BARNETT AUTO TRUST 1997-A
8-K, 1998-07-31
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                        			UNITED  STATES
             		SECURITIES  AND  EXCHANGE  COMMISSION

              		    WASHINGTON,  DC  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):  JULY  15,  1998


                       BARNETT AUTO TRUST 1997-A
                       -------------------------
        (EXACT NAME OF REGISTRANT AS SPECIFIED IN ITS CHARTER)




        UNITED STATES
        OF AMERICA            333-26675                86-0888083
        ----------            ---------                ----------
        (STATE OR OTHER       (COMMISSION FILE         (IRS EMPLOYER
        JURISDICTION OF        NUMBER)                 IDENTIFICATION NO.)
        INCORPORATION


                            BARNETT AUTO TRUST 1997-A
                               TRANSAMERICA SQUARE
                                  NC1-021-03-07
                             401 NORTH TRYON STREET
                        CHARLOTTE, NORTH CAROLINA  28255
                                 (704) 386-5000


                    (ADDRESS OF PRINCIPAL EXECUTIVE OFFICES)
                    ----------------------------------------

     REGISTRANT'S  TELEPHONE  NUMBER  INCLUDING  AREA  CODE:  (704)  386-5000

<PAGE>
ITEM  5.   OTHER  EVENTS
           -------------

          THE REGISTRANT HEREBY INCORPORATES BY REFERENCE THE INFORMATION
          CONTAINED IN EXHIBIT 99 HERETO IN RESPONSE TO THIS  ITEM 5.


ITEM  7.   FINANCIAL  STATEMENTS, PRO FORMA FINANCIAL STATEMENTS AND EXHIBITS
           ------------------------------------------------------------------
 
(C)     EXHIBITS

99         MONTHLY SERVICERS CERTIFICATE FOR BARNETT BANK, N.A.
           BARNETT AUTO TRUST 1997-A
<PAGE>
                                   SIGNATURES

PURSUANT TO THE REQUIREMENTS OF THE SECURITIES AND EXCHANGE ACT OF 1934, THE
REGISTRANT HAS DULY CAUSED THIS REPORT TO BE SIGNED ON ITS BEHALF BY THE
UNDERSIGNED HEREUNTO DULY AUTHORIZED.

                            BARNETT AUTO TRUST 1997-A
                            -------------------------
                                   (REGISTRANT)



DATED:    JULY  15,  1998          BY:  /S/  PAT  DORAN
                                        ---------------
                                   NAME:     PAT  DORAN
                                   TITLE:    PRESIDENT  -BARNETT  DEALER
                                             FINANCIAL  SERVICES, INC.
                                             BARNETT  BANK,  N.A.
                                             (DULY  AUTHORIZED  OFFICER)
<PAGE>

                           INDEX TO EXHIBITS
                           -----------------



EXHIBIT
NUMBER                         EXHIBIT
- ------                         -------

99          MONTHLY SERVICERS CERTIFICATE FOR BARNETT BANK, N.A.
            BARNETT AUTO TRUST 1997-A



<TABLE><CAPTION>											
                                                                    Exhibit 99

                         BARNETT AUTO TRUST 1997-A													
											
                        5.6544% ASSET BACKED NOTES													
                          5.92% ASSET BACKED NOTES													
                          6.03% ASSET BACKED NOTES													
                          6.18% ASSET BACKED NOTES													
                          6.26% ASSET BACKED NOTES													
                          6.38% ASSET BACKED NOTES													
											
Distribution Date:							07/15/98				
Collection Period:							06/01/98	-	06/30/98		
Under the Sale and Servicing Agreement dated as of September 18, 1997 among 
Barnett Dealer	Financial Servies, Inc. (or "BDFS"), as servicer and seller 
(the "Servicer"), Barnett Auto Trust 1997-A,	as issuer (the "Trust"), and 
BDFS., as sponsor, the Servicer is required certain information each	month 
regarding current distributions to the Noteholders and the performance of the 
Trust during the previous month.  The information that is required to be
prepared with respect to the Distribution Date and Collection Period listed 
above is set forth below.  Certain of the information is presented on the 
basis of an original principal amount of $1,000 per Note, and certain other 
information is presented based upon the aggregate amounts for the Trust as a 
whole.											
<S>											                                                     <C>
A.	Information Regarding the Current Monthly Distribution										
	1.	Class A-1 Notes									
											
		a.	The aggregate amount of the distribution with respect 
  			to the Notes						                                                 	$0.00 
											
		b.	The amount of the distribution set forth in paragraph 
		  	A1a above in respect of interest on the Notes.                    		$0.00 
											
		c.	The amount of the distribution set forth in paragraph 
  			A1a above in respect of principal of the Notes.                 				$0.00 
											
		d.	The amount of the distribution set forth in paragraph 
  			A1a payable out of amounts withdrawn from the Reserve 
		  	Account with respect to the Notes.		                  	  		         $0.00 
									 	
		e.	The amount of the distribution set forth in paragraph 
  			A1a above, per $1,000 Note.			                           		    $0.0000000 
											
		f.	The amount of the distribution set forth in paragraph 
  			A1b above, per $1,000 Note.                                  		$0.0000000 
											
		g.	The amount of the distribution set forth in paragraph 
  			A1c above, per $1,000 Note.	                                  	$0.0000000 
											
		h.	The amount of the distribution set forth in paragraph 
  			A1d above, per $1,000 Note.	                                  	$0.0000000 
											
	2.	Class A-2 Notes									
											
		a.	The aggregate amount of the distribution with respect 
  			to the Notes		                                           		$15,934,718.75 
											
		b.	The amount of the distribution set forth in paragraph 
  			A2a above in respect of interest on the Notes.	              	$633,757.89 
											
		c.	The amount of the distribution set forth in paragraph 
  			A2a above in respect of principal of the Notes.	          	$15,300,960.86 
											
		d.	The amount of the distribution set forth in paragraph 
  			A2a payable out of amounts	 withdrawn from the Reserve 
  			Account with respect to the Notes.		                              		$0.00 
											
		e.	The amount of the distribution set forth in paragraph 
  			A2a above, per $1,000 Note.				                              $102.8046370 
											
		f.	The amount of the distribution set forth in paragraph 
  			A2b above, per $1,000 Note.		                                		$4.0887606 
											
		g.	The amount of the distribution set forth in paragraph 
  			A2c above, per $1,000 Note.		                               		$98.7158764 
											
		h.	The amount of the distribution set forth in paragraph 
  			A2d above, per $1,000 Note.	                                			$0.0000000 
											
	3.	Class A-3 Notes									
											
		a.	The aggregate amount of the distribution with respect 
   		to the Notes				                                            		$854,250.00 
											
		b.	The amount of the distribution set forth in paragraph 
  			A3a above in respect of interest on the Notes.              		$854,250.00 
											
		c.	The amount of the distribution set forth in paragraph 
  			A3a above in respect of principal of the Notes.                   		$0.00 
											
		d.	The amount of the distribution set forth in paragraph 
   		A3a payable out of amounts withdrawn from the Reserve 
  			Account with respect to the Notes.	                              			$0.00 
											
		e.	The amount of the distribution set forth in paragraph 
   		A3a above, per $1,000 Note.		                                		$5.0250000 
											
		f.	The amount of the distribution set forth in paragraph 
  			A3b above, per $1,000 Note.		                                		$5.0250000 
											
		g.	The amount of the distribution set forth in paragraph 
  			A3c above, per $1,000 Note.		                                		$0.0000000 
											
		h.	The amount of the distribution set forth in paragraph 
  			A3d above, per $1,000 Note.		                                		$0.0000000 
											
	4.	Class A-4 Notes									
											
		a.	The aggregate amount of the distribution with respect 
  			to the Notes				                                            		$463,500.00 
											
		b.	The amount of the distribution set forth in paragraph 
  			A4a above in respect of interest on the Notes.	              	$463,500.00 
											
		c.	The amount of the distribution set forth in paragraph
     A4a above in respect of principal	of the Notes.					               	$0.00 
											
		d.	The amount of the distribution set forth in paragraph 
     A4a payable out of amounts	withdrawn from the Reserve 
     Account with respect to the Notes.					                          			$0.00 
											
		e.	The amount of the distribution set forth in paragraph 
     A4a above, per $1,000 Note.						                            		$5.1500000 
											
		f.	The amount of the distribution set forth in paragraph 
     A4b above, per $1,000 Note.				                            				$5.1500000 
											
		g.	The amount of the distribution set forth in paragraph 
     A4c above, per $1,000 Note.	                            							$0.0000000 
										
		h.	The amount of the distribution set forth in paragraph 
     A4d above, per $1,000 Note.		                            						$0.0000000 
											
	5.	Class A-5 Notes									
											
		a.	The aggregate amount of the distribution with respect 
     to the Notes				                                          				$217,514.13 
											
		b.	The amount of the distribution set forth in paragraph 
     A5a above in respect of interest	on the Notes.				        				$217,514.13 
											
		c.	The amount of the distribution set forth in paragraph 
     A5a above in respect of principal	of the Notes.					             			$0.00 
											
		d.	The amount of the distribution set forth in paragraph 
     A5a payable out of amounts	withdrawn from the Reserve 
     Account with respect to the Notes.					                          			$0.00 
											
		e.	The amount of the distribution set forth in paragraph 
     A5a above, per $1,000 Note.				                            				$5.2166666 
											
		f.	The amount of the distribution set forth in paragraph 
     A5b above, per $1,000 Note.				                            				$5.2166666 
											
		g.	The amount of the distribution set forth in paragraph
     A5c above, per $1,000 Note.				                            				$0.0000000 
											
		h.	The amount of the distribution set forth in paragraph 
     A5d above, per $1,000 Note.					                            			$0.0000000 
											
	6.	Class B Notes									
											
		a.	The aggregate amount of the distribution with respect 
     to the Notes						                                          		$192,081.81 
											
		b.	The amount of the distribution set forth in paragraph 
     A6a above in respect of interest on the Notes.					        			$192,081.81 
											
		c.	The amount of the distribution set forth in paragraph 
     A6a above in respect of principal	of the Notes.					             			$0.00 
											
		d.	The amount of the distribution set forth in paragraph 
     A6a payable out of amounts	withdrawn from the Reserve 
     Account with respect to the Notes.				                          				$0.00 
											
		e.	The amount of the distribution set forth in paragraph 
     A6a above, per $1,000 Note.				                            				$5.3166667 
											
		f.	The amount of the distribution set forth in paragraph 
     A6b above, per $1,000 Note.					                            			$5.3166667 
											
		g.	The amount of the distribution set forth in paragraph 
     A6c above, per $1,000 Note.					                            			$0.0000000 
											
		h.	The amount of the distribution set forth in paragraph 
     A6d above, per $1,000 Note.						                            		$0.0000000 
											
	7.	Certificates									
											
		a.	The aggregate amount of the distribution with respect 
     to the Certificates					                                 			$1,933,146.55 
											
		b.	The amount of the distribution set forth in paragraph 
     A7a payable out of amounts	withdrawn from the Reserve 
     Account with respect to the Certificates.					           			$1,933,146.55 
											
											
B.	Information Regarding the Performance of the Trust										
											
		1.	Pool Balance and Note Principal Balance.								
											
			a.	The Pool Balance at the close of business on the 
      last day of the Collection Period.			                				$450,987,717.68 
											
			b.	The Class A-1 Note Pool Balance after giving effect 
      to payments allocated to principal as	set forth in 
      paragraph A1c.				                                              			$0.00 
											
			c.	The Class A-1 Note Pool Factor after giving affect to 
      the payments set forth in	paragraphA1c				                  			0.0000000%
											
			d.	The Class A-2 Note Pool Balance after giving effect
      to payments allocated to principal as	set forth in
      paragraph A2c.			                                    				$113,163,477.24 
											
			e.	The Class A-2 Note Pool Factor after giving affect 
      to the payments set forth in paragraph A2c.			            				88.0893412%
											
			f.	The Class A-3 Note Pool Balance after giving effect
      to payments allocated to principal as	set forth in 
      paragraph A3c.					                                    		$170,000,000.22 
											
			g.	The Class A-3 Note Pool Factor after giving affect 
      to the payments set forth in	paragraph A3c.			           				100.0000000%
											
			h.	The Class A-4 Note Pool Balance after giving effect 
      to payments allocated to principal as	set forth 
      in paragraph A4c.				                                  			$90,000,000.11 
											
			i.	The Class A-4 Note Pool Factor after giving affect
      to the payments set forth in	paragraph A4c.			           				100.0000000%
											
			j.	The Class A-5 Note Pool Balance after giving effect 
      to payments allocated to principal as	set forth in 
      paragraph A5c.				                                     			$41,696,000.06 
											
			k.	The Class A-5 Note Pool Factor after giving affect 
      to the payments set forth in	paragraph A5c.					           		100.0000000%
											
			l.	The Class B Note Pool Balance after giving effect 
      to payments allocated to principal as	set forth in 
      paragraph A6c.				                                     			$36,128,240.05 
											
			m.	The Class B Note Pool Factor after giving affect 
      to the payments set forth in	paragraph A6c.			           				100.0000000%
											
			n.	The aggregate Purchase Amount for all Receivables 
      that were repurchased	in the Collection Period.				             			$0.00 
											
			o.	The aggregate Payahead Balance on such Distribution 
      Date.                                               							$1,157,610.17 
											
			p.	The change in the Payahead Balance from the preceding 
      Distribution Date.				                                   			($135,816.77)
											
			q.	The aggregate Advance Balance on such Distribution Date.			$1,932,589.70 
											
			r.	The change in the Advance Balance from the preceding 
      Distribution Date.				                                    			($78,356.45)
											
			s.	Total Collections by the Servicer.				                 			$19,097,711.28 
											
			t.	All amounts received by the Trust from the Servicer.						$19,019,354.83 
											
		2.	Servicing								
											
				a.	The aggregate amount of the Servicing Fee paid to 
       the Servicer with respect	to the preceding Collection
       Period.		                                               				$388,573.90 
											
		3.	Payment Shortfalls								
											
				a.	The amount of the Class A Noteholders' Interest
       Carryover Shortfall after giving effect	to the 
       payments set forth in paragraph A1b above with 
       respect to the Notes.                                       						$0.00 
											
				b.	The amount of the Class A Noteholders' Interest 
       Carryover Shortfalls set forth in	paragraph B3a 
       above per $1,000 interest with respect to the 
       Class A Notes.				                                              		$0.00 
											
				c.	The amount of the Class B Noteholders' Interest
       Carryover Shortfall after giving effect	to the 
       payments set forth in paragraph A1b above with 
       respect to the Notes.					                                       	$0.00 
											
				d.	The amount of the Class B Noteholders' Interest 
       Carryover Shortfalls set forth in	paragraph B3a 
       above per $1,000 interest with respect to the 
       Class B Notes.				                                              		$0.00 
											
				e.	The amount of the Class A Noteholders' Principal
       Carryover Shortfall after giving effect to the 
       payments set forth in paragraph A1b above with 
       respect to the Notes.				                                       		$0.00 
											
				f.	The amount of the Class A Noteholders' Principal  
       Carryover Shortfalls set forth in	paragraph B3a 
       above per $1,000 Principal with respect to the 
       Class A Notes.				                                              		$0.00 
											
				g.	The amount of the Class B Noteholders' Principal 
       Carryover Shortfall after giving effect	to the 
       payments set forth in paragraph A1b above with 
       respect to the Notes.				                                       		$0.00 
											
				h.	The amount of the Class B Noteholders' Principal
       Carryover Shortfalls set forth in	paragraph B3a 
       above per $1,000 Principal with respect to the 
       Class B Notes.			                                              			$0.00 
											
		4.	Losses and Delinquencies								
											
				a.	The aggregate amount scheduled to be paid, including
       unearned finance and	other charges, for which Obligors 
       are delinquent 60 days or more.				                     		$3,072,638.54 
											
				b.	The amount of the aggregate Realized Losses for
       such Collection Period.					                               	$694,762.90 
											
				c.	Cumulative Realized Losses from the Closing Date, 
       including Realized Losses	for such Collection Period.					$4,064,946.78 
											
				d.	Recoveries, if any, for such Collection Period.			        			$31,335.31 
											
		5.	Reserve Account								
											
				a.	The Reserve Account balance as of the last day of
       the preceding Collection	Period, including earnings.		 		$23,424,605.07 
											
				b.	Earnings included in above balance.					                   	$110,171.14 
											
				c.	Transfer to Reserve Account from Collection 
       Account on Distribution Date.			                       			$1,057,927.36 
											
				d.	Payments to the Certificateholders				                 		($1,933,146.55)
											
				e.	The Reserve Account balance as of the Distribution
       Date set forth above after giving effect to the 
       distribution in respect of principal made on such					  	$22,549,385.88 
  					Distribution Date.						
											
		6.	Delinquency								
											
				a.	Percentage of principal balance of Receivables 
       delinquent 31 to 60 days.			                                    			0.84%
											
				b.	Percentage of principal balance of Receivables 
       delinquent 61 to 90 days.	                                    					0.40%
											
				c.	Percentage of principal balance of Receivables 
       delinquent over 90 days.			                                     			0.25%
											
		7.	WAC/WAM								
											
				a.	Weighted Average Coupon of Receivables			                      			12.10%
											
				b.	Weighted Average Remaining Term of Receivables				              		49.99 
											
</TABLE>											
<TABLE><CAPTION>											
SCHEDULE OF EXCESS CASH													
<S>											                                                   <C>
1.	Total interest collected in collection period								       		$4,502,367.99 
											
2.	-	Interest on Class A-1 Notes							                                		$0.00 
											
3	-	Interest on Class A-2 Notes									                          ($633,757.89)
											
4.	-	Interest on Class A-3 Notes						                         			($854,250.00)
											
5.	-	Interest on Class A-4 Notes					                         				($463,500.00)
											
6.	-	Interest on Class A-5 Notes					                         				($217,514.13)
											
7.	-	Interest on Class B Notes					                           				($192,081.81)
											
8.	-	Losses					                                              				($694,762.90)
											
9.	+	Late Charges/Extensions Fees Collected						                			$46,605.65 
											
10.	-	Servicer Fee (including Late Charges)				              					($435,179.55)
											
Total Excess Yield								                                    			$1,057,927.36 
	</TABLE>										
	<TABLE><CAPTION>										
SCHEDULE OF ALLOCATION OF COLLECTION ACCOUNT													
	<S>					                                      <C>               <C>					
		Total Cash Deposited to Collection Account # 77084381									$19,097,711.28 
											
											
		Servicer Advance on Receivables to Barnett.		             							($78,356.45)
											
		Payaheads transfer from Payahead Account # 77084384						     			$135,816.77 
											
		Class A-1 Notes									
			Interest Distribution Amount - A(1)b				                           			$0.00 	
			Principal Distribution Amount - A(1)c				   	   		$0.00              	$0.00 
											
		Class A-2 Notes									
			Interest Distribution Amount - A(2)b					 		($633,757.89)	
			Principal Distribution Amount - A(2)c				($15,300,960.86)  	($15,934,718.75)
											
		Class A-3 Notes									
			Interest Distribution Amount - A(3)b							($854,250.00)	
			Principal Distribution Amount - A(3)c				      			$0.00       	($854,250.00)
											
		Class A-4 Notes									
			Interest Distribution Amount - A(4)b							($463,500.00)	
			Principal Distribution Amount - A(4)c			      				$0.00       	($463,500.00)
											
		Class A-5 Notes									
			Interest Distribution Amount - A(5)b							($217,514.13)	
			Principal Distribution Amount - A(5)c					      		$0.00       	($217,514.13)
											
		Class B Notes									
			Interest Distribution Amount - A(6)b							($192,081.81)	
			Principal Distribution Amount - A(6)c				      			$0.00       	($192,081.81)
											
		Servicer fee and late charges to BDFS per Note B(2) (a)									($435,179.55)
											                       
		Excess Cash transfer to Reserve Account # 77084383						   			($1,057,927.36)
											                                                -------------------
		Balance		                                                       							$0.00 
                                                           ===================

               SCHEDULE OF ALLOCATION OF RESERVE ACCOUNT													
											
		Beginning Balance							                                    		$23,314,433.93 
											
		Additions to Reserve Account								                          	$1,168,098.50 
											
		Excess Yield to Certificateholders						                   			($1,933,146.55)
											                                                 ------------------
		Ending Balance		                                       							$22,549,385.88 
                                                            ==================
</TABLE>											
											
											
											




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