Complete mortgage accounting activity reports for moderately complex agency, guarantor, investor, trustee, and client portfolios.
Utilize basic understanding and knowledge of SQL coding to analyze servicing, reporting, remittance, and reconciliation data.
Remit payments according to agency, guarantor, investor, trustee, and client guidelines.
Calculate and initiate moderately complex wire transfer amounts with limited assistance from management. Determine appropriate funding source with limited assistance.
Reconcile LoanCare mortgage accounting records against agency, guarantor, investor, trustee, and client records. Perform more complex pool to security reconciliations for MBS remittance type investors with limited assistance from management; initiate required cash adjustments.
Independently research and resolve outstanding custodial, clearing and portfolio reconciling items as well as cashbook deviations within the specified timelines.
Forecast principal and interest advances using specified pooling and servicing agreement. Proactively manage custodial account balances to prevent overdrafts. Respond to inquiries regarding advance components and resolve discrepancies with assistance from management as needed.
Complete assigned individual and MSP tasks timely and accurately with limited assistance from management.
Independently coordinate with operational business units, clients and investors to resolve basic and complex reporting and remittance discrepancies. Respond independently to investors, clients, and internal business partner inquiries regarding assigned portfolio with limited assistance.
Independently upload basic and more complex MSP transactions as required; input transactions manually as needed. Enter/update pool header records utilizing existing templates for upload of the associated transaction code to MSP; initiate automated loan transfers; refer any output errors to management for resolution.
Identify required procedure updates and refer to management for action. Participate in process improvements within Investor Reporting and participate in enhancement testing.
Assist in training and provide assistance to junior analysts.
Develop and maintain knowledge of subservicing activity as it pertains to subservicing agreements.
Respond to more complex Dynamics ticket requests with limited assistance from management.
All other duties as assigned.
Requirements
High School Diploma or equivalent
2+ years’ experience in Investor Accounting/Reporting and/or Mortgage Servicing industry