FIRST NATIONAL BANK OF ATLANTA
8-K, 2000-01-25
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):
                               December 31, 1999


                      THE FIRST NATIONAL BANK OF ATLANTA
                      ----------------------------------
            (Exact name of Registrant as specified in its charter)

             (Originator of the Wachovia Credit Card Master Trust)


United States                     33-95714                       22-2716130
United States                    33-99442-01                     22-2716130
- -------------                    ------------                -------------------
 (State or other                 (Commission                   (I.R.S. Employer
 Jurisdiction of                 File Number)                Identification No.)
 Incorporation)


                                 77 Read's Way
                         New Castle Corporate Commons
                          New Castle, Delaware 19720
                   (Address of principal executive offices)

    Registrant's telephone number, including area code:     (302) 323-2359




                        Exhibit Index appears on Page 4


                                    Page 1
<PAGE>

Item 5. Other Events
     The Registrant hereby incorporates by reference the information contained
                   in Exhibit 28 hereto in response to this Item 5.


Item 7. Financial Statements, Pro Forma Financial Statements and Exhibits

<TABLE>
<CAPTION>
                (c)   Exhibits
                <S>   <C>
                28.1  Series 1995-1 Monthly Servicing Certificate - December 31, 1999
                28.2  Monthly Series 1995-1 Certificateholders' Statement - December 31, 1999
                28.3  Series 1999-1 Monthly Servicing Certificate - December 31, 1999
                28.4  Monthly Series 1999-1 Certificateholders' Statement - December 31, 1999
                28.5  Series 1999-2 Monthly Servicing Certificate - December 31, 1999
                28.6  Monthly Series 1999-2 Certificateholders' Statement - December 31, 1999
</TABLE>

                                    Page 2
<PAGE>

SIGNATURES

   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.

                      THE FIRST NATIONAL BANK OF ATLANTA
                      ----------------------------------
                                 (Registrant)
             (Originator of the Wachovia Credit Card Master Trust)



     Dated: January 24, 1999                           By:  Donald K. Truslow
                                                       Title: Comptroller


                                    Page 3
<PAGE>

                               INDEX TO EXHIBITS

<TABLE>
<CAPTION>
                                                                                                 SEQUENTIALLY
Exhibit                                                                                           NUMBERED
Number                      EXHIBIT                                                                PAGES
- -------                     -------                                                                -----
<S>                 <C>                                                                           <C>
28.1                Series 1995-1 Monthly Servicing Certificate - December 31, 1999                  1-7
28.2                Monthly Series 1995-1 Certificateholders' Statement - December 31, 1999         1-10
28.3                Series 1999-1 Monthly Servicing Certificate - December 31, 1999                  1-7
28.4                Monthly Series 1999-1 Certificateholders' Statement - December 31, 1999         1-10
28.5                Series 1999-2 Monthly Servicing Certificate - December 31, 1999                  1-7
28.6                Monthly Series 1999-2 Certificateholders' Statement - December 31, 1999         1-10
</TABLE>

                                    Page 4


<PAGE>

                                                                   EXHIBIT 28.1
                             WACHOVIA CORPORATION
                       WACHOVIA CREDIT CARD MASTER TRUST
                                 SERIES 1995-1
                         MONTHLY SERVICING CERTIFICATE


Pursuant to the Pooling and Servicing Agreement, dated as of Oct. 26, 1995 (as
may be amended, from time to time, the "Agreement"), as supplemented by the
Series 1995-1 Supplement (as amended and Supplemented, the "Series Supplement"),
each between The First National Bank of Atlanta as Servicer and Transferor and
The Bank of New York, 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 the applicable
Distribution Date and Monthly Period is set forth below.


                         Monthly Period:                              12/31/1999
                         Transfer Date                                 1/14/2000
                         Distribution Date:                            1/18/2000
                         Period                                               50
                            (Revolving =  0-48,
                            Controlled Accumulation =  49-60)
                         Julian Days in Current Period                        34
                         Current LIBOR Rate                             6.46250%
                         Coupon Period                      12/15/1999-1/17/2000


________________________________________________________________________________
ORIGINAL DEAL PARAMETERS

<TABLE>
<S>                                                                         <C>
Class A Initial Invested Amount                                              $  446,250,000.00
Class B Initial Invested Amount                                              $   26,250,000.00
Class C Initial Invested Amount                                              $   27,500,000.00
Total Initial Invested Amount                                                $  500,000,000.00

Cash Collateral Amount                                                       $   10,000,000.00
Prior Month Credit Enhancer's Portion of CCA                                 $            0.00
Prior Month Wachovia's Portion of CCA and Spread Account                     $   10,000,000.00
Increase(Decrease) in Wachovia's Portion of CCA and Spread Account           $            0.00
Current Month Credit Enhancer's Portion of CCA                               $            0.00
Excess Cash Over the Required Cash Collateral Amount                         $            0.00
Amount on Deposit In Spread Account                                          $            0.00

Class A Certificate Rate                       12/15/1999-1/17/2000                    6.63250%
Class B Certificate Rate                       12/15/1999-1/17/2000                    6.73750%
Class C Certificate Rate                       12/15/1999-1/17/2000                    6.86250%
Class C Certificate Rate                       12/15/1999-1/17/2000                    6.71250%
Servicing Fee Percentage                                                                2.0000%
Discount Percentage                                                                     0.0000%
LIBOR Rate                                     12/15/1999-1/17/2000                    6.46250%
</TABLE>

                                    Page 1
<PAGE>

I. RECEIVABLES IN THE TRUST
- ---------------------------

Beginning of the Period Principal Receivables            $  2,630,305,753.38
Beginning of the Period Finance Charge Receivables       $     34,199,458.36
Beginning of the Period Discounted Receivables           $              0.00
Beginning of the Period Total Receivables                $  2,664,505,211.74

Removed Principal Receivables                            $              0.00
Removed Finance Charge Receivables                       $              0.00
Removed Total Receivables                                $              0.00

Additional Principal Receivables                         $              0.00
Additional Finance Charge Receivables                    $              0.00
Additional Total Receivables                             $              0.00


End of Period Principal Receivables                      $  2,691,743,243.95
End of Period Finance Charge Receivables                 $     33,877,790.01
End of Period Discounted Receivables                     $              0.00
End of Period Total Receivables                          $  2,725,621,033.96

II. INVESTED AMOUNTS AND ALLOCATION PERCENTAGES
- -----------------------------------------------

Class A Initial Invested Amount                          $    446,250,000.00
Class B Initial Invested Amount                          $     26,250,000.00
Class C Initial Invested Amount                          $     27,500,000.00
Total Initial Invested Amount                            $    500,000,000.00

Class A Invested Amount                                  $    446,250,000.00
Class B Invested Amount                                  $     26,250,000.00
Class C Invested Amount                                  $     27,500,000.00
Total Invested Amount                                    $    500,000,000.00

Adjusted Investor Interest                               $    500,000,000.00

Floating Investor Percentage                                         19.0092%
Class A Floating Allocation Percentage                               89.2500%
Class B Floating Allocation Percentage                                5.2500%
Class C Floating Allocation Percentage                                5.5000%

Fixed Investor Percentage                                            19.0092%
Class A Fixed Allocation Percentage                                  89.2500%
Class B Fixed Allocation Percentage                                   5.2500%
Class C Fixed Allocation Percentage                                   5.5000%

Total Servicing Fee                                      $        833,333.33

Investor Defaulted Amount                                $      1,981,858.86

                                    Page 2
<PAGE>

III. SELLER'S INTEREST, RETAINED INTEREST AND EXCESS FUNDING ACCOUNT
- --------------------------------------------------------------------

<TABLE>
<S>                                                             <C>                <C>
Beginning Seller's Interest                                                        $    734,351,953.38
Ending Seller's Interest                                                           $    795,789,443.95
Required Seller's Interest                                                         $    133,051,224.93
Current Month Deposit into Excess Funding                                          $              0.00
 Account
Amount on deposit in Excess Funding Account                                        $              0.00

IV. PERFORMANCE SUMMARY
- -----------------------

COLLECTIONS:
Collections of Principal Receivables                                               $    267,688,654.87
Collections of Finance Charge Receivables                                          $     34,199,458.36
Collections of Interchange                                                         $        874,281.15
       Servicer Interchange                                                        $        416,666.67
       Net Interchange                                                             $        457,614.48
Collections of Recoveries                                                          $        952,073.96
Total Finance Charge Collections                                                   $     36,025,813.47
Total Payment Collections                                                          $    301,888,113.23
Total Collections                                                                  $    303,714,468.34

DELINQUENCIES AND LOSSES:
End of the month delinquencies:
          30 days delinquent                                                       $     26,312,601.60
          60 days delinquent                                                       $     17,088,377.05
          90 days delinquent                                                       $     12,549,743.94
          120 + days delinquent                                                    $     16,522,004.84

          Total 30 + days delinquent                                               $     72,472,727.43


Gross Charge-Offs during the month                                                 $     10,425,789.51
Recoveries during the month                                                        $        952,073.96
Net Charge-Offs during the month                                                   $      9,473,715.55

Defaulted Amount (excluding recoveries)                                            $     10,425,789.51

                                                                # of Accounts                   Amount
                                                                -------------      -------------------
Total amount/number of Accounts in Trust (at end of month)          1,682,335      $  2,725,621,033.96
</TABLE>

                                    Page 3
<PAGE>

V. AVAILABLE SERIES 1995-1 FINANCE CHARGE COLLECTIONS
- -----------------------------------------------------

Available Series 1995-1 Finance Charge Collections       $   7,139,638.48

Class A Available Finance Charge Collections             $   6,372,127.34

Class A Interest                                         $   2,795,322.40
Class A Deficiency Amount                                $           0.00
Class A Additional Interest                              $           0.00
Class A Investor Defaulted Amount                        $   1,768,809.03

Class A Servicing Fee [if Wachovia]                      $     371,875.00
Accrued and Unpaid Class A Servicing Fee                 $           0.00
Servicing Fee [if not Wachovia]                          $           0.00

Excess Spread Class A                                    $   1,436,120.91

Class B Available Finance Charge Collections             $     374,831.02

Class B Interest                                         $     167,033.85
Class B Deficiency Amount                                $           0.00
Class B Additional Interest                              $           0.00

Class B Servicing Fee [if Wachovia]                      $      21,875.00
Accrued and Unpaid Class B Servicing Fee                 $           0.00
Servicing Fee [if not Wachovia]                          $           0.00

Excess Spread Class B                                    $     185,922.17

Class C Available Finance Charge Collections             $     392,680.12

Servicing Fee [if not Wachovia]                          $           0.00

Excess Spread Class C                                    $     392,680.12

Total Excess Finance Charge Collections                  $   2,014,723.20

Class A Required Amount                                  $           0.00

Class A Investor Charge-off Reimbursement                $           0.00

Class B Required Amount                                  $           0.00



Class C Interest                                         $     178,234.38
Class C Deficiency Amount                                $           0.00
Class C Additional Interest                              $           0.00

                                    Page 4
<PAGE>

<TABLE>
<S>                                                                                         <C>
Class C Accrued and unpaid collateral interest                                              $          0.00


Class B Investor Defaulted Amount                                                           $    104,047.59

Class C Servicing Fee [if Wachovia]                                                         $     22,916.67

Class C Investor Defaulted Amount                                                           $    109,002.24

Class C Investor Charge-Off Reimbursement                                                   $          0.00

Cash Collateral Requirement                                                                 $          0.00

Loan Agreement Interest Due                                                                 $          0.00

Deposit to Reserve Account                                                                  $          0.00

Return of Unused Reserve Account Draw to the Reserve Account                                $          0.00

Shared Excess Finance Charge Collections                                                    $  1,600,522.32

VI.  YIELD and BASE RATE
- ------------------------

Base Rate
- ---------

Base Rate (current month)                                                                            9.5374%
Base Rate (prior month)                                                                              7.5882%
Base Rate (2 months ago)                                                                             7.7809%

3 Month Average Base Rate                                                                            8.3022%

Portfolio Yield
- ---------------

Portfolio Yield (current month)                                                                     13.3787%
Portfolio Yield (prior month)                                                                       13.0364%
Portfolio Yield (2 months ago)                                                                      12.4618%
3 Month Average Portfolio Yield                                                                     12.9589%
Portfolio Adjusted Yield                                                                             4.1568%

VII.  PORTFOLIO PERFORMANCE RATES
- ---------------------------------

Gross Charge-Offs ((% of Total Receivables Outstanding (at beginning of month))                      4.6954%
Gross Charge-Offs ((% of Principal Receivables Outstanding (at beginning of month))                  4.7565%
Monthly Payment Rate ((% of Total Receivables Outstanding (at beginning of month))                  11.3300%
Gross Yield (annualized)                                                                            18.1351%
Portfolio Yield (3 month average)                                                                   12.9589%
Base Rate (3 month average)                                                                          8.3022%
Excess Finance Charge Collections % (Current Month Including Servicer Interchange)                   3.8413%
</TABLE>

                                    Page 5
<PAGE>

VIII.  PRINCIPAL COLLECTIONS
- ----------------------------

<TABLE>
<S>                                                                                                     <C>
Class A Principal Allocation Percentage                                                                         89.2500%
Class A Monthly Principal                                                                               $ 45,415,276.18
Class B Principal Allocation Percentage                                                                          5.2500%
Class B Monthly Principal                                                                               $  2,671,486.83
Class C Principal Allocation Percentage                                                                          5.5000%
Class C Monthly Principal                                                                               $  2,798,700.49

Total Monthly Principal                                                                                 $ 50,885,463.50

Reallocated Principal Collections                                                                       $          0.00
Shared Principal Collections allocable from other Series                                                $          0.00


IX.  INVESTOR CHARGE-OFFS
- -------------------------
CLASS A INVESTOR CHARGE-OFFS
Class A Investor Charge-Offs                                                                            $          0.00
Class A Investor Charge-Offs per $1,000 original certificate                                            $          0.00
 principal amount
Total amount reimbursed in respect of Class A Investor Charge-Offs                                      $          0.00
Total amount reimbursed in respect of Class A Investor Charge-Offs per $1,000 original
  certificate principal amount                                                                          $          0.00
The amount, if any, by which the outstanding principal balance of the Class A Certificates
     exceeds the Class A Invested Amount after giving effect to all transactions on such
     Distribution Date.                                                                                 $          0.00
CLASS B INVESTOR CHARGE-OFFS
Class B Investor Charge-Offs                                                                            $          0.00
Class B Investor Charge-Offs per $1,000 original certificate                                            $          0.00
 principal amount
Total amount reimbursed in respect of Class B Investor Charge-Offs                                      $          0.00
Total amount reimbursed in respect of Class B Investor Charge-Offs per $1,000 original
  certificate principal amount                                                                          $          0.00
The amount, if any, by which the outstanding principal balance of the Class B Certificates
     exceeds the Class B Invested Amount after giving effect to all transactions on such
     Distribution Date.                                                                                 $          0.00
CLASS C INVESTOR CHARGE-OFFS
Class C Investor Charge-Offs                                                                            $          0.00
Class C Investor Charge-Offs per $1,000 original certificate principal amount                           $          0.00
Total amount reimbursed in respect of Class C Investor Charge-Offs                                      $          0.00
Total amount reimbursed in respect of Class C Investor Charge-Offs per $1,000 original
  certificate principal amount                                                                          $          0.00
The amount, if any, by which the outstanding principal balance of the Class C Certificates
     exceeds the Class C Invested Amount after giving effect to all transactions on such
     Distribution Date.                                                                                 $          0.00

Current Month Required Draw Amount                                                                      $          0.00
</TABLE>

                                    Page 6
<PAGE>

X.  AMORTIZATION
- ----------------

<TABLE>
<S>                                                                                                     <C>
Current Monthly Amount deposited in Principal Funding Account                                           $   0.00
Cumulative Amount deposited in Principal Funding Account prior to current month                         $   0.00
Current Month Accumulation Shortfall                                                                    $   0.00
Current Month Principal Funding Account Investment Proceeds                                             $   0.00

Current Month Reserve Account Amount deposited in the Reserve Account                                   $   0.00
Cumulative Reserve Account Amount                                                                       $   0.00
Required Reserve Account Draw Amount                                                                    $   0.00

Amount Withdrawn From Principal Funding Account Deposited Into Distribution Account                     $   0.00

Cumulative Class A principal paid (as of prior distribution dates)
Class A Principal Payments                                                                              $   0.00
Class A Principal Payments per $1,000 original principal certificate amount
Total Class A Principal Paid                                                                            $   0.00

Cumulative Class B principal paid (as of prior distribution dates)
Class B Principal Payments                                                                              $   0.00
Class B Principal Payments per $1,000 original principal certificate amount
Total Class B Principal Paid                                                                            $   0.00

Cumulative Class C Principal Paid (as of prior distribution dates)
Class C Principal Payments                                                                              $   0.00
Class C Principal Payments per $1,000 original principal certificate amount
Total Class C Principal Paid                                                                            $   0.00

Principal Paid to Transferor Certficateholder                                                           $   0.00
</TABLE>

                The First National Bank of Atlanta, as Servicer
                Date: January 9, 2000


                By:  Michael L. Scheuerman
                Title: Senior Vice President

                                    Page 7



<PAGE>

                                                                    EXHIBIT 28.2

                                MONTHLY SERIES
                                    1995-1
                         CERTIFICATEHOLDERS' STATEMENT

                      THE FIRST NATIONAL BANK OF ATLANTA
              ___________________________________________________

                       WACHOVIA CREDIT CARD MASTER TRUST
              ___________________________________________________


       Listed below is the information which is required to be prepared with
respect to the distribution date of January 18, 2000 and with respect to the
performance of the Trust during the related Monthly period.

      Capitalized terms used in this Statement have their respective meanings
 set forth in the Pooling and Servicing Agreement.

D.    Information Regarding the Current Monthly Distribution (Stated on the
      ---------------------------------------------------------------------
      Basis of $1,000 Original Certificate Principal Amount)
      -----------------------------------------------------

      1.  The amount of the current monthly
          distribution in respect of Class A
          Monthly Principal                                      $0.00

      2.  The amount of the currently monthly
          distribution in respect of Class B
          Monthly Principal                                      $0.00

      3.  The amount of the currently monthly
          distribution in respect of Collateral
          Monthly Principal                                      $0.00

      4.  The amount of the currently monthly
          distribution in respect of Class A
          Monthly Interest                                       $6.26

      5.  The amount of the currently monthly
          distribution in respect of Class A
          Deficiency Amounts                                     $0.00

      6.  The amount of the currently monthly
          distribution in respect of Class A
          Additional Interest                                    $0.00

                                    Page 1
<PAGE>

     7.  The amount of the currently monthly
         distribution in respect of Class B
         Monthly Interest                                        $6.36

     8.  The amount of the currently monthly
         distribution in respect of Class B
         Deficiency Amounts                                      $0.00

     9.  The amount of the currently monthly
         distribution in respect of Class B
         Additional Interest                                     $0.00

     10. The amount of the currently monthly
         distribution in respect of Collateral
         Monthly Interest                                        $6.48

     11. The amount of the currently monthly
         distribution in respect of any accrued
         and unpaid Collateral Monthly Interest                  $0.00


E.   Information Regarding the Performance of the Trust
     --------------------------------------------------

     1.  Collection of Principal Receivables
         -----------------------------------

         (a)    The aggregate amount of
                Collections of Principal
                Receivables processed during
                the related Monthly Period
                which were allocated in respect
                of the Class A Certificates             $45,415,276.18


         (b)    The aggregate amount of
                Collections of Principal
                Receivables processed during
                the related Monthly Period
                which were allocated in respect
                of the Class B Certificates              $2,671,486.83

                                    Page 2



<PAGE>

         (c)    The aggregate amount of
                Collections of Principal
                Receivables processed during
                the related Monthly Period
                which are allocated in respect
                of the Collateral Interest               $    2,798,700.49



     2.  Principal Receivables in the Trust
         ----------------------------------

         (a)    The aggregate amount of
                Principal Receivables in
                the Trust as of the end
                of the day on the last
                day of the related Monthly Period        $2,691,743,243.95


         (b)    The amount of Principal
                Receivables in the Trust
                represented by the Investor
                Interest of Series 1995-1
                as of the end of the day on
                the last day of the related
                Monthly Period                           $  500,000,000.00

         (c)    The amount of Principal
                Receivables in the Trust
                represented by the Series
                1995-1 Adjusted Investor
                Interest as of the end of
                the day on the last day of
                the related Monthly Period               $  500,000,000.00


         (d)    The amount of Principal
                Receivables in the Trust
                represented by the Class A
                Investor Interest as of the end
                of the day on the last day of
                the related Monthly Period               $  446,250,000.00


         (e)    The amount of Principal
                Receivables in the Trust
                represented by the Class A
                Adjusted Investor Interest as of
                the end of day on the last day
                of the related Monthly Period            $  446,250,000.00

                                    Page 3
<PAGE>

         (f)    The amount of Principal
                Receivables in the Trust
                represented by the Class B
                Investor Interest as of the
                end of the day on the last day
                of the related Monthly Period            $   26,250,000.00


         (g)    The amount of Principal
                Receivables in the Trust
                represented by the Collateral
                Interest as of the end of the
                date on the last day of the
                related Monthly Period                   $   27,500,000.00


         (h)    The Floating Investor Percentage
                with respect to the related
                Monthly Period                                     19.0092%

         (i)    The Class A Floating Allocation
                with respect to the related
                Monthly Period                                     89.2500%

         (j)    The Class B Floating Allocation
                with respect to the related
                Monthly Period                                      5.2500%

         (k)    The Collateral Floating Allocation
                with respect to the related
                Monthly Period                                      5.5000%

         (l)    The Fixed Investor Percentage
                with respect to the related
                Monthly Period                                     19.0092%

         (m)    The Class A Fixed Allocation
                with respect to the related
                Monthly Period                                     89.2500%

         (n)    The Class B Fixed Allocation
                with respect to the related
                Monthly Period                                      5.2500%

                                    Page 4
<PAGE>

         (o)    The Collateral Fixed Allocation
                with respect to the related
                Monthly Period                                      5.5000%

      3. Delinquent Balances
         -------------------

         The aggregate amount of outstanding balances in the Accounts which were
         delinquent as of the end of the day on the last day of the related
         Monthly Period:

                                      Aggregate                  Percentage
                                       Account                    of Total
                                       Balance                   Receivables
                                       -------                   -----------

         (a)  30 - 59 days:        $26,312,601.60                   0.9654%
                                   --------------
         (b)  60 - 89 days:        $17,088,377.05                   0.6270%
                                   --------------
         (c)  90 - or more days:   $29,071,748.78                   1.0666%
                                   --------------
                           Total:  $72,472,727.43                   2.6589%
                                   --------------

     4.  Investor Default Amount
         -----------------------

         (a)    The Aggregate Investor Default
                Amount for the related Monthly
                Period                                   $    1,981,858.86

         (b)    The Class A Investor Default
                Amount for the related Monthly
                Period                                   $    1,768,809.03

         (c)    The Class B Investor Default
                Amount for the related Monthly
                Period                                   $      104,047.59

         (d)    The Collateral Default Amount
                for the related Monthly Period           $      109,002.24


     5.  Investor Charge Offs
         --------------------

         (a)    The aggregate amount of
                Class A Investor Charge-Offs
                for the related Monthly Period           $            0.00

                                    Page 5

<PAGE>

         (b)    The aggregate amount of
                Class A Investor Charge-Offs
                set forth in 5 (a) above per
                $1,000 of original Certificate
                principal amount                         $            0.00


         (c)    The aggregate amount of Class
                B Investor Charge-Offs for the
                related Monthly Period                   $            0.00


         (d)    The aggregate amount of Class
                B Investor Charge-Offs set forth
                in 5 (c) above per $1,000 of
                original certificate principal
                amount                                   $            0.00

         (e)    The aggregate amount of
                Collateral Charge-Offs for the
                related Monthly Period                   $            0.00


         (f)    The aggregate amount of
                Collateral Charge-Offs set
                forth in 5 (e) above per $1,000
                of original certificate principal
                amount                                   $            0.00

         (g)    The aggregate amount of Class
                A Investor Charge-Offs reimbursed
                on the Transfer Date immediately
                preceding this Distribution Date         $            0.00



         (h)    The aggregate amount of Class
                A Investor Charge-Offs set forth
                in 5 (g) above per $1,000 original
                certificate principal amount re-
                imbursed on the Transfer Date
                immediately preceding this
                Distribution Date                        $            0.00


         (i)    The aggregate amount of Class
                B Investor Charge-Offs
                reimbursed on the Transfer
                Date immediately preceding this
                Distribution Date                        $            0.00

                                  Page 6

<PAGE>

         (j)    The aggregate amount of Class
                B Investor Charge-Offs set forth
                in 5 (i) above per $1,000 original
                certificate principal amount re-
                imbursed on the Transfer Date
                immediately preceding this
                Distribution Date                        $            0.00

         (k)    The aggregate amount of
                Collateral Charge-Offs reimbursed
                on the Transfer Date immediately
                preceding this Distribution Date         $            0.00



         (l)    The aggregate amount of
                Collateral Charge-Offs set
                forth in 5(k) above per $1,000
                original certificate principal
                amount reimbursed on the Transfer
                Date immediately preceding
                Distribution Date                        $            0.00



     6.  Investor Servicing Fee
         ----------------------

         (a)    The amount of the Class A
                Servicing Fee payable by the
                Trust to the Servicer for
                the related Monthly Period               $      371,875.00


         (b)    The amount of the Class B
                Servicing Fee payable by the
                Trust to the Servicer for
                the related Monthly Period               $       21,875.00


         (c)    The amount of the Collateral
                Interest Servicing Fee payable
                by the Trust to the Servicer for
                the related Monthly Period               $       22,916.67


    7.   Reallocations
         -------------

         (a)    The amount of Reallocated
                Collateral Principal
                Collections with respect to
                this Distribution Date                   $            0.00

                                        Page 7

<PAGE>

         (b)    The amount of Reallocated
                Class B Principal Collections
                with respect to this Distri-
                bution Date                              $            0.00


         (c)    The Collateral Interest as
                of the close of business on
                this Distribution Date                   $   27,500,000.00



         (d)    The Class B Investor Interest
                as of the close of business
                on this Distribution Date                $   26,250,000.00



     8.  Collection of Finance Charge Receivables
         ----------------------------------------

         (a)    The aggregate amount of
                Collections of Finance Charge
                Receivables processed during the
                related Monthly Period which
                were allocated in respect of
                the Class A Certificate                  $    6,372,127.34


         (b)    The aggregate amount of
                Collections of Finance Charge
                Receivables processed during the
                related Monthly Period which
                were allocated in respect of
                the Class B Certificates                 $      374,831.02


         (c)    The aggregate amount of
                Collections of Finance Charge
                Receivables processed during the
                related Monthly Period which
                were allocated in respect of
                the Collateral Interest                  $      392,680.12


     9.  Principal Funding Amount
         ------------------------

         (a)    The principal amount on
                deposit in the Principal
                Funding Account on the
                related Transfer Date                    $            0.00

                                    Page 8
<PAGE>

         (b)    The Accumulation Shortfall
                with respect to the related
                Monthly Period                           $            0.00

         (c)    The Principal Funding In-
                vestment Proceeds deposited
                in the Finance Charge Account
                on the related Transfer Date             $            0.00


         (d)    The amount of all or the
                portion of the Reserve Draw
                Amount deposited in the
                Finance Charge Account on the
                related Transfer Date from
                the Reserve Account                      $            0.00


     10. Reserve Draw Amount                             $            0.00
         -------------------

     11. Cash Collateral Account
         -----------------------

         (a)    The principal amount on deposit in
                the Cash Collateral Account on
                the related Transfer Date (before
                giving effect to any deposits or
                withdrawals                              $   10,000,000.00

         (b)    The Required Draw Amount on
                the related Transfer Date                $            0.00


         (c)    The principal amount on deposit
                in the Cash Collateral Account on
                the related Transfer Date (after
                giving effect to any deposits or
                withdrawals)                             $   10,000,000.00

         (d)    The Required Cash Collateral
                Amount (after giving effect to
                any deposits, withdrawals, or
                payments)                                $   10,000,000.00

                                    Page 9

<PAGE>

     12.  Available Funds
          ---------------

         (a)    The amount of Class A
                Available Funds on deposit
                in the Finance Charge Account
                on the related Transfer Date             $    6,372,127.34


         (b)    The amount of Class B
                Available Funds on deposit
                in the Finance Charge Account
                on the related                           $      374,831.02


         (c)    The amount of Collateral
                Available Funds on deposit in
                the Finance Charge Account on
                the related Transfer Date                $      392,680.12


    13.  Portfolio Yield
         ---------------

         (a)    The Portfolio Yield for the
                related Monthly Period                             13.3787%


         (b)    The Portfolio Adjusted Yield
                for the related Monthly Period                      4.1568%


     F.  Floating Rate Determinations
         ----------------------------

         1.     LIBOR for the interest Period
                ending on this Distribution Date                   6.46250%
                12/15/1999-1/18/2000

         The First National Bank
         of Atlanta
         Servicer

                                      By: Michael L. Scheuerman
                                      Title: Senior Vice President



                                   Page 10

<PAGE>

                                                                    EXHIBIT 28.3

                             WACHOVIA CORPORATION
                       WACHOVIA CREDIT CARD MASTER TRUST
                                 SERIES 1999-1
                         MONTHLY SERVICING CERTIFICATE

Pursuant to the Pooling and Servicing Agreement, dated as of October 26, 1995
(as may be amended, from time to time, the "Agreement"), as supplemented by the
Series 1999-1 Supplement (as amended and Supplemented, the "Series Supplement"),
each between The First National Bank of Atlanta as Servicer and Transferor and
The Bank of New York, 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 the applicable
Distribution Date and Monthly Period is set forth below.

<TABLE>
<S>                                  <C>                                                          <C>
                                     Monthly Period:                                                           12/31/1999
                                     Transfer Date                                                              1/14/2000
                                     Distribution Date:                                                         1/18/2000
                                     Period                                                                             9
                                        (Revolving = 0-48,
                                        Controlled Accumulation = 49-60)
                                     Current LIBOR Rate                                                           6.46250%
                                     Julian Days in Current Period                                                     34
                                     Coupon Period                                                    12/15/1999-1/17/2000
</TABLE>
_______________________________________________________________________________
ORIGINAL DEAL PARAMETERS
<TABLE>
<S>                                                                                                       <C>
Class A Initial Invested Amount                                                                           $775,000,000.00
Class B Initial Invested Amount                                                                           $ 53,757,250.00
Class C Initial Invested Amount                                                                           $ 67,196,550.00
                                                                                                  -----------------------
Total Initial Invested Amount                                                                             $895,953,800.00

Prior Month's Spread Account Balance                                                                      $          0.00
Increase(Decrease) in Spread Account during the current period                                            $          0.00
                                                                                                  -----------------------
Amount on Deposit in Spread Account                                                                       $          0.00


Class A Certificate Rate             12/15/1999-1/17/2000                                                         6.61250%
Class B Certificate Rate             12/15/1999-1/17/2000                                                         6.86250%
Class C Certificate Rate             12/15/1999-1/17/2000                                                         7.51250%
Class C Certificate Rate             12/15/1999-1/17/2000                                                         6.98750%
Servicing Fee Percentage                                                                                           2.0000%
Discount Percentage                                                                                                0.0000%
</TABLE>

                                    Page 1
<PAGE>

<TABLE>
I. RECEIVABLES IN THE TRUST
- ---------------------------
<S>                                                                                   <C>
Beginning of the Period Principal Receivables                                         $2,630,305,753.38
Beginning of the Period Finance Charge Receivables                                    $   34,199,458.36
Beginning of the Period Discounted Receivables                                        $            0.00
Beginning of the Period Total Receivables                                             $2,664,505,211.74

Removed Principal Receivables                                                         $            0.00
Removed Finance Charge Receivables                                                    $            0.00
Removed Total Receivables                                                             $            0.00

Additional Principal Receivables                                                      $            0.00
Additional Finance Charge Receivables                                                 $            0.00
Additional Total Receivables                                                          $            0.00


End of Period Principal Receivables                                                   $2,691,743,243.95
End of Period Finance Charge Receivables                                              $   33,877,790.01
End of Period Discounted Receivables                                                  $            0.00
End of Period Total Receivables                                                       $2,725,621,033.96

II. INVESTED AMOUNTS AND ALLOCATION PERCENTAGES
- -----------------------------------------------

Class A Initial Invested Amount                                                       $  775,000,000.00
Class B Initial Invested Amount                                                       $   53,757,250.00
Class C Initial Invested Amount                                                       $   67,196,550.00
Total Initial Invested Amount                                                         $  895,953,800.00

Class A Invested Amount                                                               $  775,000,000.00
Class B Invested Amount                                                               $   53,757,250.00
Class C Invested Amount                                                               $   67,196,550.00
Total Invested Amount                                                                 $  895,953,800.00

Adjusted Investor Interest                                                            $  895,953,800.00

Floating Investor Percentage                                                                    34.0627%
Class A Floating Allocation Percentage                                                          86.5000%
Class B Floating Allocation Percentage                                                           6.0000%
Class C Floating Allocation Percentage                                                           7.5000%

Fixed Investor Percentage                                                                       34.0627%
Class A Fixed Allocation Percentage                                                             86.5000%
Class B Fixed Allocation Percentage                                                              6.0000%
Class C Fixed Allocation Percentage                                                              7.5000%

Total Servicing Fee                                                                   $    1,493,256.33

Investor Defaulted Amount                                                             $    3,551,307.95
</TABLE>


                                    Page 2
<PAGE>

<TABLE>
III. SELLER'S INTEREST, RETAINED INTEREST AND EXCESS FUNDING ACCOUNT
- --------------------------------------------------------------------
<S>                                                                                                <C>
Beginning Seller's Interest                                                                        $  734,351,953.38
Ending Seller's Interest                                                                           $  795,789,443.95
Required Seller's Interest                                                                         $  133,051,224.93
Current Month Deposit into Excess Funding                                                          $            0.00
 Account
Amount on deposit in Excess Funding Account                                                        $            0.00

IV. PERFORMANCE SUMMARY
- -----------------------

COLLECTIONS:
Collections of Principal Receivables                                                               $  267,688,654.87
Collections of Finance Charge Receivables                                                          $   34,199,458.36
Collections of Interchange                                                                         $    1,566,631.04
       Servicer Interchange                                                                        $      746,628.16
       Net Interchange                                                                             $      820,002.88
Collections of Recoveries                                                                          $      952,073.96
Total Finance Charge Collections                                                                   $   36,718,163.36
Total Payment Collections                                                                          $  301,888,113.23
Total Collections                                                                                  $  304,406,818.23

DELINQUENCIES AND LOSSES:
End of the month delinquencies:
          30 days delinquent                                                                       $   26,312,601.60
          60 days delinquent                                                                       $   17,088,377.05
          90 days delinquent                                                                       $   12,549,743.94
          120 + days delinquent                                                                    $   16,522,004.84

          Total 30 + days delinquent                                                               $   72,472,727.43


Gross Charge-Offs during the month                                                                 $   10,425,789.51
Recoveries during the month                                                                        $      952,073.96
Net Charge-Offs during the month                                                                   $    9,473,715.55

Defaulted Amount (excluding recoveries)                                                            $   10,425,789.51

                                                                                # of Accounts                 Amount
                                                                                -------------                 ------
Total amount/number of Accounts in Trust (at end of month                           1,682,335      $2,725,621,033.96
</TABLE>


                                    Page 3
<PAGE>

<TABLE>
V. AVAILABLE SERIES 1999-1 FINANCE CHARGE COLLECTIONS
- -----------------------------------------------------
<S>                                                                                 <C>
Available Series 1999-1 Finance Charge Collections                                  $12,793,572.46

Class A Available Finance Charge Collections                                        $11,066,439.65

Class A Interest                                                                    $ 4,839,982.64
Class A Deficiency Amount                                                           $         0.00
Class A Additional Interest                                                         $         0.00
Class A Investor Defaulted Amount                                                   $ 3,071,881.23

Class A Servicing Fee [if Wachovia]                                                 $   645,833.33
Accrued and Unpaid Class A Servicing Fee                                            $         0.00
Servicing Fee [if not Wachovia]                                                     $         0.00
                  ---

Excess Spread Class A                                                               $ 2,508,742.45

Class B Available Finance Charge Collections                                        $   767,614.66

Class B Interest                                                                    $   348,414.18
Class B Deficiency Amount                                                           $         0.00
Class B Additional Interest                                                         $         0.00

Class B Servicing Fee [if Wachovia]                                                 $    44,797.71
Accrued and Unpaid Class B Servicing Fee                                            $         0.00
Servicing Fee [if not Wachovia]                                                     $         0.00
                  ---

Excess Spread Class B                                                               $   374,402.77

Class C Available Finance Charge Collections                                        $   959,518.15

Servicing Fee [if not Wachovia]                                                     $         0.00
                  ---
Excess Spread Class C                                                               $   959,518.15

Total Excess Finance Charge Collections                                             $ 3,842,663.37

Class A Required Amount                                                             $         0.00

Class A Investor Charge-off Reimbursement                                           $         0.00

Class B Required Amount                                                             $         0.00


Class C Interest                                                                    $   476,768.86
Class C Deficiency Amount                                                           $         0.00
Class C Additional Interest                                                         $         0.00
</TABLE>
                                    Page 4
<PAGE>

<TABLE>
<S>                                                                                                             <C>
Class C Accrued and unpaid collateral interest                                                                  $           0.00

Class B Investor Defaulted Amount                                                                               $     213,078.56

Class C Servicing Fee [if Wachovia]                                                                             $      55,997.13

Class C Investor Defaulted Amount                                                                               $     266,348.16

Class C Investor Charge-Off Reimbursement                                                                       $           0.00

Deposit to Reserve Account

Shared Excess Finance Charge Collections                                                                        $   2,830,470.66

VI.  YIELD and BASE RATE
- ------------------------

Base Rate
- ---------

Base Rate (current month)                                                                                                 9.5877%
Base Rate (prior month)                                                                                                   7.6325%
Base Rate (2 months ago)                                                                                                  7.8267%

3 Month Average Base Rate                                                                                                 8.3490%

Portfolio Yield
- ---------------

Portfolio Yield (current month)                                                                                           13.3787%
Portfolio Yield (prior month)                                                                                             13.0364%
Portfolio Yield (2 months ago)                                                                                            12.4618%
3 Month Average Portfolio Yield                                                                                           12.9589%
Portfolio Adjusted Yield                                                                                                   4.6100%

VII.  PORTFOLIO PERFORMANCE RATES
- ---------------------------------

Gross Charge-Offs ((% of Total Receivables Outstanding (at beginning of month))                                           4.6954%
Gross Charge-Offs ((% of Principal Receivables Outstanding (at beginning of month))                                       4.7565%
Monthly Payment Rate ((% of Total Receivables Outstanding (at beginning of month))                                       11.3300%
Gross Yield (annualized)                                                                                                 18.1351%
Portfolio Yield (3 month average)                                                                                        12.9589%
Base Rate (3 month average)                                                                                               8.3490%
Excess Finance Charge Collections % (Current Month Including Servicer Interchange)                                        3.7910%
</TABLE>

                                    Page 5


<PAGE>

<TABLE>

VIII.  PRINCIPAL COLLECTIONS
- ----------------------------
<S>                                                                                                                 <C>
Class A Principal Allocation Percentage                                                                                     86.5000%
Class A Monthly Principal                                                                                           $ 78,872,468.44
Class B Principal Allocation Percentage                                                                                      6.0000%
Class B Monthly Principal                                                                                           $  5,470,925.17
Class C Principal Allocation Percentage                                                                                      7.5000%
Class C Monthly Principal                                                                                           $  6,838,655.19

Total Monthly Principal                                                                                             $ 91,182,048.80

Reallocated Principal Collections                                                                                   $          0.00
Shared Principal Collections allocable from other Series                                                            $          0.00

IX.  INVESTOR CHARGE-OFFS
- -------------------------
CLASS A INVESTOR CHARGE-OFFS
Class A Investor Charge-Offs                                                                                        $          0.00
Class A Investor Charge-Offs per $1,000 original certificate principal amount                                       $          0.00
Total amount reimbursed in respect of Class A Investor Charge-Offs                                                  $          0.00
Total amount reimbursed in respect of Class A Investor Charge-Offs per $1,000 original
  certificate principal amount                                                                                      $          0.00
The amount, if any, by which the outstanding principal balance of the Class A Certificates
     exceeds the Class A Invested Amount after giving effect to all transactions on such
     Distribution Date.                                                                                             $          0.00
CLASS B INVESTOR CHARGE-OFFS
Class B Investor Charge-Offs                                                                                        $          0.00
Class B Investor Charge-Offs per $1,000 original certificate  principal amount                                      $          0.00
Total amount reimbursed in respect of Class B Investor Charge-Offs                                                  $          0.00
Total amount reimbursed in respect of Class B Investor Charge-Offs per $1,000 original
  certificate principal amount                                                                                      $          0.00
The amount, if any, by which the outstanding principal balance of the Class B Certificates
     exceeds the Class B Invested Amount after giving effect to all transactions on such
     Distribution Date.                                                                                             $          0.00
CLASS C INVESTOR CHARGE-OFFS
Class C Investor Charge-Offs                                                                                        $          0.00
Class C Investor Charge-Offs per $1,000 original certificate principal amount                                       $          0.00
Total amount reimbursed in respect of Class C Investor Charge-Offs                                                  $          0.00
Total amount reimbursed in respect of Class C Investor Charge-Offs per $1,000 original
  certificate principal amount                                                                                      $          0.00
The amount, if any, by which the outstanding principal balance of the Class C Certificates
     exceeds the Class C Invested Amount after giving effect to all transactions on such
     Distribution Date.                                                                                             $          0.00
</TABLE>


                                    Page 6

<PAGE>

<TABLE>

X.  AMORTIZATION
- ----------------
<S>                                                                                                                         <C>
Current Monthly Amount deposited in Principal Funding Account                                                               $  0.00
Cumulative Amount Deposited in Principal Funding Account prior to current month                                             $  0.00
Current Month Accumulation Shortfall                                                                                        $  0.00
Current Month Principal Funding Account Investment Proceeds                                                                 $  0.00
Current Month Reserve Account Amount Deposited in the Finance Charge Account                                                $  0.00
Cumulative Reserve Account Amount                                                                                           $  0.00
Required Reserve Account Draw Amount                                                                                        $  0.00
Amount Withdrawn From Principal Funding Account Deposited Into Distribution Account                                         $  0.00

Cumulative Class A principal paid (as of prior distribution dates)
Class A Principal Payments                                                                                                  $  0.00
Class A Principal Payments per $1,000 original principal certificate amount
Total Class A Principal Paid                                                                                                $  0.00

Cumulative Class B principal paid (as of prior distribution dates)
Class B Principal Payments                                                                                                  $  0.00
Class B Principal Payments per $1,000 original principal certificate amount
Total Class B Principal Paid                                                                                                $  0.00

Cumulative Class C Principal Paid (as of prior distribution dates)
Class C Principal Payments                                                                                                  $  0.00
Class C Principal Payments per $1,000 original principal  certificate amount
Total Class C Principal Paid                                                                                                $  0.00

Principal Paid to Transferor  Certficateholder                                                                              $  0.00

                                             The First National Bank of Atlanta, as Servicer
                                             Date: January 9, 2000


                                             By:  Michael L. Scheuerman
                                             Title:    Senior Vice President
</TABLE>

                                    Page 7

<PAGE>

                                                                    EXHIBIT 28.4

             MONTHLY SERIES 1999-1 CERTIFICATEHOLDERS' STATEMENT

                      THE FIRST NATIONAL BANK OF ATLANTA

                      ----------------------------------

                       WACHOVIA CREDIT CARD MASTER TRUST

                       ---------------------------------


     Listed below is the information which is required to be prepared with
respect to the distribution date of January 18, 2000 and with respect to the
performance of the Trust during the related Monthly period.

     Capitalized terms used in this Statement have their respective meanings set
forth in the Pooling and Servicing Agreement.

D.   Information Regarding the Current Monthly Distribution (Stated on the Basis
     ---------------------------------------------------------------------------
     of $1,000 Original Certificate Principal Amount)
     ------------------------------------------------

     1. The amount of the current monthly
        distribution in respect of Class A
        Monthly Principal                              $0.00

     2. The amount of the currently monthly
        distribution in respect of Class B
        Monthly Principal                              $0.00

     3. The amount of the currently monthly
        distribution in respect of Collateral
        Monthly Principal                              $0.00

     4. The amount of the currently monthly
        distribution in respect of Class A
        Monthly Interest                               $6.25

     5. The amount of the currently monthly
        distribution in respect of Class A
        Deficiency Amounts                             $0.00

     6. The amount of the currently monthly
        distribution in respect of Class A
        Additional Interest                            $0.00

                                    Page 1
<PAGE>

     7.  The amount of the currently monthly
         distribution in respect of Class B
         Monthly Interest                                         $6.48

     8.  The amount of the currently monthly
         distribution in respect of Class B
         Deficiency Amounts                                       $0.00

     9.  The amount of the currently monthly
         distribution in respect of Class B
         Additional Interest                                      $0.00

     10. The amount of the currently monthly
         distribution in respect of Collateral
         Monthly Interest                                         $7.10

     11. The amount of the currently monthly
         distribution in respect of any
         accrued and unpaid Collateral
         Monthly Interest                                         $0.00



E.       Information Regarding the Performance of the
         --------------------------------------------
         Trust
         -----

         1.   Collection of Principal Receivables
              -----------------------------------

              (a)     The aggregate amount of
                      Collections of Principal
                      Receivables processed during
                      the related Monthly Period
                      which were allocated in respect
                      of the Class A Certificates        $78,872,468.44


              (b)     The aggregate amount of
                      Collections of Principal
                      Receivables processed during
                      the related Monthly Period
                      which were allocated in respect
                      of the Class B Certificates         $5,470,925.17

                                    Page 2
<PAGE>

              (c)     The aggregate amount of
                      Collections of Principal
                      Receivables processed during
                      the related Monthly Period
                      which are allocated in respect
                      of the Collateral Interest           $6,838,655.19


         2.  Principal Receivables in the Trust
             ----------------------------------

             (a)     The aggregate amount of
                     Principal Receivables in the
                     Trust as of the end of the
                     day on the last day of the
                     related Monthly Period            $2,691,743,243.95

             (b)     The amount of Principal
                     Receivables in the Trust
                     represented by the Investor
                     Interest of Series 1999-1
                     as of the end of the day on
                     the last day of the related
                     Monthly Period                      $895,953,800.00

             (c)     The amount of Principal
                     Receivables in the Trust
                     represented by the Series
                     1999-1 Adjusted Investor
                     Interest as of the end of
                     the day on the last day of
                     the related Monthly Period          $895,953,800.00

             (d)     The amount of Principal
                     Receivables in the Trust
                     represented by the Class A
                     Investor Interest as of the end
                     of the day on the last day of
                     the related Monthly Period          $775,000,000.00

             (e)     The amount of Principal
                     Receivables in the Trust
                     represented by the Class A
                     Adjusted Investor Interest as of
                     the end of day on the last day
                     of the related Monthly Period       $775,000,000.00

                                    Page 3
<PAGE>

             (f)      The amount of Principal
                      Receivables in the Trust
                      represented by the Class B
                      Investor Interest as of the
                      end of the day on the last day
                      of the related Monthly Period          $53,757,250.00

             (g)      The amount of Principal
                      Receivables in the Trust
                      represented by the Collateral
                      Interest as of the end of the
                      date on the last day of the
                      related Monthly Period                 $67,196,550.00

             (h)      The Floating Investor Percentage
                      with respect to the related
                      Monthly Period                                34.0627%

             (i)      The Class A Floating Allocation
                      with respect to the related
                      Monthly Period                                86.5000%

             (j)      The Class B Floating Allocation
                      with respect to the related
                      Monthly Period                                 6.0000%

             (k)      The Collateral Floating Allocation
                      with respect to the related
                      Monthly Period                                 7.5000%

             (l)      The Fixed Investor Percentage
                      with respect to the related
                      Monthly Period                                34.0627%

             (m)      The Class A Fixed allocation
                      with respect to the related
                      Monthly Period                                86.5000%

             (n)      The Class B Fixed Allocation
                      with respect to the related
                      Monthly Period                                 6.0000%

                                    Page 4
<PAGE>

            (o)       The Collateral Fixed Allocation
                      with respect to the related
                      Monthly Period                          7.5000%

      3.  Delinquent Balances
          -------------------

          The aggregate amount of outstanding balances in the Accounts which
          were delinquent as of the and of the day on the last day of the
          related Monthly Period:

                                    Aggregate              Percentage
                                     Account                of Total
                                     Balance               Receivables
                                     -------               -----------

       (a) 30 - 59 days:           $26,312,601.60             0.9654%
                                   --------------
       (b) 60 - 89 days:           $17,088,377.05             0.6270%
                                   --------------
       (c) 90 - or more days:      $29,071,748.78             1.0666%
                                   --------------
                            Total: $72,472,727.43             2.6589%
                                   --------------

     4.  Investor Default Amount
         -----------------------

         (a)     The Aggregate Investor Default
                 Amount for the related Monthly
                 Period                                $3,551,307.95

         (b)     The Class A Investor Default
                 Amount for the related Monthly
                 Period                                $3,071,881.23

         (c)     The Class B Investor Default
                 Amount for the related Monthly
                 Period                                  $213,078.56

         (d)     The Collateral Default Amount
                 for the related Monthly Period          $266,348.16


     5.  Investor Charge Offs
         --------------------

         (a)     The aggregate amount of
                 Class A Investor Charge-Offs
                 for the related Monthly Period                $0.00

                                    Page 5
<PAGE>

         (b)    The aggregate amount of
                Class A Investor Charge-Offs
                set forth in 5(a) above per
                $1,000 of original Certificate
                principal amount                         $0.00

         (c)    The aggregate amount of Class
                B Investor Charge-Offs for
                the related Monthly Period               $0.00

         (d)    The aggregate amount of Class
                B Investor Charge-Offs set
                forth in 5(c) above per $1,000 of
                original certificate principal
                amount                                   $0.00

         (e)    The aggregate amount of
                Collateral Charge-Offs for the
                related Monthly Period                   $0.00

         (f)    The aggregate amount of
                Collateral Charge-Offs set
                forth in 5(e) above per $1,000
                of original certificate principal
                amount                                   $0.00

         (g)    The aggregate amount of Class A
                Investor Charge-Offs reimbursed
                on the Transfer Date immediately
                preceding this Distribution Date         $0.00


         (h)    The aggregate amount of Class A
                Investor Charge-Offs set forth
                in 5(g) above per $1,000 original
                certificate principal amount re-
                imbursed on the Transfer Date
                immediately preceding this
                Distribution Date                        $0.00

         (i)    The aggregate amount of Class B
                Investor Charge-Offs reimbursed
                on the Transfer Date immediately
                preceding this Distribution Date         $0.00

                                    Page 6
<PAGE>

         (j)    The aggregate amount of Class B
                Investor Charge-Offs set forth
                in 5(i) above per $1,000 original
                certificate principal amount re-
                imbursed on the Transfer Date
                immediately preceding this
                Distribution Date                                   $ 0.00

         (k)    The aggregate amount of
                Collateral Charge-Offs reimbursed
                on the Transfer Date immediately
                preceding this Distribution Date                    $ 0.00

         (l)    The aggregate amount of
                Collateral Charge-Offs set
                forth in 5(k) above per $1,000
                original certificate principal
                amount reimbursed on the Transfer
                Date immediately preceding
                Distribution Date                                   $ 0.00

     6.  Investor Servicing Fee
         ----------------------

         (a)    The amount of the Class A
                Servicing Fee payable by the
                Trust to the Servicer for
                the related Monthly Period                     $645,833.33

         (b)    The amount of the Class B
                Servicing Fee payable by the
                Trust to the Servicer for
                the related Monthly Period                     $ 44,797.71

         (c)    The amount of the Collateral
                Interest Servicing Fee payable
                by the Trust to the Servicer for
                the related Monthly Period                     $ 55,997.13

     7.  Reallocations
         -------------

         (a)    The amount of Reallocated
                Collateral Principal
                Collections with respect to
                this Distribution Date                              $ 0.00

                                    Page 7
<PAGE>

         (b)    The amount of Reallocated
                Class B Principal Collections
                with respect to this Distri-
                bution Date                                          $0.00

         (c)    The Collateral Interest as
                of the close of business
                on this Distribution Date                   $67,196,550.00

         (d)    The Class B Investor Interest
                as of the close of business
                on this Distribution Date                   $53,757,250.00


     8.  Collection of Finance Charge Receivables
         ----------------------------------------

         (a)    The aggregate amount of
                Collections of Finance Charge
                Receivables processed during the
                related Monthly Period which
                were allocated in respect of the
                Class A Certificate                         $11,066,439.65

         (b)    The aggregate amount of
                Collections of Finance Charge
                Receivables processed during
                the related Monthly Period which
                were allocated in respect of
                the Class B Certificates                       $767,614.66

         (c)    The aggregate amount of
                Collections of Finance Charge
                Receivables processed during
                the related Monthly Period which
                were allocated in respect of
                the Collateral Interest                        $959,518.15


     9.  Principal Funding Amount
         ------------------------

         (a)    The principal amount on
                deposit in the Principal
                Funding Account on the
                related Transfer Date                                $0.00

                                    Page 8
<PAGE>

         (b)    The Accumulation Shortfall
                with respect to the related
                Monthly Period                                       $0.00

         (c)    The Principal Funding In-
                vestment Proceeds deposited
                in the Finance Charge Account
                on the related Transfer Date                         $0.00

         (d)    The amount of all or the
                portion of the Reserve Draw
                Amount deposited in the
                Finance Charge Account on the
                related Transfer Date from
                the Reserve Account                                  $0.00


     10. Reserve Draw Amount                                         $0.00
         -------------------


     11. Available Funds
         ---------------

         (a)    The amount of Class A
                Available Funds on deposit
                in the Finance Charge Account
                on the related Transfer Date                $11,066,439.65

         (b)    The amount of Class B
                Available Funds on deposit
                in the Finance Charge Account
                on the related Transfer Date                   $767,614.66

         (c)    The amount of Collateral
                Available Funds on deposit in
                the Finance Charge Account on
                the related Transfer Date                      $959,518.15


     12. Portfolio Yield
         ---------------

         (a)    The Portfolio Yield for the
                related Monthly Period                             13.3787%

         (b)    The Portfolio Adjusted Yield
                for the related Monthly Period                      4.6100%

                                    Page 9
<PAGE>

F.   Floating Rate Determinations
     ----------------------------

     1.  LIBOR for the interest Period
         ending on this Distribution Date                           6.46250%


     The First National Bank
     of Atlanta
     Servicer

                                         By: Michael L. Scheuerman
                                         Title: Senior Vice President

                                    Page 10

<PAGE>

                                                                    EXHIBIT 28.5


                             WACHOVIA CORPORATION
                       WACHOVIA CREDIT CARD MASTER TRUST
                                 SERIES 1999-2
                         MONTHLY SERVICING CERTIFICATE


Pursuant to the Pooling and Servicing Agreement, dated as of October 26, 1995
(as may be amended, from time to time, the "Agreement"), as supplemented by the
Series 1999-2 Supplement (as amended and Supplemented, the "Series Supplement"),
each between The First National Bank of Atlanta as Servicer and Transferor and
The Bank of New York, 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 the applicable
Distribution Date and Monthly Period is set forth below.


                             Monthly Period:                        12/31/1999
                             Transfer Date                           1/14/2000
                             Distribution Date:                      1/18/2000
                             Period                                          3
                               (Revolving =  0-12,
                               Controlled Accumulation
                               = 13-24)
                             Current Libor Rate                        6.46250%
                             Julian Days in                                 34
                             Current Period
                             Coupon Period                12/15/1999-1/17/2000

- --------------------------------------------------------------------------------
ORIGINAL DEAL PARAMETERS

Class A Initial Invested Amount                                $432,500,000.00
Class B Initial Invested Amount                                $ 30,000,000.00
Class C Initial Invested Amount                                $ 37,500,000.00
                                                               ---------------
Total Initial Invested Amount                                  $500,000,000.00



Prior Month's Spread Account Balance                           $          0.00
Increase(Decrease) in Spread Account during the current period $          0.00
                                                               ---------------
Amount on Deposit in Spread Account                            $          0.00


Class A Certificate Rate             12/15/1999-1/17/2000              6.64250%
Class B Certificate Rate             12/15/1999-1/17/2000              6.88250%
Class C Certificate Rate             12/15/1999-1/17/2000              7.11250%

Servicing Fee Percentage                                                2.0000%
Discount Percentage                                                     0.0000%

                                    Page 1
<PAGE>

I. RECEIVABLES IN THE TRUST
- ---------------------------

Beginning of the Period Principal Receivables                 $2,630,305,753.38
Beginning of the Period Finance Charge Receivables            $   34,199,458.36
Beginning of the Period Discounted Receivables                $            0.00
Beginning of the Period Total Receivables                     $2,664,505,211.74

Removed Principal Receivables                                 $            0.00
Removed Finance Charge Receivables                            $            0.00
Removed Total Receivables                                     $            0.00

Additional Principal Receivables                              $            0.00
Additional Finance Charge Receivables                         $            0.00
Additional Total Receivables                                  $            0.00


End of Period Principal Receivables                           $2,691,743,243.95
End of Period Finance Charge Receivables                      $   33,877,790.01
End of Period Discounted Receivables                          $            0.00
End of Period Total Receivables                               $2,725,621,033.96

II. INVESTED AMOUNTS AND ALLOCATION PERCENTAGES
- -----------------------------------------------

Class A Initial Invested Amount                               $  432,500,000.00
Class B Initial Invested Amount                               $   30,000,000.00
Class C Initial Invested Amount                               $   37,500,000.00
Total Initial Invested Amount                                 $  500,000,000.00

Class A Invested Amount                                       $  432,500,000.00
Class B Invested Amount                                       $   30,000,000.00
Class C Invested Amount                                       $   37,500,000.00
Total Invested Amount                                         $  500,000,000.00

Adjusted Investor Interest                                    $  500,000,000.00

Floating Investor Percentage                                            19.0092%
Class A Floating Allocation Percentage                                  86.5000%
Class B Floating Allocation Percentage                                   6.0000%
Class C Floating Allocation Percentage                                   7.5000%

Fixed Investor Percentage                                               19.0092%
Class A Fixed Allocation Percentage                                     86.5000%
Class B Fixed Allocation Percentage                                      6.0000%
Class C Fixed Allocation Percentage                                      7.5000%

Total Servicing Fee                                           $      833,333.33

Investor Defaulted Amount                                     $    1,981,858.86

                                    Page 2
<PAGE>

III. SELLER'S INTEREST, RETAINED INTEREST AND EXCESS FUNDING ACCOUNT
- --------------------------------------------------------------------

Beginning Seller's Interest                                   $  734,351,953.38
Ending Seller's Interest                                      $  795,789,443.95
Required Seller's Interest                                    $  133,051,224.93
Current Month Deposit into Excess Funding                     $            0.00
 Account
Amount on deposit in Excess Funding Account                   $            0.00

IV. PERFORMANCE SUMMARY
- -----------------------

COLLECTIONS:
Collections of Principal Receivables                          $  267,688,654.87
Collections of Finance Charge Receivables                     $   34,199,458.36
Collections of Interchange                                    $      874,281.15
      Servicer Interchange                                    $      416,666.66
      Net Interchange                                         $      457,614.49
Collections of Recoveries                                     $      952,073.96
Total Finance Charge Collections                              $   36,025,813.47
Total Payment Collections                                     $  301,888,113.23
Total Collections                                             $  303,714,468.34

DELINQUENCIES AND LOSSES:
End of the month delinquencies:
      30 days delinquent                                      $   26,312,601.60
      60 days delinquent                                      $   17,088,377.05
      90 days delinquent                                      $   12,549,743.94
      120 + days delinquent                                   $   16,522,004.84

      Total 30 + days delinquent                              $   72,472,727.43


Gross Charge-Offs during the month                            $   10,425,789.51
Recoveries during the month                                   $      952,073.96
Net Charge-Offs during the month                              $    9,473,715.55

Defaulted Amount (excluding recoveries)                       $   10,425,789.51

                                          # of Accounts                  Amount
                                          -------------                  ------
Total amount/number of Accounts in Trust
(at end of month)                             1,682,335       $2,725,621,033.96

                                    Page 3
<PAGE>

V. AVAILABLE SERIES 1999-2 FINANCE CHARGE COLLECTIONS
- -----------------------------------------------------

Available Series 1999-2 Finance Charge  Collections             $7,139,638.49

Class A Available Finance Charge Collections                    $6,175,787.29

Class A Interest                                                $2,713,276.74
Class A Deficiency Amount                                       $        0.00
Class A Additional Interest                                     $        0.00
Class A Investor Defaulted Amount                               $1,714,307.91

Class A Servicing Fee [if Wachovia]                             $  360,416.67
Accrued and Unpaid Class A Servicing Fee                        $        0.00
Servicing Fee [if not Wachovia]                                 $        0.00
                  ---
Excess Spread Class A                                           $1,387,785.97

Class B Available Finance Charge                                $  428,378.31
 Collections

Class B Interest                                                $  195,004.17
Class B Deficiency Amount                                       $        0.00
Class B Additional Interest                                     $        0.00

Class B Servicing Fee [if Wachovia]                             $   25,000.00
Accrued and Unpaid Class B Servicing Fee                        $        0.00
Servicing Fee [if not Wachovia]                                 $        0.00

Excess Spread Class B                                           $  208,374.14

Class C Available Finance Charge                                $  535,472.89
 Collections

Servicing Fee [if not Wachovia]                                 $        0.00

Excess Spread Class C                                           $  535,472.89

Total Excess Finance Charge Collections                         $2,131,633.00

Class A Required Amount                                         $        0.00

Class A Investor Charge-off Reimbursement                       $        0.00

Class B Required Amount                                         $        0.00



Class C Interest                                                $  251,901.04
Class C Deficiency Amount                                       $        0.00
Class C Additional Interest                                     $        0.00

                                    Page 4
<PAGE>

Class C Accrued and unpaid collateral interest                 $          0.00


Class B Investor Defaulted Amount                              $    118,911.53

Class C Servicing Fee [if Wachovia]                            $     31,250.00

Class C Investor Defaulted Amount                              $    148,639.41

Class C Investor Charge-Off Reimbursement                      $             0

Deposit to Reserve Account

Shared Excess Finance Charge Collections                       $  1,580,931.02

VI.  YIELD and BASE RATE
- ------------------------

Base Rate
- ---------

Base Rate (current month)                                               9.5844%
Base Rate (prior month)                                                 7.6297%
Base Rate (2 months ago)                                                7.6250%

3 Month Average Base Rate                                               8.2797%

Portfolio Yield
- ---------------

Portfolio Yield (current month)                                        13.3787%
Portfolio Yield (prior month)                                          13.0364%
Portfolio Yield (2 months ago)                                         13.2163%
3 Month Average Portfolio Yield                                        13.2104%
Portfolio Adjusted Yield                                                4.9308%

VII.  PORTFOLIO PERFORMANCE RATES
- ---------------------------------

Gross Charge-Offs ((% of Total Receivables Outstanding
(at beginning of month))                                                4.6954%
Gross Charge-Offs ((% of Principal Receivables Outstanding
(at beginning of month))                                                4.7565%
Monthly Payment Rate ((% of Total Receivables Outstanding
(at beginning of month))                                               11.3300%
Gross Yield (annualized)                                               18.1351%
Portfolio Yield (3 month average)                                      13.2104%
Base Rate (3 month average)                                             8.2797%
Excess Finance Charge Collections % (Current Month
Including Servicer Interchange)                                         3.7942%

                             Page 5
<PAGE>

<TABLE>
<CAPTION>
VIII.  PRINCIPAL COLLECTIONS
- ----------------------------
<S>                                                                                         <C>
Class A Principal Allocation Percentage                                                              86.5000%
Class A Monthly Principal                                                                   $  44,015,925.94
Class B Principal Allocation Percentage                                                               6.0000%
Class B Monthly Principal                                                                   $   3,053,127.81
Class C Principal Allocation Percentage                                                               7.5000%
Class C Monthly Principal                                                                   $   3,816,409.76

Total Monthly Principal                                                                     $  50,885,463.51

Reallocated Principal Collections                                                           $           0.00
Shared Principal Collections allocable                                                      $           0.00
 from other Series

IX.  INVESTOR CHARGE-OFFS
- -------------------------
CLASS A INVESTOR CHARGE-OFFS
Class A Investor Charge-Offs                                                                $           0.00
Class A Investor Charge-Offs per $1,000 original certificate                                $           0.00
 principal amount
Total amount reimbursed in respect of Class A Investor Charge-Offs                          $           0.00
Total amount reimbursed in respect of Class A Investor Charge-Offs per $1,000 original
  certificate principal amount                                                              $           0.00
The amount, if any, by which the outstanding principal balance of the Class A Certificates
     exceeds the Class A Invested Amount after giving effect to all transactions on such
     Distribution Date.                                                                     $           0.00
CLASS B INVESTOR CHARGE-OFFS
Class B Investor Charge-Offs                                                                $           0.00
Class B Investor Charge-Offs per $1,000 original certificate                                $           0.00
 principal amount
Total amount reimbursed in respect of Class B Investor Charge-Offs                          $           0.00
Total amount reimbursed in respect of Class B Investor Charge-Offs per $1,000 original
  certificate principal amount                                                              $           0.00
The amount, if any, by which the outstanding principal balance of the Class B Certificates
     exceeds the Class B Invested Amount after giving effect to all transactions on such
     Distribution Date.                                                                     $           0.00
CLASS C INVESTOR CHARGE-OFFS
Class C Investor Charge-Offs                                                                $           0.00
Class C Investor Charge-Offs per $1,000 original certificate                                $           0.00
 principal amount
Total amount reimbursed in respect of Class C Investor Charge-Offs                          $           0.00
Total amount reimbursed in respect of Class C Investor Charge-Offs per $1,000 original
  certificate principal amount                                                              $           0.00
The amount, if any, by which the outstanding principal balance of the Class C Certificates
     exceeds the Class C Invested Amount after giving effect to all transactions on such
     Distribution Date.                                                                     $           0.00
</TABLE>

                                    Page 6

<PAGE>

<TABLE>
<CAPTION>
X.  AMORTIZATION
- ----------------
<S>                                                                                         <C>
Current Monthly Amount deposited in Principal Funding Account                               $           0.00
Cumulative Amount Deposited in Principal Funding Account prior to                           $           0.00
 current month
Current Month Accumulation Shortfall                                                        $           0.00
Current Month Principal Funding Account Investment Proceeds                                 $           0.00
Current Month Reserve Account Amount Deposited in the Finance Charge                        $           0.00
 Account
Cumulative Reserve Account Amount                                                           $           0.00
Required Reserve Account Draw Amount                                                        $           0.00
Amount Withdrawn From Principal Funding Account Deposited Into Distribution Account         $           0.00

Cumulative Class A principal paid (as of prior distribution dates)
Class A Principal Payments                                                                  $           0.00
Class A Principal Payments per $1,000 original principal certificate amount
Total Class A Principal Paid                                                                $           0.00

Cumulative Class B principal paid (as of prior distribution dates)
Class B Principal Payments                                                                  $           0.00
Class B Principal Payments per $1,000 original principal certificate amount
Total Class B Principal Paid                                                                $           0.00

Cumulative Class C Principal Paid (as of prior distribution dates)
Class C Principal Payments                                                                  $           0.00
Class C Principal Payments per $1,000 original principal certificate amount
Total Class C Principal Paid                                                                $           0.00

Principal Paid to Transferor                                                                $           0.00
 Certficateholder
</TABLE>

                The First National Bank Of Atlanta, as Servicer
                Date: January 9, 2000


                By:  Michael L. Scheuerman
                Title:    Senior Vice President

                                    Page 7

<PAGE>

                                                                    EXHIBIT 28.6


              MONTHLY SERIES 1999-2 CERTIFICATEHOLDERS' STATEMENT

                      THE FIRST NATIONAL BANK OF ATLANTA

                 _____________________________________________

                       WACHOVIA CREDIT CARD MASTER TRUST

                 _____________________________________________


     Listed below is the information which is required to be prepared with
respect to the distribution date of January 18, 2000 and with respect to the
performance of the Trust during the related Monthly period.

     Capitalized terms used in this Statement have their respective meanings set
forth in the Pooling and Servicing Agreement.


D.   Information Regarding the Current Monthly Distribution (Stated on the Basis
     ---------------------------------------------------------------------------
     of $1,000 Original Certificate Principal Amount)
     ------------------------------------------------

     1.   The amount of the current monthly
          distribution in respect of Class A
          Monthly Principal                                              $0.00

     2.   The amount of the currently monthly
          distribution in respect of Class B
          Monthly Principal                                              $0.00

     3.   The amount of the currently monthly
          distribution in respect of Collateral
          Monthly Principal                                              $0.00

     4.   The amount of the currently monthly
          distribution in respect of Class A
          Monthly Interest                                               $6.27

     5.   The amount of the currently monthly
          distribution in respect of Class A
          Deficiency Amounts                                             $0.00

     6.   The amount of the currently monthly
          distribution in respect of Class A
          Additional Interest                                            $0.00


                                    Page 1



<PAGE>


     7.   The amount of the currently monthly
          distribution in respect of Class B                $          6.50
          Monthly Interest

     8.   The amount of the currently monthly
          distribution in respect of Class B                $          0.00
          Deficiency Amounts

     9.   The amount of the currently monthly
          distribution in respect of Class B                $          0.00
          Additional Interest

     10.  The amount of the currently monthly
          distribution in respect of Collateral             $          6.72
          Monthly Interest

     11.  The amount of the currently monthly
          distribution in respect of any
          accrued and unpaid Collateral                     $          0.00
          Monthly Interest

E.   Information Regarding the Performance of the Trust
     --------------------------------------------------

     1.   Collection of Principal Receivables
          -----------------------------------

          (a)  The aggregate amount of
               Collections of Principal
               Receivables processed during
               the related Monthly Period
               which were allocated in respect
               of the Class A Certificates                  $ 44,015,925.94

          (b)  The aggregate amount of
               Collections of Principal
               Receivables processed during
               the related Monthly Period
               which were allocated in respect
               of the Class B Certificates                  $  3,053,127.81

                                    Page 2
<PAGE>

          (c)  The aggregate amount of
               Collections of Principal
               Receivables processed during
               the related Monthly Period
               which are allocated in respect
               of the Collateral Interest                  $     3,816,409.76

     2.   Principal Receivables in the Trust
          ----------------------------------

          (a)  The aggregate amount of
               Principal Receivables in the
               Trust as of the end of the
               day on the last day of the
               related Monthly Period                      $ 2,691,743,243.95

          (b)  The amount of Principal
               Receivables in the Trust
               represented by the Investor
               Interest of Series 1999-2
               as of the end of the day on
               the last day of the related
               Monthly Period                              $   500,000,000.00

          (c)  The amount of Principal
               Receivables in the Trust
               represented by the Series
               1999-2 Adjusted Investor
               Interest as of the end of
               the day on the last day of
               the related Monthly Period                  $   500,000,000.00

          (d)  The amount of Principal
               Receivables in the Trust
               represented by the Class A
               Investor Interest as of the end
               of the day on the last day of
               the related Monthly Period                  $   432,500,000.00

          (e)  The amount of Principal
               Receivables in the Trust
               represented by the Class A
               Adjusted Investor Interest as of
               the end of day on the last day
               of the related Monthly Period               $   432,500,000.00


                                    Page 3
<PAGE>

(f)  The amount of Principal
     Receivables in the Trust
     represented by the Class B
     Investor Interest as of the
     end of the day on the last day
     of the related Monthly Period                        $30,000,000.00

(g)  The amount of Principal
     Receivables in the Trust
     represented by the Collateral
     Interest as of the end of the
     related Monthly Period                               $37,500,000.00

(h)  The Floating Investor Percentage
     with respect to the related
     Monthly Period                                              19.0092%

(i)  The Class A Floating Allocation
     with respect to the related
     Monthly Period                                              86.5000%

(j)  The Class B Floating Allocation
     with respect to the related
     Monthly Period                                               6.0000%

(k)  The Collateral Floating Allocation
     with respect to the related
     Monthly Period                                               7.5000%

(l)  The Fixed Investor Percentage
     with respect to the related
     Monthly Period                                              19.0092%

(m)  The Class A Fixed Allocation
     with respect to the related
     Monthly Period                                              86.5000%

(n)  The Class B Fixed Allocation
     with respect to the related
     Monthly Period                                               6.0000%

                                    Page 4
<PAGE>

          (o)  The Collateral Fixed Allocation
               with respect to the related
               Monthly Period                                            7.5000%


     3.   Delinquent Balances
          -------------------

          The aggregate amount of outstanding balances in the Accounts which
          were delinquent as of the end of the day on the last day of the
          related Monthly Period:

                                                Aggregate             Percentage
                                                  Account               of Total
                                                  Balance            Receivables
                                                  -------            -----------

          (a)  39 - 59 days:                 $26,312,601.60              0.9654%
                                             --------------
          (b)  60 - 89 days:                 $17,088,377.05              0.6270%
                                             --------------
          (c)  90 - or more days:            $29,071,748.78              1.0666%
                                             --------------
                                  Total:     $72,472,727.43              2.6589%
                                             --------------

     4.   Investor Default Amount
          -----------------------

          (a)  The Aggregate Investor Default
               Amount for the related Monthly
               Period                                            $ 1,981,858.86

          (b)  The Class A Investor Default
               Amount for the related Monthly
               Period                                            $ 1,714,307.91

          (c)  The Class B Investor Default
               Amount for the related Monthly
               Period                                            $   118,911.53

          (d)  The Collateral Default Amount
               for the related Monthly Period                    $   148,639.41

     5.   Investor Charge Offs
          --------------------

          (a)  The aggregate amount of
               Class A Investor Charge-Offs
               for the related Monthly Period                    $         0.00


                                    Page 5

<PAGE>

          (b)  The aggregate amount of
               Class A Investor Charge-Offs
               set forth in 5 (a) above per
               $1,000 of original Certificate
               principal amount                                          $0.00


          (c)  The aggregate amount of Class
               B Investor Charge-Offs for the
               related Monthly Period                                    $0.00

          (d)  The aggregate amount of Class
               B Investor Charge-Offs set forth
               in 5 (c) above per $1,000 of
               original certificate principal
               amount                                                    $0.00

          (e)  The aggregate amount of
               Collateral Charge-Offs for the
               related Monthly Period                                    $0.00

          (f)  The aggregate amount of
               Collateral Charge-Offs set
               forth in 5 (e) above per $1,000
               of original certificate principal
               amount                                                    $0.00

          (g)  The aggregate amount of Class A
               Investor Charge-Offs reimbursed
               on the Transfer Date immediately
               preceding this Distribution Date                          $0.00

          (h)  The aggregate amount of Class A
               Investor Charge-Offs set forth
               in 5 (g) above per $1,000 original
               certificate principal amount re-
               imbursed on the Transfer Date
               immediately preceding this
               Distribution Date                                         $0.00

          (i)  The aggregate amount of Class B
               Investor Charge-Offs reimbursed
               on the Transfer Date immediately
               preceding this Distribution Date                          $0,00


                                   Page 6


<PAGE>

     (j)  The aggregate amount of Class B
          Investor Charge-Offs set forth in 5
          (i) above per $1,000 original
          certificate principal amount reimbursed
          on the Transfer Date immediately preceding
          this Distribution Date                               $      0.00

     (k)  The aggregate amount of Collateral
          Charge-Offs reimbursed on the Transfer Date
          immediately preceding this Distribution Date         $      0.00

     (l)  The aggregate amount of Collateral
          Charge-Offs set forth in 5(k)
          above per $1,000 original certificate
          principal amount reimbursed on the Transfer
          Date immediately preceding Distribution Date         $      0.00

6.   Investor Servicing Fee
     ----------------------

     (a)  The amount of the Class A Servicing Fee
          payable by the Trust to the Servicer
          for the related Monthly Period                       $360,416.67

     (b)  The amount of the Class B Servicing Fee
          payable by the Trust to the Servicer for
          the related Monthly Period                           $ 25,000.00

     (c)  The amount of the Collateral Interest
          Servicing Fee payable
          by the Trust to the Servicer for
          the related Monthly Period                           $ 31,250.00

7.   Reallocations
     -------------

     (a)  The amount of Reallocated Collateral
          Principal Collections with respect to
          this Distribution Date                               $      0.00

                                    Page 7
<PAGE>

     (b)  The amount of Reallocated
          Class B Principal Collections
          with respect to this Distri-
          bution Date                                         $         0.00


     (c)  The Collateral Interest as
          of the close of business on
          this Distribution Date                              $37,500,000.00


     (d)  The Class B Investor Interest
          as of the close of business
          on this Distribution Date                           $30,000,000.00


8.   Collection of Finance Charge Receivables
     ----------------------------------------

     (a)  The aggregate amount of
          Collections of Finance Charge
          Receivables processed during the
          related Monthly Period which
          were allocated in respect of the
          Class A Certificate                                 $ 6,175,787.29


     (b)  The aggregate amount of
          Collections of Finance Charge
          Receivables processed during the
          related Monthly Period which
          were allocated in respect of
          the Class B Certificates                            $   428,378.31


     (c)  The aggregate amount of
          Collections of Finance Charge
          Receivables processed during the
          related Monthly Period which
          were allocated in respect of
          the Collateral Interest                             $   535,472.89


9.   Principal Funding Amount


     (a)  The principal amount on
          deposit in the Principal
          Funding Account on the
          related Transfer Date                               $         0.00

                                    Page 8
<PAGE>

     (b)  The Accumulation Shortfall
          with respect to the related
          Monthly Period                             $        0.00

     (c)  The Principal Funding In-
          vestment Proceeds deposited
          in the Finance Charge Account
          on the related Transfer Date               $        0.00

     (d)  The amount of all or the
          portion of the Reserve Draw
          Amount deposited in the
          Finance Charge Account on the
          related Transfer Date from
          the Reserve Account                        $        0.00

10.  Reserve Draw Account                            $        0.00
     --------------------

11.  Available Funds
     ---------------

     (a)  The amount of Class A
          Available Funds on deposit
          in the Finance Charge Account
          on the related Transfer Date               $6,175,787.29

     (b)  The amount of Class B
          Available Funds on deposit
          in the Finance Charge Account
          on the related Transfer Date               $  428,378.31

     (c)  The amount of Collateral
          Available Funds on deposit in
          the Finance Charge Account on
          the related Transfer Date                  $  535,472.89

12.  Portfolio Yield
     ---------------

     (a)  The Portfolio Yield for the
          related Monthly Period                           13.3787%

     (b)  The Portfolio Adjusted Yield
          for the related Monthly Period                    4.9308%

                                    Page 9
<PAGE>

F.  Floating Rate Determinations
    ----------------------------

    1.  LIBOR for the interest Period
        ending on this Distribution Date                    6.46250%


   The First National Bank
   of Atlanta
   Servicer

                            By:  Michael L. Scheuerman
                            Title:  Senior Vice President

                                    Page 10


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