Monthly Certificateholder Statement FASCO Auto Trust 1996-1 6.65% Class A Asset-Backed Certificates 10.00% Class B Asset-Backed Certificates Distribution Date 9/16/96 Collection Period 8/96 Under the Pooling and Servicing Agreement dated as of June 28, 1996 (the "Agreement") by and among Financial Asset Securities Corp., Consumer Portfolio Services, Inc. as Servicer, and Norwest Bank Minnesota, National Association, as Trustee and as Collateral Agent, the Servicer is required to prepare certain information each month regarding current distributions to Certificateholders and the performance of the Trust during the previous month. The information which is required to be prepared with respect to the Distribution Date and Collection Period listed above is set forth below. Certain of the information is presented on the basis of an original principal amount of $1,000 per Certificate, and certain other information is presented based upon the aggregate amounts for the Trust as a whole. A. Information Regarding the Current Monthly Distribution: 1 Certificates. (a) The aggregate amount of the distribution to Class A Certificateholders on the Distribution Date set forth above $1,712,394.42 (b) The amount of the distribution set forth in paragraph A.1. (a) above in respect of interest $459,090.36 (c) The amount of the distribution set forth in in paragraph A.1. (a) above in respect of principal $1,253,304.06 (d) The amount of the distribution set forth in paragraph A.1. (a) above, per $1,000 interest $20.28 (e) The amount of the distribution set forth in paragraph A.1. (b) above, per $1,000 interest $5.44 (f) The amount of the distribution set forth in paragraph A.1. (c) above, per $1,000 interest $14.84 (g) The aggregate amount of the distribution to Class B Certificateholders on the Distribution Date set forth above (given to the Collateral Agent for deposit into the Spread Account) $102,298.18 (h) The amount of the distribution set forth in paragraph A.1. (g) above in respect of interest $36,334.81 (i) The amount of the distribution set forth in in paragraph A.1. (g) above in respect of principal $65,963.37 (j) Scheduled Payments due in such Collection Period $2,591,503.96 (k) Scheduled Payments collected in such Collection Period $2,369,156.54 B. Information Regarding the Performance of the Trust. 1 Pool Balance and Certificate Balances (a) The aggregate Principal Balance of the Receivables as of the close of business on the last day of the preceding Collection Period $87,203,550.47 (b) The Class A Certificates Balance as of the close of business on the last day set forth above, after giving effect to payments allocated to principal in paragraph A.1.(c) above $81,590,068.89 (c) The Class A Certificates Balance as of the close of business on the last day set forth above, after giving effect to payments allocated to principal in paragraph A.1.(c) above $4,294,214.15 (d) The Pool factor as of the close of business on the last day set forth above 0.9660693 2 Servicing Fee and Purchased Receivables. (a) The aggregate amount of the Servicing Fee (exclusive of the Standby Fee paid to the Standby Servicer) paid to the Servicer with respect to the Collection Period set forth above $160,134.73 (b) The aggregate amount of the Standby Fee paid to the Standby Servicer with respect to the Collection Period set forth above. $5,813.57 (c) The amount of the payment set forth in paragraph B.2. (a) above per $1,000 interest $1.90 (d) The amount of the payment set forth in paragraph B.2. (b) above per $1,000 interest $0.07 (e) The amount of any unpaid Servicing Fee $0.00 (f) The change in the amount of any unpaid Servicing Fee from the prior Distribution Date $0.00 The number and aggregate Purchase Amount of Receivables that became Purchased Receivables during the related Collection Period Number 10 Aggregate Purchase Amount $135,237.32 3 Payment Shortfalls. (a) The amount of the Class A Interest Carryover shortfall after giving effect to the payments set forth in paragraph A.1. (b) above $0.00 (b) The amount of the Class A Principal Carryover Shortfall after giving effect to the payment set forth in paragraph A.1. (c) above $0.00 (c) The amount of the Class B Interest Carryover shortfall after giving effect to the payments set forth in paragraph A.1. (h) above $0.00 (d) The amount of the Class B Principal Carryover Shortfall after giving effect to the payment set forth in paragraph A.1. (i) above $0.00 4 Payahead Account. (a) The aggregate Payahead Balance on the prior Distribution Date $46,875.69 (b) Distributions (to) from Collection Account ($8,819.78) for Payaheads (c) Interest earned on Payahead Balances $154.33 (d) Ending Payahead Account Balance $38,210.24 5 Spread Account. (a) The Specified Spread Account Balance with respect to such Distribution Date and the Spread Account Balance on the Distribution Date set forth above, after giving effect to distributions made on such Distribution Date Specified Spread Account Balance $10,950,246.09 Spread Account Balance $4,871,244.58 (b) The change in the spread account on the Distribution Date set forth above $761,146.60 6 Policy (a) The amount paid to the Certificateholders under the Policy for such Distribution Date $0.00 (b) The amount distributable to the Certificate Insurer on such Distribution Date $23,797.10 7 Losses and Delinquencies. (a) The aggregate amount of Realized Losses on the Distribution Date set forth above $0.00 (b) The change in the aggregate amount of Realized Losses from the prior Distribution Date $0.00 (c) The number of Receivables and the aggregate gross amount scheduled to be paid, including unearned finance and other charges, for which Obligors are delinquent between 31 and 59 days Number 286 Aggregate Gross Amount $3,972,000.00 (d) The number of Receivables and the aggregate gross amount scheduled to be paid, including unearned finance and other charges, for which Obligors are delinquent 60 days or more Number 107 Aggregate Gross Amount $1,542,000.00 8 Performance Triggers (a) Delinquency Ratio 5.37% (b) Average Delinquency Ratio 3.19% (c) Average Default Rate 1.63% (d) Average Loss Ratio 0.00% (e) Is a Portfolio Performance Test violation continuing? No (f) Has an Insurance Agreement Event of Default occurred? No CPS Auto Grantor Trust 1995-4 Statement to Certificateholders Is there a Deficiency Claim Amount? NO Deficiency Claim Amount 0.00 Is there a Class B Deficiency? NO Class B Deficiency 0.00 Cash Available this month to cover Class B Deficiency 0.00 Inputs Gross Collection Proceeds: 2,859,593.90 Lock Box NSF Items: (125,988.82) Transfers from (to) Payahead Account: 8,819.78 Collection Account Interest 9,986.85 Payahead Account Interest 154.33 Total Collection Proceeds: 2,752,566.04 For Distribution Date: 9/16/96 For Determination Date: 9/9/96 For Collection Period: 8/96 Collateral Activity Information Principal Beginning Principal Balance 87,203,550.47 Principal portion of payments collected (non-prepayments) 946,099.11 Prepayments in full allocable to principal 237,931.00 Collections allocable to principal 1,184,030.11 Partial prepayments relating to various contracts or policies 0.00 Liquidation Proceeds allocable to principal 0.00 Purchase Amounts allocable to principal 135,237.32 ------------------- Total Principal 1,319,267.43 Realized Losses 0.00 Cram Down Losses 0.00 Ending Principal Balance 85,884,283.04 Interest Collections allocable to interest 1,423,057.43 Liquidation Proceeds allocable to interest 0.00 Purchase Amounts allocable to interest 0.00 Recoveries from Liquidated Receivables from prior periods 100.00 ------------------- Total Interest 1,423,157.43 Certificate Information Beginning of Period Class A Principal Balance 82,843,372.95 Beginning of Period Class B Principal Balance 4,360,177.52 Miscellaneous Balances Beginning of Period Spread Account Balance 4,110,097.98 Additional Servicing Fee Amounts (late fees,prepayment charges, etc.) 14,795.48 Aggregate Payahead Balance 38,055.91 Aggregate Payahead Balance for preceding Distribution Date 46,875.69 Interest Earned on Payahead Balances 154.33 Scheduled Payments due in Collection Period 2,591,503.96 Scheduled Payments collected in Collection Period 2,369,156.54 Aggregate Amount of Realized Losses for preceding Distribution Date 0.00 Miscellaneous Current Expenses Trustee's out-of-pocket expenses 0.00 Collateral Agent's expenses 0.00 Transition Expenses to Standby Servicer 0.00 Transition Expenses to successor Servicer 0.00 Other Reimbursement Obligations to Certificate Insurer (non-Premium) 0.00 Miscellaneous Unpaid Amounts from Prior Collection Periods Unpaid Standby Fee from prior Collection Periods 0.00 Unpaid Servicing Fee from prior Collection Periods 0.00 Unpaid Trustee Fee from prior Collection Periods 0.00 Unpaid Trustee's out-of-pocket expenses from prior Collection Periods 0.00 Unpaid Collateral Agent Fee from prior Collection Periods 0.00 Unpaid Collateral Agent Expenses from prior Collection Periods 0.00 Delinquency Information Aggregate Gross Amount # of Receivables of Receivables ---------------- -------------- 31 - 59 days delinquent 286 3,972,000.00 60+ days delinquent 107 1,542,000.00 Purchased Receivables Aggregate Purchase Amt # of Receivables of Receivables ---------------- -------------- 10 135,237.32 Information for Portfolio Performance Tests Principal Balance of all Receivables delinquent more than 30 days as of the close of business on the last day of the related Collection Period. 5,514,000.00 Principal Balance of all Receivables that became Purchased Receivables as of the close of business on the last day of the related Collection Period and that were delinquent 30 days or more. 135,237.32 Principal Balance of all Receivables that became Defaulted Receivables during the related Collection Period. 256,599.47 Delinquency Ratio for second preceding Determination Date 3.21% Delinquency Ratio for third preceding Determination Date 0.99% Default Rate for second preceding Determination Date 1.34% Default Rate for third preceding Determination Date 0.00% Net Loss Ratio for second preceding Determination Date 0.00% Net Loss Ratio for third preceding Determination Date 0.00% Is a Portfolio Performance Test violation continuing? (Y/N) N Has an Insurance Agreement Event of Default occurred? (Y/N) N Calculations Total Distribution Amount All collections on receivables (incl. amts from payahead, excl. amounts deposited into payahead) 2,607,087.54 Liquidation Proceeds 0.00 Recoveries 100.00 Purchase Amounts 135,237.32 Certificate Insurer Optional Deposit pursuant to Section 4.11(iii) 0.00 Investment earnings from Collection Account 9,986.85 Investment earnings from Payahead Account 154.33 ------------------- Total Distribution Amount 2,752,566.04 Distributable Amount Principal Distributable Amount Principal portion of payments collected (non-prepayments) 946,099.11 Prepayments in full allocable to principal 237,931.00 Principal Balance of Liquidated Receivables 0.00 Purchase Amounts allocable to principal 135,237.32 Cram Down Losses 0.00 ------------------- Principal Distributable Amount 1,319,267.43 Class A Principal Distributable Amount Principal Distributable Amount 1,319,267.43 Times Class A Percentage (95%) 95% ------------------- 1,253,304.06 Certificate Insurer Optional Deposit: Class A Prin Distributable Amt. 0.00 ------------------- Class A Principal Distributable Amount 1,253,304.06 Class A Interest Distributable Amount Beginning of Period Principal Balance of the Certificates 82,843,372.95 Multiplied by Certificate Pass-Through Rate 6.65% Multiplied by 30/360, or for the first Distribution Date, by 17/360 0.0833333 ------------------- Class A Interest Distributable Amount 459,090.36 Class B Principal Distributable Amount Principal Distributable Amount 1,319,267.43 Times Class B Percentage (5%) 5% ------------------- Class B Principal Distributable Amount 65,963.37 Class B Interest Distributable Amount Beginning of Period Principal Balance of the Certificates 4,360,177.52 Multiplied by Certificate Pass-Through Rate 10.00% Multiplied by 30/360, or for the first Distribution Date, by 17/360 0.0833333 ------------------- Class B Coupon Interest Amount 36,334.81 Carryover Shortfalls from Prior Periods Class B Principal Carryover Shortfall from previous period 0.00 Interest on Class B Principal Carryover Shortfall 0.00 ------------------- 0.00 Class B Interest Carryover Shortfall from previous period 0.00 Interest on Class B Interest Carryover Shortfall 0.00 ------------------- 0.00 Class A Principal Carryover Shortfall from previous period 0.00 Interest on Class A Principal Carryover Shortfall 0.00 ------------------- 0.00 Class A Interest Carryover Shortfall from previous period 0.00 Interest on Class A Interest Carryover Shortfall 0.00 ------------------- 0.00 Calculations Distributions (Pursuant to Section 4.6(c) of the Pooling and Servicing Agreement): Use Source act distributed Source --- ------ --------------- ------ (i) Standby Fee 5,813.57 2,752,566.04 5,813.57 2,752,566.04 Servicing Fee (2.0%) 145,339.25 2,746,752.47 145,339.25 0.00 Additional Servicing Fee Amounts (late fees,prepayment charges, etc.) 14,795.48 2,601,413.22 14,795.48 0.00 Unpaid Standby Fee from prior Collection Periods 0.00 2,586,617.74 0.00 Unpaid Servicing Fee from prior Collection Periods 0.00 2,586,617.74 0.00 (ii) Transition Expenses to Standby Servicer 0.00 2,586,617.74 0.00 (iii) Trustee Fee 1,090.04 2,586,617.74 1,090.04 Trustee's out-of-pocket expenses 0.00 2,585,527.70 0.00 Unpaid Trustee Fee from prior Collection Periods 0.00 2,585,527.70 0.00 Unpaid Trustee's out-of-pocket expenses from prior Collection Periods 0.00 2,585,527.70 0.00 (iv) Collateral Agent Fee 1,090.04 2,585,527.70 1,090.04 Collateral Agent Expenses 0.00 2,584,437.66 0.00 Unpaid Collateral Agent Fee from prior Collection Periods 0.00 2,584,437.66 0.00 Unpaid Collateral Agent Expenses from prior Collection Periods 0.00 2,584,437.66 0.00 (v) Class A Interest Distributable Amount 459,090.36 2,584,437.66 459,090.36 Class A Interest Carryover Shortfall 0.00 2,125,347.30 0.00 (vi) Class B Coupon Interest 36,334.81 2,125,347.30 36,334.81 Class B Carryover Interest 0.00 2,089,012.49 0.00 (vii) Class A Principal Distributable Amount 1,253,304.06 2,089,012.49 1,253,304.06 1,499,261.98 Class A Principal Carryover Shortfall 0.00 835,708.43 0.00 1,499,261.98 (viii) Certificate Insurer Premium 23,797.10 835,708.43 23,797.10 Certificate Insurer Premium Supplement 0.00 811,911.33 0.00 Other Reimbursement Obligations to Certificate Insurer 0.00 811,911.33 0.00 (ix) Transition Expenses to successor Servicer 0.00 811,911.33 0.00 (x) Class B Principal Distributable Amount - Unadjusted 65,963.37 811,911.33 65,963.37 Current Month Class B Principal Carryover Shortfall 0.00 745,947.96 0.00 Class B Principal Carryover Shortfall - Previous Month(s) 0.00 745,947.96 0.00 Adjusted Class B Principal Distributable Amount 65,963.37 745,947.96 65,963.37 (xi) Remaining amounts to Collateral Agent for deposit in Spread Account 745,947.96 679,984.59 679,984.59 0.00 Certificate Balance Class A Beginning of Period Principal Balance 82,843,372.95 Class A Principal Distributions 1,253,304.06 Class A End of Period Principal Balance 81,590,068.89 Class B Beginning of Period Principal Balance 4,360,177.52 Class B Principal Distributable Amount 65,963.37 Class B End of Period Principal Balance 4,294,214.15 Carryover Shortfalls After Current Distributions Class B principal Carrryover Shortfall the excess if any, of the sum of Class B Principal Distributable Amount 65,963.37 Class B Principal Carryover Shortfall 0.00 over amount actually distributed as principal 65,963.37 ------------------- 0.00 Class B Interest Carrryover Shortfall the excess if any, of the sum of Class B Coupon Interest Amount 36,334.81 Class B Interest Carryover Shortfall 0.00 over amount actually distributed as interest 36,334.81 ------------------- 0.00 Class A principal Carrryover Shortfall the excess if any, of the sum of Class A Principal Distributable Amount 1,253,304.06 Class A Principal Carryover Shortfall 0.00 over amount actually distributed as principal 1,253,304.06 ------------------- 0.00 Class A Interest Carrryover Shortfall the excess if any, of the sum of Class A Interest Distributable Amount 459,090.36 Class A Interest Carryover Shortfall 0.00 over amount actually distributed as interest 459,090.36 ------------------- 0.00 Deficiency Claim Amount (i) Total Distribution Amount 2,752,566.04 (ii) Amounts payable pursuant to Section 4.6(c) (i) - (ix) 1,940,654.71 If (i) is less than (ii), there is a Deficiency Claim Amount NO Deficiency Claim Amount 0.00 Class B Deficiency (i) Amounts available to make payments pursuant to Section 4.6(c) (vi) and (x) 102,298.18 (ii) Amounts payable pursuant to Section 4.6(c) (vi) and (x) 102,298.18 If (i) is less than (ii), there is a Class B Deficiency NO Class B Deficiency 0.00 Calculations Performance Measures Calculation of Delinquency Ratio (Current Period) Delinquency Amount Receivables more than 30 days delinquent 5,514,000.00 Purchased receivables more than 30 days delinquent 135,237.32 ------------------- Total 5,649,237.32 Aggregate Gross Principal Balance as of the close of business on the last day of the Collection Period. 105,254,404.61 Delinquency Ratio 5.37% Calculation of Average Delinquency Ratio Delinquency Ratio for most recent Determination Date 5.37% Delinquency Ratio for second preceding Determination Date 3.21% Delinquency Ratio for third preceding Determination Date 0.99% ------------------- Average Delinquency Ratio 3.19% Calculation of Default Rate (Current Period) Default Amount Principal Balance of Defaulted Receivables 256,599.47 ------------------- Total 256,599.47 Calculation of Average Principal Balance Aggregate Principal Balance at end of related Collection Pd. 85,884,283.04 Aggregate Prin. Bal. at end of 2nd preceding Collection Pd. 87,203,550.47 ------------------- 86,543,916.76 Default Rate 3.56% Calculation of Average Default Rate Default Rate for most recent Determination Date 3.56% Default Rate for second preceding Determination Date 1.34% Default Rate for third preceding Determination Date 0.00% ------------------- Average Default Rate 1.63% Calculation of Net Loss Ratio (Current Determination Date) Calculation of Net Liquidation Losses Principal Balance plus accrued and unpaid interest of 0.00 Liquidated Receivables Cram Down Losses 0.00 Net Liquidation Proceeds (100.00) ------------------- Net Liquidation Losses (100.00) Calculation of Average Principal Balance Aggregate Principal Balance at end of related Collection Pd. 85,884,283.04 Aggregate Prin. Bal. at end of 2nd preceding Collection Pd. 87,203,550.47 ------------------- Average Principal Balance 86,543,916.76 Net Loss Ratio 0.00% Calculations Calculation of Average Loss Ratio Net Loss Ratio for most recent Determination Date 0.00% Net Loss Ratio for second preceding Determination Date 0.00% Net Loss Ratio for third preceding Determination Date 0.00% ------------------- Average Loss Ratio 0.00% Spread Account Spread Account Cap 12.75% of Outstanding Certificate Balance 10,950,246.09 15% of Outstanding Certificate Balance 12,882,642.46 Is a Portfolio Performance Test violation continuing? (Y/N) N Has an Insurance Agreement Event of Default occurred? (Y/N) N -------------- Cap Amount 10,950,246.09 Spread Account Floor 3.5% of the Initial Certificate Balance 3,111,526.26 Outstanding Certificate Balance 85,884,283.04 Minimum Floor 100,000.00 -------------- Floor Amount 3,111,526.26 Required Spread Account Amount 10,950,246.09 Beginning of Period Spread Account Balance 4,110,097.98 Spread Account Deposit (Withdrawal) from Current Distributions 745,947.96 Transfer (to) from Cross-Collateralized Spread Accounts 0.00 Required addition to/(eligible withdrawal from) Spread Account 6,094,200.15 Earnings on Spread Account Balance 15,198.64 Amount of Spread Account deposit (withdrawal) 0.00 Ending Spread Account Balance 4,871,244.58 IN WITNESS WHEREOF, I, Jeffrey P. Fritz, a responsible officer of Consumer Portfolio Services, Inc,. have executed this Servicer's Certificate as of the Determination Date set forth above. CONSUMER PORTFOLIO SERVICES, INC. By: ------------------------------------------------------- Name: Jeffrey P. Fritz ------------------------------------------------------- Title: Senior Vice President - Chief Financial Officer ------------------------------------------------------- Current month excess servicing fee 10.343%