AMERICAN EXPRESS CENTURION BANK
8-K, 1998-07-15
ASSET-BACKED SECURITIES
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<PAGE>

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

                       SECURITIES AND EXCHANGE COMMISSION

                             Washington, D. C. 20549

                                    FORM 8-K

                                 CURRENT REPORT

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

          Date of Report (Date of earliest event reported) July 15, 1998


                  American Express Credit Account Master Trust
                           (Issuer in respect of the
         Class A Series 1996-1 6.80% Asset Backed Certificates, 
         Class B Series 1996-1 6.95% Asset Backed Certificates, 
         Class A Series 1997-1 6.40% Asset Backed Certificates, 
         Class B Series 1997-1 6.55% Asset Backed Certificates,
         Class A Series 1998-1 Floating Rate Asset Backed Certificates and
         Class B Series 1998-1 Floating Rate Asset Backed Certificates)


                        American Express Centurion Bank
                   Co-Originator of the Trust and a Transferor
              -----------------------------------------------------
             (Exact name of registrant as specified in its charter)

        Utah                    000-20787-01                  11-2869526
- ----------------------------    ------------               ------------------
(State or other jurisdiction    (Commission                   (IRS Employer
of incorporation)               File Number)               Identification No.)

6985 Union Park Center, Midvale, Utah                             84047
- ----------------------------------------                        --------
(Address of principal executive offices)                       (Zip Code)

Registrant's telephone number, including area code          (801) 565-5000
                                                             -------------


             American Express Receivables Financing Corporation II
                  Co-Originator of the Trust and a Transferor
             -----------------------------------------------------

         Delaware                 000-20787                     13-3854638
- ----------------------------      -----------                 --------------
(State or other jurisdiction      (Commission                 (IRS Employer
      of incorporation)           File Number)            Identification No.)

200 Vesey Street, New York, New York                             10285
- -------------------------------------                            -----
(Address of principal executive offices)                      (Zip Code)

Registrant's telephone number, including area code          (212)640-4473

========================================================================
<PAGE>

Item 5.  Other Events

A.  Monthly Servicer's Certificate.

Information concerning the American Express Credit Account Master Trust
(the "Trust") is contained in the Monthly Servicer's Certificate dated July
10, 1998 for the Distribution Date occurring on July 15, 1998, covering
activity from May 26, 1998 through June 24, 1998, and provided to the Bank
of New York as Trustee under the Pooling and Servicing Agreement, (the
"Agreement") dated as of May 16, 1996. Such Monthly Servicer's Certificate
is attached hereto as Exhibit 20.1 and is incorporated herein by reference.

        On May 16, 1996, the Trust issued $865,000,000 Class A Series
1996-1 6.80% Asset Backed Certificates and $60,000,000 Class B Series
1996-1 6.95% Asset Backed Certificates (the "1996-1 Class A Certificates"
and the "1996-1 Class B Certificates", respectively, and collectively, the
"Series 1996-1 Certificates"), offered pursuant to a Prospectus Supplement
dated May 9, 1996 to Prospectus dated May 9, 1996 and issued under the
Agreement dated as of May 16, 1996, and the Series 1996-1 Supplement dated
as of May 16, 1996, to the Agreement (the "Series 1996-1 Supplement").
Interest on the Series 1996-1 Certificates accrues from May 16, 1996 and is
payable on July 16, 1996 and on the fifteenth day of each month thereafter
(or, if such fifteenth day is not a business day, the immediately
succeeding business day)(each, a "Distribution Date"). Principal with
respect to the 1996-1 Class A Certificates and the 1996-1 Class B
Certificates is scheduled to be distributed on the May 2001 Distribution
Date, but may be paid earlier or later under certain limited circumstances
as provided in the Agreement and Series 1996-1 Supplement.

        On August 7, 1997, the Trust issued $865,000,000 Class A Series
1997-1 6.40% Asset Back Certificates and $60,000,000 Class B Series 1997-1
6.55% Asset Back Certificates (the "1997-1 Class A Certificates" and the
"1997-1 Class B Certificates", respectively, and collectively, the "Series
1997-1 Certificates"), offered pursuant to a Prospectus Supplement dated
August 21, 1997 to Prospectus dated August 21, 1997 and issued under the
Agreement dated as of May 16, 1996, and the Series 1997-1 Supplement dated
as of August 7, 1997, to the Agreement (the "Series 1997-1 Supplement").
Interest on the Series 1997-1 Certificates accrues from August 28, 1997 and
is payable on October 15, 1997 and on the fifteenth day of each month
thereafter - which is the Distribution Date as described above. Principal
with respect to the 1997-1 Class A Certificates and the 1997-1 Class B
Certificates is scheduled to be distributed on the September 2002
Distribution Date, but may be paid earlier or later under certain limited
circumstances as provided in the Agreement and Series 1997-1 Supplement.

        On June 23, 1998, the Trust issued $825,000,000 Class A Series
1998-1 Floating Rate Asset Backed Certificates, bearing a certificate rate
of 0.09% per annum above the London interbank offered rate for one month
United States dollar deposits ("LIBOR"), and $80,000,000 Class B Series
1998-1 Floating Rate Asset Backed Certificates, bearing a certificate rate
of 0.25% per annum above one month LIBOR (the "1998-1 Class A Certificates"
and the "1998-1 Class B Certificates", respectively, and collectively, the
"Series 1998-1 Certificates"), offered pursuant to a Prospectus Supplement
dated June 17, 1998 to Prospectus dated June 17, 1998 and issued under the
Agreement dated as of May 16, 1996, and the Series 1998-1 Supplement dated
as of June 23, 1998, to the Agreement (the "Series 1998-1 Supplement").
Interest on the Series 1998-1 Certificates accrues from June 23, 1998 and
is payable on July 14, 1998 and on the fifteenth day of each month
thereafter - which is the Distribution Date as described above. The Series
1998-1 Certificates will have an expected final payment date of June 2003,
but may be paid earlier or later under certain limited circumstances as
provided in the Agreement and Series 1998-1 Supplement.

Item 7.  Financial Statements, Pro Forma Financial Information and Exhibits.

         (a)  Not applicable.

         (b) Not applicable.

         (c)  Exhibits:

         20.1  Series 1996-1, Series 1997-1 and Series 1998-1 Monthly 
               Servicer's Certificate dated July 10, 1998 for the July 15, 1998 
               Distribution Date.


<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 thereunto duly authorized on the date indicated.


Dated:  July 15, 1998


                                           AMERICAN EXPRESS CREDIT ACCOUNT
                                           MASTER TRUST

                                          AMERICAN EXPRESS CENTURION BANK,
                                          TRANSFEROR
 
                                           By:     /s/ Rhonda Halpern
                                                   _________________________
                                           Name:   Rhonda Halpern
                                           Title:  Chief Financial Officer and
                                                   Treasurer




                                           AMERICAN EXPRESS RECEIVABLES
                                           FINANCING CORPORATION II, TRANSFEROR


                                           By:     /s/ Leslie R. Scharfstein
                                                   _________________________
                                           Name:   Leslie R. Scharfstein
                                           Title:  President



<PAGE>

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

Designation             Description                                   Page
- -----------             -----------                                   ----


Exhibit 20.1    Series 1996-1, Series 1997-1 and Series 1998-1          5
                Monthly Servicer's Certificate dated July 10, 1998 
                for the July 15, 1998 Distribution Date.
        




                                                     Exhibit 20.1

<PAGE>

                        MONTHLY SERVICER'S CERTIFICATE

            AMERICAN EXPRESS TRAVEL RELATED SERVICES COMPANY, INC.

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


                 AMERICAN EXPRESS CREDIT ACCOUNT MASTER TRUST


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

The undersigned, a duly authorized representative of American Express Travel
Related Services Company, Inc., as Servicer ("TRS"), pursuant to the Pooling 
and Servicing Agreement, dated as of May 16, 1996 (as amended and
supplemented, the "Agreement"), as supplemented by the Series Supplements 
(as amended and supplemented, the "Series Supplements"), among TRS,
as Servicer, American Express Centurion Bank and American Express Receivables
Financing Corporation II, as Transferors, and The Bank of New York, 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 the Series Supplements, as applicable.

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

3.   The undersigned is a Servicing Officer.

4.   This Certificate relates to the Distribution Date occurring on July
15, 1998 and covers activity from May 26, 1998 through June 24, 1998.

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.

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.



      IN WITNESS WHEREOF, the undersigned has duly executed and delivered this
Certificate this 10 day of July 1998.
    



                                     AMERICAN EXPRESS TRAVEL RELATED
                                     SERVICES COMPANY, INC., as Servicer

                                     By: /s/ Lawrence Fazzari
                                        --------------------------------
                                        Name:  Lawrence Fazzari
                                        Title: Vice President 
                                               Business Results


<PAGE>
<TABLE>
<CAPTION>

I.  Monthly Period Trust Activity

<S>                                              <C>                 <C>              <C>             <C>      
A. Trust Activity                                      Trust Totals
- -----------------                                      ------------
Number of days in period                                          30
Beginning Principal Receivable Balance              3,863,857,789.34
Special Funding Account Balance                                 0.00
Beginning Total Principal Balance                   3,863,857,789.34

Finance Charge Collections (excluding                  56,240,335.00
  Discount Option & Recoveries)
Discount Percentage                                            2.00%
Discount Option Receivables Collections                 6,456,156.44
Premium Option Receivables Collections                          0.00
Recoveries                                              3,851,793.00
Total Collections of Finance Charge Receivables        66,548,284.44
Total Collections of Principal Receivables            316,351,665.56
Monthly Payment Rate                                         8.1875%
Defaulted amount                                       22,183,666.12
Annualized Default Rate                                      7.0496%
Trust Portfolio Yield                                       13.9697%
New Principal Receivables                             303,279,307.38
Ending Principal Receivables Balance                3,828,601,765.04
Ending Required Minimum Principal Balance           3,210,000,000.00
Ending Transferor Amount                              828,601,765.04
Ending Special Funding Account Balance                          0.00
Ending Total Principal Balance                      3,828,601,765.04



B. Series Allocations                               Series 1996-1      Series 1997-1    Series 1998-1     Trust Total
- ---------------------                               -------------      -------------    -------------     -----------

Group Number                                                      1                 1                 2
Invested Amount                                    1,000,000,000.00  1,000,000,000.00  1,000,000,000.00  3,000,000,000.00
Adjusted Invested Amount                           1,000,000,000.00  1,000,000,000.00  1,000,000,000.00  3,000,000,000.00
Principal Funding Account Balance                              0.00              0.00              0.00              0.00
Series Required Transferor Amount                     70,000,000.00     70,000,000.00     70,000,000.00    210,000,000.00
Series Allocation Percentage                                 33.33%            33.33%            33.33%
Series Alloc. Finance Charge Collections              22,182,761.48     22,182,761.48     22,182,761.48     66,548,284.44
Series Allocable Recoveries                            1,283,931.00      1,283,931.00      1,283,931.00      3,851,793.00
Series Alloc. Principal Collections                  105,450,555.19    105,450,555.19    105,450,555.19    316,351,665.56
Series Allocable Defaulted Amount                      7,394,555.37      7,394,555.37      7,394,555.37     22,183,666.12
</TABLE>

                                                              - 2 -
<PAGE>
<TABLE>
<CAPTION>
C. Group Allocations

<S>                                                <C>                 <C>                   <C>
1. Group 1 Allocations                              Series 1996-1         Series 1997-1         Group I Total
- ---------------------------------------------------------------------------------------------------------------------------

Investor Finance Charge Collections                  17,223,274.79       17,223,274.79          34,446,549.57

Investor Monthly Interest                             5,627,682.30        5,317,786.46          10,945,468.76
Investor Default Amount                               5,741,325.72        5,741,325.72          11,482,651.45
Investor Monthly Fees                                 1,666,666.67        1,666,666.67           3,333,333.33
Investor Additional Amounts                                   0.00                0.00                   0.00
Total                                                13,035,674.69       12,725,778.85          25,761,453.54

Reallocated Investor Finance Charge Collections      17,223,274.79       17,223,274.79          34,446,549.57
Available Excess                                      4,187,600.10        4,497,495.93           8,685,096.03

2. Group 2 Allocations                               Series 1998-1                              Group 2 Total
- ------------------------------------------------------------------------------------------------------------------------       
Invstor Finance Charge Collections                   17,223,274.79                              17,223,274.79

Investor Monthly Interest                             3,549,027.78                               3,549,027.78
Investor Default Amount                               5,741,325.72                               5,741,325.72
Investor Monthly Fees                                 1,666,666.67                               1,666,666.67
Investor Additional Amounts                                   0.00                                       0.00
Total                                                10,957,020.17                              10,957,020.17

Reallocated Investor Finance Charge Collections      17,223,274.79                              17,223,274.79
Available Excess                                      6,266,254.62                               6,266,254.62



D. Trust Performance

Delinquencies:

31-60 Days Delinquent:                              59,834,545.00
61-90 Days Delinquent:                              27,992,143.00
90+ Days Delinquent:                                38,948,841.00
Total 30+ Days Delinquent:                         126,775,529.00
</TABLE>


                                                                          - 3 -
<PAGE>
<TABLE>
<CAPTION>
II. Series 1996-1 Certificates

                                                             Series     Total  Investor   Transferors
A. Investor/Transferor Allocations                       Allocations       Interest         Interest
- ----------------------------------                       -----------       --------         --------
<S>                                               <C>                <C>              <C>               <C>
Beginning Invested /Transferor Amount               1,287,952,596.45  1,000,000,000.00 287,952,596.45
Beginning Adjusted Invested Amount                               N/A  1,000,000,000.00            N/A
Floating Allocation Percentage                                   N/A          77.6426%       22.3574%
Principal Allocation Percentage                                  N/A          77.6426%       22.3574%
Collections of Finance Chg. Receivables                22,182,761.48     17,223,274.79   4,959,486.69
Collections of Principal Receivables                  105,450,555.19     81,874,562.37  23,575,992.82
Defaulted Amount                                        7,394,555.37      5,741,325.72   1,653,229.65

Ending Invested / Transferor Amounts                1,276,200,588.35  1,000,000,000.00 276,200,588.35

- ------------------------------------------------------------------------------------------------------------------------------
                                                                                           Collateral
B. Monthly Period Funding Requirements                       Class A        Class B          Interest            Total
- ---------------------------------------                      -------        -------          --------            -----
Principal Funding Account                                       0.00              0.00          0.00              0.00
Investment Proceeds for Monthly Period                          0.00              0.00          0.00              0.00
Reserve Draw Amount                                             0.00              0.00          0.00              0.00
Available Reserve Account Amount                                0.00              0.00          0.00              0.00
Reserve Account Surplus                                         0.00              0.00          0.00              0.00

Coupon June 15 - July 14, 1998                               6.8000%           6.9500%       6.0563%
Monthly Interest Due                                    4,901,666.67        347,500.00    378,515.63      5,627,682.30
Outstanding Monthly Interest Due                                0.00              0.00          0.00              0.00
Additional Interest Due                                         0.00              0.00          0.00              0.00
Total Interest Due                                      4,901,666.67        347,500.00    378,515.63      5,627,682.30
Investor Default Amount                                 4,966,246.75        344,479.54    430,599.43      5,741,325.72
Investor Monthly Fees Due                               1,441,666.67        100,000.00    125,000.00      1,666,666.67
Investor Additional Amounts Due
Total Due                                              11,309,580.08        791,979.54    934,115.06     13,035,674.69

Reallocated Investor Finance Charge Collections                                                          17,223,274.79
Interest and Principal Funding Investment Proceeds                                                                0.00
Series Adjusted Portfolio Yield                                                                               13.9697%
Base Rate                                                                                                      8.5885%


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

                                                                                          Collateral
C. Certificates - Balances and Distributions              Class A           Class B        Interest            Total
- --------------------------------------------              --------          -------        --------            -----            

Beginning Certificates Balance                       865,000,000.00     60,000,000.00  75,000,000.00  1,000,000,000.00
Interest Distributions                                 4,901,666.67        347,500.00     378,515.63      5,627,682.30
Principal Deposits - Prin. Funding Account                     0.00              0.00           0.00              0.00
Principal Distributions                                        0.00              0.00           0.00              0.00
Total Distributions                                    4,901,666.67        347,500.00     378,515.63      5,627,682.30
Ending Certificates Balance                          865,000,000.00     60,000,000.00  75,000,000.00  1,000,000,000.00
</TABLE>

                                                                  - 4 -
<PAGE>

D.   Information regarding distributions on the Distribution Date in respect
of the Class A Certificates per $1,000 original certificate principal amount.

      1.   Total amount of the distribution:                $             5.67

      2.   Amount of the distribution in 
           respect of Class A Monthly Interest:             $             5.67

      3.   Amount of the distribution in respect of 
           Class A Outstanding Monthly Interest:            $             0.00

      4.   Amount of the distribution in respect of
           Class A Additional Interest:                     $             0.00

      5.   Amount of the distribution in 
           respect of Class A Principal:                    $             0.00


E.   Class A Investor Charge-Offs and Reimbursement of Class A Investor
Charge-Offs on such Distribution Date.

      1.   Total amount of Class A Investor Charge-Offs:    $             0.00

      2.   Amount of Class A Investor Charge-
            Offs per $1,000 original certificate 
            principal amount:                               $             0.00

      3.   Total amount reimbursed in respect of
            Class A Investor Charge-Offs:                   $             0.00

      4.   Amount reimbursed in respect of Class
            A Investor Charge-Offs per $1,000 
            original certificate principal amount:          $             0.00

      5.   The amount, if any, by which the 
            outstanding principal balance of the 
            Class A Certificates exceeds the Class
            A Invested Amount after giving effect to
            all transactions on such Distribution
            Date:                                           $             0.00


F.   Information regarding distributions in respect of the Class B
Certificates, per $1,000 original certificate principal amount.

      1.   The total amount of the distribution:            $             5.79

      2.   Amount of the distribution in  
            respect of class B monthly interest:            $             5.79

      3.   Amount of the distribution in 
            respect of class B outstanding monthly 
            interest:                                       $             0.00

      4.   Amount of the distribution in 
            respect of class B additional interest:         $             0.00


                                    - 5 -

<PAGE>

     5.   Amount of the distribution in
            respect of class B principal:                   $             0.00

G.   Amount of reductions in Class B Invested Amount pursuant to clauses (c),
(d), and (e) of the definition of Class B Invested Amount on such Distribution
Date.

      1.   The amount of reductions in Class B 
            Invested Amount pursuant to clauses 
            (c), (d), and (e) of the definition 
            of Class B Invested Amount:                     $             0.00

      2.   The amount of reductions in the 
            Class B Invested Amount set forth in
            paragraph 1 above, per $1,000 original 
            certificate principal amount:                   $             0.00

      3.   The total amount reimbursed in respect
            of such reductions in the Class B 
            Invested Amount:                                $             0.00

      4.   The amount set forth in paragraph 3 
            above, per $1,000 original certificate
            principal amount:                               $             0.00

      5.   The amount, if any, by which the 
            outstanding principal balance of the 
            Class B Certificates exceeds the Class B 
            Invested Amount after giving effect to 
            all transactions on such Distribution 
            Date:                                           $             0.00


H.   Information regarding distributions on the Distribution Date to the 
Collateral Interest Holder.

      1.   Total amount distributed to the Collateral 
            Interest Holder:                                $       378,515.63

      2.   Amount distributed in respect of Collateral 
            Monthly Interest:                               $       378,515.63

      3.   Amount distributed in respect of Collateral
            Additional Interest:                            $             0.00

      4.   The amount distributed to the Collateral 
            Interest Holder in respect of principal
            on the Collateral Invested Amount:              $             0.00


I.   Amount of reductions in Collateral Invested Amount pursuant to clauses
(c), (d), and (e) of the definition of Collateral Invested Amount.

      1.   The amount of reductions in the 
            Collateral Invested Amount pursuant 
            to clauses (c), (d), and (e) of the 
            definition of Collateral Invested Amount:       $             0.00

                                    - 6 -

<PAGE>

      2.   The total amount reimbursed in respect
            of such reductions in the Collateral 
            Invested Amount:                                $             0.00


J.   Application of Reallocated Investor Finance Charge Collections.

      1.   Class A Available Funds:                         $    14,898,132.69

           a.   Class A Monthly Interest:                   $     4,901,666.67
           b.   Class A Outstanding Monthly Interest:       $             0.00
           c.   Class A Additional Interest:                $             0.00
           d.   Class A Investor Default Amount 
                 (Treated as Available Principal 
                 Collections):                              $     4,966,246.75
           e.   Excess Spread:                              $     5,030,219.27

      2.   Class B Available Funds:                         $     1,033,396.49

           a.   Class B Monthly Interest:                   $       347,500.00
           b.   Class B Outstanding Monthly Interest:       $             0.00
           c.   Class B Additional Interest:                $             0.00
           d.   Excess Spread:                              $       685,896.49

      3.   Collateral Available Funds:                      $     1,291,745.61

           a.   Excess Spread:                              $     1,291,745.61

      4.   Total Excess Spread:                             $     7,007,861.37


K.   Reallocated Principal Collections.

      1.   Principal Allocation Percentage:                           77.6246%

      2.   Series 1996-1 Allocable Principal 
            Collections:                                    $   105,450,555.19

      3.   Principal Allocation Percentage of 
            Series 1996-1 Allocable Principal 
            Collections:                                    $    81,874,562.37

      4.   Reallocated Principal Collections 
            Required to fund the Required Amount:           $             0.00

      5.   Item 3 minus item 4:                             $    81,874,562.37

      6.   Shared Principal Collections from other 
            Series allocated to Series 1996-1:                             N/A

      7.   Other amounts Treated as Available Principal 
            Collections:                                    $     5,741,325.72

      8.   Available Principal Collections 
            (total of 5., 6. & 7.):                         $    87,615,888.09



                                    - 7 -
<PAGE>


L.   Application of Available Principal Collections during Revolving Period.

      1.   Collateral Invested Amount                       $    75,000,000.00

      2.   Required Collateral Invested Amount              $    75,000,000.00

      3.   Excess of Collateral Invested Amount 
            over Required Collateral Invested Amount:       $             0.00

      4.   Treated as Shared Principal Collections:         $    87,615,888.09


M.   Application of Principal Collections During Accumulation or Amortization
Period.

      1.   Principal Funding Account:                                      N/A

      2.   Excess of Collateral Invested Amount
            over Required Collateral Invested Amount:                      N/A

      3.   Principal Distribution:                                         N/A

      4.   Treated as Shared Principal Collections:                        N/A


N.   Application of Excess Spread and Excess Finance Charge Collections
Allocated to Series 1996-1

      1.   Excess Spread:                                   $     7,007,861.37
      2.   Excess Finance Charge Collections:               $             0.00
      3.   Applied to fund Class A Required Amount:         $             0.00
      4.   Class A Investor Charge-Offs treated 
            as Available Principal Collections:             $             0.00
      5.   Applied to fund Class B overdue Interest:        $             0.00
      6.   Applied to fund Class B Required Amount:         $       344,479.54
      7.   Reduction of Class B Invested Amount 
            treated as Available Principal Collections:     $             0.00
      8.   Applied to Collateral Monthly Interest:          $       378,515.63
      9.   Applied to unpaid Monthly Servicing Fee:         $     1,666,666.67
      10.  Collateral Default Amount treated as 
            Available Principal Collections:                $       430,599.43
      11.  Reduction of Collateral Invested Amount 
            treated as Available Principal Collections:     $             0.00
      12.  Deposited to Reserve Account:                    $             0.00
      13.  Applied to other amounts owed to 
            Collateral Interest Holder:                     $             0.00
      l4.  Balance:                                         $     4,187,600.10


IV.   Yield and Base Rate

      1.   Base Rate

           a.   Current Monthly Period             8.5885%
           b.   Prior Monthly Period               8.6034%
           c.   Second Prior Monthly Period        8.8748%

      2.   Three Month Average Base Rate                               8.6889%

      3.   Series Adjusted Portfolio Yield

           a.   Current Monthly Period              13.97%
           b.   Prior Monthly Perid                 13.87%
           c.   Second Prior Monthly Period         14.90%

      4.   Three Month Average Series Adjusted Portfolio Yield          14.25%

                                    - 8 -

<PAGE>
<TABLE>
<CAPTION>
III. Series 1997-1 Certificates
- -----------------------------------------------------------------------------------------------------------------------------------
                                                      Series       Total Investor           Transferors
A. Investor/Transferor Allocations                  Allocations      Interest                  Interest
- ----------------------------------                  -----------      --------                  --------
<S>                                          <C>               <C>                        <C>                  <C>
Beginning Invested /Transferor Amount          1,287,952,596.45 1,000,000,000.00            287,952,596.45
Beginning Adjusted Invested Amount                          N/A 1,000,000,000.00                       N/A
Floating Allocation Percentage                              N/A         77.6426%                  22.3574%
Principal Allocation Percentage                             N/A         77.6426%                  22.3574%
Collections of Finance Chg. Receivables           22,182,761.48    17,223,274.79              4,959,486.69
Collections of Principal Receivables             105,450,555.19    81,874,562.37             23,575,992.82
Defaulted Amount                                   7,394,555.37     5,741,325.72              1,653,229.65
Ending Invested / Transferor Amounts           1,276,200,588.35 1,000,000,000.00            276,200,588.35

- ----------------------------------------------------------------------------------------------------------------------------------
                                                                                                Collateral
B. Monthly Period Funding Requirements                 Class A          Class B                  Interest                 Total
- ---------------------------------------                --------         --------                 --------                 ------  

Principal Funding Account                                 0.00              0.00                      0.00                  0.00
Investment Proceeds for Monthly Period                    0.00              0.00                      0.00                  0.00
Reserve Draw Amount                                       0.00              0.00                      0.00                  0.00
Available Reserve Account Amount                          0.00              0.00                      0.00                  0.00
Reserve Account Surplus                                   0.00              0.00                      0.00                  0.00

Coupon June 15 - July 14, 1998                         6.4000%           6.5500%                   6.0313%
Monthly Interest Due                              4,613,333.33        327,500.00                376,953.13          5,317,786.46
Outstanding Monthly Interest Due                          0.00              0.00                      0.00                  0.00
Additional Interest Due                                   0.00              0.00                      0.00                  0.00
Total Interest Due                                4,613,333.33        327,500.00                376,953.13          5,317,786.46
Investor Default Amount                           4,966,246.75        344,479.54                430,599.43          5,741,325.72
Investor Monthly Fees Due                         1,441,666.67        100,000.00                125,000.00          1,666,666.67
Investor Additional Amounts Dues
Total Due                                        11,021,246.75        771,979.54                932,552.56         12,725,778.85

Reallocated Investor Finance Charge Collections                                                                    17,223,274.79
Interest and Principal Funding Investment Proceeds                                                                          0.00
Series Adjusted Portfolio Yield                                                                                         13.9697%
Base Rate                                                                                                                8.2236%

- ---------------------------------------------------------------------------------------------------------------------------------
                                                                                               Collateral
C. Certificates - Balances and Distributions      Class A              Class B                  Interest                 Total
- --------------------------------------------      -------              -------                  ---------                -----

Beginning Certificates Balance                 865,000,000.00      60,000,000.00             75,000,000.00      1,000,000,000.00
Interest Distributions                           4,613,333.33         327,500.00                376,953.13          5,317,786.46
Principal Deposits - Prin. Funding Account               0.00               0.00                      0.00                  0.00
Principal Distributions                                  0.00               0.00                      0.00                  0.00
Total Distributions                              4,613,333.33         327,500.00                376,953.13          5,317,786.46
Ending Certificates Balance                    865,000,000.00      60,000,000.00             75,000,000.00      1,000,000,000.00
</TABLE>
                                                                         
                                                                            -9-
<PAGE>

D.   Information regarding distributions on the Distribution Date in respect
of the Class A Certificates per $1,000 original certificate principal amount.

      1.   Total amount of the distribution:                $             5.33

      2.   Amount of the distribution in 
           respect of Class A Monthly Interest:             $             5.33

      3.   Amount of the distribution in respect of 
           Class A Outstanding Monthly Interest:            $             0.00

      4.   Amount of the distribution in respect of
           Class A Additional Interest:                     $             0.00

      5.   Amount of the distribution in 
           respect of Class A Principal:                    $             0.00


E.   Class A Investor Charge-Offs and Reimbursement of Class A Investor
Charge-Offs on such Distribution Date.

      1.   Total amount of Class A Investor Charge-Offs:    $             0.00

      2.   Amount of Class A Investor Charge-
            Offs per $1,000 original certificate 
            principal amount:                               $             0.00

      3.   Total amount reimbursed in respect of
            Class A Investor Charge-Offs:                   $             0.00

      4.   Amount reimbursed in respect of Class
            A Investor Charge-Offs per $1,000 
            original certificate principal amount:          $             0.00

      5.   The amount, if any, by which the 
            outstanding principal balance of the 
            Class A Certificates exceeds the Class
            A Invested Amount after giving effect to
            all transactions on such Distribution
            Date:                                           $             0.00


F.   Information regarding distributions in respect of the Class B
Certificates, per $1,000 original certificate principal amount.

      1.   The total amount of the distribution:            $             5.46

      2.   Amount of the distribution in  
            respect of class B monthly interest:            $             5.46

      3.   Amount of the distribution in 
            respect of class B outstanding monthly 
            interest:                                       $             0.00

      4.   Amount of the distribution in 
            respect of class B additional interest:         $             0.00


                                    - 10 -
<PAGE>


     5.   Amount of the distribution in
            respect of class B principal:                   $             0.00

G.   Amount of reductions in Class B Invested Amount pursuant to clauses (c),
(d), and (e) of the definition of Class B Invested Amount on such Distribution
Date.

      1.   The amount of reductions in Class B 
            Invested Amount pursuant to clauses 
            (c), (d), and (e) of the definition 
            of Class B Invested Amount:                     $             0.00

      2.   The amount of reductions in the 
            Class B Invested Amount set forth in
            paragraph 1 above, per $1,000 original 
            certificate principal amount:                   $             0.00

      3.   The total amount reimbursed in respect
            of such reductions in the Class B 
            Invested Amount:                                $             0.00

      4.   The amount set forth in paragraph 3 
            above, per $1,000 original certificate
            principal amount:                               $             0.00

      5.   The amount, if any, by which the 
            outstanding principal balance of the 
            Class B Certificates exceeds the Class B 
            Invested Amount after giving effect to 
            all transactions on such Distribution 
            Date:                                           $             0.00


H.   Information regarding distributions on the Distribution Date to the 
Collateral Interest Holder.

      1.   Total amount distributed to the Collateral 
            Interest Holder:                                $       376,953.13

      2.   Amount distributed in respect of Collateral 
            Monthly Interest:                               $       376,953.13

      3.   Amount distributed in respect of Collateral
            Additional Interest:                            $             0.00

      4.   The amount distributed to the Collateral 
            Interest Holder in respect of principal
            on the Collateral Invested Amount:              $             0.00


I.   Amount of reductions in Collateral Invested Amount pursuant to clauses
(c), (d), and (e) of the definition of Collateral Invested Amount.

      1.   The amount of reductions in the 
            Collateral Invested Amount pursuant 
            to clauses (c), (d), and (e) of the 
            definition of Collateral Invested Amount:       $             0.00

                                    - 11 -
<PAGE>


      2.   The total amount reimbursed in respect
            of such reductions in the Collateral 
            Invested Amount:                                $             0.00


J.   Application of Reallocated Investor Finance Charge Collections.

      1.   Class A Available Funds:                         $    14,898,132.69

           a.   Class A Monthly Interest:                   $     4,613,333.33
           b.   Class A Outstanding Monthly Interest:       $             0.00
           c.   Class A Additional Interest:                $             0.00
           d.   Class A Investor Default Amount 
                 (Treated as Available Principal 
                 Collections):                              $     4,966,246.75
           e.   Excess Spread:                              $     5,318,552.61

      2.   Class B Available Funds:                         $     1,033,396.49

           a.   Class B Monthly Interest:                   $       327,500.00
           b.   Class B Outstanding Monthly Interest:       $             0.00
           c.   Class B Additional Interest:                $             0.00
           d.   Excess Spread:                              $       705,896.49

      3.   Collateral Available Funds:                      $     1,291,745.61

           a.   Excess Spread:                              $     1,291,745.61

      4.   Total Excess Spread:                             $     7,316,194.70


K.   Reallocated Principal Collections.

      1.   Principal Allocation Percentage:                           77.6246%

      2.   Series 1997-1 Allocable Principal 
            Collections:                                    $   105,450,555.19

      3.   Principal Allocation Percentage of 
            Series 1997-1 Allocable Principal 
            Collections:                                    $    81,874,562.37

      4.   Reallocated Principal Collections 
            Required to fund the Required Amount:           $             0.00

      5.   Item 3 minus item 4:                             $    81,874,562.37

      6.   Shared Principal Collections from other 
            Series allocated to Series 1997-1:                             N/A

      7.   Other amounts Treated as Available Principal 
            Collections:                                    $     5,741,325.72

      8.   Available Principal Collections 
            (total of 5., 6. & 7.):                         $    87,615,888.09



                                    - 12 -
<PAGE>


L.   Application of Available Principal Collections during Revolving Period.

      1.   Collateral Invested Amount                       $    75,000,000.00

      2.   Required Collateral Invested Amount              $    75,000,000.00

      3.   Excess of Collateral Invested Amount 
            over Required Collateral Invested Amount:       $             0.00

      4.   Treated as Shared Principal Collections:         $    87,615,888.09


M.   Application of Principal Collections During Accumulation or Amortization
Period.

      1.   Principal Funding Account:                                      N/A

      2.   Excess of Collateral Invested Amount
            over Required Collateral Invested Amount:                      N/A

      3.   Principal Distribution:                                         N/A

      4.   Treated as Shared Principal Collections:                        N/A


N.   Application of Excess Spread and Excess Finance Charge Collections
Allocated to Series 1997-1

      1.   Excess Spread:                                   $     7,316,194.70
      2.   Excess Finance Charge Collections:               $             0.00
      3.   Applied to fund Class A Required Amount:         $             0.00
      4.   Class A Investor Charge-Offs treated 
            as Available Principal Collections:             $             0.00
      5.   Applied to fund Class B overdue Interest:        $             0.00
      6.   Applied to fund Class B Required Amount:         $       344,479.54
      7.   Reduction of Class B Invested Amount 
            treated as Available Principal Collections:     $             0.00
      8.   Applied to Collateral Monthly Interest:          $       376,953.13
      9.   Applied to unpaid Monthly Servicing Fee:         $     1,666,666.67
      10.  Collateral Default Amount treated as 
            Available Principal Collections:                $       430,599.43
      11.  Reduction of Collateral Invested Amount 
            treated as Available Principal Collections:     $             0.00
      12.  Deposited to Reserve Account:                    $             0.00
      13.  Applied to other amounts owed to 
            Collateral Interest Holder:                     $             0.00
      l4.  Balance:                                         $     4,497,495.93


IV.   Yield and Base Rate

      1.   Base Rate

           a.   Current Monthly Period             8.2236%
           b.   Prior Monthly Period               8.2384%
           c.   Second Prior Monthly Period        8.4978%

      2.   Three Month Average Base Rate                               8.3199%

      3.   Series Adjusted Portfolio Yield

           a.   Current Monthly Period              13.97%
           b.   Prior Monthly Perid                 13.87%
           c.   Second Prior Monthly Period         14.90%

      4.   Three Month Average Series Adjusted Portfolio Yield          14.25%

                                    - 13 -

<PAGE>
<TABLE>
<CAPTION>

III. Series 1998-1 Certificates
- ----------------------------------------------------------------------------------------------------------------------------------
<S>                                      <C>                  <C>                     <C>                      <C>
                                                  Series          Total Investor           Transferors
A. Investor/Transferor Allocations               Allocations          Interest               Interest
- -----------------------------------              -----------          --------               --------
Beginning Invested /Transferor Amount       1,287,952,596.45    1,000,000,000.00         287,952,596.45
Beginning Adjusted Invested Amount                       N/A    1,000,000,000.00                    N/A
Floating Allocation Percentage                           N/A            77.6426%               22.3574%
Principal Allocation Percentage                          N/A            77.6426%               22.3574%
Collections of Finance Chg. Receivables        22,182,761.48       17,223,274.79           4,959,486.69
Collections of Principal Receivables          105,450,555.19       81,874,562.37          23,575,992.82
Defaulted Amount                                7,394,555.37        5,741,325.72           1,653,229.65

Ending Invested / Transferor Amounts        1,276,200,588.35    1,000,000,000.00         276,200,588.35

- -----------------------------------------------------------------------------------------------------------------------------------
                                                                                            Collateral
B. Monthly Period Funding Requirements             Class A             Class B               Interest                      Total
- --------------------------------------             --------            --------              ---------                     -----  
Principal Funding Account                               0.00                0.00                   0.00                     0.00
Investment Proceeds for Monthly Period                  0.00                0.00                   0.00                     0.00
Reserve Draw Amount                                     0.00                0.00                   0.00                     0.00
Available Reserve Account Amount                        0.00                0.00                   0.00                     0.00
Reserve Account Surplus                                 0.00                0.00                   0.00                     0.00

Coupon May 23 - July 14, 1998                        5.7463%             5.9063%                6.2563%
Monthly Interest Due                            2,897,067.71          288,750.00             363,210.07             3,549,027.78
Outstanding Monthly Interest Due                        0.00                0.00                   0.00                     0.00
Additional Interest Due                                 0.00                0.00                   0.00                     0.00
Total Interest Due                              2,897,067.71          288,750.00             363,210.07             3,549,027.78
Investor Default Amount                         4,736,593.72          459,306.06             545,425.94             5,741,325.72
Investor Monthly Fees Due                       1,375,000.00          133,333.33             158,333.33             1,666,666.67
Investor Additional Amounts Dues
Total Due                                       9,008,661.43          881,389.39           1,066,969.35            10,957,020.17

Reallocated Investor Finance Charge Collections                                                                    17,223,274.79
Interest and Principal Funding Investment Proceeds                                                                          0.00
Series Adjusted Portfolio Yield                                                                                         13.9697%
Base Rate                                                                                                                6.1411%

- -----------------------------------------------------------------------------------------------------------------------------------
                                                                                            Collateral
C. Certificates - Balances and Distributions         Class A            Class B               Interest                    Total
- ---------------------------------------------        -------            --------              --------                    -----   

Beginning Certificates Balance                825,000,000.00       80,000,000.00          95,000,000.00         1,000,000,000.00
Interest Distributions                          2,897,067.71          288,750.00             363,210.07             3,549,027.78
Principal Deposits - Prin. Funding Account              0.00                0.00                   0.00                     0.00
Principal Distributions                                 0.00                0.00                   0.00                     0.00
Total Distributions                             2,897,067.71          288,750.00             363,210.07             3,549,027.78
Ending Certificates Balance                   825,000,000.00       80,000,000.00          95,000,000.00         1,000,000,000.00

</TABLE>
                                                                        - 14 -
<PAGE>

D.   Information regarding distributions on the Distribution Date in respect
of the Class A Certificates per $1,000 original certificate principal amount.

      1.   Total amount of the distribution:                $             3.51

      2.   Amount of the distribution in 
           respect of Class A Monthly Interest:             $             3.51

      3.   Amount of the distribution in respect of 
           Class A Outstanding Monthly Interest:            $             0.00

      4.   Amount of the distribution in respect of
           Class A Additional Interest:                     $             0.00

      5.   Amount of the distribution in 
           respect of Class A Principal:                    $             0.00


E.   Class A Investor Charge-Offs and Reimbursement of Class A Investor
Charge-Offs on such Distribution Date.

      1.   Total amount of Class A Investor Charge-Offs:    $             0.00

      2.   Amount of Class A Investor Charge-
            Offs per $1,000 original certificate 
            principal amount:                               $             0.00

      3.   Total amount reimbursed in respect of
            Class A Investor Charge-Offs:                   $             0.00

      4.   Amount reimbursed in respect of Class
            A Investor Charge-Offs per $1,000 
            original certificate principal amount:          $             0.00

      5.   The amount, if any, by which the 
            outstanding principal balance of the 
            Class A Certificates exceeds the Class
            A Invested Amount after giving effect to
            all transactions on such Distribution
            Date:                                           $             0.00


F.   Information regarding distributions in respect of the Class B
Certificates, per $1,000 original certificate principal amount.

      1.   The total amount of the distribution:            $             3.61

      2.   Amount of the distribution in  
            respect of class B monthly interest:            $             3.61

      3.   Amount of the distribution in 
            respect of class B outstanding monthly 
            interest:                                       $             0.00

      4.   Amount of the distribution in 
            respect of class B additional interest:         $             0.00


                                    - 15 -
<PAGE>


     5.   Amount of the distribution in
            respect of class B principal:                   $             0.00

G.   Amount of reductions in Class B Invested Amount pursuant to clauses (c),
(d), and (e) of the definition of Class B Invested Amount on such Distribution
Date.

      1.   The amount of reductions in Class B 
            Invested Amount pursuant to clauses 
            (c), (d), and (e) of the definition 
            of Class B Invested Amount:                     $             0.00

      2.   The amount of reductions in the 
            Class B Invested Amount set forth in
            paragraph 1 above, per $1,000 original 
            certificate principal amount:                   $             0.00

      3.   The total amount reimbursed in respect
            of such reductions in the Class B 
            Invested Amount:                                $             0.00

      4.   The amount set forth in paragraph 3 
            above, per $1,000 original certificate
            principal amount:                               $             0.00

      5.   The amount, if any, by which the 
            outstanding principal balance of the 
            Class B Certificates exceeds the Class B 
            Invested Amount after giving effect to 
            all transactions on such Distribution 
            Date:                                           $             0.00


H.   Information regarding distributions on the Distribution Date to the 
Collateral Interest Holder.

      1.   Total amount distributed to the Collateral 
            Interest Holder:                                $       363,210.07

      2.   Amount distributed in respect of Collateral 
            Monthly Interest:                               $       363,210.07

      3.   Amount distributed in respect of Collateral
            Additional Interest:                            $             0.00

      4.   The amount distributed to the Collateral 
            Interest Holder in respect of principal
            on the Collateral Invested Amount:              $             0.00


I.   Amount of reductions in Collateral Invested Amount pursuant to clauses
(c), (d), and (e) of the definition of Collateral Invested Amount.

      1.   The amount of reductions in the 
            Collateral Invested Amount pursuant 
            to clauses (c), (d), and (e) of the 
            definition of Collateral Invested Amount:       $             0.00

                                    - 16 -
<PAGE>


      2.   The total amount reimbursed in respect
            of such reductions in the Collateral 
            Invested Amount:                                $             0.00


J.   Application of Reallocated Investor Finance Charge Collections.

      1.   Class A Available Funds:                         $    14,209,201.70

           a.   Class A Monthly Interest:                   $     2,897,067.71
           b.   Class A Outstanding Monthly Interest:       $             0.00
           c.   Class A Additional Interest:                $             0.00
           d.   Class A Investor Default Amount 
                 (Treated as Available Principal 
                 Collections):                              $     4,736,593.72
           e.   Excess Spread:                              $     6,575,540.27

      2.   Class B Available Funds:                         $     1,377,861.98

           a.   Class B Monthly Interest:                   $       288,750.00
           b.   Class B Outstanding Monthly Interest:       $             0.00
           c.   Class B Additional Interest:                $             0.00
           d.   Excess Spread:                              $     1,089,111.98

      3.   Collateral Available Funds:                      $     1,636,211.10

           a.   Excess Spread:                              $     1,636,211.10

      4.   Total Excess Spread:                             $     9,300,863.36


K.   Reallocated Principal Collections.

      1.   Principal Allocation Percentage:                           77.6246%

      2.   Series 1998-1 Allocable Principal 
            Collections:                                    $   105,450,555.19

      3.   Principal Allocation Percentage of 
            Series 1998-1 Allocable Principal 
            Collections:                                    $    81,874,562.37

      4.   Reallocated Principal Collections 
            Required to fund the Required Amount:           $             0.00

      5.   Item 3 minus item 4:                             $    81,874,562.37

      6.   Shared Principal Collections from other 
            Series allocated to Series 1998-1:                             N/A

      7.   Other amounts Treated as Available Principal 
            Collections:                                    $     5,741,325.72

      8.   Available Principal Collections 
            (total of 5., 6. & 7.):                         $    87,615,888.09



                                    - 17 -

<PAGE>

L.   Application of Available Principal Collections during Revolving Period.

      1.   Collateral Invested Amount                       $    95,000,000.00

      2.   Required Collateral Invested Amount              $    95,000,000.00

      3.   Excess of Collateral Invested Amount 
            over Required Collateral Invested Amount:       $             0.00

      4.   Treated as Shared Principal Collections:         $    87,615,888.09


M.   Application of Principal Collections During Accumulation or Amortization
Period.

      1.   Principal Funding Account:                                      N/A

      2.   Excess of Collateral Invested Amount
            over Required Collateral Invested Amount:                      N/A

      3.   Principal Distribution:                                         N/A

      4.   Treated as Shared Principal Collections:                        N/A


N.   Application of Excess Spread and Excess Finance Charge Collections
Allocated to Series 1998-1

      1.   Excess Spread:                                   $     9,300,863.36
      2.   Excess Finance Charge Collections:               $             0.00
      3.   Applied to fund Class A Required Amount:         $             0.00
      4.   Class A Investor Charge-Offs treated 
            as Available Principal Collections:             $             0.00
      5.   Applied to fund Class B overdue Interest:        $             0.00
      6.   Applied to fund Class B Required Amount:         $       459,306.06
      7.   Reduction of Class B Invested Amount 
            treated as Available Principal Collections:     $             0.00
      8.   Applied to Collateral Monthly Interest:          $       363,210.07
      9.   Applied to unpaid Monthly Servicing Fee:         $     1,666,666.67
      10.  Collateral Default Amount treated as 
            Available Principal Collections:                $       545,425.94
      11.  Reduction of Collateral Invested Amount 
            treated as Available Principal Collections:     $             0.00
      12.  Deposited to Reserve Account:                    $             0.00
      13.  Applied to other amounts owed to 
            Collateral Interest Holder:                     $             0.00
      l4.  Balance:                                         $     6,266,253.62


IV.   Yield and Base Rate

      1.   Base Rate

           a.   Current Monthly Period             6.1411%
           b.   Prior Monthly Period               N/A
           c.   Second Prior Monthly Period        N/A

      2.   Three Month Average Base Rate                               N/A

      3.   Series Adjusted Portfolio Yield

           a.   Current Monthly Period              13.97%
           b.   Prior Monthly Perid                 N/A
           c.   Second Prior Monthly Period         N/A

      4.   Three Month Average Series Adjusted Portfolio Yield          N/A

                                    - 18 -
<PAGE>


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