EXHIBIT 99.3 WORLD OMNI FINANCIAL CORP. WORLD OMNI MASTER OWNER TRUST SERIES 1999-VFN, 2000-1 and 2001-1 SUPPLEMENTS CERTIFICATE DATE AS OF : December 31, 2002 POOL BALANCE: For the Period ended: December 2002 Pool Balance, beginning of period $ 841,390,900.14 Pool Balance, end of period $1,137,877,796.96 Pool Balance, average $ 896,558,546.63 Required Pool Balance, end of period $1,137,877,796.96 COLLECTIONS & SERIES ALLOCATIONS For the Period ended: December , 2002 Series Allocable Principal Collections Series 1999-VFN $ 28,143,776.71 Series 2000-1 $4,776,668,198.11 Series 2001-1 $2,047,143,513.48 $6,851,955,488.29 Series Allocable Non-Principal Collections Series 1999-VFN $ 5,779.60 Series 2000-1 $ 25,763,881.16 Series 2001-1 $ 11,041,663.35 -------------------------------- $ 36,811,324.11 Series Allocable Miscellaneous Payments Series 1999-VFN $ - Series 2000-1 $ - Series 2001-1 $ - -------------------------------- $ - Investment Proceeds Series 1999-VFN $ 6,571.07 Series 2000-1 $ 2,368,608.14 Series 2001-1 $ 1,010,543.57 -------------------------------- $ 3,385,722.78 CONTROLLED DEPOSIT AMOUNT FOR COLLECTION PERIOD For the Period ended: December , 2002 1999-VFN $ 0.00 Series 2000-1 Class A $ 0.00 Series 2000-1 Class B $ 0.00 Series 2001-1 Class A $ 0.00 Series 2001-1 Class B $ 0.00 ALLOCATION PERCENTAGES FOR COLLECTION PERIOD Calculated as of: December , 2002 Series Allocation Percentages Series 1999-VFN 0.00% Series 2000-1 70.00% Series 2001-1 30.00% Floating Allocation Percentages Series 1999-VFN 0.00% Series 2000-1 92.00% Series 2001-1 92.00% Principal Allocation Percentages Series 1999-VFN 0.00% Series 2000-1 0.00% Series 2001-1 0.00% ALLOCATIONS OF SERIES ALLOCABLE AMOUNTS WITHIN SERIES For the Period ended: December , 2002 Series 1999-VFN Series Allocable Principal Collections Excess Certificateholder Percentage: $ 0.00 Floating Allocation Percentage: $ 26,032,993.45 Cert. Percentage minus Excess Cert. Percentage: $ 2,110,783.25 $ 28,143,776.71 Series Allocable Non-Principal Collections Excess Certificateholder Percentage: $ 0.00 Floating Allocation Percentage: $ 5,346.13 Cert. Percentage minus Excess Cert. Percentage: $ 433.47 $ 5,779.60 Series 2000-1 Series Allocable Principal Collections Excess Certificateholder Percentage: $ 0.00 Floating Allocation Percentage: $4,365,624,905.49 Cert. Percentage minus Excess Cert. Percentage: $ 411,043,292.62 $4,776,668,198.11 Series Allocable Non-Principal Collections Excess Certificateholder Percentage: $ 0.00 Floating Allocation Percentage: $ 23,555,109.75 Cert. Percentage minus Excess Cert. Percentage: $ 2,208,771.41 $ 25,763,881.16 Series 2001-1 Series Allocable Principal Collections Excess Certificateholder Percentage: $ 0.00 Floating Allocation Percentage: $1,870,982,102.35 Cert. Percentage minus Excess Cert. Percentage: $ 176,161,411.12 $2,047,143,513.48 Series Allocable Non-Principal Collections Excess Certificateholder Percentage: $ 0.00 Floating Allocation Percentage: $ 10,095,047.04 Cert. Percentage minus Excess Cert. Percentage: $ 946,616.32 $ 11,041,663.35 For the Period ended: MONTHLY DISTRIBUTIONS December , 2002 Principal Distributions to Investors Series 1999-VFN $ - Series 2000-1 Class A $ - Series 2000-1 Class B $ - Series 2001-1 Class A $ - Series 2001-1 Class B $ - Principal Distributions to Investors - $ per thousand Series 1999-VFN $ 0.00000000 Series 2000-1 Class A $ 0.00000000 Series 2000-1 Class B $ 0.00000000 Series 2001-1 Class A $ 0.00000000 Series 2001-1 Class B $ 0.00000000 Monthly Interest to Investors Series 1999-VFN $ 411,387.43 Series 2000-1 Class A $ 12,425,016.32 Series 2000-1 Class B $ 1,211,086.16 Series 2001-1 Class A $ 5,313,712.31 Series 2001-1 Class B $ 520,496.88 Monthly Interest to Investors - $ per thousand Series 1999-VFN $ 2.74258283 Series 2000-1 Class A $ 19.23377139 Series 2000-1 Class B $ 22.42752139 Series 2001-1 Class A $ 19.18307694 Series 2001-1 Class B $ 22.63029917 Rated Variable Funding Increased Cost Amounts Series 1999-VFN $ 0.00 Noteholder Monthly Servicing Fee Series 1999-VFN $ 0.00 Series 2000-1 $ 4,918,496.51 Series 2001-1 $ 2,107,927.08 Reserve Fund Deposit Amount Series 1999-VFN $ 0.00 Series 2000-1 $ 700,000.00 Series 2001-1 $ 0.00 MONTHLY DISTRIBUTIONS (Cont.) For the Period ended: December , 2002 Investor Default Amount Series 1999-VFN $ 0.00 Series 2000-1 $ 1,990,683.64 Series 2001-1 $ 853,150.14 Monthly Dilution Amount Series 1999-VFN $ 0.00 Series 2000-1 $ 0.00 Series 2001-1 $ 0.00 Noteholder Charge-Off Reversal Amount Series 1999-VFN $ 0.00 Series 2000-1 $ 0.00 Series 2001-1 $ 0.00 Investor Default Amount and Monthly Dilution Amount Not Previously Reinstated Series 1999-VFN $ 0.00 Series 2000-1 $ 0.00 Series 2001-1 $ 0.00 Carry-Over Amount Series 2000-1 Class A $ 0.00 Series 2000-1 Class B $ 0.00 Series 2001-1 Class A $ 0.00 Series 2001-1 Class B $ 0.00 Unrated Variable Funding Increased Cost Amounts Series 1999-VFN $ 0.00 Previously waived servicing fee Series 1999-VFN $ 0.00 Series 2000-1 $ 823,107.35 Series 2001-1 $ 352,760.29 Collections Released to Cert. during Collection Period $6,855,087,649.37 Excess Distributed to Cert. on Payment Date $ 5,437,061.72 FUNDED AND INVESTED AMOUNTS: As of the last day of: December , 2002 SERIES 1999-VFN SUPPLEMENT Initial Funded Amount $ 600,000,000.00 Incremental Funded Amounts (Cumulative) $ 335,000,000.00 Principal Distributed to Investors (Cumulative) $ 785,000,000.00 Unreimbursed Investor Charge Offs (Cumulative) $ 0.00 Funded Amount $ 150,000,000.00 Series Excess Funding Amount $ 13,295,447.50 Principal Funding Account Balance $ 0.00 Invested Amount $ 136,704,552.50 SERIES 2000-1 SUPPLEMENT CLASS A Initial Invested Amount $ 646,000,000.00 Principal Distributed to Investors (Cumulative) $ 0.00 Principal Funding Account Balance $ 0.00 Unreimbursed Investor Charge Offs (Cumulative) $ 0.00 Series Excess Funding Amount $ 62,382,625.04 Invested Amount $ 583,617,374.96 SERIES 2000-1 SUPPLEMENT CLASS B Initial Invested Amount $ 54,000,000.00 Principal Distributed to Investors (Cumulative) $ 0.00 Principal Funding Account Balance $ 0.00 Unreimbursed Investor Charge Offs (Cumulative) $ 0.00 Series Excess Funding Amount $ 0.00 Invested Amount $ 54,000,000.00 SERIES 2001-1 SUPPLEMENT CLASS A Initial Invested Amount $ 277,000,000.00 Principal Distributed to Investors (Cumulative) $ 0.00 Principal Funding Account Balance $ 0.00 Unreimbursed Investor Charge Offs (Cumulative) $ 0.00 Series Excess Funding Amount $ 26,735,410.73 Invested Amount $ 250,264,589.27 SERIES 2001-1 SUPPLEMENT CLASS B Initial Invested Amount $ 23,000,000.00 Principal Distributed to Investors (Cumulative) $ 0.00 Principal Funding Account Balance $ 0.00 Unreimbursed Investor Charge Offs (Cumulative) $ 0.00 Series Excess Funding Amount $ 0.00 Invested Amount $ 23,000,000.00 RESERVE FUNDS As of last day of: December , 2002 Series 1999-VFN Reserve Fund Balance $ 750,000.00 Reserve Fund Deficiency Amount $ 0.00 Principal Funding Account Balance $ 0.00 Outstanding Principal Balance $ 150,000,000.00 Series 2000-1 Reserve Fund Balance $ 4,200,000.00 Reserve Fund Deficiency Amount $ 0.00 Principal Funding Account Balance $ 0.00 Outstanding Principal Balance, Class A $ 646,000,000.00 Outstanding Principal Balance, Class B $ 54,000,000.00 Series 2001-1 Reserve Fund Balance $ 1,500,000.00 Reserve Fund Deficiency Amount $ 0.00 Principal Funding Account Balance $ 0.00 Outstanding Principal Balance, Class A $ 277,000,000.00 Outstanding Principal Balance, Class B $ 23,000,000.00 TRUST INCREMENTAL SUBORDINATED AMOUNT As of last day of: To be used in the following month's computations. December , 2002 Pool Total Components of Excess Receivables: Used Vehicles $ 85,612,377.28 Finance Hold Receivables (for Credit Reasons Only) $ 720,509.66 Delayed Payment Program $ 128,513.76 Pool Limits on Components of Excess Receivables: Used Vehicles $ 284,469,449.24 Finance Hold Receivables $ 0.00 Delayed Payment Program $ 22,757,555.94 Total Excess Receivables $ 720,509.66 Overconcentration Amount $ 0.00 Ineligible Amount $ 0.00 Trust Incremental Subordinated Amount $ 720,509.66 POOL SERIES SUBORDINATED AMOUNTS As of last day of: December , 2002 Series Incremental Subordinated Amount Series 1999-VFN $ 0.00 Series 2000-1 $ 0.00 Series 2001-1 $ 0.00 Required Subordinated Amount Series 1999-VFN $ 12,162,162.16 Series 2000-1 $ 60,869,565.22 Series 2001-1 $ 26,086,956.52 Available Subordinated Amount Series 1999-VFN $ 12,162,162.16 Series 2000-1 $ 60,869,565.22 Series 2001-1 $ 26,086,956.52 CHARGE OFFS For the Period ended: December , 2002 Defaulted Receivables $ 3,710,011.00 Investor/Noteholder Defaulted Amount Series 1999-VFN $ 0.00 Series 2000-1 $ 1,990,683.64 Series 2001-1 $ 853,150.14 Deficiency Amount Series 1999-VFN $ 0.00 Series 2000-1 $ 0.00 Series 2001-1 $ 0.00 Required Draw Amount Series 1999-VFN $ 0.00 Series 2000-1 $ 0.00 Series 2001-1 $ 0.00 Investor/Noteholder Charge-Off's Series 1999-VFN $ 0.00 Series 2000-1 $ 0.00 Series 2001-1 $ 0.00 INTEREST AND PRINCIPAL SHORTFALLS (CUMULATIVE) For the Period ended: December , 2002 Interest Shortfalls, end of period Series 1999-VFN $ 0.00 Series 2000-1 Class A $ 0.00 Series 2000-1 Class B $ 0.00 Series 2001-1 Class A $ 0.00 Series 2001-1 Class B $ 0.00 Change in Interest Shortfalls, beginning of period Series 1999-VFN $ 0.00 Series 2000-1 Class A $ 0.00 Series 2000-1 Class B $ 0.00 Series 2001-1 Class A $ 0.00 Series 2001-1 Class B $ 0.00 Principal Shortfalls, end of period Series 1999-VFN $ 0.00 Series 2000-1 Class A $ 0.00 Series 2000-1 Class B $ 0.00 Series 2001-1 Class A $ 0.00 Series 2001-1 Class B $ 0.00 Change in Principal Shortfalls, beginning of period Series 1999-VFN $ 0.00 Series 2000-1 Class A $ 0.00 Series 2000-1 Class B $ 0.00 Series 2001-1 Class A $ 0.00 Series 2001-1 Class B $ 0.00 INTEREST RATE FOR NEXT PAYMENT DATE As of last day of: December , 2002 Series 1999-VFN Estimated 1.6200000% Series 2000-1 Class A 1.5050000% Series 2000-1 Class B 1.8200000% Series 2001-1 Class A 1.5000000% Series 2001-1 Class B 1.8400000%