MONTHLY SERVICER REPORT Page: 1 Issuer: GREATAMERICA LEASING RECEIVABLES 2000-1, L.L.C. Seller and Servicer: GreatAmerica Leasing Corporation Distribution Date: 4/20/2001 Run Date: Mon Apr 16, 2001 PAYMENT SUMMARY - --------------- Class Beginning Pass Through Interest Principal Total Ending Name CUSIP Balance Rate Paid Paid Distribution Balance - ----- --------- ------------- ------------ ---------- ------------ ------------ ------------- A-1 391533AA4 7,905,353.76 6.96088000% 47,385.41 5,885,294.57 5,932,679.98 2,020,059.19 A-2 391533AB2 61,874,575.23 7.36000000% 379,497.39 0.00 379,497.39 61,874,575.23 A-3 391533AC0 23,157,735.76 7.47000000% 144,156.91 0.00 144,156.91 23,157,735.76 A-4 391533AD8 44,023,820.59 7.51000000% 275,515.74 0.00 275,515.74 44,023,820.59 B 391533AE6 9,026,820.48 7.60000000% 57,169.86 387,886.40 445,056.26 8,638,934.08 C 391533AF3 9,437,130.51 7.75000000% 60,948.13 405,517.60 466,465.74 9,031,612.90 D 391533AG1 4,595,472.25 8.14000000% 31,172.62 197,469.44 228,642.06 4,398,002.81 Totals 160,020,908.57 995,846.07 6,876,168.01 7,872,014.08 153,144,740.56 Target (defined) Investor Class Principal Class Percentage Amount - ----- ---------- ------------- AGGSNR 83.4500 131,076,190.77 B 5.5000 8,638,934.08 C 5.7500 9,031,612.90 D 2.8000 4,398,002.81 (Retained) Certificate Balance 3,926,788.22 % of Agg. Collateral Value, beginning 2.3926% % of Agg. Collateral Value, ending 2.5000% Monthly Principal Amount 7,052,480.01 Additional Principal 0.00 Overcollateralization Balance, beginning 4,103,100.22 Overcollateralization Balance, ending 3,926,788.22 Cumulative Loss Amount 0.00 MONTHLY SERVICER REPORT Page: 2 Issuer: GREATAMERICA LEASING RECEIVABLES 2000-1, L.L.C. Seller and Servicer: GreatAmerica Leasing Corporation Distribution Date: 4/20/2001 Run Date: Mon Apr 16, 2001 OTHER INFORMATION - ----------------- AGGREGATE COLLATERAL VALUE (Discount Rate = 8.207%) Initial Aggregate Discounted Contract Balance 241,226,414.17 Aggregate Discounted Contract Balance, beginning 164,124,008.79 Aggregate Discounted Contract Balance, ending 157,071,528.78 RESIDUAL ACCOUNT Residual Account Balance, beginning 0.00 Residual Account Balance, ending 0.00 SERVICER ADVANCES Cumulative un-reimbursed Servicer Advances, beginning 1,235,777.11 Unreimbursed Servicer Advances collected 717,360.22 Servicer Advances for the current Due Period 679,695.54 Non-recoverable Unreimbursed Servicer Advances 46,526.19 Cumulative un-reimbursed Servicer Advances, ending 1,151,586.24 PAYAHEAD ACCOUNT Advance Payment Balance, beginning 3,098,710.16 Pymts rec'd in prior periods attributable to Current Due Period 2,937,479.90 Pymts attributable to Future Due Periods 3,268,897.76 Advance Payment Balance, ending 3,430,128.02 SUBSTITUTIONS Defaulted Leases and Adj. Contracts Substituted to date, beginning 2,798,218.09 Defaulted Leases and Adj. Contracts Substituted this month 551,047.90 Defaulted Leases and Adj. Contracts Substituted to date, ending 3,349,265.99 % of Agg. Collateral Value at Cut-Off Date (not to exceed 10%) 1.39% Non-Defaulted Leases or Adj. Contracts Substituted to date, beginning 0.00 Non-Defaulted Leases or Adj. Contracts Substituted this month 0.00 Non-Defaulted Leases or Adj. Contracts Substituted to date, ending 0.00 RESERVE FUND Reserve Account Balance, beginning 2,412,264.14 Required Reserve Amount 2,412,264.14 Required Draw to Increase Available Funds 0.00 Reserve Fund Deficiency covered by Excess Available Funds 0.00 Excess Reserve Funds released to Waterfall 0.00 Reserve Account Balance, ending 2,412,264.14 MONTHLY SERVICER REPORT Page: 3 Issuer: GREATAMERICA LEASING RECEIVABLES 2000-1, L.L.C. Seller and Servicer: GreatAmerica Leasing Corporation Distribution Date: 4/20/2001 Run Date: Mon Apr 16, 2001 OTHER INFORMATION (continued) - ----------------------------- AVAILABLE FUNDS (COLLECTION ACCOUNT) Scheduled Payments Received 7,577,069.99 Reinv. from Collection, Payahead, Residual, and Reserve Account 52,585.76 Past due payments received 717,360.22 Past due payments due on Early Termination (from Seller) 0.00 Proceeds from Prepayments not Replaced 710,649.18 Recoveries on Non-Performing Leases not Substituted 0.00 Servicer Advances 679,695.54 Casualty and Termination Payments 0.00 Expired Contract Proceeds 141,030.64 Repurchase of Ineligible Contracts 0.00 Defaulted Contract Recoveries 26,161.25 Net decrease in Advance Lease Payments Balance -331,417.86 Excess Reserve Funds 0.00 Total Available Funds 9,573,134.72 DISTRIBUTION OF FUNDS Pursuant to Section 7.05(a) of the Sale and Servicing Agreement Available Funds 9,573,134.72 Reserve Fund Draw to Increase Available Funds 0.00 (i) To the Servicer, unreimbursed Servicer Advances 763,886.41 (iii) To the Servicer, Servicing Fee (75 bp) 102,577.51 (v) - (viii) Note Interest Paid 995,846.07 (ix) - (xvi) Note Principal Paid 6,876,168.01 (xvii) Reserve Fund Deposit 0.00 (xx) Remainder to the Issuer 834,656.72 DELINQUENCY AND LOSS INFORMATION Number of Ending Contract Contracts Balance Remain. Percentage --------- --------------- ---------- Current 25,251 168,805,907.28 99.00% 31-60 days 186 902,867.02 0.53 61-90 days 89 466,102.39 0.27 91-120 days 57 327,627.07 0.19 Current Current Current Cumulative Losses Recoveries Net Loss Net Loss Amount - ------------ ------------ ------------ --------------- 248,533.97 39,660.42 208,873.55 2,641,583.74 RESIDUAL EVENT TRIGGERS Average of Current Prior 2nd Prior Last 3 Months Due Period Due Period Due Period ------------- ---------- ---------- ---------- Residual Realization Percentage 138.46% 145.33% 138.06% 132.00% Delinquency Percentage 1.14 1.00 1.32 1.09 Cumulative Net Loss Percentage 1.10 1.01 0.91 Residual Event? No The undersigned officer of the Servicer hereby certifies that the information contained in this Monthly Servicer Report is true and accurate in all respects; and that no Servicer Default or event that with notice or lapse of time or both would become a Servicer default, has occurred. GreatAmerica Leasing Corporation, as Servicer By:/s/Stanley Herkelman__________________________________________ Stan Herkelman Chief Financial Officer