FIRST BANK CORPORATE CARD MASTER TRUST
8-K, 1999-04-14
ASSET-BACKED SECURITIES
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<PAGE>






                                   UNITED STATES
                         SECURITIES AND EXCHANGE COMMISSION
                                          
                              Washington, D.C.   20549
                                          
                                      FORM 8-K
                                          
                                   CURRENT REPORT
                                          
                          PURSUANT TO SECTION 13 or 15(d)
                                          
                       OF THE SECURITIES EXCHANGE ACT OF 1934





          Date of report (Date of earliest event reported):  APRIL 14, 1999
                                                          ---------------


                        FIRST BANK CORPORATE CARD MASTER TRUST
                        --------------------------------------
                (Exact name of registrant as specified in its charter)


       UNITED STATES                  000-22781                41-1881896
       -------------                 -----------               ----------
(State or other jurisdiction         (Commission            (I.R.S. Employer
     of Incorporation)               File Number)           Identification No.)


               4325 17TH AVENUE S.W. FARGO, NORTH DAKOTA           58103
               ------------------------------------------------------------
               (Address of principal executive offices)          (Zip Code)


          Registrant's telephone number, including area code:    701-461-3468
                                                                 ------------


                                  (NOT APPLICABLE)
                                  ---------------
           (Former name or former address, if changed since last report)

<PAGE>

Item 5.   OTHER EVENTS

          Pursuant to the Pooling and Servicing Agreement, dated as of February
          1, 1997 (the "Agreement"), among U.S. Bank National Association ND, as
          Transferor, U.S. Bank Card Services, Inc., as Servicer, and Citibank,
          N.A., as Trustee on behalf of the Certificateholders of the First Bank
          Corporate Card Master Trust, as supplemented by the Series 1997-1
          Supplement thereto, dated as of February 27, 1997, the Servicer has
          prepared and delivered to the Trustee the monthly servicer's
          certificate with respect to the Interest Payment Date of April 15,
          1999, which monthly servicer's certificate is attached hereto as
          Exhibit 99.

Item 7.   FINANCIAL STATEMENTS AND EXHIBITS

          (c.) Exhibits (filed herewith)
               Exhibit 99  Monthly Servicer's Certificate dated April 13, 1999.



                                     SIGNATURE



Pursuant to the requirements of the Securities Exchange Act of 1934, the
registrant has duly caused this report to be signed on its behalf by the
undersigned hereunto duly authorized.


                         FIRST BANK CORPORATE CARD MASTER TRUST
                         By U.S. BANK NATIONAL ASSOCIATION ND, as Originator

                         By   /s/ David P. Grandstrand
                              David P. Grandstrand
                              Senior Vice President & Treasurer




DATE:  April 14, 1999
       --------------


<PAGE>

                       FORM OF SERIES 1997-1 CERTIFICATEHOLDERS' STATEMENT

                                U.S. BANK NATIONAL ASSOCIATION ND
                      ----------------------------------------------------
                             FIRST BANK CORPORATE CARD MASTER TRUST
                      ----------------------------------------------------

     The information which is required to be prepared with respect to the
     Distribution Date of April 15, 1999 and with respect to the performance of
     the Trust during the related Collection Period(s).

     Capitalized terms used in this Statement have their respective meanings set
     forth in the Pooling and Servicing Agreement.

<TABLE>
<CAPTION>

                                                                                                                April 15, 1999
<S>                                                                                                            <C>
A.   INFORMATION REGARDING THE CURRENT DISTRIBUTION (STATED ON THE BASIS OF $1,000 ORIGINAL
     CERTIFICATE PRINCIPAL BALANCE)

     1.  Class A Monthly Principal                                                                             $              -
                                                                                                               -----------------

     2.  Class B Monthly Principal                                                                             $              - 
                                                                                                               -----------------

     3.  Collateral Monthly Principal                                                                          $              - 
                                                                                                               -----------------

     4.  Class A Monthly Interest                                                                              $              - 
                                                                                                               -----------------

     5.  Class A Deficiency Amounts                                                                            $              - 
                                                                                                               -----------------

     6.  Class A Additional Interest                                                                           $              - 
                                                                                                               -----------------

     7.  Class B Monthly Interest                                                                              $              - 
                                                                                                               -----------------

     8.  Class B Deficiency Amounts                                                                            $              - 
                                                                                                               -----------------

     9.  Class B Additional Interest                                                                           $              - 
                                                                                                               -----------------

     10.  Collateral Monthly Interest                                                                          $           4.55
                                                                                                               -----------------

     11.  Accrued and unpaid Collateral Monthly Interest                                                       $              -
                                                                                                               -----------------

B.   INFORMATION REGARDING THE PERFORMANCE OF THE TRUST

1.   Principal Collections
     (a)  Principal Collections allocated to the Class A Certificates                                          $ 381,758,717.45
                                                                                                               -----------------

     (b)  Principal Collections allocated to the Class B Certificates                                          $   6,091,894.43
                                                                                                               -----------------

     (c)  Principal Collections allocated to the Collateral Investor Interest                                  $  18,275,683.28
                                                                                                               -----------------

2.   Trust Principal Component

<PAGE>

     (a)  Trust Principal Component as of the end of the related Collection Period(s)                          $ 627,043,016.29
                                                                                                               -----------------

     (b)  Series 1997-1 Invested Amount as of the end of the related Transfer Date(s)                          $ 420,000,000.00
                                                                                                               -----------------

     (c)  Series 1997-1 Adjusted Invested Amount as of the end of the related Transfer Date(s)                 $ 420,000,000.00
                                                                                                               -----------------

     (d)  Class A Invested Amount as of the end of the related Transfer Date(s)                                $ 394,800,000.00
                                                                                                               -----------------

     (e)  Class A Adjusted Invested Amount as of the end of the related Transfer Date(s)                       $ 394,800,000.00
                                                                                                               -----------------

     (f)  Class B Invested Amount as of the end of the related Transfer Date(s)                                $   6,300,000.00
                                                                                                               -----------------

     (g)  Collateral Invested Amount as of the end of the related Transfer Date(s)                             $  18,900,000.00
                                                                                                               -----------------

     (h)  Floating Allocation Percentage with respect to the related Collection Period(s)                                 66.56%
                                                                                                               -----------------

     (i)  Class A Floating Percentage with respect to the related Collection Period(s)                                    62.57%
                                                                                                               -----------------

     (j)  Class B Floating Percentage with respect to the related Collection Period(s)                                     1.00%
                                                                                                               -----------------

     (k)  Collateral Floating Percentage with respect to the related Collection Period(s)                                  3.00%
                                                                                                               -----------------

     (l) Fixed Allocation Percentage with respect to the related Collection Period(s)                                        N/A
                                                                                                               -----------------

     (m) Class A Fixed Percentage with respect to the related Collection Period(s)                                           N/A
                                                                                                               -----------------

     (n) Class B Fixed Percentage with respect to the related Collection Period(s)                                           N/A
                                                                                                               -----------------

     (o) Collateral Fixed Percentage with respect to the related Collection Period(s)                                        N/A
                                                                                                               -----------------
</TABLE>

3.   Delinquent Balances
     The aggregate amount of outstanding balances in the Accounts which were 
     delinquent as of the end of the day on the last day of the related 
     Collection Period(s):

<TABLE>
<CAPTION>

                                                                                                               Aggregate Account
                                                                                                                    Balance
                                                                                                             --------------------
                              <S>                                                                            <C>
                              (a) 30-59 days:                                                                     $4,720,335.84
                              (b) 60-89 days:                                                                     $1,348,215.21
                              (c) 90-119 days:                                                                      $441,178.41
                              (d) 120-149 days:                                                                           $0.00
                              Total:                                                                              $6,509,729.46

<CAPTION>

                                                                                                                 Percentage of
                                                                                                               Total Receivables
                                                                                                             ---------------------
                              <S>                                                                            <C>
                              (a) 30-59 days:                                                                              0.74%
                              (b) 60-89 days:                                                                              0.21%
                              (c) 90-119 days:                                                                             0.07%
                              (d) 120-149 days:                                                                            0.00%
                              Total:                                                                                       1.02%
</TABLE>

<PAGE>

<TABLE>
<CAPTION>

<S>                                                                                                            <C>
4.   Investor Default Amount
     (a) Investor Default Amount for the related Collection Period(s)                                          $     167,731.44
                                                                                                               -----------------

     (b) Class A Investor Default Amount for the related Collection Period(s)                                  $     157,667.56
                                                                                                               -----------------

     (c) Class B Investor Default Amount for the related Collection Period(s)                                  $       2,515.97
                                                                                                               -----------------

     (d) Collateral Investor Default Amount for the related Collection Period(s)                               $       7,547.91
                                                                                                               -----------------

5.   Investor Charge-Offs
     (a) Aggregate Class A Investor Charge-Offs for the related Collection Period(s)                           $              -
                                                                                                               -----------------

     (b) Class A Charge-Offs per $1,000 of original Certificate Principal Balance                              $              -
                                                                                                               -----------------

     (c) Aggregate Class B Investor Charge-Offs for the related Collection Period(s)                           $              -
                                                                                                               -----------------

     (d) Class B Charge-Offs per $1,000 of original Certificate Principal Balance                              $              -
                                                                                                               -----------------

     (e) Aggregate Collateral Investor Charge-Offs for the related Collection Period(s)                        $              -
                                                                                                               -----------------

     (f) Collateral Charge-Offs per $1,000 of original Certificate Principal Balance                           $              -
                                                                                                               -----------------

     (g) Aggregate Class A Investor Charge-Offs reimbursed on the related Transfer Date(s)                     $              -
                                                                                                               -----------------

     (h) Class A Investor Charge-Offs reimbursed per $1,000 of original Certificate Principal Balance          $              - 
                                                                                                               -----------------

     (i) Aggregate Class B Investor Charge-Offs reimbursed on the related Transfer Date(s)                     $              - 
                                                                                                               -----------------

     (j) Class B Investor Charge-Offs reimbursed per $1,000 of original Certificate Principal Balance          $              - 
                                                                                                               -----------------

     (k) Aggregate Collateral Investor Charge-Offs reimbursed on the related Transfer Date(s)                  $              - 
                                                                                                               -----------------

     (l) Collateral Investor Charge-Offs reimbursed per $1,000 of original Certificate Principal Balance       $              - 
                                                                                                               -----------------

6.   Monthly Investor Servicing Fee
     (a) Class A Servicing Fee payable for the related Collection Period(s)                                    $     329,000.00
                                                                                                               -----------------

     (b) Class B Servicing Fee payable for the related Collection Period(s)                                    $       5,250.00
                                                                                                               -----------------

     (c) Collateral Servicing Fee payable for the related Collection Period(s)                                 $      15,750.00
                                                                                                               -----------------

<PAGE>

7.   Reallocations
     (a) Reallocated Collateral Principal Collections with respect to the related Collection Period(s)         $              - 
                                                                                                               -----------------

     (b) Reallocated Class B Principal Collections with respect to the related Collection Period(s)            $              - 
                                                                                                               -----------------

     (c) Collateral Invested Amount as of this Distribution Date                                               $  18,900,000.00
                                                                                                               -----------------

     (d) Class B Invested Amount as of this Distribution Date                                                  $   6,300,000.00
                                                                                                               -----------------

8.   Yield Collections and Net Interchange
     (a)  Aggregate Yield Collections (including Net Interchange) processed during the related 
          Collection Period allocated in respect of the Class A Investor Certificate                           $  14,771,213.49
                                                                                                               -----------------

     (b)  Aggregate Yield Collections (including Net Interchange) processed during the related 
          Collection Period allocated in respect of the Class B Investor Certificate                           $     235,710.85
                                                                                                               -----------------

     (c)  Aggregate Yield Collections (including Net Interchange) processed during the related 
          Collection Period allocated in respect of the Collateral Investor Certificate                        $     707,132.56
                                                                                                               -----------------

9.   Principal Funding Amount
     (a) Principal amount in Principal Funding Account on the related Transfer Date                            $              -  
                                                                                                               -----------------

     (b) Deficit Controlled Accumulation Amount with respect to the related Collection Period(s)               $              -  
                                                                                                               -----------------

     (c) Principal Funding Investment Proceeds deposited in the Collection Account on the 
         related Transfer Date(s)                                                                              $              -
                                                                                                               -----------------

     (d) Reserve Draw Amount deposited in the Collection Account on the related 
         Transfer Date(s) from the Reserve Account                                                             $              -  
                                                                                                               -----------------

10.  Reserve Draw Amount on the related Transfer Date(s)                                                       $              -  
                                                                                                               -----------------

11.  Overconcentration Draw Amount on the related Transfer Date(s)                                             $              -
                                                                                                               -----------------

12.  Available Funds
     (a) Class A Available Funds on deposit in the Collection Account on the related Transfer Date(s)          $  14,552,225.99
                                                                                                               -----------------

     (a) Class B Available Funds on deposit in the Collection Account on the related Transfer Date(s)          $     232,216.37
                                                                                                               -----------------

<PAGE>

     (a) Collateral Available Funds on deposit in the Collection Account on the related Transfer Date(s)       $     696,649.12
                                                                                                               ----------------- 

13.  Portfolio Yield and Base Rate
     (a) Portfolio Yield for the related Collection Period                                                                23.20%
                                                                                                               -----------------

     (b) Base Rate for the related Collection Period                                                                       7.36%
                                                                                                               -----------------

14.  Monthly Payment Rate

15.  Principal Payment Rate

16.  Gross Losses as a Percentage of Charge Volume & Fees

17.  Minimum Transferor's Percentage
</TABLE>

     U.S. Bank Card Services, Inc.
     Servicer

     By:/s/Charles W. Devens
     ------------------------
     Name:  Charles W. Devens

     Title: Vice President





<TABLE>
                                                                             <S>                                            <C>
                                                                             Class A Bonds                                  394,800
                                                                             Class B Bonds                                    6,300
                                                                             CIA Bonds                                       18,900
</TABLE>

<PAGE>

                  SCHEDULE TO MONTHLY SERVICER'S CERTIFICATE
                   COLLECTION PERIOD ENDING MARCH 31, 1999
                      U.S. BANK NATIONAL ASSOCIATION ND
              FIRST BANK CORPORATE CARD MASTER TRUST SERIES 1997-1

<TABLE>
<CAPTION>

                                                                                                              April 15, 1999
      <S>                                                                                                     <C>
      1.  Investor Percentage of Principal Collections                                                        $  406,126,295.16
                                                                                                              -----------------

      2.  Investor Percentage of Yield Collections (ex. Net Interchange)                                      $   8,288,291.74
                                                                                                              -----------------

      3.  Investor Percentage of Net Interchange                                                              $   7,425,765.17
                                                                                                              -----------------

      4.  Servicer Interchange                                                                                $     350,000.00
                                                                                                              -----------------

      5. The aggregate amount of funds on deposit in Collection Account allocable to Series 
         1997-1 Certificates                                                                                  $ 633,759,814.11
                                                                                                              -----------------

      6.  Funds in Principal Funding Account allocable to Series 1997-1 Certificates                          $              -
                                                                                                              -----------------

      7.  Aggregate amount paid in accordance with the Loan Agreement pursuant to Section 4.11                $      86,074.41
                                                                                                              -----------------

      8.  Required Collateral Invested Amount over the Collateral Invested Amount                             $              -
                                                                                                              -----------------

      9.  Collateral Invested Amount                                                                          $  18,900,000.00
                                                                                                              -----------------

      10. The amount of Monthly Interest, Deficiency Amounts and Additional Interest payable to the
         (i) Class A Certificateholders                                                                       $              -
                                                                                                              -----------------

         (ii) Class B Certificateholders                                                                      $              -
                                                                                                              -----------------

         (iii) Collateral Interest Holder                                                                     $      86,074.41
                                                                                                              -----------------

      11.  The amount of principal payable to the
         (i) Class A Certificateholders                                                                       $              -
                                                                                                              -----------------

         (ii) Class B Certificateholders                                                                      $              -
                                                                                                              -----------------

         (iii) Collateral Interest Holder                                                                     $              -
                                                                                                              -----------------

      12.  The sum of all amounts payable to the
         (i) Class A Certificateholders                                                                       $              -
                                                                                                              -----------------

         (ii) Class B Certificateholders                                                                      $              -
                                                                                                              -----------------

         (iii) Collateral Interest Holder                                                                     $      86,074.41
                                                                                                              -----------------
      13.   To the knowledge of the undersigned, no Early Amortization Event has
            occurred except as described below:

<PAGE>

      None
</TABLE>

      In witness whereof, the undersigned has duly executed this certificate
      this 13th day of April, 1999.

      U.S. Bank Card Services, Inc.
      Servicer

      By:/s/Charles W. Devens
      -----------------------
      Name:  Charles W. Devens

      Title: Vice President



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