Exhibit 99.1

 

World Omni Select Auto Trust 2021-A
Monthly Servicer Certificate
June 30, 2025

 

Dates Covered            
Collections Period   06/01/25 - 06/30/25           
Interest Accrual Period   06/16/25 - 07/14/25           
30/360 Days   30           
Actual/360 Days   29           
Distribution Date   07/15/25           
                
Collateral Pool Balance Data   $ Amount    # of Accounts      
Pool Balance at 05/31/25   134,304,829.09    12,113      
Principal Payments   7,504,209.96    257      
Defaulted Receivables   692,596.87    52      
Repurchased Accounts   0.00    0      
Pool Balance at 06/30/25   126,108,022.26    11,804      
                
Pool Statistics   $ Amount    # of Accounts      
Pool Factor   11.88%          
Prepayment ABS Speed   1.04%          
Aggregate Starting Principal Balance   1,061,120,455.52    39,395      
                
Delinquent Receivables:               
Past Due 31-60 days   13,603,209.03    1,006      
Past Due 61-90 days   3,360,538.27    248      
Past Due 91-120 days   428,834.54    32      
Past Due 121+ days   0.00    0      
Total   17,392,581.84    1,286      
                
Total 31+ Delinquent as % Ending Pool Balance   13.79%          
Total 61+ Delinquent as % Ending Pool Balance   3.00%          
Delinquency Trigger Occurred   NO           
                
Recoveries   686,895.64           
Aggregate Net Losses/(Gains) - June 2025   5,701.23           
Ratio of Net Loss/(Gain) to the Receivables Balance as of beginning of Collection Period (Annualized):               
Current Net Losses/(Gains) Ratio   0.05%          
Prior Net Losses/(Gains) Ratio   1.15%          
Second Prior Net Losses/(Gains) Ratio   0.62%          
Third Prior Net Losses/(Gains) Ratio   -2.08%          
Four Month Average   -0.07%          
                
Cumulative Net Loss as a % of Aggregate Starting Principal Balance   1.92%          
                
Overcollateralization Target Amount   21,222,409.11           
Actual Overcollateralization   21,222,409.11           
Weighted Average Contract Rate   8.08%          
Weighted Average Remaining Term   23.40           
                
Flow of Funds   $ Amount           
Collections   9,086,913.30           
Investment Earnings on Cash Accounts   23,061.16           
Servicing Fee   (139,900.86)          
Transfer to Collection Account   -           
Available Funds   8,970,073.60           
                
Distributions of Available Funds               
    (1)  Asset Representation Reviewer Amounts (up to $150,000 per year)   -           
    (2)  Class A Interest   -           
    (3)  Noteholders' First Priority Principal Distributable Amount   -           
    (4)  Class B Interest   -           
    (5)  Noteholders' Second Priority Principal Distributable Amount   -           
    (6)  Class C Interest   40,068.78           
    (7)  Noteholders' Third Priority Principal Distributable Amount   -           
    (8)  Class D Interest   57,300.00           
    (9)  Noteholders' Fourth Priority Principal Distributable Amount   -           
   (10)  Class E Interest   -           
   (11)  Noteholders' Fifth Priority Principal Distributable Amount   -           
   (12)  Required Reserve Account   -           
   (13)  Noteholders' Principal Distributable Amount   8,196,806.83           
   (14)  Asset Representation Reviewer Amounts (in excess of 1)   -           
   (15)  Distribution to Certificateholders   675,897.99           
                
Total Distributions of Available Funds   8,970,073.60           
                
Servicing Fee   139,900.86           
Unpaid Servicing Fee   -           
Change in amount of the unpaid servicing fee from the prior period   -           

 

 

 

Note Balances & Note Factors   $ Amount           
Original Class A   817,050,000.00           
Original Class B   61,020,000.00           
Original Class C   61,020,000.00           
Original Class D   47,750,000.00           
Original Class E   21,220,000.00           
                
Total Class A, B, C, D & E               
Note Balance @ 06/16/25   113,082,419.98           
Principal Paid   8,196,806.83           
Note Balance @ 07/15/25   104,885,613.15           
                
Class A-1               
Note Balance @ 06/16/25   0.00           
Principal Paid   0.00           
Note Balance @ 07/15/25   0.00           
Note Factor @ 07/15/25   0.0000000%          
                
Class A-2               
Note Balance @ 06/16/25   0.00           
Principal Paid   0.00           
Note Balance @ 07/15/25   0.00           
Note Factor @ 07/15/25   0.0000000%          
                
Class A-3               
Note Balance @ 06/16/25   0.00           
Principal Paid   0.00           
Note Balance @ 07/15/25   0.00           
Note Factor @ 07/15/25   0.0000000%          
                
Class B               
Note Balance @ 06/16/25   0.00           
Principal Paid   0.00           
Note Balance @ 07/15/25   0.00           
Note Factor @ 07/15/25   0.0000000%          
                
Class C               
Note Balance @ 06/16/25   44,112,419.98           
Principal Paid   8,196,806.83           
Note Balance @ 07/15/25   35,915,613.15           
Note Factor @ 07/15/25   58.8587564%          
                
Class D               
Note Balance @ 06/16/25   47,750,000.00           
Principal Paid   0.00           
Note Balance @ 07/15/25   47,750,000.00           
Note Factor @ 07/15/25   100.0000000%          
                
Class E               
Note Balance @ 06/16/25   21,220,000.00           
Principal Paid   0.00           
Note Balance @ 07/15/25   21,220,000.00           
Note Factor @ 07/15/25   100.0000000%          
                
Interest & Principal Payments   $ Amount           
Total Interest Paid   97,368.78           
Total Principal Paid   8,196,806.83           
Total Paid   8,294,175.61           
                
Class A-1               
Coupon   0.09567%          
Interest Paid   0.00           
Principal Paid   0.00           
Total Paid to A-1 Holders   0.00           
                
Class A-2               
Coupon   0.29000%          
Interest Paid   0.00           
Principal Paid   0.00           
Total Paid to A-2 Holders   0.00           
                
Class A-3               
Coupon   0.53000%          
Interest Paid   0.00           
Principal Paid   0.00           
Total Paid to A-3 Holders   0.00           
                
Class B               
Coupon   0.85000%          
Interest Paid   0.00           
Principal Paid   0.00           
Total Paid to B Holders   0.00           
                
Class C               
Coupon   1.09000%          
Interest Paid   40,068.78           
Principal Paid   8,196,806.83           
Total Paid to C Holders   8,236,875.61           
                
Class D               
Coupon   1.44000%          
Interest Paid   57,300.00           
Principal Paid   0.00           
Total Paid to D Holders   57,300.00           
                
Class E               
Coupon   0.00000%          
Interest Paid   0.00           
Principal Paid   0.00           
Total Paid to E Holders   0.00           

 

 

 

Distribution per $1,000 of Notes   Total           
Total Interest Distribution Amount   0.0965903           
Total Interest Carryover Shortfall   0.0000000           
Total Principal Distribution Amount   8.1312688           
Total Distribution Amount   8.2278591           
                
A-1 Interest Distribution Amount   0.0000000           
A-1 Interest Carryover Shortfall   0.0000000           
A-1 Principal Distribution Amount   0.0000000           
Total A-1 Distribution Amount   0.0000000           
                
A-2  Interest Distribution Amount   0.0000000           
A-2 Interest Carryover Shortfall   0.0000000           
A-2  Principal Distribution Amount   0.0000000           
Total A-2  Distribution Amount   0.0000000           
                
A-3 Interest Distribution Amount   0.0000000           
A-3 Interest Carryover Shortfall   0.0000000           
A-3 Principal Distribution Amount   0.0000000           
Total A-3 Distribution Amount   0.0000000           
                
B Interest Distribution Amount   0.0000000           
B Interest Carryover Shortfall   0.0000000           
B Principal Distribution Amount   0.0000000           
Total B Distribution Amount   0.0000000           
                
C Interest Distribution Amount   0.6566500           
C Interest Carryover Shortfall   0.0000000           
C Principal Distribution Amount   134.3298399           
Total C Distribution Amount   134.9864899           
                
D Interest Distribution Amount   1.2000000           
D Interest Carryover Shortfall   0.0000000           
D Principal Distribution Amount   0.0000000           
Total D Distribution Amount   1.2000000           
                
E Interest Distribution Amount   0.0000000           
E Interest Carryover Shortfall   0.0000000           
E Principal Distribution Amount   0.0000000           
Total E Distribution Amount   0.0000000           
                
Noteholders' First Priority Principal Distributable Amount   0.00           
Noteholders' Second Priority Principal Distributable Amount   0.00           
Noteholders' Third Priority Principal Distributable Amount   0.00           
Noteholders' Fourth Priority Principal Distributable Amount   0.00           
Noteholders' Fifth Priority Principal Distributable Amount   0.00           
Noteholders' Principal Distributable Amount   1,000.00           
                
Account Balances   $ Amount           
Reserve Account               
Balance as of 06/16/25   5,305,602.28           
Investment Earnings   18,601.58           
Investment Earnings Paid   (18,601.58)          
Deposit/(Withdrawal)   -           
Balance as of 07/15/25   5,305,602.28           
Change   -           
                
Required Reserve Amount   5,305,602.28           
                
Other Servicing Information   Current Month    Prior Month    Two Months Prior 
Principal Balance of Receivables extended during the Collection Period  $1,693,060.68   $2,066,745.29   $2,010,732.87 
Number of Extensions   137    162    157 
Ratio of extensions to Beginning of Period Receivables Balance   1.26%   1.45%   1.32%

 

Credit Risk Retention Information
 
World Omni Financial Corp. (“World Omni”), as “originator” for the purposes of the EU Securitization Rules (as defined in the Sale and Servicing Agreement), continues to retain, a material net economic interest (the “EU Retained Interest”), in the form of retention of a first loss tranche as described in option (d) of Article 6(3) of the EU Securitization Regulation, by holding all the limited liability company interests in World Omni Auto Receivables LLC (“WOAR”), which in turn retains the Certificates (as defined in the Sale and Servicing Agreement) issued by World Omni Select Auto Trust 2021-A, such Certificates representing at least 5% of the aggregate nominal value of the Receivables (as defined in the Sale and Servicing Agreement) in the pool. 
 
World Omni has not (and has not permitted WOAR or any of its other affiliates to subject the EU Retained Interest to any hedge or otherwise mitigate its credit risk under or associated with the EU Retained Interest, or sell, transfer or otherwise surrender all or part of the rights, benefits or obligations arising from the EU Retained Interest) subject the EU Retained Interest to any credit risk mitigation or hedging, or sell, transfer or otherwise surrender all or part of the rights, benefits or obligations arising from the EU Retained Interest, except, in each case to the extent permitted in accordance with the EU Securitization Rules.  Further, World Omni has not changed the retention option or method of calculating the EU Retained Interest.