI

Reserve 2 Accrued Interest


 

LMR2BL

Reserve 2 Balance


 

LMR2C2

2nd Reserve Two Constant



LMR2CN

Reserve 2 Constant



LMR2D2

2nd Reserve Two Effective



LMR2EF

Second Resrv Effective Date


 

LMR2IN

Charge Interest On Neg Reserve 2



LMR2IR

Interest Rate For Reserve 2



LMR2LA

Date Last Accrued Reserve 2



LMR2NX

Next Reserve 2 Constant



LMR2OF

Rate Offset For Reserve 2



LMR2RP

Rate Pointer For Reserve 2



LMRAMT

LIP Fee Rate



LMRATE

Interest Rate



LMRCAP

AML Periodic Rate Cap Used



LMRDDN

AML Round Rate Down



LMRDEX

Escrow Deficiency At Last Analysis



LMRDUP

AML Round Rate Up



LMRECP

Recoup Lost Int



LMREFA

Refinanced Amount



LMREPR

Repricing Date



LMRINF

Last Rate Info



LMRIRS

Previous Year Int Reported



LMRLAD

Date Of Last Advance


 

LMRLAV

Average Balance For Period


 

LMRLCC

Current Finance Charge Due



LMRLCL

Credit Limit



LMRLCU

Credit Used



LMRLDP

Daily Or Periodic Interest



LMRLDS

Stop Advances if Delinquent



LMRLFC

Finance Charge Code



LMRLFD

Date Of Last Finance Charge



LMRLFP

Secured Pledge



LMRLHG

High Balance For Period



LMRLI1

Pmth 5 Billed PI 1



LMRLI2

Pmth 5 Billed PI 2



LMRLI3

Pmth 5 Billed PI 3


 

LMRLI4

Pmth 5 Billed PI 4



LMRLI5

Pmth 5 Billed PI 5



LMRLLI

Lending Inventory Allowed



LMRLLW

Low Balance For Period



LMRLMA

Minimum Check Amount



LMRLMD

Minimum Payment Due



LMRLNO

Send Notice Of Overdraft Advance



LMRLOC

Allow Balance Over Credit Limit



LMRLP1

Method 5 Remaining Unpaid 1



LMRLP2

Method 5 Remaining Unpaid 2



LMRLP3

Method 5 Remaining Unpaid 3



LMRLP4

Method 5 Remaining Unpaid 4



LMRLP5

Method 5 Remaining Unpaid 5



LMRLPA

Pledged Percent Available



LMRLPB

Payment Percentage Of Balance



LMRLPC

Prior Finance Charge Due



LMRLPT

Payment Type Code



LMRLRA

Automatic Repayment Amount



LMRLRC

Automatic Repayment Code



LMRLRP

Automatic Repayment Percent



LMRLS1

Status Code



LMRLS2

Second Status Code For Pmt



LMRLSA

Service Fee Amount



LMRLSC

Security Acct Number



LMRLSD

Servicing Released



LMRLSF

Secured Account Stmt Freq



LMRLSH

Principal Short Amount



LMRLSM

Service Fee Method Code



LMRLSP

Service Fee Percent



LMRLST

Stop Advances



LMRLTA

Transfer Acct



LMRLTF

Transfer Account Stmt Freq



LMRLWC

Write Checks Against Loan


 

LMROFF

Interest Rate Offset


 

LMRPDU

Remaining Portion Due



LMRPMT

Rounded Payment


 

LMRPTR

Interest Rate Pointer



LMRR10

Rate Rounded to Nearest 10th



LMRRND

Rate Rounded to Nearest 8th



LMRRTQ

Rate Rounded To Nearest 4th



LMRSBM

Rate Starts Below Min



LMRSDT

Date Debt Restructured



LMRSK1

Credit Risk Score 1



LMRSK2

Credit Risk Score 2



LMRSK3

Credit Risk Score 3



LMRSK4

Credit Risk Score 4



LMRSK5

Credit Risk Score 5


 

LMRSTM

Date Of Last Statement Pmth 5


 

LMRTRW

Reported to TRW



LMRTSN

Use AML Fields



LMS2CN

Second Subsidy Constant


 

LMS2EF

Second Subsidy Effective



LMSACI

Subsidy Accrued Interest



LMSADV

Advertising Code



LMSB1M

SBA Under 1 Million



LMSBAL

Subsidy Balance



LMSBYR

Subsidized By Rate



LMSCON

Subsidy Constant



LMSCYC

Statement Cycle Code


 

LMSEC#

Secured Account Branch



LMSECA

Secured Account Base



LMSECC

Secured Account Check Digit



LMSECF

Secondary Financing


 

LMSECO

Secured Account Office



LMSEFF

Subsidy Effective Date


 

LMSELL

Selling Price


 

LMSEXP

Subsidy Expiration Date



LMSKCK

Check For 600 IRS Limit



LMSKPA

Skip Analysis



LMSKR2

Reserve 2 to Skip Analysis



LMSLAC

Date Subsidy Int Last Accrued



LMSLBL

Balance When Sold



LMSLDT

Date Loan Sold To Investor



LMSLOT

Stop Late Charge Past Orig Term



LMSMLN

Small Claims Loan



LMSNXT

Next Subsidy Constant



LMSOFF

Subsidy Offset Rate



LMSPR2

Available



LMSPTR

Subsidy Rate Pointer



LMSRAT

Subsidy Interest Rate


 

LMSSRC

Subsidy Source



LMSTA2

Subsidy Indicator 2



LMSTA3

Subsidy Indicator 3



LMSTA4

Subsidy Indicator 4



LMSTA5

Subsidy Indicator 5



LMSTA6

Subsidy Indicator 6



LMSTA7

Subsidy Indicator 7



LMSTA8

Subsidy Indicator 8


 

LMSTA9

Subsidy Indicator 9



LMSTAA

Loan Status Byte 10



LMSTAB

Loan Status Byte 11


 

LMSTAC

Loan Status Byte 12



LMSTAD

Loan Status Byte 13



LMSTAE

Loan Status Byte 14



LMSTAT

Account Status Indicator



LMSTMT

Statement Code


 

LMSUBL

Uses Sublimits



LMTALL

Set To Take All When Sold


 

LMTERM

Term Of Loan


 

LMTIND

Trading Indicator


 

LMTPER

Set To Take When Sold


 

LMTPNT

Rate Tier Pointer


 

LMTRAN

Date Of Last Tran



LMTRBL

Troubled Loan



LMTSER

Uses Teaser Rate



LMTSRT

Teaser Rate



LMTYPE

Loan Type



LMUCIN

Uncollected Interest



LMUMIR

Use Min Interest Required



LMUNOP

Unopened Loan



LMUNPN

New And Unopened


 

LMUSER

User Defined



LMUSPN

Use Penalty Rate



LMUYS#

Unamortized Yield Security


 

LMVALL

Valuation Allowance



LMVESC

Escrow Reserve Variance



LMVPRN

Principal Variance



LMWACRINT

Calculated Accrued Interest


 

LMWCALC

Lesser of Appraisal of Sale Price



LMWCLTV

Current LTV



LMWDCAT

Calculated Delinquency Category



LMWDUMAT

Earliest of Due or Maturity Date



LMWLIPD

Disbursed LIP Balance



LMWLTOT

Total Charges



LMWPDUE

Payment Due



LMWRATX

Effective Date



LMWTDUE

Total Due



LMWUNDISB

Remaining Undsibursed


 

LMXFR#

Formatted Transfer Account Number


 

LMXFRA

Transfer Account Base


 

LMXFRC

Transfer Account Check Digit


 

LMXFRO

Transfer Account Office



LMYDTN

Prior YTD Deferred Int



LMYEPB

Year End Principal Balance


 

LMYITL

YTD Interest This Year For Last


 

LMYITN

YTD Interest This Year For Next



LMYLTL

YTD Previous Year Late Charges


 

LMYRBL

Year Build



LMYSTL

YTD Subsidy This Year For Last



LMYSTN

YTD Subsidy This Year For Next



LMYTDD

YTD Deferred Interest



LMYTDI

YTD Interest


 

LMYTDR

YTD Interest On Reserves


 

LMYTDS

YTD Subsidy Paid



LMYTDT

YTD Taxes



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