GS Mortgage-Backed Securities Trust 2025-NQM2

Exhibit 99.1 - Schedule 7

 

GS Loan Number Seller Loan ID Field ID Original Field Value Audit Value Data Compare
710000020 XXXXX Original Appraised Property Value XXX XXX As is value versus purchase price
710000020 XXXXX DSCR XXX XXX $XXX gross rents / XXX PITIA = XXX DSCR
710000020 XXXXX NON QM Months Reserves XXX XXX Months reserves based on funds to close in file
710000022 XXXXX First Payment Date XX/XX/XXXX XX/XX/XXXX FALSE
710000022 XXXXX Property Value XXX XXX FALSE
710000026 XXXXX Property Value XXX XXX FALSE
710000026 XXXXX Qualifying All Borrower Residual Income XXX XXX FALSE
710000036 XXXXX Loan Program Non QM Investor Acquisition Flex Matrices Flex Select Prime 30 Year Fixed - NON QM FALSE
710000036 XXXXX Application Date XX/XX/XXXX XX/XX/XXXX FALSE
710000036 XXXXX Property Value XXX XXX FALSE
710000036 XXXXX Verified Doc Type 12 Month Bank Statement ALT DOC FALSE
710000036 XXXXX Qualifying Total Reserves Number of Months XXX XXX FALSE
710000036 XXXXX Qualifying All Borrower Residual Income XXX XXX FALSE
710000024 XXXXX Loan Program Non QM Investor Acquisition Flex Matrices Flex Select Prime 30 Year Fixed - NON QM FALSE
710000024 XXXXX Application Date XX/XX/XXXX XX/XX/XXXX FALSE
710000024 XXXXX Verified Doc Type 12 Month Bank Statement ALT DOC FALSE
710000024 XXXXX Qualifying Total Reserves Number of Months XXX XXX FALSE
710000024 XXXXX Qualifying All Borrower Residual Income XXX XXX FALSE
710000018 XXXXX Origination_Date XX/XX/XXXX XX/XX/XXXX Per Note
710000032 XXXXX Original LTV XXX XXX $XXXXXX loan amount / $XXX qualifying value = XXX% LTV. Property was listed for sale in the past 6 months and was withdrawn on XX/XX/XXXX with a recent listing price of $XXX.