126 Calyx Software
Disclosures and other forms
11 Enter any adjustments in the Total Estimated Funds Needed to Close (Details of
Transaction)
section.
This section contains a total of the estimated closing costs and prepaid items. This
information is duplicated is in the
Details of Transaction section on page 4 of the
Loan Application and the Cash-to-Close screen.
12 Enter any notes in the
Notes section and select the This Good Faith Estimate is being
provided by broker...
check box if the broker has completed the estimate.
Related information
• For more information about setting the number of days in year, refer
to Company default information, on page35.
• For information about how to define the escrow account, refer to
Specifying the default escrow account payments, on page39.
• For information about how to define fee tables, refer to Creating
escrow and title tables, on page45.
• For more information about the
Details of Transaction section, refer
to Summarizing the transaction details, on page114.
• See Chapter 14, Templates, for more information about building loan
program and closing cost scenario templates.