Navigation: GOLDWriter Mnemonic Dictionary >
This section of the GOLDWriter Mnemonic Dictionary provides the CIM GOLD source location and entry details for GOLDWriter field mnemonics within the Loan Pattern LP 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 (FPLP) in the Master Record field (during the first step of the GOLDWriter Report Wizard process).
These mnemonics are not in use by current GOLDPoint software but can be viewed in legacy software like GOLDVision. For current loan pattern mnemonics, see Loan Pattern Header CJ.
Mnemonic |
Description |
CIM GOLD Field Location |
Details |
---|---|---|---|
LP1DUE |
First Due Date |
|
|
LP4NBR |
Loan Acct Nbr |
|
|
LPA3CD |
Action Code 3 |
|
|
LPA3DT |
Action Date 3 |
|
|
LPABNK |
Auto Pmt Bank Nbr |
|
|
LPACCD |
Action Code |
|
|
LPACDT |
Action Date |
|
|
LPACIN |
Accrued Interest |
|
|
LPACLS |
Asset Classification |
|
|
LPACTV |
Date Last Active |
||
LPACYC |
Auto Payment Cycle |
||
LPADT1 |
Next Accr Date Flds1 |
||
LPADT6 |
Next Accr Date Flds2 |
||
LPAMAD |
Days Before Rate Rol |
||
LPAMCC |
P i Const Chng Cntr |
||
LPAMDT |
Accr Rate Chg Date |
||
LPAMFQ |
Aml Accr Rate Freq |
||
LPAMGI |
Grad Pmt Incr Percnt |
||
LPAMGN |
Total Grad Pmt Incrs |
||
LPAMID |
Days Befor Pmt Chng |
||
LPAMIG |
Freq To Ignore Limit |
||
LPAMLP |
Len Of Rate Cap Prd |
||
LPAMMX |
Aml Maximum Prin Bal |
||
LPAMNI |
Aml Next Pmt Rate |
||
LPAMOF |
Accr Rate Offset |
||
LPAMOR |
Amortization Code |
||
LPAMPC |
Aml P i Chng Freq |
||
LPAMPL |
Aml P i Con Inc Lim |
||
LPAMPT |
Aml Rate Pointer |
||
LPAMRT |
Aml Accr Rate |
||
LPANAL |
Rsv Analysis Eff Dt |
||
LPANBR |
Auto Pmt Acct Nbr |
||
LPANR1 |
Next Accr Rate |
||
LPANR6 |
Next Accr Rate Flds2 |
||
LPAPAM |
Appraisal Amount |
||
LPAPCD |
Asset Purpose Code |
||
LPAPIC |
Amortized P i Const |
||
LPAPIN |
Previous Index |
||
LPAPNO |
Application Nbr |
||
LPAPPL |
Pmt Application Code |
||
LPAPRS |
Appraisal Date |
||
LPARTS |
Aml Rate Fields |
||
LPASCD |
Assumption Code |
||
LPASDT |
Assumption Date |
||
LPASIN |
Loan Sold As Of Ind |
||
LPASOF |
Loan Sold As Of Date |
||
LPATLA |
Type Last Active |
||
LPBAL2 |
Secondary Balance |
||
LPBCYC |
Coupon Bill Cycle |
||
LPBFEE |
Broker Fee |
||
LPBILL |
Coupon Bill Code |
||
LPBRK# |
Broker Id Number |
||
LPCBAL |
Lip Customer Balance |
||
LPCCRT |
Cont Coll Fee Rate |
||
LPCCSB |
Cont Coll Fee Flds |
||
LPCCSS |
Cont Coll Srvc Fees |
||
LPCFEE |
Commitment Fee |
||
LPCINO |
Current Installment Nbr |
||
LPCKDG |
Check Digit |
||
LPCLAB |
Add Prem To Billing |
||
LPCLAP |
Add Prem To Balance |
||
LPCLAS |
Account Class |
||
LPCLAT |
Payoff Amount |
||
LPCLCA |
C I Constant Amount |
||
LPCLCY |
C I Cycle Code |
||
LPCLDS |
Collateral Descript |
||
LPCLDT |
Payoff Date |
||
LPCLMC |
C I Max Prin Balance |
||
LPCLMD |
C I Method Code |
||
LPCLPD |
C I Premiums Due |
||
LPCLRP |
C I Rate Pointer |
||
LPCLTP |
C I Type Code |
||
LPCLYT |
C I Ytd Premium Paid |
||
LPCOBL |
Prtl Chg off Bal |
||
LPCODT |
Charge Off Date |
||
LPCOLL |
Collateral Code |
||
LPCRBU |
Rpt To Crdt Bureau |
||
LPCRDB |
Card Balance |
||
LPCTOR |
Collection Officer |
||
LPCVDT |
Conversion Date |
||
LPDCST |
Direct Costs |
||
LPDDCA |
Date Dir Costs Amort |
||
LPDDRA |
Due Date Roll Amount |
||
LPDEFI |
Deferred Interest |
||
LPDELQ |
Delinquency Pattern |
||
LPDFEE |
Deferred Fees |
||
LPDLAC |
Date Last Accrued |
||
LPDLCD |
Dealer Amortize Code |
||
LPDLRE |
Dealer Int Earned |
||
LPDLRP |
Dealer Int Prepaid |
||
LPDTLP |
Date Of Last Payment |
||
LPDTRM |
Term Of Def Fees |
||
LPDUDT |
Due Date |
||
LPDUDY |
Days Of Due Date |
||
LPEDUE |
Reserve Due |
||
LPELNO |
Letter Number |
||
LPEVDT |
Event Date |
||
LPEVNT |
Event Number |
||
LPEXTR |
Spare Field |
||
LPFAMD |
Fees Last Amort Dt |
||
LPFGLP |
Fees G I Posting Fld |
||
LPFHLC |
Fhlb Class |
||
LPFHLT |
Fhlb Type |
||
LPFMET |
Fees Amort Method |
||
LPFORG |
Original Fees Amount |
||
LPFREM |
Remaining Fee Amount |
||
LPFREQ |
Payment Frequency |
||
LPFREX |
Fixed Rate Expire |
||
LPFRT1 |
Fees Rate 1 |
||
LPFRT2 |
Fees Rate 2 |
||
LPFRT3 |
Fees Rate 3 |
||
LPFSTA |
Fees Status Byte |
||
LPFTM1 |
Fess Term 1 |
||
LPFTM2 |
Fees Term 2 |
||
LPFTM3 |
Fees Term 3 |
||
LPFVNO |
Fha va Acct Number |
||
LPGENL |
General Category |
||
LPGFEE |
Guaranty Fee |
||
LPGPIN |
Goldphone Pin |
||
LPHOLD |
Hold Code |
||
LPIACT |
Investor Acct Nbr |
||
LPIBAS |
Interest Calc Method |
||
LPICDT |
Guar Rate Change Dt |
||
LPICMN |
Curtailment Minimum |
||
LPIDYS |
Days B4 Guar Rt Chng |
||
LPIEF1 |
Inv Rate Eff Date |
||
LPIFRQ |
Guar Rate Chg Freq |
||
LPIGRP |
Investor Group |
||
LPIGRT |
Guaranteed Rates |
||
LPIMST |
Investor Master |
||
LPINNO |
Installment Number |
||
LPINR1 |
Investor Next Rates |
||
LPINS# |
Inspector Number |
||
LPINSU |
Insurer Code |
||
LPIPIC |
Interest P i Const |
||
LPIPLN |
Guar Cap Period Len |
||
LPIPSD |
Guar Rate Prd Start |
||
LPIPTR |
Inv Guar Rate Pointr |
||
LPIRRS |
Round Investor 1 16 |
||
LPIRSI |
Int Adjustment Amt |
||
LPIRSY |
Interest Adjust Year |
||
LPISFC |
Service Fee Constant |
||
LPISFM |
F m |
||
LPISLD |
Portion Sold |
||
LPISTA |
Investor Status Byte |
||
LPISVC |
Inv Srvc Fee Rate |
||
LPIXCL |
Inv Calc Codes |
||
LPLACC |
Lip Accrued Interest |
||
LPLADT |
Date Last Analysis |
||
LPLAMT |
Lip Fee Rate amt |
||
LPLATE |
Late Charge Amt Due |
||
LPLBAL |
Lip Balance |
||
LPLCGA |
Lip Charge Amount |
||
LPLCHD |
Lip Rate Chng Date |
||
LPLCHG |
Lip Charge Code |
||
LPLCRT |
Lip Chg bill Rate |
||
LPLDUE |
Lip Due Date |
||
LPLDYS |
Days Before Lip Chng |
||
LPLFEE |
Lip Fee Code |
||
LPLFRQ |
Lip Change Frequency |
||
LPLIND |
Lip Inspect Date |
||
LPLMAX |
Lip Lifetime Maximum |
||
LPLMIN |
Lip Lifetime Minimum |
||
LPLMTC |
Cust Def Limit |
||
LPLMTH |
Lip Interest Method |
||
LPLND1 |
Days Late For Notice |
||
LPLNPR |
Lip Next Prv Index |
||
LPLOFF |
Lip Rate Offset |
||
LPLPCC |
Lip Percent Complete |
||
LPLPCG |
Prior Lip Bill Amt |
||
LPLPEF |
Penalty Late Days |
||
LPLPIN |
Previous Inex Rate |
||
LPLPLN |
Lip Rate Cap Length |
||
LPLPRT |
Late Penalty Rate |
||
LPLPSD |
Lip Period Strt Date |
||
LPLPTR |
Lip Rate Pointer |
||
LPLRAT |
Lip Interest Rate |
||
LPLRET |
Lip Retention Amnt |
||
LPLRIN |
Lip Int Retention |
||
LPLRRS |
Round Lip Rate 1 16 |
||
LPLRTS |
Lip Rate Fields |
||
LPLSTA |
Lip Status |
||
LPLSTB |
Last Billed Amount |
||
LPLTCD |
Late Chg Code |
||
LPLTDT |
Date Last Late |
||
LPLTGR |
Late Grace Days |
||
LPLTMN |
Late Charge Minimum |
||
LPLTMX |
Late Charge Maximum |
||
LPLTNO |
Times Late |
||
LPLTP1 |
Late Notice Type |
||
LPLTRT |
Late Rate |
||
LPLYTD |
Lip Ytd Interest |
||
LPLYTL |
Ytp Lipi For Last Yr |
||
LPMATD |
Maturity Date |
||
LPMATM |
Maturity Modifier |
||
LPMEPB |
Month End Prin Bal |
||
LPMEXP |
Memo Exp Date |
||
LPMISC |
Miscellaneous Funds |
||
LPMSPR |
Misc Spare |
||
LPMULP |
Multiple Pmt Appls |
||
LPMVAL |
Market Value |
||
LPMVPT |
Market Rate Pointer |
||
LPMVRT |
Market Value Rate |
||
LPNABB |
Non Accrual Book Bal |
||
LPNDX1 |
AML Next Rate Index |
||
LPNRRS |
Round Norm Rate 1 16 |
||
LPOADD |
Original Add on Amts |
||
LPOAPR |
Original Apr |
||
LPOBAL |
Opening Balance |
||
LPOCST |
Original Dir Costs |
||
LPODFE |
Orig Def Loan Fees |
||
LPOFCR |
Loan Officer |
||
LPOFEE |
Original Fees |
||
LPOINO |
Original Installment Nbr |
||
LPOLD# |
Old Account Number |
||
LPOPMT |
Ach Override Pmt Amt |
||
LPOPND |
Date Opened |
||
LPORIG |
Origination Code |
||
LPPBAL |
Principal Balance |
||
LPPBLD |
Date Psbk Last Updtd |
||
LPPBLT |
Time Psbk Last Updtd |
||
LPPDTO |
Date Int Paid To |
||
LPPEF1 |
Next PI Effective Date |
||
LPPEF6 |
Next P i Eff Group 2 |
||
LPPEND |
Total Pending |
||
LPPHST |
24 Month Payment Hst |
||
LPPICN |
Prin int Constant |
||
LPPIEF |
P i Eff Date |
||
LPPINX |
Next P i Constant |
||
LPPMIC |
Pmi Code |
||
LPPMIP |
Pmi Percentage |
||
LPPMTH |
Loan Payment Method |
||
LPPNX1 |
Next PI Constant 1 |
||
LPPNX6 |
Next PI Constant 2 |
||
LPPPEN |
Pre Pmt Penalty Code |
||
LPPRDU |
Principal Due |
||
LPPRTL |
Partial Payments Amt |
||
LPPSHI |
Prime High Limit |
||
LPPSLO |
Prime Low Limit |
||
LPPUDT |
Date Purchased |
||
LPR1AI |
Reserve Accr Int |
||
LPR1BL |
Reserve Balance |
||
LPR1C2 |
1 Nxt Rsv 2 Constant |
||
LPR1CN |
Reserve Constant |
||
LPR1D2 |
1 Reserve 2 Eff Date |
||
LPR1EF |
Reserve Eff Date |
||
LPR1IR |
Rsv Int Rate |
||
LPR1LA |
Rsrv Date Last Accr |
||
LPR1NX |
Next Reserve Const |
||
LPR1OF |
Rsrv Rate Offset |
||
LPR1RP |
Reserve Rate Pointer |
||
LPR2C2 |
2 Nxt Rsv 2 Constant |
||
LPR2D2 |
2 Reserve 2 Eff Date |
||
LPRATE |
Interest Rate |
||
LPRDEX |
Rsv Defic Or Excess |
||
LPREFA |
Refinanced Amount |
||
LPREPR |
Repricing Date |
||
LPRINF |
Late Rate Info |
||
LPRLAD |
Pm5 Date Of Last Adv |
||
LPRLCU |
Credit Used |
||
LPRLIP |
Pmt Mthd 5 Bill Info |
||
LPROFF |
Rate Offset |
||
LPROLL |
Date Due Date Rolled |
||
LPRPDU |
Unpaid Portion Due |
||
LPRPTR |
Rate Pointer |
||
LPRSDT |
Date Debt Restruct |
||
LPRSK1 |
Credit Score 1 |
||
LPRSK2 |
Credit Score 2 |
||
LPRSK3 |
Credit Score 3 |
||
LPRSK4 |
Credit Score 4 |
||
LPRSK5 |
Credit Score 5 |
||
LPRSTM |
Date of Last Stmt |
||
LPS2CN |
Subsidy 2 Constant |
||
LPS2EF |
Subsidy 2 Effective |
||
LPSACI |
Subsidy Accr Int |
||
LPSADV |
Advertising Code |
||
LPSBAL |
Subsidy Balance |
||
LPSCON |
Subsidy Constant |
||
LPSCYC |
Statement Cycle |
||
LPSECA |
Security Account |
||
LPSECC |
Security Acct Chkdg |
||
LPSECO |
Security Acct Off |
||
LPSEFF |
Subsidy Eff Date |
||
LPSELL |
Selling Price |
||
LPSEXP |
Expiration Date |
||
LPSLAC |
Subsidy Date Last Ac |
||
LPSLBL |
Loan Bal When Sold |
||
LPSLDT |
Date Loan Was Sold |
||
LPSNXT |
Next Subsidy Const |
||
LPSPP3 |
Spare PI3 |
||
LPSPTR |
Subsidy Rate Pointer |
||
LPSTA2 |
2nd Status Flag |
||
LPSTA3 |
3rd Status Flag |
||
LPSTA4 |
4th Status Flag |
||
LPSTA5 |
5th Status Flag |
||
LPSTA6 |
6th Status Flag |
||
LPSTA7 |
7th Status Flag |
||
LPSTA8 |
8th Status Flag |
||
LPSTA9 |
9th Status Flag |
||
LPSTAA |
10th Status Flag |
||
LPSTAF |
15th Status Flag |
||
LPSTAT |
Status Byte |
||
LPSTMC |
Statement Code |
||
LPTERM |
Term In Months |
||
LPTIND |
Trading Indicator |
||
LPTPNT |
Rate Tier Pointer |
||
LPTRAN |
Date Of Last Tran |
||
LPTRMO |
Original Term |
||
LPTSRT |
Loan Teaser Rate |
||
LPTYPC |
Account Type |
||
LPUCIN |
Uncollected Interest |
||
LPUNPN |
New And Unopened |
||
LPUSER |
User Defined Field |
||
LPUSPN |
Use Penalty Rate |
||
LPUSR1 |
User Defined Field |
||
LPUSR2 |
User Defined Field |
||
LPUSR3 |
User Defined Field |
||
LPUSR4 |
User Defined Field |
||
LPUYS# |
Unamortized Yld Sec |
||
LPVALL |
Valuation Allowance |
||
LPVESC |
Reserve Variance |
||
LPVPRN |
Principal Variance |
||
LPXFRA |
Transfer Acct Number |
||
LPXFRC |
Transfer Chk Digit |
||
LPXFRO |
Transfer Acct Office |
||
LPYDTN |
Ytd Deff For Next Yr |
||
LPYEPB |
Year End Prin Bal |
||
LPYITL |
Ytd Int For Lst Yr |
||
LPYITN |
Ytd Int For Next Yr |
||
LPYLTC |
Ytd Late Charged |
||
LPYLTL |
Ytd Late For Last Yr |
||
LPYRBL |
Year Built |
||
LPYSTL |
Ytd Subs For Last Yr |
||
LPYSTN |
Ytd Subs For Next Yr |
||
LPYTDD |
Ytd Def Interest |
||
LPYTDF |
Year To Date Amounts |
||
LPYTDI |
Year To Date Int |
||
LPYTDR |
Ytd Int On Reserves |
||
LPYTDS |
Ytd Subsidy |