PROFFITTS CREDIT CARD MASTER TRUST
8-K, 1999-05-17
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): May 17, 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
April 1999, to the Series 1997-2 Certificateholders on May 17, 1999.

     Saks Incorporated, as Servicer under the Proffitt's Credit Card Master
Trust, distributed the Monthly Certificateholders' Statement for the month of
April 1999, to the Series 1998-1 Certificateholders on May 17, 1999.

     Saks Incorporated, as Servicer under the Proffitt's Credit Card Master
Trust, distributed the Monthly Certificateholders' Statement for the month of
April 1999, to the Series 1998-2 Certificateholders on May 17, 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 April 1999
 
     99.2            Series 1998-1 Monthly Certificateholders' Statement for the
                     month of April 1999

     99.3            Series 1998-2 Monthly Certificateholders' Statement for the
                     month of April 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:  May 17, 1999

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

Exhibit
- -------

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

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

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

<PAGE>
 
                                  Exhibit 99.1

Series 1997-2 Monthly Certificateholders' Statement for the month of April 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                                     May 10, 1999
     Monthly Period ending:                                    April 30, 1999
     Determination Date                                          May 10, 1999
     Distribution Date                                           May 17, 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
                                                                                                                          
<CAPTION> 
- ---------------------------------------------------------------------------------------------------------------------------------- 
                                                        Investor Amount                                                   
- ----------------------------------------------------------------------------------------------------------------------------------  
                                                                       as of the end of prior           as of the end of  
                                                                            Monthly Period                the relevant    
                                                                                                         Monthly Period   
                                                                       ----------------------           ----------------  
<S>                                                                    <C>                      <C>    <C>                 <C> 
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                                                                    5.52625%     218
219  Class D Certificate Rate                                                                                 5.80125%     219
220  Weighted average interest rate for Series 1997-2                                                           6.39%      220
                                                                                                                          
                                                                       as of the end of prior           as of the end of  
                                                                            Monthly Period                the relevant    
                                                                                                         Monthly Period   
                                                                       ----------------------           ----------------  
221  Series 1997-2 Investor Percentage with respect to Finance Charge          32.60%           221(a)        32.04%       221(b) 
     Receivables                                                                                                          
222  Class A                                                                   24.94%           222(a)        24.51%       222(b)
223  Class B                                                                    2.77%           223(a)         2.72%       223(b)
224  Collateral Indebtedness Amount                                             2.91%           224(a)         2.86%       224(b)
225  Class D                                                                    1.98%           225(a)         1.95%       225(b)
                                                                                                                          
226  Series 1997-2 Investor Percentage with respect to Principal               32.60%           226(a)        32.04%       226(b)
     Receivables                                                                                                          
227  Class A                                                                   24.94%           227(a)        24.51%       227(b)
228  Class B                                                                    2.77%           228(a)         2.72%       228(b)
229  Collateral Indebtedness Amount                                             2.91%           229(a)         2.86%       229(b)
230  Class D                                                                    1.98%           230(a)         1.95%       230(b)
                                                                                                                          
231  Series 1997-2 Investor Percentage with respect to Allocable Amounts       32.60%           231(a)        32.04%       231(b)
232  Class A                                                                   24.94%           232(a)        24.51%       232(b)
233  Class B                                                                    2.77%           233(a)         2.72%       233(b)
234  Collateral Indebtedness Amount                                             2.91%           234(a)         2.86%       234(b)
235  Class D                                                                    1.98%           235(a)         1.95%       235(b)
                                                                                                                          
<CAPTION> 
- ---------------------------------------------------------------------------------------------------------------------------------- 
                                             Series 1997-2 Investor Distributions                                         
- ----------------------------------------------------------------------------------------------------------------------------------  
<S>                                                                    <C>                       <C>    <C>                <C> 
236  The sum of the daily allocations of collections of Principal                                       $              -   236
     Receivables for the relevant Monthly period                                                                          
237  Class A distribution of collections of Principal Receivables per                                   $              -   237
     $1,000 of original principal amount
</TABLE> 

                                                                     Page 1 of 5
<PAGE>
 
<TABLE> 
<CAPTION> 
<S>  <C>                                                                             <C>                <C>               <C> 
238  Class B distribution of collections of Principal Receivables per                                   $              -   238
     $1,000 of original principal amount
239  Collateral Indebtedness Amount distribution of collections of                                      $              -   239
     Principal Receivables per $1,000 of original principal amount
240  Class D distribution of collections of Principal Receivables per                                   $              -   240
     $1,000 of original principal amount
241  Class A distribution attributable to interest per $1,000 of                                        $           5.42   241
     original principal amount
242  Class B distribution attributable to interest per $1,000 of                                        $           5.58   242
     original principal amount
243  Collateral Indebtedness Amount distribution attributable to                                        $           4.91   243
     interest per $1,000 of original principal amount
244  Class D distribution attributable to interest per $1,000 of                                        $              -   244
     original principal amount
245  Monthly Servicing Fee for the next succeeding Distribution Date                                    $           1.67   245
     per $1,000 of original principal amount

<CAPTION> 
- ----------------------------------------------------------------------------------------------------------------------------------  
                                               Collections Allocated to Series 1997-2
- ----------------------------------------------------------------------------------------------------------------------------------  
<S>  <C>                                                                             <C>                <C>               <C> 
246  Series allocation of collections of Principal Receivables                                          $     45,529,617   246
247  Class A                                                                                            $     34,829,287   247
248  Class B                                                                                            $      3,869,921   248
249  Collateral Indebtedness Amount                                                                     $      4,063,417   249
250  Class D                                                                                            $      2,766,993   250

251  Series allocation of collections of Finance Charge Receivables                                     $      5,021,930   251
252  Class A                                                                                            $      3,841,681   252
253  Class B                                                                                            $        426,853   253
254  Collateral Indebtedness Amount                                                                     $        448,196   254
255  Class D                                                                                            $        305,200   255

     Available Funds
     ---------------
256  Class A Available Funds                                                                            $      3,841,681   256
257  The amount to be withdrawn from the Reserve Account to be included                                 $              -   257
     in Class A Available funds
258  Principal Investment Proceeds to be included in Class A Available                                  $              -   258
     Funds 
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                                                                            $        426,853   260
261  The amount to be withdrawn from the Reserve Account to be included                                 $              -   261
     in Class B Available funds
262  Principal Investment Proceeds to be included in Class B Available                                  $              -   262
     Funds 
263  The amount of investment earnings on amounts held in the Reserve                                   $              -   263
     Account to be included in Class B Available funds

264  Collateral Available Funds                                                                         $        448,196   264

265  Class D Available Funds                                                                            $        305,200   265

<CAPTION> 
- ---------------------------------------------------------------------------------------------------------------------------------- 
                                                      Application of Collections
- ----------------------------------------------------------------------------------------------------------------------------------  

     Class A
     -------
<S>  <C>                                                                             <C>                <C>                <C> 
266  Class A Monthly Interest for the related Distribution Date,                                        $        975,000   266 
     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
267  If Saks Incorporated is no longer the Servicer, an amount equal to                                 $              -   267
     Class A Servicing fee for the related Distribution Date
268  Class A Allocable Amount                                                                           $        524,537   268
269  An amount to be included in the Excess Spread                                                      $      2,342,144   269

     Class B
     -------
270  Class B Monthly Interest for the related Distribution Date,                                        $        111,500   270 
     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  
271  If Saks Incorporated is no longer the Servicer, an amount equal to                                 $              -   271
     Class B Servicing fee for the related Distribution Date
</TABLE> 

                                                                     Page 2 of 5
<PAGE>
 
<TABLE> 
  <S>  <C>                                                                                   <C>        <C>                  <C> 
  272  An amount to be included in the Excess Spread                                                    $    315,353         272
 
       Collateral
       ----------
  273  If Saks Incorporated is no longer the Servicer, an amount equal to Collateral                               -         273
       Servicing fee for the related Distribution Date
  274  An amount to be included in the Excess Spread                                                    $    448,196         274

       Class D
       -------
  275  If Saks Incorporated is no longer the Servicer, an amount equal to Class D                                  -         275
       Servicing fee for the related Distribution Date
  276  An amount to be included in the Excess Spread                                                    $    305,200         276
 
  277  Available Excess Spread                                                                          $  3,410,893         277
  278  Available Shared Excess Finance Charge Collections                                                          -         278
  279  Total Cash Flow available for 1997-2 waterfall                                                   $  3,410,893         279
 
  280  Class A Required Amount is to be used to fund any deficiency in line266, line267                 $          -         280
       and line268
  281  The aggregate amount of Class A Investor Charge Offs which have not been                         $          -         281
       previously reimbursed
  282  Class B Required Amount to the extent attributable to line270, and line271                       $          -         282
  283  Class B Allocable Amount                                                                         $     58,282         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                       $          -         285
       Principal Collections; (iii) reallocations of the Class B Investor Amount to the 
       Class A Investor Amount
  286  Collateral Monthly Interest for the related Distribution Date plus Collateral 
       Monthly Interest previously  due but not paid to the Collateral Indebtedness                     $    103,157         286
       Holder plus Collateral Additional Interest
  287  Class A Servicing Fee plus Class B Servicing Fee plus Collateral Servicing Fee                   $    368,333         287
       due for the relevant Monthly Period and not paid above
  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                                                                      $     61,196         289
  290  Any unreimbursed reductions of the Collateral Indebtedness Amount (CIA), if any, 
       due to: (i) CIA Charge Offs; (ii) Reallocated Principal Collections; (iii)                       $          -         290
        reallocations of the CIA to the Class A or Class B Investor Amount
  291  The excess, if any, of the Required Cash Collateral Amount over the Available                    $          -         291
       Collateral Amount
  292  An amount equal to Class D Monthly Interest due but not paid to the Class D                      $     73,740         292
       Certificateholders plus Class D Additional Interest
  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                                                                         $     41,672         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)                      $          -         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                                                         $  2,680,680         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                                 $ 45,529,617         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                 $ 45,529,617         304
       such Collections applied to Class A Monthly Principal
  305    Class B Accumulation Amount                                                                    $          -         305
</TABLE> 
 
<PAGE>
 
<TABLE> 
  <S>  <C>                                                                                   <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                                $ 45,529,617         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                     $ 45,529,617         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                           $          -         314
       Amounts)                                                                                                              
  315    Collateral Principal Collections (to the extent needed to fund Required                        $          -         315
       Amounts)                                                                                                              
  316    Class B Principal Collections (to the extent needed to fund Required                           $          -         316
       Amounts)                                                                                                              
                                                                                                                             
- -----------------------------------------------------------------------------------------------------------------------------------
                                Investor Default Amounts, Adjustment Amounts, and Allocable Amounts                          
- -----------------------------------------------------------------------------------------------------------------------------------
                                                                                 %                            Amount         
                                                                            -----------                 ---------------      
  317  Series 1997-2 Default Amount                                            32.60%        317(a)     $    685,686         317(b)
  318  Class A Investor Default Amount                                         24.94%        318(a)     $    524,537         318(b)
  319  Class B Investor Default Amount                                          2.77%        319(a)     $     58,282         319(b)
  320  Collateral Default Amount                                                2.91%        320(a)     $     61,196         320(b)
  321  Class D Investor Default Amount                                          1.98%        321(a)     $     41,672         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                                                                   $    685,686         327
  328    Class A Allocable Amount                                                                       $    524,537         328
  329    Class B Allocable Amount                                                                       $     58,282         329
  330    Collateral Allocable Amount                                                                    $     61,196         330
  331    Class D Allocable Amount                                                                       $     41,672         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                             $          -         335
       due but not 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                         $          -         341
       but not 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                                      $    103,157         345
  346    Collateral Monthly Interest previously due but not paid                                        $          -         346
  347  Collateral Additional Interest for prior Monthly Period or previously                            $          -         347
       due but not paid
</TABLE> 
<PAGE>
 
<TABLE> 
  <S>  <C>                                                                                    <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                                        $          -         364
       Indebtedness Amount

- ----------------------------------------------------------------------------------------------------------------------------------
                                                           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
       May, 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 April 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                             May 10, 1999
    Monthly Period Ending:                            April 30, 1999
    Determination Date                                  May 10, 1999
    Distribution Date                                   May 17, 1999
 
<TABLE> 
<CAPTION> 
- ---------------------------------------------------------------------------------------------------------------------------
                                                              General
- ---------------------------------------------------------------------------------------------------------------------------
<S>    <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   Class C Investor Amount paid in full                                                         No                205
 206   Saks Incorporated is the Servicer                                                           Yes                206 

<CAPTION> 
- --------------------------------------------------------------------------------------------------------------------------- 
                                                          Investor Amount
- ---------------------------------------------------------------------------------------------------------------------------
                                                                                             as of the end of              
                                                    as of the end of prior                     the relevant                   
                                                        Monthly Period                        Monthly Period 
                                                  ------------------------                 -------------------   
<S>    <C>                                        <C>                         <C>          <C>                        <C> 
 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                                                              5.29%          217
        Series 1998-1   
                                                                                                as of the end of                
                                                  as of the end of prior                          the relevant     
                                                       Monthly Period                            Monthly Period    
                                                  ----------------------                   ----------------------
 218   Series 1998-1 Investor Percentage with                                                                     
       respect to Finance Charge Receivables           12.68%                 218(a)                  12.46%          218(b) 
 219      Class A                                       9.28%                 219(a)                   9.12%          219(b)
 220      Class B                                       1.11%                 220(a)                   1.09%          220(b)
 221      Class C                                       2.29%                 221(a)                   2.25%          221(b)
 
 222   Series 1998-1 Investor Percentage with 
       respect to Principal Receivables                12.68%                 222(a)                  12.46%          222(b) 
 223      Class A                                       9.28%                 223(a)                   9.12%          223(b)
 224      Class B                                       1.11%                 224(a)                   1.09%          224(b)
 225      Class C                                       2.29%                 225(a)                   2.25%          225(b)
                                                                                                              
 226   Series 1998-1 Investor Percentage                                                                      
       with respect to Default Amounts                 12.68%                 226(a)                  12.46%          226(b) 
 227      Class A                                       9.28%                 227(a)                   9.12%          227(b)
 228      Class B                                       1.11%                 228(a)                   1.09%          228(b)
 229      Class C                                       2.29%                 229(a)                   2.25%          229(b)
</TABLE> 
 
                                                                     Page 1 of 4
<PAGE>
 
 
<TABLE> 
<CAPTION> 
- ------------------------------------------------------------------------------------------------------------------------------- 
                                               Series 1998-1 Investor Distributions
- -------------------------------------------------------------------------------------------------------------------------------  
<S>    <C>                                                                           <C>        <C>                      <C> 
 230   The sum of the daily allocations of collections of Principal Receivables for                                          
       the relevant Monthly Period                                                              $            -           230 
 231   Class A distribution of collections of Principal Receivables per $1,000 of                                            
       original principal amount                                                                $            -           231 
 232   Class B distribution of collections of Principal Receivables per $1,000 of                                            
       original principal amount                                                                $            -           232 
 233   Class C distribution of collections of Principal Receivables per $1,000 of                                            
       original principal amount                                                                $            -           233 
 234   Class A distribution attributable to interest per $1,000 of original                                                  
       principal amount                                                                         $         5.36           234 
 235   Class B distribution attributable to interest per $1,000 of original                                                  
       principal amount                                                                         $         5.51           235 
 236   Class C distribution attributable to interest per $1,000 of original                                                  
       principal amount                                                                         $            -           236 
 237   Monthly Servicing Fee for the next succeeding Distribution Date per $1,000 of                                         
       original principal amount                                                                $         1.67           237 
 
<CAPTION> 
- ------------------------------------------------------------------------------------------------------------------------------- 
                                              Collections Allocated To Series 1998-1
- -------------------------------------------------------------------------------------------------------------------------------  

       Allocations of Finance Charge Collections
       -----------------------------------------
<S>    <C>                                                                           <C>        <C>                      <C> 
 238   Investor allocation of Finance Charge Collections during the Collection                                               
       Period pursuant to Section 4.4                                                           $    1,952,854           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)                                                 $    1,952,854           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)                                $    1,952,854           247    

<CAPTION> 
- -------------------------------------------------------------------------------------------------------------------------------  
                                             Application Of Finance Charge Collections
- -------------------------------------------------------------------------------------------------------------------------------  
<S>    <C>                                                                           <C>        <C>                      <C> 
 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))                                                $      266,640           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>   
       An amount equal to any unreimbursed reductions of the Class B
 256   Investor Amount, if any, due to (i) Reallocated Principal Collections and                $              -       256 
       (ii) Class B Investor Charge-Offs (Section 4.6 (f))                       
       An amount equal to any unreimbursed reductions of the Class C
 257   Investor Amount, if any, due to (i) Reallocated Principal Collections and                $              -       257 
       (ii) Class C Investor Charge-Offs (Section 4.6 (f))
       Excess, if any, of the Required Reserve Account Amount over the                          $              -       258
 258   amount on deposit in the Reserve Account (Section 4.6 (g))                           
       Class C Certificate Interest accrued and unpaid in respect of the
 259   portion of the Class C Investor Amount held by Persons other than the                    $              -       259
       Servicer or its Affiliates (Section 4.6(h))  
 260   Excess Spread                                                                            $      1,130,640       260

<CAPTION> 
- ----------------------------------------------------------------------------------------------------------------------------------
               Determination of Monthly Principal               
- ----------------------------------------------------------------------------------------------------------------------------------
<S>                                                                                   <C>       <C>                   <C>   
       During the Accumulation Period                                                          
       ------------------------------        
 261     Monthly Total Principal Allocation (Section 4.4 (b)(ii)) prior to the                                        261
       inclusion of amounts in line 262 below                                                   $              -       
 262     Amounts included in calculation of Excess Spread to be included in                                            262
       Collections of Principal Receivables (Section 4.6 (d),(e),(f))                           $              -       
 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
       
       Excess of the Monthly Total Principal Allocation over the Controlled
 267   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                                         270 
       inclusion of amounts in line 271 below                                                   $              -       
 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                                          274
       Principal Account after giving effect to line 273)                                       $              -

  275  Total Amount deposited to the Principal Account                                          $              -       275

  276  Principal Account balance after deposit to Principal Account for                                                276
       relevant Monthly Period                                                                  $              -              

<CAPTION> 
- ------------------------------------------------------------------------------------------------------------------------------
                     Reallocated Principal Collections    
- ------------------------------------------------------------------------------------------------------------------------------
  <S>  <C>                                                                            <C>       <C>                    <C>  
  277  Reallocated Principal Collections                                                        $              -       277 
  278    Class C Reallocated Amount (to the extent needed to fund excess of                     $              -       278         
       Total Deficiency Amount over Investor Default Amount)
  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> 
<CAPTION> 
- --------------------------------------------------------------------------------------------------------------------------------
               Total Deficiency Amount and Investor Charge-Offs
- ---------------------------------------------------------------------------------------------------------------------------------
<S>  <C>                                                                              <C>            <C>             <C>    
280   Monthly Finance Charge Allocation prior to allocation of Shared                                $ 1,952,854     280
        Finance Charge Collections  

  281   Total Monthly Payment                                                                        $   822,215     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                                                                    $   266,640     285
  286     Unpaid Deposit Obligation                                                                  $         -     286

  287   Total Deficiency Amount prior to allocation of Shared Finance Charge                         $         -     287
        Collections (excess of line 281 over line 280)                                               

  288   Allocation of Shared Finance Charge Collections to Series 1998-1                             $         -     288 
        during the Relevant Monthly Period                                                            
  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

<CAPTION> 
- ----------------------------------------------------------------------------------------------------------------------------
                         Reduction of Investor Amounts
- ----------------------------------------------------------------------------------------------------------------------------
<S>    <C>                                                                             <C>            <C>             <C>    
        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                              $         -     295
        Investor Charge-offs reimbursed pursuant to Section 4.6 (f)                                  
  296     Aggregate amount of Class B Reallocated Amounts over Class B
        Reallocated Amounts reimbursed pursuant to subsection 4.6 (f) or                             $         -     296
        allocated to the Class C Investor Amount pursuant to Section 4.11                           

        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

<CAPTION> 
- -------------------------------------------------------------------------------------------------------------------------------
                                 Pool Factors
- -------------------------------------------------------------------------------------------------------------------------------
<S>  <C>                                                                              <C>            <C>             <C>    
  299   Class A Pool Factor                                                                              100.00%     299
  300   Class B Pool Factor                                                                              100.00%     300
  301   Class C Pool Factor                                                                              100.00%     301

<CAPTION> 
- ---------------------------------------------------------------------------------------------------------------------------------
                                Reserve Account
- ---------------------------------------------------------------------------------------------------------------------------------
<S>  <C>                                                                              <C>            <C>             <C>    
  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 May, 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 April 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                           May 10, 1999
       Monthly Period Ending:                            April 30, 1999
       Determination Date                                May 10, 1999
       Distribution Date                                 May 17, 1999

<TABLE>
<CAPTION>
- -----------------------------------------------------------------------------------------------------------------------------------
                                                              General
- -----------------------------------------------------------------------------------------------------------------------------------
<S>    <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

<CAPTION> 
- ----------------------------------------------------------------------------------------------------------------------------------- 
                                                          Investor Amount
- -----------------------------------------------------------------------------------------------------------------------------------
                                                                  as of the end of prior               as of the end of 
                                                                      Monthly Period                 the relevant Monthly
                                                                                                            Period
                                                                  ----------------------             --------------------
<S>    <C>                                                        <C>                       <C>      <C>                    <C> 
  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                                                                 5.67625%     218
  219    Class D Certificate Rate                                                                              5.92625%     219
  220  Weighted average interest rate for Series 1998-2                                                           5.98%     220
 
                                                                                                   
                                                                  as of the end of prior               as of the end of 
                                                                      Monthly Period                     the relevant     
                                                                                                        Monthly Period     
                                                                  ----------------------               ----------------
  221  Series 1998-2 Investor Percentage with respect to Finance              36.23%        221(a)               35.61%     221(b)
       Charge Receivables 
  222    Class A                                                              27.71%        222(a)               27.24%     222(b)
  223    Class B                                                               2.98%        223(a)                2.93%     223(b)
  224    Collateral Indebtedness Amount                                        3.32%        224(a)                3.27%     224(b)
  225    Class D                                                               2.22%        225(a)                2.18%     225(b)
 
  226  Series 1998-2 Investor Percentage with respect to                      36.23%        226(a)               35.61%     226(b)
       Principal Receivables 
  227    Class A                                                              27.71%        227(a)               27.24%     227(b)
  228    Class B                                                               2.98%        228(a)                2.93%     228(b)
  229    Collateral Indebtedness Amount                                        3.32%        229(a)                3.27%     229(b)
  230    Class D                                                               2.22%        230(a)                2.18%     230(b)
                                                                                                                                  
  231  Series 1998-2 Investor Percentage with respect to                      36.23%        231(a)               35.61%     231(b)
       Allocable Amounts                                                                                                          
  232    Class A                                                              27.71%        232(a)               27.24%     232(b)
  233    Class B                                                               2.98%        233(a)                2.93%     233(b) 
  234    Collateral Indebtedness Amount                                        3.32%        234(a)                3.27%     234(b) 
  235    Class D                                                               2.22%        235(a)                2.18%     235(b)
 
<CAPTION> 
- ----------------------------------------------------------------------------------------------------------------------------------- 
                                               Series 1998-2 Investor distributions
- ----------------------------------------------------------------------------------------------------------------------------------- 
<S>    <C>                                                        <C>                       <C>        <C>                  <C> 

  236  The sum of the daily allocations of collections                                                    $          -      236
       of Principal Receivables for the relevant 
       Monthly Period
</TABLE> 
<PAGE>
 
<TABLE> 
<S>    <C>                                                                                      <C>       <C>               <C> 
  237    Class A distribution of collections of Principal Receivables per $1,000 of                       $          -      237
       original principal amount
  238    Class B distribution of collections of Principal Receivables per $1,000 of                       $          -      238
       original principal amount
  239    Collateral Indebtedness Amount distribution of collections of Principal                          $          -      239
       Receivables per $1,000 of original principal amount
  240    Class D distribution of collections of Principal Receivables per $1,000 of                       $          -      240
       original principal amount
  241    Class A distribution attributable to interest per $1,000 of original principal                   $       5.00      241
       amount
  242    Class B distribution attributable to interest per $1,000 of original principal                   $       5.13      242
       amount
  243    Collateral Indebtedness Amount distribution attributable to interest per $1,000                  $       5.05      243
       of original principal amount
  244    Class D distribution attributable to interest per $1,000 of original principal                   $          -      244
       amount
  245  Monthly Servicing Fee for the next succeeding Distribution Date per $1,000 of                      $       1.67      245
       original principal amount

<CAPTION> 
- ----------------------------------------------------------------------------------------------------------------------------------- 
                                              Collections Allocated to Series 1998-2
- -----------------------------------------------------------------------------------------------------------------------------------
<S>    <C>                                                                                      <C>       <C>               <C> 
  246  Series allocation of collections of Principal Receivables                                          $ 50,599,214      246
  247    Class A                                                                                          $ 38,699,207      247
  248    Class B                                                                                          $  4,160,165      248
  249    Collateral Indebtedness Amount                                                                   $  4,643,905      249
  250    Class D                                                                                          $  3,095,937      250
 
  251  Series allocation of collections of Finance Charge Receivables                                     $  5,581,108      251
  252    Class A                                                                                          $  4,268,534      252
  253    Class B                                                                                          $    458,867      253
  254    Collateral Indebtedness Amount                                                                   $    512,224      254
  255    Class D                                                                                          $    341,483      255
 
       Available Funds
       ---------------
  256    Class A Available Funds                                                                          $  4,268,534      256
  257      The amount to be withdrawn from the Reserve Account to be included in                          $          -      257
       Class A Available funds
  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                                                                          $    458,867      260
  261      The amount to be withdrawn from the Reserve Account to be included in                          $          -      261
       Class B Available funds
  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                               $          -      263
       Account to be included in Class B Available funds
 
  264  Collateral Available Funds                                                                         $    512,224      264
 
  265  Class D Available Funds                                                                            $    341,483      265

<CAPTION> 
- ---------------------------------------------------------------------------------------------------------------------------------- 
                                                    Application of Collections
- ----------------------------------------------------------------------------------------------------------------------------------

       Class A
       -------
<S>    <C>                                                                                      <C>       <C>               <C> 
  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                               $  1,000,000      266
       additional interest with respect to interest amounts that were due but not 
       paid on a prior Distribution date
  267  If Saks Incorporated is no longer the Servicer, an amount equal to Class A                         $          -      267
       Servicing fee for the related Distribution Date
  268  Class A Allocable Amount                                                                           $    582,819      268
  269  An amount to be included in the Excess Spread                                                      $  2,685,715      269
 
       Class B
       -------
</TABLE> 
<PAGE>
 
<TABLE> 
<S>    <C>                                                                               <C>      <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 plus           $    110,188         270
       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 Class B                 $          -         271
       Servicing fee for the related Distribution Date
  272  An amount to be included in the Excess Spread                                              $    348,680         272
 
       Collateral
       ----------
  273  If Saks Incorporated is no longer the Servicer, an amount equal to Collateral              $          -         273
       Servicing fee for the related Distribution Date
  274  An amount to be included in the Excess Spread                                              $    512,224         274
 
       Class D
       -------
  275  If Saks Incorporated is no longer the Servicer, an amount equal to Class D                 $          -         275
       Servicing fee for the related Distribution Date
  276  An amount to be included in the Excess Spread                                              $    341,483         276
 
  277  Available Excess Spread                                                                    $  3,888,102         277
  278  Available Shared Excess Finance Charge Collections                                         $          -         278
  279  Total Cash Flow available for 1998-2 waterfall                                             $  3,888,102         279
 
  280  Class A Required Amount is to be used to fund any deficiency in line266, line267           $          -         280
       and line268
  281  The aggregate amount of Class A Investor Charge Offs which have not been                   $          -         281
       previously reimbursed
  282  Class B Required Amount to the extent attributable to line270, and line271                 $          -         282
  283  Class B Allocable Amount                                                                   $     62,653         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)                                     $          -         285
       Reallocated Principal Collections; (iii) reallocations of the Class 
       B Investor Amount to the Class A Investor Amount
  286  Collateral Monthly Interest for the related Distribution Date plus Collateral 
       Monthly Interest previously  due but not paid to the Collateral                            $    121,093         286
       Indebtedness Holder plus Collateral Additional Interest
  287  Class A Servicing Fee plus Class B Servicing Fee plus Collateral Servicing Fee             $    409,167         287
       due for the relevant Monthly Period and not paid 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                                                                $     69,938         289
  290  Any unreimbursed reductions of the Collateral Indebtedness Amount (CIA), 
       if any, due to: (i) CIA Charge Offs; (ii) Reallocated Principal                            $          -         290
       Collections; (iii) reallocations of the CIA to the Class A or Class B Investor Amount
  291  The excess, if any, of the Required Cash Collateral Amount over the Available              $          -         291
       Collateral Amount
  292  An amount equal to Class D Monthly Interest due but not paid to the Class D                $     84,284         292
       Certificateholders plus Class D Additional Interest
  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            $          -         294
       Periods
  295  Class D Allocable Amount                                                                   $     46,625         295
  296  Any unreimbursed reductions of the Class D Investor Amount, if any, due to: 
       (i) Class D Investor Charge Offs; (ii) Reallocated Principal                               $          -         296
       Collections; (iii) 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                  $          -         298
       deposit in the Reserve Account
  299  Shared Excess Finance Charge Collections                                                   $  3,067,674         299

<CAPTION>  
- -------------------------------------------------------------------------------------------------------------------------
                      Determination of Monthly Principal
- -------------------------------------------------------------------------------------------------------------------------
<S>    <C>                                                                            <C>         <C>                  <C>  
  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                             $ 50,599,214         301
  302  Class A Accumulation Amount                                                                $          -         302
</TABLE> 
 
                                                                     Page 3 of 5
<PAGE>
 
<TABLE> 
  <S>  <C>                                                                           <C>          <C>                  <C> 
  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             $ 50,599,214         304
       such Collections applied to Class A Monthly Principal
  305  Class B Accumulation Amount                                                                $          -         305
 
  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                                            $ 50,599,214         307
       Monthly Principal
  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                            $ 50,599,214         310
       collateral Monthly Principal

<CAPTION>  
- -------------------------------------------------------------------------------------------------------------------------
                         Available Enhancement Amount
- -------------------------------------------------------------------------------------------------------------------------
  <S>  <C>                                                                           <C>          <C>                  <C> 
  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

<CAPTION> 
- --------------------------------------------------------------------------------------------------------------------------
      Investor Default Amounts, Adjustment Amounts, and Allocable Amounts
- --------------------------------------------------------------------------------------------------------------------------
                                                                 %                                   Amount
                                                          ----------------------                  ------------
  <S>  <C>                                                <C>                       <C>          <C>                  <C> 
  317  Series 1998-2 Default Amount                            36.23%               317(a)        $    762,035         317(b)
  318  Class A Investor Default Amount                         27.71%               318(a)        $    582,819         318(b)
  319  Class B Investor Default Amount                          2.98%               319(a)        $     62,653         319(b)
  320  Collateral Default Amount                                3.32%               320(a)        $     69,938         320(b)
  321  Class D Investor Default Amount                          2.22%               321(a)        $     46,625         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                                                             $    762,035         327
  328  Class A Allocable Amount                                                                   $    582,819         328
  329  Class B Allocable Amount                                                                   $     62,653         329
  330  Collateral Allocable Amount                                                                $     69,938         330
  331  Class D Allocable Amount                                                                   $     46,625         331

<CAPTION> 
- --------------------------------------------------------------------------------------------------------------------------
                               Required Amounts
- --------------------------------------------------------------------------------------------------------------------------
  <S>  <C>                                                                           <C>          <C>                  <C> 
  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             $          -         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
</TABLE> 

                                                                     Page 4 of 5
<PAGE>
 
<TABLE> 
  <S>  <C>                                                                           <C>          <C>                  <C> 
  344  Collateral Required Amount                                                                 $          -         344
  345  Collateral Monthly Interest for current Distribution Date                                  $    121,093         345
  346  Collateral Monthly Interest previously due but not paid                                    $          -         346
  347  Collateral Additional Interest for prior Monthly Period or previously due but              $          -         347
       not paid
  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

<CAPTION> 
- -------------------------------------------------------------------------------------------------------------------------
                         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

<CAPTION> 
- --------------------------------------------------------------------------------------------------------------------------
                                 Servicing Fee
- --------------------------------------------------------------------------------------------------------------------------
 <S>  <C>                                                                           <C>           <C>                  <C> 
  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

<CAPTION> 
- ------------------------------------------------------------------------------------------------------------------------
                                Reserve Account
- ------------------------------------------------------------------------------------------------------------------------
 <S>  <C>                                                                           <C>          <C>                  <C> 
  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
       May, 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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