MBS Attachment A

MBS Attachment A.xlsx

Ginnie Mae Mortgage-Backed Securities Programs

MBS Attachment A

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) Electronic or Paper










11700 II-1 Letter of Transmittal 329.000 4 1316.000 0.033 43.428 $1,259.41 Electronic










11701 I-1 Application for Approval Ginnie Mae Mortgage-Backed Securities Issuer 100.000 1 100.000 3.000 300.000 $8,700.00 Electronic










11702 I-2 Resolution of Board of Directors and Certificate of Authorized Signatures 454.000 1 454.000 0.800 363.200 $10,532.80 Electronic










11703-II I-7 Master Agreement fore Participation Accounting 14.000 1 14.000 0.800 11.200 $324.80 Electronic










11704 II-2 Commitment to Guaranty Mortgage-Backed Securities 329.000 4 1316.000 0.033 43.428 $1,259.41 Electronic










11707 III-1 Master Servicing Agreement 468.000 1 468.000 0.033 15.444 $447.88 Electronic










11709 III-2 Master Agreement for Servicer's Principal and Interest Custodial Account 468.000 1 468.000 0.033 15.444 $447.88 Electronic










11715 III-4 Master Custodial Agreement 468.000 1 468.000 0.033 15.444 $447.88 Electronic










11720 III-3 Master Agreement for Servicer's Escrow Custodial Account 468.000 1 468.000 0.033 15.444 $447.88 Electronic










11732 III-22 Custodian's Certification for Construction Securities 55.000 1 55.000 0.016 0.880 $25.52 Electronic










VI-20 replaced IX-1 Electronic Submission of Issuers' Insurance and Annual Audited Financial Documents (new title replaces old title: Consolidated Audit Guide for Audits of HUD Programs - Ginnie Mae (Chapters 1, 2 & 6) - Financial Statements and Audit Reports) 468.000 1 468.000 1.000 468.000 $13,572.00 Electronic











Mortgage Bankers Financial Reporting Form 315.000 4 1260.000 0.500 630.000 $18,270.00 Paper










11709-A I-6 ACH Debit Authorization 468.000 1 468.000 0.033 15.444 $447.88 Electronic










11710 D VI-5 Issuer’s Monthly Summary Reports 315.000 12 3780.000 0.130 491.400 $14,250.60 Electronic










11710A &11710E 1710B 1710C VI-4 VI-12 VI-13 Issuer's Monthly Accounting Report and Liquidation Schedule Issuer's Monthly Serial Notes Accounting Schedule Project Pool Report 315.000 1 315.000 0.130 40.950 $1,187.55 Electronic










11710-DH VI-21 HMBS issuer's Monthly Summary Report 14.000 12 168.000 0.130 21.840 $633.36 Electronic











III-13 Electronic Data Interchage System Agreement 100.000 1 100.000 1.000 100.000 $2,900.00 Paper











I-4 Cross Default Agreement 10.000 1 10.000 0.050 0.500 $14.50 Paper











VI-18 WHFIT Reporting 329.000 4 1316.000 0.130 171.080 $4,961.32 Electronic











III-29 System Access Forms 517.000 1 517.000 2.000 1034.000 $29,986.00 Paper











VIII-1 Ginnie Mae Acknowledgement Agreement an Accompanying Documents Pledge of Servicing 10.000 1 10.000 1.000 10.000 $290.00 Paper











VI-14 Multifamily Prepayment Penalty Record File Layout 22.000 12 264.000 0.050 13.200 $382.80 Electronic











VI-16 Quarterly Custodial Account Verification Record File Layout 302.00 4 1208.000 0.500 604.000 $17,516.00 Electronic



























































































































































































































































































The burden for the items listed below is based on volume and/or number of requests































11705 III-6 Schedule of Subscribers and Ginnie Mae Guaranty Agreement 3500.000 12 42,000.000 0.050 2,100.000 $60,900.00 Electronic










11706 III-7 Schedule of Pooled Mortgages 3500.000 12 42,000.000 0.800 33,600.000 $974,400.00 Electronic










11705H & 11706H III-28 Schedule of Subscribers and Ginnie Mae Guaranty Agreement - HMBS Pooling Import File Layout 80.000 12 960.000 0.050 48.000 $1,392.00 Electronic










11708 V-5 Document Release Request 329.000 1 329.000 0.050 16.450 $477.05 Electronic










XI-6 XI-8 XI-9 SSCRA Loan Eligibility Information Solders' and Sailors' Quarterly Reimbursement Request SSCRA Eligibility and Reimbursement Files 2,000.000 4 8,000.000 0.033 264.000 $7,656.00 Electronic










11711A and 11711B III-5 Release of Security Interest and Certification and Agreement 678,000.000 1 678,000.000 0.050 33,900.00 $983,100.00 Electronic










11714 11714SN VI-10 VI-11 Issuer's Monthly Remittance Advice Issuer's Monthly Serial Note Remittance Advice 4,700.000 12 56,400.00 0.016 902.400 $26,169.60 Electronic











VI-2 Letter for Loan Repurchase 50.000 12 600.000 0.033 19.800 $574.20 Paper











III-21 Certification Requirements for the Pooling of Multifamily Mature Loan Program 298.000 1 298.000 0.050 14.900 $432.10 Paper











VI-9 Request for Reimbursement of Mortgage Insurance Claim Costs for Multifamily Loans 21.000 1 21.000 0.250 5.250 $152.25 Paper











VIII-3 Assignment Agreements 67.000 1 67.000 0.130 8.710 $252.59 Electronic











III-9 Authorization to Accept Facsimile Signed Correction Request Forms 329.000 12 3,948.0000 0.016 63.168 $1,831.87 Paper











VI-17 HMBS Issuer Pooling & Reporting Specification for Mortgage-Backed Securities Administration Agent 3,200.00 12 38,400.0000 0.130 4,992.000 $144,768.00 Electronic











VI-19 Monthly Pool and Loan Level Report (RFS) 400,000.000 12 4,800,000.000 0.500 2,400,000.000 $69,600,000.00 Electronic






























Total


Varies 5,686,034.000 Varies 2,480,359.004 $-
































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