7.8.3 Itemization Sub Tab

The Itemizations sub screen enables you to add or verify any itemized amounts associated with the application. The list of itemizations is determined by the product you selected in the master screen during the application entry process. The Itemizations sub screen displays an itemization record of the amount financed, such as the cash price, cash down payment, trade-in, unpaid cash price balance and so on. Information that was entered on the Itemization sub screen during the application entry process will appear in the Requested Amt column. Information that you enter as an underwriter in the Approved Amt column will appear in the Itemizations sub screen on the Underwriting screen.

To add or view itemizations
  1. Open the Underwriting screen and load the underwriting application you want to work with.
  2. Click Decision > Itemizations sub tab.
  3. Perform any of the Basic Operations mentioned in Navigation chapter.
    A brief description of the fields is given below:

    Table 7-32 Itemization

    Field Do this
    Itemization View the itemization.
    +/- View whether the itemized amount is added or subtracted from the Lease amount.
    Requested Amt Specify the requested amount.
    Approved Amt Specify the approved amount.
    Discount Rate Specify the discount rate.
    Comment Specify a comment.
  4. Perform any of the Basic Actions mentioned in Navigation chapter.