CASH_REMITTANCE_SUMMARY_NOTIFICATION 
EntityType  Dependent 
Logical Entity Name  CASH_REMITTANCE_SUMMARY_NOTIFICATION 
Default Table Name  MESSAGE/DOCUMENT_SETS/DOCUMENT_SET/DOCUMENTS/DOCUMENT/DEAL_SETS/DEAL_SET/CASH_REMITTANCE_SUMMARY_NOTIFICATION 
Definition  Container for summary cash remittances due to the Investor. 
Note 
 

CASH_REMITTANCE_SUMMARY_NOTIFICATION Attributes 
Attribute/Logical Rolename  Domain  Datatype  NULL  Definition 
InvestorRemittanceAmount  MISMOAmount  DECIMAL(0, 2)  NO  The total remittance amount being reported to the Investor by the Servicer. 
InvestorRemittanceEffectiveDate  MISMODate  DATE  NO  The date the investor should draft the remittance from the lenders bank account. This is typically the day after the remittance is reported to the investor. 
InvestorRemittanceType  InvestorRemittanceEnum  VARCHAR(0)  YES  This describes the contractual accounting method used to calculate the funds received by the Servicer from the borrower that are due to the investor.
 
InvestorRemittanceTypeOtherDescription  MISMOString  VARCHAR(0)  NO  A free-form text field used to capture the Investor Remittance Type if Other is selected. 

CASH_REMITTANCE_SUMMARY_NOTIFICATION Keys 
Key Name  Key Type  Keys 

CASH_REMITTANCE_SUMMARY_NOTIFICATION Relationships 
Parent Relationships: 
Entity Name  Type  Cardinality  Business Name  VerbPhrase  InversePhrase  Foreign Keys  Is Supertype 
DEAL_SET  Identifying  One to Zero or One          NO 
Child Relationships: 
Entity Name  Type  Cardinality  Business Name  VerbPhrase  InversePhrase  Foreign Keys  Is Subtype 

CASH_REMITTANCE_SUMMARY_NOTIFICATION Check Constraints 
Check Constraint Name  CheckConstraint 

CASH_REMITTANCE_SUMMARY_NOTIFICATION Bound Attachments 
Name  Current Value 

CASH_REMITTANCE_SUMMARY_NOTIFICATION User-Defined Mappings 
Model  Name  Description 

CASH_REMITTANCE_SUMMARY_NOTIFICATION Data Movement Rules 
Name  Type  Rule Text/Value