Across
- 2. Cancellations that NPC processes in PCASS due to total loss or repo.
- 5. Center name for regions 2,4 & 8
- 8. A type of insurance that will pay some of the remaining balance not covered by the insurance company in the event of a total loss.
- 9. A peer reviewed list of incoming checks that are sent to a posting center.
- 11. HFS provides financing to dealers to cover their inventory. These dealer accounts are referred to as ____.
- 12. forward a case in CASS to another region/center.
- 14. Weekly report that provides the averages of your HAL/Task time.
Down
- 1. The process of comparing the checks each analyst posted the previous business day balance with the amount deposited.
- 3. A refund check received from a government office for overpaid property taxes or parking tickets.
- 4. It is a tax credit given by a state for UPFRONT tax paid to a different state.
- 6. Lease account status after the account goes past the maturity date.
- 7. greenscreen guide for CASS.
- 10. Letter for a same state (county changes) AND monthly to monthly address changes.
- 13. This is a posting category in CASS which allows the CMC to post a payment onto a lease account for a miscellaneous refund.
