Reports and remits on the company s mortgage loan servicing portfolio to the investors and reconciles Custodial accounts with medium to high risk/exposure to the Company, including GNMA, FNMA or FHLMC. Reviews investor remittance for accuracy and timeliness to avoid penalties.
Works closely with the Investor Reporting team and default group to ensure that processes align with investor guidelines and loan mitigation activity is accurately reported.
Works with the Investor Reporting team, the marketing team, and investors to ensure proper setup, sales, and release of loans to recent customer on a timely basis.
Establishes and maintains a close working relationship with Government-Sponsored Enterprise (GSE)/Investor representatives to ensure all issues and concerns are resolved in a timely manner.
Assists in reviewing and responding to all audit exam requests, internal, external, investor, regulatory and state.
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📌 Assistant Manager Bengaluru
🏢 First American
📍 Bengaluru
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