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Rule 424(b)(3)
File No. 33-39838
Pricing Supplement No. 0112 Dated: March 8, 1994 Page 1 of 5
(To Prospectus dated July 22, 1993 and
Prospectus Supplement dated July 30, 1993)
XEROX CREDIT CORPORATION
Medium-Term Notes, Series C
Due From Nine Months to Thirty Years From Date of Issue
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General
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Principal Amount: $25,000,000
Original Issue Date: March 15, 1994
Issue Price: 100% of Principal Amount
Maturity Date: February 28, 1997
Proceeds to Company: $24,969,500
Agent(s): CS First Boston Corporation
Agent's Discount or Commission: 0.122% of Principal Amount
Agent's capacity: /X/ As Agent / / As Principal (see below)
If as Principal:
/ / The Notes are being offered at varying prices related to
prevailing market prices at the time of resale.
/ / The Notes are being offered at a fixed initial public offering
price of % of Principal Amount.
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XEROX CREDIT CORPORATION
MEDIUM-TERM NOTES, SERIES C
Pricing Supplement No. 0112 Dated: March 8, 1994 Page 2 of 5
Form: /X/ Book Entry / / Certificated
Authorized Denominations: $100,000.00
Integral Multiples in excess thereof: $1,000.00
Specified Currency (if other than U.S. dollars, see Attachment): U.S. dollars
Option to Elect Payment in Specified Currency: / / Yes / / No
(Applicable only if Specified Currency is other than U.S. dollars)
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Interest
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Interest Rate:
/ / Floating Rate (see Base Rate specified below)
Base Rate(s):
/ / Commercial Paper Rate / / Federal Funds Rate
/ / CD Rate / / LIBOR
/ / Treasury Rate / / Prime Rate
/ / Other (see Attachment)
Initial Interest Rate:
Interest Payment Date(s):
Calculation Date (if other than as provided in the Prospectus
Supplement):
Interest Reset Period:
Interest Reset Date(s):
Spread (+/-):
Spread Multiplier:
Maximum Interest Rate:
Minimum Interest Rate:
Index Maturity:
Other provisions:
/X/ Fixed Rate of: 5.69% per annum
(Applicable only if Notes are not Zero-Coupon Notes or
Amortizing Notes)
/ / Amortizing Notes:
Scheduled repayment amounts and dates in respect of the
principal and interest:
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XEROX CREDIT CORPORATION
MEDIUM-TERM NOTES, SERIES C
Pricing Supplement No. 0112 Dated: March 8, 1994 Page 3 of 5
/ / Currency Indexed Notes:
Interest Rate:
Interest Payment Date(s):
Denominated Currency:
Indexed Currency or Currencies:
Face Amount:
Base Exchange Rate:
Principal Amount Determination Formula:
Other provisions:
/ / Other Indexed Notes:
Face Amount:
Interest Payment Date(s):
Principal Amount Determination Formula:
Designated Index or Indices:
Other provisions:
Optional Resets:
Option to reset interest rate: /X/ No / / Yes (See Attachment)
(Applicable only if the Notes are Fixed Rate Notes)
Option to reset the Spread and/or Spread Multiplier:
(Applicable only if the Notes are Floating Rate Notes)
/ / No / / Yes (See Attachment)
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Redemption
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/X/ The Company cannot elect to redeem the Notes prior to the Maturity
Date.
/ / The Company may elect to redeem the Notes prior to the Maturity
Date (see below).
Initial Redemption Date:
Redemption Date(s):
The Redemption Price shall initially be % of the
principal amount of the Note to be redeemed and shall decline
at each anniversary of the Initial Redemption Date by
% of the principal amount to be redeemed until
the Redemption Price is 100% of such principal amount.
Other provisions:
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XEROX CREDIT CORPORATION
MEDIUM-TERM NOTES, SERIES C
Pricing Supplement No. 0112 Dated: March 8, 1994 Page 4 of 5
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Early Repayment
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/X/ The Holder cannot elect to have the Notes repaid prior to the
Maturity Date.
/ / The Holder may elect to have the Notes repaid prior to the
Maturity Date (see below).
Initial Redemption Date:
Repayment Date(s):
The Repayment Price shall initially be % of the
principal amount of the Note to be repaid and shall decline at
each anniversary of the Initial Repayment Date by %
of the principal amount to be repaid until the Repayment Price
is 100% of such principal amount.
Other provisions:
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Extension of Maturity
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Extension of Maturity Date by the Company:
/X/ The Maturity Date of the Notes cannot be extended by the Company.
/ / The Maturity Date of the Notes may be extended by the Company
(see below).
Date(s) on which the Maturity Date may be extended by the Company:
Final Maturity Date:
Other provisions:
Extension of Maturity Date by the Holder:
/X/ The Maturity Date of the Notes cannot be extended by the Holder.
/ / The Maturity Date of the Notes may be extended by the Holder
(see below).
Date(s) on which the Maturity Date may be extended by the Holder:
Final Maturity Date:
Date(s) by which the Holder's Extension Notice must be received
by the Trustee:
Other provisions:
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XEROX CREDIT CORPORATION
MEDIUM-TERM NOTES, SERIES C
Pricing Supplement No. 0112 Dated: March 8, 1994 Page 5 of 5
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Original Issue Discount
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Discount Note: /X/ No / / Yes (see below)
Total Amount of OID:
Yield to Maturity:
Initial Accrual Period OID:
Provisions relating to types of funds for payment:
/ / None / / Yes (see Attachment)
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Attachment
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None.