The Core
Information node houses the upload and export fields for the core system. The
fields are categorized by tabs. Different tabs appear depending upon your selected product
type.
Validating Fields to the Core System
The export fields must be successfully validated to the core system before the Export node is available. The validation process checks for conflicts and/or errors with the core loan type. An account cannot validate when the origination date value is a future date.
Adjusting Semi-Monthly Payments
On the Core Information node, users can adjust semi-monthly payments. This task applies to both OnBoard Loans and CoreBoarding environments.