Following these steps so that we can issue you your commission check in the quickest time possible
List of Steps
Ensure Fees Match In Point
Upon recording request a copy of the FINAL HUD/CD from escrow and begin matching the fees into your Point file Fee Worksheet. This would also be a good time to make sure your point file data is accurate.
Tip: If you're using a contract processor, you can first request a copy of your processor's Point (Fannie Mae 3.4) file and replace the one you have
Import your file into Point
It's time to upload your documentation to your Calyx Point file. It's a good idea to upload your income documentation, insurance policy, identification, and any other documentation you think will be needed in the future if you were to work with that client again.
To do so, locate eloanfile from the menu bar and select Document Manager from the dropdown list. Click on Add to begin uploading your documents. Naming your documents accurately and categorizing them correctly will help to locate documents quickly in the future.
The 3 Required Documents every file must have:
Submit your Closing to Operations
Now that you have completed the previous two steps it's time to let your operations team know you're ready to be paid. Fill out the form below to have your closing get processed.
Good Practice
Update your CRM accordingly. Ensure that the closing date is entered along with the terms of the loan (Interest rate, term, type of program, etc...). This will allow you to look for refinance opportunities in the future
Marketing
Adding them to a Post-Close Campaign is very effective in keeping top of mind with your client and building a long term relationship with them