-Maintain up-to-date loan account balances and amortization schedules following payment activity. -Coordinate with the Loan Servicing, Collections, and Customer Service teams on payment disputes, payment plan adjustments, or account corrections. -Assist with payoff quotes by ensuring payments are accurately reflected prior to payoff calculations. -Support escrow, insurance, or fee adjustments as needed based on payment changes. -Deposits all check payments accurately and in a timely basis. - Applies all payments to the servicing system timely and accurately according to the designated payment distribution. -Performs daily reconciliation of payments from all sources and distributes it within our internal service level agreement. - Applies all lockbox payments to the servicing system. -Reverses and reapplies payments, as needed. -Works with IT to ensure month-end account data is accurate and makes corrections, if needed. - Waives fees according to policy. - Works the unapplied payments queue in the servicing system and ensures payments are applied accordingly. -Sets up recurring payments in the Servicing system. -Retrieves mail and ensures it is distributed to the correct parties. - Processes unwinds, net funds, and loan modifications. -Retrieves mail and ensures it is distributed to the correct parties. - Reviews ACH set up reports to ensure same day ACH payments are processed correctly. - Reviews NSF Fee report to ensure NSF fees are being applied correctly.
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Job Type
Full-time
Career Level
Mid Level
Education Level
No Education Listed