BANC ONE CREDIT CARD MASTER TRUST
8-K, 1998-03-30
ASSET-BACKED SECURITIES
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================================================================================

                       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):        March 16, 1998
                                                                 --------------
                                 


                        BANC ONE CREDIT CARD MASTER TRUST
                    ----------------------------------------
                    (Issuer with respect to the Certificates)


                                 BANK ONE, N.A.
             -----------------------------------------------------
             (Exact name of registrant as specified in its charter)


                                  United States
                ------------------------------------------------
                (State or other jurisidiction of incorporation )


          0-25636                                   31-4148768
 ------------------------              ------------------------------------
 (Commission File Number)              (IRS Employer Identification Number)


c/o Bank One, N.A. as Administrator, Attn: Gary Unser,
800 Brooksedge Blvd., Westerville, Ohio                           19801
- ------------------------------------------------------          ---------
      (Address of principal executive offices)                  (Zip Code)


                                 (614) 248-3465
               --------------------------------------------------
               Registrant's telephone number, including area code

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


<PAGE>



Item 5.    Other Events

           On March 16, 1998, the Banc One Credit Card Master Trust (the
           "Trust") made a regular monthly distribution of principal and/or
           interest to holders of the following Certificates issued by the
           Trust, each of which is included in Group One and is a Principal
           Sharing Series:

                 7.80% Class A Asset Backed Certificates, Series 1994-C
                 8.00% Class B Asset Backed Certificates, Series 1994-C
                 6.15% Class A Asset Backed Certificates, Series 1995-A
                 6.30% Class B Asset Backed Certificates, Series 1995-A
                 6.30% Class A Asset Backed Certificates, Series 1995-B
                 6.45% Class B Asset Backed Certificates, Series 1995-B
                 Floating Rate Class A Asset Backed Certificates, Series 1996-A 
                 Floating Rate Class B Asset Backed Certificates, Series 1996-A 
                 Asset Backed Certificates, Series 1997-1
                 Asset Backed Certificates, Series 1997-2


Item 7.    Exhibits

           See page 4 for Exhibit Index.


<PAGE>




                         SIGNATURES



Pursuant to the requirements of the Securities Exchange Act of 1934, the
registrant has duly caused this report to be signed on its behalf by the
undersigned hereunto duly authorized.


                                    BANC ONE CREDIT CARD MASTER TRUST



Date:  March 11, 1998               By:        /s/ Tracie Klein
       --------------                     ------------------------

                                    Name:  Tracie Klein
                                    Title: Vice President

                                    BANK ONE, N.A.


<PAGE>



EXHIBIT INDEX


<TABLE>
<CAPTION>

Exhibit  Description                                                             Page
- -------  -----------                                                             ----
<S>                                                                              <C>
99.1     The Monthly Statements and other information reflecting the Trust's
         Activities for the Monthly Period ending February 28, 1998..............5-18

99.2     Monthly Servicer's Certificates........................................19-24
</TABLE>


                                                                    Exhibit 99.1

BANC ONE CREDIT CARD MASTER TRUST - SERIES ALLOCATION REPORT

<TABLE>
<S>                   <C>       <C>                             <C>        <C>                                           <C>
Distribution Date of: 16-Mar-98 For the Monthly Period Ending:  28-Feb-98  Days in Interest Period (30/360)               30
Determined as of:     10-Feb-98 Monthly Period                         40  Days in Interest Period (Act/360)              27
</TABLE>

<TABLE>
<CAPTION>
           Beginning                 Total Trust          Investor Interest      Series 1994-C     Series 1995-A     Series 1995-B  
           ---------                 -----------          -----------------      -------------     -------------     -------------  
<S>                               <C>                     <C>                    <C>               <C>               <C>            
Pool Balance (Principal)          4,689,742,006.50
Finance Charges O/S                 122,208,814.08
Excess Funding Account                        0.00

Initial Invested Amount                                     4,310,000,000.00     450,000,000.00    380,000,000.00    380,000,000.00 
Invested Amount                                             4,310,000,000.00     450,000,000.00    380,000,000.00    380,000,000.00 
Class A Invested Amount                                                          423,000,000.00    357,200,000.00    357,200,000.00 
Class B Invested Amount                                                           27,000,000.00     22,800,000.00     22,800,000.00 

Principal Funding Account                                               0.00               0.00              0.00              0.00 

Adjusted Invested Amount                                    4,310,000,000.00     450,000,000.00    380,000,000.00    380,000,000.00 
Class A Adjusted Invested Amt                                                    423,000,000.00    357,200,000.00    357,200,000.00 
Class B Adjusted Invested Amt                                                     27,000,000.00     22,800,000.00     22,800,000.00 
Enhancement Invested Amount                                             0.00               0.00              0.00              0.00 

Principal Allocation Pct                    100.00%                    91.90%              9.60%             8.10%             8.10%
Principal Collections               533,677,270.56            490,463,874.76      51,208,525.21     43,242,754.62     43,242,754.62 

Floating Allocation Pct                     100.00%                    91.90%              9.60%             8.10%             8.10%
Finance Charge Collections           69,053,735.48             63,462,254.33       6,625,989.43      5,595,279.96      5,595,279.96 
Defaulted Amount                     28,009,348.32             25,741,350.18       2,687,611.97      2,269,539.00      2,269,539.00 

Interchange Collections               5,379,124.04              4,943,560.78         516,149.04        435,859.19        435,859.19 
Servicer Interchange                                            4,489,583.33         468,750.00        395,833.33        395,833.33 

Shared Principal Collections                                  312,597,595.61      53,896,137.17     45,512,293.61     45,512,293.61 
</TABLE>

<TABLE>
<CAPTION>
           Beginning              Series 1996-A       Series 1997-1       Series 1997-2     Seller Interest
           ---------              -------------       -------------       -------------     ---------------
<S>                               <C>                <C>                  <C>                 <C>
Pool Balance (Principal)         
Finance Charges O/S              
Excess Funding Account           

Initial Invested Amount           500,000,000.00     1,700,000,000.00     900,000,000.00
Invested Amount                   500,000,000.00     1,700,000,000.00     900,000,000.00
Class A Invested Amount           465,000,000.00     1,700,000,000.00     900,000,000.00
Class B Invested Amount            35,000,000.00                 0.00               0.00

Principal Funding Account                   0.00                 0.00               0.00

Adjusted Invested Amount          500,000,000.00     1,700,000,000.00     900,000,000.00       379,742,006.50
Class A Adjusted Invested Amt     465,000,000.00     1,700,000,000.00     900,000,000.00                   NA
Class B Adjusted Invested Amt      35,000,000.00                 0.00               0.00                   NA
Enhancement Invested Amount                 0.00                 0.00               0.00                   NA

Principal Allocation Pct                   10.66%               36.25%             19.19%                8.10%
Principal Collections              56,898,361.34       193,454,428.56     102,417,050.41        43,213,395.80

Floating Allocation Pct                    10.66%               36.25%             19.19%                8.10%
Finance Charge Collections          7,362,210.48        25,031,515.63      13,251,978.86         5,591,481.16
Defaulted Amount                    2,986,235.52        10,153,200.77       5,375,223.94         2,267,998.14

Interchange Collections               573,498.93         1,949,896.36       1,032,298.07
Servicer Interchange                  520,833.33         1,770,833.33         937,500.00

Shared Principal Collections       59,884,596.86                 0.00     107,792,274.35
</TABLE>



<PAGE>

<TABLE>
<CAPTION>
           Ending                 Total Trust            Investor Interest       Series 1994-C     Series 1995-A      Series 1995-B
           ------                 -----------            -----------------       -------------     -------------      -------------
<S>                               <C>                     <C>                    <C>               <C>              <C>           
Pool Balance (Principal)          4,578,230,957.74
Finance Charges O/S                 124,214,515.49
Excess Funding Account                        0.00

Initial Invested Amount                                   4,310,000,000.00       450,000,000.00    380,000,000.00   380,000,000.00
Invested Amount                                           3,910,000,000.00       450,000,000.00    380,000,000.00   380,000,000.00
Class A Invested Amount                                                          423,000,000.00    357,200,000.00   357,200,000.00
Class B Invested Amount                                                           27,000,000.00     22,800,000.00    22,800,000.00

Principal Funding Account                                             0.00                 0.00              0.00             0.00

Adjusted Invested Amount                                  3,910,000,000.00       450,000,000.00    380,000,000.00   380,000,000.00
Class A Adjusted Invested Amt                                                    423,000,000.00    357,200,000.00   357,200,000.00
Class B Adjusted Invested Amt                                                     27,000,000.00     22,800,000.00    22,800,000.00
Enhancement Invested Amount                                           0.00                 0.00              0.00             0.00

Principal Allocation Pct                    100.00%                  94.14%                9.83%             8.30%            8.30%
Floating Allocation Pct                     100.00%                  85.40%                9.83%             8.30%            8.30%
</TABLE>

<TABLE>
<CAPTION>
           Beginning                 Series 1996-A        Series 1997-1        Series 1997-2      Seller Interest
           ---------                 -------------        -------------        -------------      ---------------
<S>                                  <C>                  <C>                  <C>                <C>
Pool Balance (Principal)                                       
Finance Charges O/S                                            
Excess Funding Account                                         
                                                               
Initial Invested Amount              500,000,000.00     1,700,000,000.00       900,000,000.00       
Invested Amount                      500,000,000.00     1,300,000,000.00       900,000,000.00       
Class A Invested Amount              465,000,000.00     1,300,000,000.00       900,000,000.00       
Class B Invested Amount               35,000,000.00                 0.00                 0.00       

Principal Funding Account                      0.00                 0.00                 0.00       

Adjusted Invested Amount             500,000,000.00     1,300,000,000.00       900,000,000.00       668,230,957.74
Class A Adjusted Invested Amt        465,000,000.00     1,300,000,000.00       900,000,000.00                   NA
Class B Adjusted Invested Amt         35,000,000.00                 0.00                 0.00                   NA
Enhancement Invested Amount                    0.00                 0.00                 0.00                   NA

Principal Allocation Pct                      10.92%               37.13%               19.66%                5.86%
Floating Allocation Pct                       10.92%               28.40%               19.66%               14.60%

</TABLE>


<PAGE>


BANC ONE CREDIT CARD MASTER TRUST - SERIES ALLOCATION REPORT

<TABLE>
<CAPTION>

<S>                             <C>       <C>                                <C>       <C>                                 <C> 

Distribution Date of:           16-Mar-98 For the Monthly Period Ending:     28-Feb-98 Days8in Interest Period (30/360)     30
Determined as of:               10-Feb-98 Monthly Period                            40 Days in Interest Period (Act/360)    27
</TABLE>

<TABLE>
<CAPTION>

                                                               Gross Balances of
Minimum Balance Requirement                                    Accounts Delinquent:                  (%)              ($)
- ---------------------------                                    --------------------                  ---              ---- 
<S>                                          <C>               <C>                                  <C>          <C>    

Trust Initial Invested Amount               4,310,000,000.00
Trust PFA                                               0.00   30 - 59 days                          2.29%        107,901,361.98
Ending Portfolio Principal Balance          4,578,230,957.74   60 - 89 days                          1.70%         80,016,598.03
                                                               90 days +                             3.49%        164,292,684.77
Beginning Excess Funding Acct Bal                       0.00   Total 30 days +                       7.49%        352,210,644.78
Required Excess Funding Account Deposit                 0.00
Excess Funding Account Withdrawal                       0.00

Seller's Participation Amt (w/o EFA)          668,230,957.74   Gross Credit Losses                   8.48%         33,138,275.26
Required Seller's Interest                    320,476,167.04   Net Credit Losses                     7.17%         28,009,348.32
Required Excess Funding Account Balance                 0.00   Discount Option Receivables                                     0
Seller's Participation Amount                 668,230,957.04   Discount Percentage                                          0.00%
                                                               Finance  Charge  Billed - pool                      58,716,652.37
Fraud Losses reassigned to the Seller             742,632.61   Fees Billed - pool                                  11,931,347.12
                                                               Interest Earned on Collection Account                2,594,069.32
                                                               Required Principal Balance                       4,310,000,000.00
                                                               EFA + Receivables + PFA                          4,578,230,957.74

</TABLE>
<PAGE>


BANC ONE CREDIT CARD MASTER TRUST  -  SUMMARY  REPORT
Series 1994-C

Distribution Date of:                                                 16-Mar-98
Determined as of:                                                     10-Feb-98
For the Monthly Period Ending:                                        28-Feb-98
Days in Interest Period (30/360)                                             30
Days in Interest Period (Actual/360)                                         27

<TABLE>
<CAPTION>


                                                                   Beginning                   Ending                  Change
                                                                   ---------                  -------                  ------
<S>                                                            <C>                      <C>                      <C>    
Pool Balance (Principal)                                       4,689,742,006.50         4,578,230,957.74         (111,511,048.76)
Excess Funding Account                                                     0.00                     0.00                    0.00

Invested Amount                                                  450,000,000.00           450,000,000.00                    0.00
Class A Invested Amount                                          423,000,000.00           423,000,000.00                    0.00
Class B Invested Amount                                           27,000,000.00            27,000,000.00                    0.00

Principal Funding Account                                                  0.00                     0.00                    0.00
                                                                                                                                   
Adjusted Invested Amount                                         450,000,000.00           450,000,000.00                    0.00   
Class A Adjusted Invested Amount                                 423,000,000.00           423,000,000.00                    0.00   
Class B Adjusted Invested Amount                                  27,000,000.00            27,000,000.00                    0.00   
Enhancement Invested Amount                                                0.00                     0.00                    0.00   

Reserve Account                                                            0.00                     0.00                    0.00   
                                                                                                                                   
Available Cash Collateral Amount                                  43,717,534.84            44,136,527.22              418,992.38   
                                                                                                                                   
Available Shared Collateral Amount                                39,217,534.84            39,636,527.22              418,992.38   
Spread Account                                                    27,000,000.00            27,000,000.00                    0.00
                                                                                                                                   
Servicing Base Amount                                            450,000,000.00           450,000,000.00                    0.00   
                                                                                                                                   
                                                                                                                                   
Allocation Percentages                                                                                                             
- ----------------------
Floating Allocation Pct                                                    9.60%                                                   
Principal Allocation Pct                                                   9.60%                                                   
Class A Floating Pct                                                      94.00%
Class B Floating Pct                                                       6.00%                                                   
Class A Principal Pct                                                     94.00%                                                   
                                                                                                                                   
Class B Principal Pct                                                      6.00%                                                  
</TABLE>

<TABLE>
<CAPTION>

                                                                                                                                   
                                                                     Series                                                
Allocations                                  Trust                   1994-C                 Class A                   Class B
- -----------                                  -----                   ------                 -------                   -------
<S>                                      <C>                      <C>                  <C>                         <C>
                                                                                                        
Principal Collections                    533,677,270.56           51,208,525.21            48,136,013.69            3,072,511.51  
                                                                                                                               
                                                                                                                               
Finance Charge Collections                69,053,735.48            6,625,989.43             6,228,430.06              397,559.37  
PFA Investment Proceeds                              NA                    0.00                     0.00                    0.00
Reserve Account Draw                                 NA                    0.00                     0.00                    0.00
                                                                   ------------             ------------              ----------
Available Funds                                                    6,625,989.43             6,228,430.06              397,559.37
                                                                                                        
Monthly Investor Obligations                                                                            
- ----------------------------                                                                            
Servicer Interchange                                                 468,750.00               440,625.00               28,125.00
Monthly Interest                                                   2,929,500.00             2,749,500.00              180,000.00
Monthly Servicing Fee                                                281,250.00               264,375.00               16,875.00
Defaulted Amounts                         28,009,348.32            2,687,611.97             2,526,355.25              161,256.72
                                                                   ------------             ------------              ----------
                                                                   6,367,111.97             5,980,855.25              386,256.72
                                                                                                        
Excess Spread                                                        258,877.46               247,574.81               11,302.65
Required Amount                                                            0.00                     0.00                    0.00
                                                                                                        
Cash Collateral Account                                                                                 
- -----------------------                                                                                 
Cash Collateral Fee                                                                            17,718.75   
Risk-Free Fee                                                                                   5,568.75   
Interest on CCA Draw                                                                            5,486.10   
Total  Fees - Interest                                                                         28,773.60   
</TABLE>

<PAGE>
<TABLE>

<S>                                                           <C>  
Cash Collateral Account  (continued)
- ------------------------------------
Quarterly Excess Spread Percentage                                         0.46%
Principal Payment Rate Calculation                                        12.36%
Calculated Current Month's Spread Account Cap                              6.00%
Spread Account Cap Adjustment                                              0.00%
Applicable Spread Account Cap Percentage                                   6.00%
Beginning Cash Collateral Amount                                  43,717,534.84
Required Cash Collateral Amount                                   45,000,000.00
Cash Collateral Account Draw                                               0.00
Cash Collateral Account Surplus                                            0.00
Beginning Spread Account Balance                                  27,000,000.00
Required Spread Account Amount                                    27,000,000.00
Required Spread Account Draw                                               0.00
Required Spread Account Deposit                                            0.00
Spread Account Surplus                                                     0.00

Monthly Principal & Controlled Deposit Amount
- ---------------------------------------------
Month of Accumulation                                                         0
Controlled Accumulation Amount                                   423,000,000.00
Required PFA Balance                                                       0.00
Beginning PFA Balance                                                      0.00
Controlled Deposit Amount                                                  0.00
Available Investor Principal Collections                          53,896,137.17
Principal Shortfall                                                        0.00
Shared Principal to Other Series                                  53,896,137.17
Shared Principal from Other Series                                         0.00
Class A Monthly Principal                                                  0.00
Class B Monthly Principal                                                  0.00
Monthly Principal                                                          0.00
PFA Deposit                                                                0.00
PFA Withdrawal                                                             0.00
Ending PFA Balance                                                         0.00
Principal to Investors                                                     0.00
Ending Class A Invested Amount                                   423,000,000.00
Ending Class B Invested Amount                                    27,000,000.00

Class A Accumulation Period Length
- ----------------------------------
Min 12 Month Historical Prin Pmt Rate                                      9.93%
Revolving Investor Interest                                    1,710,000,000.00
Class A Invested Amount                                          423,000,000.00
Available Principal                                              169,878,794.76
Class A Accumulation Period Length                                            3

Reserve Account
- ---------------
Available Reserve Account Amount                                           0.00
Covered Amount                                                             0.00
Reserve Draw Amount                                                        0.00
Portfolio Yield                                                           12.95%
Reserve Account Factor                                                    25.00%
Portfolio Adjusted Yield                                                   2.12%
Reserve Account Funding Period Length                                         2
Reserve Account Funding Date                                          15-Jul-98
Weighted Average Coupon                                                    7.81%
Required Reserve Account Amount                                            0.00
Reserve Account Surplus                                                    0.00
Required Reserve Account Deposit                                           0.00
Portfolio Yield - 3 month average                                         12.03%
Base Rate - 3 month average                                                9.81%
(Portfolio Yield 3 mo avg) - (Base Rate 3 mo avg)                          2.22%

</TABLE>

<PAGE>

BANC ONE CREDIT CARD MASTER TRUST  -  SUMMARY  REPORT
Series 1995-A

Distribution Date of:                                             16-Mar-98
Determined as of:                                                 10-Feb-98
For the Monthly Period Ending:                                    28-Feb-98
Days in Interest Period (30/360)                                         30
Days in Interest Period (Actual/360)                                     27

<TABLE>
<CAPTION>
                                                                  Beginning                   Ending                  Change
                                                                  ---------                   ------                  ------
<S>                                                        <C>                      <C>                      <C>   
Pool Balance (Principal)                                   4,689,742,006.50         4,578,230,957.74         (111,511,048.76)
Excess Funding Account                                                 0.00                     0.00                    0.00

Invested Amount                                              380,000,000.00           380,000,000.00                    0.00
Class A Invested Amount                                      357,200,000.00           357,200,000.00                    0.00
Class B Invested Amount                                       22,800,000.00            22,800,000.00                    0.00

Principal Funding Account                                              0.00                     0.00                    0.00

Adjusted Invested Amount                                     380,000,000.00           380,000,000.00                    0.00
Class A Adjusted Invested Amount                             357,200,000.00           357,200,000.00                    0.00
Class B Adjusted Invested Amount                              22,800,000.00            22,800,000.00                    0.00
Enhancement Invested Amount                                            0.00                     0.00                    0.00

Reserve Account                                                        0.00                     0.00                    0.00

Available Cash Collateral Amount                              38,000,000.00            38,000,000.00                    0.00
Available Shared Collateral Amount                            34,200,000.00            34,200,000.00                    0.00
Spread Account                                                20,900,000.00            20,900,000.00                    0.00

Servicing Base Amount                                        380,000,000.00           380,000,000.00                    0.00

Allocation Percentages
- ----------------------
Floating Allocation Pct                                                8.10%
Principal Allocation Pct                                               8.10%
Class A Floating Pct                                                  94.00%
Class B Floating Pct                                                   6.00%
Class A Principal Pct                                                 94.00%
Class B Principal Pct                                                  6.00%

</TABLE>

<TABLE>
<CAPTION>
                                                                    Series
Allocations                                     Trust               1995-A                     Class A                 Class B
- -----------                                     -----               -------                    -------                 -------
<S>                                       <C>                      <C>                      <C>                      <C>
Principal Collections                     533,677,270.56           43,242,754.62            40,648,189.34            2,594,565.28

Finance Charge Collections                 69,053,735.48            5,595,279.96             5,259,563.17              335,716.80
PFA Investment Proceeds                               NA                    0.00                     0.00                    0.00
Reserve Account Draw                                  NA                    0.00                     0.00                    0.00
                                                                    ------------             ------------              ----------
Available Funds                                                     5,595,279.96             5,259,563.17              335,716.80

Monthly Investor Obligations
- ----------------------------
Servicer Interchange                                                  395,833.33               372,083.33               23,750.00
Monthly Interest                                                    1,950,350.00             1,830,650.00              119,700.00
Monthly Servicing Fee                                                 237,500.00               223,250.00               14,250.00
Defaulted Amounts                          28,009,348.32            2,269,539.00             2,133,366.66              136,172.34
                                                                    ------------             ------------              ----------
                                                                    4,853,222.33             4,559,349.99              293,872.34

Excess Spread                                                         878,229.97               700,213.18              178,016.80
Required Amount                                                             0.00                     0.00                    0.00

Cash Collateral Account
- -----------------------
Cash Collateral Fee                                                                              9,975.00
Risk-Free Fee                                                                                    2,565.00
Interest on CCA Draw                                                                                 0.00
Monthly Cash Collateral Fee                                                                     12,540.00

</TABLE>

<PAGE>

<TABLE>
<S>                                                                  <C> 

Cash Collateral Account (continued)
- -----------------------------------
Quarterly Excess Spread Percentage                                             2.32%
Principal Payment Rate Calculation                                            12.36%
Calculated Current Month's Spread Account Cap                                  5.50%
Spread Account Cap Adjustment                                                  0.00%
Applicable Spread Account Cap Percentage                                       5.50%
Beginning Cash Collateral Amount                                      38,000,000.00
Required Cash Collateral Amount                                       38,000,000.00
Cash Collateral Account Draw                                                   0.00
Cash Collateral Account Surplus                                                0.00
Beginning Spread Account Balance                                      20,900,000.00
Required Spread Account Amount                                        20,900,000.00
Required Spread Account Draw                                                   0.00
Required Spread Account Deposit                                                0.00
Spread Account Surplus                                                         0.00

Monthly Principal & Controlled Deposit Amount
- ---------------------------------------------
Month of Accumulation                                                             0
Controlled Accumulation Amount                                       357,200,000.00
Required PFA Balance                                                           0.00
Beginning PFA Balance                                                          0.00
Controlled Deposit Amount                                                      0.00
Available Investor Principal Collections                              45,512,293.61
Principal Shortfall                                                            0.00
Shared Principal to Other Series                                      45,512,293.61
Shared Principal from Other Series                                             0.00
Class A Monthly Principal                                                      0.00
Class B Monthly Principal                                                      0.00
Monthly Principal                                                              0.00
PFA Deposit                                                                    0.00
PFA Withdrawal                                                                 0.00
Ending PFA Balance                                                             0.00
Principal to Investors                                                         0.00
Ending Class A Invested Amount                                       357,200,000.00
Ending Class B Invested Amount                                        22,800,000.00

Class A Accumulation Period Length
- ----------------------------------
Min 12 Month Historical Prin Pmt Rate                                          9.93%
Revolving Investor Interest                                        1,260,000,000.00
Class A Invested Amount                                              357,200,000.00
Available Principal                                                  125,173,848.77
Class A Accumulation Period Length                                                3

Reserve Account
- ---------------
Available Reserve Account Amount                                               0.00
Covered Amount                                                                 0.00
Reserve Draw Amount                                                            0.00
Portfolio Yield                                                               12.95%
Reserve Account Factor                                                        25.00%
Portfolio Adjusted Yield                                                       3.77%
Reserve Account Funding Period Length                                             3
Reserve Account Funding Date                                            15-Jan-2000
Weighted Average Coupon                                                        6.16%
Required Reserve Account Amount                                                0.00
Reserve Account Surplus                                                        0.00
Required Reserve Account Deposit                                               0.00
Portfolio Yield - 3 month average                                             12.03%
Base Rate - 3 month average                                                    8.16%
(Portfolio Yield 3 mo avg) - (Base Rate 3 mo avg)                              3.87%
</TABLE>
<PAGE>


BANC ONE CREDIT CARD MASTER TRUST  -  SUMMARY  REPORT
Series 1995-B

Distribution Date of:                                               16-Mar-98
Determined as of:                                                   10-Feb-98
For the Monthly Period Ending:                                      28-Feb-98
Days in Interest Period (30/360)                                           30
Days in Interest Period (Actual/360)                                       27

<TABLE>
<CAPTION>


                                                                  Beginning                   Ending                  Change
                                                                  ---------                   ------                  ------
<S>                                                           <C>                      <C>                      <C>   
                         
Pool Balance (Principal)                                      4,689,742,006.50         4,578,230,957.74         (111,511,048.76)
Excess Funding Account                                                    0.00                     0.00                    0.00

Invested Amount                                                 380,000,000.00           380,000,000.00                    0.00
Class A Invested Amount                                         357,200,000.00           357,200,000.00                    0.00
Class B Invested Amount                                          22,800,000.00            22,800,000.00                    0.00

Principal Funding Account                                                 0.00                     0.00                    0.00

Adjusted Invested Amount                                        380,000,000.00           380,000,000.00                    0.00
Class A Adjusted Invested Amount                                357,200,000.00           357,200,000.00                    0.00
Class B Adjusted Invested Amount                                 22,800,000.00            22,800,000.00                    0.00
Enhancement Invested Amount                                               0.00                     0.00                    0.00

Reserve Account                                                           0.00                     0.00                    0.00

Available Cash Collateral Amount                                 38,000,000.00            38,000,000.00                    0.00
Available Shared Collateral Amount                               34,200,000.00            34,200,000.00                    0.00
Spread Account                                                   20,900,000.00            20,900,000.00                    0.00

Servicing Base Amount                                           380,000,000.00           380,000,000.00                    0.00

Allocation Percentages
- ----------------------
Floating Allocation Pct                                                   8.10%
Principal Allocation Pct                                                  8.10%
Class A Floating Pct                                                     94.00%
Class B Floating Pct                                                      6.00%
Class A Principal Pct                                                    94.00%
Class B Principal Pct                                                     6.00%


</TABLE>

<TABLE>
<CAPTION>

                                                                          Series
Allocations                                           Trust               1995-B                 Class A             Class B
- -----------                                           -----               ------                 -------             -------
<S>                                             <C>                      <C>                 <C>                  <C>    

Principal Collections                           533,677,270.56           43,242,754.62        40,648,189.34        2,594,565.28

Finance Charge Collections                       69,053,735.48            5,595,279.96         5,259,563.17          335,716.80
PFA Investment Proceeds                                     NA                    0.00                 0.00                0.00
Reserve Account Draw                                        NA                    0.00                 0.00                0.00
                                                                                  ----                 ----                ----
Available Funds                                                           5,595,279.96         5,259,563.17          335,716.80

Monthly Investor Obligations
- ----------------------------
Servicer Interchange                                                        395,833.33           372,083.33           23,750.00
Monthly Interest                                                          1,997,850.00         1,875,300.00          122,550.00
Monthly Servicing Fee                                                       237,500.00           223,250.00           14,250.00
Defaulted Amounts                                28,009,348.32            2,269,539.00         2,133,366.66          136,172.34
                                                                          ------------         ------------          ----------
                                                                          4,900,722.33         4,603,999.99          296,722.34

Excess Spread                                                               830,729.97           655,563.18          175,166.80
Required Amount                                                                   0.00                 0.00                0.00

Cash Collateral Account
- -----------------------
Cash Collateral Fee                                                                                8,849.25
Risk-Free Fee                                                                                      5,016.00
Interest on CCA Draw or Difference between Loan Interest and Deposit Interest                     (5,830.46)
                                                                                                  ----------
Monthly Cash Collateral Fee                                                                        8,034.79

</TABLE>
<PAGE>

<TABLE>
<S>                                                                                              <C>   

Cash Collateral Account  (continued)
- ------------------------------------
Quarterly Excess Spread Percentage                                                                         2.17%
Principal Payment Rate Calculation                                                                        12.36%
Calculated Current Month's Spread Account Cap                                                              5.50%
Spread Account Cap Adjustment                                                                              0.00%
Applicable Spread Account Cap Percentage                                                                   5.50%
Beginning Cash Collateral Amount                                                                  38,000,000.00
Required Cash Collateral Amount                                                                   38,000,000.00
Cash Collateral Account Draw                                                                               0.00
Cash Collateral Account Surplus                                                                            0.00
Beginning Spread Account Balance                                                                  20,900,000.00
Required Spread Account Amount                                                                    20,900,000.00
Required Spread Account Draw                                                                               0.00
Required Spread Account Deposit                                                                            0.00
Spread Account Surplus                                                                                     0.00

Monthly Principal & Controlled Deposit Amount
- ---------------------------------------------
Month of Accumulation                                                                                         0
Controlled Accumulation Amount                                                                   178,600,000.00
Required PFA Balance                                                                                       0.00
Beginning PFA Balance                                                                                      0.00
Controlled Deposit Amount                                                                                  0.00
Available Investor Principal Collections                                                          45,512,293.61
Principal Shortfall                                                                                        0.00
Shared Principal to Other Series                                                                  45,512,293.61
Shared Principal from Other Series                                                                         0.00
Class A Monthly Principal                                                                                  0.00
Class B Monthly Principal                                                                                  0.00
Monthly Principal                                                                                          0.00
PFA Deposit                                                                                                0.00
PFA Withdrawal                                                                                             0.00
Ending PFA Balance                                                                                         0.00
Principal to Investors                                                                                     0.00
Ending Class A Invested Amount                                                                   357,200,000.00
Ending Class B Invested Amount                                                                    22,800,000.00

Class A Accumulation Period Length
- ----------------------------------
Min 12 Month Historical Prin Pmt Rate                                                                      9.93%
Revolving Investor Interest                                                                      880,000,000.00
Class A Invested Amount                                                                          357,200,000.00
Available Principal                                                                               87,423,005.49
Class A Accumulation Period Length                                                                            5

Reserve Account
- ----------------
Available Reserve Account Amount                                                                           0.00
Covered Amount                                                                                             0.00
Reserve Draw Amount                                                                                        0.00
Portfolio Yield                                                                                           12.95%
Reserve Account Factor                                                                                    41.67%
Portfolio Adjusted Yield                                                                                   3.62%
Reserve Account Funding Period Length                                                                         3
Reserve Account Funding Date                                                                        15-Feb-2000
Weighted Average Coupon                                                                                    6.31%
Required Reserve Account Amount                                                                            0.00
Reserve Account Surplus                                                                                    0.00
Required Reserve Account Deposit                                                                           0.00
Portfolio Yield - 3 month average                                                                         12.03%
Base Rate - 3 month average                                                                                8.31%
(Portfolio Yield 3 mo avg) - (Base Rate 3 mo avg)                                                          3.72%

</TABLE>


<PAGE>

BANC ONE CREDIT CARD MASTER TRUST  -  SUMMARY  REPORT
Series 1996-A

<TABLE>
<S>                                                                          <C> 
Distribution Date of:                                                        16-Mar-98
Determined as of:                                                            10-Feb-98
For the Monthly Period Ending:                                               28-Feb-98
Days in Interest Period (30/360)                                                    30
Days in Interest Period (Actual/360)                                                27

</TABLE>

<TABLE>
<CAPTION>
                                                                          Beginning                Ending              Change
                                                                          ---------                ------              ------
<S>                                                                   <C>                  <C>                   <C> 
Pool Balance (Principal)                                              4,689,742,006.50      4,578,230,957.74     (111,511,048.76)
Excess Funding Account                                                            0.00                  0.00                0.00

Invested Amount                                                         500,000,000.00        500,000,000.00                0.00
Class A Invested Amount                                                 465,000,000.00        465,000,000.00                0.00
Class B Invested Amount                                                  35,000,000.00         35,000,000.00                0.00

Principal Funding Account                                                         0.00                  0.00                0.00

Adjusted Invested Amount                                                500,000,000.00        500,000,000.00                0.00
Class A Adjusted Invested Amount                                        465,000,000.00        465,000,000.00                0.00
Class B Adjusted Invested Amount                                         35,000,000.00         35,000,000.00                0.00
Enhancement Invested Amount                                                       0.00                  0.00                0.00

Reserve Account                                                                   0.00                  0.00                0.00

Available Cash Collateral Amount                                         50,000,000.00         50,000,000.00                0.00
Available Shared Collateral Amount                                       50,000,000.00         50,000,000.00                0.00
Spread Account                                                           21,545,806.16         22,500,000.00          954,193.84

Servicing Base Amount                                                   500,000,000.00        500,000,000.00                0.00

Allocation Percentages
- ----------------------
Floating Allocation Pct                                                          10.66%
Principal Allocation Pct                                                         10.66%
Class A Floating Pct                                                             93.00%
Class B Floating Pct                                                              7.00%
Class A Principal Pct                                                            93.00%
Class B Principal Pct                                                             7.00%

</TABLE>

<TABLE>
<CAPTION>
                                                                          Series
Allocations                                           Trust               1996-A                Class A              Class B
- -----------                                           -----               ------                -------              -------
<S>                                             <C>                      <C>                 <C>                   <C>    
Principal Collections                           533,677,270.56           56,898,361.34       52,915,476.05         3,982,885.29

Finance Charge Collections                       69,053,735.48            7,362,210.48        6,846,855.75           515,354.73
PFA Investment Proceeds                                     NA                    0.00                0.00                 0.00
Reserve Account Draw                                        NA                    0.00                0.00                 0.00
                                                                                  ----                ----                 ----
Available Funds                                                           7,362,210.48        6,846,855.75           515,354.73

Monthly Investor Obligations
- ----------------------------
Servicer Interchange                                                        520,833.33          484,375.00            36,458.33
Monthly Interest                                                          2,195,156.25        2,038,443.75           156,712.50
Monthly Servicing Fee                                                       312,500.00          290,625.00            21,875.00
Defaulted Amounts                                28,009,348.32            2,986,235.52        2,777,199.03           209,036.49
                                                                          ------------        ------------           ----------
                                                                          6,014,725.10        5,590,642.78           424,082.32

Excess Spread                                                             1,556,521.86        1,256,212.96           300,308.90
Required Amount                                                                   0.00                0.00                 0.00

1 Month Libor Rate                                    5.625000%
- ------------------

Cash Collateral Account
- -----------------------
Cash Collateral Fee                                                                              23,437.50
Interest on CCA Draw                                                                                  0.00
Total                                                                                            23,437.50
</TABLE>

<PAGE>

Cash Collateral Account  (continued)
- ------------------------------------
Quarterly Excess Spread Percentage                                       2.53%
Principal Payment Rate Calculation                                      12.36%
Calculated Current Month's Spread Account Cap                            4.50%
Spread Account Cap Adjustment                                            0.00%
Applicable Spread Account Cap Percentage                                 4.50%
Beginning Cash Collateral Amount                                50,000,000.00
Required Cash Collateral Amount                                 50,000,000.00
Cash Collateral Account Draw                                             0.00
Cash Collateral Account Surplus                                          0.00
Beginning Spread Account Balance                                21,545,806.16
Required Spread Account Amount                                  22,500,000.00
Required Spread Account Draw                                             0.00
Required Spread Account Deposit                                    954,193.84
Spread Account Surplus                                                   0.00

Monthly Principal & Controlled Deposit Amount
- ---------------------------------------------
Month of Accumulation                                                       0
Controlled Accumulation Amount                                 232,500,000.00
Required PFA Balance                                                     0.00
Beginning PFA Balance                                                    0.00
Controlled Deposit Amount                                                0.00
Available Investor Principal Collections                        59,884,596.86
Principal Shortfall                                                      0.00
Shared Principal to Other Series                                59,884,596.86
Shared Principal from Other Series                                       0.00
Class A Monthly Principal                                                0.00
Class B Monthly Principal                                                0.00
Monthly Principal                                                        0.00
PFA Deposit                                                              0.00
PFA Withdrawal                                                           0.00
Ending PFA Balance                                                       0.00
Principal to Investors                                                   0.00
Ending Class A Invested Amount                                 465,000,000.00
Ending Class B Invested Amount                                  35,000,000.00

Class A Accumulation Period Length
- ----------------------------------
Min 12 Month Historical Prin Pmt Rate                                    9.93%
Revolving Investor Interest                                    500,000,000.00
Class A Invested Amount                                        465,000,000.00
Available Principal                                             49,672,162.21
Class A Accumulation Period Length                                         10

Reserve Account
- ---------------
Available Reserve Account Amount                                         0.00
Covered Amount                                                           0.00
Reserve Draw Amount                                                      0.00
Portfolio Yield                                                         12.95%
Reserve Account Factor                                                  83.33%
Portfolio Adjusted Yield                                                 3.90%
Reserve Account Funding Period Length                                       4
Reserve Account Funding Date                                      15-Mar-2002
Weighted Average Coupon                                                  5.27%
Required Reserve Account Amount                                          0.00
Reserve Account Surplus                                                  0.00
Required Reserve Account Deposit                                         0.00
Portfolio Yield - 3 month average                                       12.03%
Base Rate - 3 month average                                              8.03%
(Portfolio Yield 3 mo avg) - (Base Rate 3 mo avg)                        4.00%


<PAGE>

BANC ONE CREDIT CARD MASTER TRUST  -  SUMMARY  REPORT
Series 1997-1




Distribution Date of:                                                  16-Mar-98
Determined as of:                                                      10-Feb-98
For the Monthly Period Ending:                                         28-Feb-98
Days in Interest Period (30/360)                                              30
Days in Interest Period (Actual/360)                                          27

<TABLE>
<CAPTION>

                                                                    Beginning                  Ending                   Change
                                                                    ---------                  ------                   -------
<S>                                                          <C>                     <C>                       <C>   

Pool Balance (Principal)                                     4,689,742,006.50        4,578,230,957.74          (111,511,048.76)
Excess Funding Account                                                   0.00                    0.00                     0.00
Maximum Certificate Invested Amount                          1,700,000,000.00        1,700,000,000.00                     0.00
Invested Amount                                              1,700,000,000.00        1,700,000,000.00                     0.00

Partial Amortization Amount                                              0.00                    0.00                     0.00
Specified Payment Date                          n/a
Partial Amortization Amount Principal                                    0.00                    0.00                     0.00
   All  prior Partial Amortization Amount reductions
   related to above Specified Payment Date
Partial Amortization Amount - Total                                      0.00                    0.00                     0.00

Commitment                                                     162,847,028.45          156,501,642.44            (6,345,386.01)
Available Cash Collateral Amount                               216,750,000.00          216,750,000.00                     0.00
Seller Reserve Portion                                          53,902,971.55           60,248,357.55             6,345,386.01
Unused Commitment                                                2,902,971.55            9,248,357.56             6,345,386.01

Servicing Base Amount                                        1,700,000,000.00        1,700,000,000.00                     0.00

Allocation Percentages
- ----------------------
Floating Allocation Pct                                                 36.25%
Principal Allocation Pct                                                36.25%

</TABLE>
<TABLE>
<CAPTION>

Allocations                                                    Master  Trust           Series  1997-1
- -----------                                                    -------------           --------------
<S>                                                            <C>                     <C>    

Principal Collections                                          533,677,270.56          193,454,428.56

Finance Charge Collections                                      69,053,735.48           25,031,515.63
Interest Earned on CCA-Seller Account                                      NA              230,305.84
blank                                                                                            0.00
                                                                                        -------------
Total Available Fund                                                                    25,261,821.47

Monthly Investor Obligations
- ----------------------------
Servicer Interchange                                                                     1,770,833.33
Monthly Interest                                                                         7,327,191.26
Monthly Servicing Fee                                                                    1,062,500.00
Defaulted Receivables                                           28,009,348.32           10,153,200.77
                                                                                        -------------
                                                                                        20,313,725.36

Excess Spread                                                                            4,948,096.11
Required Amount                                                                                  0.00

Prepayable Increase Amount Interest - Total                                                      0.00
Prepayable Increase Amount Interest - Paid                                                       0.00
Prepayable Increase Amount Interest - Unpaid                                                     0.00

Eurodollar  Rate                                                                             0.000000%

CP  Rate                                                                                     5.778240%
</TABLE>

<PAGE>

<TABLE>
<S>                                                                                          <C>   
Cash Collateral Account
- -----------------------
Monthly Cash Collateral Fee                                                                        61,611.94
Risk Rate Base Portion Fee                                                                              0.00
Commitment Fee
TOTAL  FEES                                                                                        61,611.94

Risk Rate Base Portion                                                                                  0.00
Risk Rate                                                                                               0.00%
Quarterly Excess Spread Percentage                                                                      2.06%
Applicable Excess Spread Percentage                                                                     0.42%
Lender Percentage                                                                                       8.25%
Beginning Cash Collateral Amount                                                              216,750,000.00
Required Cash Collateral Amount                                                               216,750,000.00
Draw Amount                                                                                             0.00
Cash Collateral Account Surplus                                                                         0.00
Beginning Seller Reserve Portion-Balance                                                       53,902,971.55
Required Seller Reserve Portion                                                                76,500,000.00
Amount Deposited to the CCA   (per 4.07(g) of Supplement)                                       6,345,386.01
Ending Cash Collateral Amount - Lender Sub-Account                                            156,501,642.44
Ending Cash Collateral Amount - Seller Sub-Account                                             60,248,357.55
Available Cash Collateral Amount - Ending Balance                                             216,750,000.00

Monthly Principal & Controlled Deposit Amount
- ---------------------------------------------
Month of Amortization                                                                                    n/a
Controlled Distribution Amount                                                                400,000,000.00
Available Investor Principal Collections                                                      203,607,629.33
Principal Shortfall                                                                           196,392,370.67
Shared Principal to Other Series                                                                        0.00
Shared Principal from Other Series                                                            196,392,370.67
Monthly Principal                                                                             400,000,000.00
Ending Invested Amount                                                                      1,300,000,000.00

Amortization Period Length
- --------------------------
Min 12 Month Historical Prin Pmt Rate                                                                   9.93%
Revolving Investor Interest                                                                 1,700,000,000.00
Invested Amount                                                                             1,700,000,000.00
Available Principal                                                                           168,885,351.51
Class A Accumulation Period Length                                                                        11

Payout  Events
- --------------
Portfolio Yield - for the month                                                                        13.11%
Portfolio Yield - 3 month average                                                                      12.20%
Base Rate - 3 month average                                                                             8.03%
(Portfolio Yield 3 mo avg) - (Base Rate 3 mo avg)                                                       4.17%
Required CCA - Available Cash Collateral Amount                                                         0.00
Required CCA - Available Cash Collateral Amount (as % of Invested Amount)                               0.00%
</TABLE>

<PAGE>


BANC ONE CREDIT CARD MASTER TRUST  -  SUMMARY  REPORT
Series 1997-2
<TABLE>
<S>                                                                       <C>  

Distribution Date of:                                                      16-Mar-98
Determined as of:                                                          10-Feb-98
For the Monthly Period Ending:                                             28-Feb-98
Days in Interest Period (30/360)                                                  30
Days in Interest Period (Actual/360)                                              27

</TABLE>

<TABLE>
<CAPTION>
                                                                        Beginning                  Ending               Change
                                                                        ---------                  ------               ------
<S>                                                                 <C>                     <C>                    <C>   


Pool Balance (Principal)                                            4,689,742,006.50        4,578,230,957.74      (111,511,048.76)
Excess Funding Account                                                          0.00                    0.00                 0.00
Maximum Certificate Invested Amount                                   900,000,000.00          900,000,000.00                 0.00
Invested Amount                                                       900,000,000.00          900,000,000.00                 0.00

Partial Amortization Amount                                                     0.00                    0.00                 0.00
Specified Payment Date                n/a
Partial Amortization Amount Principal                                           0.00                    0.00                 0.00
   All  prior Partial Amortization Amount reductions
   related to above Specified Payment Date
Partial Amortization Amount - Total                                             0.00                    0.00                 0.00

Commitment                                                             85,210,960.80           82,203,246.39        (3,007,714.41)
Available Cash Collateral Amount                                      114,750,000.00          114,750,000.00                 0.00
Seller Reserve Portion                                                 29,539,039.20           32,546,753.61         3,007,714.41
Unused Commitment                                                       2,539,039.20            5,546,753.61         3,007,714.41

Servicing Base Amount                                                 900,000,000.00          900,000,000.00                 0.00

Allocation Percentages
- ----------------------
Floating Allocation Pct                                                        19.19%
Principal Allocation Pct                                                       19.19%

Allocations                                                           Master  Trust           Series  1997-2
- -----------                                                           -------------           --------------
Principal Collections                                                 533,677,270.56          102,417,050.41

Finance Charge Collections                                             69,053,735.48           13,251,978.86
Interest Earned on CCA-Seller Account                                             NA              126,208.09
blank                                                                                                   0.00
                                                                                               -------------
Total Available Fund                                                                           13,378,186.95

Monthly Investor Obligations
- ----------------------------
Servicer Interchange                                                                              937,500.00
Monthly Interest                                                                                3,974,796.01
Monthly Servicing Fee                                                                             562,500.00
Defaulted Receivables                                                  28,009,348.32            5,375,223.94
                                                                                                ------------
                                                                                               10,850,019.95

Excess Spread                                                                                   2,528,167.01
Required Amount                                                                                         0.00

Prepayable Increase Amount Interest - Total                                                             0.00
Prepayable Increase Amount Interest - Paid                                                              0.00
Prepayable Increase Amount Interest - Unpaid                                                            0.00

Eurodollar  Rate                                                                                    0.000000%

CP  Rate                                                                                            5.888660%
</TABLE>
<PAGE>
<TABLE>
<S>                                                                                          <C>    


Cash Collateral Account
- -----------------------
Monthly Cash Collateral Fee                                                                        32,430.18
Risk Rate Base Portion Fee                                                                              0.00
Commitment Fee                                                                                        476.07
                                                                                                   ---------
TOTAL  FEES                                                                                        32,906.25

Risk Rate Base Portion                                                                                  0.00
Risk Rate                                                                                               0.00%
Quarterly Excess Spread Percentage                                                                      2.15%
Applicable Excess Spread Percentage                                                                     1.56%
Lender Percentage                                                                                       8.50%
Beginning Cash Collateral Amount                                                              114,750,000.00
Required Cash Collateral Amount                                                               114,750,000.00
Draw Amount                                                                                             0.00
Cash Collateral Account Surplus                                                                         0.00
Beginning Seller Reserve Portion-Balance                                                       29,539,039.20
Required Seller Reserve Portion                                                                38,250,000.00
Amount Deposited to the CCA   (per 4.07(g) of Supplement)                                       3,007,714.41
Ending Cash Collateral Amount - Lender Sub-Account                                             82,203,246.39
Ending Cash Collateral Amount - Seller Sub-Account                                             32,546,753.61
Available Cash Collateral Amount - Ending Balance                                             114,750,000.00

Monthly Principal & Controlled Deposit Amount
- ---------------------------------------------
Month of Amortization                                                                                    n/a
Controlled Distribution Amount                                                                          0.00
Available Investor Principal Collections                                                      107,792,274.35
Principal Shortfall                                                                                     0.00
Shared Principal to Other Series                                                              107,792,274.35
Shared Principal from Other Series                                                                      0.00
Monthly Principal                                                                                       0.00
Ending Invested Amount                                                                        900,000,000.00

Amortization Period Length
- --------------------------
Min 12 Month Historical Prin Pmt Rate                                                                   9.93%
Revolving Investor Interest                                                                   900,000,000.00
Invested Amount                                                                               900,000,000.00
Available Principal                                                                            89,409,891.98
Class A Accumulation Period Length                                                                        11

Payout  Events
- --------------
Portfolio Yield - for the month                                                                        13.12%
Portfolio Yield - 3 month average                                                                      12.20%
Base Rate - 3 month average                                                                             7.94%
(Portfolio Yield 3 mo avg) - (Base Rate 3 mo avg)                                                       4.26%
Required CCA - Available Cash Collateral Amount                                                         0.00
Required CCA - Available Cash Collateral Amount (as % of Invested Amount)                               0.00%
</TABLE>




                                                                    Exhibit 99.2

                         MONTHLY SERVICER'S CERTIFICATE
                                  BANK ONE, NA


                        BANC ONE CREDIT CARD MASTER TRUST
                                  SERIES 1994-C


           The undersigned, a duly authorized representative of BANK ONE,
COLUMBUS, NA, as Servicer ("Bank One"), pursuant to the Pooling and Servicing
Agreement dated as of November 1, 1994 (as amended and supplemented, the
"Agreement"), as supplemented by the Series 1994-C Supplement (as amended and
supplemented, the "Series Supplement"), between Bank One, as Seller and
Servicer, and Bankers Trust Company, as Trustee, does hereby certify as follows:

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

           2. Bank One is, as of the date hereof, the Servicer under the
Agreement.

           3. The undersigned is a Servicing Officer.

           4. This Certificate relates to the Distribution Date occuring on
16-Mar-98.

           5. As of the date hereof, to the best knowledge of the undersigned,
the Servicer has performed in all material respects all its obligations under
the Agreement through the Monthly Period preceding such Distribution Date. [Or
if there has been a default in the performance of any such obligation, set forth
in detail the (i) nature of such default, (ii) the action taken by the Seller
and Servicer, if any, to remedy such default and (iii) the current status of
each such default.].

           6. As of the date hereof, to the best knowledge of the undersigned,
no Pay Out Event occurred on or prior to such Distribution Date.

           7. As of the date hereof, to the best knowledge of the undersigned,
no Lien has been placed on any of the Receivables other pursuant to the
Agreement. [or, if there is a Lien, such Lien consists of ]

           IN WITNESS WHEREOF, the undersigned has duly executed and delivered
this Certificate this 10th day of March.




                               BANK ONE, NA
                               as Servicer

                               By:            /s/ Tracie Klein
                                   ---------------------------------------
                                   Name:       Tracie Klein
                                   Title:      Vice President


<PAGE>


                   MONTHLY SERVICER'S CERTIFICATE BANK ONE, NA


                        BANC ONE CREDIT CARD MASTER TRUST
                                  SERIES 1995-A


           The undersigned, a duly authorized representative of BANK ONE,
COLUMBUS, NA, as Servicer ("Bank One"), pursuant to the Pooling and Servicing
Agreement dated as of November 1, 1994 (as amended and supplemented, the
"Agreement"), as supplemented by the Series 1995-A Supplement (as amended and
supplemented, the "Series Supplement"), between Bank One, as Seller and
Servicer, and Bankers Trust Company, as Trustee, does hereby certify as follows:

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

           2. Bank One is, as of the date hereof, the Servicer under the
Agreement.

           3. The undersigned is a Servicing Officer.

           4. This Certificate relates to the Distribution Date occuring on
16-Mar-98.

           5. As of the date hereof, to the best knowledge of the undersigned,
the Servicer has performed in all material respects all its obligations under
the Agreement through the Monthly Period preceding such Distribution Date. [Or
if there has been a default in the performance of any such obligation, set forth
in detail the (i) nature of such default, (ii) the action taken by the Seller
and Servicer, if any, to remedy such default and (iii) the current status of
each such default.].

           6. As of the date hereof, to the best knowledge of the undersigned,
no Pay Out Event occurred on or prior to such Distribution Date.

           7. As of the date hereof, to the best knowledge of the undersigned,
no Lien has been placed on any of the Receivables other pursuant to the
Agreement. [or, if there is a Lien, such Lien consists of ]

           IN WITNESS WHEREOF, the undersigned has duly executed and delivered
this Certificate this 10th day of March.




                               BANK ONE, NA
                               as Servicer

                               By:            /s/ Tracie Klein
                                   ---------------------------------------
                                   Name:       Tracie Klein
                                   Title:      Vice President


<PAGE>


                         MONTHLY SERVICER'S CERTIFICATE
                                  BANK ONE, NA


                        BANC ONE CREDIT CARD MASTER TRUST
                                  SERIES 1995-B


           The undersigned, a duly authorized representative of BANK ONE,
COLUMBUS, NA, as Servicer ("Bank One"), pursuant to the Pooling and Servicing
Agreement dated as of November 1, 1994 (as amended and supplemented, the
"Agreement"), as supplemented by the Series 1995-B Supplement (as amended and
supplemented, the "Series Supplement"), between Bank One, as Seller and
Servicer, and Bankers Trust Company, as Trustee, does hereby certify as follows:

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

           2. Bank One is, as of the date hereof, the Servicer under the
Agreement.

           3. The undersigned is a Servicing Officer.

           4. This Certificate relates to the Distribution Date occuring on
16-Mar-98.

           5. As of the date hereof, to the best knowledge of the undersigned,
the Servicer has performed in all material respects all its obligations under
the Agreement through the Monthly Period preceding such Distribution Date. [Or
if there has been a default in the performance of any such obligation, set forth
in detail the (i) nature of such default, (ii) the action taken by the Seller
and Servicer, if any, to remedy such default and (iii) the current status of
each such default.].

           6. As of the date hereof, to the best knowledge of the undersigned,
no Pay Out Event occurred on or prior to such Distribution Date.

           7. As of the date hereof, to the best knowledge of the undersigned,
no Lien has been placed on any of the Receivables other pursuant to the
Agreement. [or, if there is a Lien, such Lien consists of ]

           IN WITNESS WHEREOF, the undersigned has duly executed and delivered
this Certificate this 10th day of March.




                               BANK ONE, NA
                               as Servicer

                               By:             /s/ Tracie Klein
                                  ----------------------------------------
                                  Name:        Tracie Klein
                                  Title:       Vice President

<PAGE>


                         MONTHLY SERVICER'S CERTIFICATE
                                  BANK ONE, NA


                        BANC ONE CREDIT CARD MASTER TRUST
                                  SERIES 1996-A


           The undersigned, a duly authorized representative of BANK ONE,
COLUMBUS, NA, as Servicer ("Bank One"), pursuant to the Pooling and Servicing
Agreement dated as of November 1, 1994 (as amended and supplemented, the
"Agreement"), as supplemented by the Series 1996-A Supplement dated as of March
27, 1996 (as amended and supplemented, the "Series Supplement"), between Bank
One, as Seller and Servicer, and Bankers Trust Company, as Trustee, does hereby
certify as follows:

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

           2. Bank One is, as of the date hereof, the Servicer under the
Agreement.

           3. The undersigned is a Servicing Officer.

           4. This Certificate relates to the Distribution Date occuring on
16-Mar-98.

           5. As of the date hereof, to the best knowledge of the undersigned,
the Servicer has performed in all material respects all its obligations under
the Agreement through the Monthly Period preceding such Distribution Date. [Or
if there has been a default in the performance of any such obligation, set forth
in detail the (i) nature of such default, (ii) the action taken by the Seller
and Servicer, if any, to remedy such default and (iii) the current status of
each such default; if applicable].

           6. As of the date hereof, to the best knowledge of the undersigned,
no Pay Out Event occurred on or prior to such Distribution Date.

           7. As of the date hereof, to the best knowledge of the undersigned,
no Lien has been placed on any of the Receivables other than pursuant to the
Agreement. [or, if there is a Lien, such Lien consists of ]

           IN WITNESS WHEREOF, the undersigned has duly executed and delivered
this Certificate this 10th day of March.




                               BANK ONE, NA
                               as Servicer

                               By:             /s/ Tracie Klein
                                  ----------------------------------------
                                  Name:        Tracie Klein
                                  Title:       Vice President


<PAGE>

                   MONTHLY SERVICER'S CERTIFICATE BANK ONE, NA


                        BANC ONE CREDIT CARD MASTER TRUST
                                  SERIES 1997-1

           The undersigned, a duly authorized representative of BANK ONE, NA, as
Servicer ("Bank One"), pursuant to the Pooling and Servicing Agreement dated as
of November 1, 1994 (as amended and supplemented, the "Agreement"), as
supplemented by the Series 1997-1 Supplement dated as of September 23, 1997 (as
amended and supplemented, the "Series Supplement"), between Bank One, as Seller
and Servicer, and Bankers Trust Company, as Trustee, does hereby certify as
follows:

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

           2. Bank One is, as of the date hereof, the Servicer under the
Agreement.

           3. The undersigned is a Servicing Officer.

           4. This Certificate relates to the Distribution Date occuring on
16-Mar-98.

           5. As of the date hereof, to the best knowledge of the undersigned,
the Servicer has performed in all material respects all its obligations under
the Agreement through the Monthly Period preceding such Distribution Date. [Or
if there has been a default in the performance of any such obligation, set forth
in detail the (i) nature of such default, (ii) the action taken by the Seller
and Servicer, if any, to remedy such default and (iii) the current status of
each such default; if applicable].

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

           7. As of the date hereof, to the best knowledge of the undersigned,
no Lien has been placed on any of the Receivables other than pursuant to the
Agreement. [or, if there is a Lien, such Lien consists of ]

           IN WITNESS WHEREOF, the undersigned has duly executed and delivered
this Certificate this 10th day of March.


                               BANK ONE, NA
                               as Servicer

                               By:             /s/ Tracie Klein
                                   ---------------------------------------
                                   Name:        Tracie Klein
                                   Title:       Vice President

<PAGE>


                         MONTHLY SERVICER'S CERTIFICATE
                                  BANK ONE, NA


                        BANC ONE CREDIT CARD MASTER TRUST
                                  SERIES 1997-2

           The undersigned, a duly authorized representative of BANK ONE, NA, as
Servicer ("Bank One"), pursuant to the Pooling and Servicing Agreement dated as
of November 1, 1994 (as amended and supplemented, the "Agreement"), as
supplemented by the Series 1997-2 Supplement dated as of December 17, 1997 (as
amended and supplemented, the "Series Supplement"), between Bank One, as Seller
and Servicer, and Bankers Trust Company, as Trustee, does hereby certify as
follows:

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

           2. Bank One is, as of the date hereof, the Servicer under the
Agreement.

           3. The undersigned is a Servicing Officer.

           4. This Certificate relates to the Distribution Date occuring on
16-Mar-98.

           5. As of the date hereof, to the best knowledge of the undersigned,
the Servicer has performed in all material respects all its obligations under
the Agreement through the Monthly Period preceding such Distribution Date. [Or
if there has been a default in the performance of any such obligation, set forth
in detail the (i) nature of such default, (ii) the action taken by the Seller
and Servicer, if any, to remedy such default and (iii) the current status of
each such default; if applicable].

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

           7. As of the date hereof, to the best knowledge of the undersigned,
no Lien has been placed on any of the Receivables other than pursuant to the
Agreement. [or, if there is a Lien, such Lien consists of ]

           IN WITNESS WHEREOF, the undersigned has duly executed and delivered
this Certificate this 10th day of March.


                               BANK  ONE,   NA
                               as Servicer

                               By:           /s/ Tracie Klein
                                  ----------------------------------------
                                 Name:        Tracie Klein
                                 Title:       Vice President


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