Us Loan Service

Year    TS, IN, India

Job Description

QRight Solutions is looking for

US Mortgage Loan Service (Investor Accounting & Reporting) profiles

for a BPO client at Mumbai & Hyderabad

Please share the profiles to career@qright.in

Designation : Executive / Sr Executive / SME (based on relevant exp)

Education : B.com / B.Sc / BA / BCA

Experience : 0 - 10 years of US Mortgage exp

Pay : 2.20 - 8.50 LPA

Location : Mumbai & Hyderabad (US shift)

Notice: max 30 days



US Mortgage Loan Service - Investor Accounting Experience :



Daily and monthly Principal & Interest, Taxes & Insurance custodial account reconciliations. Research and resolve all variances.

Knowledge of Cashflow, Clearing Accounts, P&I Cashbook and T&I Custodial accounts reconciliation of PLS, FNMA, GNMA, FHLMC Investors.

Strong knowledge and proficiency with investor accounting principles and concepts, including debits and credits, cash flow requirements, bank reconciliations, etc.

Extraction of daily bank activities, creation of back up files, Prepping the recon to balance it and research any outages for missing data files, missing back up files.

Ensure data accuracy between banking information and servicing records.

Validation of classification of transaction as remittances, wires, advances per transaction description and verify backup in servicing system.

Verify all bank activity with servicing records and mapping of all collections with remittances made to the Investor.

Verify the current month outages and update the suitable clearing action to clear the outage from the recon.

Verify the bank activity with the servicing system at loan level and any discrepancies in the transactions are validated with backup in servicing system

Roll forward previous months recon and set off the reconciling items and then analyze/ research the open items and update the notes on these reconciliations.

To work on age review file and preparation of wire back up file to ensure accurate movement of funds.

Verify funds owed and available for investor principal and interest remittances, and advance funds when necessary.

Ensure all cash adjustments are researched and cleared by required deadlines.

Ensure daily and monthly activity is completed timely and accurately, and that each accounting cycle cutoff is completed by the required deadline.

Respond to routine investor inquiries and audits, escalating if necessary.

Analyze and report impact of reported data on borrowers, investors, and the company.

Recover servicing advances to ensure minimal aging.

Job Types: Full-time, Permanent

Pay: ?300,000.00 - ?800,000.00 per year

Benefits:

Health insurance Provident Fund
Work Location: In person

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Job Detail

  • Job Id
    JD5109727
  • Industry
    Not mentioned
  • Total Positions
    1
  • Job Type:
    Full Time
  • Salary:
    Not mentioned
  • Employment Status
    Permanent
  • Job Location
    TS, IN, India
  • Education
    Not mentioned
  • Experience
    Year