Partners First Credit Card Master Trust Monthly Trust Activity A. Trust Level Activity Number of Days in Monthly Period 30 Beginning Principal Receivables Balance 1,626,009,048.40 Beginning Special Funding Account Balance 0.00 Beginning Principal Receivables + SFA Balance 1,626,009,048.40 Beginning Finance Charge Receivables 50,963,000.59 Beginning Total Receivables 1,676,972,049.00 Special Funding Account Earnings 0.00 Finance Charge Collections 31,897,116.15 Interest/Fee Reversals (Wachovia accounts only) -50,965.01 Interchange Collections 2,365,325.59 Collection Account Investment Proceeds 0.00 Recoveries treated as Finance Charge Collections 0.00 Total Finance Charge Receivables Collections 34,211,476.73 Principal Receivables Collections 218,816,828.49 Recoveries treated as Principal Collections 1,243,271.19 Total Principal Receivables Collections 220,060,099.68 Monthly Payment Rate (Principal plus Interest divided by Prin.Rec. @ End of Addition/Removal Day) 11.82% Defaulted Amount (Net of Recoveries) 13,425,606.67 Additional Defaults due to change in charge-off policy 549,094.37 Annualized Default Rate 7.91% Trust Portfolio Yield 19.36% Aggregate Account Addition or Removal (Y/N)? Y Date of Addition/Removal 06/01/2000 Principal Receivables at the end of the day of Addition/Removal 2,121,043,126.29 SFA Balance at the end of the day of Addition/Removal 0.00 Principal Receivables + SFA Balance at the end of the day of Addition/Removal 2,121,043,126.29 Ending Principal Receivables Balance 2,073,819,571.77 Ending Special Funding Account (SFA) Balance 0.00 Ending Principal Receivables + SFA Balance 2,073,819,571.77 Ending Finance Charge Receivables 56,605,897.83 Ending Total Receivables 2,130,425,469.60 Required Minimum Principal Balance 1,603,768,077.85 Partners First Credit Card Master Trust Monthly Trust Activity B. Series Allocations Total 1998-2 1998-3 Group 1 1 Class A Beginning Invested Amount 1,056,000,000.00 528,000,000.00 528,000,000.00 Class B Beginning Invested Amount 226,000,000.00 113,000,000.00 113,000,000.00 Collateral Beginning Invested Amount 134,000,000.00 67,000,000.00 67,000,000.00 Class D Beginning Invested Amount 82,848,670.88 41,424,335.44 41,424,335.44 Total Beginning Invested Amount 1,498,848,670.88 749,424,335.44 749,424,335.44 Required Transferor Amount 104,919,406.96 52,459,703.48 52,459,703.48 Invested Amount + Req Transf Amount 1,603,768,077.85 801,884,038.92 801,884,038.92 Series Allocation Percentage 100.00% 50.00% 50.00% Series Allocable Finance Charge Collections 34,211,476.73 17,105,738.37 17,105,738.37 Series Allocable Principal Collections 220,060,099.68 110,030,049.84 110,030,049.84 Series Allocable Defaulted Amounts 13,425,606.67 6,712,803.34 6,712,803.34 Series Alloc Addtl Defaults due to change in c/o policy 549,094.37 274,547.18 274,547.18 Series Allocable Servicing Fee 2,498,504.69 1,248,504.69 1,250,000.00 In Revolving Period? Y Y Available for Principal Sharing Series 165,464,665.02 82,693,035.09 82,771,629.94 Principal Shortfall 0.00 0.00 0.00 Allocation of Shared Principal Collections 0.00 0.00 0.00 Available for Excess Allocation Series 0.00 0.00 0.00 Finance Charge Shortfall 17,019,650.72 12,328,557.28 4,691,093.44 Allocation of Excess Finance Charge Collections 0.00 0.00 0.00 B. Series Allocations Amounts Due 1998-2 1998-3 Transferor's Percentage 29.33% 29.33% Principal Allocation Percentage 70.67% 70.67% Floating Allocation Percentage 70.67% 70.67% Class A Certificate Rate 6.7513% 6.7813% Class B Certificate Rate 6.9613% 7.0113% CIA Certificate Rate 7.5263% 7.6263% CIA Secured Loan Spread Rate 7.2763% 7.3763% Class D Certificate Rate 0.0000% 0.0000% Class A Interest 3,168,586.67 3,182,666.67 Class B Interest 699,218.89 704,241.11 Collateral Monthly Interest 448,230.00 454,185.56 Class D Interest 0.00 0.00 Investor Monthly Interest 4,316,035.56 4,341,093.34 Investor Default Amount (Net of Recoveries) 5,018,192.53 5,018,192.53 Interchange Collections 835,736.22 835,736.22 0.75% of Interchange 468,390.21 468,390.21 Servicer Interchange 468,390.21 468,390.21 Monthly Servicing Fee (Before Adjustments) 1,248,504.69 1,250,000.00 Interchange Adjustment 0.00 0.00 SFA Adjustment 0.00 0.00 Previous Period Adjustment -959.44 -959.44 Total Monthly Servicing Fee (After all adjustments) 1,247,545.25 1,249,040.56 C. Calculation of Redirected Investor Finance Charge Collections ("Socialism") Group I 1998-2 1998-3 Beginning Invested Amount (Month) 1,498,848,670.88 749,424,335.44 749,424,335.44 Finance Charge Collections 24,175,758.52 12,087,879.26 12,087,879.26 Investor Monthly Interest 8,657,128.89 4,316,035.56 4,341,093.34 Investor Default Amount 10,036,385.06 5,018,192.53 5,018,192.53 Monthly Servicing Fee 2,496,585.81 1,247,545.25 1,249,040.56 Additional Amounts 0.00 0.00 0.00 Total Amount Due 21,190,099.76 10,581,773.34 10,608,326.43 Group Excess? Y Amount per 4.10(A) 4,316,035.56 4,341,093.34 Amount per 4.10(B) used in a 5,018,192.53 5,018,192.53 Amount per 4.10(C) shortfall scenario only 1,247,545.25 1,249,040.56 Amount per 4.10(D) 0.00 0.00 Redirected Finance Charge Collections 24,175,758.52 12,074,602.71 12,101,155.80 Amount of funds redistributed per 4.10 -13,276.55 13,276.55 D. Trust Performance 30-59 Days Delinquent 33,817,367.88 60-89 Days Delinquent 22,187,425.10 90+ Days Delinquent 44,110,855.26 Total 30+ Days Delinquent 100,115,648.24 THE FIRST NATIONAL BANK OF ATLANTA d/b/a Wachovia Bank Card Services as Servicer By: Michael L. Scheuerman Title: Senior Vice President Partners First Credit Card Master Trust Series 1998-2 A. Investor/Transferor Allocations B. Monthly Funding Requirements Last Payment Date 15-Jun-00 Current Payment Date 17-Jul-00 Actual / 360 Days 32 32 32 32 30 / 360 Days 32 32 32 32 Fixed / Floating Floating Floating Floating Floating Class A Class B Collateral Invested Class D Amount Certificate Rate 6.75125% 6.96125% 7.52625% 0.00000% Secured Loan Spread Rate (Applies to CIA only) 7.27625% Initial Balance 528,000,000.00 113,000,000.00 67,000,000.00 42,000,000.00 Required Transferor Amount Total Initial Amount Beginning Outstanding Amount (Distribution) 528,000,000.00 113,000,000.00 67,000,000.00 41,102,813.66 Ending Outstanding Amount (Distribution) 528,000,000.00 113,000,000.00 67,000,000.00 41,024,218.81 Beginning Invested Amount (Distribution) 528,000,000.00 113,000,000.00 67,000,000.00 41,102,619.66 Ending Invested Amount (Distribution) 528,000,000.00 113,000,000.00 67,000,000.00 41,024,218.81 Beginning Adjusted Invested Amount (Distribution) 528,000,000.00 113,000,000.00 67,000,000.00 41,102,813.66 Ending Adjusted Invested Amount (Distribution) 528,000,000.00 113,000,000.00 67,000,000.00 41,024,218.81 Beginning Invested Amount (Month) 528,000,000.00 113,000,000.00 67,000,000.00 41,424,335.44 Ending Invested Amount (Month) 528,000,000.00 113,000,000.00 67,000,000.00 41,102,813.66 Beginning Adjusted Invested Amount (Month) 528,000,000.00 113,000,000.00 67,000,000.00 41,424,335.44 Ending Adjusted Invested Amount (Month) 528,000,000.00 113,000,000.00 67,000,000.00 41,102,813.66 Principal Allocation Percentage 70.45% 15.08% 8.94% 5.53% Floating Allocation Percentage 70.45% 15.08% 8.94% 5.53% Principal Collections 54,780,466.83 11,723,849.91 6,951,309.24 4,297,811.43 Redirected Finance Charge Collections 8,507,049.92 1,820,637.58 1,079,493.08 667,422.14 Reserve Account Proceeds not Retained 0.00 0.00 0.00 0.00 Redirected Finance Charge plus & Reserve Int. 8,507,049.92 1,820,637.58 1,079,493.08 667,422.14 Monthly Interest 3,168,586.67 699,218.89 448,230.00 0.00 Investor Default Amount (Net) 3,535,521.24 756,655.11 448,636.22 277,379.96 Monthly Servicing Fee 878,946.49 188,107.87 111,532.98 68,957.91 Total Due 7,583,054.40 1,643,981.87 1,008,399.20 346,337.86 Redirected Investor Fin Charge Coll + YSA Draw + PFA Inv Proceeds + Reserve Fund Releases Series Adjusted Portfolio Yield Base Rate Total Certificate Rate Secured Loan Spread Rate (Applies to CIA only) Initial Balance 750,000,000.00 Required Transferor Amount 52,500,000.00 Total Initial Amount 802,500,000.00 Beginning Outstanding Amount (Distribution) 749,102,813.66 Ending Outstanding Amount (Distribution) 749,024,218.81 Beginning Invested Amount (Distribution) 749,102,813.66 Ending Invested Amount (Distribution) 749,024,218.81 Beginning Adjusted Invested Amount (Distribution) 749,102,813.66 Ending Adjusted Invested Amount (Distribution) 749,024,218.81 Beginning Invested Amount (Month) 749,424,335.44 Ending Invested Amount (Month) 749,102,813.66 Beginning Adjusted Invested Amount (Month) 749,424,335.44 Ending Adjusted Invested Amount (Month) 749,102,813.66 Principal Allocation Percentage 100.00% Floating Allocation Percentage 100.00% Principal Collections 77,753,437.41 Redirected Finance Charge Collections 12,074,602.71 Reserve Account Proceeds not Retained 0.00 Redirected Finance Charge plus & Reserve Int. 12,074,602.71 Monthly Interest 4,316,035.56 Investor Default Amount (Net) 5,018,192.53 Monthly Servicing Fee 1,247,545.25 Total Due 10,581,773.34 Redirected Investor Fin Charge Coll + YSA Draw + PFA Inv Proceeds + Reserve Fund Releases 12,074,602.71 Series Adjusted Portfolio Yield 11.30% Base Rate 8.48% Partners First Credit Card Master Trust Series 1998-2 Series Parameters Revolving Period (Y/N) Y Accumulation Period (Y/N) N Early Amortization (Y/N) N Controlled Accumulation Period 6.00 FNBA is Servicer Y Paydown Excess CIA (Y/N) Y Paydown Excess Class D (Y/N) Y Controlled Accumulation Amount 106,833,333.33 Controlled Deposit Amount 106,833,333.33 Ending Controlled Deposit Amount Shortfalll 0.00 Funding Accounts Beginning Principal Funding Account Balance 0.00 Principal Funding Account Deposit 0.00 Principal Funding Account Withdrawal 0.00 Ending Principal Funding Account Balance 0.00 Principal Funding Investment Proceeds 0.00 Yield Supplement Account Beginning Balance 0.00 Yield Supplement Account Release 0.00 Yield Supplement Account Ending Balance 0.00 Reserve Account Beginning Balance 1,625,022.19 Required Reserve Account Amount 3,205,000.00 Available Reserve Account Amount 1,625,022.19 Interest Retained in Reserve Account 8,553.58 Funds Deposited into Reserve Account (out of Excess Spread) 1,571,424.23 Ending Reserve Account Balance 3,205,000.00 Covered Amount 0.00 Reserve Draw Amount 0.00 C. Certificate Balances and Distrubutions Class A Class B CIA Class D Total Beginning Balance 528,000,000.00 113,000,000.00 67,000,000.00 41,424,335.44 749,424,335.44 Interest Distributions 3,168,586.67 699,218.89 448,230.00 0.00 4,316,035.56 PFA Deposits 0.00 0.00 Principal Distributions 0.00 0.00 0.00 0.00 0.00 Total Distributions 3,168,586.67 699,218.89 448,230.00 0.00 4,316,035.56 Ending Certificate Balance 528,000,000.00 113,000,000.00 67,000,000.00 41,102,813.66 749,102,813.66 Pool Factor 100.00% 100.00% 100.00% 99.22% Total Distribution Per $1,000 6.0011 6.1878 6.6900 0.0000 Interest Distribution Per $1,000 6.0011 6.1878 6.6900 0.0000 Principal Distribution Per $1,000 0.0000 0.0000 0.0000 0.0000 Partners First Credit Card Master Trust Series 1998-2 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: 3,168,586.67 2 Amount of the distribution in respect of Class A Monthly Interest: 3,168,586.67 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 0.00 per $1,000 original certificate principal amount: 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 0.00 per $1,000 original certificate principal amount: 5 The amount, if any, by which the outstanding principal 0.00 balance of the Class A Certificate exceeds the Class A Invested Amount after giving effect to all transactions on such Distribution Date: 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: 699,218.89 2 Amount of the distribution in respect of Class B monthly interest: 699,218.89 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 Amount of the distribution in respect of Class B principal: 0.00 G. Amount of reductions in Class B Invested Amount on such Distribution Date. 1 The amount of reductions in Class B Invested Amount 0.00 2 The amount of reductions in the Class B Invested Amount set forth in 0.00 paragraph 1 above, per $1,000 original certificate principal amount: 3 The total amount reimbursed in respect of such reductions 0.00 in the Class B Invested Amount: 4 The total amount set forth in paragraph 3 above, per $1,000 0.00 original certificate principal amount: 5 The amount, if any, by which the outstanding principal balance 0.00 of the Class B Certificates exceeds the Class B Invested Amount after giving effect to all transactions on such Distribution Date: Partners First Credit Card Master Trust Series 1998-2 H. Information regarding distributions on the Distribution Date to the Collateral Interest Holder. 1 Total amount distributed to the Collateral Interest Holder: 448,230.00 2 Amount distributed in respect of Collateral Monthly Interest: 448,230.00 3 Amount distributed in respect of Collateral Additional Interest: 0.00 4 The amount distributed to the Collateral Interest Holder in respect 0.00 of principal on the Collateral Invested Amount: I. Amount of reductions in Collateral Invested Amount. 1 The amount of reductions in the Collateral Invested Amount. 0.00 2 The total amount reimbursed in respect of such reductions in the 0.00 Collateral Invested Amount J. Finance Charge Shortfall Amount/Reallocated Finance Charge Collections 1 Finance Charge Collections Allocated to Series 1998-2 (including YSA, Reserve Draw and PFA Proceeds) 12,074,602.71 2 Full amount required to be paid pursuant to sections 4.5 and 4.7(excl. Spread Acct.) 13,050,383.90 3 Spread Account Requirement per Loan Agreement 11,352,776.09 4 Finance Charge Shortfall 12,328,557.28 5 Available for Other Excess Allocation Series 0.00 K. Application of Reallocated Investor Finance Charge Collections. Available Due Paid Shortfall 1 Allocated Class A Available Funds 8,507,049.92 a Reserve Account Release 0.00 b PFA Investment Earnings 0.00 c Class A Available Funds 8,507,049.92 2 Class A Available Funds 8,507,049.92 a Class A Monthly Interest 3,168,586.67 3,168,586.67 0.00 b Class A Servicing Fee 878,946.49 878,946.49 0.00 c Class A Investor Default Amount 3,535,521.24 3,535,521.24 0.00 d Class A Excess 923,995.52 3 Class B Available Funds 1,820,637.58 a Class B Monthly Interest 699,218.89 699,218.89 0.00 b Class B Servicing Fee 188,107.87 188,107.87 0.00 c Class B Excess 933,310.82 4 Collateral Available Funds 1,079,493.08 a Collateral Servicing Fee 111,532.98 111,532.98 0.00 b Collateral Excess 967,960.09 5 Class D Available Funds 667,422.14 a Class D Servicing Fee 68,957.91 68,957.91 0.00 b Class D Excess 598,464.23 6 Total Excess Spread 3,423,730.67 Partners First Credit Card Master Trust Series 1998-2 L. Application of Excess Spread and Excess Finance Charge Collections Available Due Paid 1 Available Excess Spread 3,423,730.67 2 Excess Fin Charge Coll 0.00 from Other Series 3 Available Funds 3,423,730.67 4 Class A Required Amount a Interest 0.00 0.00 b Servicing Fee 0.00 0.00 c Defaults 0.00 0.00 5 Class A Charge Offs not Previously Reimbursed 0.00 0.00 6a Class B Required Amount in accordance with 4.5(b)(i)(ii) a Interest 0.00 0.00 b Servicing Fee 0.00 0.00 6b Class B Default Amount 756,655.11 756,655.11 7 Reductions in Class B not previously reimbursed 0.00 0.00 8 Monthly Servicing Fee Shortfalls 0.00 0.00 9 Collateral Monthly Interest 448,230.00 448,230.00 10 Collateral Default Amount 448,636.22 448,636.22 11 Reductions in CIA not previously reimbursed 0.00 0.00 12 Reserve Account Deposit 1,571,424.23 1,571,424.23 13 Class D Monthly Interest 0.00 0.00 14 Class D Default Amount 277,379.96 198,785.11 15 Reductions in Class D not previously reimbursed 897,186.34 0.00 16 Other CIA Amounts Owed 11,352,776.09 0.00 17 Excess Fin Coll for Other Series 0.00 0.00 18 Excess Spread (after reallocation) -78,594.85 19 Writedowns Total Redirected Principal Charge-Offs a Class A 0.00 0.00 0.00 in respect of A 0.00 b Class B 0.00 0.00 0.00 in respect of A 0.00 in respect of B 0.00 c CIA 0.00 0.00 0.00 in respect of A 0.00 in respect of B 0.00 in respect of CIA 0.00 d Class D 78,594.85 0.00 78,594.85 in respect of A 0.00 in respect of B 0.00 in respect of CIA 0.00 in respect of D 78,594.85 L. Application of Excess Spread and Excess Finance Charge Collections Shortfall 1 Available Excess Spread 2 Excess Fin Charge Coll from Other Series 3 Available Funds 4 Class A Required Amount a Interest 0.00 b Servicing Fee 0.00 c Defaults 0.00 5 Class A Charge Offs not Previously Reimbursed 0.00 6a Class B Required Amount in accordance with 4.5(b)(i)(ii) a Interest 0.00 b Servicing Fee 0.00 6b Class B Default Amount 0.00 7 Reductions in Class B not previously reimbursed 0.00 8 Monthly Servicing Fee Shortfalls 0.00 9 Collateral Monthly Interest 0.00 10 Collateral Default Amount 0.00 11 Reductions in CIA not previously reimbursed 0.00 12 Reserve Account Deposit 0.00 13 Class D Monthly Interest 0.00 14 Class D Default Amount 78,594.85 15 Reductions in Class D not previously reimbursed 897,186.34 16 Other CIA Amounts Owed 11,352,776.09 17 Excess Fin Coll for Other Series 0.00 18 Excess Spread (after reallocation) 19 Writedowns M. Application of Redirected Principal Collections Available Due 1 Redirected Principal Collections 22,972,970.57 2 Class A Required Amount a Interest 0.00 b Servicing Fee 0.00 c Defaults 0.00 3 Class B Required Amount a Interest 0.00 b Servicing Fee 0.00 c Defaults 0.00 4 Collateral Required Amount a Interest 0.00 b Servicing Fee 0.00 c Defaults 0.00 5 Available for Available Principal Collections 22,972,970.57 N. Principal Shortfall Amount/Shared Principal Collections 1 Principal Allocation % of the Series 1998-2 Allocable Principal Collections 77,753,437.41 2 Other amounts treated as Principal Collections per Section 4.5 & 4.7 4,939,597.68 3 Full amount required to be distributed pursuant to Section 4.5 0.00 4 Principal required to fund the Required Amount per Section 4.8 0.00 5 Principal Shortfall 0.00 6 Available for Shared Principal Collections 82,693,035.09 M. Application of Redirected Principal Collections Paid Shortfall 1 Redirected Principal Collections 2 Class A Required Amount a Interest 0.00 0.00 b Servicing Fee 0.00 0.00 c Defaults 0.00 0.00 3 Class B Required Amount a Interest 0.00 0.00 b Servicing Fee 0.00 0.00 c Defaults 0.00 0.00 4 Collateral Required Amount a Interest 0.00 0.00 b Servicing Fee 0.00 0.00 c Defaults 0.00 0.00 5 Available for Available Principal Collections N. Principal Shortfall Amount/Shared Principal Collections 1 Principal Allocation % of the Series 1998-2 Allocable Principal Collections 77,753,437.41 2 Other amounts treated as Principal Collections per Section 4.5 & 4.7 4,939,597.68 3 Full amount required to be distributed pursuant to Section 4.5 0.00 4 Principal required to fund the Required Amount per Section 4.8 0.00 5 Principal Shortfall 0.00 6 Available for Shared Principal Collections 82,693,035.09 Partners First Credit Card Master Trust Series 1998-2 O. Available Principal Collections 1 Available Principal Collections (per the definition thereof) 82,693,035.09 2 Principal Collections allocation to other Principal Sharing Series 0.00 3 Available Principal Collections (after Sharing) 82,693,035.09 P. Application of Principal Collections during Revolving Period 1 Available Principal Collections 82,693,035.09 2 Collateral Invested Amount 67,000,000.00 3 Required Collateral Invested Amount 67,000,000.00 4 Amount used to pay Excess CIA 0.00 5 Available Principal Collections 82,693,035.09 6 Class D 41,102,813.66 7 Required Class D 42,000,000.00 8 Amount used to pay Excess Class D 0.00 Q. Application of Principal Collections during the Accumulation Period 1 Available Principal Collections 0.00 2 Controlled Deposit Amount 0.00 3 Class A Adjusted Invested Amount + Class B Adjusted Invested Amount 641,000,000.00 4 Principal Funding Account Deposit (minimum of items 1, 2 & 3 above) 0.00 5 Required Enhancement Amount $108,608,512 6 Remaining Principal Collections Available 0.00 7 Remaining Collateral Invested Amount 67,000,000.00 8 Collateral Monthly Principal (Principal paid to CIA) (minimum of items a & b below) 0.00 a Excess of CIA and Class D over Required Enhancement Amount 0.00 b Excess of Available Principal Collections over PFA deposit 0.00 9 Remaining Principal Collections Available 0.00 10 Remaining Class D Amount 41,024,218.81 11 Principal Paid to Class D 0.00 Partners First Credit Card Master Trust Series 1998-2 R. Application of Principal Collections during Early Amortization Period 1 Available Principal Collections 0.00 a Remaining Class A Adjusted Invested Amount 528,000,000.00 b Principal Paid to Class A - Current Period's Collections 0.00 c Principal Paid to Class A - PFA per 5.1 0.00 d Total Principal Paid to Class A 0.00 2 Remaining Principal Collections Available 0.00 a Remaining Class B Adjusted Invested Amount 113,000,000.00 b Principal Paid to Class B - Current Period's Collections 0.00 c Principal Paid to Class B - PFA per 5.1 0.00 d Total Principal Paid to Class B 0.00 3 Remaining Principal Collections Available 0.00 a Remaining Collateral Invested Amount 67,000,000.00 b Principal Paid to CIA 0.00 4 Remaining Principal Collections Available 0.00 a Remaining Class D Amount 41,024,218.81 b Principal Paid to Class D 0.00 S. Yield and Base Rate 1 Base Rate a Current Monthly Period 8.48% b Prior Monthly Period 8.36% c Second Prior Monthly Period 7.98% Three Month Average Base Rate 8.27% 2 Series Adjusted Portfolio Yield a Current Monthly Period 11.30% b Prior Monthly Period 10.65% c Second Prior Monthly Period 6.66% Three Month Average Series Adjusted Portfolio Yield 9.54% 3 Excess Spread a Current Monthly Period 2.82% b Prior Monthly Period 2.29% c Second Prior Monthly Period -1.32% Three Month Average Excess Spread 1.26% Partners First Credit Card Master Trust Series 1998-3 A. Investor/Transferor Allocations B. Monthly Funding Requirements Last Payment Date 15-Jun-00 Current Payment Date 17-Jul-00 Actual / 360 Days 32 32 32 32 30 / 360 Days 32 32 32 32 Fixed / Floating Floating Floating Floating Floating Class A Class B Collateral Invested Class D Amount Certificate Rate 6.78125% 7.01125% 7.62625% 0.00000% Secured Loan Spread Rate (Applies to CIA only) 7.37625% Initial Balance 528,000,000.00 113,000,000.00 67,000,000.00 42,000,000.00 Required Transferor Amount Total Initial Amount Beginning Outstanding Amount (Distribution) 528,000,000.00 113,000,000.00 67,000,000.00 42,000,000.00 Ending Outstanding Amount (Distribution) 528,000,000.00 113,000,000.00 67,000,000.00 42,000,000.00 Beginning Invested Amount (Distribution) 528,000,000.00 113,000,000.00 67,000,000.00 42,000,000.00 Ending Invested Amount (Distribution) 528,000,000.00 113,000,000.00 67,000,000.00 42,000,000.00 Beginning Adjusted Invested Amount (Distribution) 528,000,000.00 113,000,000.00 67,000,000.00 42,000,000.00 Ending Adjusted Invested Amount (Distribution) 528,000,000.00 113,000,000.00 67,000,000.00 42,000,000.00 Beginning Invested Amount (Month) 528,000,000.00 113,000,000.00 67,000,000.00 41,424,335.44 Ending Invested Amount (Month) 528,000,000.00 113,000,000.00 67,000,000.00 42,000,000.00 Beginning Adjusted Invested Amount (Month) 528,000,000.00 113,000,000.00 67,000,000.00 41,424,335.44 Ending Adjusted Invested Amount (Month) 528,000,000.00 113,000,000.00 67,000,000.00 42,000,000.00 Principal Allocation Percentage 70.45% 15.08% 8.94% 5.53% Floating Allocation Percentage 70.45% 15.08% 8.94% 5.53% Principal Collections 54,780,466.83 11,723,849.91 6,951,309.24 4,297,811.43 Redirected Finance Charge Collections 8,525,757.66 1,824,641.32 1,081,866.98 668,889.86 Reserve Account Proceeds not Retained 0.00 0.00 0.00 0.00 Redirected Finance Charge plus Reserve Int. 8,525,757.66 1,824,641.32 1,081,866.98 668,889.86 Monthly Interest 3,182,666.67 704,241.11 454,185.56 0.00 Investor Default Amount (Net) 3,535,521.24 756,655.11 448,636.22 277,379.96 Monthly Servicing Fee 880,000.00 188,333.33 111,666.67 69,040.56 Total Due 7,598,187.91 1,649,229.56 1,014,488.44 346,420.52 Redirected Investor Fin Charge Coll + YSA Draw + PFA Inv Proceeds + Reserve Fund Releases Series Adjusted Portfolio Yield Base Rate Total Certificate Rate Secured Loan Spread Rate (Applies to CIA only) Initial Balance 750,000,000.00 Required Transferor Amount 52,500,000.00 Total Initial Amount 802,500,000.00 Beginning Outstanding Amount (Distribution) 750,000,000.00 Ending Outstanding Amount (Distribution) 750,000,000.00 Beginning Invested Amount (Distribution) 750,000,000.00 Ending Invested Amount (Distribution) 750,000,000.00 Beginning Adjusted Invested Amount (Distribution) 750,000,000.00 Ending Adjusted Invested Amount (Distribution) 750,000,000.00 Beginning Invested Amount (Month) 749,424,335.44 Ending Invested Amount (Month) 750,000,000.00 Beginning Adjusted Invested Amount (Month) 749,424,335.44 Ending Adjusted Invested Amount (Month) 750,000,000.00 Principal Allocation Percentage 100.00% Floating Allocation Percentage 100.00% Principal Collections 77,753,437.41 Redirected Finance Charge Collections 12,101,155.80 Reserve Account Proceeds not Retained 0.00 Redirected Finance Charge plus Reserve Int. 12,101,155.80 Monthly Interest 4,341,093.34 Investor Default Amount (Net) 5,018,192.53 Monthly Servicing Fee 1,249,040.56 Total Due 10,608,326.43 Redirected Investor Fin Charge Coll + YSA Draw + PFA Inv Proceeds + Reserve Fund Releases 12,101,155.80 Series Adjusted Portfolio Yield 11.34% Base Rate 8.51% Partners First Credit Card Master Trust Series 1998-3 Series Parameters Revolving Period (Y/N) Y Accumulation Period (Y/N) N Early Amortization (Y/N) N Controlled Accumulation Period 12.00 FNBA is Servicer Y Paydown Excess CIA (Y/N) Y Paydown Excess Class D (Y/N) Y Controlled Accumulation Amount 53,416,666.67 Controlled Deposit Amount 53,416,666.67 Ending Controlled Deposit Amount Shortfalll 0.00 Funding Accounts Beginning Principal Funding Account Balance 0.00 Principal Funding Account Deposit 0.00 Principal Funding Account Withdrawal 0.00 Ending Principal Funding Account Balance 0.00 Principal Funding Investment Proceeds 0.00 Yield Supplement Account Beginning Balance 0.00 Yield Supplement Account Release 0.00 Yield Supplement Account Ending Balance 0.00 Reserve Account Beginning Balance 0.00 Required Reserve Account Amount 0.00 Available Reserve Account Amount 0.00 Interest Retained in Reserve Account 0.00 Funds Deposited into Reserve Account (out of Excess Spread) 0.00 Ending Reserve Account Balance 0.00 Covered Amount 0.00 Reserve Draw Amount 0.00 C. Certificate Balances and Distrubutions Class A Class B CIA Class D Total Beginning Balance 528,000,000.00 113,000,000.00 67,000,000.00 41,424,335.44 749,424,335.44 Interest Distributions 3,182,666.67 704,241.11 454,185.56 0.00 4,341,093.34 PFA Deposits 0.00 0.00 Principal Distributions 0.00 0.00 0.00 0.00 0.00 Total Distributions 3,182,666.67 704,241.11 454,185.56 0.00 4,341,093.34 Ending Certificate Balance 528,000,000.00 113,000,000.00 67,000,000.00 42,000,000.00 750,000,000.00 Pool Factor 100.00% 100.00% 100.00% 101.39% Total Distribution Per $1,000 6.0278 6.2322 6.7789 0.0000 Interest Distribution Per $1,000 6.0278 6.2322 6.7789 0.0000 Principal Distribution Per $1,000 0.0000 0.0000 0.0000 0.0000 Partners First Credit Card Master Trust Series 1998-3 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: 3,182,666.67 2 Amount of the distribution in respect of Class A Monthly Interest: 3,182,666.67 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 0.00 per $1,000 original certificate principal amount: 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 0.00 per $1,000 original certificate principal amount: 5 The amount, if any, by which the outstanding principal 0.00 balance of the Class A Certificate exceeds the Class A Invested Amount after giving effect to all transactions on such Distribution Date: 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: 704,241.11 2 Amount of the distribution in respect of Class B monthly interest: 704,241.11 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 Amount of the distribution in respect of Class B principal: 0.00 G. Amount of reductions in Class B Invested Amount on such Distribution Date. 1 The amount of reductions in Class B Invested Amount 0.00 2 The amount of reductions in the Class B Invested Amount set forth in 0.00 paragraph 1 above, per $1,000 original certificate principal amount: 3 The total amount reimbursed in respect of such reductions 0.00 in the Class B Invested Amount: 4 The total amount set forth in paragraph 3 above, per $1,000 0.00 original certificate principal amount: 5 The amount, if any, by which the outstanding principal balance 0.00 of the Class B Certificates exceeds the Class B Invested Amount after giving effect to all transactions on such Distribution Date: Partners First Credit Card Master Trust Series 1998-3 H. Information regarding distributions on the Distribution Date to the Collateral Interest Holder. 1 Total amount distributed to the Collateral Interest Holder: 454,185.56 2 Amount distributed in respect of Collateral Monthly Interest: 454,185.56 3 Amount distributed in respect of Collateral Additional Interest: 0.00 4 The amount distributed to the Collateral Interest Holder in respect 0.00 of principal on the Collateral Invested Amount: I. Amount of reductions in Collateral Invested Amount. 1 The amount of reductions in the Collateral Invested Amount. 0.00 2 The total amount reimbursed in respect of such reductions in the 0.00 Collateral Invested Amount J. Finance Charge Shortfall Amount/Reallocated Finance Charge Collections 1 Finance Charge Collections Allocated to Series 1998-2 (including YSA, Reserve Draw and PFA Proceeds) 12,101,155.80 2 Full amount required to be paid pursuant to sections 4.5 and 4.7(excl. Spread Acct.) 10,608,326.43 3 Spread Account Requirement per Loan Agreement 6,183,922.82 4 Finance Charge Shortfall 4,691,093.44 5 Available for Other Excess Allocation Series 0.00 K. Application of Reallocated Investor Finance Charge Collections. Available Due Paid Shortfall 1 Allocated Class A Available Funds 8,525,757.66 a Reserve Account Release 0.00 b PFA Investment Earnings 0.00 c Class A Available Funds 8,525,757.66 2 Class A Available Funds 8,525,757.66 a Class A Monthly Interest 3,182,666.67 3,182,666.67 0.00 b Class A Servicing Fee 880,000.00 880,000.00 0.00 c Class A Investor Default Amount 3,535,521.24 3,535,521.24 0.00 d Class A Excess 927,569.75 3 Class B Available Funds 1,824,641.32 a Class B Monthly Interest 704,241.11 704,241.11 0.00 b Class B Servicing Fee 188,333.33 188,333.33 0.00 c Class B Excess 932,066.87 4 Collateral Available Funds 1,081,866.98 a Collateral Servicing Fee 111,666.67 111,666.67 0.00 b Collateral Excess 970,200.31 5 Class D Available Funds 668,889.86 a Class D Servicing Fee 69,040.56 69,040.56 0.00 b Class D Excess 599,849.30 6 Total Excess Spread 3,429,686.23 Partners First Credit Card Master Trust Series 1998-3 L. Application of Excess Spread and Excess Finance Charge Collections Available Due Paid 1 Available Excess Spread 3,429,686.23 2 Excess Fin Charge Coll 0.00 from Other Series 3 Available Funds 3,429,686.23 4 Class A Required Amount a Interest 0.00 0.00 b Servicing Fee 0.00 0.00 c Defaults 0.00 0.00 5 Class A Charge Offs not Previously Reimbursed 0.00 0.00 6a Class B Required Amount in accordance with 4.5(b)(i)(ii) a Interest 0.00 0.00 b Servicing Fee 0.00 0.00 6b Class B Default Amount 756,655.11 756,655.11 7 Reductions in Class B not previously reimbursed 0.00 0.00 8 Monthly Servicing Fee Shortfalls 0.00 0.00 9 Collateral Monthly Interest 454,185.56 454,185.56 10 Collateral Default Amount 448,636.22 448,636.22 11 Reductions in CIA not previously reimbursed 0.00 0.00 12 Reserve Account Deposit 0.00 0.00 13 Class D Monthly Interest 0.00 0.00 14 Class D Default Amount 277,379.96 277,379.96 15 Reductions in Class D not previously reimbursed 0.00 0.00 16 Other CIA Amounts Owed 6,183,922.82 1,492,829.38 17 Excess Fin Coll for Other Series 0.00 0.00 18 Excess Spread (after reallocation) 1,492,829.38 19 Writedowns Total Redirected Principal Charge-Offs a Class A 0.00 0.00 0.00 in respect of A 0.00 b Class B 0.00 0.00 0.00 in respect of A 0.00 in respect of B 0.00 c CIA 0.00 0.00 0.00 in respect of A 0.00 in respect of B 0.00 in respect of CIA 0.00 d Class D 0.00 0.00 0.00 in respect of A 0.00 in respect of B 0.00 in respect of CIA 0.00 in respect of D 0.00 L. Application of Excess Spread and Excess Finance Charge Collections Shortfall 1 Available Excess Spread 2 Excess Fin Charge Coll from Other Series 3 Available Funds 4 Class A Required Amount a Interest 0.00 b Servicing Fee 0.00 c Defaults 0.00 5 Class A Charge Offs not Previously Reimbursed 0.00 6a Class B Required Amount in accordance with 4.5(b)(i)(ii) a Interest 0.00 b Servicing Fee 0.00 6b Class B Default Amount 0.00 7 Reductions in Class B not previously reimbursed 0.00 8 Monthly Servicing Fee Shortfalls 0.00 9 Collateral Monthly Interest 0.00 10 Collateral Default Amount 0.00 11 Reductions in CIA not previously reimbursed 0.00 12 Reserve Account Deposit 0.00 13 Class D Monthly Interest 0.00 14 Class D Default Amount 0.00 15 Reductions in Class D not previously reimbursed 0.00 16 Other CIA Amounts Owed 4,691,093.44 17 Excess Fin Coll for Other Series 0.00 18 Excess Spread (after reallocation) 19 Writedowns M. Application of Redirected Principal Collections Available Due Paid Shortfall 1 Redirected Principal Collections 22,972,970.57 2 Class A Required Amount a Interest 0.00 0.00 0.00 b Servicing Fee 0.00 0.00 0.00 c Defaults 0.00 0.00 0.00 3 Class B Required Amount a Interest 0.00 0.00 0.00 b Servicing Fee 0.00 0.00 0.00 c Defaults 0.00 0.00 0.00 4 Collateral Required Amount a Interest 0.00 0.00 0.00 b Servicing Fee 0.00 0.00 0.00 c Defaults 0.00 0.00 0.00 5 Available for Available Principal Collections 22,972,970.57 N. Principal Shortfall Amount/Shared Principal Collections 1 Principal Allocation % of the Series 1998-3 Allocable Principal Collections 77,753,437.41 2 Other amounts treated as Principal Collections per Section 4.5 & 4.7 5,018,192.53 3 Full amount required to be distributed pursuant to Section 4.5 0.00 4 Principal required to fund the Required Amount per Section 4.8 0.00 5 Principal Shortfall 0.00 6 Available for Shared Principal Collections 82,771,629.94 Partners First Credit Card Master Trust Series 1998-3 O. Available Principal Collections 1 Available Principal Collections (per the definition thereof) 82,771,629.94 2 Principal Collections allocation to other Principal Sharing Series 0.00 3 Available Principal Collections (after Sharing) 82,771,629.94 P. Application of Principal Collections during Revolving Period 1 Available Principal Collections 82,771,629.94 2 Collateral Invested Amount 67,000,000.00 3 Required Collateral Invested Amount 67,000,000.00 4 Amount used to pay Excess CIA 0.00 5 Available Principal Collections 82,771,629.94 6 Class D 42,000,000.00 7 Required Class D 42,000,000.00 8 Amount used to pay Excess Class D 0.00 Q. Application of Principal Collections during the Accumulation Period 1 Available Principal Collections 0.00 2 Controlled Deposit Amount 0.00 3 Class A Adjusted Invested Amount + Class B Adjusted Invested Amount 641,000,000.00 4 Principal Funding Account Deposit (minimum of items 1, 2 & 3 above) 0.00 5 Required Enhancement Amount $108,750,000 6 Remaining Principal Collections Available 0.00 7 Remaining Collateral Invested Amount 67,000,000.00 8 Collateral Monthly Principal (Principal paid to CIA) (minimum of items a & b below) 0.00 a Excess of CIA and Class D over Required Enhancement Amount 250,000.00 b Excess of Available Principal Collections over PFA deposit 0.00 9 Remaining Principal Collections Available 0.00 10 Remaining Class D Amount 42,000,000.00 11 Principal Paid to Class D 0.00 Partners First Credit Card Master Trust Series 1998-3 R. Application of Principal Collections during Early Amortization Period 1 Available Principal Collections 0.00 a Remaining Class A Adjusted Invested Amount 528,000,000.00 b Principal Paid to Class A - Current Period's Collections 0.00 c Principal Paid to Class A - PFA per 5.1 0.00 d Total Principal Paid to Class A 0.00 2 Remaining Principal Collections Available 0.00 a Remaining Class B Adjusted Invested Amount 113,000,000.00 b Principal Paid to Class B - Current Period's Collections 0.00 c Principal Paid to Class B - PFA per 5.1 0.00 d Total Principal Paid to Class B 0.00 3 Remaining Principal Collections Available 0.00 a Remaining Collateral Invested Amount 67,000,000.00 b Principal Paid to CIA 0.00 4 Remaining Principal Collections Available 0.00 a Remaining Class D Amount 42,000,000.00 b Principal Paid to Class D 0.00 S. Yield and Base Rate 1 Base Rate a Current Monthly Period 8.51% b Prior Monthly Period 8.40% c Second Prior Monthly Period 8.02% Three Month Average Base Rate 8.31% 2 Series Adjusted Portfolio Yield a Current Monthly Period 11.34% b Prior Monthly Period 10.69% c Second Prior Monthly Period 6.70% Three Month Average Series Adjusted Portfolio Yield 9.58% 3 Excess Spread a Current Monthly Period 2.83% b Prior Monthly Period 2.29% c Second Prior Monthly Period -1.32% Three Month Average Excess Spread 1.27%