UCFC ACCEPTANCE CORP
10-K, 1997-03-27
ASSET-BACKED SECURITIES
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                    SECURITIES AND EXCHANGE COMMISSION
                        WASHINGTON, DC   20549
                              FORM 10-K
                             
    [X]  ANNUAL REPORT PURSUANT TO SECTION 13 OR 15(d)
         OF THE SECURITIES EXCHANGE ACT OF 1934  [Fee Required]
               For the fiscal year ended December 31, 1996

    [ ]  TRANSITION REPORT PURSUANT TO SECTION 13 OR
         15(d) OF THE SECURITIES EXCHANGE ACT OF 1934  [No Fee Required]
               For the transition period from            to

                     Commission file number 333-07081
                             
     UCFC Acceptance Corporation (Loan Trust Series 1996 C1 and C2)
     --------------------------------------------------------------
           (Exact name of registrant as specified in its charter)

            Louisiana                            72-1235336
    ----------------------------              ------------------
    (State or other jurisdiction              (I.R.S. Employer
       of incorporation or                   Identification No.)
           organization)

    4041 Essen Lane, Baton Rouge, LA                70809
    --------------------------------              ----------
    (Address of principal executive offices       (Zip Code)

                                 504-924-6007
            ----------------------------------------------------
            (Registrant's telephone number, including area code)
                             
Securities registered pursuant to Section 12(b) of the Act:
                             
                                          Name of each exchange
               Title of each class        on which registered
               -------------------        ---------------------
                      None                        None

Securities registered pursuant to Section 12(g) of the Act:
                             
                                     None
                               ----------------
                               (Title of class)
                             
     Indicate  by check mark whether the registrant  (1) has filed 
all reports required to be filed by Section 13 or 15(d) of the Securities 
Exchange Act of 1934 during the preceding twelve months (or for such shorter
period that the registrant was  required to file such reports), and (2)
has been subject to such filing requirements for the past 90 days. 
                                                          Yes   x    No
                                                               ----
    Indicate by check mark if disclosure of delinquent filers pursuant
to  Item  405 of Regulation S-K  is  not contained herein  and will not be 
contained to the best of Registrant's knowledge,  in  definitive  proxy or
information  statements incorporated  by reference in Part III of this Form
10-K  or any amendment to this Form 10-K.                  Not Applicable

State the aggregate market value of the voting stock held by non-affiliates
of the registrant.    Not Applicable 

     Indicate the number of shares outstanding of each of the registrant's
classes of common stock, as of December  31, 1996.         Not Applicable

THIS ANNUAL REPORT ON FORM 10-K IS FILED ON BEHALF OF THE REGISTRANT BY 
UNITED COMPANIES LENDING CORPORATION,  (as Servicer under a Pooling and 
Servicing Agreement dated as  of September 1, 1996 providing for the
issuance of Home  Equity Pass Through Certificates, Series 1996C1 and C2, 
PURSUANT TO A RESPONSE OF THE OFFICE OF CHIEF COUNSEL DIVISION OF CORPORATION
FINANCE, DATED NOVEMBER 12, 1993.

                               PAGE 1
<PAGE>
                               PART I
                               ------                             
Item 1.  BUSINESS

         Omitted pursuant to the "Response of the
         Office of  Chief  Counsel Division of Corporation
         Finance" dated November 12, 1993

Item 2.  PROPERTIES

         Omitted pursuant to the "Response of the
         Office of  Chief  Counsel  Division of  Corporate
         Finance" dated November 12, 1993.

Item 3.  LEGAL PROCEEDINGS

         None

Item 4.  SUBMISSION OF MATTERS TO VOTE OF SECURITY HOLDERS

         None

                          PART II
                          -------
Item 5.  MARKET  FOR  REGISTRANT'S COMMON EQUITY AND RELATED
         STOCKHOLDER MATTERS

         There  is  no established trading  market for Registrant's
         securities subject to this filing.

         Number of holders of record of the Certificates as of 
         February 19, 1997:   1 .
                            ----

Item 6.  SELECTED FINANCIAL DATA
 
         Omitted pursuant to the "Response of the Office of Chief Counsel 
         Division of Corporation Finance", dated November 12, 1993.

Item 7.  MANAGEMENT'S DISCUSSION AND ANALYSIS OF FINANCIAL
         CONDITION AND RESULTS OF OPERATIONS
              
         Omitted pursuant to the "Response of the Office of Chief Counsel 
         Division of Corporation Finance", dated November 12, 1993.

Item 8.  FINANCIAL STATEMENTS AND SUPPLEMENTARY DATA

         Reference is made to the Annual Compliance Certificate attached as
         Exhibit 28.1 hereto.
               
         Reference is made to the annual report on the Servicer's compliance
         with certain provisions of the Agreement as prepared by Deloitte & 
         Touche, the Servicer's Independent Certified Public Accountants, and
         attached as Exhibit 28.2 hereto.
         
Item 9.  CHANGES IN AND DISAGREEMENTS WITH ACCOUNTANTS ON ACCOUNTING AND 
         FINANCIAL DISCLOSURE

         None.

                                   PAGE 2
<PAGE>
                                  PART III
                                  --------

Item 10. DIRECTORS AND EXECUTIVE OFFICERS OF THE REGISTRANT

         Omitted pursuant to the "Response of the Office of  Chief Counsel
         Division of Corporation  Finance" dated November 12, 1993.
         
Item 11. EXECUTIVE COMPENSATION

         Omitted pursuant to the "Response of the Office of  Chief  counsel
         Division of Corporation  Finance" dated November 12, 1993.
         
Item 12. SECURITY OWNERSHIP OF CERTAIN BENEFICIAL OWNERS  AND MANAGEMENT
         
         The  following information is furnished as  of February  19, 1997 as
         to each Certificateholder  of record of more than 5% of the
         Certificates:
<TABLE>
<S>                             <C>                            <C>              <C>         
                                                                Amount of       Percent
                                Name & Address                  Beneficial      of
Title of Class                  of Owner                        Ownership       Class
- --------------                  --------------                  -------------   -------

Home Equity Loan Pass-          Cede & Co.                      $83,092,191.03  100.0%
Through Certificates Series     c/o The Depository Trust Co.
1996-C, Class A-1               P. O. Box 20
                                Bowling Green Station
                                New York, New York 10274

Home Equity Loan Pass-          Cede & Co.                      $46,209,000.00   100.0%
Through Certificates, Series    c/o The Depository Trust Co.
1996-C, Class A-2               P. O. Box 20
                                Bowling Green Station
                                New York, New York  10274

Home Equity Loan Pass-          Cede & Co.                      $57,161,000.00   100.0%
Through Certificates Series     c/o The Depository Trust Co.
1996-C, Class A-3               P. O. Box 20
                                Bowling Green Station
                                New York, New York 10274

Home Equity Loan Pass-          Cede & Co.                      $57,269,000.00   100.0%
Through Certificates Series     c/o The Depository Trust Co.
1996-C, Class A-4               P. O. Box 20
                                Bowling Green Station 
                                New York, New York 10274

Home Equity Loan Pass-          Cede & Co.                      $24,060,000.00   100.0%
Through Certificates Series     c/o The Depository Trust Co.
1996-C, Class A-5               P. O. Box 20
                                Bowling Green Station
                                New York, New York 10274

                                    PAGE 3
<PAGE>

Home Equity Loan Pass-          Cede & Co.                      $20,301,000.00   100.0%
Through Certificates Series     c/o The Depository Trust Co.
1996-C, Class A-6               P. O. Box 20
                                Bowling Green Station
                                New York, New York 10274

Home Equity Loan Pass-          Cede & Co.                      $191,924,228.22  100.0%
Through Certificates Series     c/o The Depository Trust Co.
1996-C, Class A-7               P. O. Box 20
                                Bowling Green Station
                                New York, New York 10274
</TABLE>

Item 13.  CERTAIN RELATIONSHIPS AND RELATED TRANSACTIONS

          (a)        None

          (b)-(d)    Omitted pursuant to the "Response of the  Office
                     of Chief Counsel Division  of Corporation
                     Finance"  dated November 12, 1993.
                                     
                                     
                            PART IV
                            -------   
Item  14.   EXHIBITS, FINANCIAL STATEMENT SCHEDULES, AND REPORTS ON FORM 8-K

          (a)  1-2    Not Applicable

                 3.   Exhibits

                      28.1   Annual Compliance Certificate

                      28.2   Annual Report of Servicer's compliance with
                             certain provisions of the Agreement by
                             Servicer's Independent Certified Public
                             Accountants.
                   
           (b)-(d)    Omitted pursuant to the "Response of the Office
                      of Chief Counsel Division  of Corporation Finance"
                      dated November 12, 1993.

                                        PAGE 4

<PAGE>

                                EXHIBIT INDEX
                                --------------

        EXHIBIT NO.        DESCRIPTION
        -----------        -----------

        28.1               Annual Statement as to Compliance, UCFC Loan Trust 
                           1996-C1 and 1996-C2, Reserve Account Trust 1996C,
                           Page 7.

        28.2               Independent Accountant's report, Pages 8-9.


                                  PAGE 5
<PAGE>

                          SIGNATURES
                               
Pursuant  to the requirements of Section 13 or 15(d)  of  the Securities 
Exchange Act of 1934, the Servicer has caused this report to be signed on
behalf of the Registrant by the undersigned, thereto duly authorized on the
25th day of March, 1997.

UNITED COMPANIES LENDING CORPORATION, as Servicer, 
     on behalf of the Registrant


BY:  /s/ SHERRY E. ANDERSON
- ----------------------------------
     Sherry E. Anderson, Secretary

Pursuant  to the requirements of the Securities Exchange  Act of 1934, this 
report has been signed below by the following officers and directors of the 
Servicer on behalf of the Registrant and in the capacities indicated on the 
25th day of March, 1997.



BY:  /s/ J. TERRELL BROWN
     ---------------------------------
     J. Terrell Brown, Chief Executive
     Officer and Director
     (Principal Executive Officer)
                      
                      
BY:  /s/ DALE E. REDMAN
     ----------------------------------
     Dale E. Redman, Director
     (Principal Financial Officer)


BY:  /s/ C. GERON HARGON
     ----------------------------------
     C. Geron Hargon, President and
     Director


BY:  /s/ JESSE O. GRIFFIN
     ----------------------------------
     Jesse O. Griffin, Vice President
     (Principal Accounting Officer)
                                      PAGE 6     


     
                                                 EXHIBIT 28.1
                                                 ------------

              ANNUAL STATEMENT AS TO COMPLIANCE
                   UCFC LOAN TRUST 1996-C1 UCFC
                       LOAN TRUST 1996-C2
                  RESERVE ACCOUNT TRUST 1996-C

      In accordance with Section 9.16 of that certain Pooling
and  Servicing Agreement relating to UCFC Loan Trust 1996-C1,
UCFC  Loan  Trust  1996-C2 and Reserve Account  Trust  1996-C
dated  as  of  September 1, 1996 (the "Pooling and  Servicing
Agreement"),  by  and among UCFC Acceptance  Corporation,  as
depositor, United Companies Lending Corporation, as  servicer
(the  "Servicer"), and Bankers Trust Company  of  California,
N.A.,  as  trustee, the undersigned officer of  the  Servicer
does  hereby  certify  as  follows:  (i)  a  review  of   the
activities  of  the Servicer during 1996 and  of  performance
under the Pooling and Servicing Agreement has been made under
the  undersigned officer's supervision; and (ii) to the  best
of  such  undersigned  officer's  knowledge,  based  on  such
review,  the  Servicer has fulfilled all of  its  obligations
under the Pooling and Servicing Agreement for 1996.

     EXECUTED this 25th day of March, 1997.

                         /s/ C. GERON HARGON
                         ------------------------------------
                         C. Geron Hargon, President
                         United Companies Lending Corporation

                                PAGE 7



                                                EXHIBIT 28.2
                                                ------------
INDEPENDENT ACCOUNTANT'S REPORT

To the Board of Directors
  United Companies Lending Corporation

We have examined management's  assertion  about  United
Companies Lending Corporation's compliance with the minimum
servicing standards identified in the Mortgage Bankers
Association  of America's Uniform Single Attestation Program
for  Mortgage Bankers (USAP) as of and for the year ended
December  31, 1996  included in the accompanying management
assertion.   Management is responsible for United Companies
Lending Corporation's  compliance  with those minimum
servicing standards.  Our responsibility is to  express  an
opinion on management's  assertion  about the  entity's
compliance based on our examination.

Our examination was  made  in  accordance  with  standards
established by the American Institute of Certified  Public
Accountants, and, accordingly, included examining, on a  test
basis, evidence about United Companies Lending Corporation's 
compliance with the minimum servicing standards and performing 
such other procedures as we considered necessary in the circumstances.
We believe that our examination provides a reasonable basis for our 
opinion.  Our examination does not provide a legal  determination  on
United Companies Lending Corporation's compliance with  the
minimum servicing standards.

In  our opinion, management's assertion that United Companies
Lending Corporation complied  with  the aforementioned
minimum servicing standards as of and for the year ended
December 31, 1996 is fairly stated, in all material respects.


Deloitte & Touche LLP

February 28, 1997
                                 PAGE 8
<PAGE>

        UNITED COMPANIES LENDING CORPORATION (LETTERHEAD)         
                        
                        
As  of  and  for  the year ended December  31,  1996,  United
Companies Lending Corporation has complied in all material
respects with the minimum servicing standards set forth  in
the  Mortgage Bankers Association of America's Uniform Single
Attestation Program for Mortgage Bankers.  As of and for this
same period, United Companies Lending Corporation had in
effect fidelity bond and errors and omissions policies in the
amounts of $10,000,000 and $4,000,000, respectively.

/s/ J. TERRELL BROWN                                      3/25/97
- --------------------------------------------------        -------
J. Terrell Brown                                          Date
Chairman and Chief Executive Officer


/s/ JACK TALKINGTON                                       3/25/97
- ---------------------------------------------------       -------
Jack Talkington                                           Date
Senior Vice President and Controller


/s/ DALE QUICK                                            3/25/97
- ---------------------------------------------------       -------
Dale Quick                                                Date
Senior Vice President and Servicing Manager


                               PAGE 9



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