| Form RD 3555-20 |
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UNITED STATES DEPARTMENT OF AGRICULTURE |
Form Approved |
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| (Rev. 0-00) |
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RURAL DEVELOPMENT |
OMB. NO. 0575-0179 |
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RURAL HOUSING GUARANTEE REPORT OF LOSS |
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| INSTRUCTIONS --USE CAPITALIZED TYPE IN SPACES PROVIDED ______ |
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| Items 1 through 22 are to be completed by the Lender. |
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| 1. Report Type Code = |
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2. Date of Claim = |
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| 3. Case No. = |
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4. Borrower Name |
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5. Loan No= |
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| 6. Date of Settlement |
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7. Lender ID No. |
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8. Branch No. |
9. Lender Name |
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| GUARANTEED LOAN ITEMS: |
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| 10. Principal Balance Owed on Debt |
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11. Accrued Interest Owed * |
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| 12. Principal Balance Owed on Protective Advance |
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13. Accrued Interest on Protective Advance |
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| 14. Total (items 10 through 13) |
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*The lender should attach documentation of these items per FMI. |
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| Section A RECOVERY FROM COLLATERAL SOLD |
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Section B RECOVERY FROM OTHER ITEMS |
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| 15. Amount Property Sold For |
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18. Funds in escrow account(s) |
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| 16. Lender's Liquidation Cost |
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19. Other Recovery |
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| 17. Net Proceeds From Collateral |
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20. Cost of Collection |
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21. Net Recovery |
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(Item 18 and 19 less Item 20) |
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| Section C Completed by Lender if property was acquired at foreclosure or by deed-in-lieu of foreclosure |
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| 22. Lender's Liquidation Costs |
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| Section D- VALUE OF COLLATERAL ACQUIRED. Completed by Rural Housing Service(RHS) if Lender acquired property |
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| at foreclosure or by deed-in-lieu of foreclosure. Do not complete if Section A above has been completed. |
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| 23. Appraised Value |
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25. Appraised Value Factor |
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(Item 23 x Item 24) |
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| 24. Acquisition Management, |
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26. Net Proceeds from Collateral |
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| Resale Factor |
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(Item 23 less Items 22 and 25) |
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| Section E |
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| Loss guaranteed: |
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| 27. Lesser of Original Note |
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28. Maximum Loss Payable |
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| Amount or Principal Actually |
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(90% of Item 27) |
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| Advanced |
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| 29. Authorized Lender Signature |
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Title |
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Date |
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Page 1 of 2 |
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| REVERSE OF FORM 1980-20 |
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BORROWER NAME |
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________________________________________________ |
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| ADJUSTMENTS TO LOSS: |
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| 30. Reduced Claim Amount * |
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31. Denied Claims Amounts * |
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| 32. Total Adjustments (Item 30+31) |
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* The Agency approval official should attach documentation of these items per FMI |
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| 33. Total Debt - Net Proceeds |
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(Item 14, less line 17 or 26, less item 21, less item 32) (If <= 0, Enter 0) |
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| 34. 35% of Item 27 |
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| 35. Amount of Loss in Excess of 35% of Loan (item 33 less item 34)(If <=Zero, leave blank) |
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| 36. Amount from Item 35 X 85% (if zero or less, enter zero and skip to item 38) |
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| 37. Amount of Loss (Item 34 PLUS Item 36) |
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| 38. Total Computed Loss Payable (LESSER of Item 33 or Item 37, if Item 37 is blank, |
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enter the amount from Item 33) |
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| 39. Release of Liability Code (Y=Yes,N=No) |
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| 40. Adjustment Reason Code |
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41. Additional Interest |
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(Y=Yes,N=No) |
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| 42. Amount Due Agency |
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43. Balance Due Lender |
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| Authorized Agency Signature |
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Title |
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Date |
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| FINANCE OFFICE USE |
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| 45. Unsatisfied Principal |
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46. Interest Rate |
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| 47. Basis |
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48. Number of Days |
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| 49. Additional Interest |
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| Adjusted Loss Payable with Additional Interest |
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| 50. Total debt - Net Proceeds (Item 33 PLUS Item 49) |
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| 51. Loss (up to 35% of Item 27) |
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| 52. Amount of Loss In excess of 35% of Loan (Item 50 LESS Item 51) |
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| 53. Amount from Item 52 X 85% |
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| 54. Amount of Loss (Item 51 plus Item 53) |
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| 55. Loss payable with Additional Interest (Lesser of Item 50 OR Item 54) |
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| 56. Check amount |
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57. Check Issue Code |
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1 = Systems Generated |
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3=No check Issued |
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2 = Manual Check |
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4=Refund |
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| 58. Date of Manual Check |
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|__|__|-|__|__|-|__|__| |
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59. Date of Deposit |
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Page 2 of 2 |
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