MPF Xtra® Training:Retained


Investor Reporting

Familiarize yourself with required forms and due dates for monthly reporting.

How it Works

  1. Contact your MPF® Training team for investor reporting training.

  2. Visit the Welcome Center.

    It provides valuable information on MPF processes to assist in managing your MPF portfolio, with access to resources and information featuring custody, servicing, investor accounting, quality control and default management.

  3. Reconcile your Custodial Account.

    Custodial accounts are to be balanced to zero after each month end. As part of the balancing process, you will need access to the account statement for the P&I funds sent to the MPF Provider's eBanking website. See instructions for eBanking Access for PFIs.