OLYMPIC RECEIVABLES FINANCE CORP
8-K, 1997-08-18
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 Act of 1934



        Date of Report (Date of earliest event reported): April 5, 1997





                            OLYMPIC FINANCIAL LTD.
                         as Servicer with respect to
                 OLYMPIC AUTOMOBILE RECEIVABLES TRUST, 1996-B
            ------------------------------------------------------
            (Exact name of registrant as specified in its charter)


         Delaware                     33-97608                 41-1840460
- ------------------------------------------------------------------------------
(State or other jurisdiction        (Commission               (IRS employer
    of incorporation)               file number)            identification No.)


      7825 Washington Avenue South, Minneapolis, Minnesota 55439-2435
      ---------------------------------------------------------------
                 (Address of principal executive offices)


Registrant's telephone number, including area code:       (612) 942-9880
                                                    --------------------------


                               Not Applicable
- ------------------------------------------------------------------------------
         (Former name or former address, if changed since last report)




<PAGE>

Item 1.   CHANGES IN CONTROL OF REGISTRANT.

          Not applicable.

Item 2.   ACQUISITION OR DISPOSITION OF ASSETS.

          Not applicable.

Item 3.   BANKRUPTCY OR RECEIVERSHIP.

          Not applicable.

Item 4.   CHANGES IN REGISTRANT'S CERTIFYING ACCOUNTANTS.

          Not applicable.

Item 5.   OTHER EVENTS.

          Pursuant to the Sale and Servicing Agreement, dated as of June 1, 
          1996 (the "Agreement"), among Olympic Automobile Receivables 
          Trust, 1996-B (the "Trust"), as Issuer, Olympic Receivables 
          Finance Corp., as Seller, Olympic Financial Ltd., in its individual 
          capacity and as Servicer, and Norwest Bank Minnesota, National 
          Association, as Backup Servicer, Norwest Bank Minnesota, National 
          Association, as Indenture Trustee (the "Indenture Trustee"), made 
          distributions to the Note Distribution Account and to the 
          Certificate Distribution Account for distribution to the holders 
          of notes representing indebtedness of the Trust (the 
          "Noteholders") and to the holders of certificates representing 
          interests in the Trust (the "Certificateholders"), respectively, 
          and Mellon Bank, not in its individual capacity but as Owner 
          Trustee (the "Owner Trustee"), delivered to Certificateholders 
          and the Indenture Trustee delivered to Noteholders, respectively, 
          statements required by Section 4.9 of the Agreement, which 
          statements were prepared from information contained in the 
          Servicer's Certificate delivered to the Indenture Trustee and the 
          Owner Trustee pursuant to Section 3.9 of the Agreement and attached 
          hereto as Exhibit 99.1.

Item 6.   RESIGNATIONS OF REGISTRANT'S DIRECTORS.

          Not applicable.

<PAGE>

Item 7.   FINANCIAL STATEMENTS, PRO FORMA FINANCIAL INFORMATION AND EXHIBITS.

          (a)   Financial statements of businesses acquired.

                Not applicable.

          (b)   Pro forma financial information.

                Not applicable.

          (c)   Exhibits.

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

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

                   99.1          Servicer's Certificate, dated
                                 April 15, 1997, delivered to the Trustee


<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.

April 15, 1997                          OLYMPIC AUTOMOBILE RECEIVABLES TRUST,
                                       1996-B

                                       By  OLYMPIC FINANCIAL LTD.,
                                           as Servicer with respect to Olympic
                                           Automobile Receivables Trust, 1996-B

                                       By: /s/ Brian S. Anderson
                                           ------------------------------------
                                           Brian S. Anderson
                                           Senior Vice President and Corporate
                                           Controller

<PAGE>

                                INDEX TO EXHIBITS



Exhibit Number                                                          Page
- --------------                                                          ----

     99.1          Servicer's Certificate, dated April 15, 1997,
                   delivered to the Trustee


<PAGE>

               Olympic Automobile Receivables Trust 1996-B

                    Monthly Servicer's Certificate

Accounting Date:         March 31, 1997
Determination Date:      April 5, 1997
Distribution Date:       April 15, 1997
Monthly Period Ending:   March 31, 1997

 This Certificate is delivered pursuant to Section 3.9 of the Sale and 
 Servicing Agreement, dated as of June 1, 1996, among Olympic Automobile 
 Receivables Trust, 1996-B (the "Trust"), Olympic Receivables Finance Corp., 
 as seller, Olympic Financial Ltd., in its individual capacity and as 
 Servicer, and Norwest Bank Minnesota, National Association, as Backup
 Servicer (the "Sale and Servicing Agreement").  Terms used and not otherwise 
 defined herein have the meaning assigned them in the Sale and Servicing 
 Agreement.

 Olympic Financial Ltd., as Servicer under the Sale and Servicing Agreement,
 hereby certifies that the following information is true and correct for the 
 Distribution Date and the Monthly Period set forth above.



I. Collection  Account  Summary

<TABLE>
<S>                                                            <C>                    <C>
 Available Funds:
  Payments Received                                            $19,379,695.59
  Liquidation Proceeds (excluding Purchase Amounts)             $2,210,855.00
  Current Monthly Advances                                        $200,149.44
  Amount of deposit, if any, for Collection Account Shortfall           $0.00
  Monthly Advance Recoveries                                     ($313,289.26)
  Purchase Amounts-Warranty and Administrative Receivables              $0.00
  Purchase Amounts - Liquidated Receivables                             $0.00
  Income from investment of funds in Trust Accounts                $56,001.64
                                                               --------------
 Total Available Funds                                                                $21,533,412.41
                                                                                      --------------
                                                                                      --------------

 Amounts Payable on Distribution Date:
  Reimbursement of Monthly Advances                                    $0.00
  Backup Servicer Fee                                                  $0.00
  Basic Servicing Fee                                            $424,356.22
  Trustee and other fees                                               $0.00
  Class A-1  Interest Distributable Amount                             $0.00
  Class A-2  Interest Distributable Amount                       $757,787.51
  Class A-3  Interest Distributable Amount                       $687,700.00
  Class A-4  Interest Distributable Amount                       $652,077.50
  Class A-5  Interest Distributable Amount                       $318,665.00
  Noteholders' Principal Distributable Amount                 $16,899,379.98
  Certificateholders' Interest Distributable Amount              $336,375.00
  Certificateholders' Principal Distributable Amount                   $0.00
  Amounts owing and not paid to Security Insurer under
  Insurance Agreement                                                  $0.00
  Supplemental Servicing Fees (not otherwise paid to Servicer)         $0.00
  Spread Account Deposit                                      $ 1,457,071.19
                                                              --------------
 Total Amounts Payable on Distribution Date                                          $21,533,412.41
                                                                                      -------------
                                                                                      -------------
</TABLE>

                                Page 1

<PAGE>

II. Available  Funds
<TABLE>
<S>                                                                <C>                <C>
 Collected Funds (see V)
   Payments Received                                         $19,379,695.59
   Liquidation Proceeds (excluding Purchase Amounts)          $2,210,855.00       $21,590,550.59
                                                             --------------
 Purchase Amounts                                                                          $0.00

Monthly Advances
   Monthly Advances - current Monthly Period (net)             ($113,139.82)
   Monthly Advances - Outstanding Monthly Advances
     not otherwise reimbursed to the Servicer                         $0.00         ($113,139.82)
                                                             --------------

 Income from investment of funds in Trust Accounts                                    $56,001.64
                                                                                  --------------
 Available Funds                                                                  $21,533,412.41
                                                                                  --------------
                                                                                  --------------
</TABLE>
III. Amounts  Payable  on  Distribution  Date
<TABLE>
<S>                                                                <C>                <C>

  (i)(a)   Taxes due and unpaid with respect to the Trust
           (not otherwise paid by OFL or the Servicer)                                   $0.00

  (i)(b)   Outstanding Monthly Advances (not otherwise reimbursed
           to Servicer and to be reimbursed on the Distribution Date)                    $0.00

  (i)(c)   Insurance Add-On Amounts (not otherwise reimbursed to Servicer)               $0.00

  (ii)     Accrued and unpaid fees (not otherwise paid by OFL or the 
             Servicer):
             Owner Trustee                                            $0.00
             Administrator                                            $0.00
             Indenture Trustee                                        $0.00
             Indenture Collateral Agent                               $0.00
             Lockbox Bank                                             $0.00
             Custodian                                                $0.00
             Backup Servicer                                          $0.00
             Collateral Agent                                         $0.00              $0.00
                                                                   --------------

  (iii)(a) Basic Servicing Fee (not otherwise paid to Servicer)                    $424,356.22

  (iii)(b) Supplemental Servicing Fees (not otherwise paid to Servicer)                  $0.00

  (iii)(c) Servicer reimbursements for mistaken deposits or postings of checks
           returned for insufficient funds (not otherwise reimbursed to Servicer)        $0.00

      (iv) Class A-1  Interest Distributable Amount                                      $0.00
           Class A-2  Interest Distributable Amount                                $757,787.51
           Class A-3  Interest Distributable Amount                                $687,700.00
           Class A-4  Interest Distributable Amount                                $652,077.50
           Class A-5  Interest Distributable Amount                                $318,665.00

       (v) Noteholders' Principal Distributable Amount
             Payable to Class A-1 Noteholders                                            $0.00
             Payable to Class A-2 Noteholders                                   $16,899,379.98
             Payable to Class A-3 Noteholders                                            $0.00
             Payable to Class A-4 Noteholders                                            $0.00
             Payable to Class A-5 Noteholders                                            $0.00


      (vi) Certificateholders' Interest Distributable Amount                       $336,375.00

     (vii) Unpaid principal balance of the Class A-1 Notes after deposit to 
           the Note Distribution Account of any funds in the Class A-1 
           Holdback Subaccount (applies only on the Class A-1 Final Scheduled 
           Distribution Date)                                                            $0.00

    (viii) Certificateholders' Principal Distributable Amount                            $0.00

      (ix) Amounts owing and not paid to Security Insurer under Insurance 
               Agreement                                                                $0.00
                                                                               --------------
           Total amounts payable on Distribution Date                          $20,076,341.22
                                                                               --------------
                                                                               --------------

</TABLE>


                               Page 2

<PAGE>

IV. Calculation  of  Credit  Enhancement  Fee (Spread Account Deposit); 
    withdrawal from Reserve Account; Deficiency Claim Amount; Pre-Funding 
    Account Shortfall and Class A-1 Maturity Shortfall

<TABLE>
<S>                                                                                   <C>
 Spread Account deposit:

    Amount of excess, if any, of Available Funds
      over total amounts payable (or amount of such
      excess up to the Spread Account Maximum Amount)                           $1,457,071.19

 Reserve Account Withdrawal on any Determination Date:

    Amount of excess, if any, of total amounts payable over Available Funds
      (excluding amounts payable under item (vii) of Section III)                       $0.00

    Amount available for withdrawal from the Reserve Account (excluding the 
      Class A-1 Holdback Subaccount), equal to the difference between the amount
      on deposit in the Reserve Account and the Requisite Reserve Amount
      (amount on deposit in the Reserve Account calculated taking into account
      any withdrawals from or deposits to the Reserve Account in respect
      of transfers of Subsequent Receivables)                                          ($0.00)

    (The amount of excess of the total amounts payable (excluding amounts
      payable under item (vii) of Section III) payable over Available Funds shall
      be withdrawn by the Indenture Trustee from the Reserve Account (excluding
      the Class A-1 Holdback Subaccount) to the extent of the funds available for
      withdrawal from in the Reserve Account, and deposited in the Collection
      Account.)

    Amount of withdrawal, if any, from the Reserve Account                               $0.00

 Reserve Account Withdrawal on Determination Date for Class A-1 Final Scheduled 
   Distribution Date:

    Amount by which (a) the remaining principal balance of the Class A-1 Notes
      exceeds (b) Available Funds after payment of amounts set forth in item (v)
        of Section III                                                                   $0.00

    Amount available in the Class A-1 Holdback Subaccount                                $0.00

    (The amount by which the remaining principal balance of the Class A-1 Notes
      exceeds Available Funds (after payment of amount set forth in item (v) 
      of Section III) shall be withdrawn by the Indenture Trustee from the
      Class A-1 Holdback Subaccount, to the extent of funds available for withdrawal
      from the Class A-1 Holdback Subaccount, and deposited in the Note Distribution
      Account for payment to the Class A-1 Noteholders)

  Amount of withdrawal, if any, from the Class A-1 Holdback Subaccount                  $0.00

 Deficiency Claim Amount:

    Amount of excess, if any, of total amounts payable over funds available for 
      withdrawal from Reserve Amount, the Class A-1 Holdback Subaccount and Available 
      Funds                                                                             $0.00

    (on the Class A-1 Final Scheduled Distribution Date, total amounts payable will 
      not include the remaining principal balance of the Class A-1 Notes after giving 
      effect to payments made under items (v) and (vii) of Section III and pursuant to 
      a withdrawal from the Class A-1 Holdback Subaccount)

 Pre-Funding Account Shortfall:

    Amount of excess, if any, on the Distribution Date on or immediately following the 
      end of the Funding Period, of (a) the sum of the Class A-1 Prepayment Amount, the 
      Class A-2 Prepayment Amount, the Class A-3 Prepayment Amount, the Class A-4 
      Prepayment Amount, and the Class A-5 Prepayment Amount over (b) the amount on
      deposit in the Pre-Funding Account                                                $0.00

 Class A-1 Maturity Shortfall:

    Amount of excess, if any, on the Class A-1 Final Scheduled Distribution Date, of 
    (a) the unpaid principal balance of the Class A-1 Notes over (b) the sum of the 
    amounts deposited in the Note Distribution Account under item (v) and (vii) of 
    Section III or pursuant to a withdrawal from the Class A-1 Holdback Subaccount.     $0.00

  (In the event a Deficiency Claim Amount, Pre-Funding Account Shortfall or Class A-1 
  Maturity Shortfall exists, the Trustee shall deliver a Deficiency Notice to the Collateral 
  Agent, the Security Insurer, the Fiscal Agent, if any, the Owner Trustee and the Servicer 
  specifying the Deficiency Claim Amount, the Pre-Funding Account Shortfall or the Class A-1 
  Maturity Shortfall.)

</TABLE>
                               Page 3

<PAGE>

V. Collected Funds

<TABLE>
<S>                                                                 <C>              <C>
 Payments Received:
   Supplemental Servicing Fees                                             $0.00
   Amount allocable to interest                                    $5,870,775.59
   Amounts allocable to principal                                 $13,508,920.00
   Amount allocable to Insurance Add-On Amounts                            $0.00
   Amount allocable to Outstanding Monthly Advances 
         (reimbursed to the Servicer prior to deposit in the 
         Collection Account)                                               $0.00
                                                                   --------------
 Total Payments Received                                                           $19,379,695.59

 Liquidation Proceeds:
   Gross amount realized with respect to Liquidated 
         Receivables                                               $2,528,715.36

   Less: (i) reasonable expenses incurred by Servicer
   in connection with the collection of such Liquidated
   Receivables and the repossession and disposition
   of the related Financed Vehicles and (ii) amounts
   required to be refunded to Obligors on such Liquidated 
         Receivables                                                ($317,860.36)
                                                                   --------------

 Net Liquidation Proceeds                                                           $2,210,855.00

 Allocation of Liquidation Proceeds:
   Supplemental Servicing Fees                                             $0.00
   Amount allocable to interest                                            $0.00
   Amounts allocable to principal                                          $0.00
   Amount allocable to Insurance Add-On Amounts                            $0.00
   Amount allocable to Outstanding Monthly Advances 
         (reimbursed to the Servicer prior to deposit in the 
         Collection Account)                                               $0.00            $0.00
                                                                    ------------   --------------
 Total Collected Funds                                                             $21,590,550.59
                                                                                   --------------
                                                                                   --------------
</TABLE>

VI. Purchase Amounts Deposited in Collection Account

<TABLE>
<S>                                                                 <C>              <C>
 Purchase Amounts - Warranty Receivables                                                    $0.00
   Amount allocable to interest                                            $0.00
   Amounts allocable to principal                                          $0.00
   Amount allocable to Outstanding Monthly Advances 
         (reimbursed to the Servicer prior to deposit in the 
         Collection Account)                                               $0.00

 Purchase Amounts - Administrative Receivables                                              $0.00
   Amount allocable to interest                                            $0.00
   Amounts allocable to principal                                          $0.00
   Amount allocable to Outstanding Monthly Advances 
         (reimbursed to the Servicer prior to deposit in the 
         Collection Account)                                               $0.00
                                                                  ---------------

 Total Purchase Amounts                                                                     $0.00
                                                                                   --------------
                                                                                   --------------
</TABLE>

VII. Reimbursement of Outstanding Monthly Advances

<TABLE>
<S>                                                                 <C>              <C>
 Outstanding Monthly Advances                                                         $828,340.49

 Outstanding Monthly Advances reimbursed to the Servicer prior
   to deposit in the Collection Account from:
     Payments received from Obligors                                ($313,289.26)
     Liquidation Proceeds                                                  $0.00
     Purchase Amounts - Warranty Receivables                               $0.00
     Purchase Amounts - Administrative Receivables                         $0.00
                                                                   --------------

 Outstanding Monthly Advances to be netted against Monthly
   Advances for the current Monthly Period                                           ($313,289.26)

 Outstanding Monthly Advances to be reimbursed out of
   Available Funds on the Distribution Date                                          ($313,289.26)

 Remaining Outstanding Monthly Advances                                               $515,051.23

 Monthly Advances - current Monthly Period                                            $200,149.44
                                                                                   --------------

 Outstanding Monthly Advances - immediately following the 
   Distribution Date                                                                  $715,200.67
                                                                                   --------------
                                                                                   --------------
</TABLE>

                               Page 4

<PAGE>

VIII. Calculation of Interest and Principal Payments

<TABLE>
<S>                                                                 <C>              <C>
A. Calculation of Principal Distribution Amount

    Payments received allocable to principal                                       $13,508,920.00
    Aggregate of Principal Balances as of the Accounting Date of all
    Receivables that became Liquidated Receivables
    during the Monthly Period                                                       $3,390,459.98
    Purchase Amounts - Warranty Receivables allocable to principal                          $0.00
    Purchase Amounts - Administrative Receivables allocable to principal                    $0.00
    Amounts withdrawn from the Pre-Funding Account                                          $0.00
    Cram Down Losses                                                                        $0.00
                                                                                   --------------
 Principal Distribution Amount                                                     $16,899,379.98
                                                                                   --------------
                                                                                   --------------

B. Calculation of Class A-1 Interest Distributable Amount 

     Class A-1 Monthly Interest Distributable Amount:

     Outstanding principal balance of the Class A-1 Notes (as of the
     immediately preceding Distribution Date after distributions
     of principal to Class A-1 Noteholders on such Distribution Date)  $0.00

     Multiplied by the Class A-1 Interest Rate                          5.39%

     Multiplied by 1/12 or, in case of the first Distribution 
       Date, by 31/360                                             0.08333333               $0.00
                                                               --------------
     Plus any unpaid Class A-1 Interest Carryover Shortfall                                 $0.00
                                                                                     -------------
     Class A-1 Interest Distributable Amount                                                $0.00
                                                                                     -------------
                                                                                     -------------
C. Calculation of Class A-2 Interest Distributable Amount 

     Class A-2 Monthly Interest Distributable Amount:

     Outstanding principal balance of the Class A-2 Notes (as of 
       the immediately preceding Distribution Date after 
       distributions of principal to Class A-2 Noteholders on 
       such Distribution Date)                               $151,557,502.51

     Multiplied by the Class A-2 Interest Rate                          6.00%

     Multiplied by 1/12 or, in case of the first Distribution
       Date, by 31/360                                            0.08333333          $757,787.51
                                                              --------------
     Plus any unpaid Class A-2 Interest Carryover Shortfall                                 $0.00
                                                                                     ------------
     Class A-2 Interest Distributable Amount                                          $757,787.51
                                                                                     ------------
                                                                                     ------------
D. Calculation of Class A-3 Interest Distributable Amount 

     Class A-3 Monthly Interest Distributable Amount:

     Outstanding principal balance of the Class A-3 Notes 
       (as of the immediately preceding Distribution Date after 
       distributions of principal to Class A-3 Noteholders on such 
       Distribution Date)                                    $126,960,000.00

     Multiplied by the Class A-3 Interest Rate                          6.50%

     Multiplied by 1/12 or, in case of the first Distribution
       Date, by 31/360                                            0.08333333          $687,700.00
                                                              --------------
     Plus any unpaid Class A-3 Interest Carryover Shortfall                                 $0.00
                                                                                   --------------
     Class A-3 Interest Distributable Amount                                          $687,700.00
                                                                                   --------------
                                                                                   --------------
E. Calculation of Class A-4 Interest Distributable Amount 

     Class A-4 Monthly Interest Distributable Amount:

     Outstanding principal balance of the Class A-4 Notes 
       (as of the immediately preceding Distribution Date 
       after distributions of principal to Class A-4 
       Noteholders on such Distribution Date)                $116,790,000.00

     Multiplied by the Class A-4 Interest Rate                          6.70%

     Multiplied by 1/12 or, in case of the first 
       Distribution Date, by 31/360                               0.08333333          $652,077.50
                                                              --------------
     Plus any unpaid Class A-4 Interest Carryover Shortfall                                 $0.00
                                                                                   --------------
     Class A-4 Interest Distributable Amount                                          $652,077.50
                                                                                   --------------
                                                                                   --------------
</TABLE>

                               Page 5

<PAGE>
<TABLE>
<S>                                                                 <C>              <C>

F. Calculation of Class A-5 Interest Distributable Amount 

     Class A-5 Monthly Interest Distributable Amount:

     Outstanding principal balance of the Class A-5 Notes (as of 
       the immediately preceding Distribution Date after 
       distributions of principal to Class A-5 Noteholders on 
       such Distribution Date)                                   $55,420,000.00

     Multiplied by the Class A-5 Interest Rate                             6.90%

     Multiplied by 1/12 or, in case of the first Distribution
       Date, by 31/360                                               0.08333333       $318,665.00
                                                                 --------------
     Plus any unpaid Class A-5 Interest Carryover Shortfall                                 $0.00
                                                                                   --------------
     Class A-5 Interest Distributable Amount                                          $318,665.00
                                                                                   --------------
                                                                                   --------------
H.  Calculation of Noteholders' Interest Distributable Amount 

     Class A-1 Interest Distributable Amount                             $0.00
     Class A-2 Interest Distributable Amount                       $757,787.51
     Class A-3 Interest Distributable Amount                       $687,700.00
     Class A-4 Interest Distributable Amount                       $652,077.50
     Class A-5 Interest Distributable Amount                       $318,665.00

 Noteholders' Interest Distributable Amount                                         $2,416,230.01
                                                                                   --------------
                                                                                   --------------
</TABLE>

I. Calculation of Noteholders' Principal Distributable Amount: 

<TABLE>
<S>                                                                 <C>              <C>
     Noteholders' Monthly Principal Distributable Amount:

     Principal Distribution Amount                              $16,899,379.98

     Multiplied by Noteholders' Percentage ((i) for each 
       Distribution Date before the principal balance of the Class A-1 
       Notes is reduced to zero, 100%, (ii) for the Distribution 
       Date on which the principal balance of the Class A-1 Notes 
       is reduced to zero, 100% until the principal balance of the 
       Class A-1 Notes is reduced to zero and with respect to any 
       remaining portion of the Principal Distribution Amount, the 
       initial principal balance of the Class A-2 Notes over
       the Aggregate Principal Balance (plus any funds remaining 
       on deposit in the Pre-Funding Account) as of the Accounting 
       Date  for the preceding Distribution Date minus that portion 
       of the Principal Distribution Amount applied to retire the 
       Class A-1 Notes and (iii) for each Distribution Date 
       thereafter, outstanding principal balance of the Class A-2 
       Notes on the Determination Date over the Aggregate Principal 
       Balance (plus any funds remaining on deposit in the 
       Pre-Funding Account) as of the Accounting Date for the 
       preceding Distribution Date)                                       89.93%   $16,899,379.98
                                                                 --------------
       Unpaid Noteholders' Principal Carryover Shortfall                                    $0.00
                                                                                   --------------
       Noteholders' Principal Distributable Amount                                 $16,899,379.98
                                                                                   --------------
                                                                                   --------------
J. Application of Noteholders' Principal Distribution Amount: 

     Amount of Noteholders' Principal Distributable Amount payable 
       to Class A-1 Notes (equal to entire Noteholders' Principal 
       Distributable Amount until the principal balance
       of the Class A-1 Notes is reduced to zero)                                           $0.00
                                                                                   --------------
                                                                                   --------------
     Amount of Noteholders' Principal Distributable Amount payable to 
       Class A-2 Notes (no portion of the Noteholders' Principal 
       Distributable Amount is payable to the Class A-2 Notes until 
       the principal balance of the Class A-1 Notes has been reduced 
       to zero; thereafter, equal to the entire Noteholders' Principal 
       Distributable Amount)                                                       $16,899,379.98
                                                                                   --------------
                                                                                   --------------

                               Page 6
<PAGE>

K. Calculation of Certificateholders' Interest Distributable Amount 

      Certificateholders' Monthly Interest Distributable Amount:

      Certificate Balance (as of the close of business
      on the preceding Distribution Date)                        $58,500,000.00

      Multilpied by the Certificate Pass-Through Rate                      6.90%

      Multiplied by 1/12 or, in case of the first Distribution
        Date, by 31/360                                              0.08333333       $336,375.00
                                                                 --------------
      Plus any unpaid Certificateholders' Interest Carryover
        Shortfall                                                                           $0.00
                                                                                   --------------
      Certificateholders' Interest Distributable Amount                               $336,375.00
                                                                                   --------------
                                                                                   --------------
L. Calculation of Certificateholders' Principal Distributable Amount: 

     Certificateholders' Monthly Principal Distributable Amount:

     Principal Distribution Amount                               $16,899,379.98

     Multiplied by Certificateholders' Percentage ((i) for each 
     Distribution Date before the principal balance of the Class 
     A-1 Notes is reduced to zero, 0%, (ii) for the Distribution 
     Date on which the principal balance of the Class A-1 Notes 
     is reduced to zero, 0% until the principal balance of the 
     Class A-1 Notes is reduced to zero and with respect to any 
     remaining portion of the Principal Distribution Amount, 
     100% minus the Noteholders' Percentage (computed
     after giving effect to the retirement of the Class A-1 
     Notes) and (iii) for each Distribution Date thereafter,
     100% minus Noteholders' Percentage)                                   0.00%            $0.00
                                                                  --------------
     Unpaid Certificate Principal Carryover Shortfall                                       $0.00
                                                                                   --------------
     Certificateholders' Principal Distributable Amount                                     $0.00
                                                                                   --------------
                                                                                   --------------
</TABLE>
IX. Pre-Funding Account
<TABLE>
<S>                                                                 <C>              <C>
 A.  Withdrawals from Pre-Funding Account:

 Amount on deposit in the  Pre-Funding Account as of the preceding
   Distribution Date or, in the case of the first Disrtibution Date,
   as of the Closing Date
   Pre-Funded Amount                                                                        $0.00
                                                                                   --------------
                                                                                            $0.00
                                                                                   --------------
                                                                                   --------------
 Less:  withdrawals from the Pre-Funding Account in respect of 
   transfers of Subsequent Receivables to the Trust occurring on 
   a Subsequent Transfer Date (an amount equal to (a) $0 (the 
   aggregate Principal Balance of Subsequent Receivables 
   transferred to the Trust) plus (b) $0 (an amount equal to $0
   multiplied by (A) one less (B)((i) the Pre-Funded Amount after 
   giving effect to transfer of Subsequent Receivables over (ii) $0))                       $0.00

 Less:  any amounts remaining on deposit in the Pre-Funding Account 
   in the case of the August 1996 Distribution Date or in the case 
   the amount on deposit in the Pre-Funding Account has been reduced
   to $100,000 or less as of the Distribution Date (see B below)                            $0.00
                                                                                   --------------
 Amount remaining on deposit in the Pre-Funding Account after
 Distribution Date
  Pre-Funded Amount                                                      $0.00
                                                                --------------
                                                                                            $0.00
                                                                                   --------------
                                                                                   --------------
</TABLE>
                               Page 7
<PAGE>
<TABLE>
<S>                                                                                  <C>
IX. Pre-Funding Account (cont.)

 B.  Distributions to Noteholders and Certificateholders from 
   certain withdrawals from the Pre-Funding Account:

 Amount withdrawn from the Pre-Funding Account as a result of 
   the Pre-Funded Amount not being reduced to zero on the Distribution 
   Date on or immediately preceding the end of the Funding Period 
   (August 1996 Distribution Date) or the Pre-Funded Amount 
   being reduced to $100,000 or less on any Distribution Date                              $0.00

 Class A-1 Prepayment Amount (equal to the Class A-1 Noteholders' 
   pro rata share (based on the respective current outstanding 
   principal balance of each class of Notes and the current 
   Certificate Balance) of the Pre-Funded Amount as of the 
   Distribution Date)                                                                      $0.00

 Class A-2 Prepayment Amount (equal to the Class A-2 Noteholders' 
   pro rata share (based on the respective current outstanding 
   principal balance of each class of Notes and the current 
   Certificate Balance) of the Pre-Funded Amount as of the 
   Distribution Date)                                                                      $0.00

 Class A-3 Prepayment Amount (equal to the Class A-3 Noteholders' 
   pro rata share (based on the respective current outstanding 
   principal balance of each class of Notes and the current 
   Certificate Balance) of the Pre-Funded Amount as of the 
   Distribution Date)                                                                      $0.00

 Class A-4 Prepayment Amount (equal to the Class A-4 Noteholders' 
   pro rata share (based on the respective current outstanding 
   principal balance of each class of Notes and the current 
   Certificate Balance) of the Pre-Funded Amount as of the 
   Distribution Date)                                                                      $0.00

 Class A-5 Prepayment Amount (equal to the Class A-5 Noteholders'
   pro rata share (based on the respective current outstanding 
   principal balance of each class of Notes and the current 
   Certificate Balance) of the Pre-Funded Amount as of the 
   Distribution Date)                                                                      $0.00

 Certificate Prepayment Amount (equal to the Certificateholders'
   pro rata share (based on the respective current outstanding 
   principal balance of each class of Notes and the current 
   Certificate Balance) of the Pre-Funded Amount as of the 
   Distribution Date)                                                                      $0.00

 C.  Prepayment Premiums:

 Class A-1 Prepayment Premium                                                              $0.00
 Class A-2 Prepayment Premium                                                              $0.00
 Class A-3 Prepayment Premium                                                              $0.00
 Class A-4 Prepayment Premium                                                              $0.00
 Class A-5 Prepayment Premium                                                              $0.00
 Certificate Prepayment Premium                                                            $0.00

</TABLE>
                               Page 8

<PAGE>

X. Reserve Account

<TABLE>

<S>                                                                                  <C>
 Requisite Reserve Amount:

 Portion of Requisite Recerve Amount calculated with respect to 
   Class A-1 Notes, Class A-2 Notes, Class A-3 Notes, Class A-4 
   Notes, Class A-5 Notes, and Certificates:

          Product of (x)  6.62% (weighted average interest of Class A-1 Interest 
          Rate, Class A-2 Interest Rate, Class A-3 Interest Rate, Class A-4 
          Interest Rate, Class A-5 Interest Rate and Certificate Pass-Through Rate 
          (based on outstanding Class A-1 principal balance, Class A-2 principal 
          balance, Class A-3 principal balance, Class A-4 principal balance, Class
          A-5 principal balance and Certificate Balance), divided by 360, (y) $0.00 
          (the Pre-Funded Amount on such Distribution Date) and (z) 300 (the 
          number of days until the August 1996 Distribution Date))                      $0.00

          Less the product of (x) 2.5% divided by 360, (y) $0.00 (the Pre-Funded
          Amount on such Distribution Date) and (z) 300 (the number of days until
          the August 1996 Distribution Date)                                           ($0.00)
                                                                                 -------------
 Requisite Reserve Amount                                                               $0.00
                                                                                 -------------
                                                                                 -------------
 Amount on deposit in the Reserve Account (other than the Class A-1 Holdback
   Subaccount) as of the preceding Distribution Date or, in the case of the 
   first Distribution Date, as of the Closing Date                                      $0.00

 Plus the excess, if any, of the Requisite Reserve Amount over amount on 
   deposit in the Reserve Account (other than the Class A-1 Holdback Subaccount) 
   (which excess is to be deposited by the IndentureTrustee in the Reserve Account 
   from amounts withdrawn from the Pre-Funding Account in respect of transfers of 
   Subsequent Receivables)                                                              $0.00

 Less: the excess, if any, of the amount on deposit in the Reserve Account (other 
   than the Class A-1 Holdback Subaccount) over the Requisite Reserve Amount (and 
   amount withdrawn from the Reserve Account to cover the excess, if any, of total 
   amounts payable over Available Funds, which excess is to be transferred by the 
   Indenture Trustee to or upon the order of the General Partners from amounts 
   withdrawn from the Pre-Funding Account in respect of transfers of Subsequent 
   Receivables)                                                                         $0.00

 Less: withdrawals from the Reserve Account (other than the Class A-1 Holdback 
   Subaccount) to cover the excess, if any, of total amount payable over Available 
   Funds (see IV above)                                                                 $0.00
                                                                                -------------
 Amount remaining on deposit in the Reserve Account (other than the Class A-1 
   Holdback Subaccount) after the Distribution Date                                     $0.00
                                                                                -------------
                                                                                -------------
</TABLE>
XI. Class A-1 Holdback Subaccount:
<TABLE>
<S>                                                                                  <C>
 Class A-1 Holdback Amount:

 Class A-1 Holdback Amount as of preceding Distribution Date or the Closing 
   Date, as applicable,                                                                 $0.00

 Plus deposit to the Class A-1 Holdback Subaccount (equal to 2.5% of the amount, 
   if any, by which $0 (the Target Original Pool Balance set forth in the Sale and 
   Servicing Agreement) is greater than $0 (the Original Pool Balance after giving 
   effect to the transfer of Subsequent Receivables on the Distribution Date or on 
   a Subsequent Transfer Date preceding the Distribution Date))                         $0.00

 Less withdrawal, if any, of amount from the Class A-1 Holdback Subaccount to 
   cover a Class A-1 Maturity Shortfall (see IV above)                                  $0.00

 Less withdrawal, if any, of amount remaining in the Class A-1 Holdback Subaccount
 on the Class A-1 Final Scheduled Maturity Date after giving effect to any payment 
   out of the Class A-1 Holdback Subaccount to cover a Class A-1 Maturity Shortfall 
   (amount of withdrawal to be released by the Indenture Trustee to the General 
   Partners)                                                                            $0.00
                                                                                -------------
 Class A-1 Holdback Subaccount immediately following the Distribution Date              $0.00
                                                                                -------------
                                                                                -------------
</TABLE>
                               Page 9

<PAGE>

XII. Calculation of Servicing Fees
<TABLE>
<S>                                                          <C>                <C>            <C>
     Aggregate Principal Balance as of the first day 
     of the Monthly Period Multiplied by Basic             $509,227,468.74
     Servicing Fee Rate Divided by Months per year                    1.00%
                                                                  0.083333%
                                                             ----------------

     Basic Servicing Fee                                                      $424,356.22

     Less: Backup Servicer Fees (annual rate of 1 bp)                               $0.00

     Supplemental Servicing Fees                                                    $0.00
                                                                              -----------

     Total of Basic Servicing Fees and Supplemental Servicing Fees                             $424,356.22
                                                                                               -----------
                                                                                               -----------
</TABLE>

XIII. Information for Preparation of Statements to Noteholders

<TABLE>
<S>   <C>                                                                                  <C>
 a. Aggregate principal balance of the Notes as of first day of Monthly Period
      Class A-1 Notes                                                                                $0.00
      Class A-2 Notes                                                                      $151,557,502.51
      Class A-3 Notes                                                                      $126,960,000.00
      Class A-4 Notes                                                                      $116,790,000.00
      Class A-5 Notes                                                                       $55,420,000.00

 b. Amount distributed to Noteholders allocable to principal
      Class A-1 Notes                                                                                $0.00
      Class A-2 Notes                                                                       $16,899,379.98
      Class A-3 Notes                                                                                $0.00
      Class A-4 Notes                                                                                $0.00
      Class A-5 Notes                                                                                $0.00

 c. Aggregate principal balance of the Notes (after giving effect to 
    distributions on the Distribution Date)
      Class A-1 Notes                                                                                $0.00
      Class A-2 Notes                                                                      $134,658,122.53
      Class A-3 Notes                                                                      $126,960,000.00
      Class A-4 Notes                                                                      $116,790,000.00
      Class A-5 Notes                                                                       $55,420,000.00

 d. Interest distributed to Noteholders
      Class A-1 Notes                                                                                $0.00
      Class A-2 Notes                                                                          $757,787.51
      Class A-3 Notes                                                                          $687,700.00
      Class A-4 Notes                                                                          $652,077.50
      Class A-5 Notes                                                                          $318,665.00

 e. Remaining Certificate Balance                                                           $58,500,000.00

 f. 1.  Class A-1 Interest Carryover Shortfall, if any (and change in amount 
          from preceding statement)                                                                  $0.00
    2.  Class A-2 Interest Carryover Shortfall, if any (and change in amount
          from preceding statement)                                                                  $0.00
    3.  Class A-3 Interest Carryover Shortfall, if any (and change in amount
          from preceding statement)                                                                  $0.00
    4.  Class A-4 Interest Carryover Shortfall, if any (and change in amount
          from preceding statement)                                                                  $0.00
    5.  Class A-5 Interest Carryover Shortfall, if any (and change in amount
          from preceding statement)                                                                  $0.00
    7.  Certificateholders' Interest Carryover Shortfall, if any (and change in
          amount from preceding statement)                                                                  $0.00
    8.  Certificateholders' Principal Carryover Shortfall, if any (and change in
          amount from preceding statement)                                                                  $0.00
</TABLE>
                               Page 10

<PAGE>

XIV. Information for Preparation of Statements to Noteholders (continued)
<TABLE>
<S>                                                                               <C>            <C>
 g. Amount distributed payable out of amounts withdrawn from or pursuant to:
    1.  Reserve Account                                                           $0.00
    2.  Spread Account Class A-1 Holdback Subaccount                              $0.00
    3.  Claim on the Note Policy                                                  $0.00

 h. Remaining Pre-Funded Amount                                                                            $0.00

 i. Remaining Reserve Amount                                                                               $0.00

 j. Amount on deposit on Class A-1 Holdback Subaccount                                                     $0.00

 k. Prepayment amounts
      Class A-1 Prepayment Amount                                                                          $0.00
      Class A-2 Prepayment Amount                                                                          $0.00
      Class A-3 Prepayment Amount                                                                          $0.00
      Class A-4 Prepayment Amount                                                                          $0.00
      Class A-5 Prepayment Amount                                                                          $0.00

 l. Prepayment Premiums
      Class A-1 Prepayment Premium                                                                         $0.00
      Class A-2 Prepayment Premium                                                                         $0.00
      Class A-3 Prepayment Premium                                                                         $0.00
      Class A-4 Prepayment Premium                                                                         $0.00
      Class A-5 Prepayment Premium                                                                         $0.00

 m. Total of Basic Servicing Fee, Supplemental Servicing Fees and other fees,
    if any, paid by the Trustee on behalf of the Trust                                               $424,356.22

 n. Note Pool Factors (after giving effect to distributions on the
    Distribution Date)
      Class A-1 Notes                                                                                 0.00000000
      Class A-2 Notes                                                                                 0.60268595
      Class A-3 Notes                                                                                 1.00000000
      Class A-4 Notes                                                                                 1.00000000
      Class A-5 Notes                                                                                 1.00000000
</TABLE>
XV. Information for Preparation of Statements to Certificateholders
<TABLE>
<S>                                                                               <C>            <C>
 a. Aggregate Certificate Balance as of first day of Monthly Period                               $58,500,000.00

 b. Amount distributed to Certificateholders allocable to principal                                        $0.00

 c. Aggregate  Certificate Balance (after giving effect to 
    distributions on the Distribution Date)                                                       $58,500,000.00

 d. Interest distributed to  Certificateholders                                                      $336,375.00

 e. Remaining  Certificate Balance                                                                $58,500,000.00

 f. Aggregate principal balance of the Notes (after giving effect to 
    distributions on the Distribution Date)
      Class A-1 Notes                                                                                      $0.00
      Class A-2 Notes                                                                            $134,658,122.53
      Class A-3 Notes                                                                            $126,960,000.00
      Class A-4 Notes                                                                            $116,790,000.00
      Class A-5 Notes                                                                             $55,420,000.00

 g. 1.  Class A-1 Interest Carryover Shortfall, if any (and change in amount 
          from preceding statement)                                                                        $0.00
    2.  Class A-2 Interest Carryover Shortfall, if any (and change in amount 
          from preceding statement)                                                                        $0.00
    3.  Class A-3 Interest Carryover Shortfall, if any (and change in amount 
          from preceding statement)                                                                        $0.00
    4.  Class A-4 Interest Carryover Shortfall, if any (and change in amount 
          from preceding statement)                                                                        $0.00
    5.  Class A-5 Interest Carryover Shortfall, if any (and change in amount 
          from preceding statement)                                                                        $0.00
    7.  Certificateholders' Interest Carryover Shortfall, if any (and change in
          amount from preceding statement)                                                                 $0.00
    8.  Certificateholders' Principal Carryover Shortfall, if any (and change in
          amount from preceding statement)                                                                 $0.00

 h. Amount distributed payable out of amounts withdrawn from or pursuant to:
    1.  Reserve Account                                                           $0.00
    2.  Spread Account                                                            $0.00
    3.  Claim on the Certificate Policy                                           $0.00

 i. Remaining Pre-Funded Amount                                                                            $0.00

 j. Remaining Reserve Amount                                                                               $0.00

 k. Certificate Prepayment Amount                                                                          $0.00

 l. Certificate Prepayment Premium                                                                         $0.00

 m. Total of Basic Servicing Fee, Supplemental Servicing Fees and other fees, 
    if any, paid by the Trustee on behalf of the Trust                                               $424,356.22

 n. Certificate Pool Factor (after giving effect to distributions on the                              1.00000000
    Distribution Date)
</TABLE>

                               Page 11

<PAGE>

XVI. Pool Balance and Aggregate Principal Balance
<TABLE>
<S>                                                                             <C>                          <C>

     Original Pool Balance at beginning of Monthly Period                                                   $649,999,966.23
     Subsequent Receivables                                                                                           $0.00
                                                                                                             ---------------
     Original Pool Balance at end of Monthly Period                                                         $649,999,966.23
                                                                                                             ---------------
                                                                                                             ---------------

     Aggregate Principal Balance as of preceding Accounting Date                                            $509,227,468.74
     Aggregate Principal Balance as of current Accounting Date                                              $492,328,088.76
</TABLE>


<TABLE>
<CAPTION>
         Monthly Period Liquidated Receivables                                Monthly Period Adminsitrative Receivables

             Loan #                   Amount                                  Loan #               Amount
             ------                   ------                                  ------               ------
<S>                                       <C>                                   <C>                 <C>
   see attached listing                $40,413.32                           1587003001                 $0.00
                                    $3,233,197.70                                                      $0.00
                                      $114,888.22                                                      $0.00
                                                                                                       -----
                                        $1,960.74                                                      $0.00
                                            $0.00                                                      -----
                                    -------------                                                      -----
                                    $3,390,459.98
                                    -------------
                                    -------------
</TABLE>

XVIII. Delinquency Ratio
<TABLE>
<S>                                       <C>                                   <C>                  <C>
 Sum of Principal Balances (as of the 
   Accounting Date) of all Receivables 
   delinquent more than 30 days with
   respect to all or any portion of a 
   Scheduled Payment as of the Accounting Date                                $18,343,523.78

 Aggregate Principal Balance as of the Accounting Date                        $492,328,088.76
                                                                              ---------------

 Delinquency Ratio                                                                                      3.72587390%
                                                                                                         ----------
                                                                                                         ----------
</TABLE>






 IN WITNESS WHEREOF, I, Mike Sherman, a Responsible Officer of Olympic
 Financial Ltd., have executed this Certificate as of the Determination Date
   set forth above.


                             OLYMPIC  FINANCIAL  LTD.


                                       By:   /s/ Michael J. Sherman
                                             ----------------------------------
                                       Name: Michael J. Sherman
                                             ----------------------------------
                                       Title: Vice President / Treasurer
                                             ----------------------------------

                               Page 12



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