EX-99.3 5 k03825exv99w3.htm ANNUAL AGGREGATE SERVICER STATEMENT exv99w3
 

     
EXHIBIT 99.3
                                                                     
Volkswagen Auto Lease Trust 2005-A                                
SERVICER CERTIFICATE     Collection Period Ended:     Collection Period Ended:     Collection Period Ended:     Collection Period Ended:     Collection Period Ended:  
For the Annual Collection Period ended December 2005     February-05     March-05     April-05     May-05     June-05  
    SUMMARY                                                
        Initial Balance     Ending Balance     Note Factor     Principal Pmt (Regular)     Principal Pmt (Regular)     Principal Pmt (Regular)     Principal Pmt (Regular)     Principal Pmt (Regular)  
 
  Class A-1 Notes     425,000,000.00                   74,244,777.11       33,870,898.01       42,922,711.21       31,716,972.65       29,473,795.43  
 
  Class A-2 Notes     420,000,000.00       335,660,250.37       0.7991911                                
 
  Class A-3 Notes     485,000,000.00       485,000,000.00       1.0000000                                
 
  Class A-4 Notes     170,000,000.00       170,000,000.00       1.0000000                                
 
  Certificates     185,393,258.00       185,393,258.00       1.0000000                                
         
 
  Total   $ 1,685,393,258.00     $ 1,176,053,508.37             $ 74,244,777.11     $ 33,870,898.01     $ 42,922,711.21     $ 31,716,972.65     $ 29,473,795.43  
         
 
                                                                   
                                             
 
  Total Sec. Value   $ 1,685,393,258.00     $ 1,209,761,374.37                                                  
                                             
 
                                                                   
 
                      Coupon Rate     Interest Payment     Interest Payment     Interest Payment     Interest Payment     Interest Payment  
 
                                                       
 
  Class A-1 Notes                     2.9850 %     634,312.50       872,503.62       788,249.76       704,195.50       602,583.54  
 
  Class A-2 Notes                     3.5200 %     739,200.00       1,232,000.00       1,232,000.00       1,232,000.00       1,232,000.00  
 
  Class A-3 Notes                     3.8200 %     926,350.00       1,543,916.67       1,543,916.67       1,543,916.67       1,543,916.67  
 
  Class A-4 Notes                     3.9400 %     334,900.00       558,166.67       558,166.67       558,166.67       558,166.67  
         
 
  Total                             2,634,762.50       4,206,586.95       4,122,333.09       4,038,278.83       3,936,666.88  
         
 
                                                                   
    COLLECTIONS AND AVAILABLE FUNDS                                        
 
    Lease Payments Received     64,411,085.63       30,039,978.74       36,299,576.16       27,447,687.13       26,208,542.86  
    Sales Proceeds — Early Terminations     15,251,517.74       9,245,344.54       11,889,586.73       12,020,896.40       9,494,276.53  
    Sales Proceeds — Scheduled Terminations                       843,062.99       3,062,125.47  
    Security Deposits for Terminated Accounts     30,925.00       21,800.00       36,550.00       43,250.00       27,224.00  
    Excess Wear and Tear Received                 2,649.74       10,132.13       12,749.03  
    Excess Mileage Charges Received           412.00       10,045.25       29,528.65       56,434.88  
    Other Recoveries Received           6,485.00       41,931.00       77,673.81       69,802.00  
         
    Subtotal: Total Collections     79,693,528.37       39,314,020.28       48,280,338.88       40,472,231.11       38,931,154.77  
         
    Repurchase Payments                              
    Postmaturity Term Extension                       153,973.31       925,707.20  
    Investment Earnings on Collection Account           126,943.93       105,046.04       112,229.65       103,786.42  
         
    Total Available Funds, prior to Servicer Advances     79,693,528.37       39,440,964.21       48,385,384.92       40,738,434.07       39,960,648.39  
         
    Servicer Advance                              
         
    Total Available Funds     79,693,528.37       39,440,964.21       48,385,384.92       40,738,434.07       39,960,648.39  
         
    Reserve Account Draw                              
         
    Available for Distribution     79,693,528.37       39,440,964.21       48,385,384.92       40,738,434.07       39,960,648.39  
         
 
                                                                   
    DISTRIBUTIONS                                        
 
    Payment Date Advance Reimbursement                              
    Servicing Fee:                                        
   
Servicing Fee Shortfall from Prior Periods
                             
   
Servicing Fee Due in Current Period
    2,808,988.76       1,358,479.25       1,335,340.62       1,305,336.15       1,280,288.14  
   
Servicing Fee Shortfall
                             
    Administration Fee                                        
   
Administration Fee Shortfall from Prior Periods
                             
   
Administration Fee Due in Current Period
    5,000.00       5,000.00       5,000.00       5,000.00       5,000.00  
   
Administration Fee Shortfall
                             
    Interest Paid to Noteholders                                        
   
Interest Shortfall from Prior Periods Class A-1 Notes
                             
   
Interest Shortfall from Prior Periods Class A-2 Notes
                             
   
Interest Shortfall from Prior Periods Class A-3 Notes
                             
   
Interest Shortfall from Prior Periods Class A-4 Notes
                             
   
Interest Due in Current Period Class A-1 Notes
    634,312.50       872,503.62       788,249.76       704,195.50       602,583.54  
   
Interest Due in Current Period Class A-2 Notes
    739,200.00       1,232,000.00       1,232,000.00       1,232,000.00       1,232,000.00  
   
Interest Due in Current Period Class A-3 Notes
    926,350.00       1,543,916.67       1,543,916.67       1,543,916.67       1,543,916.67  
   
Interest Due in Current Period Class A-4 Notes
    334,900.00       558,166.67       558,166.67       558,166.67       558,166.67  
   
Interest Shortfall Class A-1 Notes
                             
   
Interest Shortfall Class A-2 Notes
                             
   
Interest Shortfall Class A-3 Notes
                             
   
Interest Shortfall Class A-4 Notes
                             
    First Priority Principal Distribution Amount                              
    Amount Paid to Reserve Account to Reach Specified Balance                              
    Regular Principal Paid to Noteholders     74,244,777.11       33,870,898.01       42,922,711.21       31,716,972.65       29,473,795.43  
    Other Amounts paid to Trustees                              
         
    Remaining Available Funds                       3,672,846.44       5,264,897.94  
         

 


 

EXHIBIT 99.3
     
                                             
Volkswagen Auto Lease Trust 2005-A                              
SERVICER CERTIFICATE   Collection Period Ended:     Collection Period Ended:     Collection Period Ended:     Collection Period Ended:     Collection Period Ended:  
For the Annual Collection Period ended December 2005   February-05     March-05     April-05     May-05     June-05  
 
 
  CALCULATIONS                                        
 
 
  Calculation of First Priority Principal Distribution Amount:                                        
 
  Outstanding Principal Amount of the Notes (Beg. Of Collection Period)     1,500,000,000.00       1,425,755,222.89       1,391,884,324.88       1,348,961,613.67       1,317,244,641.02  
 
  Less: Aggregate Securitization Value (End of Collection Period)     (1,630,175,094.69 )     (1,602,408,747.68 )     (1,566,403,375.13 )     (1,536,345,765.02 )     (1,506,871,969.59 )
         
 
  First Priority Principal Distribution Amount (not less than zero)                              
         
 
                                           
 
  Calculation of Regular Principal Distribution Amount:                                        
 
  Outstanding Principal Amount of the Notes (Beg. Of Collection Period)     1,500,000,000.00       1,425,755,222.89       1,391,884,324.88       1,348,961,613.67       1,317,244,641.02  
 
  Less: First Priority Principal Distribution Amount                              
 
  Less: Targeted Note Balance     (1,411,073,970.69 )     (1,383,307,623.68 )     (1,347,302,251.13 )     (1,317,244,641.02 )     (1,287,770,845.59 )
         
 
  Regular Principal Distribution Amount     88,926,029.31       42,447,599.21       44,582,073.75       31,716,972.65       29,473,795.43  
         
 
                                           
 
  Calculation of Targeted Note Balance:                                        
 
  Aggregate Securitization Value (End of Collection Period)     1,630,175,094.69       1,602,408,747.68       1,566,403,375.13       1,536,345,765.02       1,506,871,969.59  
 
  Less: Targeted Overcollateralization Amount (13% of Initial Securitization Value)     (219,101,124.00 )     (219,101,124.00 )     (219,101,124.00 )     (219,101,124.00 )     (219,101,124.00 )
         
 
  Targeted Note Balance     1,411,073,970.69       1,383,307,623.68       1,347,302,251.13       1,317,244,641.02       1,287,770,845.59  
         
 
                                           
 
  Calculation of Servicer Advance:                                        
 
  Available Funds, prior to Servicer Advances     79,693,528.37       39,440,964.21       48,385,384.92       40,738,434.07       39,960,648.39  
 
  Less: Payment Date Advance Reimbursement                              
 
  Less: Servicing Fees Paid     2,808,988.76       1,358,479.25       1,335,340.62       1,305,336.15       1,280,288.14  
 
  Less: Administration Fees Paid     5,000.00       5,000.00       5,000.00       5,000.00       5,000.00  
 
  Less: Interest Paid to Noteholders     2,634,762.50       4,206,586.95       4,122,333.09       4,038,278.83       3,936,666.88  
 
  Less: 1st Priority Principal Distribution                              
         
 
  Equals: Remaining Available Funds before Servicer Advance (If < 0, Available Funds Shortfall)     74,244,777.11       33,870,898.01       42,922,711.21       35,389,819.09       34,738,693.37  
 
  Monthly Lease Payments Due on Included Units but not received     N/A       N/A       N/A       N/A       N/A  
         
 
  Servicer Advance                              
         
 
                                           
 
  Total Available Funds after Servicer Advance     74,244,777.11       33,870,898.01       42,922,711.21       35,389,819.09       34,738,693.37  
         
 
  Reserve Account Draw Amount                              
         
 
                                           
 
  Reconciliation of Servicer Advance:                                        
 
  Beginning Balance of Servicer Advance                              
 
  Payment Date Advance Reimbursement                              
 
  Additional Payment Advances for current period                              
         
 
  Ending Balance of Payment Advance                              
         
 
                                           
 
  RESERVE ACCOUNT                                        
 
 
  Reserve Account Balances:                                        
 
  Specified Reserve Account Balance     16,853,932.58       16,853,932.58       16,853,932.58       16,853,932.58       16,853,932.58  
 
  Initial Reserve Account Balance     16,853,932.58       16,853,932.58       16,853,932.58       16,853,932.58       16,853,932.58  
 
                                           
 
  Beginning Reserve Account Balance     16,853,932.58       16,853,932.58       16,853,932.58       16,853,932.58       16,853,932.58  
 
  Plus: Net Investment Income for the Collection Period           33,969.92       37,677.68       41,446.60       41,811.46  
         
 
  Subtotal: Reserve Fund Available for Distribution     16,853,932.58       16,887,902.50       16,891,610.26       16,895,379.18       16,895,744.04  
 
  Plus: Deposit of Excess Available Funds                              
 
  Less: Reserve Account Draw Amount                              
         
 
  Subtotal Reserve Account Balance     16,853,932.58       16,887,902.50       16,891,610.26       16,895,379.18       16,895,744.04  
 
  Less: Excess Reserve Account Funds to Transferor           33,969.92       37,677.68       41,446.60       41,811.46  
         
 
  Equals: Ending Reserve Account Balance     16,853,932.58       16,853,932.58       16,853,932.58       16,853,932.58       16,853,932.58  
         
 
                                           
 
  Change in Reserve Account Balance from Immediately Preceding Payment Date                              
 
                                           
 
  Current Period Net Residual Losses:   Amounts     Amounts     Amounts     Amounts     Amounts  
 
                                 
 
  Aggregate Securitization Value for Scheduled Terminated Units                       912,679.34       3,235,452.13  
 
  Less: Sales Proceeds for Current Month Scheduled Terminations                       (849,562.99 )     (3,070,900.47 )
 
  Less: Sales Proceeds/Recoveries for Prior Month Scheduled Terminations                             (944.00 )
 
  Less: Excess Wear and Tear Received                       (10,132.13 )     (12,749.03 )
 
  Less: Excess Mileage Received                       (29,528.65 )     (56,434.88 )
         
 
  Current Period Net Residual Losses/(Gains)                       23,455.57       94,423.75  
         
 
  Cumulative Net Residual Losses:                                        
 
  Beginning Cumulative Net Residual Losses                             23,455.57  
 
  Current Period Net Residual Losses                       23,455.57       94,423.75  
         
 
  Ending Cumulative Net Residual Losses                       23,455.57       117,879.32  
         
 
  Cumulative Net Residual Losses/(Gains) % of Aggregate Initial Securitization Value     0.00 %     0.00 %     0.00 %     0.00 %     0.01 %
         

 


 

EXHIBIT 99.3
     
                                                     
Volkswagen Auto Lease Trust 2005-A                                
SERVICER CERTIFICATE     Collection Period Ended:     Collection Period Ended:     Collection Period Ended:     Collection Period Ended:     Collection Period Ended:  
For the Annual Collection Period ended December 2005     February-05     March-05     April-05     May-05     June-05  
 
 
  POOL STATISTICS     Initial                                          
 
 
  Collateral Pool Balance Data                                                
 
  Aggregate Securitization Value     1,685,393,258       1,630,175,095       1,602,408,748       1,566,403,375       1,536,345,765       1,506,871,970  
 
  Number of Current Contracts     72,157       71,507       71,095       70,539       69,925       69,249  
 
  Weighted Average Lease Rate     3.59 %     3.58 %     3.57 %     3.61 %     3.55 %     3.54 %
 
  Average Remaining Term     27.48       25.47       23.86       24.25       21.94       21.14  
 
  Average Original Term     42.98       42.97       42.96       43.61       42.95       42.95  
 
  Monthly Prepayment Speed             82.81 %     81.14 %     98.00 %     96.32 %     89.89 %
 
                                                   
 
              Securitization Value     Securitization Value     Securitization Value     Securitization Value     Securitization Value  
 
                                         
 
  Pool Balance (Securitization Value) - Beginning of Period     1,685,393,259       1,630,175,095       1,602,408,748       1,566,403,375       1,536,345,765  
 
  Depreciation/Payments             (40,939,759 )     (19,068,636 )     (24,419,958 )     (17,231,483 )     (15,985,245 )
 
  Gross Credit Losses             (18,127 )     (119,246 )     (644,371 )     (550,645 )     (576,494 )
 
  Early Terminations             (14,260,279 )     (8,578,464 )     (10,941,043 )     (11,208,829 )     (8,750,897 )
 
  Scheduled Terminations                               (912,679 )     (3,235,452 )
 
  Repurchase/Reallocation                               (153,973 )     (925,707 )
         
 
  Pool Balance - End of Period             1,630,175,095       1,602,408,748       1,566,403,375       1,536,345,765       1,506,871,970  
         
 
                                                   
 
  Delinquencies Aging Profile — End of Period Securitization Value                                        
 
  Current             1,621,476,424       1,594,787,424       1,555,586,030       1,525,533,601       1,494,182,100  
 
  31 - 90 Days Delinquent             8,512,491       6,743,998       9,722,670       9,775,516       11,660,725  
 
  90+ Days Delinquent             186,180       877,326       1,094,676       1,036,648       1,029,145  
         
 
  Total             1,630,175,095       1,602,408,748       1,566,403,375       1,536,345,765       1,506,871,970  
         
 
                                                   
 
  Credit Losses:                                                
 
  Aggregate Securitization Value on charged-off units     18,127       119,246       644,371       550,645       576,494  
 
  Aggregate Liquidation Proceeds on charged-off units     (476 )     (69,536 )     (445,017 )     (388,946 )     (378,837 )
 
  Recoveries on charged-off units                                      
         
 
  Current Period Aggregate Net Credit Losses/(Gains)     17,651       49,710       199,354       161,699       197,657  
         
 
                                                   
 
  Cumulative Net Credit Losses:                                                
 
  Beginning Cumulative Net Credit Losses                   17,651       67,361       266,716       428,415  
 
  Current Period Net Credit Losses             17,651       49,710       199,354       161,699       197,657  
         
 
  Ending Cumulative Net Credit Losses             17,651       67,361       266,716       428,415       626,072  
         
 
  Cumulative Net Credit Losses/(Gains) as a % of Aggregate Initial Sec. Value     0.00 %     0.00 %     0.02 %     0.03 %     0.04 %
         

 


 

     
EXHIBIT 99.3
                                                                                     
Volkswagen Auto Lease Trust 2005-A                                            
SERVICER CERTIFICATE     Collection Period Ended:     Collection Period Ended:     Collection Period Ended:     Collection Period     Collection Period     Collection Period Ended:        
For the Annual Collection Period ended December 2005     July-05     August-05     September-05     October-05     November-05     December-05     TOTALS  
    SUMMARY                                                                                
        Initial Balance     Ending Balance     Note Factor     Principal Pmt (Regular)     Principal Pmt (Regular)     Principal Pmt (Regular)     Principal Pmt (Regular)     Principal Pmt (Regular)     Principal Pmt (Regular)     Principal Pmt (Regular)  
 
  Class A-1 Notes     425,000,000.00                   48,815,866.55       44,528,560.32       63,520,251.02       46,470,387.23       9,435,780.47             425,000,000.00  
 
  Class A-2 Notes     420,000,000.00       335,660,250.37       0.7991911                               32,852,146.70       51,487,602.93       84,339,749.63  
 
  Class A-3 Notes     485,000,000.00       485,000,000.00       1.0000000                                            
 
  Class A-4 Notes     170,000,000.00       170,000,000.00       1.0000000                                            
 
  Certificates     185,393,258.00       185,393,258.00       1.0000000                                            
         
 
  Total   $ 1,685,393,258.00     $ 1,176,053,508.37             $ 48,815,866.55     $ 44,528,560.32     $ 63,520,251.02     $ 46,470,387.23     $ 42,287,927.17     $ 51,487,602.93     $ 509,339,749.63  
         
 
                                                                                   
                                                             
 
  Total Sec. Value   $ 1,685,393,258.00     $ 1,209,761,374.37                                                                  
                                                             
 
                                                                                   
 
                    Coupon Rate     Interest Payment   Interest Payment     Interest Payment     Interest Payment     Interest Payment     Interest Payment     Interest Payment  
 
                                                                   
 
  Class A-1 Notes                     2.9850 %     582,194.23       394,243.41       297,073.22       148,337.70       22,689.12             5,046,382.59  
 
  Class A-2 Notes                     3.5200 %     1,232,000.00       1,232,000.00       1,232,000.00       1,232,000.00       1,232,000.00       1,135,633.70       12,962,833.70  
 
  Class A-3 Notes                     3.8200 %     1,543,916.67       1,543,916.67       1,543,916.67       1,543,916.67       1,543,916.67       1,543,916.67       16,365,516.67  
 
  Class A-4 Notes                     3.9400 %     558,166.67       558,166.67       558,166.67       558,166.67       558,166.67       558,166.67       5,916,566.67  
         
 
  Total                             3,916,277.56       3,728,326.74       3,631,156.55       3,482,421.03       3,356,772.45       3,237,717.04       40,291,299.63  
         
 
                                                                                   
    COLLECTIONS AND AVAILABLE FUNDS                                                        
 
    Lease Payments Received     33,878,026.56       24,775,688.39       29,887,596.91       23,545,003.16       22,194,984.46       22,652,045.56       341,340,215.56  
    Sales Proceeds — Early Terminations     16,391,808.09       12,659,553.22       14,644,216.97       11,239,713.80       9,874,233.60       11,206,475.67       133,917,623.29  
    Sales Proceeds — Scheduled Terminations     7,661,252.27       13,635,606.36       23,310,381.76       14,579,953.61       14,634,311.45       21,011,135.32       98,737,829.23  
    Security Deposits for Terminated Accounts     73,700.00       86,750.00       112,775.00       85,949.00       78,763.30       111,724.00       709,410.30  
    Excess Wear and Tear Received     48,665.22       64,938.61       70,505.43       90,620.84       77,763.79       105,627.48       483,652.27  
    Excess Mileage Charges Received     131,909.74       155,620.15       145,541.09       209,052.53       169,074.84       198,738.61       1,106,357.74  
    Other Recoveries Received     95,755.70       66,411.95       175,235.74       417,443.98       844,042.34       1,840,589.52       3,635,371.04  
         
    Subtotal: Total Collections     58,281,117.58       51,444,568.68       68,346,252.90       50,167,736.92       47,873,173.78       57,126,336.16       579,930,459.43  
         
    Repurchase Payments                                          
    Postmaturity Term Extension     1,312,428.70       1,424,799.17       2,307,005.21       2,181,498.20                   8,305,411.79  
    Investment Earnings on Collection Account     137,487.36       169,488.70       171,636.02       191,161.61       174,709.69       224,380.63       1,516,870.05  
         
    Total Available Funds, prior to Servicer Advances     59,731,033.64       53,038,856.55       70,824,894.13       52,540,396.73       48,047,883.47       57,350,716.79       589,752,741.27  
         
    Servicer Advance                                          
         
    Total Available Funds     59,731,033.64       53,038,856.55       70,824,894.13       52,540,396.73       48,047,883.47       57,350,716.79       589,752,741.27  
         
    Reserve Account Draw                                          
         
    Available for Distribution     59,731,033.64       53,038,856.55       70,824,894.13       52,540,396.73       48,047,883.47       57,350,716.79       589,752,741.27  
         
 
                                                                                   
    DISTRIBUTIONS                                                        
 
    Payment Date Advance Reimbursement                                          
    Servicing Fee:                                                        
   
Servicing Fee Shortfall from Prior Periods
                                         
   
Servicing Fee Due in Current Period
    1,255,726.64       1,215,046.75       1,177,939.62       1,125,006.08       1,086,280.75       1,051,040.81       14,999,473.57  
   
Servicing Fee Shortfall
                                         
    Administration Fee                                                        
   
Administration Fee Shortfall from Prior Periods
                                         
   
Administration Fee Due in Current Period
    5,000.00       5,000.00       5,000.00       5,000.00       5,000.00       5,000.00       55,000.00  
   
Administration Fee Shortfall
                                         
    Interest Paid to Noteholders                                                        
   
Interest Shortfall from Prior Periods Class A-1 Notes
                                         
   
Interest Shortfall from Prior Periods Class A-2 Notes
                                         
   
Interest Shortfall from Prior Periods Class A-3 Notes
                                         
   
Interest Shortfall from Prior Periods Class A-4 Notes
                                         
   
Interest Due in Current Period Class A-1 Notes
    582,194.23       394,243.41       297,073.22       148,337.70       22,689.12             5,046,382.59  
   
Interest Due in Current Period Class A-2 Notes
    1,232,000.00       1,232,000.00       1,232,000.00       1,232,000.00       1,232,000.00       1,135,633.70       12,962,833.70  
   
Interest Due in Current Period Class A-3 Notes
    1,543,916.67       1,543,916.67       1,543,916.67       1,543,916.67       1,543,916.67       1,543,916.67       16,365,516.67  
   
Interest Due in Current Period Class A-4 Notes
    558,166.67       558,166.67       558,166.67       558,166.67       558,166.67       558,166.67       5,916,566.67  
   
Interest Shortfall Class A-1 Notes
                                         
   
Interest Shortfall Class A-2 Notes
                                         
   
Interest Shortfall Class A-3 Notes
                                         
   
Interest Shortfall Class A-4 Notes
                                         
    First Priority Principal Distribution Amount                                          
    Amount Paid to Reserve Account to Reach Specified Balance                                          
    Regular Principal Paid to Noteholders     48,815,866.55       44,528,560.32       63,520,251.02       46,470,387.23       42,287,927.17       51,487,602.93       509,339,749.63  
    Other Amounts paid to Trustees                                          
         
    Remaining Available Funds     5,738,162.89       3,561,922.73       2,490,546.94       1,457,582.39       1,311,903.09       1,569,356.01       25,067,218.45  
         

 


 

     
EXHIBIT 99.3
                                                             
Volkswagen Auto Lease Trust 2005-A                                          
SERVICER CERTIFICATE   Collection Period Ended:     Collection Period Ended:     Collection Period Ended:     Collection Period     Collection Period     Collection Period Ended:        
For the Annual Collection Period ended December 2005   July-05     August-05     September-05     October-05     November-05     December-05     TOTALS  
 
 
  CALCULATIONS                                                        
 
 
  Calculation of First Priority Principal Distribution Amount:                                                        
 
  Outstanding Principal Amount of the Notes (Beg. Of Collection Period)     1,287,770,845.59       1,238,954,979.04       1,194,426,418.72       1,130,906,167.70       1,084,435,780.47       1,042,147,853.30          
 
  Less: Aggregate Securitization Value (End of Collection Period)     (1,458,056,103.04 )     (1,413,527,542.72 )     (1,350,007,291.70 )     (1,303,536,904.47 )     (1,261,248,977.30 )     (1,209,761,374.37 )        
         
 
  First Priority Principal Distribution Amount (not less than zero)                                          
         
 
                                                           
 
  Calculation of Regular Principal Distribution Amount:                                                        
 
  Outstanding Principal Amount of the Notes (Beg. Of Collection Period)     1,287,770,845.59       1,238,954,979.04       1,194,426,418.72       1,130,906,167.70       1,084,435,780.47       1,042,147,853.30          
 
  Less: First Priority Principal Distribution Amount                                            
 
  Less: Targeted Note Balance     (1,238,954,979.04 )     (1,194,426,418.72 )     (1,130,906,167.70 )     (1,084,435,780.47 )     (1,042,147,853.30 )     (990,660,250.37 )        
         
 
  Regular Principal Distribution Amount     48,815,866.55       44,528,560.32       63,520,251.02       46,470,387.23       42,287,927.17       51,487,602.93       534,257,065.57  
         
 
                                                           
 
  Calculation of Targeted Note Balance:                                                        
 
  Aggregate Securitization Value (End of Collection Period)     1,458,056,103.04       1,413,527,542.72       1,350,007,291.70       1,303,536,904.47       1,261,248,977.30       1,209,761,374.37          
 
  Less: Targeted Overcollateralization Amount (13% of Initial Securitzation Value)     (219,101,124.00 )     (219,101,124.00 )     (219,101,124.00 )     (219,101,124.00 )     (219,101,124.00 )     (219,101,124.00 )        
         
 
  Targeted Note Balance     1,238,954,979.04       1,194,426,418.72       1,130,906,167.70       1,084,435,780.47       1,042,147,853.30       990,660,250.37          
         
 
                                                           
 
  Calculation of Servicer Advance:                                                        
 
  Available Funds, prior to Servicer Advances     59,731,033.64       53,038,856.55       70,824,894.13       52,540,396.73       48,047,883.47       57,350,716.79          
 
  Less: Payment Date Advance Reimbursement                                            
 
  Less: Servicing Fees Paid     1,255,726.64       1,215,046.75       1,177,939.62       1,125,006.08       1,086,280.75       1,051,040.81          
 
  Less: Administration Fees Paid     5,000.00       5,000.00       5,000.00       5,000.00       5,000.00       5,000.00          
 
  Less: Interest Paid to Noteholders     3,916,277.56       3,728,326.74       3,631,156.55       3,482,421.03       3,356,772.45       3,237,717.04          
 
  Less: 1st Priority Principal Distribution                                            
         
 
  Equals: Remaining Available Funds before Servicer Advance (If < 0, Available Funds Shortfall)     54,554,029.44       48,090,483.05       66,010,797.96       47,927,969.62       43,599,830.26       53,056,958.94          
 
  Monthly Lease Payments Due on Included Units but not received     N/A       N/A       N/A       N/A       N/A       N/A          
         
 
  Servicer Advance                                          
         
 
                                                           
 
  Total Available Funds after Servicer Advance     54,554,029.44       48,090,483.05       66,010,797.96       47,927,969.62       43,599,830.26       53,056,958.94          
         
 
  Reserve Account Draw Amount                                          
         
 
                                                           
 
  Reconciliation of Servicer Advance:                                                        
 
  Beginning Balance of Servicer Advance                                            
 
  Payment Date Advance Reimbursement                                            
 
  Additional Payment Advances for current period                                            
         
 
  Ending Balance of Payment Advance                                            
         
 
                                                           
 
  RESERVE ACCOUNT                                                        
 
 
  Reserve Account Balances:                                                        
 
  Specified Reserve Account Balance     16,853,932.58       16,853,932.58       16,853,932.58       16,853,932.58       16,853,932.58       16,853,932.58       16,853,932.58  
 
  Initial Reserve Account Balance     16,853,932.58       16,853,932.58       16,853,932.58       16,853,932.58       16,853,932.58       16,853,932.58       16,853,932.58  
 
                                                           
 
  Beginning Reserve Account Balance     16,853,932.58       16,853,932.58       16,853,932.58       16,853,932.58       16,853,932.58       16,853,932.58       16,853,932.58  
 
  Plus: Net Investment Income for the Collection Period     45,717.44       48,366.36       49,011.03       52,998.10       54,187.16       58,751.82       463,937.57  
         
 
  Subtotal: Reserve Fund Available for Distribution     16,899,650.02       16,902,298.94       16,902,943.61       16,906,930.68       16,908,119.74       16,912,684.40       17,317,870.15  
 
  Plus: Deposit of Excess Available Funds                                          
 
  Less: Reserve Account Draw Amount                                          
         
 
  Subtotal Reserve Account Balance     16,899,650.02       16,902,298.94       16,902,943.61       16,906,930.68       16,908,119.74       16,912,684.40       17,317,870.15  
 
  Less: Excess Reserve Account Funds to Transferor     45,717.44       48,366.36       49,011.03       52,998.10       54,187.16       58,751.82       463,937.57  
         
 
  Equals: Ending Reserve Account Balance     16,853,932.58       16,853,932.58       16,853,932.58       16,853,932.58       16,853,932.58       16,853,932.58       16,853,932.58  
         
 
                                                           
 
  Change in Reserve Account Balance from Immediately Preceding Payment Date                                          
 
                                                           
 
  Current Period Net Residual Losses:   Amounts     Amounts     Amounts     Amounts     Amounts     Amounts          
 
                                               
 
  Aggregate Securitization Value for Scheduled Terminated Units     8,588,666.30       15,384,633.64       27,009,405.08       18,274,380.26       18,723,907.92       26,211,979.56       118,341,104.23  
 
  Less: Sales Proceeds for Current Month Scheduled Terminations     (7,697,252.27 )     (13,694,431.36 )     (23,389,156.76 )     (14,641,077.61 )     (14,688,649.75 )     (21,098,359.32 )     (99,129,390.53 )
 
  Less: Sales Proceeds/Recoveries for Prior Month Scheduled Terminations     (3,731.00 )     (5,074.00 )     (92,921.16 )     (328,857.31 )     (790,771.96 )     (1,794,934.68 )     (3,017,234.11 )
 
  Less: Excess Wear and Tear Received     (48,665.22 )     (64,938.61 )     (70,505.43 )     (90,620.84 )     (77,763.79 )     (105,627.48 )     (481,002.53 )
 
  Less: Excess Mileage Received     (131,909.74 )     (155,620.15 )     (145,541.09 )     (209,052.53 )     (169,074.84 )     (198,738.61 )     (1,095,900.49 )
         
 
  Current Period Net Residual Losses/(Gains)     707,108.07       1,464,569.52       3,311,280.64       3,004,771.97       2,997,647.58       3,014,319.47       14,617,576.57  
         
 
  Cumulative Net Residual Losses:                                                        
 
  Beginning Cumulative Net Residual Losses     117,879.32       824,987.39       2,289,556.91       5,600,837.55       8,605,609.52       11,603,257.10        
 
  Current Period Net Residual Losses     707,108.07       1,464,569.52       3,311,280.64       3,004,771.97       2,997,647.58       3,014,319.47       14,617,576.57  
         
 
  Ending Cumulative Net Residual Losses     824,987.39       2,289,556.91       5,600,837.55       8,605,609.52       11,603,257.10       14,617,576.57       14,617,576.57  
         
 
  Cumulative Net Residual Losses/(Gains) % of Aggregate Initial Securitization Value     0.05 %     0.14 %     0.33 %     0.51 %     0.69 %     0.87 %     0.87 %
         

 


 

     
EXHIBIT 99.3
                                                                     
Volkswagen Auto Lease Trust 2005-A                                            
SERVICER CERTIFICATE     Collection Period Ended:     Collection Period Ended:     Collection Period Ended:     Collection Period     Collection Period     Collection Period Ended:        
For the Annual Collection Period ended December 2005     July-05     August-05     September-05     October-05     November-05     December-05     TOTALS  
 
 
  POOL STATISTICS     Initial                                                          
 
 
  Collateral Pool Balance Data                                                                
 
  Aggregate Securitization Value     1,685,393,258       1,458,056,103       1,413,527,543       1,350,007,292       1,303,536,904       1,261,248,977       1,209,761,374          
 
  Number of Current Contracts     72,157       67,907       66,328       63,996       62,304       60,775       58,869          
 
  Weighted Average Lease Rate     3.59 %     3.52 %     3.51 %     3.49 %     3.49 %     3.50 %     3.53 %        
 
  Average Remaining Term     27.48       20.21       19.61       18.95       18.39       17.81       17.24          
 
  Average Original Term     42.98       42.95       42.98       43.03       43.07       43.12       43.19          
 
  Monthly Prepayment Speed             90.24 %     83.68 %     89.51 %     79.42 %     72.41 %     74.11 %        
 
                                                                   
 
              Securitization Value     Securitization Value     Securitization Value     Securitization Value     Securitization Value     Securitization Value          
 
                                                       
 
  Pool Balance (Securitization Value) - Beginning of Period     1,506,871,970       1,458,056,103       1,413,527,543       1,350,007,292       1,303,536,904       1,261,248,977       1,685,393,259  
 
  Depreciation/Payments             (22,844,587 )     (15,377,725 )     (20,182,677 )     (14,855,539 )     (13,802,628 )     (14,441,566 )     (219,149,804 )
 
  Gross Credit Losses             (633,710 )     (725,498 )     (879,313 )     (863,023 )     (451,749 )     (577,994 )     (6,040,172 )
 
  Early Terminations             (15,436,475 )     (11,615,904 )     (13,141,850 )     (10,295,947 )     (9,309,642 )     (10,256,063 )     (123,795,393 )
 
  Scheduled Terminations             (8,588,666 )     (15,384,634 )     (27,009,405 )     (18,274,380 )     (18,723,908 )     (26,211,980 )     (118,341,104 )
 
  Repurchase/Reallocation             (1,312,429 )     (1,424,799 )     (2,307,005 )     (2,181,498 )                 (8,305,412 )
         
 
  Pool Balance - End of Period             1,458,056,103       1,413,527,543       1,350,007,292       1,303,536,904       1,261,248,977       1,209,761,374       1,209,761,374  
         
 
                                                                   
 
  Delinquencies Aging Profile - End of Period Securitization Value                                                        
 
  Current             1,442,000,833       1,397,613,257       1,333,196,344       1,287,476,092       1,244,509,084       1,192,884,466          
 
  31 - 90 Days Delinquent             14,113,695       13,993,149       14,533,234       13,754,502       13,936,086       13,813,078          
 
  90+ Days Delinquent             1,941,575       1,921,137       2,277,714       2,306,311       2,803,807       3,063,831          
         
 
  Total             1,458,056,103       1,413,527,543       1,350,007,292       1,303,536,904       1,261,248,977       1,209,761,374          
         
 
                                                                   
 
  Credit Losses:                                                                
 
  Aggregate Securitization Value on charged-off units             633,710       725,498       879,313       863,023       451,749       577,994       6,040,172  
 
  Aggregate Liquidation Proceeds on charged-off units             (371,372 )     (508,715 )     (563,098 )     (520,478 )     (206,604 )     (402,848 )     (3,855,927 )
 
  Recoveries on charged-off units             (346 )     (17,824 )     (21,697 )     (47,383 )     (252 )     (30,740 )     (118,242 )
         
 
  Current Period Aggregate Net Credit Losses/(Gains)     261,992       198,959       294,518       295,161       244,893       144,407       2,066,003  
         
 
                                                                   
 
  Cumulative Net Credit Losses:                                                                
 
  Beginning Cumulative Net Credit Losses             626,072       888,064       1,087,023       1,381,542       1,676,703       1,921,596        
 
  Current Period Net Credit Losses             261,992       198,959       294,518       295,161       244,893       144,407       2,066,003  
         
    Ending Cumulative Net Credit Losses     888,064       1,087,023       1,381,542       1,676,703       1,921,596       2,066,003       2,066,003  
         
    Cumulative Net Credit Losses/(Gains) as a % of Aggregate Initial Sec. Value     0.05 %     0.06 %     0.08 %     0.10 %     0.11 %     0.12 %     0.12 %