CITIBANK SOUTH DAKOTA N A
8-K, 1996-07-15
ASSET-BACKED SECURITIES
Previous: HORSEHEAD RESOURCE DEVELOPMENT CO INC, SC 13E4/A, 1996-07-15
Next: CITIBANK SOUTH DAKOTA N A, 8-K, 1996-07-15



                           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):                  June 7, 1996


                              CITIBANK (SOUTH DAKOTA), N.A.
                                      ON BEHALF OF
                           CITIBANK  CREDIT  CARD  MASTER  TRUST  I  (Issuer  in
              respect of the Citibank Credit Card Master Trust I

      8-1/2% Class A Credit Card Participation Certificates, Series 1991-1
        9% Class B Credit Card Participation Certificates, Series 1991-1
      8-7/8% Class A Credit Card Participation Certificates, Series 1991-3
      9-1/4% Class B Credit Card Participation Certificates, Series 1991-3
        8% Class A Credit Card Participation Certificates, Series 1991-4
       8-1/4% Class B Credit Card Participation Certificates, Series1991-4
      7.875% Class A Credit Card Participation Certificates, Series 1991-6
      8.350% Class B Credit Card Participation Certificates, Series 1991-6
      6 1/4% Class B Credit Card Participation Certificates, Series 1992-1
   Floating Rate Class A Credit Card Participation Certificates, Series 1992-3
   Floating Rate Class B Credit Card Participation Certificates, Series 1992-3
                     51/2% Class B Credit Card Participation
                Certificates, Series 1993-1 5.95% Class A Credit
                 Card Participation Certificates, Series 1993-2
                     6.15% Class B Credit Card Participation
                 Certificates, Series 1993-2 5.50%Class A Credit
                 Card Participation Certificates, Series 1993-3
                     5.70% Class B Credit Card Participation
                Certificates, Series 1993-3 4.65% Class A Credit
                 Card Participation Certificates, Series 1994-1
                     4.85% Class B Credit Card Participation
                Certificates, Series 1994-1 7.25% Class A Credit
                 Card Participation Certificates, Series 1994-2





                                       1
<PAGE>



                     7.50% Class B Credit Card Participation
                Certificates, Series 1994-2 6.80% Class A Credit
                 Card Participation Certificates, Series 1994-3
                     7.00% Class B Credit Card Participation
                Certificates, Series 1994-3 8.25% Class A Credit
                 Card Participation Certificates, Series 1994-4
                     8.25% Class A Credit Card Participation
                Certificates, Series 1995-1 8.45% Class B Credit
                 Card Participation Certificates, Series 1995-1
      8-5/8% Class A Credit Card Participation Certificates, Series 1995-2
       7.85% Class A Credit Card Participation Certificates, Series 1995-3
   Floating Rate Class A Credit Card Participation Certificates, Series 1995-4
       7.65% Class B Credit Card Participation Certificates, Series 1995-4
                 Floating Rate Class A Credit Card Participation
                Certificates, Series 1995-5 6.75% Class A Credit
                 Card Participation Certificates, Series 1995-6
                     6.90% Class B Credit Card Participation
                Certificates, Series 1995-6 6.70% Class A Credit
                 Card Participation Certificates, Series 1995-8
                     6.85% Class B Credit Card Participation
                Certificates, Series 1995-8 6.55% Class A Credit
                 Card Participation Certificates, Series 1995-9
                     6.65% Class B Credit Card Participation
                           Certificates, Series 1995-9
      5.90% Class A Credit Card Participation Certificates, Series 1995-10
      6.05% Class B Credit Card Participation Certificates, Series 1995-10
                 Floating Rate Class A Credit Card Participation
                Certificates, Series 1995-11 Zero Coupon Class A
                 Credit Card Participation Certificates, Series
              1996-1 Zero Coupon Class B Credit Card Participation
                           Certificates, Series 1996-1
                       (collectively, the "Certificates"))

                       (Exact name of registrant as specified in charter)


           UNITED STATES OF AMERICA                    46-0358360
        (State or other jurisdiction
             of incorporation)            (I.R.S. Employer Identification No.)


                     33-38312, 33-41054, 33-41055, 33-42235,
                          33-43575, 33-43576, 33-47657,
                          33-48148, 33-52152, 33-62180,
                    33-77802, 33-84834, 33-97664 AND 33-99328
                              (Commission File No.)


              701 EAST 60TH ST., NORTH
              SIOUX FALLS, SOUTH DAKOTA                         57117
   (Address of principal executive offices)                    (Zip Code)


               Registrant's telephone number, including area code (605) 331-2626


                                 NOT APPLICABLE
                (Former name or former address, if changed since
                                 last report.)




                                       2
<PAGE>


ITEM 5.  OTHER EVENTS.

         Set forth below is the monthly  report and servicer's  certificate  for
each  Series  referenced  on the cover page of this Form 8-K  (each,  a "Monthly
Report")  for the Due Period  ending May 28, 1996 and the  related  Distribution
Date delivered  pursuant to Section 5.02 of the applicable  Series Supplement to
the Pooling and Servicing  Agreement  (together,  the  "Agreement")  relating to
Citibank  Credit Card Master Trust I, among Citibank  (South  Dakota),  N.A., as
Seller and Servicer,  Citibank (Nevada),  National  Association,  as Seller, and
Yasuda Bank and Trust Company (U.S.A.), as Trustee. Each Monthly Report contains
information relating to the distribution,  if any, to  Certificateholders of the
related  Series  on the  referenced  Distribution  Date as  well as  information
relating to the  Receivables  and the Accounts from which the  Receivables  have
arisen.  Capitalized  terms used but not defined  herein have the  meanings  set
forth in the Agreement.




                                       3
<PAGE>



                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

                      CITIBANK  CREDIT  CARD  MASTER  TRUST I For the Due Period
                     Ending May 28, 1996

================================================================================

This Certificate  relates to the Due Period ending This  Certificate  relates to
the Due Period ending May 28, 1996 and the related Distribution Date.
and the related Distribution Date.

A. Information Regarding the Portfolio
   -----------------------------------

   1. Portfolio Yield .........................................           12.80%

         Yield Component ......................................           17.75%

         Credit Loss Component ................................            4.95%

   2. New Purchase Rate .......................................           20.85%

   3. Total Payment Rate ......................................           20.87%

   4. Principal Payment Rate ..................................           19.75%

   5. Aggregate Amount of Principal Receivables in the Trust:

         Beginning of Due Period ..............................$  30,416,087,708

         Average ..............................................$  30,278,251,816

         Lump Sum Addition ....................................$               0

         End of Due Period ....................................$  30,331,869,922

   6. Delinquencies  (Aggregate  outstanding  balances in the Accounts that were
      delinquent by the time periods listed below as of the close of business of
      the month  preceding the  Distribution  Date, as a percentage of aggregate
      Receivables as of the last day of the Due Period):

         Current ..............................................$  27,305,901,766
            5-34 days delinquent ..............................$   2,047,507,280
           35-64 days delinquent ..............................$     595,050,540
           65-94 days delinquent ..............................$     310,606,571
          95-124 days delinquent ..............................$     223,577,202
         125-154 days delinquent ..............................$     183,679,309
         155-184 days delinquent ..............................$     146,409,596

         Current ...............................................          88.61%
            5-34 days delinquent ...............................           6.64%
           35-64 days delinquent ...............................           1.93%
           65-94 days delinquent ...............................           1.01%
          95-124 days delinquent ...............................           0.73%
         125-154 days delinquent ...............................           0.60%
         155-184 days delinquent ...............................           0.48%


                                       4
<PAGE>

                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

                 CITIBANK  CREDIT  CARD  MASTER  TRUST  I -  GROUP 1 For the Due
                     Period Ending May 28, 1996

================================================================================

                                             Current Due          Current Due
                                            Period on an          Period on a
                                            Actual Basis(1)    Standard Basis(1)
B. Information Regarding Group 1
   -----------------------------
   (Percentage Basis)

   1. Portfolio Yield                               12.80%                12.77%
   2. Weighted Average Certificate Rate              6.50%                 6.49%
   3. Weighted Average Investor Fee Rates
          Fixed Servicing Fee                        0.75%                 0.76%
          Others                                     0.05%                 0.05%
   4. Surplus Finance Charge Collections             5.50%                 5.47%
   5. Required Surplus Finance Charge Amount         0.00%                 0.00%
   6. Aggregate Surplus Finance Charge Amount        5.50%                 5.47%
      minus Required Surplus Finance Charge Amount

C. Information Regarding Group 1
   -----------------------------
   (Dollar Basis)

   1. Total Investor Collections                  $5,360,090,147  $5,359,616,659
          Principal Collections                   $4,987,572,183  $4,987,572,183
          Finance Charge Collections              $  372,517,964  $  372,044,476
   2. Investor Default Amount                     $  103,423,307  $  103,423,307
   3. Investor Monthly Interest                   $  128,589,887  $  128,334,351
   4. Investor Monthly Fees
          Fixed Servicing Fees                    $   14,480,701  $   14,597,495
          Others                                  $      963,325  $      963,325
   5. Surplus Finance Charge Collections          $  125,060,744  $  124,725,998
   6. Required Surplus Finance Charge Collections $            0  $            0
   7. Aggregate Surplus Finance Charge Amount     $  125,060,744  $  124,725,998
      minus Required Surplus Finance Charge Amount

  (1)  Values for "Current Due Period on an Actual Basis" reflect, in the case
       of a first due period close of a series, activity from the series cut-off
       or close dates until the first due period end, or, as in the case of
       Investor Monthly Interest and certain fees, until the first distribution
       date. Values for "Current Due Period on a Standard Basis" reflect
       activity for the entire current period, as if all series had already been
       outstanding prior to the first day of such period.

       All  percents are based on actual cash revenue or expense for the period,
       converted to an annualized  percent using  daycounts  appropriate for the
       item, either 30/360, actual/360, or actual/actual. Depending on the item,
       cash expenses may accrue from April 26, 1996 to May 28, 1996, 33 days, or
       May 7 , 1996 to June 6 , 1996, 31 days (standard basis).


                                       5
<PAGE>


                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

               Citibank Credit Card Master Trust I, Series 1991-1
                     For the Due Period Ending May 28, 1996

================================================================================

     The undersigned, a duly authorized representative of Citibank (South
Dakota), N.A., as Servicer ("Citibank (South Dakota)"), pursuant to the Pooling
and Servicing Agreement dated as of May 29, 1991, (as amended and
supplemented, the "Agreement"), as supplemented by the Series 1991-1
Supplement  (as  amended  and  supplemented,  the  "Series  Supplement"),  among
Citibank  (South  Dakota),  Seller and  Servicer,  Citibank  (Nevada),  National
Association, Seller, and Yasuda Bank and Trust Company (U.S.A), as Trustee, does
hereby certify the information set forth below.  Capitalized  terms used in this
Certificate have their respective meanings as set forth in the Agreement or
Series Supplement, as applicable.
D. Information Regarding Series 1991-1
   ------------------------------------------

 1a. Class A Invested Amount         .......................... $              0

 1b. Class B Invested Amount         .......................... $    186,000,000

 2a. Class A Monthly Interest        .......................... $        885,417

 2b. Class B Monthly Interest        .......................... $      1,395,000

 3a. Balance in the Class A Interest Funding Account .......... $     63,750,000

 3b. Balance in the Class B Interest Funding Account .......... $      8,370,000

 4a. Available Cash Collateral Amount ......................... $    118,020,000

 4b. Percent of Class B Invested Amount         ...............           63.45%

 5a. Class A Investor Charge-offs ............................. $              0

 5b. Class B Investor Charge-offs ............................. $              0

 6.  Required Amount .......................................... $              0

 7.  Draw on Cash Collateral Account .......................... $              0

 8a. Class A Monthly Principal for the Distribution Date(2).... $    125,000,000

 8b. Class B Monthly Principal for the Distribution Date(2).... $              0

 9a. Balance in the Class A Principal Funding Account(2)....... $  1,500,000,000

 9b. Balance in the Class B Principal Funding Account(2)....... $              0

     ----------------------------------------------------------
     (2) Applicable during the Accumulation Period and any Early Amortization
         Period.

                                       6
<PAGE>

                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

               Citibank Credit Card Master Trust I, Series 1991-1
                     For the Due Period Ending May 28, 1996

================================================================================

E. Information Regarding Charge-offs and Distributions to Certificateholders(3)
   -------------------------------------------------------------------------

 1a. The total amount of the distribution to Class A
     Certificateholders on the Payment Date ................... $  1,563,750,000

 1b. The total amount of the distribution to Class B
     Certificateholders on the Payment Date ................... $      8,370,000

 2a. The amount of the distribution set forth in item 1(a) above
     in respect of principal on the Class A Certificates ...... $  1,500,000,000

 2b. The amount of the distribution set forth in item 1(b) above
     in respect of principal on the Class B Certificates ...... $              0

 3a. The amount of the distribution set forth in item 1(a) above
     in respect of interest on the Class A Certificates ....... $     63,750,000

 3b. The amount of the distribution set forth in item 1(b) above
     in respect of interest on the Class B Certificates ....... $      8,370,000

 4a. The amount, if any, by which the outstanding principal
     balance of the Class A Certificates exceeds the Class A
     Invested Amount as of the end of the Record Date with
     respect to the Payment Date .............................. $  1,500,000,000

 4b. The amount, if any, by which the outstanding principal
     balance of the Class B Certificates exceeds the Class B
     Invested Amount as of the end of the Record Date with
     respect to the Payment Date .............................. $              0


     ----------------------------------------------------------
     (3) The following information, as applicable, is to be included only
         on Payment Date.


                                       7
<PAGE>



                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

               Citibank Credit Card Master Trust I, Series 1991-1
                     For the Due Period Ending May 28, 1996

================================================================================

     The  undersigned,  a duly  authorized  representative  of  Citibank  (South
Dakota), N.A., as Servicer ("Citibank (South Dakota)"),  pursuant to the Pooling
and Servicing  Agreement dated as of May 29, 1991, (as amended and supplemented,
the  "Agreement"),  as supplemented by the Series 1991-1  Supplement (as amended
and  supplemented,  the "Series  Supplement"),  among Citibank  (South  Dakota),
Seller and Servicer, Citibank (Nevada), National Association, Seller, and Yasuda
Bank and Trust Company (U.S.A), as Trustee, does hereby certify as follows:

         1.   Capitalized  terms used in this  Certificate have their respective
              meanings as set forth in the  Agreement or Series  Supplement,  as
              applicable.

         2.   Citibank (South Dakota) is, as of the date hereof, the
              Servicer under the Agreement.

         3.   The undersigned is a Servicing Officer.

         4.   This Certificate relates to the Distribution Date
              occurring on June 7 , 1996.

         5.   As of the date hereof,  to the best knowledge of the  undersigned,
              the  Servicer  has  performed  in all  material  respects  all its
              obligations  under the Agreement through the Due Period preceeding
              such Distribution Date.

         6.   As of the date hereof,  to the best knowledge of the  undersigned,
              no Amortization Event has been deemed to have occurred on or prior
              to such Distribution Date.

         7.   As of the date hereof,  to the best knowledge of the  undersigned,
              no Lien has  been  placed  on any of the  Receivables  other  than
              pursuant to the Agreement.

              IN  WITNESS  WHEREOF,   the  undersigned  has  duly  executed  and
              delivered this Certificate this18th day of June 1996.


                    CITIBANK (SOUTH DAKOTA), N.A.
                    Servicer,


                    By: /s/ Susan Sexton
                    Name: Susan Sexton
                    Title:   Vice President


                                       8
<PAGE>


                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

               Citibank Credit Card Master Trust I, Series 1991-3
                     For the Due Period Ending May 28, 1996

================================================================================

     The  undersigned,  a duly  authorized  representative  of  Citibank  (South
Dakota), N.A., as Servicer ("Citibank (South Dakota)"),  pursuant to the Pooling
and Servicing  Agreement dated as of May 29, 1991, (as amended and supplemented,
the  "Agreement"),  as supplemented by the Series 1991-3  Supplement (as amended
and  supplemented,  the "Series  Supplement"),  among Citibank  (South  Dakota),
Seller and Servicer, Citibank (Nevada), National Association, Seller, and Yasuda
Bank and Trust Company (U.S.A), as Trustee,  does hereby certify the information
set  forth  below.  Capitalized  terms  used  in  this  Certificate  have  their
respective  meanings  as set forth in the  Agreement  or Series  Supplement,  as
applicable.

D. Information Regarding Series 1991-3
   ------------------------------------------

 1a. Class A Invested Amount         .......................... $    875,000,000

 1b. Class B Invested Amount         .......................... $    109,000,000

 2a. Class A Monthly Interest        .......................... $      6,471,354

 2b. Class B Monthly Interest        .......................... $        840,208

 3a. Balance in the Class A Interest Funding Account .......... $     32,356,771

 3b. Balance in the Class B Interest Funding Account .......... $      4,201,042

 4a. Available Cash Collateral Amount ......................... $     68,880,000

 4b. Percent of Class B Invested Amount         ...............           63.19%

 5a. Class A Investor Charge-offs ............................. $              0

 5b. Class B Investor Charge-offs ............................. $              0

 6.  Required Amount .......................................... $              0

 7.  Draw on Cash Collateral Account .......................... $              0

 8a. Class A Monthly Principal for the Distribution Date(2).... $              0

 8b. Class B Monthly Principal for the Distribution Date(2).... $              0

 9a. Balance in the Class A Principal Funding Account(2)....... $              0

 9b. Balance in the Class B Principal Funding Account(2)....... $              0

     ----------------------------------------------------------
     (2) Applicable during the Accumulation Period and any Early Amortization
         Period.

                                       9
<PAGE>

                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

               Citibank Credit Card Master Trust I, Series 1991-3
                     For the Due Period Ending May 28, 1996

================================================================================

E. Information Regarding Charge-offs and Distributions to Certificateholders(3)
   -------------------------------------------------------------------------

 1a. The total amount of the distribution to Class A
     Certificateholders on the Payment Date ................... $              0

 1b. The total amount of the distribution to Class B
     Certificateholders on the Payment Date ................... $              0

 2a. The amount of the distribution set forth in item 1(a) above
     in respect of principal on the Class A Certificates ...... $              0

 2b. The amount of the distribution set forth in item 1(b) above
     in respect of principal on the Class B Certificates ...... $              0

 3a. The amount of the distribution set forth in item 1(a) above
     in respect of interest on the Class A Certificates ....... $              0

 3b. The amount of the distribution set forth in item 1(b) above
     in respect of interest on the Class B Certificates ....... $              0

 4a. The amount, if any, by which the outstanding principal
     balance of the Class A Certificates exceeds the Class A
     Invested Amount as of the end of the Record Date with
     respect to the Payment Date .............................. $              0

 4b. The amount, if any, by which the outstanding principal
     balance of the Class B Certificates exceeds the Class B
     Invested Amount as of the end of the Record Date with
     respect to the Payment Date .............................. $              0


     ----------------------------------------------------------
     (3) The following information, as applicable, is to be included only
         on Payment Date.


                                       10
<PAGE>

                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

               Citibank Credit Card Master Trust I, Series 1991-3
                     For the Due Period Ending May 28, 1996
================================================================================

     The  undersigned,  a duly  authorized  representative  of  Citibank  (South
Dakota), N.A., as Servicer ("Citibank (South Dakota)"),  pursuant to the Pooling
and Servicing  Agreement dated as of May 29, 1991, (as amended and supplemented,
the  "Agreement"),  as supplemented by the Series 1991-3  Supplement (as amended
and  supplemented,  the "Series  Supplement"),  among Citibank  (South  Dakota),
Seller and Servicer, Citibank (Nevada), National Association, Seller, and Yasuda
Bank and Trust Company (U.S.A), as Trustee, does hereby certify as follows:

         1.   Capitalized  terms used in this  Certificate have their respective
              meanings as set forth in the  Agreement or Series  Supplement,  as
              applicable.

         2.   Citibank (South Dakota) is, as of the date hereof, the
              Servicer under the Agreement.

         3.   The undersigned is a Servicing Officer.

         4.   This Certificate relates to the Distribution Date
              occurring on June 7 , 1996.

         5.   As of the date hereof,  to the best knowledge of the  undersigned,
              the  Servicer  has  performed  in all  material  respects  all its
              obligations  under the Agreement through the Due Period preceeding
              such Distribution Date.

         6.   As of the date hereof,  to the best knowledge of the  undersigned,
              no Amortization Event has been deemed to have occurred on or prior
              to such Distribution Date.

         7.   As of the date hereof,  to the best knowledge of the  undersigned,
              no Lien has  been  placed  on any of the  Receivables  other  than
              pursuant to the Agreement.

              IN  WITNESS  WHEREOF,   the  undersigned  has  duly  executed  and
              delivered this Certificate this 18th day of June 1996.


                    CITIBANK (SOUTH DAKOTA), N.A.
                    Servicer,

                    By: /s/ Susan Sexton
                    Name: Susan Sexton
                    Title:   Vice President


                                       11
<PAGE>



                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

               Citibank Credit Card Master Trust I, Series 1991-4
                     For the Due Period Ending May 28, 1996

================================================================================

     The  undersigned,  a duly  authorized  representative  of  Citibank  (South
Dakota), N.A., as Servicer ("Citibank (South Dakota)"),  pursuant to the Pooling
and Servicing  Agreement dated as of May 29, 1991, (as amended and supplemented,
the  "Agreement"),  as supplemented by the Series 1991-4  Supplement (as amended
and  supplemented,  the "Series  Supplement"),  among Citibank  (South  Dakota),
Seller and Servicer, Citibank (Nevada), National Association, Seller, and Yasuda
Bank and Trust Company (U.S.A), as Trustee,  does hereby certify the information
set  forth  below.  Capitalized  terms  used  in  this  Certificate  have  their
respective  meanings  as set forth in the  Agreement  or Series  Supplement,  as
applicable.

D. Information Regarding Series 1991-4
   ------------------------------------------

 1a. Class A Invested Amount         .......................... $    208,333,333

 1b. Class B Invested Amount         .......................... $    155,000,000

 2a. Class A Monthly Interest        .......................... $      2,083,333

 2b. Class B Monthly Interest        .......................... $      1,065,625

 3a. Balance in the Class A Interest Funding Account .......... $     33,333,333

 3b. Balance in the Class B Interest Funding Account .......... $      4,262,500

 4a. Available Cash Collateral Amount ......................... $     98,350,000

 4b. Percent of Class B Invested Amount         ...............           63.45%

 5a. Class A Investor Charge-offs ............................. $              0

 5b. Class B Investor Charge-offs ............................. $              0
 6.  Required Amount .......................................... $              0

 7.  Draw on Cash Collateral Account .......................... $              0

 8a. Class A Monthly Principal for the Distribution Date(2).... $    104,166,667

 8b. Class B Monthly Principal for the Distribution Date(2).... $              0

 9a. Balance in the Class A Principal Funding Account(2)....... $  1,041,666,667

 9b. Balance in the Class B Principal Funding Account(2)....... $              0

     ----------------------------------------------------------
     (2) Applicable during the Accumulation Period and any Early Amortization
         Period.

                                       12
<PAGE>

                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

               Citibank Credit Card Master Trust I, Series 1991-4
                     For the Due Period Ending May 28, 1996

================================================================================

E. Information Regarding Charge-offs and Distributions to Certificateholders(3)
   -------------------------------------------------------------------------

 1a. The total amount of the distribution to Class A
     Certificateholders on the Payment Date ................... $              0

 1b. The total amount of the distribution to Class B
     Certificateholders on the Payment Date ................... $              0

 2a. The amount of the distribution set forth in item 1(a) above
     in respect of principal on the Class A Certificates ...... $              0

 2b. The amount of the distribution set forth in item 1(b) above
     in respect of principal on the Class B Certificates ...... $              0

 3a. The amount of the distribution set forth in item 1(a) above
     in respect of interest on the Class A Certificates ....... $              0

 3b. The amount of the distribution set forth in item 1(b) above
     in respect of interest on the Class B Certificates ....... $              0

 4a. The amount, if any, by which the outstanding principal
     balance of the Class A Certificates exceeds the Class A
     Invested Amount as of the end of the Record Date with
     respect to the Payment Date .............................. $  1,041,666,667

 4b. The amount, if any, by which the outstanding principal
     balance of the Class B Certificates exceeds the Class B
     Invested Amount as of the end of the Record Date with
     respect to the Payment Date .............................. $              0


     ----------------------------------------------------------
     (3) The following information, as applicable, is to be included only
         on Payment Date.


                                       13
<PAGE>




                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

               Citibank Credit Card Master Trust I, Series 1991-4
                     For the Due Period Ending May 28, 1996

================================================================================

     The  undersigned,  a duly  authorized  representative  of  Citibank  (South
Dakota), N.A., as Servicer ("Citibank (South Dakota)"),  pursuant to the Pooling
and Servicing  Agreement dated as of May 29, 1991, (as amended and supplemented,
the  "Agreement"),  as supplemented by the Series 1991-4  Supplement (as amended
and  supplemented,  the "Series  Supplement"),  among Citibank  (South  Dakota),
Seller and Servicer, Citibank (Nevada), National Association, Seller, and Yasuda
Bank and Trust Company (U.S.A), as Trustee, does hereby certify as follows:

         1.   Capitalized  terms used in this  Certificate have their respective
              meanings as set forth in the  Agreement or Series  Supplement,  as
              applicable.

         2.   Citibank (South Dakota) is, as of the date hereof, the
              Servicer under the Agreement.

         3.   The undersigned is a Servicing Officer.

         4.   This Certificate relates to the Distribution Date
              occurring on June 7 , 1996.

         5.   As of the date hereof,  to the best knowledge of the  undersigned,
              the  Servicer  has  performed  in all  material  respects  all its
              obligations  under the Agreement through the Due Period preceeding
              such Distribution Date.

         6.   As of the date hereof,  to the best knowledge of the  undersigned,
              no Amortization Event has been deemed to have occurred on or prior
              to such Distribution Date.

         7.   As of the date hereof,  to the best knowledge of the  undersigned,
              no Lien has  been  placed  on any of the  Receivables  other  than
              pursuant to the Agreement.

              IN  WITNESS  WHEREOF,   the  undersigned  has  duly  executed  and
              delivered this Certificate this 18th day of June 1996.


                    CITIBANK (SOUTH DAKOTA), N.A.
                    Servicer,

                    By: /s/ Susan Sexton
                    Name: Susan Sexton
                    Title:   Vice President


                                       14
<PAGE>


                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

               Citibank Credit Card Master Trust I, Series 1991-6
                     For the Due Period Ending May 28, 1996

================================================================================

     The  undersigned,  a duly  authorized  representative  of  Citibank  (South
Dakota), N.A., as Servicer ("Citibank (South Dakota)"),  pursuant to the Pooling
and Servicing  Agreement dated as of May 29, 1991, (as amended and supplemented,
the  "Agreement"),  as supplemented by the Series 1991-6  Supplement (as amended
and  supplemented,  the "Series  Supplement"),  among Citibank  (South  Dakota),
Seller and Servicer, Citibank (Nevada), National Association, Seller, and Yasuda
Bank and Trust Company (U.S.A), as Trustee,  does hereby certify the information
set  forth  below.  Capitalized  terms  used  in  this  Certificate  have  their
respective  meanings  as set forth in the  Agreement  or Series  Supplement,  as
applicable.

D. Information Regarding Series 1991-6
   ------------------------------------------

 1a. Class A Invested Amount         .......................... $    850,000,000

 1b. Class B Invested Amount         .......................... $    105,500,000

 2a. Class A Monthly Interest        .......................... $      5,578,125

 2b. Class B Monthly Interest        .......................... $        734,104

 3a. Balance in the Class A Interest Funding Account .......... $      5,578,125

 3b. Balance in the Class B Interest Funding Account .......... $        734,104

 4a. Available Cash Collateral Amount ......................... $     66,885,000

 4b. Percent of Class B Invested Amount         ...............           63.40%

 5a. Class A Investor Charge-offs ............................. $              0

 5b. Class B Investor Charge-offs ............................. $              0

 6.  Required Amount .......................................... $              0

 7.  Draw on Cash Collateral Account .......................... $              0

 8a. Class A Monthly Principal for the Distribution Date(2).... $              0

 8b. Class B Monthly Principal for the Distribution Date(2).... $              0

 9a. Balance in the Class A Principal Funding Account(2)....... $              0

 9b. Balance in the Class B Principal Funding Account(2)....... $              0

     ----------------------------------------------------------
     (2) Applicable during the Accumulation Period and any Early Amortization
         Period.

                                       15
<PAGE>

                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

               Citibank Credit Card Master Trust I, Series 1991-6
                     For the Due Period Ending May 28, 1996

================================================================================

E. Information Regarding Charge-offs and Distributions to Certificateholders(3)
   -------------------------------------------------------------------------

 1a. The total amount of the distribution to Class A
     Certificateholders on the Payment Date ................... $              0

 1b. The total amount of the distribution to Class B
     Certificateholders on the Payment Date ................... $              0

 2a. The amount of the distribution set forth in item 1(a) above
     in respect of principal on the Class A Certificates ...... $              0

 2b. The amount of the distribution set forth in item 1(b) above
     in respect of principal on the Class B Certificates ...... $              0

 3a. The amount of the distribution set forth in item 1(a) above
     in respect of interest on the Class A Certificates ....... $              0

 3b. The amount of the distribution set forth in item 1(b) above
     in respect of interest on the Class B Certificates ....... $              0

 4a. The amount, if any, by which the outstanding principal
     balance of the Class A Certificates exceeds the Class A
     Invested Amount as of the end of the Record Date with
     respect to the Payment Date .............................. $              0

 4b. The amount, if any, by which the outstanding principal
     balance of the Class B Certificates exceeds the Class B
     Invested Amount as of the end of the Record Date with
     respect to the Payment Date .............................. $              0


     ----------------------------------------------------------
     (3) The following information, as applicable, is to be included only
         on Payment Date.


                                       16
<PAGE>



                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

               Citibank Credit Card Master Trust I, Series 1991-6
                     For the Due Period Ending May 28, 1996

================================================================================

     The  undersigned,  a duly  authorized  representative  of  Citibank  (South
Dakota), N.A., as Servicer ("Citibank (South Dakota)"),  pursuant to the Pooling
and Servicing  Agreement dated as of May 29, 1991, (as amended and supplemented,
the  "Agreement"),  as supplemented by the Series 1991-6  Supplement (as amended
and  supplemented,  the "Series  Supplement"),  among Citibank  (South  Dakota),
Seller and Servicer, Citibank (Nevada), National Association, Seller, and Yasuda
Bank and Trust Company (U.S.A), as Trustee, does hereby certify as follows:

         1.   Capitalized  terms used in this  Certificate have their respective
              meanings as set forth in the  Agreement or Series  Supplement,  as
              applicable.

         2.   Citibank (South Dakota) is, as of the date hereof, the
              Servicer under the Agreement.

         3.   The undersigned is a Servicing Officer.

         4.   This Certificate relates to the Distribution Date
              occurring on June 7 , 1996.
         5.   As of the date hereof,  to the best knowledge of the  undersigned,
              the  Servicer  has  performed  in all  material  respects  all its
              obligations  under the Agreement through the Due Period preceeding
              such Distribution Date.

         6.   As of the date hereof,  to the best knowledge of the  undersigned,
              no Amortization Event has been deemed to have occurred on or prior
              to such Distribution Date.

         7.   As of the date hereof,  to the best knowledge of the  undersigned,
              no Lien has  been  placed  on any of the  Receivables  other  than
              pursuant to the Agreement.

              IN  WITNESS  WHEREOF,   the  undersigned  has  duly  executed  and
              delivered this Certificate this 18th day of June 1996.


                    CITIBANK (SOUTH DAKOTA), N.A.
                    Servicer,


                    By: /s/ Susan Sexton
                    Name: Susan Sexton
                    Title:   Vice President


                                       17
<PAGE>


                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

               Citibank Credit Card Master Trust I, Series 1992-1
                     For the Due Period Ending May 28, 1996

================================================================================

     The  undersigned,  a duly  authorized  representative  of  Citibank  (South
Dakota), N.A., as Servicer ("Citibank (South Dakota)"),  pursuant to the Pooling
and Servicing  Agreement dated as of May 29, 1991, (as amended and supplemented,
the  "Agreement"),  as supplemented by the Series 1992-1  Supplement (as amended
and  supplemented,  the "Series  Supplement"),  among Citibank  (South  Dakota),
Seller and Servicer, Citibank (Nevada), National Association, Seller, and Yasuda
Bank and Trust Company (U.S.A), as Trustee,  does hereby certify the information
set  forth  below.  Capitalized  terms  used  in  this  Certificate  have  their
respective  meanings  as set forth in the  Agreement  or Series  Supplement,  as
applicable.

D. Information Regarding Series 1992-1
   ------------------------------------------

 1a. Class A Invested Amount         .......................... $  1,550,000,000

 1b. Class B Invested Amount         .......................... $    134,800,000

 2a. Class A Monthly Interest        .......................... $      7,685,835

 2b. Class B Monthly Interest        .......................... $        702,083

 3a. Balance in the Class A Interest Funding Account .......... $      7,685,835

 3b. Balance in the Class B Interest Funding Account .......... $      2,808,333

 4a. Available Cash Collateral Amount ......................... $    105,300,000

 4b. Percent of Class B Invested Amount         ...............           78.12%

 5a. Class A Investor Charge-offs ............................. $              0

 5b. Class B Investor Charge-offs ............................. $              0

 6.  Required Amount .......................................... $              0

 7.  Draw on Cash Collateral Account .......................... $              0

 8a. Class A Monthly Principal for the Distribution Date(2).... $              0

 8b. Class B Monthly Principal for the Distribution Date(2).... $              0

 9a. Balance in the Class A Principal Funding Account(2)....... $              0

 9b. Balance in the Class B Principal Funding Account(2)....... $              0

     ----------------------------------------------------------
     (2) Applicable during the Accumulation Period and any Early Amortization
         Period.

                                       18
<PAGE>

                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

               Citibank Credit Card Master Trust I, Series 1992-1
                     For the Due Period Ending May 28, 1996

================================================================================

E. Information Regarding Charge-offs and Distributions to Certificateholders(3)
   -------------------------------------------------------------------------

 1a. The total amount of the distribution to Class A
     Certificateholders on the Payment Date ................... $      7,685,835

 1b. The total amount of the distribution to Class B
     Certificateholders on the Payment Date ................... $              0

 2a. The amount of the distribution set forth in item 1(a) above
     in respect of principal on the Class A Certificates ...... $              0

 2b. The amount of the distribution set forth in item 1(b) above
     in respect of principal on the Class B Certificates ...... $              0

 3a. The amount of the distribution set forth in item 1(a) above
     in respect of interest on the Class A Certificates ....... $      7,685,835

 3b. The amount of the distribution set forth in item 1(b) above
     in respect of interest on the Class B Certificates ....... $              0

 4a. The amount, if any, by which the outstanding principal
     balance of the Class A Certificates exceeds the Class A
     Invested Amount as of the end of the Record Date with
     respect to the Payment Date .............................. $              0

 4b. The amount, if any, by which the outstanding principal
     balance of the Class B Certificates exceeds the Class B
     Invested Amount as of the end of the Record Date with
     respect to the Payment Date .............................. $              0


     ----------------------------------------------------------
     (3) The following information, as applicable, is to be included only
         on Payment Date.


                                       19
<PAGE>



                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

               Citibank Credit Card Master Trust I, Series 1992-1
                     For the Due Period Ending May 28, 1996

================================================================================

     The  undersigned,  a duly  authorized  representative  of  Citibank  (South
Dakota), N.A., as Servicer ("Citibank (South Dakota)"),  pursuant to the Pooling
and Servicing  Agreement dated as of May 29, 1991, (as amended and supplemented,
the  "Agreement"),  as supplemented by the Series 1992-1  Supplement (as amended
and  supplemented,  the "Series  Supplement"),  among Citibank  (South  Dakota),
Seller and Servicer, Citibank (Nevada), National Association, Seller, and Yasuda
Bank and Trust Company (U.S.A), as Trustee, does hereby certify as follows:

         1.   Capitalized  terms used in this  Certificate have their respective
              meanings as set forth in the  Agreement or Series  Supplement,  as
              applicable.

         2.   Citibank (South Dakota) is, as of the date hereof, the
              Servicer under the Agreement.

         3.   The undersigned is a Servicing Officer.

         4.   This Certificate relates to the Distribution Date
              occurring on June 7 , 1996.

         5.   As of the date hereof,  to the best knowledge of the  undersigned,
              the  Servicer  has  performed  in all  material  respects  all its
              obligations  under the Agreement through the Due Period preceeding
              such Distribution Date.

         6.   As of the date hereof,  to the best knowledge of the  undersigned,
              no Amortization Event has been deemed to have occurred on or prior
              to such Distribution Date.

         7.   As of the date hereof,  to the best knowledge of the  undersigned,
              no Lien has  been  placed  on any of the  Receivables  other  than
              pursuant to the Agreement.

              IN  WITNESS  WHEREOF,   the  undersigned  has  duly  executed  and
              delivered this Certificate this 18th day of June 1996.


                    CITIBANK (SOUTH DAKOTA), N.A.
                    Servicer,


                    By: /s/ Susan Sexton
                    Name: Susan Sexton
                    Title:   Vice President


                                       20
<PAGE>


                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

               Citibank Credit Card Master Trust I, Series 1992-3
                     For the Due Period Ending May 28, 1996

================================================================================

     The  undersigned,  a duly  authorized  representative  of  Citibank  (South
Dakota), N.A., as Servicer ("Citibank (South Dakota)"),  pursuant to the Pooling
and Servicing  Agreement dated as of May 29, 1991, (as amended and supplemented,
the  "Agreement"),  as supplemented by the Series 1992-3  Supplement (as amended
and  supplemented,  the "Series  Supplement"),  among Citibank  (South  Dakota),
Seller and Servicer, Citibank (Nevada), National Association, Seller, and Yasuda
Bank and Trust Company (U.S.A), as Trustee,  does hereby certify the information
set  forth  below.  Capitalized  terms  used  in  this  Certificate  have  their
respective  meanings  as set forth in the  Agreement  or Series  Supplement,  as
applicable.

D. Information Regarding Series 1992-3
   ------------------------------------------

 1a. Class A Invested Amount         .......................... $  1,250,000,000

 1b. Class B Invested Amount         .......................... $     80,000,000

 2a. Class A Monthly Interest        .......................... $      6,547,406
 2b. Class B Monthly Interest        .......................... $        442,867

 3a. Balance in the Class A Interest Funding Account .......... $     18,650,187

 3b. Balance in the Class B Interest Funding Account .......... $      1,261,501

 4a. Available Cash Collateral Amount ......................... $     93,100,000

 4b. Percent of Class B Invested Amount         ...............          116.38%

 5a. Class A Investor Charge-offs ............................. $              0

 5b. Class B Investor Charge-offs ............................. $              0

 6.  Required Amount .......................................... $              0

 7.  Draw on Cash Collateral Account .......................... $              0

 8a. Class A Monthly Principal for the Distribution Date(2).... $              0

 8b. Class B Monthly Principal for the Distribution Date(2).... $              0

 9a. Balance in the Class A Principal Funding Account(2)....... $              0

 9b. Balance in the Class B Principal Funding Account(2)....... $              0

     ----------------------------------------------------------
     (2) Applicable during the Accumulation Period and any Early Amortization
         Period.

                                       21
<PAGE>

                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

               Citibank Credit Card Master Trust I, Series 1992-3
                     For the Due Period Ending May 28, 1996

================================================================================

E. Information Regarding Charge-offs and Distributions to Certificateholders(3)
   -------------------------------------------------------------------------

 1a. The total amount of the distribution to Class A
     Certificateholders on the Payment Date ................... $     18,650,188

 1b. The total amount of the distribution to Class B
     Certificateholders on the Payment Date ................... $      1,261,501

 2a. The amount of the distribution set forth in item 1(a) above
     in respect of principal on the Class A Certificates ...... $              0

 2b. The amount of the distribution set forth in item 1(b) above
     in respect of principal on the Class B Certificates ...... $              0

 3a. The amount of the distribution set forth in item 1(a) above
     in respect of interest on the Class A Certificates ....... $     18,650,188

 3b. The amount of the distribution set forth in item 1(b) above
     in respect of interest on the Class B Certificates ....... $      1,261,501

 4a. The amount, if any, by which the outstanding principal
     balance of the Class A Certificates exceeds the Class A
     Invested Amount as of the end of the Record Date with
     respect to the Payment Date .............................. $              0

 4b. The amount, if any, by which the outstanding principal
     balance of the Class B Certificates exceeds the Class B
     Invested Amount as of the end of the Record Date with
     respect to the Payment Date .............................. $              0


     ----------------------------------------------------------
     (3) The following information, as applicable, is to be included only
         on Payment Date.


                                       22
<PAGE>




                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

               Citibank Credit Card Master Trust I, Series 1992-3
                     For the Due Period Ending May 28, 1996

================================================================================

     The  undersigned,  a duly  authorized  representative  of  Citibank  (South
Dakota), N.A., as Servicer ("Citibank (South Dakota)"),  pursuant to the Pooling
and Servicing  Agreement dated as of May 29, 1991, (as amended and supplemented,
the  "Agreement"),  as supplemented by the Series 1992-3  Supplement (as amended
and  supplemented,  the "Series  Supplement"),  among Citibank  (South  Dakota),
Seller and Servicer, Citibank (Nevada), National Association, Seller, and Yasuda
Bank and Trust Company (U.S.A), as Trustee, does hereby certify as follows:

         1.   Capitalized  terms used in this  Certificate have their respective
              meanings as set forth in the  Agreement or Series  Supplement,  as
              applicable.

         2.   Citibank (South Dakota) is, as of the date hereof, the
              Servicer under the Agreement.

         3.   The undersigned is a Servicing Officer.

         4.   This Certificate relates to the Distribution Date
              occurring on June 17, 1996.

         5.   As of the date hereof,  to the best knowledge of the  undersigned,
              the  Servicer  has  performed  in all  material  respects  all its
              obligations  under the Agreement through the Due Period preceeding
              such Distribution Date.

         6.   As of the date hereof,  to the best knowledge of the  undersigned,
              no Amortization Event has been deemed to have occurred on or prior
              to such Distribution Date.

         7.   As of the date hereof,  to the best knowledge of the  undersigned,
              no Lien has  been  placed  on any of the  Receivables  other  than
              pursuant to the Agreement.

              IN  WITNESS  WHEREOF,   the  undersigned  has  duly  executed  and
              delivered this Certificate this 18th day of June 1996.


                    CITIBANK (SOUTH DAKOTA), N.A.
                    Servicer,

                    By: /s/ Susan Sexton
                    Name: Susan Sexton
                    Title:   Vice President



                                       23
<PAGE>

                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

               Citibank Credit Card Master Trust I, Series 1993-1
                     For the Due Period Ending May 28, 1996

================================================================================

     The  undersigned,  a duly  authorized  representative  of  Citibank  (South
Dakota), N.A., as Servicer ("Citibank (South Dakota)"),  pursuant to the Pooling
and Servicing  Agreement dated as of May 29, 1991, (as amended and supplemented,
the  "Agreement"),  as supplemented by the Series 1993-1  Supplement (as amended
and  supplemented,  the "Series  Supplement"),  among Citibank  (South  Dakota),
Seller and Servicer, Citibank (Nevada), National Association, Seller, and Yasuda
Bank and Trust Company (U.S.A), as Trustee,  does hereby certify the information
set  forth  below.  Capitalized  terms  used  in  this  Certificate  have  their
respective  meanings  as set forth in the  Agreement  or Series  Supplement,  as
applicable.

D. Information Regarding Series 1993-1
   ------------------------------------------

 1a. Class A Invested Amount         .......................... $    850,000,000

 1b. Class B Invested Amount         .......................... $     74,000,000

 2a. Class A Monthly Interest        .......................... $      4,214,813

 2b. Class B Monthly Interest        .......................... $        339,167

 3a. Balance in the Class A Interest Funding Account .......... $      4,214,813

 3b. Balance in the Class B Interest Funding Account .......... $      1,356,667

 4a. Available Cash Collateral Amount ......................... $     55,440,000

 4b. Percent of Class B Invested Amount         ...............           74.92%

 5a. Class A Investor Charge-offs ............................. $              0
 5b. Class B Investor Charge-offs ............................. $              0

 6.  Required Amount .......................................... $              0

 7.  Draw on Cash Collateral Account .......................... $              0

 8a. Class A Monthly Principal for the Distribution Date(2).... $              0

 8b. Class B Monthly Principal for the Distribution Date(2).... $              0

 9a. Balance in the Class A Principal Funding Account(2)....... $              0

 9b. Balance in the Class B Principal Funding Account(2)....... $              0

     ----------------------------------------------------------
     (2) Applicable during the Accumulation Period and any Early Amortization
         Period.

                                       24
<PAGE>

                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

               Citibank Credit Card Master Trust I, Series 1993-1
                     For the Due Period Ending May 28, 1996

================================================================================

E. Information Regarding Charge-offs and Distributions to Certificateholders(3)
   -------------------------------------------------------------------------

 1a. The total amount of the distribution to Class A
     Certificateholders on the Payment Date ................... $      4,214,813

 1b. The total amount of the distribution to Class B
     Certificateholders on the Payment Date ................... $              0

 2a. The amount of the distribution set forth in item 1(a) above
     in respect of principal on the Class A Certificates ...... $              0

 2b. The amount of the distribution set forth in item 1(b) above
     in respect of principal on the Class B Certificates ...... $              0

 3a. The amount of the distribution set forth in item 1(a) above
     in respect of interest on the Class A Certificates ....... $      4,214,813

 3b. The amount of the distribution set forth in item 1(b) above
     in respect of interest on the Class B Certificates ....... $              0

 4a. The amount, if any, by which the outstanding principal
     balance of the Class A Certificates exceeds the Class A
     Invested Amount as of the end of the Record Date with
     respect to the Payment Date .............................. $              0

 4b. The amount, if any, by which the outstanding principal
     balance of the Class B Certificates exceeds the Class B
     Invested Amount as of the end of the Record Date with
     respect to the Payment Date .............................. $              0


     ----------------------------------------------------------
     (3) The following information, as applicable, is to be included only
         on Payment Date.


                                       25
<PAGE>




                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

               Citibank Credit Card Master Trust I, Series 1993-1
                     For the Due Period Ending May 28, 1996

================================================================================

     The  undersigned,  a duly  authorized  representative  of  Citibank  (South
Dakota), N.A., as Servicer ("Citibank (South Dakota)"),  pursuant to the Pooling
and Servicing  Agreement dated as of May 29, 1991, (as amended and supplemented,
the  "Agreement"),  as supplemented by the Series 1993-1  Supplement (as amended
and  supplemented,  the "Series  Supplement"),  among Citibank  (South  Dakota),
Seller and Servicer, Citibank (Nevada), National Association, Seller, and Yasuda
Bank and Trust Company (U.S.A), as Trustee, does hereby certify as follows:

         1.   Capitalized  terms used in this  Certificate have their respective
              meanings as set forth in the  Agreement or Series  Supplement,  as
              applicable.

         2.   Citibank (South Dakota) is, as of the date hereof, the
              Servicer under the Agreement.

         3.   The undersigned is a Servicing Officer.

         4.   This Certificate relates to the Distribution Date
              occurring on June 7 , 1996.

         5.   As of the date hereof,  to the best knowledge of the  undersigned,
              the  Servicer  has  performed  in all  material  respects  all its
              obligations  under the Agreement through the Due Period preceeding
              such Distribution Date.

         6.   As of the date hereof,  to the best knowledge of the  undersigned,
              no Amortization Event has been deemed to have occurred on or prior
              to such Distribution Date.

         7.   As of the date hereof,  to the best knowledge of the  undersigned,
              no Lien has  been  placed  on any of the  Receivables  other  than
              pursuant to the Agreement.

              IN  WITNESS  WHEREOF,   the  undersigned  has  duly  executed  and
              delivered this Certificate this 18th day of June 1996.


                    CITIBANK (SOUTH DAKOTA), N.A.
                    Servicer,


                    By: /s/ Susan Sexton
                    Name: Susan Sexton
                    Title:   Vice President



                                       26
<PAGE>

                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================
               Citibank Credit Card Master Trust I, Series 1993-2
                     For the Due Period Ending May 28, 1996

================================================================================

     The  undersigned,  a duly  authorized  representative  of  Citibank  (South
Dakota), N.A., as Servicer ("Citibank (South Dakota)"),  pursuant to the Pooling
and Servicing  Agreement dated as of May 29, 1991, (as amended and supplemented,
the  "Agreement"),  as supplemented by the Series 1993-2  Supplement (as amended
and  supplemented,  the "Series  Supplement"),  among Citibank  (South  Dakota),
Seller and Servicer, Citibank (Nevada), National Association, Seller, and Yasuda
Bank and Trust Company (U.S.A), as Trustee,  does hereby certify the information
set  forth  below.  Capitalized  terms  used  in  this  Certificate  have  their
respective  meanings  as set forth in the  Agreement  or Series  Supplement,  as
applicable.

D. Information Regarding Series 1993-2
   ------------------------------------------

 1a. Class A Invested Amount         .......................... $    750,000,000

 1b. Class B Invested Amount         .......................... $     48,000,000

 2a. Class A Monthly Interest        .......................... $      3,718,750

 2b. Class B Monthly Interest        .......................... $        246,000

 3a. Balance in the Class A Interest Funding Account .......... $     11,156,250

 3b. Balance in the Class B Interest Funding Account .......... $        738,000

 4a. Available Cash Collateral Amount ......................... $     55,860,000

 4b. Percent of Class B Invested Amount         ...............          116.38%

 5a. Class A Investor Charge-offs ............................. $              0

 5b. Class B Investor Charge-offs ............................. $              0

 6.  Required Amount .......................................... $              0

 7.  Draw on Cash Collateral Account .......................... $              0

 8a. Class A Monthly Principal for the Distribution Date(2).... $              0

 8b. Class B Monthly Principal for the Distribution Date(2).... $              0

 9a. Balance in the Class A Principal Funding Account(2)....... $              0
 9b. Balance in the Class B Principal Funding Account(2)....... $              0

     ----------------------------------------------------------
     (2) Applicable during the Accumulation Period and any Early Amortization
         Period.

                                       27
<PAGE>

                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

               Citibank Credit Card Master Trust I, Series 1993-2
                     For the Due Period Ending May 28, 1996

================================================================================

E. Information Regarding Charge-offs and Distributions to Certificateholders(3)
   -------------------------------------------------------------------------

 1a. The total amount of the distribution to Class A
     Certificateholders on the Payment Date ................... $              0

 1b. The total amount of the distribution to Class B
     Certificateholders on the Payment Date ................... $              0

 2a. The amount of the distribution set forth in item 1(a) above
     in respect of principal on the Class A Certificates ...... $              0

 2b. The amount of the distribution set forth in item 1(b) above
     in respect of principal on the Class B Certificates ...... $              0

 3a. The amount of the distribution set forth in item 1(a) above
     in respect of interest on the Class A Certificates ....... $              0

 3b. The amount of the distribution set forth in item 1(b) above
     in respect of interest on the Class B Certificates ....... $              0

 4a. The amount, if any, by which the outstanding principal
     balance of the Class A Certificates exceeds the Class A
     Invested Amount as of the end of the Record Date with
     respect to the Payment Date .............................. $              0

 4b. The amount, if any, by which the outstanding principal
     balance of the Class B Certificates exceeds the Class B
     Invested Amount as of the end of the Record Date with
     respect to the Payment Date .............................. $              0

     ----------------------------------------------------------
     (3) The following information, as applicable, is to be included only
         on Payment Date.



                                       28
<PAGE>



                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

               Citibank Credit Card Master Trust I, Series 1993-2
                     For the Due Period Ending May 28, 1996

================================================================================

     The  undersigned,  a duly  authorized  representative  of  Citibank  (South
Dakota), N.A., as Servicer ("Citibank (South Dakota)"),  pursuant to the Pooling
and Servicing  Agreement dated as of May 29, 1991, (as amended and supplemented,
the  "Agreement"),  as supplemented by the Series 1993-2  Supplement (as amended
and  supplemented,  the "Series  Supplement"),  among Citibank  (South  Dakota),
Seller and Servicer, Citibank (Nevada), National Association, Seller, and Yasuda
Bank and Trust Company (U.S.A), as Trustee, does hereby certify as follows:

         1.   Capitalized  terms used in this  Certificate have their respective
              meanings as set forth in the  Agreement or Series  Supplement,  as
              applicable.

         2.   Citibank (South Dakota) is, as of the date hereof, the
              Servicer under the Agreement.

         3.   The undersigned is a Servicing Officer.

         4.   This Certificate relates to the Distribution Date
              occurring on June 7 , 1996.

         5.   As of the date hereof,  to the best knowledge of the  undersigned,
              the  Servicer  has  performed  in all  material  respects  all its
              obligations  under the Agreement through the Due Period preceeding
              such Distribution Date.

         6.   As of the date hereof,  to the best knowledge of the  undersigned,
              no Amortization Event has been deemed to have occurred on or prior
              to such Distribution Date.

         7.   As of the date hereof,  to the best knowledge of the  undersigned,
              no Lien has  been  placed  on any of the  Receivables  other  than
              pursuant to the Agreement.

              IN  WITNESS  WHEREOF,   the  undersigned  has  duly  executed  and
              delivered this Certificate this 18th day of June 1996.


                    CITIBANK (SOUTH DAKOTA), N.A.
                    Servicer,


                    By: /s/ Susan Sexton
                    Name: Susan Sexton
                    Title:   Vice President


                                       29
<PAGE>


                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

               Citibank Credit Card Master Trust I, Series 1993-3
                     For the Due Period Ending May 28, 1996

================================================================================

     The  undersigned,  a duly  authorized  representative  of  Citibank  (South
Dakota), N.A., as Servicer ("Citibank (South Dakota)"),  pursuant to the Pooling
and Servicing  Agreement dated as of May 29, 1991, (as amended and supplemented,
the  "Agreement"),  as supplemented by the Series 1993-3  Supplement (as amended
and  supplemented,  the "Series  Supplement"),  among Citibank  (South  Dakota),
Seller and Servicer, Citibank (Nevada), National Association, Seller, and Yasuda
Bank and Trust Company (U.S.A), as Trustee,  does hereby certify the information
set  forth  below.  Capitalized  terms  used  in  this  Certificate  have  their
respective  meanings  as set forth in the  Agreement  or Series  Supplement,  as
applicable.

D. Information Regarding Series 1993-3
   ------------------------------------------

 1a. Class A Invested Amount         .......................... $    750,000,000

 1b. Class B Invested Amount         .......................... $     48,000,000

 2a. Class A Monthly Interest        .......................... $      3,437,500

 2b. Class B Monthly Interest        .......................... $        228,000

 3a. Balance in the Class A Interest Funding Account .......... $     17,187,500

 3b. Balance in the Class B Interest Funding Account .......... $      1,140,000

 4a. Available Cash Collateral Amount ......................... $     55,860,000

 4b. Percent of Class B Invested Amount         ...............          116.38%

 5a. Class A Investor Charge-offs ............................. $              0

 5b. Class B Investor Charge-offs ............................. $              0

 6.  Required Amount .......................................... $              0

 7.  Draw on Cash Collateral Account .......................... $              0

 8a. Class A Monthly Principal for the Distribution Date(2).... $              0

 8b. Class B Monthly Principal for the Distribution Date(2).... $              0

 9a. Balance in the Class A Principal Funding Account(2)....... $              0

 9b. Balance in the Class B Principal Funding Account(2)....... $              0

     ----------------------------------------------------------
     (2) Applicable during the Accumulation Period and any Early Amortization
         Period.

                                       30
<PAGE>

                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================
               Citibank Credit Card Master Trust I, Series 1993-3
                     For the Due Period Ending May 28, 1996

================================================================================

E. Information Regarding Charge-offs and Distributions to Certificateholders(3)
   -------------------------------------------------------------------------

 1a. The total amount of the distribution to Class A
     Certificateholders on the Payment Date ................... $              0

 1b. The total amount of the distribution to Class B
     Certificateholders on the Payment Date ................... $              0

 2a. The amount of the distribution set forth in item 1(a) above
     in respect of principal on the Class A Certificates ...... $              0

 2b. The amount of the distribution set forth in item 1(b) above
     in respect of principal on the Class B Certificates ...... $              0

 3a. The amount of the distribution set forth in item 1(a) above
     in respect of interest on the Class A Certificates ....... $              0

 3b. The amount of the distribution set forth in item 1(b) above
     in respect of interest on the Class B Certificates ....... $              0

 4a. The amount, if any, by which the outstanding principal
     balance of the Class A Certificates exceeds the Class A
     Invested Amount as of the end of the Record Date with
     respect to the Payment Date .............................. $              0

 4b. The amount, if any, by which the outstanding principal
     balance of the Class B Certificates exceeds the Class B
     Invested Amount as of the end of the Record Date with
     respect to the Payment Date .............................. $              0


     ----------------------------------------------------------
     (3) The following information, as applicable, is to be included only
         on Payment Date.


                                       31
<PAGE>




                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

               Citibank Credit Card Master Trust I, Series 1993-3
                     For the Due Period Ending May 28, 1996

================================================================================

     The  undersigned,  a duly  authorized  representative  of  Citibank  (South
Dakota), N.A., as Servicer ("Citibank (South Dakota)"),  pursuant to the Pooling
and Servicing  Agreement dated as of May 29, 1991, (as amended and supplemented,
the  "Agreement"),  as supplemented by the Series 1993-3  Supplement (as amended
and  supplemented,  the "Series  Supplement"),  among Citibank  (South  Dakota),
Seller and Servicer, Citibank (Nevada), National Association, Seller, and Yasuda
Bank and Trust Company (U.S.A), as Trustee, does hereby certify as follows:

         1.   Capitalized  terms used in this  Certificate have their respective
              meanings as set forth in the  Agreement or Series  Supplement,  as
              applicable.

         2.   Citibank (South Dakota) is, as of the date hereof, the
              Servicer under the Agreement.

         3.   The undersigned is a Servicing Officer.

         4.   This Certificate relates to the Distribution Date
              occurring on June 7 , 1996.

         5.   As of the date hereof,  to the best knowledge of the  undersigned,
              the  Servicer  has  performed  in all  material  respects  all its
              obligations  under the Agreement through the Due Period preceeding
              such Distribution Date.

         6.   As of the date hereof,  to the best knowledge of the  undersigned,
              no Amortization Event has been deemed to have occurred on or prior
              to such Distribution Date.

         7.   As of the date hereof,  to the best knowledge of the  undersigned,
              no Lien has  been  placed  on any of the  Receivables  other  than
              pursuant to the Agreement.

              IN  WITNESS  WHEREOF,   the  undersigned  has  duly  executed  and
              delivered this Certificate this 18th day of June 1996.


                    CITIBANK (SOUTH DAKOTA), N.A.
                    Servicer,


                    By: /s/ Susan Sexton
                    Name: Susan Sexton
                    Title:   Vice President



                                       32
<PAGE>


                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

               Citibank Credit Card Master Trust I, Series 1994-1
                     For the Due Period Ending May 28, 1996

================================================================================

     The  undersigned,  a duly  authorized  representative  of  Citibank  (South
Dakota), N.A., as Servicer ("Citibank (South Dakota)"),  pursuant to the Pooling
and Servicing  Agreement dated as of May 29, 1991, (as amended and supplemented,
the  "Agreement"),  as supplemented by the Series 1994-1  Supplement (as amended
and  supplemented,  the "Series  Supplement"),  among Citibank  (South  Dakota),
Seller and Servicer, Citibank (Nevada), National Association, Seller, and Yasuda
Bank and Trust Company (U.S.A), as Trustee,  does hereby certify the information
set  forth  below.  Capitalized  terms  used  in  this  Certificate  have  their
respective  meanings  as set forth in the  Agreement  or Series  Supplement,  as
applicable.

D. Information Regarding Series 1994-1
   ------------------------------------------

 1a. Class A Invested Amount         .......................... $    750,000,000

 1b. Class B Invested Amount         .......................... $     48,000,000
 2a. Class A Monthly Interest        .......................... $      2,906,250

 2b. Class B Monthly Interest        .......................... $        194,000

 3a. Balance in the Class A Interest Funding Account .......... $     11,625,000

 3b. Balance in the Class B Interest Funding Account .......... $        776,000

 4a. Available Cash Collateral Amount ......................... $     55,860,000

 4b. Percent of Class B Invested Amount         ...............          116.38%

 5a. Class A Investor Charge-offs ............................. $              0

 5b. Class B Investor Charge-offs ............................. $              0

 6.  Required Amount .......................................... $              0

 7.  Draw on Cash Collateral Account .......................... $              0

 8a. Class A Monthly Principal for the Distribution Date(2).... $              0

 8b. Class B Monthly Principal for the Distribution Date(2).... $              0

 9a. Balance in the Class A Principal Funding Account(2)....... $              0

 9b. Balance in the Class B Principal Funding Account(2)....... $              0

     ----------------------------------------------------------
     (2) Applicable during the Accumulation Period and any Early Amortization
         Period.

                                       33
<PAGE>

                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

               Citibank Credit Card Master Trust I, Series 1994-1
                     For the Due Period Ending May 28, 1996

================================================================================

E. Information Regarding Charge-offs and Distributions to Certificateholders(3)
   -------------------------------------------------------------------------

 1a. The total amount of the distribution to Class A
     Certificateholders on the Payment Date ................... $              0
 1b. The total amount of the distribution to Class B
     Certificateholders on the Payment Date ................... $              0

 2a. The amount of the distribution set forth in item 1(a) above
     in respect of principal on the Class A Certificates ...... $              0

 2b. The amount of the distribution set forth in item 1(b) above
     in respect of principal on the Class B Certificates ...... $              0

 3a. The amount of the distribution set forth in item 1(a) above
     in respect of interest on the Class A Certificates ....... $              0

 3b. The amount of the distribution set forth in item 1(b) above
     in respect of interest on the Class B Certificates ....... $              0

 4a. The amount, if any, by which the outstanding principal
     balance of the Class A Certificates exceeds the Class A
     Invested Amount as of the end of the Record Date with
     respect to the Payment Date .............................. $              0

 4b. The amount, if any, by which the outstanding principal
     balance of the Class B Certificates exceeds the Class B
     Invested Amount as of the end of the Record Date with
     respect to the Payment Date .............................. $              0


     ----------------------------------------------------------
     (3) The following information, as applicable, is to be included only
         on Payment Date.



                                       34
<PAGE>



                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================
               Citibank Credit Card Master Trust I, Series 1994-1
                     For the Due Period Ending May 28, 1996

================================================================================

     The  undersigned,  a duly  authorized  representative  of  Citibank  (South
Dakota), N.A., as Servicer ("Citibank (South Dakota)"),  pursuant to the Pooling
and Servicing  Agreement dated as of May 29, 1991, (as amended and supplemented,
the  "Agreement"),  as supplemented by the Series 1994-1  Supplement (as amended
and  supplemented,  the "Series  Supplement"),  among Citibank  (South  Dakota),
Seller and Servicer, Citibank (Nevada), National Association, Seller, and Yasuda
Bank and Trust Company (U.S.A), as Trustee, does hereby certify as follows:

         1.   Capitalized  terms used in this  Certificate have their respective
              meanings as set forth in the  Agreement or Series  Supplement,  as
              applicable.

         2.   Citibank (South Dakota) is, as of the date hereof, the
              Servicer under the Agreement.

         3.   The undersigned is a Servicing Officer.

         4.   This Certificate relates to the Distribution Date
              occurring on June 7 , 1996.

         5.   As of the date hereof,  to the best knowledge of the  undersigned,
              the  Servicer  has  performed  in all  material  respects  all its
              obligations  under the Agreement through the Due Period preceeding
              such Distribution Date.

         6.   As of the date hereof,  to the best knowledge of the  undersigned,
              no Amortization Event has been deemed to have occurred on or prior
              to such Distribution Date.

         7.   As of the date hereof,  to the best knowledge of the  undersigned,
              no Lien has  been  placed  on any of the  Receivables  other  than
              pursuant to the Agreement.

              IN  WITNESS  WHEREOF,   the  undersigned  has  duly  executed  and
              delivered this Certificate this 18th day of June 1996.


                    CITIBANK (SOUTH DAKOTA), N.A.
                    Servicer,

                    By: /s/ Susan Sexton
                    Name: Susan Sexton
                    Title:   Vice President



                                       35
<PAGE>


                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

               Citibank Credit Card Master Trust I, Series 1994-2
                     For the Due Period Ending May 28, 1996

================================================================================

     The  undersigned,  a duly  authorized  representative  of  Citibank  (South
Dakota), N.A., as Servicer ("Citibank (South Dakota)"),  pursuant to the Pooling
and Servicing  Agreement dated as of May 29, 1991, (as amended and supplemented,
the  "Agreement"),  as supplemented by the Series 1994-2  Supplement (as amended
and  supplemented,  the "Series  Supplement"),  among Citibank  (South  Dakota),
Seller and Servicer, Citibank (Nevada), National Association, Seller, and Yasuda
Bank and Trust Company (U.S.A), as Trustee,  does hereby certify the information
set  forth  below.  Capitalized  terms  used  in  this  Certificate  have  their
respective  meanings  as set forth in the  Agreement  or Series  Supplement,  as
applicable.

D. Information Regarding Series 1994-2
   ------------------------------------------

 1a. Class A Invested Amount         .......................... $    940,000,000

 1b. Class B Invested Amount         .......................... $     60,000,000

 2a. Class A Monthly Interest        .......................... $      5,679,167

 2b. Class B Monthly Interest        .......................... $        375,000

 3a. Balance in the Class A Interest Funding Account .......... $     11,358,333

 3b. Balance in the Class B Interest Funding Account .......... $        750,000

 4a. Available Cash Collateral Amount ......................... $     70,000,000

 4b. Percent of Class B Invested Amount         ...............          116.67%

 5a. Class A Investor Charge-offs ............................. $              0

 5b. Class B Investor Charge-offs ............................. $              0

 6.  Required Amount .......................................... $              0

 7.  Draw on Cash Collateral Account .......................... $              0

 8a. Class A Monthly Principal for the Distribution Date(2).... $              0

 8b. Class B Monthly Principal for the Distribution Date(2).... $              0

 9a. Balance in the Class A Principal Funding Account(2)....... $              0

 9b. Balance in the Class B Principal Funding Account(2)....... $              0

     ----------------------------------------------------------
     (2) Applicable during the Accumulation Period and any Early Amortization
         Period.

                                       36
<PAGE>

                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

               Citibank Credit Card Master Trust I, Series 1994-2
                     For the Due Period Ending May 28, 1996

================================================================================

E. Information Regarding Charge-offs and Distributions to Certificateholders(3)
   -------------------------------------------------------------------------

 1a. The total amount of the distribution to Class A
     Certificateholders on the Payment Date ................... $              0

 1b. The total amount of the distribution to Class B
     Certificateholders on the Payment Date ................... $              0

 2a. The amount of the distribution set forth in item 1(a) above
     in respect of principal on the Class A Certificates ...... $              0

 2b. The amount of the distribution set forth in item 1(b) above
     in respect of principal on the Class B Certificates ...... $              0

 3a. The amount of the distribution set forth in item 1(a) above
     in respect of interest on the Class A Certificates ....... $              0
 3b. The amount of the distribution set forth in item 1(b) above
     in respect of interest on the Class B Certificates ....... $              0

 4a. The amount, if any, by which the outstanding principal
     balance of the Class A Certificates exceeds the Class A
     Invested Amount as of the end of the Record Date with
     respect to the Payment Date .............................. $              0

 4b. The amount, if any, by which the outstanding principal
     balance of the Class B Certificates exceeds the Class B
     Invested Amount as of the end of the Record Date with
     respect to the Payment Date .............................. $              0


     ----------------------------------------------------------
     (3) The following information, as applicable, is to be included only
         on Payment Date.



                                       37
<PAGE>


                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

               Citibank Credit Card Master Trust I, Series 1994-2
                     For the Due Period Ending May 28, 1996

================================================================================

     The  undersigned,  a duly  authorized  representative  of  Citibank  (South
Dakota), N.A., as Servicer ("Citibank (South Dakota)"),  pursuant to the Pooling
and Servicing  Agreement dated as of May 29, 1991, (as amended and supplemented,
the  "Agreement"),  as supplemented by the Series 1994-2  Supplement (as amended
and  supplemented,  the "Series  Supplement"),  among Citibank  (South  Dakota),
Seller and Servicer, Citibank (Nevada), National Association, Seller, and Yasuda
Bank and Trust Company (U.S.A), as Trustee, does hereby certify as follows:

         1.   Capitalized  terms used in this  Certificate have their respective
              meanings as set forth in the  Agreement or Series  Supplement,  as
              applicable.

         2.   Citibank (South Dakota) is, as of the date hereof, the
              Servicer under the Agreement.

         3.   The undersigned is a Servicing Officer.

         4.   This Certificate relates to the Distribution Date
              occurring on June 7 , 1996.

         5.   As of the date hereof,  to the best knowledge of the  undersigned,
              the  Servicer  has  performed  in all  material  respects  all its
              obligations  under the Agreement through the Due Period preceeding
              such Distribution Date.

         6.   As of the date hereof,  to the best knowledge of the  undersigned,
              no Amortization Event has been deemed to have occurred on or prior
              to such Distribution Date.

         7.   As of the date hereof,  to the best knowledge of the  undersigned,
              no Lien has  been  placed  on any of the  Receivables  other  than
              pursuant to the Agreement.

              IN  WITNESS  WHEREOF,   the  undersigned  has  duly  executed  and
              delivered this Certificate this 18th day of June 1996.


                    CITIBANK (SOUTH DAKOTA), N.A.
                    Servicer,


                    By: /s/ Susan Sexton
                    Name: Susan Sexton
                    Title:   Vice President



                                       38
<PAGE>

                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

               Citibank Credit Card Master Trust I, Series 1994-3
                     For the Due Period Ending May 28, 1996

================================================================================

     The  undersigned,  a duly  authorized  representative  of  Citibank  (South
Dakota), N.A., as Servicer ("Citibank (South Dakota)"),  pursuant to the Pooling
and Servicing  Agreement dated as of May 29, 1991, (as amended and supplemented,
the  "Agreement"),  as supplemented by the Series 1994-3  Supplement (as amended
and  supplemented,  the "Series  Supplement"),  among Citibank  (South  Dakota),
Seller and Servicer, Citibank (Nevada), National Association, Seller, and Yasuda
Bank and Trust Company (U.S.A), as Trustee,  does hereby certify the information
set  forth  below.  Capitalized  terms  used  in  this  Certificate  have  their
respective  meanings  as set forth in the  Agreement  or Series  Supplement,  as
applicable.

D. Information Regarding Series 1994-3
   ------------------------------------------

 1a. Class A Invested Amount         .......................... $    500,000,000

 1b. Class B Invested Amount         .......................... $     32,000,000

 2a. Class A Monthly Interest        .......................... $      2,833,333

 2b. Class B Monthly Interest        .......................... $        186,667

 3a. Balance in the Class A Interest Funding Account .......... $      5,666,667

 3b. Balance in the Class B Interest Funding Account .......... $        373,333

 4a. Available Cash Collateral Amount ......................... $     37,240,000

 4b. Percent of Class B Invested Amount         ...............          116.38%

 5a. Class A Investor Charge-offs ............................. $              0

 5b. Class B Investor Charge-offs ............................. $              0

 6.  Required Amount .......................................... $              0

 7.  Draw on Cash Collateral Account .......................... $              0

 8a. Class A Monthly Principal for the Distribution Date(2).... $              0

 8b. Class B Monthly Principal for the Distribution Date(2).... $              0
 9a. Balance in the Class A Principal Funding Account(2)....... $              0

 9b. Balance in the Class B Principal Funding Account(2)....... $              0

     ----------------------------------------------------------
     (2) Applicable during the Accumulation Period and any Early Amortization
         Period.

                                       39
<PAGE>

                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

               Citibank Credit Card Master Trust I, Series 1994-3
                     For the Due Period Ending May 28, 1996

================================================================================

E. Information Regarding Charge-offs and Distributions to Certificateholders(3)
   -------------------------------------------------------------------------

 1a. The total amount of the distribution to Class A
     Certificateholders on the Payment Date ................... $              0

 1b. The total amount of the distribution to Class B
     Certificateholders on the Payment Date ................... $              0

 2a. The amount of the distribution set forth in item 1(a) above
     in respect of principal on the Class A Certificates ...... $              0

 2b. The amount of the distribution set forth in item 1(b) above
     in respect of principal on the Class B Certificates ...... $              0

 3a. The amount of the distribution set forth in item 1(a) above
     in respect of interest on the Class A Certificates ....... $              0

 3b. The amount of the distribution set forth in item 1(b) above
     in respect of interest on the Class B Certificates ....... $              0

 4a. The amount, if any, by which the outstanding principal
     balance of the Class A Certificates exceeds the Class A
     Invested Amount as of the end of the Record Date with
     respect to the Payment Date .............................. $              0

 4b. The amount, if any, by which the outstanding principal
     balance of the Class B Certificates exceeds the Class B
     Invested Amount as of the end of the Record Date with
     respect to the Payment Date .............................. $              0


     ----------------------------------------------------------
     (3) The following information, as applicable, is to be included only
         on Payment Date.


                                       40
<PAGE>



                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

               Citibank Credit Card Master Trust I, Series 1994-3
                     For the Due Period Ending May 28, 1996

================================================================================

     The  undersigned,  a duly  authorized  representative  of  Citibank  (South
Dakota), N.A., as Servicer ("Citibank (South Dakota)"),  pursuant to the Pooling
and Servicing  Agreement dated as of May 29, 1991, (as amended and supplemented,
the  "Agreement"),  as supplemented by the Series 1994-3  Supplement (as amended
and  supplemented,  the "Series  Supplement"),  among Citibank  (South  Dakota),
Seller and Servicer, Citibank (Nevada), National Association, Seller, and Yasuda
Bank and Trust Company (U.S.A), as Trustee, does hereby certify as follows:

         1.   Capitalized  terms used in this  Certificate have their respective
              meanings as set forth in the  Agreement or Series  Supplement,  as
              applicable.

         2.   Citibank (South Dakota) is, as of the date hereof, the
              Servicer under the Agreement.

         3.   The undersigned is a Servicing Officer.

         4.   This Certificate relates to the Distribution Date
              occurring on June 7 , 1996.

         5.   As of the date hereof,  to the best knowledge of the  undersigned,
              the  Servicer  has  performed  in all  material  respects  all its
              obligations  under the Agreement through the Due Period preceeding
              such Distribution Date.

         6.   As of the date hereof,  to the best knowledge of the  undersigned,
              no Amortization Event has been deemed to have occurred on or prior
              to such Distribution Date.

         7.   As of the date hereof,  to the best knowledge of the  undersigned,
              no Lien has  been  placed  on any of the  Receivables  other  than
              pursuant to the Agreement.

              IN  WITNESS  WHEREOF,   the  undersigned  has  duly  executed  and
              delivered this Certificate this 18th day of June 1996.


                    CITIBANK (SOUTH DAKOTA), N.A.
                    Servicer,


                    By: /s/ Susan Sexton
                    Name: Susan Sexton
                    Title:   Vice President



                                       41
<PAGE>

                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

               Citibank Credit Card Master Trust I, Series 1994-4
                     For the Due Period Ending May 28, 1996

================================================================================

     The  undersigned,  a duly  authorized  representative  of  Citibank  (South
Dakota), N.A., as Servicer ("Citibank (South Dakota)"),  pursuant to the Pooling
and Servicing  Agreement dated as of May 29, 1991, (as amended and supplemented,
the  "Agreement"),  as supplemented by the Series 1994-4  Supplement (as amended
and  supplemented,  the "Series  Supplement"),  among Citibank  (South  Dakota),
Seller and Servicer, Citibank (Nevada), National Association, Seller, and Yasuda
Bank and Trust Company (U.S.A), as Trustee,  does hereby certify the information
set  forth  below.  Capitalized  terms  used  in  this  Certificate  have  their
respective  meanings  as set forth in the  Agreement  or Series  Supplement,  as
applicable.

D. Information Regarding Series 1994-4
   ------------------------------------------

 1a. Class A Invested Amount         .......................... $    750,000,000

 1b. Class B Invested Amount         .......................... $     48,000,000

 2a. Class A Monthly Interest        .......................... $      5,156,250

 2b. Class B Monthly Interest        .......................... $        239,217

 3a. Balance in the Class A Interest Funding Account .......... $      5,156,250

 3b. Balance in the Class B Interest Funding Account .......... $        239,217

 4a. Available Cash Collateral Amount ......................... $     55,860,000

 4b. Percent of Class B Invested Amount         ...............          116.38%

 5a. Class A Investor Charge-offs ............................. $              0

 5b. Class B Investor Charge-offs ............................. $              0

 6.  Required Amount .......................................... $              0

 7.  Draw on Cash Collateral Account .......................... $              0

 8a. Class A Monthly Principal for the Distribution Date(2).... $              0

 8b. Class B Monthly Principal for the Distribution Date(2).... $              0

 9a. Balance in the Class A Principal Funding Account(2)....... $              0

 9b. Balance in the Class B Principal Funding Account(2)....... $              0

     ----------------------------------------------------------
     (2) Applicable during the Accumulation Period and any Early Amortization
         Period.

                                       42
<PAGE>

                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION
================================================================================

               Citibank Credit Card Master Trust I, Series 1994-4
                     For the Due Period Ending May 28, 1996

================================================================================

E. Information Regarding Charge-offs and Distributions to Certificateholders(3)
   -------------------------------------------------------------------------

 1a. The total amount of the distribution to Class A
     Certificateholders on the Payment Date ................... $              0

 1b. The total amount of the distribution to Class B
     Certificateholders on the Payment Date ................... $        239,217

 2a. The amount of the distribution set forth in item 1(a) above
     in respect of principal on the Class A Certificates ...... $              0

 2b. The amount of the distribution set forth in item 1(b) above
     in respect of principal on the Class B Certificates ...... $              0

 3a. The amount of the distribution set forth in item 1(a) above
     in respect of interest on the Class A Certificates ....... $              0

 3b. The amount of the distribution set forth in item 1(b) above
     in respect of interest on the Class B Certificates ....... $        239,217

 4a. The amount, if any, by which the outstanding principal
     balance of the Class A Certificates exceeds the Class A
     Invested Amount as of the end of the Record Date with
     respect to the Payment Date .............................. $              0

 4b. The amount, if any, by which the outstanding principal
     balance of the Class B Certificates exceeds the Class B
     Invested Amount as of the end of the Record Date with
     respect to the Payment Date .............................. $              0


     ----------------------------------------------------------
     (3) The following information, as applicable, is to be included only
         on Payment Date.



                                       43
<PAGE>


                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

               Citibank Credit Card Master Trust I, Series 1994-4
                     For the Due Period Ending May 28, 1996

================================================================================

     The  undersigned,  a duly  authorized  representative  of  Citibank  (South
Dakota), N.A., as Servicer ("Citibank (South Dakota)"),  pursuant to the Pooling
and Servicing  Agreement dated as of May 29, 1991, (as amended and supplemented,
the  "Agreement"),  as supplemented by the Series 1994-4  Supplement (as amended
and  supplemented,  the "Series  Supplement"),  among Citibank  (South  Dakota),
Seller and Servicer, Citibank (Nevada), National Association, Seller, and Yasuda
Bank and Trust Company (U.S.A), as Trustee, does hereby certify as follows:

         1.   Capitalized  terms used in this  Certificate have their respective
              meanings as set forth in the  Agreement or Series  Supplement,  as
              applicable.

         2.   Citibank (South Dakota) is, as of the date hereof, the
              Servicer under the Agreement.

         3.   The undersigned is a Servicing Officer.

         4.   This Certificate relates to the Distribution Date
              occurring on June 7 , 1996.

         5.   As of the date hereof,  to the best knowledge of the  undersigned,
              the  Servicer  has  performed  in all  material  respects  all its
              obligations  under the Agreement through the Due Period preceeding
              such Distribution Date.

         6.   As of the date hereof,  to the best knowledge of the  undersigned,
              no Amortization Event has been deemed to have occurred on or prior
              to such Distribution Date.

         7.   As of the date hereof,  to the best knowledge of the  undersigned,
              no Lien has  been  placed  on any of the  Receivables  other  than
              pursuant to the Agreement.

              IN  WITNESS  WHEREOF,   the  undersigned  has  duly  executed  and
              delivered this Certificate this 18th day of June 1996.


                    CITIBANK (SOUTH DAKOTA), N.A.
                    Servicer,


                    By: /s/ Susan Sexton
                    Name: Susan Sexton
                    Title:   Vice President



                                       44
<PAGE>


                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

               Citibank Credit Card Master Trust I, Series 1995-1
                     For the Due Period Ending May 28, 1996

================================================================================

     The  undersigned,  a duly  authorized  representative  of  Citibank  (South
Dakota), N.A., as Servicer ("Citibank (South Dakota)"),  pursuant to the Pooling
and Servicing  Agreement dated as of May 29, 1991, (as amended and supplemented,
the  "Agreement"),  as supplemented by the Series 1995-1  Supplement (as amended
and  supplemented,  the "Series  Supplement"),  among Citibank  (South  Dakota),
Seller and Servicer, Citibank (Nevada), National Association, Seller, and Yasuda
Bank and Trust Company (U.S.A), as Trustee,  does hereby certify the information
set  forth  below.  Capitalized  terms  used  in  this  Certificate  have  their
respective  meanings  as set forth in the  Agreement  or Series  Supplement,  as
applicable.

D. Information Regarding Series 1995-1
   ------------------------------------------

 1a. Class A Invested Amount         .......................... $    625,000,000

 1b. Class B Invested Amount         .......................... $     40,000,000

 2a. Class A Monthly Interest        .......................... $      4,296,875

 2b. Class B Monthly Interest        .......................... $        281,667

 3a. Balance in the Class A Interest Funding Account .......... $     21,484,375

 3b. Balance in the Class B Interest Funding Account .......... $      1,408,333

 4a. Available Cash Collateral Amount ......................... $     46,550,000

 4b. Percent of Class B Invested Amount         ...............          116.38%

 5a. Class A Investor Charge-offs ............................. $              0

 5b. Class B Investor Charge-offs ............................. $              0

 6.  Required Amount .......................................... $              0

 7.  Draw on Cash Collateral Account .......................... $              0

 8a. Class A Monthly Principal for the Distribution Date(2).... $              0

 8b. Class B Monthly Principal for the Distribution Date(2).... $              0

 9a. Balance in the Class A Principal Funding Account(2)....... $              0

 9b. Balance in the Class B Principal Funding Account(2)....... $              0

     ----------------------------------------------------------
     (2) Applicable during the Accumulation Period and any Early Amortization
         Period.

                                       45
<PAGE>

                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

               Citibank Credit Card Master Trust I, Series 1995-1
                     For the Due Period Ending May 28, 1996

================================================================================

E. Information Regarding Charge-offs and Distributions to Certificateholders(3)
   -------------------------------------------------------------------------

 1a. The total amount of the distribution to Class A
     Certificateholders on the Payment Date ................... $              0

 1b. The total amount of the distribution to Class B
     Certificateholders on the Payment Date ................... $              0

 2a. The amount of the distribution set forth in item 1(a) above
     in respect of principal on the Class A Certificates ...... $              0

 2b. The amount of the distribution set forth in item 1(b) above
     in respect of principal on the Class B Certificates ...... $              0

 3a. The amount of the distribution set forth in item 1(a) above
     in respect of interest on the Class A Certificates ....... $              0

 3b. The amount of the distribution set forth in item 1(b) above
     in respect of interest on the Class B Certificates ....... $              0

 4a. The amount, if any, by which the outstanding principal
     balance of the Class A Certificates exceeds the Class A
     Invested Amount as of the end of the Record Date with
     respect to the Payment Date .............................. $              0

 4b. The amount, if any, by which the outstanding principal
     balance of the Class B Certificates exceeds the Class B
     Invested Amount as of the end of the Record Date with
     respect to the Payment Date .............................. $              0


     ----------------------------------------------------------
     (3) The following information, as applicable, is to be included only
         on Payment Date.



                                       46
<PAGE>

                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

               Citibank Credit Card Master Trust I, Series 1995-1
                     For the Due Period Ending May 28, 1996

================================================================================

     The  undersigned,  a duly  authorized  representative  of  Citibank  (South
Dakota), N.A., as Servicer ("Citibank (South Dakota)"),  pursuant to the Pooling
and Servicing  Agreement dated as of May 29, 1991, (as amended and supplemented,
the  "Agreement"),  as supplemented by the Series 1995-1  Supplement (as amended
and  supplemented,  the "Series  Supplement"),  among Citibank  (South  Dakota),
Seller and Servicer, Citibank (Nevada), National Association, Seller, and Yasuda
Bank and Trust Company (U.S.A), as Trustee, does hereby certify as follows:

         1.   Capitalized  terms used in this  Certificate have their respective
              meanings as set forth in the  Agreement or Series  Supplement,  as
              applicable.

         2.   Citibank (South Dakota) is, as of the date hereof, the
              Servicer under the Agreement.

         3.   The undersigned is a Servicing Officer.

         4.   This Certificate relates to the Distribution Date
              occurring on June 7 , 1996.

         5.   As of the date hereof,  to the best knowledge of the  undersigned,
              the  Servicer  has  performed  in all  material  respects  all its
              obligations  under the Agreement through the Due Period preceeding
              such Distribution Date.

         6.   As of the date hereof,  to the best knowledge of the  undersigned,
              no Amortization Event has been deemed to have occurred on or prior
              to such Distribution Date.

         7.   As of the date hereof,  to the best knowledge of the  undersigned,
              no Lien has  been  placed  on any of the  Receivables  other  than
              pursuant to the Agreement.

              IN  WITNESS  WHEREOF,   the  undersigned  has  duly  executed  and
              delivered this Certificate this 18th day of June 1996.


                    CITIBANK (SOUTH DAKOTA), N.A.
                    Servicer,


                    By: /s/ Susan Sexton
                    Name: Susan Sexton
                    Title:   Vice President


                                       47
<PAGE>


                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

               Citibank Credit Card Master Trust I, Series 1995-2
                     For the Due Period Ending May 28, 1996

================================================================================

     The  undersigned,  a duly  authorized  representative  of  Citibank  (South
Dakota), N.A., as Servicer ("Citibank (South Dakota)"),  pursuant to the Pooling
and Servicing  Agreement dated as of May 29, 1991, (as amended and supplemented,
the  "Agreement"),  as supplemented by the Series 1995-2  Supplement (as amended
and  supplemented,  the "Series  Supplement"),  among Citibank  (South  Dakota),
Seller and Servicer, Citibank (Nevada), National Association, Seller, and Yasuda
Bank and Trust Company (U.S.A), as Trustee,  does hereby certify the information
set  forth  below.  Capitalized  terms  used  in  this  Certificate  have  their
respective  meanings  as set forth in the  Agreement  or Series  Supplement,  as
applicable.

D. Information Regarding Series 1995-2
   ------------------------------------------

 1a. Class A Invested Amount         .......................... $    500,000,000

 1b. Class B Invested Amount         .......................... $     32,000,000

 2a. Class A Monthly Interest        .......................... $      3,593,750

 2b. Class B Monthly Interest        .......................... $        158,100

 3a. Balance in the Class A Interest Funding Account .......... $     17,968,750
 3b. Balance in the Class B Interest Funding Account .......... $        158,100

 4a. Available Cash Collateral Amount ......................... $     37,240,000

 4b. Percent of Class B Invested Amount         ...............          116.38%

 5a. Class A Investor Charge-offs ............................. $              0

 5b. Class B Investor Charge-offs ............................. $              0

 6.  Required Amount .......................................... $              0

 7.  Draw on Cash Collateral Account .......................... $              0

 8a. Class A Monthly Principal for the Distribution Date(2).... $              0

 8b. Class B Monthly Principal for the Distribution Date(2).... $              0

 9a. Balance in the Class A Principal Funding Account(2)....... $              0

 9b. Balance in the Class B Principal Funding Account(2)....... $              0

     ----------------------------------------------------------
     (2) Applicable during the Accumulation Period and any Early Amortization
         Period.

                                       48
<PAGE>

                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

               Citibank Credit Card Master Trust I, Series 1995-2
                     For the Due Period Ending May 28, 1996

================================================================================

E. Information Regarding Charge-offs and Distributions to Certificateholders(3)
   -------------------------------------------------------------------------

 1a. The total amount of the distribution to Class A
     Certificateholders on the Payment Date ................... $              0

 1b. The total amount of the distribution to Class B
     Certificateholders on the Payment Date ................... $        158,100

 2a. The amount of the distribution set forth in item 1(a) above
     in respect of principal on the Class A Certificates ...... $              0
 2b. The amount of the distribution set forth in item 1(b) above
     in respect of principal on the Class B Certificates ...... $              0

 3a. The amount of the distribution set forth in item 1(a) above
     in respect of interest on the Class A Certificates ....... $              0

 3b. The amount of the distribution set forth in item 1(b) above
     in respect of interest on the Class B Certificates ....... $        158,100

 4a. The amount, if any, by which the outstanding principal
     balance of the Class A Certificates exceeds the Class A
     Invested Amount as of the end of the Record Date with
     respect to the Payment Date .............................. $              0

 4b. The amount, if any, by which the outstanding principal
     balance of the Class B Certificates exceeds the Class B
     Invested Amount as of the end of the Record Date with
     respect to the Payment Date .............................. $              0


     ----------------------------------------------------------
     (3) The following information, as applicable, is to be included only
         on Payment Date.


                                       49
<PAGE>


                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

               Citibank Credit Card Master Trust I, Series 1995-2
                     For the Due Period Ending May 28, 1996

================================================================================
     The  undersigned,  a duly  authorized  representative  of  Citibank  (South
Dakota), N.A., as Servicer ("Citibank (South Dakota)"),  pursuant to the Pooling
and Servicing  Agreement dated as of May 29, 1991, (as amended and supplemented,
the  "Agreement"),  as supplemented by the Series 1995-2  Supplement (as amended
and  supplemented,  the "Series  Supplement"),  among Citibank  (South  Dakota),
Seller and Servicer, Citibank (Nevada), National Association, Seller, and Yasuda
Bank and Trust Company (U.S.A), as Trustee, does hereby certify as follows:

         1.   Capitalized  terms used in this  Certificate have their respective
              meanings as set forth in the  Agreement or Series  Supplement,  as
              applicable.

         2.   Citibank (South Dakota) is, as of the date hereof, the
              Servicer under the Agreement.

         3.   The undersigned is a Servicing Officer.

         4.   This Certificate relates to the Distribution Date
              occurring on June 7 , 1996.

         5.   As of the date hereof,  to the best knowledge of the  undersigned,
              the  Servicer  has  performed  in all  material  respects  all its
              obligations  under the Agreement through the Due Period preceeding
              such Distribution Date.

         6.   As of the date hereof,  to the best knowledge of the  undersigned,
              no Amortization Event has been deemed to have occurred on or prior
              to such Distribution Date.

         7.   As of the date hereof,  to the best knowledge of the  undersigned,
              no Lien has  been  placed  on any of the  Receivables  other  than
              pursuant to the Agreement.

              IN  WITNESS  WHEREOF,   the  undersigned  has  duly  executed  and
              delivered this Certificate this 18th day of June 1996.


                    CITIBANK (SOUTH DAKOTA), N.A.
                    Servicer,


                    By: /s/ Susan Sexton
                    Name: Susan Sexton
                    Title:   Vice President

                                       50
<PAGE>


                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

               Citibank Credit Card Master Trust I, Series 1995-3
                     For the Due Period Ending May 28, 1996

================================================================================

     The  undersigned,  a duly  authorized  representative  of  Citibank  (South
Dakota), N.A., as Servicer ("Citibank (South Dakota)"),  pursuant to the Pooling
and Servicing  Agreement dated as of May 29, 1991, (as amended and supplemented,
the  "Agreement"),  as supplemented by the Series 1995-3  Supplement (as amended
and  supplemented,  the "Series  Supplement"),  among Citibank  (South  Dakota),
Seller and Servicer, Citibank (Nevada), National Association, Seller, and Yasuda
Bank and Trust Company (U.S.A), as Trustee,  does hereby certify the information
set  forth  below.  Capitalized  terms  used  in  this  Certificate  have  their
respective  meanings  as set forth in the  Agreement  or Series  Supplement,  as
applicable.

D. Information Regarding Series 1995-3
   ------------------------------------------

 1a. Class A Invested Amount         .......................... $    625,000,000

 1b. Class B Invested Amount         .......................... $     40,000,000

 2a. Class A Monthly Interest        .......................... $      4,088,542

 2b. Class B Monthly Interest        .......................... $        196,247

 3a. Balance in the Class A Interest Funding Account .......... $     16,354,167

 3b. Balance in the Class B Interest Funding Account .......... $        196,247

 4a. Available Cash Collateral Amount ......................... $     46,550,000

 4b. Percent of Class B Invested Amount         ...............          116.38%

 5a. Class A Investor Charge-offs ............................. $              0

 5b. Class B Investor Charge-offs ............................. $              0

 6.  Required Amount .......................................... $              0

 7.  Draw on Cash Collateral Account .......................... $              0
 8a. Class A Monthly Principal for the Distribution Date(2).... $              0

 8b. Class B Monthly Principal for the Distribution Date(2).... $              0

 9a. Balance in the Class A Principal Funding Account(2)....... $              0

 9b. Balance in the Class B Principal Funding Account(2)....... $              0

     ----------------------------------------------------------
     (2) Applicable during the Accumulation Period and any Early Amortization
         Period.

                                       51
<PAGE>

                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

               Citibank Credit Card Master Trust I, Series 1995-3
                     For the Due Period Ending May 28, 1996

================================================================================

E. Information Regarding Charge-offs and Distributions to Certificateholders(3)
   -------------------------------------------------------------------------

 1a. The total amount of the distribution to Class A
     Certificateholders on the Payment Date ................... $              0

 1b. The total amount of the distribution to Class B
     Certificateholders on the Payment Date ................... $        196,247

 2a. The amount of the distribution set forth in item 1(a) above
     in respect of principal on the Class A Certificates ...... $              0

 2b. The amount of the distribution set forth in item 1(b) above
     in respect of principal on the Class B Certificates ...... $              0

 3a. The amount of the distribution set forth in item 1(a) above
     in respect of interest on the Class A Certificates ....... $              0

 3b. The amount of the distribution set forth in item 1(b) above
     in respect of interest on the Class B Certificates ....... $        196,247

 4a. The amount, if any, by which the outstanding principal
     balance of the Class A Certificates exceeds the Class A
     Invested Amount as of the end of the Record Date with
     respect to the Payment Date .............................. $              0
 4b. The amount, if any, by which the outstanding principal
     balance of the Class B Certificates exceeds the Class B
     Invested Amount as of the end of the Record Date with
     respect to the Payment Date .............................. $              0


     ----------------------------------------------------------
     (3) The following information, as applicable, is to be included only
         on Payment Date.


                                       52
<PAGE>



                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

               Citibank Credit Card Master Trust I, Series 1995-3
                     For the Due Period Ending May 28, 1996

================================================================================

     The  undersigned,  a duly  authorized  representative  of  Citibank  (South
Dakota), N.A., as Servicer ("Citibank (South Dakota)"),  pursuant to the Pooling
and Servicing  Agreement dated as of May 29, 1991, (as amended and supplemented,
the  "Agreement"),  as supplemented by the Series 1995-3  Supplement (as amended
and  supplemented,  the "Series  Supplement"),  among Citibank  (South  Dakota),
Seller and Servicer, Citibank (Nevada), National Association, Seller, and Yasuda
Bank and Trust Company (U.S.A), as Trustee, does hereby certify as follows:

         1.   Capitalized  terms used in this  Certificate have their respective
              meanings as set forth in the  Agreement or Series  Supplement,  as
              applicable.

         2.   Citibank (South Dakota) is, as of the date hereof, the
              Servicer under the Agreement.

         3.   The undersigned is a Servicing Officer.

         4.   This Certificate relates to the Distribution Date
              occurring on June 7 , 1996.

         5.   As of the date hereof,  to the best knowledge of the  undersigned,
              the  Servicer  has  performed  in all  material  respects  all its
              obligations  under the Agreement through the Due Period preceeding
              such Distribution Date.

         6.   As of the date hereof,  to the best knowledge of the  undersigned,
              no Amortization Event has been deemed to have occurred on or prior
              to such Distribution Date.

         7.   As of the date hereof,  to the best knowledge of the  undersigned,
              no Lien has  been  placed  on any of the  Receivables  other  than
              pursuant to the Agreement.

              IN  WITNESS  WHEREOF,   the  undersigned  has  duly  executed  and
              delivered this Certificate this 18th day of June 1996.


                    CITIBANK (SOUTH DAKOTA), N.A.
                    Servicer,


                    By: /s/ Susan Sexton
                    Name: Susan Sexton
                    Title:   Vice President



                                       53
<PAGE>


                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

               Citibank Credit Card Master Trust I, Series 1995-4
                     For the Due Period Ending May 28, 1996

================================================================================
     The  undersigned,  a duly  authorized  representative  of  Citibank  (South
Dakota), N.A., as Servicer ("Citibank (South Dakota)"),  pursuant to the Pooling
and Servicing  Agreement dated as of May 29, 1991, (as amended and supplemented,
the  "Agreement"),  as supplemented by the Series 1995-4  Supplement (as amended
and  supplemented,  the "Series  Supplement"),  among Citibank  (South  Dakota),
Seller and Servicer, Citibank (Nevada), National Association, Seller, and Yasuda
Bank and Trust Company (U.S.A), as Trustee,  does hereby certify the information
set  forth  below.  Capitalized  terms  used  in  this  Certificate  have  their
respective  meanings  as set forth in the  Agreement  or Series  Supplement,  as
applicable.

D. Information Regarding Series 1995-4
   ------------------------------------------

 1a. Class A Invested Amount         .......................... $  1,000,000,000

 1b. Class B Invested Amount         .......................... $     64,000,000

 2a. Class A Monthly Interest        .......................... $      5,133,333

 2b. Class B Monthly Interest        .......................... $        408,000

 3a. Balance in the Class A Interest Funding Account .......... $      5,133,333

 3b. Balance in the Class B Interest Funding Account .......... $      1,632,000

 4a. Available Cash Collateral Amount ......................... $     74,480,000

 4b. Percent of Class B Invested Amount         ...............          116.38%

 5a. Class A Investor Charge-offs ............................. $              0

 5b. Class B Investor Charge-offs ............................. $              0

 6.  Required Amount .......................................... $              0

 7.  Draw on Cash Collateral Account .......................... $              0

 8a. Class A Monthly Principal for the Distribution Date(2).... $              0

 8b. Class B Monthly Principal for the Distribution Date(2).... $              0

 9a. Balance in the Class A Principal Funding Account(2)....... $              0

 9b. Balance in the Class B Principal Funding Account(2)....... $              0

     ----------------------------------------------------------
     (2) Applicable during the Accumulation Period and any Early Amortization
         Period.

                                       54
<PAGE>

                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

               Citibank Credit Card Master Trust I, Series 1995-4
                     For the Due Period Ending May 28, 1996

================================================================================

E. Information Regarding Charge-offs and Distributions to Certificateholders(3)
   -------------------------------------------------------------------------

 1a. The total amount of the distribution to Class A
     Certificateholders on the Payment Date ................... $              0

 1b. The total amount of the distribution to Class B
     Certificateholders on the Payment Date ................... $              0

 2a. The amount of the distribution set forth in item 1(a) above
     in respect of principal on the Class A Certificates ...... $              0

 2b. The amount of the distribution set forth in item 1(b) above
     in respect of principal on the Class B Certificates ...... $              0

 3a. The amount of the distribution set forth in item 1(a) above
     in respect of interest on the Class A Certificates ....... $              0

 3b. The amount of the distribution set forth in item 1(b) above
     in respect of interest on the Class B Certificates ....... $              0

 4a. The amount, if any, by which the outstanding principal
     balance of the Class A Certificates exceeds the Class A
     Invested Amount as of the end of the Record Date with
     respect to the Payment Date .............................. $              0

 4b. The amount, if any, by which the outstanding principal
     balance of the Class B Certificates exceeds the Class B
     Invested Amount as of the end of the Record Date with
     respect to the Payment Date .............................. $              0


     ----------------------------------------------------------
     (3) The following information, as applicable, is to be included only
         on Payment Date.


                                       55
<PAGE>



                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

               Citibank Credit Card Master Trust I, Series 1995-4
                     For the Due Period Ending May 28, 1996

================================================================================

     The  undersigned,  a duly  authorized  representative  of  Citibank  (South
Dakota), N.A., as Servicer ("Citibank (South Dakota)"),  pursuant to the Pooling
and Servicing  Agreement dated as of May 29, 1991, (as amended and supplemented,
the  "Agreement"),  as supplemented by the Series 1995-4  Supplement (as amended
and  supplemented,  the "Series  Supplement"),  among Citibank  (South  Dakota),
Seller and Servicer, Citibank (Nevada), National Association, Seller, and Yasuda
Bank and Trust Company (U.S.A), as Trustee, does hereby certify as follows:

         1.   Capitalized  terms used in this  Certificate have their respective
              meanings as set forth in the  Agreement or Series  Supplement,  as
              applicable.

         2.   Citibank (South Dakota) is, as of the date hereof, the
              Servicer under the Agreement.

         3.   The undersigned is a Servicing Officer.

         4.   This Certificate relates to the Distribution Date
              occurring on June 17, 1996.

         5.   As of the date hereof,  to the best knowledge of the  undersigned,
              the  Servicer  has  performed  in all  material  respects  all its
              obligations  under the Agreement through the Due Period preceeding
              such Distribution Date.

         6.   As of the date hereof,  to the best knowledge of the  undersigned,
              no Amortization Event has been deemed to have occurred on or prior
              to such Distribution Date.

         7.   As of the date hereof,  to the best knowledge of the  undersigned,
              no Lien has  been  placed  on any of the  Receivables  other  than
              pursuant to the Agreement.

              IN  WITNESS  WHEREOF,   the  undersigned  has  duly  executed  and
              delivered this Certificate this 18th day of June 1996.


                    CITIBANK (SOUTH DAKOTA), N.A.
                    Servicer,


                    By: /s/ Susan Sexton
                    Name: Susan Sexton
                    Title:   Vice President


                                       56
<PAGE>



                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

               Citibank Credit Card Master Trust I, Series 1995-5
                     For the Due Period Ending May 28, 1996

================================================================================

     The  undersigned,  a duly  authorized  representative  of  Citibank  (South
Dakota), N.A., as Servicer ("Citibank (South Dakota)"),  pursuant to the Pooling
and Servicing  Agreement dated as of May 29, 1991, (as amended and supplemented,
the  "Agreement"),  as supplemented by the Series 1995-5  Supplement (as amended
and  supplemented,  the "Series  Supplement"),  among Citibank  (South  Dakota),
Seller and Servicer, Citibank (Nevada), National Association, Seller, and Yasuda
Bank and Trust Company (U.S.A), as Trustee,  does hereby certify the information
set  forth  below.  Capitalized  terms  used  in  this  Certificate  have  their
respective  meanings  as set forth in the  Agreement  or Series  Supplement,  as
applicable.

D. Information Regarding Series 1995-5
   ------------------------------------------

 1a. Class A Invested Amount         .......................... $  1,000,000,000

 1b. Class B Invested Amount         .......................... $     64,000,000

 2a. Class A Monthly Interest        .......................... $      5,687,500

 2b. Class B Monthly Interest        .......................... $        313,444

 3a. Balance in the Class A Interest Funding Account .......... $      5,687,500

 3b. Balance in the Class B Interest Funding Account .......... $        313,444

 4a. Available Cash Collateral Amount ......................... $     74,480,000

 4b. Percent of Class B Invested Amount         ...............          116.38%

 5a. Class A Investor Charge-offs ............................. $              0

 5b. Class B Investor Charge-offs ............................. $              0

 6.  Required Amount .......................................... $              0

 7.  Draw on Cash Collateral Account .......................... $              0

 8a. Class A Monthly Principal for the Distribution Date(2).... $              0

 8b. Class B Monthly Principal for the Distribution Date(2).... $              0

 9a. Balance in the Class A Principal Funding Account(2)....... $              0

 9b. Balance in the Class B Principal Funding Account(2)....... $              0

     ----------------------------------------------------------
     (2) Applicable during the Accumulation Period and any Early Amortization
         Period.

                                       57
<PAGE>

                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

               Citibank Credit Card Master Trust I, Series 1995-5
                     For the Due Period Ending May 28, 1996

================================================================================

E. Information Regarding Charge-offs and Distributions to Certificateholders(3)
   -------------------------------------------------------------------------

 1a. The total amount of the distribution to Class A
     Certificateholders on the Payment Date ................... $              0

 1b. The total amount of the distribution to Class B
     Certificateholders on the Payment Date ................... $        313,444

 2a. The amount of the distribution set forth in item 1(a) above
     in respect of principal on the Class A Certificates ...... $              0

 2b. The amount of the distribution set forth in item 1(b) above
     in respect of principal on the Class B Certificates ...... $              0

 3a. The amount of the distribution set forth in item 1(a) above
     in respect of interest on the Class A Certificates ....... $              0

 3b. The amount of the distribution set forth in item 1(b) above
     in respect of interest on the Class B Certificates ....... $        313,444

 4a. The amount, if any, by which the outstanding principal
     balance of the Class A Certificates exceeds the Class A
     Invested Amount as of the end of the Record Date with
     respect to the Payment Date .............................. $              0

 4b. The amount, if any, by which the outstanding principal
     balance of the Class B Certificates exceeds the Class B
     Invested Amount as of the end of the Record Date with
     respect to the Payment Date .............................. $              0


     ----------------------------------------------------------
     (3) The following information, as applicable, is to be included only
         on Payment Date.


                                       58
<PAGE>



                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

               Citibank Credit Card Master Trust I, Series 1995-5
                     For the Due Period Ending May 28, 1996

================================================================================

     The  undersigned,  a duly  authorized  representative  of  Citibank  (South
Dakota), N.A., as Servicer ("Citibank (South Dakota)"),  pursuant to the Pooling
and Servicing  Agreement dated as of May 29, 1991, (as amended and supplemented,
the  "Agreement"),  as supplemented by the Series 1995-5  Supplement (as amended
and  supplemented,  the "Series  Supplement"),  among Citibank  (South  Dakota),
Seller and Servicer, Citibank (Nevada), National Association, Seller, and Yasuda
Bank and Trust Company (U.S.A), as Trustee, does hereby certify as follows:

         1.   Capitalized  terms used in this  Certificate have their respective
              meanings as set forth in the  Agreement or Series  Supplement,  as
              applicable.

         2.   Citibank (South Dakota) is, as of the date hereof, the
              Servicer under the Agreement.

         3.   The undersigned is a Servicing Officer.

         4.   This Certificate relates to the Distribution Date
              occurring on June 7 , 1996.

         5.   As of the date hereof,  to the best knowledge of the  undersigned,
              the  Servicer  has  performed  in all  material  respects  all its
              obligations  under the Agreement through the Due Period preceeding
              such Distribution Date.

         6.   As of the date hereof,  to the best knowledge of the  undersigned,
              no Amortization Event has been deemed to have occurred on or prior
              to such Distribution Date.

         7.   As of the date hereof,  to the best knowledge of the  undersigned,
              no Lien has  been  placed  on any of the  Receivables  other  than
              pursuant to the Agreement.

              IN  WITNESS  WHEREOF,   the  undersigned  has  duly  executed  and
              delivered this Certificate this 18th day of June 1996.


                    CITIBANK (SOUTH DAKOTA), N.A.
                    Servicer,


                    By: /s/ Susan Sexton
                    Name: Susan Sexton
                    Title:   Vice President

                                       59
<PAGE>


                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

               Citibank Credit Card Master Trust I, Series 1995-6
                     For the Due Period Ending May 28, 1996

================================================================================

     The  undersigned,  a duly  authorized  representative  of  Citibank  (South
Dakota), N.A., as Servicer ("Citibank (South Dakota)"),  pursuant to the Pooling
and Servicing  Agreement dated as of May 29, 1991, (as amended and supplemented,
the  "Agreement"),  as supplemented by the Series 1995-6  Supplement (as amended
and  supplemented,  the "Series  Supplement"),  among Citibank  (South  Dakota),
Seller and Servicer, Citibank (Nevada), National Association, Seller, and Yasuda
Bank and Trust Company (U.S.A), as Trustee,  does hereby certify the information
set  forth  below.  Capitalized  terms  used  in  this  Certificate  have  their
respective  meanings  as set forth in the  Agreement  or Series  Supplement,  as
applicable.

D. Information Regarding Series 1995-6
   ------------------------------------------

 1a. Class A Invested Amount         .......................... $    750,000,000

 1b. Class B Invested Amount         .......................... $     48,000,000

 2a. Class A Monthly Interest        .......................... $      4,218,750

 2b. Class B Monthly Interest        .......................... $        276,000

 3a. Balance in the Class A Interest Funding Account .......... $     25,312,500
 3b. Balance in the Class B Interest Funding Account .......... $      1,656,000

 4a. Available Cash Collateral Amount ......................... $     55,860,000

 4b. Percent of Class B Invested Amount         ...............          116.38%

 5a. Class A Investor Charge-offs ............................. $              0

 5b. Class B Investor Charge-offs ............................. $              0

 6.  Required Amount .......................................... $              0

 7.  Draw on Cash Collateral Account .......................... $              0

 8a. Class A Monthly Principal for the Distribution Date(2).... $              0

 8b. Class B Monthly Principal for the Distribution Date(2).... $              0

 9a. Balance in the Class A Principal Funding Account(2)....... $              0

 9b. Balance in the Class B Principal Funding Account(2)....... $              0

     ----------------------------------------------------------
     (2) Applicable during the Accumulation Period and any Early Amortization
         Period.

                                       60
<PAGE>

                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

               Citibank Credit Card Master Trust I, Series 1995-6
                     For the Due Period Ending May 28, 1996

================================================================================

E. Information Regarding Charge-offs and Distributions to Certificateholders(3)
   -------------------------------------------------------------------------

 1a. The total amount of the distribution to Class A
     Certificateholders on the Payment Date ................... $     25,312,500

 1b. The total amount of the distribution to Class B
     Certificateholders on the Payment Date ................... $      1,656,000

 2a. The amount of the distribution set forth in item 1(a) above
     in respect of principal on the Class A Certificates ...... $              0
 2b. The amount of the distribution set forth in item 1(b) above
     in respect of principal on the Class B Certificates ...... $              0

 3a. The amount of the distribution set forth in item 1(a) above
     in respect of interest on the Class A Certificates ....... $     25,312,500

 3b. The amount of the distribution set forth in item 1(b) above
     in respect of interest on the Class B Certificates ....... $      1,656,000

 4a. The amount, if any, by which the outstanding principal
     balance of the Class A Certificates exceeds the Class A
     Invested Amount as of the end of the Record Date with
     respect to the Payment Date .............................. $              0

 4b. The amount, if any, by which the outstanding principal
     balance of the Class B Certificates exceeds the Class B
     Invested Amount as of the end of the Record Date with
     respect to the Payment Date .............................. $              0


     ----------------------------------------------------------
     (3) The following information, as applicable, is to be included only
         on Payment Date.



                                       61
<PAGE>



                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

               Citibank Credit Card Master Trust I, Series 1995-6
                     For the Due Period Ending May 28, 1996

================================================================================
     The  undersigned,  a duly  authorized  representative  of  Citibank  (South
Dakota), N.A., as Servicer ("Citibank (South Dakota)"),  pursuant to the Pooling
and Servicing  Agreement dated as of May 29, 1991, (as amended and supplemented,
the  "Agreement"),  as supplemented by the Series 1995-6  Supplement (as amended
and  supplemented,  the "Series  Supplement"),  among Citibank  (South  Dakota),
Seller and Servicer, Citibank (Nevada), National Association, Seller, and Yasuda
Bank and Trust Company (U.S.A), as Trustee, does hereby certify as follows:

         1.   Capitalized  terms used in this  Certificate have their respective
              meanings as set forth in the  Agreement or Series  Supplement,  as
              applicable.

         2.   Citibank (South Dakota) is, as of the date hereof, the
              Servicer under the Agreement.

         3.   The undersigned is a Servicing Officer.

         4.   This Certificate relates to the Distribution Date
              occurring on June 7 , 1996.

         5.   As of the date hereof,  to the best knowledge of the  undersigned,
              the  Servicer  has  performed  in all  material  respects  all its
              obligations  under the Agreement through the Due Period preceeding
              such Distribution Date.

         6.   As of the date hereof,  to the best knowledge of the  undersigned,
              no Amortization Event has been deemed to have occurred on or prior
              to such Distribution Date.

         7.   As of the date hereof,  to the best knowledge of the  undersigned,
              no Lien has  been  placed  on any of the  Receivables  other  than
              pursuant to the Agreement.

              IN  WITNESS  WHEREOF,   the  undersigned  has  duly  executed  and
              delivered this Certificate this 18th day of June 1996.


                    CITIBANK (SOUTH DAKOTA), N.A.
                    Servicer,


                    By: /s/ Susan Sexton
                    Name: Susan Sexton
                    Title:   Vice President



                                       62
<PAGE>

                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

               Citibank Credit Card Master Trust I, Series 1995-8
                     For the Due Period Ending May 28, 1996

================================================================================

     The  undersigned,  a duly  authorized  representative  of  Citibank  (South
Dakota), N.A., as Servicer ("Citibank (South Dakota)"),  pursuant to the Pooling
and Servicing  Agreement dated as of May 29, 1991, (as amended and supplemented,
the  "Agreement"),  as supplemented by the Series 1995-8  Supplement (as amended
and  supplemented,  the "Series  Supplement"),  among Citibank  (South  Dakota),
Seller and Servicer, Citibank (Nevada), National Association, Seller, and Yasuda
Bank and Trust Company (U.S.A), as Trustee,  does hereby certify the information
set  forth  below.  Capitalized  terms  used  in  this  Certificate  have  their
respective  meanings  as set forth in the  Agreement  or Series  Supplement,  as
applicable.

D. Information Regarding Series 1995-8
   ------------------------------------------

 1a. Class A Invested Amount         .......................... $    400,000,000

 1b. Class B Invested Amount         .......................... $     25,540,000

 2a. Class A Monthly Interest        .......................... $      2,233,333

 2b. Class B Monthly Interest        .......................... $        145,791

 3a. Balance in the Class A Interest Funding Account .......... $      6,700,000

 3b. Balance in the Class B Interest Funding Account .......... $        437,372

 4a. Available Cash Collateral Amount ......................... $     29,787,800

 4b. Percent of Class B Invested Amount         ...............          116.63%

 5a. Class A Investor Charge-offs ............................. $              0

 5b. Class B Investor Charge-offs ............................. $              0

 6.  Required Amount .......................................... $              0

 7.  Draw on Cash Collateral Account .......................... $              0

 8a. Class A Monthly Principal for the Distribution Date(2).... $              0

 8b. Class B Monthly Principal for the Distribution Date(2).... $              0

 9a. Balance in the Class A Principal Funding Account(2)....... $              0

 9b. Balance in the Class B Principal Funding Account(2)....... $              0

     ----------------------------------------------------------
     (2) Applicable during the Accumulation Period and any Early Amortization
         Period.

                                       63
<PAGE>

                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

               Citibank Credit Card Master Trust I, Series 1995-8
                     For the Due Period Ending May 28, 1996

================================================================================

E. Information Regarding Charge-offs and Distributions to Certificateholders(3)
   -------------------------------------------------------------------------

 1a. The total amount of the distribution to Class A
     Certificateholders on the Payment Date ................... $              0

 1b. The total amount of the distribution to Class B
     Certificateholders on the Payment Date ................... $              0

 2a. The amount of the distribution set forth in item 1(a) above
     in respect of principal on the Class A Certificates ...... $              0

 2b. The amount of the distribution set forth in item 1(b) above
     in respect of principal on the Class B Certificates ...... $              0

 3a. The amount of the distribution set forth in item 1(a) above
     in respect of interest on the Class A Certificates ....... $              0

 3b. The amount of the distribution set forth in item 1(b) above
     in respect of interest on the Class B Certificates ....... $              0

 4a. The amount, if any, by which the outstanding principal
     balance of the Class A Certificates exceeds the Class A
     Invested Amount as of the end of the Record Date with
     respect to the Payment Date .............................. $              0

 4b. The amount, if any, by which the outstanding principal
     balance of the Class B Certificates exceeds the Class B
     Invested Amount as of the end of the Record Date with
     respect to the Payment Date .............................. $              0


     ----------------------------------------------------------
     (3) The following information, as applicable, is to be included only
         on Payment Date.



                                       64
<PAGE>

                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

               Citibank Credit Card Master Trust I, Series 1995-8
                     For the Due Period Ending May 28, 1996

================================================================================

     The  undersigned,  a duly  authorized  representative  of  Citibank  (South
Dakota), N.A., as Servicer ("Citibank (South Dakota)"),  pursuant to the Pooling
and Servicing  Agreement dated as of May 29, 1991, (as amended and supplemented,
the  "Agreement"),  as supplemented by the Series 1995-8  Supplement (as amended
and  supplemented,  the "Series  Supplement"),  among Citibank  (South  Dakota),
Seller and Servicer, Citibank (Nevada), National Association, Seller, and Yasuda
Bank and Trust Company (U.S.A), as Trustee, does hereby certify as follows:

         1.   Capitalized  terms used in this  Certificate have their respective
              meanings as set forth in the  Agreement or Series  Supplement,  as
              applicable.

         2.   Citibank (South Dakota) is, as of the date hereof, the
              Servicer under the Agreement.

         3.   The undersigned is a Servicing Officer.

         4.   This Certificate relates to the Distribution Date
              occurring on June 7 , 1996.

         5.   As of the date hereof,  to the best knowledge of the  undersigned,
              the  Servicer  has  performed  in all  material  respects  all its
              obligations  under the Agreement through the Due Period preceeding
              such Distribution Date.

         6.   As of the date hereof,  to the best knowledge of the  undersigned,
              no Amortization Event has been deemed to have occurred on or prior
              to such Distribution Date.

         7.   As of the date hereof,  to the best knowledge of the  undersigned,
              no Lien has  been  placed  on any of the  Receivables  other  than
              pursuant to the Agreement.

              IN  WITNESS  WHEREOF,   the  undersigned  has  duly  executed  and
              delivered this Certificate this 18th day of June 1996.


                    CITIBANK (SOUTH DAKOTA), N.A.
                    Servicer,


                    By: /s/ Susan Sexton
                    Name: Susan Sexton
                    Title:   Vice President




                                       65
<PAGE>

                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

               Citibank Credit Card Master Trust I, Series 1995-9
                     For the Due Period Ending May 28, 1996
================================================================================

     The  undersigned,  a duly  authorized  representative  of  Citibank  (South
Dakota), N.A., as Servicer ("Citibank (South Dakota)"),  pursuant to the Pooling
and Servicing  Agreement dated as of May 29, 1991, (as amended and supplemented,
the  "Agreement"),  as supplemented by the Series 1995-9  Supplement (as amended
and  supplemented,  the "Series  Supplement"),  among Citibank  (South  Dakota),
Seller and Servicer, Citibank (Nevada), National Association, Seller, and Yasuda
Bank and Trust Company (U.S.A), as Trustee,  does hereby certify the information
set  forth  below.  Capitalized  terms  used  in  this  Certificate  have  their
respective  meanings  as set forth in the  Agreement  or Series  Supplement,  as
applicable.

D. Information Regarding Series 1995-9
   ------------------------------------------

 1a. Class A Invested Amount         .......................... $    500,000,000

 1b. Class B Invested Amount         .......................... $     32,000,000

 2a. Class A Monthly Interest        .......................... $      2,729,167

 2b. Class B Monthly Interest        .......................... $        177,333

 3a. Balance in the Class A Interest Funding Account .......... $      5,458,333

 3b. Balance in the Class B Interest Funding Account .......... $        354,667

 4a. Available Cash Collateral Amount ......................... $     37,240,000

 4b. Percent of Class B Invested Amount         ...............          116.38%

 5a. Class A Investor Charge-offs ............................. $              0

 5b. Class B Investor Charge-offs ............................. $              0

 6.  Required Amount .......................................... $              0

 7.  Draw on Cash Collateral Account .......................... $              0

 8a. Class A Monthly Principal for the Distribution Date(2).... $              0

 8b. Class B Monthly Principal for the Distribution Date(2).... $              0

 9a. Balance in the Class A Principal Funding Account(2)....... $              0

 9b. Balance in the Class B Principal Funding Account(2)....... $              0

     ----------------------------------------------------------
     (2) Applicable during the Accumulation Period and any Early Amortization
         Period.

                                       66
<PAGE>

                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

               Citibank Credit Card Master Trust I, Series 1995-9
                     For the Due Period Ending May 28, 1996

================================================================================

E. Information Regarding Charge-offs and Distributions to Certificateholders(3)
   -------------------------------------------------------------------------

 1a. The total amount of the distribution to Class A
     Certificateholders on the Payment Date ................... $              0

 1b. The total amount of the distribution to Class B
     Certificateholders on the Payment Date ................... $              0

 2a. The amount of the distribution set forth in item 1(a) above
     in respect of principal on the Class A Certificates ...... $              0

 2b. The amount of the distribution set forth in item 1(b) above
     in respect of principal on the Class B Certificates ...... $              0

 3a. The amount of the distribution set forth in item 1(a) above
     in respect of interest on the Class A Certificates ....... $              0

 3b. The amount of the distribution set forth in item 1(b) above
     in respect of interest on the Class B Certificates ....... $              0

 4a. The amount, if any, by which the outstanding principal
     balance of the Class A Certificates exceeds the Class A
     Invested Amount as of the end of the Record Date with
     respect to the Payment Date .............................. $              0

 4b. The amount, if any, by which the outstanding principal
     balance of the Class B Certificates exceeds the Class B
     Invested Amount as of the end of the Record Date with
     respect to the Payment Date .............................. $              0


     ----------------------------------------------------------
     (3) The following information, as applicable, is to be included only
         on Payment Date.



                                       67
<PAGE>



                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

               Citibank Credit Card Master Trust I, Series 1995-9
                     For the Due Period Ending May 28, 1996

================================================================================

     The  undersigned,  a duly  authorized  representative  of  Citibank  (South
Dakota), N.A., as Servicer ("Citibank (South Dakota)"),  pursuant to the Pooling
and Servicing  Agreement dated as of May 29, 1991, (as amended and supplemented,
the  "Agreement"),  as supplemented by the Series 1995-9  Supplement (as amended
and  supplemented,  the "Series  Supplement"),  among Citibank  (South  Dakota),
Seller and Servicer, Citibank (Nevada), National Association, Seller, and Yasuda
Bank and Trust Company (U.S.A), as Trustee, does hereby certify as follows:

         1.   Capitalized  terms used in this  Certificate have their respective
              meanings as set forth in the  Agreement or Series  Supplement,  as
              applicable.

         2.   Citibank (South Dakota) is, as of the date hereof, the
              Servicer under the Agreement.

         3.   The undersigned is a Servicing Officer.

         4.   This Certificate relates to the Distribution Date
              occurring on June 7 , 1996.
         5.   As of the date hereof,  to the best knowledge of the  undersigned,
              the  Servicer  has  performed  in all  material  respects  all its
              obligations  under the Agreement through the Due Period preceeding
              such Distribution Date.

         6.   As of the date hereof,  to the best knowledge of the  undersigned,
              no Amortization Event has been deemed to have occurred on or prior
              to such Distribution Date.

         7.   As of the date hereof,  to the best knowledge of the  undersigned,
              no Lien has  been  placed  on any of the  Receivables  other  than
              pursuant to the Agreement.

              IN  WITNESS  WHEREOF,   the  undersigned  has  duly  executed  and
              delivered this Certificate this 18th day of June 1996.


                    CITIBANK (SOUTH DAKOTA), N.A.
                    Servicer,


                    By: /s/ Susan Sexton
                    Name: Susan Sexton
                    Title:   Vice President



                                       68
<PAGE>


                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

              Citibank Credit Card Master Trust I, Series 1995-10
                     For the Due Period Ending May 28, 1996

================================================================================

     The  undersigned,  a duly  authorized  representative  of  Citibank  (South
Dakota), N.A., as Servicer ("Citibank (South Dakota)"),  pursuant to the Pooling
and Servicing  Agreement dated as of May 29, 1991, (as amended and supplemented,
the "Agreement"),  as supplemented by the Series 1995-10  Supplement (as amended
and  supplemented,  the "Series  Supplement"),  among Citibank  (South  Dakota),
Seller and Servicer, Citibank (Nevada), National Association, Seller, and Yasuda
Bank and Trust Company (U.S.A), as Trustee,  does hereby certify the information
set  forth  below.  Capitalized  terms  used  in  this  Certificate  have  their
respective  meanings  as set forth in the  Agreement  or Series  Supplement,  as
applicable.

D. Information Regarding Series 1995-10
   ------------------------------------------

 1a. Class A Invested Amount         .......................... $    750,000,000

 1b. Class B Invested Amount         .......................... $     48,000,000

 2a. Class A Monthly Interest        .......................... $      3,687,500

 2b. Class B Monthly Interest        .......................... $        242,000

 3a. Balance in the Class A Interest Funding Account .......... $     14,750,000

 3b. Balance in the Class B Interest Funding Account .......... $        968,000

 4a. Available Cash Collateral Amount ......................... $     55,860,000

 4b. Percent of Class B Invested Amount         ...............          116.38%

 5a. Class A Investor Charge-offs ............................. $              0

 5b. Class B Investor Charge-offs ............................. $              0

 6.  Required Amount .......................................... $              0

 7.  Draw on Cash Collateral Account .......................... $              0

 8a. Class A Monthly Principal for the Distribution Date(2).... $              0

 8b. Class B Monthly Principal for the Distribution Date(2).... $              0

 9a. Balance in the Class A Principal Funding Account(2)....... $              0

 9b. Balance in the Class B Principal Funding Account(2)....... $              0

     ----------------------------------------------------------
     (2) Applicable during the Accumulation Period and any Early Amortization
         Period.

                                       69
<PAGE>

                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

              Citibank Credit Card Master Trust I, Series 1995-10
                     For the Due Period Ending May 28, 1996

================================================================================

E. Information Regarding Charge-offs and Distributions to Certificateholders(3)
   -------------------------------------------------------------------------

 1a. The total amount of the distribution to Class A
     Certificateholders on the Payment Date ................... $              0

 1b. The total amount of the distribution to Class B
     Certificateholders on the Payment Date ................... $              0

 2a. The amount of the distribution set forth in item 1(a) above
     in respect of principal on the Class A Certificates ...... $              0

 2b. The amount of the distribution set forth in item 1(b) above
     in respect of principal on the Class B Certificates ...... $              0

 3a. The amount of the distribution set forth in item 1(a) above
     in respect of interest on the Class A Certificates ....... $              0

 3b. The amount of the distribution set forth in item 1(b) above
     in respect of interest on the Class B Certificates ....... $              0

 4a. The amount, if any, by which the outstanding principal
     balance of the Class A Certificates exceeds the Class A
     Invested Amount as of the end of the Record Date with
     respect to the Payment Date .............................. $              0

 4b. The amount, if any, by which the outstanding principal
     balance of the Class B Certificates exceeds the Class B
     Invested Amount as of the end of the Record Date with
     respect to the Payment Date .............................. $              0


     ----------------------------------------------------------
     (3) The following information, as applicable, is to be included only
         on Payment Date.



                                       70
<PAGE>


                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

              Citibank Credit Card Master Trust I, Series 1995-10
                     For the Due Period Ending May 28, 1996

================================================================================

     The  undersigned,  a duly  authorized  representative  of  Citibank  (South
Dakota), N.A., as Servicer ("Citibank (South Dakota)"),  pursuant to the Pooling
and Servicing  Agreement dated as of May 29, 1991, (as amended and supplemented,
the "Agreement"),  as supplemented by the Series 1995-10  Supplement (as amended
and  supplemented,  the "Series  Supplement"),  among Citibank  (South  Dakota),
Seller and Servicer, Citibank (Nevada), National Association, Seller, and Yasuda
Bank and Trust Company (U.S.A), as Trustee, does hereby certify as follows:

         1.   Capitalized  terms used in this  Certificate have their respective
              meanings as set forth in the  Agreement or Series  Supplement,  as
              applicable.

         2.   Citibank (South Dakota) is, as of the date hereof, the
              Servicer under the Agreement.

         3.   The undersigned is a Servicing Officer.

         4.   This Certificate relates to the Distribution Date
              occurring on June 7 , 1996.

         5.   As of the date hereof,  to the best knowledge of the  undersigned,
              the  Servicer  has  performed  in all  material  respects  all its
              obligations  under the Agreement through the Due Period preceeding
              such Distribution Date.

         6.   As of the date hereof,  to the best knowledge of the  undersigned,
              no Amortization Event has been deemed to have occurred on or prior
              to such Distribution Date.

         7.   As of the date hereof,  to the best knowledge of the  undersigned,
              no Lien has  been  placed  on any of the  Receivables  other  than
              pursuant to the Agreement.

              IN  WITNESS  WHEREOF,   the  undersigned  has  duly  executed  and
              delivered this Certificate this 18th day of June 1996.


                    CITIBANK (SOUTH DAKOTA), N.A.
                    Servicer,


                    By: /s/ Susan Sexton
                    Name: Susan Sexton
                    Title:   Vice President



                                       71
<PAGE>


                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

              Citibank Credit Card Master Trust I, Series 1995-11
                     For the Due Period Ending May 28, 1996

================================================================================

     The  undersigned,  a duly  authorized  representative  of  Citibank  (South
Dakota), N.A., as Servicer ("Citibank (South Dakota)"),  pursuant to the Pooling
and Servicing  Agreement dated as of May 29, 1991, (as amended and supplemented,
the "Agreement"),  as supplemented by the Series 1995-11  Supplement (as amended
and  supplemented,  the "Series  Supplement"),  among Citibank  (South  Dakota),
Seller and Servicer, Citibank (Nevada), National Association, Seller, and Yasuda
Bank and Trust Company (U.S.A), as Trustee,  does hereby certify the information
set  forth  below.  Capitalized  terms  used  in  this  Certificate  have  their
respective  meanings  as set forth in the  Agreement  or Series  Supplement,  as
applicable.

D. Information Regarding Series 1995-11
   ------------------------------------------

 1a. Class A Invested Amount         .......................... $    625,000,000

 1b. Class B Invested Amount         .......................... $     40,000,000
 2a. Class A Monthly Interest        .......................... $      3,040,104

 2b. Class B Monthly Interest        .......................... $        197,600

 3a. Balance in the Class A Interest Funding Account .......... $      3,040,104

 3b. Balance in the Class B Interest Funding Account .......... $        197,600

 4a. Available Cash Collateral Amount ......................... $     46,550,000

 4b. Percent of Class B Invested Amount         ...............          116.38%

 5a. Class A Investor Charge-offs ............................. $              0

 5b. Class B Investor Charge-offs ............................. $              0

 6.  Required Amount .......................................... $              0

 7.  Draw on Cash Collateral Account .......................... $              0

 8a. Class A Monthly Principal for the Distribution Date(2).... $              0

 8b. Class B Monthly Principal for the Distribution Date(2).... $              0

 9a. Balance in the Class A Principal Funding Account(2)....... $              0

 9b. Balance in the Class B Principal Funding Account(2)....... $              0

     ----------------------------------------------------------
     (2) Applicable during the Accumulation Period and any Early Amortization
         Period.

                                       72
<PAGE>

                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

              Citibank Credit Card Master Trust I, Series 1995-11
                     For the Due Period Ending May 28, 1996

================================================================================

E. Information Regarding Charge-offs and Distributions to Certificateholders(3)
   -------------------------------------------------------------------------

 1a. The total amount of the distribution to Class A
     Certificateholders on the Payment Date ................... $              0
 1b. The total amount of the distribution to Class B
     Certificateholders on the Payment Date ................... $        197,600

 2a. The amount of the distribution set forth in item 1(a) above
     in respect of principal on the Class A Certificates ...... $              0

 2b. The amount of the distribution set forth in item 1(b) above
     in respect of principal on the Class B Certificates ...... $              0

 3a. The amount of the distribution set forth in item 1(a) above
     in respect of interest on the Class A Certificates ....... $              0

 3b. The amount of the distribution set forth in item 1(b) above
     in respect of interest on the Class B Certificates ....... $        197,600

 4a. The amount, if any, by which the outstanding principal
     balance of the Class A Certificates exceeds the Class A
     Invested Amount as of the end of the Record Date with
     respect to the Payment Date .............................. $              0

 4b. The amount, if any, by which the outstanding principal
     balance of the Class B Certificates exceeds the Class B
     Invested Amount as of the end of the Record Date with
     respect to the Payment Date .............................. $              0


     ----------------------------------------------------------
     (3) The following information, as applicable, is to be included only
         on Payment Date.


                                       73
<PAGE>



                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================
              Citibank Credit Card Master Trust I, Series 1995-11
                     For the Due Period Ending May 28, 1996

================================================================================

     The  undersigned,  a duly  authorized  representative  of  Citibank  (South
Dakota), N.A., as Servicer ("Citibank (South Dakota)"),  pursuant to the Pooling
and Servicing  Agreement dated as of May 29, 1991, (as amended and supplemented,
the "Agreement"),  as supplemented by the Series 1995-11  Supplement (as amended
and  supplemented,  the "Series  Supplement"),  among Citibank  (South  Dakota),
Seller and Servicer, Citibank (Nevada), National Association, Seller, and Yasuda
Bank and Trust Company (U.S.A), as Trustee, does hereby certify as follows:

         1.   Capitalized  terms used in this  Certificate have their respective
              meanings as set forth in the  Agreement or Series  Supplement,  as
              applicable.

         2.   Citibank (South Dakota) is, as of the date hereof, the
              Servicer under the Agreement.

         3.   The undersigned is a Servicing Officer.

         4.   This Certificate relates to the Distribution Date
              occurring on June 17, 1996.

         5.   As of the date hereof,  to the best knowledge of the  undersigned,
              the  Servicer  has  performed  in all  material  respects  all its
              obligations  under the Agreement through the Due Period preceeding
              such Distribution Date.

         6.   As of the date hereof,  to the best knowledge of the  undersigned,
              no Amortization Event has been deemed to have occurred on or prior
              to such Distribution Date.

         7.   As of the date hereof,  to the best knowledge of the  undersigned,
              no Lien has  been  placed  on any of the  Receivables  other  than
              pursuant to the Agreement.

              IN  WITNESS  WHEREOF,   the  undersigned  has  duly  executed  and
              delivered this Certificate this 18th day of June 1996.


                    CITIBANK (SOUTH DAKOTA), N.A.
                    Servicer,

                    By: /s/ Susan Sexton
                    Name: Susan Sexton
                    Title:   Vice President



                                       74
<PAGE>


                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

               Citibank Credit Card Master Trust I, Series 1996-1
                     For the Due Period Ending May 28, 1996

================================================================================

     The  undersigned,  a duly  authorized  representative  of  Citibank  (South
Dakota), N.A., as Servicer ("Citibank (South Dakota)"),  pursuant to the Pooling
and Servicing  Agreement dated as of May 29, 1991, (as amended and supplemented,
the  "Agreement"),  as supplemented by the Series 1996-1  Supplement (as amended
and  supplemented,  the "Series  Supplement"),  among Citibank  (South  Dakota),
Seller and Servicer, Citibank (Nevada), National Association, Seller, and Yasuda
Bank and Trust Company (U.S.A), as Trustee,  does hereby certify the information
set  forth  below.  Capitalized  terms  used  in  this  Certificate  have  their
respective  meanings  as set forth in the  Agreement  or Series  Supplement,  as
applicable.

D. Information Regarding Series 1996-1
   ------------------------------------------

 1a. Class A Accreted Invested Amount.......................... $    760,030,856

 1b. Class B Accreted Invested Amount.......................... $     48,305,209

 2a. Class A Monthly Accretion       .......................... $      3,667,586

 2b. Class B Monthly Accretion       .......................... $        239,017

 3a. Balance in the Class A Interest Funding Account .......... $              0

 3b. Balance in the Class B Interest Funding Account .......... $              0

 4a. Available Cash Collateral Amount ......................... $     56,713,495

 4b. Percent of Class B Accreted Invested Amount...............          117.41%

 5a. Class A Investor Charge-offs ............................. $              0

 5b. Class B Investor Charge-offs ............................. $              0

 6.  Required Amount .......................................... $              0

 7.  Draw on Cash Collateral Account .......................... $              0

 8a. Class A Monthly Principal for the Distribution Date(2).... $              0

 8b. Class B Monthly Principal for the Distribution Date(2).... $              0

 9a. Balance in the Class A Principal Funding Account(2)....... $              0

 9b. Balance in the Class B Principal Funding Account(2)....... $              0

     ----------------------------------------------------------
     (2) Applicable during the Accumulation Period and any Early Amortization
         Period.

                                       75
<PAGE>

                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

               Citibank Credit Card Master Trust I, Series 1996-1
                     For the Due Period Ending May 28, 1996

================================================================================

E. Information Regarding Charge-offs and Distributions to Certificateholders(3)
   -------------------------------------------------------------------------

 1a. The total amount of the distribution to Class A
     Certificateholders on the Payment Date ................... $              0

 1b. The total amount of the distribution to Class B
     Certificateholders on the Payment Date ................... $              0

 2a. The amount of the distribution set forth in item 1(a) above
     in respect of principal on the Class A Certificates ...... $              0

 2b. The amount of the distribution set forth in item 1(b) above
     in respect of principal on the Class B Certificates ...... $              0

 3a. The amount of the distribution set forth in item 1(a) above
     in respect of interest on the Class A Certificates ....... $              0
 3b. The amount of the distribution set forth in item 1(b) above
     in respect of interest on the Class B Certificates ....... $              0

 4a. The amount, if any, by which the outstanding principal
     balance of the Class A Certificates exceeds the Class A
     Invested Amount as of the end of the Record Date with
     respect to the Payment Date .............................. $              0

 4b. The amount, if any, by which the outstanding principal
     balance of the Class B Certificates exceeds the Class B
     Invested Amount as of the end of the Record Date with
     respect to the Payment Date .............................. $              0


     ----------------------------------------------------------
     (3) The following information, as applicable, is to be included only
         on Payment Date.


                                       76
<PAGE>


                         CITIBANK (SOUTH DAKOTA), N.A.
                    CITIBANK (NEVADA), NATIONAL ASSOCIATION

================================================================================

               Citibank Credit Card Master Trust I, Series 1996-1
                     For the Due Period Ending May 28, 1996

================================================================================

     The  undersigned,  a duly  authorized  representative  of  Citibank  (South
Dakota), N.A., as Servicer ("Citibank (South Dakota)"),  pursuant to the Pooling
and Servicing  Agreement dated as of May 29, 1991, (as amended and supplemented,
the  "Agreement"),  as supplemented by the Series 1996-1  Supplement (as amended
and  supplemented,  the "Series  Supplement"),  among Citibank  (South  Dakota),
Seller and Servicer, Citibank (Nevada), National Association, Seller, and Yasuda
Bank and Trust Company (U.S.A), as Trustee, does hereby certify as follows:

         1.   Capitalized  terms used in this  Certificate have their respective
              meanings as set forth in the  Agreement or Series  Supplement,  as
              applicable.

         2.   Citibank (South Dakota) is, as of the date hereof, the
              Servicer under the Agreement.

         3.   The undersigned is a Servicing Officer.

         4.   This Certificate relates to the Distribution Date
              occurring on June 7 , 1996.

         5.   As of the date hereof,  to the best knowledge of the  undersigned,
              the  Servicer  has  performed  in all  material  respects  all its
              obligations  under the Agreement through the Due Period preceeding
              such Distribution Date.

         6.   As of the date hereof,  to the best knowledge of the  undersigned,
              no Amortization Event has been deemed to have occurred on or prior
              to such Distribution Date.

         7.   As of the date hereof,  to the best knowledge of the  undersigned,
              no Lien has  been  placed  on any of the  Receivables  other  than
              pursuant to the Agreement.

              IN  WITNESS  WHEREOF,   the  undersigned  has  duly  executed  and
              delivered this Certificate this 18th day of June 1996.


                    CITIBANK (SOUTH DAKOTA), N.A.
                    Servicer,


                    By: /s/ Susan Sexton
                    Name: Susan Sexton
                    Title:   Vice President


                                       77
<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.


                                  CITIBANK (SOUTH DAKOTA), N.A.,
                                   as Servicer
                                   Citibank Credit Card Master Trust I



                                     By:  /s/ Eugene D. Rowenhorst
                                        -------------------------------------
                                            Eugene D. Rowenhorst
                                            Senior Vice President

Dated:     July 9, 1996


© 2022 IncJournal is not affiliated with or endorsed by the U.S. Securities and Exchange Commission