GREEN TREE FINANCIAL CORP
8-K, 1998-09-21
ASSET-BACKED SECURITIES
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<PAGE>
 
                       SECURITIES AND EXCHANGE COMMISSION
                             WASHINGTON, D.C. 20549


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


                                    FORM 8-K

                                 CURRENT REPORT
                     Pursuant to Section 13 or 15(d) of the
                         Securities Exchange Act of 1934


      Date of Report (Date of earliest event reported): SEPTEMBER 15, 1998


             GREEN TREE SECURITIZED NET INTEREST MARGIN TRUST 1994-B
             -------------------------------------------------------
             (Exact name of registrant as specified in its charter)



          MINNESOTA                    33-53527              41-1786620
- --------------------------------------------------------------------------------
(State or other jurisdiction         (Commission           (IRS employer
      of incorporation)              file numbers)       identification no.)



 1100 LANDMARK TOWERS, 345 ST. PETER STREET, SAINT PAUL, MINNESOTA  55102-1639
- --------------------------------------------------------------------------------
  (Address of principal executive offices)                       (Zip code)


       Registrant's telephone number, including area code: (612) 293-3400


                                 NOT APPLICABLE
         --------------------------------------------------------------
         (Former name or former address, if changed since last report.)
<PAGE>
 
         ITEM 5.  OTHER EVENTS.

                  Pursuant to the Pooling and Servicing Agreement between Green
                  Tree Financial Corporation (the "Servicer") and First Bank
                  National Association (the "Trustee"), on September 15, 1998,
                  the Trustee made distributions to the holders of the
                  certificates representing interests in the Trust (the
                  "Certificateholders") and delivered to the Certificateholders
                  the Monthly Report required by Section 1.01 of the Servicing
                  Agreement attached hereto as Exhibit 99.1.

         ITEM 7.  FINANCIAL STATEMENTS AND EXHIBITS

                  (c)      Exhibits.

                           The following is filed herewith. The exhibit number
                           corresponds with Item 601(b) of Regulation S-K.

                           Exhibit No.   Description
                           -----------   -----------

                              99.1       Monthly Report delivered to
                                         Certificateholders on
                                         September 15, 1998
<PAGE>
 
         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.

Dated: September 15, 1998


                                        SECUTIZED NET INTEREST MARGIN
                                        TRUST 1994-B

                                        By GREEN TREE FINANCIAL CORPORATION
                                           as Servicer with respect to the Trust


                                        By: /s/Phyllis A. Knight
                                            --------------------
                                            PHYLLIS A. KNIGHT
                                            Senior Vice President and Treasurer
<PAGE>
 
                                INDEX TO EXHIBITS



EXHIBIT
NUMBER                                                                     PAGE
- ------                                                                     ----

 99.1          Monthly Report delivered to Certificateholders                5
               on September 15, 1998.

<PAGE>
 
GREEN TREE FINANCIAL CORP.
NET INTEREST MARGIN TRUST 1994-B
AUGUST, 1998
PAYMENT: SEPTEMBER 15, 1998

             7.85% SECURITIZED NET INTEREST MARGIN CERTIFICATES

                                            CUSIP #                    393534AB8
                                                                ----------------
                                            TRUST ACCOUNT #           33-31958-0
                                                                ----------------
                                            DISTRIBUTION DATE:    Sept. 15, 1998
                                                                ----------------

<TABLE>
<CAPTION>
                                                                                 PER $1,000
SECURITIZED NET INTEREST MARGIN CERTIFICATES                                      ORIGINAL
- ---------------------------------------------------------                       ------------
<S>                                                          <C>                <C>
1.           Amount Available                                     892,468.97
                                                             ---------------

Interest

2.           Aggregate Interest                                   187,145.15      2.02538041
                                                             ---------------    ------------

3.           Amount Applied to:
             (a)          accrued but unpaid Interest

4.           Remaining:
             (a)          accrued but unpaid Interest

5.           Monthly Interest                                     187,145.15
                                                             ---------------

Principal

6.           Current month's principal distribution               705,323.82      7.63337468
                                                             ---------------    ------------

7.           Remaining outstanding principal balance           27,902,852.15     301.9789194
                                                             ---------------    ------------
             Pool Factor                                          0.30197892
                                                             ---------------

8.           Present value of the projected remaining
             aggregate cashflows of the Finance I Assets
             and the Residual Assets, as of the
             immediately preceding Distribution Date          498,166,456.96**
                                                             ---------------

9.           Aggregate principal balance of loans
             refinanced by Green Tree Financial                 1,564,366.55
                                                             ---------------

10.          Weighted average CPR                                      14.20%
                                                             ---------------

11.          Weighted average CDR                                       2.05%
                                                             ---------------

12.          Annualized net loss percentage                             1.17%
                                                             ---------------


13.          Delinquency               30-59 day                        1.03%
                                                             ---------------
                                       60-89 day                        0.36%
                                                             ---------------
                                       90+ day                          0.50%
                                                             ---------------
                                       Total 30+                        1.89%
                                                             ---------------
</TABLE>

First Trust N. A. Paying Agent/Bondholder Relations (612) 973-5800

**Represents present value of assets for NIM 94-A, 94-B, & 95-A, after
    cross-collateralization, as of 8/15/98.
<PAGE>
 
GREEN TREE FINANCIAL
NET INTEREST MARGIN TRUST 1994-B
AUGUST, 1998
PAYMENT: SEPTEMBER 15, 1998




                                     Fee Assets
                  ------------------------------------------
                     GUARANTEE         INSIDE      FEE ASSET
                       FEES             REFI         TOTAL
                  -------------------------------------------

GTFC 1994-1         297,289.33        26,561.71    323,851.04
GTFC 1994-2
GTFC 1994-3
GTFC 1994-4
                  -------------------------------------------
                    297,289.33        26,561.71    323,851.04

TOTAL AMOUNT OF GUARANTEE FEES AND
     INSIDE REFINANCE PAYMENTS                     323,851.04
                                               --------------

SUBORDINATED SERVICING FEES                        312,821.93
                                               --------------

PAYMENT ON FINANCE 1 NOTE                          636,672.97
                                               --------------

ALLOCABLE TO INTEREST (CURRENT)                     31,117.26
                                               --------------

ALLOCABLE TO ACCRUED BUT UNPAID INTEREST                 0.00
                                               --------------

ACCRUED AND UNPAID TRUSTEE FEES                          0.00
                                               --------------

ALLOCABLE TO PRINCIPAL                             605,555.71
                                               --------------

FINANCE 1 NOTE PRINCIPAL BALANCE                 4,151,222.40
                                               --------------
<PAGE>
 
GREEN TREE FINANCIAL
NET INTEREST MARGIN TRUST 1994-B
AUGUST, 1998
PAYMENT: SEPTEMBER 15, 1998





                                       INSIDE
               RESIDUAL                 REFI          TOTAL
             ---------------------------------------------------

GTFC 1994-1                    0.00        0.00             0.00
GTFC 1994-2                    0.00   26,438.39        26,438.39
GTFC 1994-3               46,131.43   16,935.30        63,066.73
GTFC 1994-4              136,385.64   29,905.24       166,290.88
             ---------------------------------------------------
                         182,517.07   73,278.93       255,796.00

           TOTAL RESIDUAL AND INSIDE
               REFINANCE PAYMENTS                     255,796.00


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