UACSC 1997-C AUTO TRUST
8-K, 1998-02-17
ASSET-BACKED SECURITIES
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                       SECURITIES AND EXCHANGE COMMISSION

                             Washington, D.C. 20549

                                    FORM 8-K

                                 CURRENT REPORT

     Pursuant to Section 13 or 15 (D) of the Securities Exchange Act of 1934

        Date of Report (Date of earliest event reported): February 10, 1998

                             UACSC 1997-C AUTO TRUST
             (Exact name of registrant as specified in its charter)

           Delaware                 333-06929-06               35-1937340
 (State or other jurisdiction     (Commission File           (IRS Employer
    of incorporation)                  Number)            Identification No.)
                                                           UAC Securitization
                                                              Corporation

     9240 Bonita Beach Road, Suite 1109-A
     Bonita Springs, Florida                                    34135
     (address of principal                                    (zip code)
     executive offices)
     UAC Securitization Corporation

     Registrant's telephone number including area code    (941) 948-1850




<PAGE>



     The  Registrant  (the  UACSC  1997-C  Auto  Trust,  or the  "Trust")  is an
automobile  receivable  securitization  trust  formed  pursuant to a Pooling and
Servicing  Agreement  dated as of  September  1, 1997  among UAC  Securitization
Corporation,  as "Depositor," Union Acceptance  Corporation,  as "Servicer," and
Harris Trust and Savings Bank, as "Trustee" (the "Agreement"). The Registrant is
filing this Form 8-K and plans to file similar  current  reports monthly in lieu
of  reports on Form 10-Q and  compliance  with  certain  other  requirements  of
Section  15(d) of the  Securities  Exchange Act of 1934,  as amended,  which are
otherwise  applicable  to the  Trust,  on the  basis of the SEC  staff  position
described in numerous  no-action letters  applicable to securities such as those
issued  pursuant to the  Agreement.  See,  e.g.,  Prime Credit Card Master Trust
(pub.  available October 16, 1992), Private Label Credit Card Master Trust (pub.
available May 20, 1992), Sears Receivable  Financing Group, Inc. (pub. available
March 31, 1992),  Discover  Financing Group,  Incorporated,  Discover Card Trust
1991-E  (pub.  available  February 13,  1992),  Bank One Auto Trust 1995-A (pub.
available August 16, 1995) and Volkswagen Credit Auto Master Trust (pub.
available May 9, 1997).

Item 5.  Other Events.

     Union Acceptance  Corporation,  as Servicer of the Trust,  hereby files the
January 31, 1998 monthly Certificate Report with respect to the Trust as Exhibit
99-1.

Item 7.  Financial Statements and Exhibits.

Exhibit 99-1--Monthly Servicer's Certificate Report to the Trust.








                                       -2-

<PAGE>

         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 as Servicer of the UACSC 1997-C Auto Trust,
for and on behalf of UACSC 1997-C Auto Trust.

                                          UACSC 1997-C Auto Trust

                                          By:  Union Acceptance Corporation,
                                               as Servicer


Date: February 16, 1998                   By: /s/ Rick A. Brown
                                          -----------------------------------
                                          Rick A. Brown
                                          Vice President




EXHIBIT INDEX


No.      Description

99-1     UACSC  1997-C  Auto Trust  Monthly  Servicer's  Certificate  Report for
         January 31, 1998








                                       -3-




<TABLE>
<CAPTION>


                                                                      UACSC 97-C
                   UNION ACCEPTANCE CORPORATION
                            (Servicer)
                       MONTH ENDING 1/31/98

PRINCIPAL BALANCE RECONCILIATION                                               D O L L A R S                               NUMBERS
                                                          CLASS A-1     CLASS A-2       CLASS A-3     TOTAL CLASS A's
<S>                                                    <C>            <C>            <C>              <C>                   <C>   
Original Principal Balance                             27,495,000.00  87,325,000.00  103,570,162.24   218,390,162.24        15,568
Beginning Period Principal Balance                      3,329,577.33  87,325,000.00  103,570,162.24   194,224,739.57        14,387
Principal Collections - Scheduled Payments              2,212,505.10           0.00            0.00     2,212,505.10
Principal Collections - Payoffs                         1,117,072.23   1,270,782.27            0.00     2,387,854.50           200
Principal Withdrawal from Payahead                              0.00       6,244.56            0.00         6,244.56  
Gross Principal Charge Offs                                     0.00     473,753.57            0.00       473,753.57            33
Repurchases                                                     0.00      77,494.35            0.00        77,494.35             9
                                                       -------------  -------------  --------------   --------------        ------
Ending Balance                                                  0.00  85,496,725.25  103,570,162.24   189,066,887.49        14,145
                                                       =============  =============  ==============   ==============        ======

Certificate Factor                                         0.0000000      0.9790636       1.0000000        0.8657299
Pass Through Rate                                             6.2104%         6.290%          6.490%          6.3748%

</TABLE>

<TABLE>
<CAPTION>
CASH FLOW RECONCILIATION

<S>                                                                                                      <C>         
Principal Wired                                                                                          4,615,879.74
Interest Wired                                                                                           2,050,746.94
Withdrawal from Payahead Account                                                                            10,163.53
Repurchases (Principal and Interest)                                                                        78,812.03
Charge Off Recoveries                                                                                       89,155.43
Interest Advances                                                                                           40,241.80
Certificate Account Interest Earned                                                                         19,808.12
Spread Account Withdrawal                                                                                        0.00
Class A Surety Bond Draw for Class I Interest                                                                    0.00
Class A Surety Bond Draw for Class A 
    Principal or Interest                                                                                        0.00
                                                                                                         ------------

Total Cash Flow                                                                                          6,904,807.59
                                                                                                         ============


TRUSTEE DISTRIBUTION  (2/10/98)

Total Cash Flow                                                                                          6,904,807.59
Unrecovered Advances on Defaulted Receivables                                                               15,779.05
Servicing Fee (Due and Unpaid)                                                                                   0.00
Interest to Class A-1 Certificateholders                                                                    17,806.06
Interest to Class A-2 Certificateholders                                                                   457,728.54
Interest to Class A-3 Certificateholders                                                                   560,141.96
Interest to Class I Certificateholders                                                                     200,360.68
Principal to Class A-1 Certificateholders                                                                3,329,577.33
Principal to Class A-2 Certificateholders                                                                1,828,274.75
Principal to Class A-3 Certificateholders                                                                        0.00
Surety Bond Premium                                                                                         24,421.14
Interest Advance Recoveries from Payments                                                                   32,230.06
Unreimbursed draws on Class A's Surety Bond 
    for Class I Interest                                                                                         0.00
Unreimbursed draws on Class A's Surety Bond 
    for Class A Principal or  Interest                                                                           0.00
Deposit to Payahead                                                                                         17,989.68
Certificate Account Interest to Servicer                                                                    19,808.12
Payahead Account Interest to Servicer                                                                          673.75
Excess                                                                                                     400,016.47
                                                                                                         ------------

Net Cash                                                                                                         0.00
                                                                                                         ============
                                                                                                                     
                                                                                                                     
Servicing Fee Retained from Interest Collections                                                           161,853.95
</TABLE>

<PAGE>

<TABLE>
<CAPTION>
SPREAD ACCOUNT  RECONCILIATION
                                                                                                       
                                                                                                       
<S>                                                                                                              <C> 
Original Balance                                                                                                 0.00
                                                                                                         ------------
Beginning Balance                                                                                        2,729,877.03
Trustee Distribution of Excess                                                                             400,016.47
Interest Earned                                                                                             11,855.05
Spread Account Draws                                                                                             0.00
Reimbursement for Prior Spread Account Draws                                                                     0.00
Distribution of Funds to Servicer                                                                         (411,871.52)
                                                                                                         ------------
Ending Balance                                                                                           2,729,877.03
                                                                                                         ============

Required Balance                                                                                         2,729,877.03



FIRST LOSS PROTECTION  AMOUNT  RECONCILIATION
                                                                                                       
                                                                                                       
Original Balance                                                                                        10,919,508.11
                                                                                                        =============
Beginning Balance                                                                                        6,981,359.95
Reduction Due to Spread Account                                                                                  0.00
Reduction Due to Principal Reduction                                                                      (257,892.60)
                                                                                                         ------------
Ending Balance                                                                                           6,723,467.35
                                                                                                         ============

First Loss Protection Required Amount                                                                    6,723,467.35
First Loss Protection Fee %                                                                                      2.00%
First Loss Protection Fee                                                                                   11,579.30



SURETY BOND  RECONCILIATION
                                                                                                       
                                                                                                       
Original Balance                                                                                       218,390,162.24
Beginning Balance                                                                                      192,930,563.18
Draws                                                                                                            0.00
Reimbursement of Prior Draws                                                                                     0.00
                                                                                                       --------------
Ending Balance                                                                                         192,930,563.18
                                                                                                       ==============

Adjusted Ending Balance Based 
    Upon Required Balance                                                                              187,734,901.65
                                                                                                       ==============
Required Balance                                                                                       187,734,901.65


PAYAHEAD RECONCILIATION


Beginning Balance                                                                                          154,061.82
Deposit                                                                                                     17,989.68
Payahead Interest                                                                                              673.75
Withdrawal                                                                                                  10,163.53
                                                                                                       --------------
Ending Balance                                                                                             162,561.72
                                                                                                       ==============
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
CURRENT DELINQUENCY
                                                 GROSS
     # PAYMENTS DELINQUENT         NUMBER       BALANCE        PRINCIPAL      INTEREST
     ---------------------         ------       -------        ---------      --------
<C>                                 <C>       <C>              <C>           <C>      
1 Payment                           148       1,970,110.97     21,423.66     22,987.32
2 Payments                           68         959,823.47     20,023.80     23,350.80
3 Payments                           37         476,161.83     14,955.35     17,210.95
                                    ---       ------------     ---------     ---------
Total                               253       3,406,096.27     56,402.81     63,549.07
                                    ===       ============     =========     =========
Delinquent                          1.789%          1.802%
</TABLE>





DELINQUENCY RATE (60+)
                                                              RECEIVABLE
                                          END OF PERIOD       DELINQUENCY
       PERIOD         BALANCE             POOL BALANCE           RATE
       ------         -------             ------------           ----
Current           1,435,985.30          189,066,887.49          0.76%
1st Previous      1,615,156.47          194,224,739.57          0.83%
2nd Previous      1,254,227.91          199,284,317.31          0.63%


NET LOSS RATE
<TABLE>
<CAPTION>
                                                                                                         DEFAULTED
                                                        LIQUIDATION                AVERAGE               NET LOSS
     PERIOD                         BALANCE               PROCEEDS               POOL BALANCE           (ANNUALIZED)
     ------                         -------               --------               ------------           ------------
<S>                               <C>                   <C>                     <C>                         <C>  
Current                           473,753.57            89,155.43               191,645,813.53              2.41%
1st Previous                      257,258.07            28,823.53               196,754,528.44              1.39%
2nd Previous                       24,417.40                 0.00               201,684,886.82              0.15%
                                                                
Gross Cumulative Charge Offs      755,429.04
Number of Repossessions                34
Number of Inventoried Autos EOM        31
</TABLE>

EXCESS YIELD TRIGGER
                                                               EXCESS YIELD
                        EXCESS          END OF PERIOD           PERCENTAGE 
      PERIOD            YIELD           POOL BALANCE           (ANNUALIZED)
      ------            -----           ------------           ------------
Current               466,689.01       189,066,887.49               2.96%
1st Previous          692,491.32       194,224,739.57               4.28%
2nd Previous          752,439.79       199,284,317.31               4.53%
3rd Previous          978,388.26       204,085,456.33               5.75%
4th Previous          715,673.93       210,228,440.90               4.09%
5th Previous

                                               CURRENT
                                                LEVEL      TRIGGER      STATUS
                                                -----      -------      ------
Six Month Average Excess Yield                   N/A        1.50%         N/A

Trigger Hit in Current or any Previous Month                               NO


DATE: 2/5/98                                     /s/ Nancy Meltabarger
                                                 ---------------------------
                                                      NANCY MELTABARGER
                                                  ASSISTANT VICE PRESIDENT


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