HELLER FINANCIAL COMMERCIAL MORT ASSET CORP SER 1999-PH-1
8-K, 1999-11-24
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: July 15, 1999
(Date of earliest event reported)

Heller Financial Commercial Mortgage Asset Corp.
Sponsor)
(Issuer in Respect of Commercial Mortgage Pass-Through
Certificates Series 1999-PH1)
Exact name of registrant as specified in charter)

Delaware                333-44299-01  364202202
(State or other juris-  (Commission  (I.R.S. Employer
diction of organization) File No.)   Identification No.)

500 W Monroe St. Chicago IL           60661
(Address of principal executive offices) (Zip Code)

Registrant's Telephone Number, including area code
(312) 441-7000

(Former name or former address, if changed since
last report.)

ITEM 5.	OTHER EVENTS

		This Current Report on Form 8-K relates to the Trust
Fund formed, and the Commercial Mortgage Pass-Through Certificates
Series 1998-PH1 issued pursuant to, a Pooling and Servicing
Agreement, dated as of May 1, 1999 (the "Pooling and Servicing
Agreement"), by and among Heller Financial Commercial Mortgage
Asset Corp., as sponsor, First union National Bank, as master
Servicer, Lennar Partners, Inc. as special servicer, LaSalle
National Bank, as trustee and REMIC administrator, and ABN
AMRO Bank, N.V., as fiscal agent.  The Class A-1, Class A-2,
Class X, Class B, Class C, Class D, Class E, Class F, Class G,
Class H, Class J, Class K, Class L, Class M, Class N, Class R-I,
Class R-II and Class R-III Certificates have been registered
pursuant to the Act under a Registration Statement on
Form S-3(File No.333-44299) the "Registration Statement").

		Capitalized terms used herein and not defined herein have
the same meanings ascribed to such terms in the Pooling and Servicing
Agreement.

		Pursuant to Section 3.20 of the Pooling and Servicing
Agreement, the Trustee is filing this Current Report containing
the November 15, 1999 monthly distribution report.


This Current Report is being filed by the Trustee, in
its
capacity as such under the Pooling and Servicing Agreement, on
 behalf
of the Registrant.  The information reported and contained herein
 has
been supplied to the Trustee by one or more of the Master
Servicer,
the Special Servicer or other third parties without independent
 review
or investigation by the Trustee.

Pursuant to the Pooling and Servicing Agreement,
the Trustee
is not responsible for the accuracy or completeness of such
information.

ITEM 7.  FINANCIAL STATEMENTS, PRO FORMA FINANCIAL
   INFORMATION AND

EXHIBITS

Exhibit No.	Description

99.1         Monthly distribution report pursuant to
Section 4.02 of the Pooling and Servicing
Agreement for the distribution on
November 15, 1999.


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

LASALLE NATIONAL BANK, IN ITS CAPACITY AS TRUSTEE
UNDER THE POOLING AND SERVICING AGREEMENT ON
BEHALF OF GS MORTGAGE SECURITIES CORPORATION II,
REGISTRANT

		By: /s/ Russell Goldenberg
			Russell Goldenberg,
			Senior Vice President


Date: November 21, 1999













ABN AMRO
LaSalle Bank N.A.

Administrator:
  Brian Ames  (800) 246-5761
  135 S. LaSalle Street   Suite 1625
  Chicago, IL   60603-4107

Heller Financial Commercial Mortgage Asset Corp.
First Union National Bank, Master Servicer
Lennar Partners, Inc., Special Servicer
Commercial Mortgage Pass-Through Certificates
Series 1999 PH-1
ABN AMRO Acct: 67-8161-50-6

Statement Date       11/15/99
Payment Date:        11/15/99
Prior Payment:       10/15/99
Record Date:         10/29/99

WAC:              0.073415733
WAMM:             113.5630358

                                           Number Of Pages

Table Of Contents                                        1
REMIC Certificate Report                                 5
Other Related Information                                3
Asset Backed Facts Sheets                                1
Delinquency Loan Detail                                  1
Mortgage Loan Characteristics                            2
Loan Level Listing                                       7


Total Pages Included  In This Package                   20


Specially Serviced Loan Detail             Appendix A
Modified Loan Detail                       Appendix B
Realized Loss Detail                       Appendix C

Information is available for this issue from the following
sources
LaSalle Web Site             www.lnbabs.com
Servicer Web Site            www.firstunion.com
LaSalle Bulletin Board       (714) 282-3990
LaSalle ASAP Fax System      (714) 282-5518


ASAP #:                                 415
Monthly Data File Name:      0415MMYY.EXE

Grantor Trust

              Original       Opening       Principal
Class         Face Value (1) Balance       Payment
CUSIP         Per $1,000     Per $1,000    Per $1,000

N                   20,195,30   20,195,304.           0.00
42332QAQ6      1000.0000000001000.000000000    0.000000000

              Principal      Negative      Closing
Class         Adj. or Loss   Amortization  Balance
CUSIP         Per $1,000     Per $1,000    Per $1,000

N                        0.00          0.00      20,195,304.00
42332QAQ6         0.000000000   0.000000000 1000.000000000

              Interest       Interest      Pass-Through
Class         Payment        Adjustment    Rate (2)
CUSIP         Per $1,000     Per $1,000    Next Rate (3)

N                        0.00          0.00      0.000000%
42332QAQ6         0.000000000   0.000000000              0

Total GT Payment                      0.00

Notes:  (1) N denotes notional balance not included in total
    (2) Int
 Adjustment minus Deferred Interest equals Accrual
  (3) Estimated

REMIC III

              Original                     Opening
Class         Face Value (1)               Balance
CUSIP         Per $1,000                   Per $1,000

A-1               204,000,000.00           198,861,777.04
42332QAA1      1000.000000000                974.812632549
A-2               535,631,000.00           535,631,000.00
42332QAB9      1000.000000000               1000.000000000
X              1,009,736,304.N             1,004,598,081.04
42332QAF0      1000.000000000                994.911321956
B                   22,719,000.00            22,719,000.00
42332QAAC7     1000.000000000               1000.000000000
C                   20,195,000.00            20,195,000.00
42332QAAD5     1000.000000000               1000.000000000
D                   53,011,000.00            53,011,000.00
42332QAE3      1000.000000000               1000.000000000
E                   12,622,000.00            12,622,000.00
42332QAG8      1000.000000000               1000.000000000
F                   37,865,000.00            37,865,000.00
42332QAH6      1000.000000000               1000.000000000
G                   17,670,000.00            17,670,000.00
42332QAJ2      1000.000000000               1000.000000000
H                   35,341,000.00            35,341,000.00
42332QAK9      1000.000000000               1000.000000000
J                   20,195,000.00            20,195,000.00
42332QAL7      1000.000000000               1000.000000000
K                    7,573,000.00             7,573,000.00
42332QAM5      1000.000000000               1000.000000000
L                   15,146,000.00            15,146,000.00
42332QAN3      1000.000000000               1000.000000000
M                    7,573,000.00             7,573,000.00
42332QAP8      1000.000000000               1000.000000000
N                   20,195,304.00            20,195,304.00
42332QAQ6      1000.000000000               1000.000000000
R-III                    0.00                         0.00
9ABSC487       1000.000000000                  0.000000000
              1,009,736,304.00             1,004,598,081.04


              Principal      Principal     Negative
Class         Payment        Adj. or Loss  Amortization
CUSIP         Per $1,000     Per $1,000    Per $1,000

A-1               990,334.38          0.00           0.00
42332QAA1         4.854580294   0.000000000    0.000000000
A-2                     0.00          0.00           0.00
42332QAB9         0.000000000   0.000000000    0.000000000
X                       0.00          0.00           0.00
42332QAF0         0.000000000   0.000000000    0.000000000
B                        0.00          0.00           0.00
42332QAAC7        0.000000000   0.000000000    0.000000000
C                        0.00          0.00           0.00
42332QAAD5        0.000000000   0.000000000    0.000000000
D                        0.00          0.00           0.00
42332QAE3         0.000000000   0.000000000    0.000000000
E                        0.00          0.00           0.00
42332QAG8         0.000000000   0.000000000    0.000000000
F                        0.00          0.00           0.00
42332QAH6         0.000000000   0.000000000    0.000000000
G                        0.00          0.00           0.00
42332QAJ2         0.000000000   0.000000000    0.000000000
H                        0.00          0.00           0.00
42332QAK9         0.000000000   0.000000000    0.000000000
J                        0.00          0.00           0.00
42332QAL7         0.000000000   0.000000000    0.000000000
K                        0.00          0.00           0.00
42332QAM5         0.000000000   0.000000000    0.000000000
L                        0.00          0.00           0.00
42332QAN3         0.000000000   0.000000000    0.000000000
M                        0.00          0.00           0.00
42332QAP8         0.000000000   0.000000000    0.000000000
N                        0.00          0.00           0.00
42332QAQ6         0.000000000   0.000000000    0.000000000
R-III                    0.00          0.00           0.00
9ABSC487          0.000000000   0.000000000    0.000000000

                   990,334.38          0.00           0.00

              Closing        Interest      Interest       Pass-Through
Class         Balance        Payment       Adjustment     Rate (2)
CUSIP         Per $1,000     Per $1,000    Per $1,000     Next Rate (3)

A-1           197,871,442.66  1,077,167.96           0.00   6.50000000%
42332QAA1       969.958052255   5.280235098    0.000000000Fixed
A-2           535,631,000.00  3,056,221.21           0.00   6.84700000%
42332QAB9      1000.000000000   5.705833326    0.000000000Fixed
X             1,003,607,746.6   395,835.59           0.00   0.47282860%
42332QAF0       993.930536799   0.392018776    0.000000000  0.33294270%
B               22,719,000.00    132,190.87           0.00  6.98221939%
42332QAAC7     1000.000000000   5.818516220    0.000000000  6.81534651%
C               20,195,000.00    119,187.85           0.00  7.08221939%
42332QAAD5     1000.000000000   5.901849468    0.000000000  6.91534651%
D               53,011,000.00    320,107.78           0.00  7.24621939%
42332QAE3      1000.000000000   6.038516157    0.000000000  7.07934651%
E               12,622,000.00     76,491.63           0.00  7.27221939%
42332QAG8      1000.000000000   6.060183014    0.000000000  7.10534651%
F               37,865,000.00    229,468.82           0.00  7.27221939%
42332QAH6      1000.000000000   6.060182755    0.000000000  7.10534651%
G               17,670,000.00    107,083.43           0.00  7.27221939%
42332QAJ2      1000.000000000   6.060182796    0.000000000  7.10534651%
H               35,341,000.00    191,430.42           0.00  6.50000000%
42332QAK9      1000.000000000   5.416666761    0.000000000Fixed
J               20,195,000.00    109,389.58           0.00  6.50000000%
42332QAL7      1000.000000000   5.416666502    0.000000000Fixed
K                7,573,000.00     41,020.42           0.00  6.50000000%
42332QAM5      1000.000000000   5.416667107    0.000000000Fixed
L               15,146,000.00     82,040.83           0.00  6.50000000%
42332QAN3      1000.000000000   5.416666447    0.000000000Fixed
M                7,573,000.00     41,020.42           0.00  6.50000000%
42332QAP8      1000.000000000   5.416667107    0.000000000Fixed
N               20,195,304.00    109,391.24           0.00  6.50000000%
42332QAQ6      1000.000000000   5.416667162    0.000000000Fixed
R-III                    0.00          0.00           0.00
9ABSC487          0.000000000   0.000000000    0.000000000

              1,003,607,746.6 6,088,048.05           0.00

Total P&I Payment              7,078,382.43


Notes:  (1) N denotes notional balance not included in total
   (2) Int
 Adjustment minus Deferred Interest equals Accrual
  (3) Estimated

REMIC II

                             Original      Opening
Class                        Face Value (1)Balance
CUSIP                        Per $1,000    Per $1,000

Regular Interest A-1         204,000,000.00 198,861,777.04
                             1000.000000000  974.812632549
Regular Interest A-2         535,631,000.00 535,631,000.00
                             1000.000000000 1000.000000000
Regular Interest B            22,719,000.00  22,719,000.00
                              1000.00000000 1000.000000000
Regular Interest C            20,195,000.00  20,195,000.00
                              1000.00000000 1000.000000000
Regular Interest D            53,011,000.00  53,011,000.00
                              1000.00000000 1000.000000000
Regular Interest E            12,622,000.00  12,622,000.00
                              1000.00000000 1000.000000000
Regular Interest F            37,865,000.00  37,865,000.00
                              1000.00000000 1000.000000000
Regular Interest G            17,670,000.00  17,670,000.00
                              1000.00000000 1000.000000000
Regular Interest H            35,341,000.00  35,341,000.00
                              1000.00000000 1000.000000000
Regular Interest J            20,195,000.00  20,195,000.00
                              1000.00000000 1000.000000000
Regular Interest K             7,573,000.00   7,573,000.00
                              1000.00000000 1000.000000000
Regular Interest L            15,146,000.00  15,146,000.00
                              1000.00000000 1000.000000000
Regular Interest M             7,573,000.00   7,573,000.00
                              1000.00000000 1000.000000000
Regular Interest N            20,195,304.00  20,195,304.00
                              1000.00000000 1000.000000000
R-II                                   0.00           0.00
9ABSC471                      1000.00000000    0.000000000
Total                        1,009,736,304.1,004,598,081.04

Notes:  (1) N denotes notional balance not included in total
   (2) Int
 Interest Adjustment minus Deferred Interest equals Accrual
  (3) Esti

                             Principal     Principal
Class                        Payment       Adj. or Loss
CUSIP                        Per $1,000    Per $1,000

Regular Interest A-1             990,334.38           0.00
                                4.854580294    0.000000000
Regular Interest A-2                   0.00           0.00
                                0.000000000    0.000000000
Regular Interest B                     0.00           0.00
                                0.000000000    0.000000000
Regular Interest C                     0.00           0.00
                                0.000000000    0.000000000
Regular Interest D                     0.00           0.00
                                0.000000000    0.000000000
Regular Interest E                     0.00           0.00
                                0.000000000    0.000000000
Regular Interest F                     0.00           0.00
                                0.000000000    0.000000000
Regular Interest G                     0.00           0.00
                                0.000000000    0.000000000
Regular Interest H                     0.00           0.00
                                0.000000000    0.000000000
Regular Interest J                     0.00           0.00
                                0.000000000    0.000000000
Regular Interest K                     0.00           0.00
                                0.000000000    0.000000000
Regular Interest L                     0.00           0.00
                                0.000000000    0.000000000
Regular Interest M                     0.00           0.00
                                0.000000000    0.000000000
Regular Interest N                     0.00           0.00
                                0.000000000    0.000000000
R-II                                   0.00           0.00
9ABSC471                        0.000000000    0.000000000
Total                            990,334.38           0.00

                             Negative      Closing
Class                        Amortization  Balance
CUSIP                        Per $1,000    Per $1,000

Regular Interest A-1                   0.00 197,871,442.66
                                0.000000000  969.958052255
Regular Interest A-2                   0.00 535,631,000.00
                                0.000000000 1000.000000000
Regular Interest B                     0.00  22,719,000.00
                                0.000000000 1000.000000000
Regular Interest C                     0.00  20,195,000.00
                                0.000000000 1000.000000000
Regular Interest D                     0.00  53,011,000.00
                                0.000000000 1000.000000000
Regular Interest E                     0.00  12,622,000.00
                                0.000000000 1000.000000000
Regular Interest F                     0.00  37,865,000.00
                                0.000000000 1000.000000000
Regular Interest G                     0.00  17,670,000.00
                                0.000000000 1000.000000000
Regular Interest H                     0.00  35,341,000.00
                                0.000000000 1000.000000000
Regular Interest J                     0.00  20,195,000.00
                                0.000000000 1000.000000000
Regular Interest K                     0.00   7,573,000.00
                                0.000000000 1000.000000000
Regular Interest L                     0.00  15,146,000.00
                                0.000000000 1000.000000000
Regular Interest M                     0.00   7,573,000.00
                                0.000000000 1000.000000000
Regular Interest N                     0.00  20,195,304.00
                                0.000000000 1000.000000000
R-II                                   0.00           0.00
9ABSC471                        0.000000000    0.000000000
Total                                  0.001,003,607,746.66

                             Interest      Interest       Pass-Through
Class                        Payment       Adjustment     Rate (2)
CUSIP                        Per $1,000    Per $1,000     Next Rate (3)

Regular Interest A-1           1,205,138.73           0.00  7.27221939%
                                5.907542794    0.000000000  7.10534651%
Regular Interest A-2           3,246,021.79           0.00  7.27221939%
                                6.060182831    0.000000000  7.10534651%
Regular Interest B               137,681.29           0.00  7.27221939%
                                6.060182666    0.000000000  7.10534651%
Regular Interest C               122,385.39           0.00  7.27221939%
                                6.060182718    0.000000000  7.10534651%
Regular Interest D               321,256.35           0.00  7.27221939%
                                6.060182792    0.000000000  7.10534651%
Regular Interest E                76,491.63           0.00  7.27221939%
                                6.060183014    0.000000000  7.10534651%
Regular Interest F               229,468.82           0.00  7.27221939%
                                6.060182755    0.000000000  7.10534651%
Regular Interest G               107,083.43           0.00  7.27221939%
                                6.060182796    0.000000000  7.10534651%
Regular Interest H               214,172.92           0.00  7.27221939%
                                6.060182791    0.000000000  7.10534651%
Regular Interest J               122,385.39           0.00  7.27221939%
                                6.060182718    0.000000000  7.10534651%
Regular Interest K                45,893.76           0.00  7.27221939%
                                6.060182226    0.000000000  7.10534651%
Regular Interest L                91,787.53           0.00  7.27221939%
                                6.060182887    0.000000000  7.10534651%
Regular Interest M                45,893.76           0.00  7.27221939%
                                6.060182226    0.000000000  7.10534651%
Regular Interest N               122,387.26           0.00  7.27221939%
                                6.060184090    0.000000000  7.10534651%
R-II                                   0.00           0.00
9ABSC471                        0.000000000    0.000000000
Total                          6,088,048.05           0.00

Total P&I Payment              7,078,382.43

Notes:  (1) N denotes notional balance not included in total
    (2) Int
 Interest Adjustment minus Deferred Interest equals Accrual
  (3) Esti

REMIC I

              Original       Opening       Principal
Class         Face Value (1) Balance       Payment
CUSIP         Per $1,000     Per $1,000    Per $1,000

Regular Intere1,009,736,304.01,004,598,081.     990,334.38
               1000.000000000 994.911321956    0.980785158
R-I                      0.00          0.00           0.00
9ABSC470       1000.000000000   0.000000000    0.000000000

Total         1,009,736,304.01,004,598,081.     990,334.38

Notes:  (1) N denotes notional balance not included in total
   (2) Int
 Interest Adjustment minus Deferred Interest equals Accrual
   (3) Esti

              Principal      Negative      Closing
Class         Adj. or Loss   Amortization  Balance
CUSIP         Per $1,000     Per $1,000    Per $1,000

Regular Intere           0.00          0.001,003,607,746.66
                  0.000000000   0.000000000  993.930536799
R-I                      0.00          0.00           0.00
9ABSC470          0.000000000   0.000000000    0.000000000

Total                   0.00          0.00 1,003,607,746.66

              Interest       Interest      Pass-Through
Class         Payment        Adjustment    Rate (2)
CUSIP         Per $1,000     Per $1,000    Next Rate (3)

Regular Intere   6,088,048.05          0.00   7.272219390%
                  6.029344519   0.000000000   7.105346510%
R-I                      0.00          0.00
9ABSC470          0.000000000   0.000000000

Total           6,088,048.05          0.00

Total P&I Payment             7,078,382.43

Notes:  (1) N denotes notional balance not included in total
    (2) Int
 Interest Adjustment minus Deferred Interest equals Accrual
   (3) Esti
Other Related Information  Accrued   Excess
CertificatCertificatPrepay Int.Interest
Class     Interest  Shortfall  Loss

A-1       1,077,167.       0.00          0.00
A-2       3,056,221.       0.00          0.00
X         395,835.59       0.00          0.00
B         132,190.87       0.00          0.00
C         119,187.85       0.00          0.00
D         320,107.78       0.00          0.00
E          76,491.63       0.00          0.00
F         229,468.82       0.00          0.00
G         107,083.43       0.00          0.00
H         191,430.42       0.00          0.00
J         109,389.58       0.00          0.00
K          41,020.42       0.00          0.00
L          82,040.83       0.00          0.00
M          41,020.42       0.00          0.00
N         109,391.23       0.00          0.00


          6,088,048.       0.00          0.00

          Interest  Beginning  Ending   Prior Outstanding
CertificatAccrual   Unpaid     Unpaid   Principal
Class     Amount    Interest   Interest    0
                                        36861.15
A-1       1,077,167.       0.00          0.00
A-2       3,056,221.       0.00          0.00
X         395,835.59       0.00          0.00
B         132,190.87       0.00          0.00  36861.15
C         119,187.85       0.00          0.00   0
D         320,107.78       0.00          0.00   0
E          76,491.63       0.00          0.00   0
F         229,468.82       0.00          0.00   0
G         107,083.43       0.00          0.00   0
H         191,430.42       0.00          0.00   0
J         109,389.58       0.00          0.00   0
K          41,020.42       0.00          0.00   0
L          82,040.83       0.00          0.00   0
M          41,020.42       0.00          0.00   0
N         109,391.23     147.29        147.29   0
0

          6,088,048.     147.29        147.29


CertificatPrepayment
Class     Premiums

A-1             0.00
A-2             0.00
X               0.00
B               0.00
C               0.00
D               0.00
E               0.00
F               0.00
G               0.00
H         N/A
J         N/A
K         N/A
L         N/A
M         N/A
N         N/A


                0.00

Advances

                                       Prior Outstanding
                    Principal  Interest

  Servicer            36,861.15    179,159.41
  Trustee:                 0.00          0.00
 Fiscal Agent:             0.00          0.00

                      36,861.15    179,159.41

                                      Current Period
                    Principal  Interest

  Servicer            56,837.63    418,120.29
  Trustee:                 0.00          0.00
 Fiscal Agent:             0.00          0.00

                      56,837.63    418,120.29

                                            Recovered
                    Principal  Interest

  Servicer            36,861.15    179,159.42
  Trustee:                 0.00          0.00
 Fiscal Agent:             0.00          0.00

                      36,861.15    179,159.42

                                          Outstanding
                    Principal  Interest

  Servicer            56,837.63    418,120.28
  Trustee:                 0.00          0.00
 Fiscal Agent:             0.00          0.00

                      56,837.63    418,120.28

Servicing Compensation

Current Period Accrued Master Servicing Fees: 56,051.49
Advanced Interest Paid to Master Servicer in       0.00
Current Period Special Servicing Fees Paid:        0.00
Current Period Workout Fees Paid:                  0.00
Current Period Liquidation Fees Paid:              0.00

Ending Pool Count:                     190.00
Ending Pool Balance:           1,003,607,746.66

Current Additional Trust Fund E          0.00
Cumulative Additional Trust Fun          0.00

Summary of Appraisal Reductions
                               Principal
#           PropertyLoan NumberBalance

1.                                       0.00
2.                                       0.00
3.                                       0.00
4.                                       0.00
5.                                       0.00

                    Appraisal  Appraisal     Date of
#           PropertyReduction ADate          Reduction

1.                         0.00
2.                         0.00
3.                         0.00
4.                         0.00
5.                         0.00

REO Property Information


#           PropertyProperty TyState         Zip

1.
2.
3.
4.
5.

                               Stated
#           PropertyLatest DSCRPrin. Balance

1.                            0          0.00
2.                            0          0.00
3.                            0          0.00
4.                            0          0.00
5.                            0          0.00

                               Actual
#           Property Name      Ending Balance

1.                                       0.00
2.                                       0.00
3.                                       0.00
4.                                       0.00
5.                                       0.00
_



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