Earnest Money Overview This demonstrates common scenarios in which the earnest money can be reflected on the settlement and closing statements, how...
Multiple Loans: Simultaneous Rates Overview This demonstrates how to use the simultaneous rate table with multiple loans on a file. An explanation of each...
Non-Sufficient Funds: Returned Runds Overview This demonstrates the process of marking a previously deposited receipt as returned by the bank and marking it as...
Rebate Settlement Property Overview This demonstrates how to set up and use the rebate property on settlement lines to issue a credit based...
CD Settlement Statement: General Lender Credits Overview This demonstrates how to enter general lender credits on the Closing Disclosure. When a credit is issued by the...
Closing Disclosure User Guide Overview This demonstrates functionality in Resware utilized when creating a Closing Disclosure. This does not represent legal interpretation, guidance, or...
Settlement Fee Splits Overview This demonstrates how to set up and split a portion of a fee to pay another partner on the...
FAQ: Settlement: Input General The Cash to Close is out of balance, what are things that can be checked? Cash to Close on...
CD-Section G: Initial Payment at Closing Overview Section G on the Closing Disclosure shows initial payments for homeowners’ insurance, mortgage insurance, prepaid interest, and property taxes....