Perform a rigorous final review of all settlement statements; verify that all fees, taxes, and commissions align with lender instructions and state-specific requirements
Job Summary
Perform a rigorous final review of all settlement statements; verify that all fees, taxes, and commissions align with lender instructions and state-specific requirements.
Execute the final disbursement of files in strict accordance with the closing ledger and approved settlement statements.
We offer a competitive benefits package, including: Paid Time Off (PTO), Medical, Dental, and Vision Insurance, Health Savings Account (HSA), 401(k) Plan, Paid Holidays.
Matching Summary
Perform a rigorous final review of all settlement statements; verify that all fees, taxes, and commissions align with lender instructions and state-specific requirements.
Skills & Requirements
Must-have
Settlement Statement QC
Fee Validation
Ledger Balancing & Verification
Fund Tracking
Disbursement Execution
Wire Security
Escrow & Trial Balance Management
Nice-to-have
High-integrity, detail-obsessed
Critical problem solving
Motivated team player
Numbers person
Key Requirements
1–3 years of experience
Experience in title, escrow, post-closing, or real estate transaction processing
Knowledge of Real Estate Closing process
Experience auditing ALTA/CDs and escrow accounting
Ability to use title production and banking software
Understanding of TRID/RESPA and ALTA Best Practices