CHASE MANHATTAN AUTO GRANTOR TRUST 1996-B
8-K, 1997-08-19
ASSET-BACKED SECURITIES
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                       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: August 19, 1997
                       -----------------------------------

                 CHASE MANHATTAN BANK USA, NATIONAL ASSOCIATION
             ------------------------------------------------------
                  (Originator of the Trust referred to herein)
             (Exact name of registrant as specified in its charter)


                    CHASE MANHATTAN AUTO GRANTOR TRUST 1996-B
                  --------------------------------------------
                      (Issuer with respect to Certificates)


        New York             33-94460               13-2633612
      ---------------     -----------------       ------------------
      (State or other      (Commission             (IRS Employer
      jurisdiction of      File Number)          Identification No.)
      incorporation)


      270 Park Avenue, New York, NY                        10017
      -------------------------------------------       ----------
      (Address of principal executive offices)          (Zip code)


                                (212) 270-6000
                ---------------------------------------------------
                (Registrant's telephone number, including area code)


                                      
<PAGE>

Item 5. Other Events

          On 7/15/1997 Chase Manhattan Grantor Trust 1996-B (the "Trust") 
made the distribution  to Certificateholders contemplated by the Pooling 
and Servicing Agreement, dated as of September 1, 1996, (the "Pooling & 
Servicing Agreement"), between the  Registrant,  as Seller and  Servicer,  and 
Norwest Bank  Minnesota, National  Association, as Trustee.  

A copy of the Certificateholder  Report for such  Distribution Date  delivered  
pursuant to section 5.7 of the Pooling and Servicing Agreement is being filed 
as Exhibit 20.1 to this Current Report on Form 8-K.


Item 7 (c). Exhibits
            --------

  Exhibit       Description
  -------       -----------

  20.1          Monthly Certificateholder's statement with respect to the
                July 15, 1997 distribution.



<PAGE>

                              SIGNATURES
                              ----------



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



                                            CHASE MANHATTAN BANK USA,
                                            NATIONAL ASSOCIATION


                                            /s/ Patricia Garvey
                                            -----------------------------
                                            By:    Patricia Garvey
                                            Title: Vice President




Date: August 19, 1997




                      
<PAGE>

                              INDEX TO EXHIBITS
                              -----------------
                                                              
                                                              
   Exhibits                         Description                 
   --------                         -----------                 

     20.1                Certificateholder Report dated        
                         7/15/1997 delivered pursuant to
                         Section 5.7 of the Pooling and 
                         Servicing  Agreement as of 
                         September 1, 1996.




                                                             Exhibit 20.1
                                                             ------------
            

CHASE MANHATTAN AUTO GRANTOR TRUST
SERIES 1996-B
STATEMENT TO CERTIFICATEHOLDERS

PERIOD  10                                              PAGE    # 1
DETERMINATION:  10-Jul-97                               Beginning       6/1/97
DISTRIBUTION:   15-Jul-97                               Ending         6/30/97
TIME:   7/18/97 13:58


                        CLASS A 6.61% ASSET BACKED CERTIFICATES
                        CLASS B 6.76% ASSET BACKED CERTIFICATES

<TABLE>
<CAPTION>


        ORIG PRINCIPAL     BEG PRINCIPAL        PRINCIPAL       INTEREST        TOTAL           END PRINCIPAL
CLASS   BALANCE            BALANCE              DISTRIBUTION    DISTRIBUTION    BALANCE         BALANCE
<S>   <C>                <C>                  <C>             <C>             <C>             <C>                

 A      $1,478,422,107.71  $1,112,670,968.19    $39,979,128.28  $6,128,962.58   $46,108,090.86  $1,072,691,839.91
 B         $45,725,000.00     $34,412,959.42     $1,236,484.24    $193,859.67    $1,430,343.91     $33,176,475.18

CERTIFICATE
TOTALS  $1,524,147,107.71  $1,147,083,927.61    $41,215,612.52  $6,322,822.25   $47,538,434.77  $1,105,868,315.09


                            FACTOR   INFORMATION   PER   $1,000


              PRINCIPAL       INTEREST        END PRINCIPAL
CLASS         DISTRIBUTION    DISTRIBUTION    BALANCE
<S>         <C>              <C>            <C>
 A            27.04175490     4.14561075      725.56534045
 B            27.04175484     4.23968660      725.56534019

Certificate
Totals        27.04175490     4.14843306      725.56534044
</TABLE>


                IF THERE ARE ANY QUESTIONS OR COMMENTS, 
                PLEASE CONTACT THE ADMINISTRATOR LISTED BELOW



                         KIM COSTA
                         THE CHASE MANHATTAN BANK - ASPG
                         450 WEST 33RD STREET, 10TH FLOOR
                         NEW YORK, NEW YORK 10001
                         (212) 946-3247

<PAGE>


CHASE MANHATTAN AUTO GRANTOR TRUST
SERIES 1996-B
STATEMENT TO CERTIFICATEHOLDERS

PERIOD  10                                               PAGE        # 2
DETERMINATION:  10-Jul 97                                Beginning       6/1/97
DISTRIBUTION:   15-Jul-97                                Ending         6/30/97
TIME:   6/18/97 13:58


                                                                      per $1000
                                                                      ---------
Section 5.8 (iii)       Servicing Fee                 $955,903.27     .62717258



<TABLE>
<CAPTION>

Class   Principal       Interest        Total         Prin (per $1000/orig)  Int (per $1000/orig)  Total (per $1000/orig)
<S>    <C>             <C>             <C>             <C>                  <C>                   <C>                          
A       $39,979,128.28  $6,128,962.58   $46,108,090.86  27.04175490          4.14561075            31.18736565
B        $1,236,484.24    $193,859.67    $1,430,343.91  27.04175484          4.23968660            31.28144144

Total   $41,215,612.52  $6,322,822.25   $47,538,434.77  27.04175490          4.14843306            31.19018796
</TABLE>

Section 5.8 (v)     Pool Balance at the end of the 
                     Collection Period                        $1,105,868,315.09


Section 5.8 (vi)    Aggregate Net Losses for Collection 
                      Period                                        $490,185.32

Section 5.8 (vii)  Carryover Shortfall for Collection Period
                     Class A Interest                                      0.00
                     Class B Interest                                      0.00
                     Class A Principal                                     0.00
                     Class B Principal                                     0.00
                     TOTAL                                                 0.00

Section 5.8 (viii)  Reserve Account Balance after Disbursement   $35,940,720.24

Section 5.8 (ix)    Specified Reserve Account Balance            $35,940,720.24

Section 5.8 (x)     Repurchase Amounts for Repurchased Receivables
                                 Seller                                   $0.00
                                 Servicer                                 $0.00
                                 TOTAL                                    $0.00


Section 5.8 (xi)    Advance Summary for Collection Period
                    Unreimbursed Advances for Period              $4,219,428.99
                    Unreimbursed Advances for Previous
                      Period                                      $4,399,580.48
                    Change from Previous Period                    ($180,151.49)

                    Reimbursed Advance from Collections           $1,330,949.61
                    Reimbursed Advance from Liquidation Proceeds     $31,473.76
                    Reimbursed Advance from Reserve Account 
                      Withdrawls                                          $0.00

(C) COPYRIGHT 1997, CHASE MANHATTAN BANK



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