Attachment A - 2503-0033

Attachment A - 2503-0033 .xlsx

Ginnie Mae Mortgage-Backed Securities Programs

Attachment A - 2503-0033

OMB: 2503-0033

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Form Appendix No. Title No. of Respondents Frequency of Responses per year Total Annual Responses Hours Per Response Total Annual Hours Estimated Annual Cost to Respondents (Issuers) Reviewed, Processed and Maintained by Government Contrators
1 11700 II-1 Letter of Transmittal 210 4 840 0.033 27.7 $859.32
2 11701 I-1 Application for Approval Ginnie Mae Mortgage-Backed Securities Issuer 100 1 100 1 100.0 $3,100.00
3 11702 I-2 Resolution of Board of Directors and Certificate of Authorized Signatures 210 1 210 0.08 16.8 $520.80 *
4 11704 II-2 Commitment to Guaranty Mortgage-Backed Securities 210 4 840 0.033 27.7 $859.32
5 11705 III-6 Schedule of Subscribers and Ginnie Mae Guaranty Agreement 210 12 24800 0.0075 186.0 $5,766.00 *
6 11706 III-7 Schedule of Pooled Mortgages 210 12 24800 0.0085 210.8 $6,534.80 *
7 11707 III-1 Master Servicing Agreement 210 1 210 0.016 3.4 $104.16 *
8 11708 V-5 Document Release Request 210 1 374 0.05 18.7 $579.70 *
9 11709 III-2 Master Agreement for Servicer's Principal and Interest Custodial Account 210 1 210 0.033 6.9 $214.83 *
15 11715 III-4 Master Custodial Agreement 210 1 210 0.033 6.9 $214.83 *
16 11720 III-3 Master Agreement for Servicer's Escrow Custodial Account 210 1 210 0.033 6.9 $214.83 *
17 11732 III-22 Custodian's Certification for Construction Securities 144 1 144 0.016 2.3 $71.42 *
19 IX-1 Financial Statements and Audit Reports 210 1 210 1 210.0 $6,510.00 *
20
Mortgage Bankers Financial Reporting Form 350 4 1400 0.5 700.0 $21,700.00 *
21 XI-6, XI-8, XI-9 Soldiers' and Sailors' Quarterly Reimbursement Request and SSCRA Loan Eligibility Information 32 4 8000 0.033 1056.0 $32,736.00 *
10 11709-A I-6 ACH Debit Authorization 210 1 210 0.033 6.9 $214.83 *
12 11710 D VI-5 Issuer’s Monthly Summary Reports 210 12 2520 0.033 83.2 $2,577.96 *
11 11710A, 1710B, 1710C &11710E VI-4, VI-12, VI-13 Issuer's Monthly Accounting Report and Liquidation Schedule 110 1 110 0.5 55.0 $1,705.00 *
13 11711A and 11711B III-5 Release of Security Interest and Certification and Agreement 210 1 24800 0.005 124.0 $3,844.00 *
14 11714 and 11714SN VI-10, VI-11 Issuer's Monthly Remittance Advice and Issuer's Monthly Serial Note Remittance Advice 210 12 56500 0.016 10848.0 $336,288.00
22
VI-2 Letter for Loan Repurchase 210 12 420 0.033 13.9 $429.66
23
III-21 Certification Requirements for the Pooling of Multifamily Mature Loan Program 11 1 11 0.05 0.6 $17.05
24
VI-9 Request for Reimbursement of Mortgage Insurance Claim Costs for Multifamily Loans 56 1 56 0.25 14.0 $434.00 *
25
VII-1 Collection of Remaining Principal Balances 210 12 344000 0.0125 51600.0 $1,599,600.00 *
26

Data Verification Form 210 2 420 0.05 21.0 $651.00 *
27
III-9 Authorization to Accept Facsimile Signed Correction Request Forms 210 12 128 0.016 2.0 $63.49 *
28
III-13 Electronic Data Interchange System Agreement 40 1 40 0.166 6.6 $205.84 *
29
III-14 Enrollment Administrator Signatories for Issuers and Document Custodians 54 1 54 2 108.0 $3,348.00 *
31
I-4 Cross Default Agreement 10 1 10 0.05 0.5 $15.50
33
VIII-3 Assignment Agreements 63 1 63 0.13 8.2 $253.89 *
36
VI-18 WHFIT Reporting 210 4 840 0.25 210.0 $6,510.00 *
37
VI-19 Monthly Pool and Loan Level Report (RFS) 210 12 2520 4.3 10836.0 $335,916.00 *

Total


Varies 495,260 Varies 76,518 $2,372,060.23
























Estimated Cost to Respondents:









1. Mortgage industry employee salary: $31.00









x Total Annual Hours = Cost




















Estimated Annual Cost to the Government:









* The estimated annual cost to the Federal government for this collection is $37,575,471.12







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