Available in NLS 5.2 and later
In NLS, securitization is the process of taking a group of loans and moving them into a single loan group. When the loans are moved, they inherit the parameters of the new loan group.
There are three settings in Setup > Loan Setup > Defaults that are specific to the batch loan group transfer function.
Loan Group Transfer
|Batch: Remove Loan from Status Code List||When set to Yes, loans that are moved to a new loan group will be removed from the status code list.|
|Batch: Require From Loan Group to be the Same||When set to Yes, all loans being moved must belong to the same loan group.|
|Create GL Transfer Entries||When set to Yes, GL entries of the transfer will be made to the designated GL Transfer accounts.|
In Setup > Loan Setup > Loan Group, configure the new loan group. Use the Transfer GL placeholders to record the transfer of GL accounts as defined in the old loan group to the new loan group.
NLS 5.4.4. and laterA predefined ***CLEARING GROUP*** loan group is created when the Create GL Transfer Entries option is enabled. GL entries are cleared through this loan group when a loan transfer occurs. This loan group may be configured like any other loan group but its name cannot be changed and no loans can be tied specifically to this loan group.
Specify the currency allowed in the new loan group under Servicing Options. If the currency is set to <ANY>, then all currency types will be accepted into the loan group. If the currency is set to USD-United States Dollar, then only loans with its currency set to USD-United States Dollar can be moved to the new loan group. If any loan in a batch of loans fails to satisfy the currency criteria, the entire batch will not be transferred.
NLS 5.4 and later
Scripts can be attached to the loan group to execute before and/or after the transfer of a loan. If the NLSapp.Break() method is called from the before transfer script, the loan will not be moved the new loan group.
To select loans to move to a new loan group, select Lists in the loan tree view. List of loans organized by status codes will be displayed. Select the status code from which to transfer the loans and click Batch Loan Group Transfer in the Loan ribbon bar. Or right-click on the status code and select Transfer Loan Group.
NoteThe Lists tab in the loan tree view only appears if a status code has its List option selected in Setup > Loan Setup > Status Codes.
A dialog will appear showing the number of loans selected and the total principal balance of the selected loans
Select a transfer date for the selected loans. The transfer date must be later than or the same as the origination date of any of the loans in the selected batch.
Select a new loan group to which to transfer and click Batch Update.
The ability to move loans may be enabled per user/group in their respective privilege settings under Loan > Status Code List.
|Remove From List||When selected, will allow the user to right-click on a loan in the Status Code list and remove the loan from the list.|
|Batch Loan Group Transfer||When selected, will allow the user to initiate a batch loan group transfer.|