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 Property was listed for sale in the past 6 months and was withdrawn on XX/XX/XXXX with a recent listing price of $XXX. |