reconciling baps and poc -stepby step

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Reconciling BAPS and POC Itemize the fees, expenses, and charges due on the claim as of the petition date (included in the Amount of the Claim listed in Item 1 on the Proof of Claim form). Description Date Incurred Amount Property Inspections 02/24/2009 $1.45 Recording Fee 11/09/2012 $12.00 Title Fees 09/27/2012 $270.00 Grand Total $283.45 Created 04/26/2013 [Type text] Zebehazy

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Page 1: Reconciling baps and poc -stepby step

Reconciling BAPS and POC

Itemize the fees, expenses, and charges due on the claim as of the petition date (included in the Amount of the Claim listed in Item 1 on the Proof of Claim form). Description

Date Incurred Amount

Property Inspections 02/24/2009 $1.45 Recording Fee 11/09/2012 $12.00 Title Fees 09/27/2012 $270.00 Grand Total $283.45

Total amount on POC does not match total amount in BAPS. These figures need to be reconciled.

Created 04/26/2013 Zebehazy

Page 2: Reconciling baps and poc -stepby step

Created 04/26/2013 Zebehazy

Page 3: Reconciling baps and poc -stepby step

To do so, you need to first determine where the error is. In this example, the Property Inspections fees in the POC and BAPS are mismatched, causing the total to not match.

Itemize the fees, expenses, and charges due on the claim as of the petition date (included in the Amount of the Claim listed in Item 1 on the Proof of Claim form). Description

Date Incurred Amount

Property Inspections 02/24/2009 $1.45 Recording Fee 11/09/2012 $12.00 Title Fees 09/27/2012 $270.00 Grand Total $283.45

Created 04/26/2013 Zebehazy

Page 4: Reconciling baps and poc -stepby step

First, ensure you are off of the Front Screen in AS400. You can be in the Fees Due Inquiry screen (F8) from the Front Screen so that you have the loan number and any additional fee information or fee code information available.

In BAPS, click the POC menu so that you get the drop down of choices.

Created 04/26/2013 Zebehazy

Page 5: Reconciling baps and poc -stepby step

Select POC, which brings you to

Created 04/26/2013 Zebehazy

Page 6: Reconciling baps and poc -stepby step

Here, click the drop down under next step and choose Pre-filed and then save.

Created 04/26/2013 Zebehazy

Page 7: Reconciling baps and poc -stepby step

BAPS will indicate that the save was successful.

Click search next to the loan number again so that you can work with the screen and make the necessary changes.

Created 04/26/2013 Zebehazy

Page 8: Reconciling baps and poc -stepby step

Click the plus sign in the last column next to description on the left.

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Page 9: Reconciling baps and poc -stepby step

The result:

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Page 10: Reconciling baps and poc -stepby step

From left to right, choose the fee code from the drop down, the amount to be added or (subtracted) and the date.

Created 04/26/2013 Zebehazy

Page 11: Reconciling baps and poc -stepby step

Once it looks like this,

Click the disk to save.

Created 04/26/2013 Zebehazy

Page 12: Reconciling baps and poc -stepby step

The incorrect fee(s) is ready to be removed. Before doing so, add any corrected fee(s).

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Page 13: Reconciling baps and poc -stepby step

Once done, check the boxes to the left of the fees.

Click save.

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Page 14: Reconciling baps and poc -stepby step

If there are no errors, BAPS will indicate success.

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Page 15: Reconciling baps and poc -stepby step

Click Dasboard.

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Page 16: Reconciling baps and poc -stepby step

Welcome back to the front page of BAPS.

Click the Disbursement Maintenance link.

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Page 17: Reconciling baps and poc -stepby step

Re-enter the loan number and click Search.

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Page 18: Reconciling baps and poc -stepby step

Pressing enter on your keyboard will give you an error message.

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Page 19: Reconciling baps and poc -stepby step

Clicking Search leads to

so you can click the Create Ledger link.

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Page 20: Reconciling baps and poc -stepby step

As long as there are no BAPS errors that would lead to adding the loan to the exceptions spreadsheet, you will get

Click the OK button.

Now click Dashboard again to take you back to the Front Page of BAPS.

Created 04/26/2013 Zebehazy

Page 21: Reconciling baps and poc -stepby step

Enter the loan number and click Search.

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Page 22: Reconciling baps and poc -stepby step

Click the filed date as you would and then the POC menu to choose POC Summary to verify that your work has saved and BAPS and the POC match.

Created 04/26/2013 Zebehazy

Page 23: Reconciling baps and poc -stepby step

Now that the two systems match, click Comment to enter your notes.

Created 04/26/2013 Zebehazy

Page 24: Reconciling baps and poc -stepby step

Once you have noted that BAPS and POC have been reconciled and that the status is set as filed, click the Ref Servicing activity button to ensure your notes scrape over to AS400.

Created 04/26/2013 Zebehazy

Page 25: Reconciling baps and poc -stepby step

Put today’s date in LPS to close the Plan Review rail.

Created 04/26/2013 Zebehazy