Page 1
Chase Manhattan Auto Owner Trust 2000-A
                                                 Statement to Certificateholders
                                                 March 15 2001


        DISTRIBUTION IN DOLLARS
                  ORIGINAL                   PRIOR
                   FACE                     PRINCIPAL
   CLASS          VALUE                     BALANCE               PRINCIPAL           INTEREST               TOTAL
                                                                                             
A1                  259,000,000.00          173,408,857.27         34,488,954.74           872,631.91         35,361,586.65
A2                  292,000,000.00          292,000,000.00                  0.00         1,533,000.00          1,533,000.00
A3                  397,000,000.00          397,000,000.00                  0.00         2,054,475.00          2,054,475.00
A4                  294,000,000.00          294,000,000.00                  0.00         1,533,700.00          1,533,700.00
B1                   38,466,538.08           38,466,538.08                  0.00           207,719.31            207,719.31
TOTALS            1,280,466,538.08        1,194,875,395.35         34,488,954.74         6,201,526.22         40,690,480.96



                                                      CURRENT
                     REALIZED          DEFERRED       PRINCIPAL
   CLASS              LOSES            INTEREST        BALANCE
                                         
A1                         0.00            0.00      138,919,902.53
A2                         0.00            0.00      292,000,000.00
A3                         0.00            0.00      397,000,000.00
A4                         0.00            0.00      294,000,000.00
B1                         0.00            0.00       38,466,538.08
TOTALS                     0.00            0.00    1,160,386,440.61



    FACTOR INFORMATION PER $1000 OF ORIGINAL FACE
                                            PRIOR
                                           PRINCIPAL
 CLASS           CUSIP                      FACTOR                PRINCIPAL            INTEREST              TOTAL
                                                                                             
A1              161581bk8                   669.53226745          133.16198741           3.36923517          136.53122259
A2              161581bl6                 1,000.00000000            0.00000000           5.25000000            5.25000000
A3              161581bm4                 1,000.00000000            0.00000000           5.17500000            5.17500000
A4              161581bn2                 1,000.00000000            0.00000000           5.21666667            5.21666667
B1              161581bp7                 1,000.00000000            0.00000000           5.40000011            5.40000011
TOTALS                                      933.15628313           26.93467866           4.84317710           31.77785577



                                                           PASS-THROUGH RATES
                    CURRENT                                                   CURRENT
                   PRINCIPAL               CLASS                             PASS THRU
 CLASS               FACTOR                                                     RATE
                                                                  
A1                   536.37028004           A1                               6.470000%
A2                 1,000.00000000           A2                               6.300000%
A3                 1,000.00000000           A3                               6.210000%
A4                 1,000.00000000           A4                               6.260000%
B1                 1,000.00000000           B1                               6.480000%
TOTALS               906.22160447


IF THERE, ARE ANY QUESTIONS OR PROBLEMS WITH THIS STATEMENT PLEASE CONTACT THE
ADMINISTRATOR LISTED BELOW:
Maria Inoa
The Chase Manhattan Bank - Structured Finance Services
450 W. 33rd Street, 14th Floor,
New York, New York 10001
Tel: (212) 946-3676
Fax: 212) 946-8552
Email: maria.inoa@chase.com

                                  (C)COPYRIGHT 1999, CHASE MANHATTAN CORPORATION


                                                                          Page 2
Chase Manhattan Auto Owner Trust 2000-A
                                                          March 15 2001
                                                 STATEMENT TO CERTIFICATEHOLDERS




                                                                                   Due Period                          3
                                                                                   Due Period Beginning Date    02/01/01
                                                                                   Due Period End Date          02/28/01
                                                                                   Determination Date           03/09/01
                                                                                                 
Section 5.8(iii)                        Servicing Fee                                                         995,729.50
Section 5.8(iii)                        Servicing Fee per $1000                                               0.77763024

Section 5.8(iv)                         Administration Fee                                                      1,000.00
Section 5.8(iv)                         Administration Fee per $1000                                          0.00078097

Section 5.8(vi)                         Pool Balance at the end of the Collection Period                1,160,386,440.61

Section 5.8(vii)                        Repurchase Amounts for Repurchased Receivable
                                        By Seller                                                                   0.00
                                        By Servicer                                                                 0.00
                                        TOTAL                                                                       0.00

Section 5.8(viii)                       Realized Net Losses for Collection Period                              32,706.70

Section 5.8(ix)                         Reserve Account Balance after Disbursement                         20,437,041.81

Section 5.8(x)                          Specified Reserve Account Balance                                  26,108,694.91

Section 5.8(xi)                         Total Distribution Amount                                          43,705,829.31
                                        Servicing Fee                                                         995,729.50
                                        Administration Fee                                                      1,000.00
                                        Noteholders Distribution Amount                                    40,482,761.65

                                        Certficateholders Distribution Amount                                 207,719.31
                                        Deposit to Reserve Account                                          2,018,618.85


                                  (C)COPYRIGHT 1999, CHASE MANHATTAN CORPORATION