With the Securitization Setup screen, the system provides a powerful tool that enables financial institutions to create account pools, to track and manage portfolios.
The Securitization Setup screen enables you to:
Navigating to Securitization screen
On the Oracle Financial Services Lending and Leasing home screen, click Servicing > Servicing > Securitization.
Data in the Securitization screen is grouped into two tabs:
The Pool Inquiry screen enables you to enter and view pool related transactions. It can also be used to view various summaries related to the pool.
Navigating to Pool Inquiry
A brief description of the fields is given below:
Field: |
View this: |
Pool |
Displays the pool code. |
Status |
Displays the pool status. |
Description |
Displays the pool description. |
Class |
Displays the pool class from the drop-down list. |
Company |
Displays the pool portfolio company from the drop-down list. |
End Dt |
Displays the pool end date. |
Owner |
Displays the pool owner. |
Super Pool |
Displays the pool super pool code from the adjoining drop-down link. |
Repurchase Dt |
Displays the pool re-purchase date. |
Reason |
Displays the pool re-purchase reason. |
Sale Dt |
Displays the pool sale date. |
Days Repo |
Displays the number of days in repossession to liquidate. |
Days Delq |
Displays the number of days in delinquency to liquidate. |
Max Limit |
Displays the max limit of the pool. |
Service Rate |
Displays the servicing rate for the pool. |
Certificate Rate |
Displays the certificate rate for the pool This is the rate which will be payable to the investor who buys this pool and is entitled to its receivable stream. |
The Pool Transactions sub screen enables you to view pool related transactions history, and well as enter a pool transaction.
To post Pool Transactions
A brief description of the fields is given below:
Field: |
Do this: |
Transaction |
Select the transaction from the following list: ADD ACCOUNT -- Add an account to the pool externally. CANCELLED -- Cancel the pool. HELD FOR SALE -- Change the status of pool to “Held for sale.” OPEN -- Change the status of pool to “Open.” RELEASED -- Change the status of the pool to “Released” and clear all accounts related to the pool. REPURCHASED -- Change the status of pool to “Repurchased.” SOLD -- Change the status of pool to “Sold.” (required). |
Reason |
Enter the transaction reason (required). |
Date |
Enter the transaction effective date (required). |
Account |
Select the account to be added (optional). |
The Pool Accounts sub screen enables you to view previous account related transactions, as well as enter a pool account transaction for the selected pool.
To post the Pool Accounts
A brief description of the fields is given below:
Field: |
View this: |
Account # |
Displays the account number. |
Title |
Displays the account holder’s name. |
Account Status |
Displays the account status. |
Sale Acc Status |
Displays the account status at the time of pool sale. |
Dt |
Displays the pool sale date. |
Sale Rate |
Displays the account interest rate at the time of pool sale. |
Balance |
Displays the account balance at the time of pool sale. |
Term Remaining |
Displays the account remaining terms at the time of pool sale. |
A brief description of the fields is given below:
Field: |
Do this: |
Txn date |
Transaction date. |
Post date |
Transaction posted date. |
Description |
Details of the transaction. |
Amount |
Amount of the transaction. |
Reason |
Reason for the transaction . |
The Product sub screen enables you to view summaries of various statistics of the products in the pool.
To view the Product details
A brief description of the fields is given below:
Field: |
View this: |
Product |
Displays the product. |
Principal at Sale |
Displays the principal at sale amount. |
Principal Paid |
Displays the principal paid amount. |
Repurchase Balance |
Displays the principal repurchase balance amount. |
Loss Amount |
Displays the loss amount. |
Pay ahead Amount |
Displays the pay ahead amount. For any paid off accounts in the product summary, this field contains the sum of the amount that was applied to principal during the payoff payment allocation. |
Current Balance |
Displays the current balance amount. |
The Status sub screen enables you to view summaries of various statistics of the status of the products in the pool.
To view the Status details
A brief description of the fields is given below:
Field: |
View this: |
Product |
Displays the product. |
Status |
Displays the securitization account status. |
Principal at Sale |
Displays the principal at sale amount. |
Principal Paid |
Displays the principal paid amount. |
Repurchase Balance |
Displays the principal repurchase balance amount. |
Loss Amt |
Displays the loss amount. |
Payahead Amt |
Displays the pay ahead amount. |
Current Balance |
Displays the current balance amount. |
The Rate sub screen enables you to view a summary of the pool by product and rates.
To view Rate details
A brief description of the fields is given below:
Field: |
View this: |
Product |
Displays the product. |
Rate |
Displays the rate (should equal the interest rate on account). |
Principal at sale |
Displays the principal at sale amount. |
Principal Paid |
Displays the principal paid amount. |
Repurchase Balance |
Displays the principal repurchase balance amount. |
Loss Amt |
Displays the loss amount. |
Pay ahead Amt |
Displays the pay ahead amount. |
Current Balance |
Displays the current balance amount. |
The Delinquency sub screen enables you to view a summary of the pool in regards to delinquencies of products.
To view Delinquency details
A brief description of the fields is given below:
Field: |
View this: |
Product |
Displays the product. |
Category |
Displays the delinquency category. |
Principal at Sale |
Displays the principal at sale amount. |
Principal Paid |
Displays the principal paid amount. |
Repurchase Balance |
Displays the principal repurchase balance amount. |
Loss Amt |
Displays the loss amount. |
Pay ahead Amt |
Displays the pay ahead amount. |
Current Balance |
Displays the current balance amount. |
The Term sub screen enables you to view a summary of the pool by product and by terms.
To view the Term
A brief description of the fields is given below:
Field: |
View this: |
Product |
Displays the product. |
Term |
Displays the term. |
Principal at sale |
Displays the principal at sale amount. |
Principal Paid |
Displays the principal paid amount. |
Repurchase Balance |
Displays the principal repurchase balance amount. |
Loss Amount |
Displays the loss amount. |
Pay ahead Amount |
Displays the pay ahead amount. |
Current Balance |
Displays the current balance amount. |
The Pool Creation screen enables you to create pools and perform “what if” analysis of pool appearance using different criteria. Based on the parameter values, the system will query the accounts database and builds the list of accounts. Once you choose the pool criterion, you can view the query generated by the system. Oracle Financial Services Lending and Leasing would further display errors in the query built so that you can revisit the parameter values.
To create a pool
A brief description of the fields is given below:
Field: |
Do this: |
Pool |
Specify the pool code. |
Status |
Displays the pool status. |
Description |
Specify the pool description. |
Class |
Select the pool class from the drop-down list. |
Company |
Select the pool portfolio company from the drop-down list. |
End Dt |
Specify the pool end date. You can even select the date from adjoining Calendar icon |
Owner |
Specify the pool owner. |
Super Pool |
Select the code for super pool from the drop-down list (Multiple pools belong to a super pool). |
Repurchase Dt |
Displays the pool re-purchase date. |
Reason |
Displays the pool re-purchase reason. |
Sale Dt |
Displays the pool sale date. |
Days Repo |
Specify the number of days in repossession to liquidate. |
Days Delq |
Specify the number of days in delinquency to liquidate. |
Max Limit Amt |
Specify the max limit of the pool. |
Service Rate |
Specify the servicing rate for the pool. The servicing rate is an additional rate you can charge for security. |
Certificate Rate |
Specify the certificate rate for the pool. This is the rate which will be payable to the investor who buys this pool and is entitled to its receivable stream. |
A brief description of the fields is given below:
Field: |
Do this: |
Query Name |
Specify the query name. |
Query Description |
Specify the query description. |
Enabled |
Check this box to enable the query. |
A brief description of the fields is given below:
Field: |
Do this: |
Seq |
Specify the sequence number. |
( |
Specify the left bracket. |
Attribute |
Select the attribute from the drop-down list. |
Comparison Operator |
Select the comparison operator from the drop-down list. |
Criteria Value |
Specify the criteria value. |
) |
Specify the right bracket (optional). |
Logical Expression |
Specify the logical expression (optional). |