Errors
Enterprise SOAP API
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Core Services
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Account Add
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SilverLake
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Errors
2
Error
Account already exists
6
Account number must be greater than zero
7
Account type is not valid
13
Branch number is not valid
14
Call report code is not valid
15
Cannot accept Argo Code when Argo is not installed
18
Census Tract cannot be negative
24
Class is not valid
26
County code is not valid
27
CRA Location code is not valid
28
CRA State code is not valid
30
First payment date is not valid
35
GL cost center is not valid
36
GL Interface is not valid
37
GL product code is not valid
40
Include on combined statements flag must be Y or N
41
Interest disposition account not found
42
Interest disposition code must be A, C, D, or H
46
Mailing Instruction code is not valid
50
Officer code is not valid
51
Open date is not valid
53
Primary Customer cannot be found
55
Fault
Rate ceiling cannot be less than the rate
56
Rate ceiling cannot be negative
57
Rate floor cannot be negative
58
Rate floor cannot be greater than the rate
60
Rate floor cannot exceed the rate ceiling
61
Rate review date is not valid
62
Rate review term code is not valid
63
Rate variance cannot be negative
64
REPO block number is not valid
65
Security override code is not valid
66
SMSA number cannot be negative
67
SMSA, Census Tract, State, County combination is not valid
76
Standard industry class code is not valid
77
State code for withholding cannot be blank if state W/H reason code has a value
78
State code for withholding is not valid
80
State W/H alternate rate cannot be negative
81
State W/H alternate rate greater than zero but state W/H code is zero
82
State W/H alternate rate is greater than 40%
83
State W/H reason code is not valid
90
Warning
CIF account record was not added, requires a manual add
94
W/H alternate account not found
95
W/H alternate rate cannot be negative
96
W/H alternate rate is greater than zero but W/H code is zero
97
W/H reason code is not valid
98
Year base code is not valid
400
Language code is not a valid code
200074
Next roll date must be less than the maturity date
202009
Primary CIF's FinCen Legal Entity is set to "Include", Name and Title of person
202010
Cannot be blank
300000
Accrual method is not valid
300001
ACH account name cannot be blank when distribution is H
300002
ACH company ID is required
300003
ACH company name is required
300004
ACH Credit account number required when distribution is H
300005
ACH Credit Bank routing number is not valid
300006
ACH Credit Tran Code is not valid
300007
ACH entry description required
300008
ACH send prenotice flag is not valid
300009
ACH standard entry class code is not valid
300010
Allow interest date past renewal flag is not valid
300011
Alternate account is escheat, closed dormant or charged off
300012
Automatically renewable flag is not valid
300013
Cannot change from or to IRA type
300014
Cannot enter an override renewal rate number and an override renewal rate
300016
CD cannot be backdated more than one interest period
300017
CD plan is in distribution
300018
CD term cannot be zero when Maturity Date Required flag is Y
300019
CD term code must be M or D when Maturity Date Required flag is Y
300020
Certificate amount cannot be zero
300021
CIF number for checks is not valid
300023
Combined interest checks flag cannot be Y when interest disposition not C
300024
Combined interest checks flag is not valid
300025
Day of month to pay interest must be zero, 29, 30, or 31
300026
Even payments code is Y but CD term is not evenly divisible by interest term
300027
First payment date is less than issue date
300028
Int term code is equal to CD term code but Interest term is greater than CD term
300029
Int term code is not equal CD term code and interest term factor is gt CD term
300030
Interest Disposition Type is not valid for request with Disposition Acct & Type
300031
Interest payment term cannot be zero
300032
Interest term code is not valid
300033
Interest term code must equal CD term code when even payments flag is Y
300034
Interest variable rate number is not valid
300036
Renewal type override is not valid
300038
IRA plan code is blank but the CD type is an IRA
300039
Statement/passbook savings code is not valid
300040
IRA plan code is not valid
300041
IRA plan code is not blank but CD type is not IRA
300042
Issue date cannot be in the future
300044
OID flag is not valid
300045
Original balance cannot be negative
300046
Original source of funds code is not valid
300047
Override renewal rate number cannot be negative
300048
Override renewal rate number is not valid
300049
Override renewal to rate cannot be negative when renewal is Y
300050
Override type renewal flag is not valid
300051
Paperless CD code is not valid
300052
Pay accrued interest on last payment flag is not valid
300053
Payments in even amounts flag is not valid
300055
Penalty type is not valid
300056
Print statement code is not valid
300057
Time Deposit Type Code is not valid
300058
Rate is greater than the maximum rate
300059
Rate is less than minimum rate
300060
Rate is not equal to current rate for rate number given
300061
Rate review date not allowed on fixed CD
300062
Rate review term cannot be negative
300063
Rate review term cannot be zero when term code has a value
300064
Rate review term code cannot be blanks when review term has a value
300065
Rate variance code is not valid
300066
Rate variance code must be + or - when rate variance is greater than zero
300067
Rate variance code must be blank when rate variance is zero
300069
Separate rate schedule code is not valid
300070
Step rate code not valid for even payment CD's
300071
Step rate code not valid with variable rate CD's
300074
Deposit to account is in an invalid state
300077
Use multiple deposit rates flag is not valid
300078
Withdrawal sequence code must be F or L if multiple deposit rates flag is Y
300171
Next payment date is invalid for Payments in even amounts = Y
300213
Rate Schedule not allowed
402515
Category code must be JO, SO, RT, IT, CP, IR, PU, or EB
402516
FDIC insured flag must be Y or N
402517
Percent owned required
402518
Percent owned cannot be greater than 100.00%
410080
Invalid Sales Associate Code
600012
Short name is required
600013
Alternate name is required
600014
First, Middle, and Last Name information required to build Alternate Short Name
10
ATM card flag must be Y or N
25
Close on zero balance flag must be Y or N
39
High volume account flag must be Y or N
43
Date is not valid
85
State Withholding amount cannot be negative
1010
Element value must be Y or N
100005
Account type does not match the Product's (Service Charge) Account Type
100014
Allow redeposit must be Y or N
100025
Cannot send redeposit notices when allow redeposit is N
100027
Charge continuous OD fee flag must be Y, N or B
100030
Check guaranty flag must be Y or N
100040
Club payment plan cannot be assigned when account type is not X
100042
Club payment plan is not valid
100043
Continuous OD Fee cannot be negative
100044
County code cannot be negative
100045
CRA location cannot be negative
100048
Credit interest flag is not blank but next statement date is zero
100049
Credit interest flag must be Y, N, or blank
100050
Credit interest is blank but next statement date is greater than zero
100051
Credits field flag is not valid when truncation has a value
100053
Daily OD fee percentage cannot be <= zero if maximum OD fee is greater than zero
100054
Daily OD fee percentage cannot be negative
100063
Federal Withholding amount cannot be negative
100066
Image fronts/backs is not valid when truncation has a value
100068
Images per page is not valid when truncation has a value
100070
Interest cycle code is not valid
100072
Interest disposition account must be zero when interest disposition is not D
100073
Interest disposition must be A, C, or D
100076
List post flag must be Y or N
100082
Maximum NSF Charge cannot be less than zero
100083
Maximum OD charge cannot be less than zero
100084
Maximum OD fee cannot be less than continuous OD fee
100085
Maximum OD Fee cannot be negative
100086
Maximum UCF Charge cannot be less than zero
100093
Next statement date cannot be in the past
100094
Next statement date is not valid
100095
Number of Days before fifth notice cannot be negative
100096
Number of Days before first notice cannot be negative
100097
Number of Days before fourth notice cannot be negative
100098
Number of Days before second notice cannot be negative
100099
Number of Days before sixth notice cannot be negative
100100
Number of Days before third notice cannot be negative
100101
Number of days OD before assess cannot be negative
100102
Number of redeposit cannot be negative
100103
Number of redeposit must be a numeric value of 1 - 9
100104
Number of redeposit must be zero when allow redeposit is a N
100105
OD balance before assess cannot be negative
100106
OD limit code not found
100107
OD privilege status is not valid, OD status must be decline or revoke in OD parm
100108
OD privilege status is not valid, Svc Charge code not setup in 3rd party OD parm
100111
Override rate number is greater than zero but accrued interest flag is N
100112
Override rate number is not valid
100114
Print checks in check order flag must be Y or N
100115
Print statement flag is blank but next statement date is greater than zero
100116
Print statement flag is not blank but next statement date is zero
100117
Print statement flag must be Y, N or blank
100120
Rate review term is greater than zero but term code does not have a value
100121
Rate Term cannot be negative
100123
Rate variance code must be + or - when rate is not zero or blank when rate is ze
100124
Related account not found
100125
Related account type is not valid
100126
Send redeposit notice must be a Y or N
100127
Service Charge (Product) code is not valid
100129
Service charge cycle code is not valid
100130
Service charge flag is blanks but next statement date is greater than zero
100131
Service charge flag is not blank but next statement date is zero
100132
Service charge flag must be Y, N, or blank
100133
Service charge type is not valid
100134
Service charge type must be 'Waive' when waive date has a value
100135
Service charge waive expiration date is not valid
100136
Signature verification required flag must be Y or N
100141
Statement cycle code is not valid
100142
Statement day is greater than 31
100143
Statement day is greater than zero but next statement date is zero
100144
Statement day is greater than zero but statement frequency code is not M
100145
Statement frequency code is blank but next statement date is greater than zero
100146
Statement frequency code is not blank but next statement date is zero
100147
Statement frequency code must be D, M, or blank
100148
Statement frequency is greater than zero but next statement date is zero
100149
Statement frequency is zero but next statement date is greater than zero
100151
Statement/cycle reset frequency code is not valid
100152
Statement/passbook code must be S or B for savings account
100153
Statement/passbook savings code must be S, B, or blank
100154
Status code is not valid
100159
OD Regulation Report flag must be Y or N
100164
Account is not high volume
100167
Truncation/Safekeeping or Image flag must be Y, N, I, or B
100169
Waive expiration date cannot be prior to open date
100231
Invalid paper statement code Character 1 must be B, E, P, or blank
100232
Invalid paper statement code Character 2 must be C, W, or blank
100233
Invalid Paper Statement Service Fee Code
100234
Fee Amt and Item # must be blank if Fee Code is specified at account level
100235
Dormant charge waive cannot be 'W' if service charge waive is 'C'
100273
Invalid opt-in flag. Valid values are A, D, F, I, and E.
100274
Values allowed from this current status are D, I, E, and F.
100275
Values allowed from this current status are A, I, E, and F.
100276
Values allowed from this current status are A, D, I, and E.
100277
Values allowed from this current status are A, D, E, and F.
100278
Values allowed from this current status are A, D, I, and F.
100279
Changing to value of F (failed to respond) requires override.
100305
Invalid promotion code
100306
Promotion code start date is in the future
100307
Promotion code is expired
100308
Promotion code must be blank if accrue interest is 'N'
100309
Promotion expiration date is required if promotion code is entered
100310
Promotion expiration date must be blank if promotion code is blank
100311
Promotion expiration date cannot be before date opened
100312
Promotion expiration date cannot be before current date
100313
Promotion expiration date is invalid
100314
Promotion variance must be blank if promotion code is blank
100315
Promotion variance code must be blank if promotion code is blank
100316
Promotion variance code cannot be blank if promotion code is not blank
100317
Promotion variance code is invalid. Must be blank, '-', or '+'
100318
Defaulted promotion code has been changed
100319
Defaulted promotion expiration date has been changed
100324
Value must be B, A or Blank
100343
Must be Y, N, A, or blank
100344
Reason code cannot be blank when SC type is W or D
100345
Reason code cannot be entered when SC type is C
100346
Invalid reason code
100348
Federal W/H code must be 0, CIF is subject to pending C notice withholding
100349
Invalid withholding account number/type
100361
Response must be Y, N, H, or A.
100362
Value must be zero unless Print Addenda Records is Yes
100363
Number of records must be greater than 3 if Print Addenda Records is Yes
100430
Paper Statement Service Fee must be blank if Service Charge Type has Paper State
101079
Withholding not allowed on HSA type accounts
200135
Invalid withholding code
402524
Invalid Override available balance table
1
Account not found
8
Amount cannot be zero or negative
79
State code is not valid
99
Zip Code is required
112
Description is invalid
113
Term code must be M or D
115
Beginning and ending dates must be defined
116
Rate cannot be negative
117
Amount cannot be negative
150
Element value must be Y, N, or blank
1021
Flag must be a Y or N
100034
Check hold amount required for type 'HD'
100109
Open date cannot be in the future
100209
Semi-monthly days valid for semi-monthly frequency code only
100210
Semi-monthly days must be valid for semi-monthly frequency code
100211
Frequency must be zeros for semi-monthly frequency code
100212
1st day of month must be less than 2nd day of month
200003
Payment amount cannot be zero or negative
200049
Loan type is not valid
200053
Military value must be 1 or 2
200075
Next roll date cannot be less than the origination date
200099
Collateral code is invalid
200112
Regulatory risk weight code must be 100 or less
200134
Invalid rate number
200148
Rounding method must be D=Down, N=Nearest, U=Up, or blank
200167
Stop function value is not valid
200170
User status code is not valid
200171
Loan term can not be zero
200172
Number of payments is required for loans with mixed terms
200173
Number of payments is not valid
200174
Payment frequency must be Days, Months, or Semi-monthly
200175
Not valid for loan payment code
200176
Payment frequency/code must match the loan term/code on payment code 5
200186
Frequency code is not valid for interest base
200187
Payment frequency is not valid
200188
Days backdated exceeds tolerance
200190
P & I amount must contain a value when a scheduled payment is used
200191
Scheduled payment amount must contain a value when using P & I amount
200192
Maturity date cannot be more than 999 months after origination date
200193
First Payment Date must match maturity date on single pay
200194
Original amount cannot be zero
200195
Late charge type must be blank if partial charge-off
200196
Bank discount is not valid for this type
200197
Dealer number is not valid
200198
Dealer location is not valid
200199
Dealer type is not valid
200200
Payment code is not valid
200201
Payment code 3 or 6 not allowed with negative bill days
200202
Payment amount or term appears wrong
200203
Day of month for payment is not valid
200204
Term of loan appears to be incorrect
200205
Statement account number is not valid
200207
Payment calculation method must be 1 - 4
200208
Payment calculation method is not valid
200209
Take payment if NSF flag must be Y, N or P
200210
Keep loan balance zero must be Y or N
200211
Freeze past due must be Y or N
200212
Balance due at maturity must be Y or N
200213
Debit account number is not valid
200214
Debit account must be defined to use debit account hold dates
200215
Maximum payment amount cannot be less than minimum payment amount
200216
Unused line rate number is not valid
200217
Unused line interest base must be 0 or 2
200218
Credit life rate number is not valid
200219
Credit life interest base must be 0 or 2
200220
Credit life rate number and factor cannot have values
200221
A & H rate number is not valid
200222
A & H rate number and factor cannot have values
200223
A & H interest base must be 0 or 2
200224
Unemployment rate number is not valid
200225
Unemployment rate number and factor cannot have values
200226
Unemployment interest base must be 0 or 2
200227
Credit life insurance company is not valid
200228
A & H insurance company is not valid
200229
Unemployment insurance company is not valid
200230
Include on combined statement must be Y or N
200231
Prepayment penalty code is not valid
200232
Prepare IRS form 1098 must Y, N or E
200233
Flood insurance required must be Y or N
200234
Purpose code is not valid
200235
Print coupon book must be Y or N
200236
Print coupon book term cannot be zero if print coupon is Y
200237
Coupon Term cannot exceed Payment Term
200238
Send payment billings is not valid
200239
Send bills must be S for auto conversion loans
200240
High risk customer must be Y or N
200241
Close on zero balance must be Y or N
200242
Send a past due notice code must be Y or N
200243
Is title still needed code must be Y or N
200244
Restructured debt code must be Y or N
200245
Credit rating code is not valid
200246
Sub-prime lending code must be Y or N
200247
Print receipt must be Y or N
200248
Supervisory LTV Category code is not valid
200251
Construction loan tracking must be Y or N
200252
Apply payments to past due loans must be Y, N or S
200253
Apply payments to past due loans can only be N or S for IBASE 5 and 7 loans
200254
Can only be defined when Apply Payments to Past Due Loans is N or S
200255
Use payment suspense must be Y when apply past due is S
200256
Apply payments to pre-paid loans must be Y, N or S
200257
Apply payments to pre-paid loans can only be N or S for IBASE 5 and 7 loans
200258
Use payment suspense must be Y when apply pre-paid is S
200259
Post excess principal as a curtailment must be Y=Yes, N=No, or F=First
200260
Post excess principal as a curtailment must be Y or F for IBASE 5 and 7 loans
200261
Post excess can only be Y or F when apply payments to pre-paid is Y
200262
Number, Percent or Dollar Pre-Paid must be defined
200263
Dollar amount pre-paid must be defined
200264
Percent amount pre-paid must be defined
200266
Percent must be less than or equal to 100%
200267
#,%,$ can only be defined when post excess to principal curtailment is Y or F
200268
Outsourced must be Y or N
200270
Syndication agent number is not found
200271
Syndication member number is not found
200272
Currency type is not found
200273
Shared national credit must be Y, N or blank
200274
Correspondent Bank must Y, N or blank
200275
Exception to Real Estate Lending Policy code is not valid
200276
Supervisory LTV code is not valid
200277
Margin must be less than 100% for + or - And less than 900% for %
200278
Rate index number is not valid
200279
Original index must have a value for an ARM loan
200284
Rate review code must be D or M
200285
Rate review date must have a value when rate review term has a value
200286
Rate cap term code code must be M or D
200287
Reamortize payment amount must be Y, N, D or I
200288
Cannot reamortize payment for payment code 6 loans
200289
Amortize through date cannot have a value when balloon payments has a value
200290
Use ARM carryover tracking must be Y or N
200291
Rate caps must be defined when using ARM Carryover Tracking
200292
Reamortize payment date cannot be less than rate review date
200293
Review day must by 29, 30, 31 or zero
200294
Must use reamortize payment date when using reamortize term
200295
Reamortize payment term must be entered when reamortize date is used
200296
Payment term is not valid
200297
Payment term must be divisible by rate review term
200298
Rate review and payment review dates do not correlate
200299
Reamortize payment day must be same as rate review day
200300
Convertible ARM must be Y, N or I
200301
Cannot be Convertible unless this loan is an ARM
200302
Convertible index number is not valid
200303
Convertible margin code must be +, -, % or blank
200304
Convertible margin cannot be less than zero
200305
Credit line CIF number must be
200306
Credit line account number not found
200307
Credit line participation is not valid
200308
Restrict advances over limit must be Y or N
200309
Restrict advances to loan must be A, B or N
200310
Restrict payments to loan must be Y or N
200311
Participation number is not valid
200312
Participation percent is not valid
200313
Percent to split payment cannot exceed 100%
200314
Participation code is not valid
200315
Payment code 6 loan cannot be participated
200316
Payment split percentage valid only with payment split option B
200317
Participation 1st payment option must be O or W
200318
Participation 1st payment option can only be used with split option A,B,C or E
200319
Participation 1st payment option can only be used for a sold loan
200320
Participation split option must be A, B, C, D or E
200321
Participation payment option valid only with sold participation loans
200322
Funding sequence must have a value when the funding limit has a value
200323
Funding limit cannot be negative
200324
Funding percentage is not valid
200325
Funding percentage must have a funding sequence
200326
Funding percentage is only valid for sold loans
200327
Rate index variance is invalid with rate used
200328
Delinquent rate or rate number cannot be zero if delinquent rate days > zero
200329
Delinquent days must be greater than zero
200339
Number of days Billing Notice must be 3 or greater when Accrual Billing Method i
200340
Delinquent rate or rate number can be greater than zero
200341
Add overline amount to next bill must be Y or N
200342
Regulatory Teaser Rate must be Y, N or blank
200343
Regulatory Teaser Rate Y is not valid when rate index is zero
200344
Regulatory Teaser Rate Y is not valid when review term > 12 months
200345
Not valid for dealer rebate method
200346
Dealer rate cannot be zero
200347
Number of days or payments must have a value
200348
Forfeit discount/rebate must have a value
200349
Forfeit discount/rebate must be D, R or N
200350
Remaining bank or dealer must be a B or D
200351
Total interest amount must have a value when dealer discount does
200352
Dealer rate and reserve rate should not be equal
200353
Dealer Discount & Upfront % have values, dealer reserve will = Dealer discount
200354
Recourse code must be F, L, P or N
200355
Recource percent must be 100%
200356
Recourse term/code must have a value when Recourse code is L
200357
Recourse percent must have a value
200358
Recourse term code must be D or M
200359
Recourse percent is not valid for recourse code N or L
200360
Recourse term code is not valid for recourse code F, P or N
200361
Past due days must have a value for Recourse code F and P
200362
Past due days is not valid for Recourse code N and L
200363
Forfeit dealer discount if early payoff must be defined
200364
Forfeit Dealer discount if charge-off must be defined
200365
Use billed amount when splitting payment must be Y or N
200366
Number of days for billing notices must be 3 or greater, 0 or -1
200367
Number of days must be less than 15 for semi-monthly
200368
Number of days cannot exceed 35
200369
Number of grace days for payment code 6 must be greater than zero
200371
Minimum amount to create bill cannot be negative
200372
Minimum amount due to create a bill must be less than payment amount
200373
Minimum amount due to create a bill cannot be more than minimum payment amount
200374
Minimum amount due to create a bill cannot be more than maximum payment amount
200375
Ignore posting sequence must be L, O, B or N
200376
Post short payments must be Y or N
200377
Exclude from auto nonaccrual must be Y or N
200378
Loan conversion date is less than the next business date
200379
Points paid by borrower must be Y or N
200380
Department code is not valid
200381
Demand/Student loan code is not valid
200382
Use payment suspense must be Y or N
200383
Use payment suspense only allowed for payment code 0 and 2 loans
200384
Use payment suspense must be Y when apply payments to past due/pre-paid is S
200385
Payments to use payment suspense must be L, S or B
200387
Pledge code is not valid
200388
SBA basis points must be greater than or equal to zero
200389
Number of borrowers must be 1 - 99
200390
First time home buyer must be Y, N or blank
200391
Year built is not valid
200392
Purchase price is not valid
200393
Monthly income is not valid
200394
Housing expense is not valid
200395
Debit expense is not valid
200396
HMDA status must be Y or N
200397
Second mortgage code must be Y, N or blank
200398
FHA/VA must F, V, B or blank
200399
Number of units must be zero or greater
200400
Occupancy code must be 1, 2, 3 or blank
200401
Project type is not valid
200402
Saleable code must be Y, N or blank
200403
Saleable code cannot be Y for payment code 6 loans
200404
Purpose/Property type is not set up in the parameters
200406
Loan purpose code must be 1, 2, 3 or blank
200407
Loan product code must be FX15, FX20, FX30, GL15, GL30 or blank
200408
Subordinated Financing must be Y or blank
200409
Documentation type is not valid
200410
Rate spread must be greater than or equal to zero
200411
HOEPA status must be Y, N or blank
200412
FHLB appraisal type must be 01, 02, 03, 04, 05, 06, 07, 08, 09, or blank
200413
Loan source must be R, B, C or blank
200414
Lending Catagory must be CV, HL, NO or blank
200415
Occupancy status must be N, U or blank
200416
Number of units must be D, M or blank
200417
Loan-to-Invoice is not valid
200418
200452
Coupon book will print for more than the remaining term
200457
Minimum payment amount cannot be less than minimum amount due to create a bill
200468
Cost center cannot be changed when branch & group follow account
200473
Amount different than loan type defaulted value
200474
Roll Due Date/Short Pmts/Payment code 6 must be L,O,B or N
200475
Accrue odd days 365 ibase must be B for Ibase 0, 4, 7 and 9
200476
Accrue odd days 365 ibase must be B, L, M or N
200477
Delinquent rate days cannot be negative
200478
Senior lien can not be zero if outsourced is Y
200489
SCRA send code is invalid
200490
Corresponding past due notice days must be less than
200507
User Status Code must exist
200584
Risk date cannot be greater than next processing date
200600
Must be D or M
200619
Payment code must be zero on an amortized loan
200706
Must be U, D, M, or blank
200710
Reporting method must be a U for specialty lending loan
200712
Tiered rate loan must be N for unit priced loans
200713
Tiered rate loan must be N for MPLOC loans
200731
Review day must be 29, 30, 31, or zero
200753
ARM/Rate Notice Type must be A, N, P, or R
200754
ARM/Rate Notice Type must be N or R when loan is not an ARM
200755
Initial ARM Notice Sent must be Y, N or X
200757
#Days for Initial ARM notice must be greater than 0
200758
#Days for Initial ARM notice must be 0 or greater
200759
Number of days for Initial ARM notice must be zero
200760
Number of days for Initial ARM notice exceeds loan type default
200762
Value not defined in the Qualified Mortgage Parm File
200763
Cannot enter a QRM code in the QM field
200764
Cannot enter a QM code in the QRM field
200768
This field not allowed on MPLOC type loans
200821
Cannot participate a loan with penalty APR
200823
Rate caps not valid, loan has a penalty APR
200824
Rounding method not valid, loan has a penalty APR
200825
Payment amount cap not valid, loan has a penalty APR
200826
Cannot reamortize, loan has a penalty APR
200827
Delinquent rate index cannot be used, loan has a penalty APR
200828
Delinquent rate cannot be used, loan has a penalty APR
200829
# days before rate change must be zero, loan has a penalty APR
200830
Penalty APR index number is invalid
200831
Penalty APR index number cannot be entered when penalty APR is used
200832
Invalid penalty APR
200833
Invalid days past due for penalty notice
200834
Number of days past due for penalty notice must be entered
200835
Invalid days after notice to apply penalty APR
200836
Number of days after notice to apply penalty APR must be entered
200837
Invalid penalty APR review term
200838
Penalty APR review term must be entered
200839
Penalty APR review term code must be entered
200840
Penalty APR review term code must be D or M
200863
Not allowed on Specialty Lending loans
200955
Universal Loan Identifier has been used previously
200973
Invalid Entry, Universal Loan Identifier already exists
200974
Invalid Check Digit
200975
Universal Loan Identifier is currently tied to a loan application
200987
Cannot attach loan when line is a commitment
201002
Not allowed on MPLOC loans
201127
Rate review date cannot be in the past
201284
Debt ratio not updated. Value can not exceed 99%.
201987
Rate review term and code must have a value when entering a rate review date.
201988
Rate review term must have a value when entering a rate review code.
201990
Using rate cap information, but no rate cap review date entered
201993
Rate Cap Review fields must be populated with Cap Date, Term, and Code
201994
Rate Cap Review Date is in the past
202016
Amortize thru date sent with differing values. Updated with xxxxxxxxxx
202017
Report to Credit Bureau must be Yes or No
202018
Report to Credit Bureau must be No. Loan type credit bureau type code invalid
202019
Additional input on core required before end of day processing for valid and suc
202025
Must be valid value 0-9
202026
Must be PT01, PT02, PT04, PT06, PT07, PT09, PT10, PT11, or blank
202046
Military APR covered loan must be Yes or No
202049
Invalid code must be Yes or No
202051
Field must be zero when send notice is N
202052
Field must be zero for payment code 6 loans
202053
Field must be zero for MPLOC loan
202054
Field must be zero when using alternate payment schedule
202055
Day of month must be 0 thru 31
202056
Day of month must be zero for frequency code S or D loans
202057
Day of month must be 0 if using number of days before pay date to print bill
202058
Valid entries are 0,1,2, and 3
202059
Entry not allowed for loan type
202060
Interest Base invalid for Payment Code 6 loan
202061
Valid entries are 4, 5 or 7
202062
Entry not allowed when loan type calculates interest using ibase 3 method
202063
Interest Base Invalid when Accrual Billing method is Billing Date
202073
Must be Zero when Send Bill Regardless of Due Date is Yes
202074
Send Billing Notice is invalid for Payment Code 6
202075
Send payment billings is not valid for loan
202078
Valid values are 0-9999
202124
Property Description sent without Priority Sequence
202125
Property Description Priority Sequence must be between 1 and 3
202126
Same Property Description Priority Sequence sent more than once
202127
Type using Auto Shadow. Recourse code can cause undesireable balancing results
202128
Automatic Shadow at type level does not apply when loan is a participation
202130
Automatic Shadow at type level does not apply for Saleable Loans
202131
Must be Yes, No or Override
202132
Must be No, Calendar, Before Business Day, or After Business Day
202136
Must be No when Open End Non-Real Estate Secured Product is Yes at Loan Type
202137
Invalid if Non-Business Day Rate Review Code and Business/Calendar Days Rate Loo
202139
Rate Lookback Notice invalid if Open End Non-Real Estate Secured is Yes at Loan
202140
Must be No if Rate Review Date does not exist
202143
Restructured Debt Flag is Yes but Restructured Date is Blank
202144
Restructured Debt Flag is No but Restructured Date is not Blank
202152
Pre-Payment Penalty Start Date is less than Loan Origination Date
202153
Pre-Payment Penalty Start Date is greater than Loan Maturity Date
202154
Pre-Payment Penalty Expiration Date is less than Loan Origination Date
202155
Pre-Payment Penalty Expiration Date is greater than Loan Maturity Date
202156
Pre-Payment Penalty Date exist with no Prepayment Penalty Code
202157
Pre_Payment Penalty Expiration Date is less than Prepayment Penalty Start Date
202159
Rate lookback days not supported with Tiered Rates
202160
Rate lookback days not supported with Payment code 6 loans
202161
Rate Lookback Days only valid on Daily Variable or Back Date Rate Change Loans
202162
Lookback days must be less than 30 calendar days or 20 business days
202165
Lookback basis type must be populated when using lookback days
202166
Lookback basis type must be Business or Calendar days
202167
Back Date Rate Change Type must be Yes or No
202168
Master parameter Rate Index Type value does not match loan value
202169
Back Date Rate Change Type; Rate Term/Code must match Loan Term/Code
202170
Back Date Rate Change Type cannot be Yes if no rate review date
202171
Back Date Rate Change Type; Rate Review Date cannot be greater than Maturity
202172
Loan must use 1 or greater Lookback Days to use Back Date Rate Change Type
202173
Back Date Rate Change Type only valid with Business Day Lookback Basis
202174
Back Date Rate Change Type only valid with Payment Code 0,1,2 or 5 Loans
202175
Back Date Rate Change Type only valid with Zero Days for Rate Notice
202176
Back Date Rate Change Type is Yes, Billing Days is Ignored
202177
Back Date Rate Change Type must be Yes to use factor index fields
202178
Rate Index Type must be Index or Rate
202179
Beginning Factor Index must be greater than .9 and less than 2
202181
Rate Index Type must be Index for loan to have a Beginning Factor Index
202182
Loan must have Rate Review Date to use Index as Rate Index Type
202183
Beginning Factor Index Date/Value out of sync from rate history file
202184
Beginning Factor Index Date must be a business day
202186
Rate Index Type is Index, loan must have a Beginning Factor Index Date
202187
Beginning Factor Index Date cannot be greater than Maturity
202188
Unable to set Beginning Factor Index Date and Value; must be entered manually
202196
Back Date Rate Change; Rate Term/Code must match Payment Term/Code & be Monthly
202213
Keep Protection Balance 0 not applicable for Non-Payment code 6 Loan.
202214
Take payment if NSF not applicable for Non-Payment code 6 Loan.
202224
Rate is greater than 100%.
202225
Credit Life Rate Factor is greater than 100%.
202226
A&H Rate Factor is greater than 100%.
202227
Unemployment Rate Factor is greater than 100%.
202228
Rate Floor is greater than 100%.
202229
Rate Ceiling is greater than 100%.
202230
% of Balance to Ream greater than 100%.
202231
Original Index is greater than 100%.
202232
Funding Split % is greater than 100%.
202233
Round To Amount is greater than 100%.
202234
Rate Cap Upward is greater than 100%.
202235
Rate Cap Downward is greater than 100%.
202236
Payment Amount Cap % is greater than 100%.
202237
Maturity rate is greater than 100%.
202238
Delinquent rate is greater than 100%.
202239
Dealer rate is greater than 100%.
202240
Dealer Upfront % is greater than 100%.
202241
Dealer Reserve % is greater than 100%.
202242
Recourse Percent is greater than 100%.
202243
Penalty APR is greater than 100%.
202251
Loan To Value Ratio is greater than 100%.
202252
Combined LTV Ratio is greater than 100%.
202253
Mortgage Insurance % is greater than 100%.
202254
SBA Guarantee % is greater than 100%.
202255
Yearly Payment increase % greater than 100%.
202256
Loan to Invoice Ratio is greater than 100%.
202257
CRE Occupation Fraction is greater than 100%.
202258
Cap Rate is greater than 100%.
202259
Actual Avg Lease Rate greater than 100%.
202260
Actual Vacancy Rate greater than 100%.
202291
Periodic Rate Cap is greater than 100%.
202292
Periodic Rate Cap not valid for Spec Lending, MPLOC, Dealer F/P or Unit Loans.
202293
Periodic Rate Cap is invalid when Rate Cap Upward is zero.
202304
Unit description cannot be blank
202333
Unit description must be blank
202334
Unit Reporting Method not valid for loan type
202335
Tiered rate loan must be N for Dealer Floor Plan loans
202336
Tiered rate loan must be N on Specialty Lending loans
202337
Invalid Credit Line. Line type for MPLOC must be 1 or 2.
202338
Credit Line is attached to another loan and cannot be added to a MPLOC loan.
202339
Rate Notice Type must be Y or N for MPLOC Accounts
261201
Accrual billing method is invalid
261202
Payment code 6, Accrual billing method must be Billing Date
290050
Existing tiered rate loan, cannot be changed to this loan type
290051
Cannot have ARM information with a tiered rate type
290052
Cannot re-amortize with a tiered rate type
290053
Cannot have past due rate with a tiered loan
290054
Prime rate number must be used with tiered rate type
290055
Tiered rate not allowed for participated accounts
290057
Tiered rates not allowed for saleable loan
290058
Tiered rate not allowed for convertible loan
290060
At least two tiers required for tiered rate loans
290061
Invalid balance, must be prior balance
290062
Tiered rate must be Y to have rates/balances
290063
Tiered rate must be N to have rate review date
290064
Tiered rate not allowed for specified interest base
290100
Prepayment penalty code not allowed with this curtailment/recoupment penalty
290101
Taking accrued interest to date is not valid with syndicated loans
290102
Invalid curtailment/recoupment code
290103
Curtailment/recoupment penalty code is invalid for participation code S loans
290104
Curtailment/recoupment penalty code not valid for ibase 9 loans
290105
Curtailment/recoupment penalty code not valid for payment code 6 loans
290106
This curtailment/recoupment penalty not allowed with prepayment penalty
290107
Curtailment/recoupment penalty code not valid with cycled loans
290108
Curtailment/recoupment penalty code not valid with syndicated loans
290109
Penalty start date is not valid for participation id S loans
290110
Penalty renewal date is not valid for participation id S loans
290111
Penalty expiration date is not valid for participation id S loans
290112
Penalty renewal code is not valid for participation id S loans
290114
Recoupment penalty pass to this loan must be blank
290115
Recoupment penalty percentage to pass to this loan must be blank
290116
Penalty start date is not valid
290117
Penalty start date is equal to maturity date
290118
Penalty start date cannot be before origination date
290119
Penalty renewal date is not valid
290120
Penalty renewal date is before penalty start date
290121
Penalty renewal date must have penalty renewal frequency
290122
Penalty renewal date must be entered when renewal frequency is entered
290123
Penalty expiration date is not valid
290124
Penalty renewal frequency must be entered with renewal frequency code
290125
Expiration date cannot be less than or equal to start date
290126
Curtailment penalty pass to this loan must be N for this penalty type
290127
Recoupment penalty pass to this loan must be N for this penalty type
290128
Recoupment penalty percentage to pass to this loan must be zero
290129
Recoupment penalty percentage only valid with D penalty type
290130
Invalid recoupment penalty percentage to pass to this loan
290131
Recoupment penalty percentage to pass cannot be more than 100%
290133
Penalty renewal frequency is not valid for participation id S loans
290134
Curtailment/recoupment penalty code not defined for other penalty fields
290135
Curtailment penalty pass to this loan must be blank
290436
Field not updated. Line is associated with a Multi-Level Lending structure
290453
Negative Amortization Cap must be zero or greater than 100 percent
290464
Rate Review Term must be entered when using Rate Review Date and Term Code
290465
Rate Review Date and Term must be entered when using Rate Review Term Code
400048
NAICS code is not valid
500127
Not allowed on Specialty Lending Main loan / Unit number zero.
700021
Late charge type is invalid
901015
Invalid value. Must be Y or N.
700000
Box does not exist
700005
Invalid rental rate number
700006
Rental amount is not equal to the rental rate number amount
700007
Invalid cost center
700008
Invalid product code
700009
Invalid due date
700010
Invalid date opened
700011
Date opened cannot be in the future
700013
Discount amount and discount percentage cannot both be populated
700014
Discount percentage cannot exceed 100 percent
700015
Charge code must be C, M, or N
700016
Charge account and type must be entered when charge code is C
700017
If charge account or charge type are entered, then charge code must be C
700018
Account to charge in invalid
700019
Sales tax exempt code must be Y or N
700020
Restricted entry code must be D, H, O, P, R, or blank
700022
Security override must be B, A, N, E, or blank
700023
Discount amount cannot be greater than the rental amount
700028
Signature verification must be Y or N
700029
Account type to charge must be D, S, or blank
700047
Rent amount has changed by discount amount
700048
Rent amount has changed by discount percent
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Last updated Fri Dec 13 2024