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loan_escrow_raw

Pipelined Data Sets > Symitar > loan_escrow_raw

Column nameDescriptionModeTypeLength
institutionidThis field stores the JH Platform institution identifierREQUIREDSTRING
eventtimeInternal use onlyNULLABLEINTEGER
sourcetypeInternal use only; SSDB fieldNULLABLESTRING
operationInternal use only; SSDB fieldNULLABLESTRING
extractdateInternal use onlyNULLABLEDATE
processdatetimeInternal use only; SSDB fieldNULLABLETIMESTAMP
loanescrowuuidThis field stores a JH Platform unique identifier for a loan escrowNULLABLESTRING
loanuuidThis field stores a JH Platform unique identifier for a loanNULLABLESTRING
accountnumberThis field stores the Symitar account number (membership account number)NULLABLESTRING
loanidThis field stores the 4 digit Loan IDNULLABLESTRING
loanescrowkeyInternal use only; SSDB fieldNULLABLEINTEGER
loankeyInternal use only; SSDB fieldNULLABLEINTEGER
accountkeyInternal use only; SSDB fieldNULLABLEINTEGER
sortrankInternal use only; SSDB fieldNULLABLEINTEGER
deleteidThis field stores a soft delete flag where 0=not deleted, 1=deletedNULLABLEINTEGER
symdateInternal use only; SSDB fieldNULLABLEINTEGER
systemcreatedatetimeInternal use only; SSDB fieldNULLABLEINTEGER
odscreatedatetimeInternal use only; SSDB fieldNULLABLEINTEGER
symInternal use only; SSDB fieldNULLABLEINTEGER
odsdeleteflagInternal use only; SSDB fieldNULLABLEINTEGER
odskeyInternal use only; SSDB fieldNULLABLEINTEGER
escrowtypeThis field stores a code defined by your financial institution in the Escrow Type parameters to indicate the type of funds being escrowedNULLABLEINTEGER
nextdistribdateThis field contains the date of the next anticipated escrow distributionNULLABLEDATE
lastdistribdateThis field stores the date of the last distribution made for the Escrow record. When new Loan Escrow records are created this field may remain blankNULLABLEDATE
lastdisbursdateThis field contains the value copied from the Loan Escrow record Next Distribution Date fieldNULLABLEDATE
prevdisbursdateThis field contains the value copied from the Loan Escrow record Last Disbursement Date fieldNULLABLEDATE
policyorigdateThis field stores the date the insurance policy originated. This field must be populated with a date for the PMI notices and disclosures to function properlyNULLABLEDATE
policyexpiredateThis field stores the date the insurance policy expiresNULLABLEDATE
distribfrequencyWhen an escrow disbursement is processed using the Daily Posting batch program, the value at this field is used to update the Next Distribution Date fieldNULLABLEINTEGER
lastdisbursfreqThis field contains the value from the Distribution Frequency field in the same Loan Escrow record when the Loan Escrow record is used in the escrow analysisNULLABLEINTEGER
prevdisbursfreqThis field contains the value from the Last Disbursement Frequency fieldNULLABLEINTEGER
printdistribnoticeThis field indicates whether an escrow distribution notice should be printed each time funds relating to the Escrow record are disbursedNULLABLEINTEGER
forcedplacedinsThis field indicates whether the credit union has had to acquire an insurance policy for a mortgaged property. Force-placed insurance is necessary when the borrower fails to provide the required insurance protectionNULLABLEINTEGER
trackingonlyThis field indicates whether you track items without collecting any escrow funds and without including the Loan Escrow record in escrow analysisNULLABLEINTEGER
floodinstrackingThis field enables you to track mortgage loans that require flood insuranceNULLABLEINTEGER
paydividendThis field stores whether dividends are paid on the escrow typeNULLABLEINTEGER
lastnbrpmtsdueThis field stores how many escrow payments are due, based on the value in the Current Payment Frequency fieldNULLABLEINTEGER
prevnbrpmtsdueThis field stores the previous number of escrow payments due, based on the value in the Last Number Pmts Due in Period fieldNULLABLEINTEGER
vendornumberThis field (from the Vendor record) stores the vendor identification that is used to pay recipients through the GL Posting batch program using the (2) Accounts Payable Posting optionNULLABLESTRING
invoicenumberThis field stores the invoice number as it appears on the vendor's invoice. This field can contain any characters, including blanksNULLABLESTRING
realestateownerThis field stores the name or names of the owners of the real estate held as collateral. The owners may also be the borrowers, but occasionally property owned by one person is pledged to the mortgage loan of anotherNULLABLESTRING
taxrefnumberThis field stores the real estate tax reference number or identification number issued by the taxing authority and used to help identify the real property being taxedNULLABLESTRING
parcelnumberThis field stores the real estate parcel number issued by some taxing authorities that is used to help identify the real estate property being taxedNULLABLESTRING
legaldescriptionThis field stores the legal description of the real estateNULLABLESTRING
policyownerThis field stores the name (or names) of the insurance policy ownersNULLABLESTRING
policynumberThis field stores the insurance policy number that the insurance premium is being paid onNULLABLESTRING
nextdistribamountThis field stores the amount of the next distribution for an Escrow recordNULLABLENUMERIC
lastdistribamountThis field stores the amount of the last distribution made for the Escrow record. When new Loan Escrow records are created this field may remain blankNULLABLENUMERIC
lastdisbursamtThis field stores the value from the Next Distribution Amount field in the same Loan Escrow record if the Loan Escrow record is used in the escrow analysisNULLABLENUMERIC
prevdisbursamtThis field stores the amount from the Last Disbursement Amount field of the Loan Escrow record, during escrow analysisNULLABLENUMERIC
lastdateanacalcIf values in a Loan Escrow record are used during escrow analysis, this field stores the system date the analysis was run. This date is used when the last escrow analysis is being recreatedNULLABLEDATE
paymentportionThis field contains the part of the total escrow payment for one mortgage loan that applies to the Escrow Type field value in the Escrow recordNULLABLENUMERIC
prevdateanacalcThis field stores the amount from the Last Date Analysis Calculated field of the Loan Escrow record, during escrow analysisNULLABLEDATE
policyamountThis field stores the amount of the insurance policyNULLABLENUMERIC
lastamtneededpmtThis field contains the amount calculated based on the value of the Last Total Annual Disbursemnts field divided by the value at the Last Number Pmts Due in PeriodNULLABLENUMERIC
prevamtneededpmtThis field stores the amount from the Last Amt Needed From Each Pmt field of the Loan Escrow record, during escrow analysisNULLABLENUMERIC
lasttotanndisbursThis field contains a value calculated by multiplying the Last Disbursement Amount in the Loan Escrow record by the frequency of the disbursement as defined by the Last Disbursement Frequency fieldNULLABLENUMERIC
prevtotanndisbursThis field stores the amount from the Last Total Annual Disbursemnts field of the Loan Escrow record, during escrow analysisNULLABLENUMERIC
lastmonthcushionThis field contains the cushion amount needed to offset any shortages for the last month of escrowNULLABLENUMERIC
prevmonthcushionThis field stores the amount from the Last Month of Cushion field of the Loan Escrow record, during escrow analysisNULLABLENUMERIC
locatorSymitar Quest stores a unique number within each member account in this field that can be used as a unique identification of this recordNULLABLEINTEGER
day1This field stores the day of the month (1-31) on which the first escrow payment is due for semi-monthly escrow payments or the day of the month on which all escrow payments are due for annual, semi-annual, quarterly, or monthly escrow paymentsNULLABLEINTEGER
day2This field stores the day of the month (1-31) on which the second escrow payment is due for semi-monthly escrow payments. This field is not used for annual, semi-annual, quarterly, or monthly escrow paymentsNULLABLEINTEGER
lastdisburseday1This field stores the value from the Day 1 field in the same Loan Escrow record when the Loan Escrow record is used in the escrow analysisNULLABLEINTEGER
lastdisburseday2This field stores the value from the Day 2 field in the same Loan Escrow record when the Loan Escrow record is used in the escrow analysisNULLABLEINTEGER
prevdisburseday1This field stores the value from the Last Disbursement Day 1 field in the same Loan Escrow record when the Loan Escrow record is used in the escrow analysisNULLABLEINTEGER
prevdisburseday2This field stores the value from the Last Disbursement Day 2 field in the same Loan Escrow record when the Loan Escrow record is used in the escrow analysisNULLABLEINTEGER
recordchangedateNULLABLEDATE
pmidisclosuredateThis field stores the date when the next annual PMI disclosure is to be generated for all residential mortgagesNULLABLEDATE
pmicancelnoticeThis field indicates whether a PMI cancellation notice is generated for the corresponding loanNULLABLEINTEGER
pmicanceldateThis field stores the date PMI was canceled on the loan. This date is manually entered when the PMI is canceledNULLABLEDATE
pmitermdateThis field contains the date when the lender generally must terminate the PMINULLABLEDATE
pmimidtermdateThis field stores the date the loan is halfway through the period between the first day of the amortization period and the ending when the mortgage is scheduled to be amortizedNULLABLEDATE
pmielignoticesThis field stores the type of eligibility notice assigned to the corresponding loanNULLABLEINTEGER
expirationdateThis field stores the date the Escrow record expires. Symitar Quest uses this field to determine whether the Escrow record is included in escrow projections and escrow disbursements. See Escrow Analysis Calculations for a detailed explanationNULLABLEDATE
lastexpirationdateThis field stores the value from the Expiration Date field in the same Loan Escrow record when the Loan Escrow record is used in the escrow analysisNULLABLEDATE
prevexpirationdateThis field stores the value from the Last Expiration Date field in the same Loan Escrow record when the Loan Escrow record is used in the escrow analysisNULLABLEDATE
savedadjustpaymentThis field stores whether you have saved the value for the Adjust Payment Portion field from Escrow Type Parameters that was used during the last analysisNULLABLEINTEGER
pmicancelreasonThis field indicates the reason the PMI was canceled on the loan. A non-zero value is required for MIS loans with a cancellation dateNULLABLEINTEGER


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Last updated Tue Sep 15 2026