Jump to content

Search the Community

Showing results for tags 'insert a'.

  • Search By Tags

    Type tags separated by commas.
  • Search By Author

Content Type


Forums

  • Intro & News
    • Please Read Before Posting - NEWBIES START HERE
    • CB gets Press!
    • CreditBoards Success Stories
    • Newbies Section
  • Creditboards Main Forums
    • Credit Forum
    • Medical Billing & Medical Collections
    • Bankruptcy
    • Foreclosures/Loan Modifications
    • Chexsystems Help
    • Debt Consolidation, Counseling and Management
    • Military Credit
    • Canadian Credit
  • Financing
    • Mortgages
    • Automotive Financing
    • Student Loans
    • Business Credit
  • Money Management
    • Money Management
  • Special Topics
    • VISA MC policies
  • Resources
    • Laws Laws Laws
    • Where can I Find?
    • CaseLaw
    • State Laws
    • Debt Collector Hall of Shame
    • Identity Theft
    • CreditPulls Database
    • Databases and Reference
    • Sample Letters
  • Misc.
    • General Discussion

Find results in...

Find results that contain...


Date Created

  • Start

    End


Last Updated

  • Start

    End


Filter by number of...

Joined

  • Start

    End


Group


Website URL


ICQ


Jabber


Skype


Location


Interests


Member Title

Found 1 result

  1. Hi Whychat. Followed all the steps. After receiving verification and matching to my EOMB's I paid the OC with the insert A letter. I hand printed that the bank check was payable only to the OC. Received a letter from the CA stating that they were in receipt of payment and that the CA was payed in full and the CRA's would be notified accordingly. I have not had confirmation yet that the bank check was cashed so have not sent any addl letters to CRA or OC. Funny thing is that the date of the letter from the CA is the same day as the OC received the certified mail with the check.... Does the OC forwarding the $$$ to the CA change my next steps? Thank you for all of this knowledge and assistance. It is appreciated greatly.
×
×
  • Create New...

Important Information

Guidelines