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Other Liabilities (Tables)
6 Months Ended
Jun. 30, 2014
Other Liabilities Disclosure [Abstract]  
Schedule of Other Liabilities
Other liabilities were comprised of the following at the dates indicated:
 
June 30, 2014
 
December 31, 2013
Liability for indemnification obligations (1)
$
151,680

 
$
192,716

Accrued expenses
105,135

 
108,870

Payable to loan servicing and subservicing investors
63,396

 
33,501

Due to related parties (2)
34,314

 
77,997

Liability for selected tax items
28,659

 
27,273

Checks held for escheat
20,528

 
24,392

Liability for certain foreclosure matters (3)

 
66,948

Additional purchase price due seller - ResCap Acquisition (4)

 
54,220

Other
71,272

 
58,678

 
$
474,984

 
$
644,595


(1)
See Note 20 – Commitments and Contingencies for additional information.
(2)
See Note 18 – Related Party Transactions for additional information.
(3)
This liability was settled in May 2014. See Note 20 – Commitments and Contingencies for additional information regarding the National Mortgage Settlement.
(4)
See Note 3 – Business Acquisitions for additional information.