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Other Liabilities - Schedule of Other Liabilities (Details) - USD ($)
$ in Thousands
Sep. 30, 2022
Dec. 31, 2021
Other Liabilities Disclosure [Abstract]    
Contingent loan repurchase liability $ 249,755 $ 403,740
Due to Rithm - Advance collections, servicing fees and other 80,438 76,590
Other accrued expenses 80,138 104,931
Liability for indemnification obligations 52,489 51,243
Checks held for escheat 49,527 44,866
Accrued legal fees and settlements 47,102 43,990
Servicing-related obligations 37,583 32,366
Derivative related payables 24,894 3,714
Derivatives, at fair value 23,704 3,080
MSR purchase price holdback 16,402 32,620
Lease liability 15,836 16,842
Liability for uncertain tax positions 11,587 14,730
Accrued interest payable 9,206 11,998
Liability for unfunded India gratuity plan 5,885 6,263
Due to MAV 3,649 2,134
Liability for unfunded pension obligation 3,115 4,183
Other 9,802 14,224
Total other liabilities $ 721,112 $ 867,514