Reconciliation, Post Funding & Escheat Management

Under the Safe Escrow model, Title Agent is able to focus energies on Sales and Customer Service (Step 1):

  • Safe Escrow prepares and manages daily and monthly 3-way reconciliations on its bank accounts and provides reconciliation reports to the underwriter and/or state, per requirements
  • Safe Escrow processes post funding refunds, voids and reissuances of checks
  • Safe Escrow  prepares all outstanding check notifications, as required
  • Safe Escrow monitors all escheatable funds and prepares pre-escheat notification letters
  • Safe Escrow remits escheated funds per state timelines and requirements

Imagine a new way to fund.

Learn how Safe Escrow eliminates the burden of managing your own escrow accounts.