PROFFITTS CREDIT CARD MASTER TRUST
8-K, 1999-04-16
ASSET-BACKED SECURITIES
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<PAGE>
 
                      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 15, 1999


                      PROFFITT'S CREDIT CARD MASTER TRUST
                      -----------------------------------
              (Exact Name of Registrant as Specified in Charter)


Not Applicable               333-28811-01                  Not Applicable
- ---------------              ------------                ------------------
(State or Other              (Commission                 (IRS Employer
Jurisdiction of              File Number)                Identification No.)
Incorporation)
 
                  P.O. Box 20080, Jackson, Mississippi 39289
              ---------------------------------------------------
        (Addresses of Principal Executive Offices, including Zip Code)

                                (601) 968-4400
                      -----------------------------------
             (Registrant's Telephone Number, including Area Code)
<PAGE>
 
ITEM 5.   OTHER EVENTS.
- ------    ------------ 

     Saks Incorporated, as Servicer under the Proffitt's Credit Card Master
Trust, distributed the Monthly Certificateholders' Statement for the month of
March 1999, to the Series 1997-2 Certificateholders on April 15, 1999.

     Saks Incorporated, as Servicer under the Proffitt's Credit Card Master
Trust, distributed the Monthly Certificateholders' Statement for the month of
March 1999, to the Series 1998-1 Certificateholders on April 15, 1999.

     Saks Incorporated, as Servicer under the Proffitt's Credit Card Master
Trust, distributed the Monthly Certificateholders' Statement for the month of
March 1999, to the Series 1998-2 Certificateholders on April 15, 1999.


 
ITEM 7.   FINANCIAL STATEMENTS, PRO FORMA FINANCIAL INFORMATION, AND EXHIBITS.
- ------    ------------------------------------------------------------------- 

     (c)    Exhibits.

            The following exhibits are filed herewith:

     Exhibit No.        Description
     -----------        -------------------
 
     99.1               Series 1997-2 Monthly Certificateholders' Statement for
                        the month of March 1999
 
     99.2               Series 1998-1 Monthly Certificateholders' Statement for
                        the month of March 1999
 
     99.3               Series 1998-2 Monthly Certificateholders' Statement for
                        the month of March 1999

                                      -2-
<PAGE>
 
                                   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.

                                                                                

                                        SAKS INCORPORATED, AS SERVICER UNDER THE
                                        PROFFITT'S CREDIT CARD MASTER TRUST
                                        (Registrant)

                                                                                

                                         /s/ Douglas E. Coltharp
                                        --------------------------
                                        Douglas E. Coltharp
                                        Executive Vice President and
                                        Chief Financial Officer



Date:  April 15, 1999

                                      -3-
<PAGE>
 
                               INDEX TO EXHIBITS
                               -----------------

Exhibit
- -------
 
  99.1       Series 1997-2 Monthly Certificateholders' Statement for the month
             of March 1999

  99.2       Series 1998-1 Monthly Certificateholders' Statement for the month 
             of March 1999
 
  99.3       Series 1998-2 Monthly Certificateholders' Statement for the month
             of March 1999

<PAGE>
 
                                 Exhibit 99.1

Series 1997-2 Monthly Certificateholders' Statement for the month of March 1999
<PAGE>
 
                     MONTHLY CERTIFICATEHOLDER'S STATEMENT
                      PROFFITT'S CREDIT CARD MASTER TRUST
                                 SERIES 1997-2
 
Pursuant to the Master Pooling and Servicing Agreement dated as of August 21,
1997 (as amended or supplemented, the "Pooling and Servicing Agreement"), as
supplemented by the Series 1997-2 Supplement, dated as of August 21, 1997 (the
"Supplement" and together with the Pooling and Servicing Agreement, the
"Agreement") each between Proffitt's Credit Corporation as Transferor, Saks
Incorporated (formerly known as Proffitt's, Inc.) as Servicer, and Norwest Bank
Minnesota, National Association, as Trustee the Servicer is required to prepare
certain information each month regarding distributions to Certificateholders and
the performance of the Trust. The information with respect to Series 1997-2 is
set forth below:
 
 
Date of the Certificate                      April 10, 1999
Monthly Period ending:                       March 31, 1999
Determination Date                           April 10, 1999
Distribution Date                            April 15, 1999
 

<TABLE> 
<CAPTION> 
- ---------------------------------------------------------------------------------------------------------------------------
                                                     GENERAL      
 --------------------------------------------------------------------------------------------------------------------------
<S>    <C>                                      <C>                 <C>                <C>      <C>               <C>      
 201   Amortization Period                                                                            No          201   
 202   Early Amortization Period                                                                      No          202   
 203   Class A Investor Amount paid in full                                                           No          203   
 204   Class B Investor Amount paid in full                                                           No          204   
 205   Collateral Indebtedness Amount paid in full                                                    No          205   
 206   Saks Incorporated is the Servicer                                                              Yes         206   
 --------------------------------------------------------------------------------------------------------------------------
                                                INVESTOR AMOUNT                                                                 
 --------------------------------------------------------------------------------------------------------------------------
                                                                      as of the                 as of the end of        
                                                                     end of prior                 the relevant          
                                                                    Monthly Period              Monthly Period         
                                                                    ----------------            ---------------         
 207   Series 1997-2 Investor Amount                                 $  235,300,000    207(a)   $   235,300,000   207(b)
 208      Class A Investor Amount                                    $  180,000,000    208(a)   $   180,000,000   208(b)
 209      Class B Investor Amount                                    $   20,000,000    209(a)   $    20,000,000   209(b)
 210      Collateral Indebtedness Amount                             $   21,000,000    210(a)   $    21,000,000   210(b)
 211      Class D Investor Amount                                    $   14,300,000    211(a)   $    14,300,000   211(b)
                                                                                                                        
 212   Series 1997-2 Adjusted Investor Amount                        $  235,300,000    212(a)   $   235,300,000   212(b)
 213      Class A Adjusted Investor Amount                           $  180,000,000    213(a)   $   180,000,000   213(b)
 214       Principal Account Balance                                 $            -    214(a)   $             -   214(b)
 215      Class B Adjusted Investor Amount                           $   20,000,000    215(a)   $    20,000,000   215(b)
                                                                                                                        
 216      Class A Certificate Rate                                                                       6.50%       216   
 217      Class B Certificate Rate                                                                       6.69%       217   
 218      Collateral Indebtedness Interest Rate                                                        5.53875%      218   
 219      Class D Certificate Rate                                                                     5.81375%      219   
 220   Weighted average interest rate for Series 1997-2                                                  6.39%       220   
                                                                                                                        
                                                                       as of the                as of the end          
                                                                      end of prior              of the relevant         
                                                                     Monthly Period             Monthly Period          
                                                                    -----------------           --------------         
 221   Series 1997-2 Investor Percentage with                                                                           
       respect to Finance Charge Receivables                              32.20%        221(a)       32.60%       221(b)
 222      Class A                                                         24.63%        222(a)       24.94%       222(b)
 223      Class B                                                          2.74%        223(a)        2.77%       223(b)
 224      Collateral Indebtedness Amount                                   2.87%        224(a)        2.91%       224(b)
 225      Class D                                                          1.96%        225(a)        1.98%       225(b)
                                                                                                                        
 226   Series 1997-2 Investor Percentage with respect                                                                   
       to Principal Receivables                                           32.20%        226(a)       32.60%       226(b)
 227      Class A                                                         24.63%        227(a)       24.94%       227(b)
 228      Class B                                                          2.74%        228(a)        2.77%       228(b)
 229      Collateral Indebtedness Amount                                   2.87%        229(a)        2.91%       229(b)
 230      Class D                                                          1.96%        230(a)        1.98%       230(b)
                                                                                                                        
 231   Series 1997-2 Investor Percentage with respect to                                                                
       Allocable Amounts                                                  32.20%        231(a)       32.60%       231(b)
 232      Class A                                                         24.63%        232(a)       24.94%       232(b)
 233      Class B                                                          2.74%        233(a)        2.77%       233(b)
 234      Collateral Indebtedness Amount                                   2.87%        234(a)        2.91%       234(b)
 235      Class D                                                          1.96%        235(a)        1.98%       235(b)

- --------------------------------------------------------------------------------------------------------------------------- 
                                       SERIES 1997-2 INVESTOR DISTRIBUTIONS 
- ---------------------------------------------------------------------------------------------------------------------------

 236   The sum of the daily allocations of collections of 
       Principal Receivables for the relevant Monthly Period                                    $             -   238 
 237      Class A distribution of collections of Principal     
       Receivables per $1,000 of original principal amount                                      $             -   237  
</TABLE> 
 
                                                                     Page 2 of 5
<PAGE>
 
<TABLE> 
 <S>   <C>                                                                                      <C>                 <C>          
 238      Class B distribution of collections of Principal                                         
       Receivables per $1,000 of original principal amount                                      $           -       238 
 239      Collateral Indebtedness Amount distribution of collections 
       of Principal Receivables per $1,000 of original principal
       amount                                                                                   $           -       239
 240      Class D distribution of collections of Principal Receivables                         
       per $1,000 of original principal amount                                                  $           -       240     
 241      Class A distribution attributable to interest per $1,000 of                              
       original principal amount                                                                $        5.42       241
 242      Class B distribution attributable to interest per $1,000 of                                                  
       original principal amount                                                                $        5.58       242
 243      Collateral Indebtedness Amount distribution attributable to                     
       interest per $1,000 of original principal amount                                         $        4.77       243 
 244      Class D distribution attributable to interest per $1,000 of                    
       original principal amount                                                                $           -       244
 245   Monthly Servicing Fee for the next succeeding Distribution                          
       Date per $1,000 of original principal amount                                             $        1.67       245 
 ------------------------------------------------------------------------------------------------------------------------
                                COLLECTIONS ALLOCATED TO SERIES 1997-2
 ------------------------------------------------------------------------------------------------------------------------
 246   Series allocation of collections of Principal Receivables                                $  45,954,381       246
 247      Class A                                                                               $  35,154,223       247
 248      Class B                                                                               $   3,906,025       248
 249      Collateral Indebtedness Amount                                                        $   4,101,326       249
 250      Class D                                                                               $   2,792,808       250
 
 251   Series allocation of collections of Finance Charge            
       Receivables                                                                              $   5,258,193       251
 252      Class A                                                                               $   4,022,417       252
 253      Class B                                                                               $     446,935       253
 254      Collateral Indebtedness Amount                                                        $     469,282       254
 255      Class D                                                                               $     319,559       255
 
       Available Funds
       ---------------
 256      Class A Available Funds                                                               $   4,022,417       256
 257       The amount to be withdrawn from the Reserve Account to be                                
           included in Class A Available funds                                                  $           -       257 
 258       Principal Investment Proceeds to be included in Class A 
           Available Funds                                                                      $           -       258
 259      The amount of investment earnings on amounts held in the 
          Reserve                                                                               $           -       259
       Account to be included in Class A Available funds   
 
 260   Class B Available Funds                                                                  $     446,935       260
 261      The amount to be withdrawn from the Reserve Account to be                       
          included in Class B Available funds                                                   $           -       261 
 262      Principal Investment Proceeds to be included in Class B 
       Available Funds                                                                          $           -       262
 263      The amount of investment earnings on amounts held in the 
       Reserve Account to be included in Class B Available funds                                $           -       263

 264   Collateral Available Funds                                                               $     469,282       264
 
 265   Class D Available Funds                                                                  $     319,559       265
 -----------------------------------------------------------------------------------------------------------------------
                                   APPLICATION OF COLLECTIONS
 -----------------------------------------------------------------------------------------------------------------------
       Class A
       -------
 266   Class A Monthly Interest for the related Distribution Date,
       plus the amount of any Class A Monthly Interest previously 
       due but not paid plus any additional interest with respect
       to interest amounts that were due but not paid on a prior
       Distribution date                                                                        $     975,000       266
       
 267   If Saks Incorporated is no longer the Servicer, an amount                               
       equal to Class A Servicing fee for the related Distribution
       Date                                                                                     $           -       267 
 268   Class A Allocable Amount                                                                 $     578,811       268
 269   An amount to be included in the Excess Spread                                            $   2,468,606       269
 
       Class B
       -------
 270   Class B Monthly Interest for the related Distribution Date,
       plus the amount of any Class B Monthly Interest previously 
       due but not paid plus any additional interest with respect                       
       to interest amounts that were due but not paid on a prior 
       Distribution date                                                                        $     111,500       270 
 271   If Saks Incorporated is no longer the Servicer, an amount 
       equal to Class B Servicing fee for the related Distribution Date.                        $           -       271
</TABLE> 

                                                                     Page 2 of 5
<PAGE>
 
<TABLE> 
<S>    <C>                                                                                      <C>            <C> 
 272   An amount to be included in the Excess Spread                                            $   335,435    272
 
       Collateral
       ----------
 273   If Saks Incorporated is no longer the Servicer, an 
       amount equal to Collateral Servicing fee for                                              
       the related Distribution Date                                                            $         -    273
 274   An amount to be included in the Excess Spread                                            $   469,282    274
 
       Class D
       -------
 275   If Saks Incorporated is no longer the Servicer, an
       amount equal to Class D Servicing fee for the                                            $         -    275
       related Distribution Date
 276   An amount to be included in the Excess Spread                                            $   319,559    276
 
 277   Available Excess Spread                                                                  $ 3,592,882    277
 278   Available Shared Excess Finance Charge Collections                                       $         -    278
 279   Total Cash Flow available for 1997-2 waterfall                                           $ 3,592,882    279
 
 280   Class A Required Amount is to be used to fund any 
       deficiency in line266, line267 and line268                                               $         -    280
 281   The aggregate amount of Class A Investor Charge Offs 
       which have not been previously reimbursed                                                $         -    281
       
 282   Class B Required Amount to the extent attributable to 
       line270, and line271                                                                     $         -    282
 
 283   Class B Allocable Amount                                                                 $    64,312    283
 284   Any remaining portion of the Class B Required Amount                                     $         -    284
 285   An amount equal to any unreimbursed reductions of the Class 
       B Investor Amount, if any, due to: (i) Class B Investor
       Charge Offs; (ii) Reallocated Principal Collections;        
       (iii) reallocations of the Class B Investor Amount to the 
       Class A Investor Amount                                                                  $         -    285 
 286   Collateral Monthly Interest for the related Distribution 
       Date plus Collateral Monthly Interest previously  due but 
       not paid to the Collateral Indebtedness Holder plus     
       Collateral Additional Interest                                                           $   100,159    286     
 287   Class A Servicing Fee plus Class B Servicing Fee plus 
       Collateral Servicing Fee due for the relevant Monthly
       Period and not  paid above                                                               $   368,333    287
 288   Class A Servicing Fee plus Class B Servicing Fee plus 
       Collateral Servicing Fee due but not distributed to the 
       Servicer for prior Monthly Periods                                                       $         -    288
 289   Collateral Allocable Amount                                                              $    67,528    289
 290   Any unreimbursed reductions of the Collateral Indebtedness 
       Amount (CIA), if any, due to: (i) CIA Charge Offs; (ii) 
       Reallocated Principal Collections; (iii) reallocations                                  
       of the CIA to the Class A or Class B Investor Amount                                     $         -    290 
 291   The excess, if any, of the Required Cash Collateral 
       Amount over the Available Collateral Amount                                              $         -    291
       
 292   An amount equal to Class D Monthly Interest due but not paid to the Class D
       Certificateholders plus Class D Additional Interest                                      $    71,590    292
       
 293   Class D Servicing Fee due for the relevant Monthly Period and not paid above             $    23,833    293
 294   Class D Servicing Fee due but not distributed to the Servicer for prior Monthly          $         -    294
       Periods
 295   Class D Allocable Amount                                                                 $    45,983    295
       Any unreimbursed reductions of the Class D Investor Amount, if any, due to:
 296   (i) Class D Investor Charge Offs; (ii) Reallocated Principal Collections; (iii)          $         -    296
       reallocations of the Class D Investor Amount to the Class A or Class B
       Investor Amount or CIA      
 297   Aggregate amount of any other amounts due to the Collateral Indebtedness Holder          $         -    297
       pursuant to the Loan Agreement
 298   Excess, if any, of the Required Reserve Account Amount over the amount on deposit        $         -    298
       in the Reserve Account
 299   Shared Excess Finance Charge Collections                                                 $ 2,851,143    299
 
 -----------------------------------------------------------------------------------------------------------------------------------

                               DETERMINATION OF MONTHLY PRINCIPAL
 -----------------------------------------------------------------------------------------------------------------------------------

 300   Class A Monthly Principal (the least of line#301, line#302 and line#208)                 $         -    300
 301   Available Principal Collections held in the Collection Account                           $45,954,381    301
 302   Class A Accumulation Amount                                                              $         -    302
 
 303   Class B Monthly Principal (the least of line#304, line#305 and line#209)                 $         -    303
       (distributable only after payout of Class A)
 304   Available Principal Collections held in the Collection Account less portion of
       such Collections applied to Class A Monthly                                              $45,954,381    304
       Principal
 305   Class B Accumulation Amount                                                              $         -    305
</TABLE> 

                                                                     Page 3 of 5
<PAGE>
 
<TABLE> 
<S>    <C>                                                                                      <C>                 <C> 
 306   Collateral Monthly Principal (prior to payout of Class B) (the least of line#307         $          -        306
       and line#308)
 307      Available Principal Collections held in the Collection Account less portion of
       such Collections applied to Class A and Class B Monthly Principal                        $ 45,954,381        307
 308      Enhancement Surplus                                                                   $          -        308
 
 309   Class D Monthly Principal                                                                $          -        309
 310      Available Principal Collections held in the Collection Account less portion of
       such Collections applied to Class A, Class B or collateral Monthly Principal             $ 45,954,381        310
       
- ---------------------------------------------------------------------------------------------------------------------------------
                                  AVAILABLE ENHANCEMENT AMOUNT
- ---------------------------------------------------------------------------------------------------------------------------------
 
 311   Available Enhancement Amount                                                             $ 35,300,000        311
 312      Amount on Deposit in the Cash Collateral Account                                      $          -        312
 
- ---------------------------------------------------------------------------------------------------------------------------------
                               REALLOCATED PRINCIPAL COLLECTIONS
- ---------------------------------------------------------------------------------------------------------------------------------
 
 313   Reallocated Principal Collections                                                        $          -        313
 314      Class D Principal Collections (to the extent needed to fund Required Amounts)         $          -        314
 315      Collateral Principal Collections (to the extent needed to fund Required Amounts)      $          -        315
 316      Class B Principal Collections (to the extent needed to fund Required Amounts)         $          -        316
 
- ---------------------------------------------------------------------------------------------------------------------------------
              INVESTOR DEFAULT AMOUNTS, ADJUSTMENT AMOUNTS, AND ALLOCABLE AMOUNTS
- ---------------------------------------------------------------------------------------------------------------------------------
                                                                            %                          Amount
                                                                      ---------------             ---------------
 317   Series 1997-2 Default Amount                                      32.20%       317(a)    $    756,634        317(b)
 318   Class A Investor Default Amount                                   24.63%       318(a)    $    578,811        318(b)
 319   Class B Investor Default Amount                                    2.74%       319(a)    $     64,312        319(b)
 320   Collateral Default Amount                                          2.87%       320(a)    $     67,528        320(b)
 321   Class D Investor Default Amount                                    1.96%       321(a)    $     45,983        321(b)
 
 322   Series 1997-2 Adjustment Amount                                                          $          -        322
 323   Class A Adjustment Amount                                                                $          -        323
 324   Class B Adjustment Amount                                                                $          -        324
 325   Collateral Adjustment Amount                                                             $          -        325
 326   Class D Adjustment Amount                                                                $          -        326

 327   Series 1997-2 Allocable Amount                                                           $    756,634        327
 328      Class A Allocable Amount                                                              $    578,811        328
 329      Class B Allocable Amount                                                              $     64,312        329
 330      Collateral Allocable Amount                                                           $     67,528        330
 331      Class D Allocable Amount                                                              $     45,983        331
 
- ---------------------------------------------------------------------------------------------------------------------------------
                                        REQUIRED AMOUNTS
- ---------------------------------------------------------------------------------------------------------------------------------
 
 332   Class A Required Amount                                                                  $          -        332
 333      Class A Monthly Interest for current Distribution Date                                $    975,000        333
 334      Class A Monthly Interest previously due but not paid                                  $          -        334
 335      Class A Additional Interest for prior Monthly Period or previously due but not        $          -        335
          paid
 336      Class A Allocable Amount for current Distribution Date                                $          -        336
 337      Class A Servicing Fee (if Saks Incorporated is no longer the Servicer)                $          -        337
 
 338   Class B Required Amount                                                                  $          -        338
 339      Class B Monthly Interest for current Distribution Date                                $    111,500        339
 340      Class B Monthly Interest previously due but not paid                                  $          -        340
 341      Class B Additional Interest for prior Monthly Period or previously due but not        $          -        341
          paid
 342      Class B Servicing Fee (if Saks Incorporated is no longer the Servicer)                $          -        342
 343   Excess of Class B Allocable Amount over funds available to make payments                 $          -        343
 
 344   Collateral Required Amount                                                               $          -        344
 345      Collateral Monthly Interest for current Distribution Date                             $    100,159        345
 346      Collateral Monthly Interest previously due but not paid                               $          -        346
 347      Collateral Additional Interest for prior Monthly Period or previously due but not     $          -        347
       paid
</TABLE> 

                                                                     Page 4 of 5
<PAGE>
 
<TABLE> 
<S>    <C>                                                                                           <C>            <C>  
 348    Collateral Servicing Fee (if Saks Incorporated is no longer the Servicer)                    $          -   348
 349   Excess of Collateral Allocable Amount over funds available to make payments                   $          -   349
 
- ---------------------------------------------------------------------------------------------------------------------------------
                                 REDUCTION OF INVESTOR AMOUNTS
- ---------------------------------------------------------------------------------------------------------------------------------
 
       Class A
       -------
 350   Class A Investor Amount reduction                                                             $          -   350
 351      Class A Investor Charge Off                                                                $          -   351
 352      Reductions of the Class A Investor Amount                                                  $          -   352
       Class B
       -------
 353   Class B Investor Amount reduction                                                             $          -   353
 354      Class B Investor Charge Off                                                                $          -   354
 355      Reductions of the Class B Investor Amount                                                  $          -   355
 356      Reallocated Principal Collections applied to Class A                                       $          -   356
       Collateral
       ----------
 357   Collateral Indebtedness Amount reduction                                                      $          -   357
 358      Collateral Indebtedness Amount Charge Off                                                  $          -   358
 359      Reductions of the Collateral Indebtedness Amount                                           $          -   359
 360      Reallocated Principal Collections applied to Class B                                       $          -   360
       Class D
       -------
 361   Class D Investor Amount reduction                                                             $          -   361
 362      Class D Investor Charge Off                                                                $          -   362
 363      Reductions of the Class D Investor Amount                                                  $          -   363
 364      Reallocated Principal Collections applied to Collateral Indebtedness Amount                $          -   364

 ---------------------------------------------------------------------------------------------------------------------------------
                                         SERVICING FEE
- ---------------------------------------------------------------------------------------------------------------------------------

 365   Series 1997-2 Servicing Fee                                                                   $    392,167   365
 366      Class A Servicing Fee                                                                      $    300,000   366
 367      Class B Servicing Fee                                                                      $     33,333   367
 368      Collateral Servicing Fee                                                                   $     35,000   368
 369      Class D Servicing Fee                                                                      $     23,833   369
 
- ---------------------------------------------------------------------------------------------------------------------------------
                                        RESERVE ACCOUNT
- ---------------------------------------------------------------------------------------------------------------------------------

 370   Required Reserve Account Amount ( if applicable)                                                   N/A       370
 371   Reserve Account Reinvestment Rate (if applicable)                                                  N/A       371
 372   Reserve Account balance                                                                       $          -   372
 
 373   Accumulation Period Length                                                                      12 months    373
</TABLE> 
 
 
 
       IN WITNESS WHEREOF, the undersigned has duly executed and delivered this
       Certificate this 10th day of April, 1999.
 
       Saks Incorporated,
       as Servicer
 
       By  /s/ James S. Scully
         ---------------------------- 
       Name:  James S. Scully
       Title: Vice President and Treasurer

<PAGE>
 
                                 Exhibit 99.2

Series 1998-1 Monthly Certificateholders' Statement for the month of March 1999

                                      -6-
<PAGE>
 
                     MONTHLY CERTIFICATEHOLDER'S STATEMENT
                      YOUNKERS MASTER TRUST SERIES 1995-1
               PROFFITT'S CREDIT CARD MASTER TRUST SERIES 1998-1
 
   Pursuant to the Master Pooling and Servicing Agreement dated as of August 21,
   1997 (as amended or supplemented, the "Pooling and Servicing Agreement"), as
   supplemented by the Series 1998-1 Supplement, dated as of May 6, 1998 (the
   "Supplement" and together with the Pooling and Servicing Agreement, the
   "Agreement") each between Proffitt's Credit Corporation as Transferor, Saks
   Incorporated (formerly known as Proffitt's, Inc.) as Servicer, and Norwest
   Bank Minnesota, National Association as Trustee, the Servicer is required to
   prepare certain information each month regarding distributions to
   Certificateholders and the performance of the Trust. All references herein to
   Younkers Master Trust Series 1995-1 and Proffitt's Credit Card Master Trust
   Series 1998-1 are used interchangeably. The information with respect to
   Series 1998-1 is set forth below:
   

   Date of the Certificate                    April 10, 1999
   Monthly Period ending:                     March 31, 1999
   Determination Date                         April 10, 1999
   Distribution Date                          April 15, 1999
 
<TABLE> 
<CAPTION> 
- -----------------------------------------------------------------------------------------------------
                                              GENERAL          
- -----------------------------------------------------------------------------------------------------
 <S>                                                       <C>                                                             
 201   Amortization Period                                                  No                     201
 202   Early Amortization Period                                            No                     202
 203   Class A Investor Amount paid in full                                 No                     203
 204   Class B Investor Amount paid in full                                 No                     204
 205   Class C Investor Amount paid in full                                 No                     205
 206   Saks Incorporated is the Servicer                                   Yes                     206
                                                           

- ---------------------------------------------------------------------------------------------------------------        
                                               INVESTOR AMOUNT
- --------------------------------------------------------------------------------------------------------------- 
                                                               as of the end of prior          as of the end of the relevant 
                                                                   Monthly Period                      Monthly Period        
                                                           -------------------------------    -------------------------------  
 207   Series 1998-1 Investor Amount                        $     91,500,000        207(a)     $      91,500,000         207(b) 
 208   Class A Investor Amount                              $     67,000,000        208(a)     $      67,000,000         208(b) 
 209   Class B Investor Amount                              $      8,000,000        209(a)     $       8,000,000         209(b) 
 210   Class C Investor Amount                              $     16,500,000        210(a)     $      16,500,000         210(b) 
                                                                                                                                
 211   Series 1998-1 Adjusted Investor Amount               $     91,500,000        211(a)     $      91,500,000         211(b) 
 212   Series 1998-1 Investor Amount                        $     91,500,000        212(a)     $      91,500,000         212(b) 
 213   Principal Account Balance                            $              -        213(a)     $              -          213(b) 
                                                                                                                                
                                                                                                                                
 214   Class A Certificate Rate                                                                             6.43%        214    
 215   Class B Certificate Rate                                                                             6.61%        215    
 216   Class C Certificate Rate                                                                             0.00%        216    
 217   Weighted average interest rate for Series 1998-1                                                     5.29%        217    
                                                                                                                            
                                                               as of the end of prior          as of the end of the relevant 
                                                                   Monthly Period                      Monthly Period        
                                                             -----------------------------     -------------------------------  


 218   Series 1998-1 Investor Percentage with respect to  
       Finance Charge Receivables                                      12.52%       218(a)                 12.68%        218(b) 
 219   Class A                                                          9.17%       219(a)                  9.28%        219(b) 
 220   Class B                                                          1.09%       220(a)                  1.11%        220(b) 
 221   Class C                                                          2.26%       221(a)                  2.29%        221(b) 
                                                                                                                                
 222   Series 1998-1 Investor Percentage with respect to                                                                        
       Principal Receivables                                           12.52%       222(a)                 12.68%        222(b) 
 223   Class A                                                          9.17%       223(a)                  9.28%        223(b) 
 224   Class B                                                          1.09%       224(a)                  1.11%        224(b) 
 225   Class C                                                          2.26%       225(a)                  2.29%        225(b) 
                                                                                                                                
 226   Series 1998-1 Investor Percentage with respect to                                                                        
       Default Amounts                                                 12.52%       226(a)                 12.68%        226(b) 
 227   Class A                                                          9.17%       227(a)                  9.28%        227(b) 
 228   Class B                                                          1.09%       228(a)                  1.11%        228(b) 
 229   Class C                                                          2.26%       229(a)                  2.29%        229(b) 
                                                          
</TABLE> 

                                                                     Page 1 of 4
<PAGE>
 
<TABLE> 
- ------------------------------------------------------------------------------------------------------------------------------------

                                               SERIES 1998-1 INVESTOR DISTRIBUTIONS
- ------------------------------------------------------------------------------------------------------------------------------------

<S>    <C>                                                                                 <C>        <C>                 <C> 
 230   The sum of the daily allocations of collections of Principal Receivables for                   $         -         230 
       the relevant Monthly Period                                                                                                 
 231   Class A distribution of collections of Principal Receivables per $1,000 of                     $         -         231      
       original principal amount                                                                                                   
 232   Class B distribution of collections of Principal Receivables per $1,000 of                     $         -         232      
       original principal amount                                                                                                   
 233   Class C distribution of collections of Principal Receivables per $1,000 of                     $         -         233      
       original principal amount                                                                                             
 234   Class A distribution attributable to interest per $1,000 of original                           $      5.36         234
       principal amount                                                                                                      
 235   Class B distribution attributable to interest per $1,000 of original                           $      5.51         235
       principal amount                                                                                                      
 236   Class C distribution attributable to interest per $1,000 of original                           $         -         236
       principal amount                                                                                                      
 237   Monthly Servicing Fee for the next succeeding Distribution Date per $1,000 of                  $      1.67         237 
       original principal amount
 
- -------------------------------------------------------------------------------------------------------------------------------
                                              COLLECTIONS ALLOCATED TO SERIES 1998-1
- -------------------------------------------------------------------------------------------------------------------------------

       Allocations of Finance Charge Collections
       -----------------------------------------
 238   Investor allocation of Finance Charge Collections during the 
       Collection Period pursuant to Section 4.4                                                      $ 2,044,729         238  

 239   Investment earnings during Collection Period of Series Accounts to                                                  
       be treated as investor Finance Charge Collections:                                             $         -         239 

 240       (a) Collection Account                                                                     $         -         240 
 241       (b) Reserve Account                                                                        $         -         241 
 242       (c) Principal Account                                                                      $         -         242 

 243   Monthly Finance Charge Allocation prior to allocation of Shared                                
       Finance Charge Collections (line 238 + line 239)                                               $ 2,044,729         243 

 244   "Reserve Draw Amount" for the Distribution Date (pursuant to Section 
       4.9 (b))                                                                                       $         -         244

 245   "Reserve Account Surplus" for the Distribution Date (pursuant to                      
       Section 4.9(c))                                                                                $         -         245  

 246   Final Reserve Account disbursement (pursuant to Section 4.9 (d))                               $         -         246
 
 247   Total allocations of Finance Charge Collections during the Relevant 
       Monthly Period (sum of line 243, line 244, line 245 and line 246)                              $ 2,044,729         247
       
- -------------------------------------------------------------------------------------------------------------------------------  
                                             APPLICATION OF FINANCE CHARGE COLLECTIONS
- -------------------------------------------------------------------------------------------------------------------------------  
 
 248   Shared Finance Charge Collections allocated to Series 1998-1 to cover 
       the Total Deficiency Amount pursuant to Section 4.6                                            $         -         248

 249   Class A Monthly Interest plus the amount of any previous month's 
       Class A Interest Shortfall plus any Class A Additional Interest (Section                       
       4.6 (a))                                                                                       $   359,008         249 

 250   Class B Monthly Interest plus the amount of any previous month's 
       Class B Interest Shortfall plus any Class B Additional Interest (Section                       
       4.6 (a))                                                                                       $    44,067         250  

 251   Investor Monthly Servicing Fee due for the relevant Monthly Period (Section                    
       4.6 (c))                                                                                       $   152,500         251 

 252   Investor Monthly Servicing Fee due but not distributed to the Servicer for                     
       prior Monthly Periods (Section 4.6 (c))                                                        $         -         252 

 253   Investor Default Amount (Section 4.6 (d))                                                      $   294,229         253

 254   Unpaid Deposit Obligation (Section 4.6 (e))                                                    $         -         254

 255   Aggregate amount of Class A Investor Charge-Offs which have not been                           
       previously reimbursed (Section 4.6 (f))                                                        $         -         255 
</TABLE> 

                                                                     Page 2 of 4
<PAGE>
 
<TABLE> 
<S>    <C>                                                                                 <C>        <C>                 <C> 
 256   An amount equal to any unreimbursed reductions of the Class B 
       Investor Amount, if any, due to (i) Reallocated Principal Collections and                      
       (ii) Class B Investor Charge-Offs (Section 4.6 (f))                                            $         -         256  

 257   An amount equal to any unreimbursed reductions of the Class C 
       Investor Amount, if any, due to (i) Reallocated Principal Collections and                      
       (ii) Class C Investor Charge-Offs (Section 4.6 (f))                                            $         -         257 

 258   Excess, if any, of the Required Reserve Account Amount over the 
       amount on deposit in the Reserve Account (Section 4.6 (g))                                     $         -         258

 259   Class C Certificate Interest accrued and unpaid in respect of the 
       portion of the Class C Investor Amount held by Persons other than the                          
        Servicer or its Affiliates (Section 4.6 (h))                                                  $         -         259 

 260   Excess Spread                                                                                  $ 1,194,925         260

- -------------------------------------------------------------------------------------------------------------------------------  
                                                DETERMINATION OF MONTHLY PRINCIPAL
- -------------------------------------------------------------------------------------------------------------------------------    

       During the Accumulation Period
       ------------------------------

 261   Monthly Total Principal Allocation (Section 4.4 (b)(ii)) prior to the                          
       inclusion of amounts in line 262 below                                                         $         -         261 

 262   Amounts included in calculation of Excess Spread to be included in 
       Collections of Principal Receivables (Section 4.6 (d),(e),(f))                                 $         -         262

 263   Monthly Total Principal Allocation (Section 4.4 (b)(ii))                                       $         -         263

 264   Controlled Deposit Amount                                                                      $         -         264

 265   Controlled Deposit Amount for the relevant Monthly Period during the                           
       Accumulation Period                                                                            $         -         265 

 266   Deficit Controlled Deposit Amount for the preceding Monthly Period                             $         -         266

 267   Excess of the Monthly Total Principal Allocation over the Controlled 
       Deposit Amount to be paid to the holder of the Exchangeable                                    $         -         267
       Transferor Certificate
 
 268   Deficit Controlled Deposit Amount for the relevant Monthly Period                              $         -         268
 
 269   Total amount deposited to the Principal Account                                                $         -         269
 
       During the Rapid Amortization Period
       ------------------------------------

 270   Monthly Total Principal Allocation (Section 4.4 (b)(ii)) prior to the                          
       inclusion of amounts in line 271 below                                                         $         -         270 

 271   Amounts included in calculation of Excess Spread to be included in 
       Collections of Principal Receivables (Section 4.6 (d),(e),(f))                                 $         -         271
       
 272   Monthly Total Principal Allocation (Section 4.4 (b)(ii))                                       $         -         272
 
 273   Lesser of the Monthly Total Principal Allocation and the Adjusted                              $         -         273
       Investor Amount (Section 4.4 (c)(ii))
 
 274   Shared Principal Collections allocable to the Series 1998-1 Certificate 
       (to the extent the Adjusted Investor Amount exceeds the balance of the                         
       Principal Account after giving effect to line 273)                                             $         -         274 
 
 275   Total Amount deposited to the Principal Account                                                $         -         275
 
 276   Principal Account balance after deposit to Principal Account for                               $         -         276
       relevant Monthly Period

- -------------------------------------------------------------------------------------------------------------------------------     

                                                 REALLOCATED PRINCIPAL COLLECTIONS
- -------------------------------------------------------------------------------------------------------------------------------     


 277   Reallocated Principal Collections                                                              $         -         277

 278   Class C Reallocated Amount (to the extent needed to fund excess of 
       Total Deficiency Amount over Investor Default Amount)                                          $         -         278

 279   Class B Reallocated Amount (to the extent needed to fund excess of 
       Total Deficiency Amount over Investor Default Amount)                                          $         -         279
</TABLE> 
 
                                                                     Page 3 of 4
<PAGE>
 
<TABLE> 
- -------------------------------------------------------------------------------------------------------------------------------     

                                         TOTAL DEFICIENCY AMOUNT AND INVESTOR CHARGE-OFFS
- -------------------------------------------------------------------------------------------------------------------------------    
 <S>   <C>                                                                                 <C>        <C>                 <C> 
 280   Monthly Finance Charge Allocation prior to allocation of Shared                                $ 2,044,729         280
       Finance Charge Collections
 
 281   Total Monthly Payment                                                                          $   849,804         281

 282   Class A Certificate Interest                                                                   $   359,008         282

 283   Class B Certificate Interest                                                                   $    44,067         283

 284   Investor Monthly Servicing Fee                                                                 $   152,500         284

 285   Investor Default Amount                                                                        $   294,229         285

 286   Unpaid Deposit Obligation                                                                      $         -         286
 
 287   Total Deficiency Amount prior to allocation of Shared Finance Charge 
       Collections (excess of line 281 over line 280)                                                 $         -         287
 
 288   Allocation of Shared Finance Charge Collections to Series 1998-1 
       during the Relevant Monthly Period                                                             $         -         288
       
 289   Total Deficiency Amount ("Shortfall") (Section 4.6)                                            $         -         289
 
 290   Investor Charge-Offs                                                                           $         -         290

 291   Class C Investor Charge-Offs                                                                   $         -         291

 292   Class B Investor Charge-Offs                                                                   $         -         292

 293   Class A Investor Charge-Offs                                                                   $         -         293
 
 ------------------------------------------------------------------------------------------------------------------------------- 
                                                   REDUCTION OF INVESTOR AMOUNTS
 -------------------------------------------------------------------------------------------------------------------------------
       Class A
       -------
 294   Aggregate amount of Class A Investor Charge-Offs over Class A 
       Investor Charge-offs reimbursed pursuant to Section 4.6 (f)                                    $         -         294
       
       Class B
       -------
 295   Aggregate amount of Class B Investor Charge-Offs over Class B 
       Investor Charge-offs reimbursed pursuant to Section 4.6 (f)                                    $         -         295

 296   Aggregate amount of Class B Reallocated Amounts over Class B 
       Reallocated Amounts reimbursed pursuant to subsection 4.6 (f) or                               
       allocated to the Class C Investor Amount pursuant to Section 4.11                              $         -         296 
 
       Class C
       -------
 297   Aggregate amount of Class C Investor Charge-Offs over Class C 
       Investor Charge-offs reimbursed pursuant to Section 4.6 (f)                                    $         -         297
       
 298   Aggregate amount of Class C Reallocated Amounts over Class C 
       Reallocated Amounts reimbursed pursuant to subsection 4.6 (f)                                  $         -         298
       
- -------------------------------------------------------------------------------------------------------------------------------
                                                           POOL FACTORS
- -------------------------------------------------------------------------------------------------------------------------------
 
 299   Class A Pool Factor                                                                                 100.00%        299
 300   Class B Pool Factor                                                                                 100.00%        300
 301   Class C Pool Factor                                                                                 100.00%        301
 
- ------------------------------------------------------------------------------------------------------------------------------- 
                                                          RESERVE ACCOUNT
- ------------------------------------------------------------------------------------------------------------------------------- 

 302   Required Reserve Account Amount ( if applicable)                                                      N/A          302
 303   Reserve Account Reinvestment Rate (if applicable)                                                     N/A          303
 304   Reserve Account balance                                                                        $         -         304
</TABLE> 
 
 
       IN WITNESS WHEREOF, the undersigned has duly executed and delivered this
Certificate this 10th day of April, 1999.
 
       Saks Incorporated, as Servicer
 
       By   /s/ James S. Scully
         --------------------------------- 
       NAME:  JAMES S. SCULLY
       TITLE: VICE PRESIDENT AND TREASURER

                                                                     Page 4 of 4

<PAGE>
 
                                 Exhibit 99.3

Series 1998-2 Monthly Certificateholders' Statement for the month of March 1999

                                      -7-
<PAGE>
 
                     MONTHLY CERTIFICATEHOLDER'S STATEMENT
                      PROFFITT'S CREDIT CARD MASTER TRUST
                                 SERIES 1998-2

     Pursuant to the Master Pooling and Servicing Agreement dated as of August
     21, 1997 (as amended or supplemented, the "Pooling and Servicing
     Agreement"), as supplemented by the Series 1998-2 Supplement, dated as of
     May 21, 1998 (the "Supplement" and together with the Pooling and Servicing
     Agreement, the "Agreement") each between Proffitt's Credit Corporation as
     Transferor, Saks Incorporated (formerly known as Proffitt's, Inc.) as
     Servicer, and Norwest Bank Minnesota, National Association as Trustee, the
     Servicer is required to prepare certain information each month regarding
     distributions to Certificateholders and the performance of the Trust. The
     information with respect to Series 1998-2 is set forth below:
      
     Date of the Certificate                 April 10, 1999
     Monthly Period ending:                  March 31, 1999
     Determination Date                      April 10, 1999
     Distribution Date                       April 15, 1999
 
<TABLE> 
<CAPTION> 
- ---------------------------------------------------------------------------------------------------------------------- 
                                                    GENERAL
====================================================================================================================== 
<S>                                                 <C>              <C>        <C>               <C> 
  201  Amortization Period                                                             No         201 
  202  Early Amortization Period                                                       No         202 
  203  Class A Investor Amount paid in full                                            No         203 
  204  Class B Investor Amount paid in full                                            No         204 
  205  Collateral Indebtedness Amount paid in full                                     No         205 
  206  Saks Incorporated is the Servicer                                              Yes         206    
- ---------------------------------------------------------------------------------------------------------------------- 
                                               INVESTOR AMOUNT
====================================================================================================================== 
                                                    as of the end               as of the end of 
                                                       of prior                   the relevant 
                                                    Monthly Period               Monthly Period 
                                                    --------------              ---------------- 
  207  Series 1998-2 Investor Amount                $ 261,500,000    207(a)      $ 261,500,000    207(b)
  208   Class A Investor Amount                     $ 200,000,000    208(a)      $ 200,000,000    208(b)
  209   Class B Investor Amount                     $  21,500,000    209(a)      $  21,500,000    209(b)
  210   Collateral Indebtedness Amount              $  24,000,000    210(a)      $  24,000,000    210(b)
  211   Class D Investor Amount                     $  16,000,000    211(a)      $  16,000,000    211(b)
                                                    
  212  Series 1998-2 Adjusted Investor Amount       $ 261,500,000    212(a)      $ 261,500,000    212(b)
  213   Class A Adjusted Investor Amount            $ 200,000,000    213(a)      $ 200,000,000    213(b)
  214    Principal Account Balance                  $           -    214(a)      $           -    214(b)
  215   Class B Adjusted Investor Amount            $  21,500,000    215(a)      $  21,500,000    215(b)
                                                    
  216   Class A Certificate Rate                                                      6.00%       216
  217   Class B Certificate Rate                                                      6.15%       217
  218   Collateral Indebtedness Interest Rate                                        5.68875%     218
  219   Class D Certificate Rate                                                     5.93875%     219
  220  Weighted average interest rate for Series 1998-2                               5.98%       220
                                                             
                                                    as of the end               as of the end of 
                                                       of prior                   the relevant 
                                                    Monthly Period               Monthly Period 
                                                    --------------              ---------------- 
  221  Series 1998-2 Investor Percentage with 
       respect to Finance Charge Receivables            35.78%       221(a)          36.23%       221(b)
  222   Class A                                         27.37%       222(a)          27.71%       222(b) 
  223   Class B                                          2.94%       223(a)           2.98%       223(b) 
  224   Collateral Indebtedness Amount                   3.28%       224(a)           3.32%       224(b) 
  225   Class D                                          2.19%       225(a)           2.22%       225(b)  
 
  226  Series 1998-2 Investor Percentage with 
       respect to Principal Receivables                 35.78%       226(a)          36.23%       226(b) 
  227   Class A                                         27.37%       227(a)          27.71%       227(b) 
  228   Class B                                          2.94%       228(a)           2.98%       228(b) 
  229   Collateral Indebtedness Amount                   3.28%       229(a)           3.32%       229(b) 
  230   Class D                                          2.19%       230(a)           2.22%       230(b)  
 
  231  Series 1998-2 Investor Percentage with 
       respect to Allocable Amounts                     35.78%       231(a)          36.23%       231(b)
  232   Class A                                         27.37%       232(a)          27.71%       232(b)                   
  233   Class B                                          2.94%       233(a)           2.98%       233(b)                   
  234   Collateral Indebtedness Amount                   3.28%       234(a)           3.32%       234(b)                   
  235   Class D                                          2.19%       235(a)           2.22%       235(b)                    

- ---------------------------------------------------------------------------------------------------------------------
                                         SERIES 1998-2 INVESTOR DISTRIBUTIONS
=====================================================================================================================

  236  The sum of the daily allocations of collections 
       of Principal Receivables for the relevant 
       Monthly Period                                                           $          -      236
</TABLE> 

                                                                     Page 1 of 5
<PAGE>
 
<TABLE> 
<S>                                                                                                  <C>                 <C> 
  237   Class A distribution of collections of Principal Receivables per $1,000 of                   
       original principal amount                                                                     $          -        237 
  238   Class B distribution of collections of Principal Receivables per $1,000 of                   
       original principal amount                                                                     $          -        238  
  239   Collateral Indebtedness Amount distribution of collections of Principal 
       Receivables per $1,000 of original principal amount                                           $          -        239
  240   Class D distribution of collections of Principal Receivables per $1,000 of                   
       original principal amount                                                                     $          -        240    
  241   Class A distribution attributable to interest per $1,000 of original principal                
       amount                                                                                        $       5.00        241 
  242   Class B distribution attributable to interest per $1,000 of original principal                
       amount                                                                                        $       5.13        242 
  243   Collateral Indebtedness Amount distribution attributable to interest per $1,000              
       of original principal amount                                                                  $       4.90        243 
  244   Class D distribution attributable to interest per $1,000 of original principal                
       amount                                                                                        $          -        244 
  245   Monthly Servicing Fee for the next succeeding Distribution Date per $1,000 of                 
       original principal amount                                                                     $       1.67        245  

- ---------------------------------------------------------------------------------------------------------------------------------- 
                                     COLLECTIONS ALLOCATED TO SERIES 1998-2
==================================================================================================================================  

 
  246  Series allocation of collections of Principal Receivables                                     $ 51,071,274        246
  247   Class A                                                                                      $ 39,060,248        247
  248   Class B                                                                                      $  4,198,977        248
  249   Collateral Indebtedness Amount                                                               $  4,687,230        249
  250   Class D                                                                                      $  3,124,820        250
 
  251  Series allocation of collections of Finance Charge Receivables                                $  5,843,678        251
  252   Class A                                                                                      $  4,469,352        252
  253   Class B                                                                                      $    480,455        253
  254   Collateral Indebtedness Amount                                                               $    536,322        254
  255   Class D                                                                                      $    357,548        255
 
       Available Funds
       ---------------
  256   Class A Available Funds                                                                      $  4,469,352        256
  257    The amount to be withdrawn from the Reserve Account to be included in 
       Class A Available funds                                                                       $          -        257  
  258    Principal Investment Proceeds to be included in Class A Available Funds                     $          -        258
  259    The amount of investment earnings on amounts held in the Reserve Account to be 
         included in Class A Available funds                                                         $          -        259

  260   Class B Available Funds                                                                      $    480,455        260
  261    The amount to be withdrawn from the Reserve Account to be included in 
       Class B Available funds                                                                       $          -        261
  262    Principal Investment Proceeds to be included in Class B Available Funds                     $          -        262
  263    The amount of investment earnings on amounts held in the Reserve 
       Account to be included in Class B Available funds                                             $          -        263
 
  264  Collateral Available Funds                                                                    $    536,322        264
 
  265  Class D Available Funds                                                                       $    357,548        265

- ---------------------------------------------------------------------------------------------------------------------------------- 
                                                  APPLICATION OF COLLECTIONS
==================================================================================================================================  

       Class A
       -------
  266  Class A Monthly Interest for the related Distribution Date, plus the amount of 
       any Class A Monthly Interest previously due but not paid plus any additional 
       interest with respect to interest amounts that were due but not paid on a prior 
       Distribution date                                                                             $  1,000,000        266 
  267  If Saks Incorporated is no longer the Servicer, an amount equal to Class A                    
       Servicing fee for the related Distribution Date                                               $          -        267 
  268  Class A Allocable Amount                                                                      $    643,123        268
  269  An amount to be included in the Excess Spread                                                 $  2,826,229        269

       Class B
       -------
</TABLE> 

                                                                     Page 2 of 5
<PAGE>
 
<TABLE> 
<S>                                                                                                  <C>                 <C> 
  270  Class B Monthly Interest for the related Distribution Date, plus the 
       amount of any Class B Monthly Interest previously due but not paid                            $    110,188        270
       plus any additional interest with respect to interest amounts that
       were due but not paid on a prior Distribution date
  271  If Saks Incorporated is no longer the Servicer, an amount equal to                            $          -        271
       Class B Servicing fee for the related Distribution Date
  272  An amount to be included in the Excess Spread                                                 $    370,268        272
 
       Collateral
       ----------
  273  If Saks Incorporated is no longer the Servicer, an amount equal to 
       Collateral Servicing fee for the related Distribution Date                                    $          -        273
  274  An amount to be included in the Excess Spread                                                 $    536,322        274
 
       Class D
       -------
  275  If Saks Incorporated is no longer the Servicer, an amount equal to 
       Class D Servicing fee for the related Distribution Date                                       $          -        275
  276  An amount to be included in the Excess Spread                                                 $    357,548        276
 
  277  Available Excess Spread                                                                       $  4,090,368        277
  278  Available Shared Excess Finance Charge Collections                                            $          -        278
  279  Total Cash Flow available for 1998-2 waterfall                                                $  4,090,368        279
 
  280  Class A Required Amount is to be used to fund any deficiency in line 
       266, line 267 and line 268                                                                    $          -        280
  281  The aggregate amount of Class A Investor Charge Offs which have not
       been previously reimbursed                                                                    $          -        281
  282  Class B Required Amount to the extent attributable to line 270, and
       line 271                                                                                      $          -        282
  283  Class B Allocable Amount                                                                      $     69,136        283
  284  Any remaining portion of the Class B Required Amount                                          $          -        284
  285  An amount equal to any unreimbursed reductions of the Class B 
       Investor Amount, if any, due to: (i) Class B Investor Charge Offs; 
       (ii) Reallocated Principal Collections; (iii) reallocations of the 
       Class B Investor Amount to the Class A Investor Amount                                        $          -        285
  286  Collateral Monthly Interest for the related Distribution Date plus
       Collateral Monthly Interest previously due but not paid to the 
       Collateral Indebtedness Holder plus Collateral Additional Interest                            $    117,568        286
  287  Class A Servicing Fee plus Class B Servicing Fee plus Collateral 
       Servicing Fee due for the relevant Monthly Period and not  paid                               $    409,167        287
       above 
  288  Class A Servicing Fee plus Class B Servicing Fee plus Collateral 
       Servicing Fee due but not distributed to the Servicer for prior                               $          -        288
       Monthly Periods                             
  289  Collateral Allocable Amount                                                                   $     77,175        289
  290  Any unreimbursed reductions of the Collateral Indebtedness Amount 
       (CIA), if any, due to: (i) CIA Charge Offs; (ii) Reallocated 
       Principal Collections;(iii) reallocations of the CIA to the Class A                           $          -        290
       or Class B Investor Amount                      
  291  The excess, if any, of the Required Cash Collateral Amount over the
       Available Collateral Amount                                                                   $          -        291      
  292  An amount equal to Class D Monthly Interest due but not paid to the 
       Class D Certificateholders plus Class D Additional Interest                                   $     81,823        292  
  293  Class D Servicing Fee due for the relevant Monthly Period and not 
       paid above                                                                                    $     26,667        293
  294  Class D Servicing Fee due but not distributed to the Servicer for 
       prior Monthly Periods                                                                         $          -        294
  295  Class D Allocable Amount                                                                      $     51,450        295
  296  Any unreimbursed reductions of the Class D Investor Amount, if any,
       due to: (i) Class D Investor Charge Offs; (ii) Reallocated Principal
       Collections; (iii) reallocations of the Class D Investor Amount to 
       the Class A or Class B Investor Amount or CIA                                                 $          -        296
  297  Aggregate amount of any other amounts due to the Collateral 
       Indebtedness Holder pursuant to the Loan Agreement                                            $          -        297  
  298  Excess, if any, of the Required Reserve Account Amount over the 
       amount on deposit in the Reserve Account                                                      $          -        298  
  299  Shared Excess Finance Charge Collections                                                      $  3,257,384        299
 
- -----------------------------------------------------------------------------------------------------------------------------------
                                                DETERMINATION OF MONTHLY PRINCIPAL
===================================================================================================================================

  300  Class A Monthly Principal (the least of line #301, line #302 and
       line #208)                                                                                    $          -        300

  301  Available Principal Collections held in the Collection Account                                $ 51,071,274        301
  302  Class A Accumulation Amount                                                                   $          -        302
</TABLE> 
 
                                                                     Page 3 0f 5
<PAGE>
 
<TABLE> 
<CAPTION>  
  <S>                                                                                                <C>                 <C>        

  303  Class B Monthly Principal (the least of line #304, line #305 and line #209)           
       distributable only after payout of Class A)                                                   $          -        303
  304   Available Principal Collections held in the Collection Account less portion of
       such Collections applied to Class A Monthly Principal                                         $ 51,071,274        304
  305   Class B Accumulation Amount                                                                  $          -        305
 
  306  Collateral Monthly Principal (prior to payout of Class B) (the
       least of line #307 and line #308)                                                             $          -        306
  307   Available Principal Collections held in the Collection Account less portion
       of such Collections applied to Class A and Class B Monthly Principal                          $ 51,071,274        307
  308   Enhancement Surplus                                                                          $          -        308
 
  309  Class D Monthly Principal                                                                     $          -        309
  310   Available Principal Collections held in the Collection Account less
       portion of such Collections applied to Class A, Class B or collateral
       Monthly Principal                                                                             $ 51,071,274        310
 
 
- ----------------------------------------------------------------------------------------------------------------------------------
                                                   AVAILABLE ENHANCEMENT AMOUNT
==================================================================================================================================
  311  Available Enhancement Amount                                                                  $ 40,000,000        311
  312   Amount on Deposit in the Cash Collateral Account                                             $          -        312

- ---------------------------------------------------------------------------------------------------------------------------------- 
                                                 REALLOCATED PRINCIPAL COLLECTIONS
==================================================================================================================================
  313  Reallocated Principal Collections                                                             $          -        313
  314   Class D Principal Collections (to the extent needed to fund Required Amounts)                $          -        314
  315   Collateral Principal Collections (to the extent needed to fund Required Amounts)             $          -        315
  316   Class B Principal Collections (to the extent needed to fund Required Amounts)                $          -        316

- ---------------------------------------------------------------------------------------------------------------------------------- 
                                INVESTOR DEFAULT AMOUNTS, ADJUSTMENT AMOUNTS, AND ALLOCABLE AMOUNTS
==================================================================================================================================
                                                               %                                        Amount
                                                           ----------                               -------------- 
  317  Series 1998-2 Default Amount                          35.78%    317(a)                        $    840,883        317(b)
  318  Class A Investor Default Amount                       27.37%    318(a)                        $    643,123        318(b)
  319  Class B Investor Default Amount                        2.94%    319(a)                        $     69,136        319(b)
  320  Collateral Default Amount                              3.28%    320(a)                        $     77,175        320(b)
  321  Class D Investor Default Amount                        2.19%    321(a)                        $     51,450        321(b)
 
  322  Series 1998-2 Adjustment Amount                                                               $          -        322
  323  Class A Adjustment Amount                                                                     $          -        323
  324  Class B Adjustment Amount                                                                     $          -        324
  325  Collateral Adjustment Amount                                                                  $          -        325
  326  Class D Adjustment Amount                                                                     $          -        326

  327  Series 1998-2 Allocable Amount                                                                $    840,883        327
  328   Class A Allocable Amount                                                                     $    643,123        328
  329   Class B Allocable Amount                                                                     $     69,136        329
  330   Collateral Allocable Amount                                                                  $     77,175        330
  331   Class D Allocable Amount                                                                     $     51,450        331
 
- ----------------------------------------------------------------------------------------------------------------------------------
                                                         REQUIRED AMOUNTS
==================================================================================================================================
  332  Class A Required Amount                                                                       $          -        332
  333   Class A Monthly Interest for current Distribution Date                                       $  1,000,000        333
  334   Class A Monthly Interest previously due but not paid                                         $          -        334
  335   Class A Additional Interest for prior Monthly Period or previously due but not               $          -        335
       paid  
  336   Class A Allocable Amount for current Distribution Date                                       $          -        336
  337   Class A Servicing Fee (if Saks Incorporated is no longer the Servicer)                       $          -        337

  338  Class B Required Amount                                                                       $          -        338
  339   Class B Monthly Interest for current Distribution Date                                       $    110,188        339
  340   Class B Monthly Interest previously due but not paid                                         $          -        340
  341   Class B Additional Interest for prior Monthly Period or previously due but not               
       paid                                                                                          $          -        341  
  342   Class B Servicing Fee (if Saks Incorporated is no longer the Servicer)                       $          -        342
  343   Excess of Class B Allocable Amount over funds available to make                              $          -        343
</TABLE> 
 
                                                                     Page 4 of 5
<PAGE>
 
<TABLE> 
<S>                                                                                                  <C>                 <C> 
  344  Collateral Required Amount                                                                    $         -         344
  345  Collateral Monthly Interest for current Distribution Date                                     $    117,568        345
  346  Collateral Monthly Interest previously due but not paid                                       $          -        346
  347  Collateral Additional Interest for prior Monthly Period or previously due but                 
       not paid                                                                                      $          -        347
  348  Collateral Servicing Fee (if Saks Incorporated is no longer the Servicer)                     $          -        348
  349  Excess of Collateral Allocable Amount over funds available to make payments                   $          -        349

- ----------------------------------------------------------------------------------------------------------------------------------
                                                   REDUCTION OF INVESTOR AMOUNTS
==================================================================================================================================

       Class A
       -------
  350  Class A Investor Amount reduction                                                             $          -        350
  351   Class A Investor Charge Off                                                                  $          -        351
  352   Reductions of the Class A Investor Amount                                                    $          -        352
       Class B
       -------
  353  Class B Investor Amount reduction                                                             $          -        353
  354   Class B Investor Charge Off                                                                  $          -        354
  355   Reductions of the Class B Investor Amount                                                    $          -        355
  356   Reallocated Principal Collections applied to Class A                                         $          -        356
       Collateral
       ----------
  357  Collateral Indebtedness Amount reduction                                                      $          -        357
  358   Collateral Indebtedness Amount Charge Off                                                    $          -        358
  359   Reductions of the Collateral Indebtedness Amount                                             $          -        359
  360   Reallocated Principal Collections applied to Class B                                         $          -        360
       Class D
       -------
  361  Class D Investor Amount reduction                                                             $          -        361
  362   Class D Investor Charge Off                                                                  $          -        362
  363   Reductions of the Class D Investor Amount                                                    $          -        363
  364   Reallocated Principal Collections applied to Collateral Indebtedness 
       Amount                                                                                        $          -        364
 
- ----------------------------------------------------------------------------------------------------------------------------------
                                                           SERVICING FEE
==================================================================================================================================
  365  Series 1998-2 Servicing Fee                                                                   $    435,833        365 
  366   Class A Servicing Fee                                                                        $    333,333        366 
  367   Class B Servicing Fee                                                                        $     35,833        367 
  368   Collateral Servicing Fee                                                                     $     40,000        368 
  369   Class D Servicing Fee                                                                        $     26,667        369 

- ---------------------------------------------------------------------------------------------------------------------------------- 
                                                          RESERVE ACCOUNT
==================================================================================================================================
  370  Required Reserve Account Amount ( if applicable)                                                 N/A              370
  371  Reserve Account Reinvestment Rate (if applicable)                                                N/A              371
  372  Reserve Account balance                                                                       $          -        372
 
 
  373  Accumulation Period Length                                                                        12 months       373
</TABLE> 
 
       IN WITNESS WHEREOF, THE UNDERSIGNED HAS DULY EXECUTED AND DELIVERED THIS
       CERTIFICATE THIS 10TH DAY OF APRIL, 1999.
 
       SAKS INCORPORATED,
       AS SERVICER
 
       BY /S/ JAMES S. SCULLY
          ----------------------
       NAME:  JAMES S. SCULLY
       TITLE: VICE PRESIDENT AND TREASURER
 
                                                                     Page 5 of 5


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