Reports
Test of Cash
Cutoff
Reconciliations
Misc
100

Name the MSP report used to review collections on the loan

P102

100

Name the MSP report that shows the GNMA cashbook

S541-1

100

What business day is the last day of a GNMA monthly cycle

1st BD

100

What is the deadline for all Recons to be completed

25th Calendar Day

100

What MSP screen would you use to update the GNMA Cashbook

MBS1

200
What are the 2 GNMA reports that show loan sale data

G1706 and GSFPDM

200

What does TOEPI stand for

Test of Expected Principal and Interest

200

What is the root cause of exceptions LIQ153 and LIQ202

Loan that was repurchased and modified in the same cycle

200

What is the name of the GNMA report that we use and attach a screenshot of on all Recon back ups

11710D

200

What report do we use to review GNMA drop and advance dates calendared in MSP

P113

300

Name the MSP report that shows data from the GNM3 screen

T343 or T34N

300

What report is used to calculate our Test of Cash outages

T646-1

300

What stored procedure report is used to generate a script of updates from the Exceptions Module

PMSPU

300

What does DIT stand for

Days in transit

300

What is the deadline for all missing GNMA loans to be reported during cutoff (time and BD)

7pm EST BD 2

400

Name the MSP report that shows the data that was reported to GNMA at cutoff on the loan level

T3RF

400

Fill in the blanks of the Test of Cash formula for loan level outages

Prev TOEPI __ Current TOEPI __ Collections __ Remittance = Difference

Prev TOEPI - Current TOEPI + Collections - Remittance = Difference

400

What stored procedure report is used to generate a script of updates to the pool deficiency

PMGPD

400

If you make updates in the Test of Cash Module and need the updates to reflect in the Account Reconciliation Module, how do you refresh the module

TOC Updates = Yes and Save

400

What is the deadline for all corrections to be made to the GNM1 screen in MSP (time and BD)

1PM EST BD 4

500

What day is the GNMA Final Pre Collections Report available

Business Day 6

500

When you have an outage caused by a loan that was repurchased and modified in the same cycle, is that outage non-monetary, adjusted, or monetary

Non-monetary

500

What are 2 of the main causes of an RFS204 exception

1. A manual repurchased loan

2. A loan that was not boarded timely

3. A loan that was not transferred into the GNMA ID

500

PI account reconciliation is a 4 way recon, what 4 things are we comparing

1. Cashbook

2. Test of Expected P&I

3. Bank Balance

4. 11710D

500

What is the deadline for T646 Shortage funding to be submitted

15th BD