
At Stateside, we begin by understanding client objectives, portfolio characteristics, and disposition strategy. We collaborate with stakeholder teams to design a compliant and efficient listing, marketing, and liquidation plan tailored to your asset mix, timelines, and investor requirements. As a licensed national brokerage, we support REO, short payoff, rental portfolio, and NPL exit pipelines with structured reporting, vetted vendors, and disciplined execution to maximize recovery and operational performance.
Looking for a strategic partner to optimize your disposition strategy?
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Stateside partners with servicers and investors to enhance portfolio performance through process assessment, operational alignment, and recoverability improvement. We evaluate investor requirements, internal workflows, and claim protocols to identify gaps and missed recovery opportunities. Our team collaborates across servicing, accounting, and default management to implement targeted process enhancements—aligning operations with investor SLAs for greater consistency, compliance, and measurable results.
The outcome is a streamlined, audit-ready platform that minimizes curtailments, improves reimbursement accuracy, and maximizes recoveries across FHA, VA, FNMA, FHLMC, and private investor portfolios..
Want to improve recoveries and reduce avoidable losses?
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Stateside delivers full-cycle default management and claims support for servicers focused on accuracy, compliance, and timely recovery. Our team manages audit preparation, documentation, and reimbursement across FHA, VA, FNMA, FHLMC, and private investor portfolios—covering Part A/B, Supplemental, and Loss Mitigation claims from pre-foreclosure through conveyance or sale. Our nationwide network of licensed Real Estate agents and field partners provides seamless coverage for No Contact Customers, borrower outreach, modifications, short sales, and property coordination—offering a comprehensive solution for all your default management challenges..
Want to improve recoveries and reduce avoidable losses?
Learn More

We begin by understanding operational workflows, existing systems, and modernization objectives. Together with client stakeholders, we develop an integration and automation roadmap — including pilot environment support — to reduce manual friction, improve data flow, and enhance servicing infrastructure. Stateside advises on SaaS platforms, automation tools, document processing, and servicing system enhancements to build scalable, compliant, and future-ready operations.
Looking to modernize technology and streamline workflow automation?
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Stateside first aligns with investor and asset management teams to understand risk profiles, performance targets, return expectations, and portfolio objectives. From there, we develop a valuation and oversight framework with clearly defined SLAs, governance standards, and quality controls—ensuring accuracy, consistency, and transparency across performing, non-performing, rental, and REO assets. Our structured approach strengthens decision-making, capital deployment, loss forecasting, and asset-level accountability — providing reliable insight and disciplined execution across the asset lifecycle.
Ready to elevate valuation accuracy and portfolio intelligence?
Learn More

At Stateside, we begin by understanding client objectives, portfolio characteristics, and disposition strategy. We collaborate with stakeholder teams to design a compliant and efficient listing, marketing, and liquidation plan tailored to your asset mix, timelines, and investor requirements. As a licensed national brokerage, we support REO, short payoff, rental portfolio, and NPL exit pipelines with structured reporting, vetted vendors, and disciplined execution to maximize recovery and operational performance.
Looking for a strategic partner to optimize your disposition strategy?
Learn More

Stateside partners with servicers and investors to enhance portfolio performance through process assessment, operational alignment, and recoverability improvement. We evaluate investor requirements, internal workflows, and claim protocols to identify gaps and missed recovery opportunities. Our team collaborates across servicing, accounting, and default management to implement targeted process enhancements—aligning operations with investor SLAs for greater consistency, compliance, and measurable results.
The outcome is a streamlined, audit-ready platform that minimizes curtailments, improves reimbursement accuracy, and maximizes recoveries across FHA, VA, FNMA, FHLMC, and private investor portfolios..
Want to improve recoveries and reduce avoidable losses?
Learn More

Stateside delivers full-cycle default management and claims support for servicers focused on accuracy, compliance, and timely recovery. Our team manages audit preparation, documentation, and reimbursement across FHA, VA, FNMA, FHLMC, and private investor portfolios—covering Part A/B, Supplemental, and Loss Mitigation claims from pre-foreclosure through conveyance or sale. Our nationwide network of licensed Real Estate agents and field partners provides seamless coverage for No Contact Customers, borrower outreach, modifications, short sales, and property coordination—offering a comprehensive solution for all your default management challenges..
Want to improve recoveries and reduce avoidable losses?
Learn More

We begin by understanding operational workflows, existing systems, and modernization objectives. Together with client stakeholders, we develop an integration and automation roadmap — including pilot environment support — to reduce manual friction, improve data flow, and enhance servicing infrastructure. Stateside advises on SaaS platforms, automation tools, document processing, and servicing system enhancements to build scalable, compliant, and future-ready operations.
Looking to modernize technology and streamline workflow automation?
Learn More

Stateside first aligns with investor and asset management teams to understand risk profiles, performance targets, return expectations, and portfolio objectives. From there, we develop a valuation and oversight framework with clearly defined SLAs, governance standards, and quality controls—ensuring accuracy, consistency, and transparency across performing, non-performing, rental, and REO assets. Our structured approach strengthens decision-making, capital deployment, loss forecasting, and asset-level accountability — providing reliable insight and disciplined execution across the asset lifecycle.
Ready to elevate valuation accuracy and portfolio intelligence?
Learn More