Americredit Automobile Receivables Trust 2000 C Sample Contracts

Americredit Automobile Receivables Trust 2000 C – -------------------------------------------------------------------------- MONTHLY PERIOD BEGINNING: 11/01/2000 Monthly Period Ending: 11/30/2000 Prev. Distribution/Close Date: 11/06/2000 DISTRIBUTION DATE: 12/05/2000 DAYS OF INTEREST FOR PERIOD: 29 DAYS IN COLLECTION PERIOD: 30 MONTHS SEASONED: 3 -------------------------------------------------------------------------- ------------------------------------------------------------------------------ ORIGINAL PURCHASES UNITS CUT-OFF DATE CLOSING DATE POOL BALANCE ------------------------------------------------------------------------------ ---- (September 18th, 2001)

AmeriCredit Automobile Receivables Trust 2000-C Class A-1 6.7320% Asset Backed Notes Class A-2 6.9700% Asset Backed Notes Class A-3 7.0500% Asset Backed Notes Class A-4 Floating Rate Asset Backed Notes Preliminary Servicer's Certificate This Servicer's Certificate has been prepared pursuant to Section 4.9 of the Sale and Servicing Agreement among AmeriCredit Automobile Receivables Trust 2000-C, as Issuer, AmeriCredit Financial Services, Inc., as Servicer, AFS Funding Corp., as Seller, and Bank One, N.A., as the Backup Servicer and Trust Collateral Agent, dated as of August 8,2000. Defined terms have the meanings assigned to them in the Sale and Servicing Agreement or in other Transaction Documents. The undersigned hereby certifies that no Trigger Event has occurred on the related Determination Date and that, to the knowledge of the Servicer, no Insurance Agreement Event of Default has occurred.

Americredit Automobile Receivables Trust 2000 C – ----------------------------------------------- ------------------------------------------------------------------------------- MONTHLY PERIOD BEGINNING: 02/01/2001 ORIGINAL MONTHLY PERIOD ENDING: 02/28/2001 PURCHASES UNITS CUT-OFF DATE CLOSING DATE POOL BALANCE ------------------------------------------------------------------------------- PREV. DISTRIBUTION/CLOSE DATE: 02/05/2001 INITIAL PURCHASE 37,065 08/17/2000 08/23/2000 $549,998,545 DISTRIBUTION DATE: 03/05/2001 SUB. PURCHASE #1 3,674 09/20/2000 09/28/2000 49,999,986 DAYS OF INTEREST FOR PERIOD: 28 SUB. PURCHASE #2 34,400 10/19/2000 10/ (September 18th, 2001)

AmeriCredit Automobile Receivables Trust 2000-C Class A-1 6.7320% Asset Backed Notes Class A-2 6.9700% Asset Backed Notes Class A-3 7.0500% Asset Backed Notes Class A-4 Floating Rate Asset Backed Notes Preliminary Servicer's Certificate This Servicer's Certificate has been prepared pursuant to Section 4.9 of the Sale and Servicing Agreement among AmeriCredit Automobile Receivables Trust 2000-C, as Issuer, AmeriCredit Financial Services, Inc., as Servicer, AFS Funding Corp., as Seller, and Bank One, N.A., as the Backup Servicer and Trust Collateral Agent, dated as of August 8,2000. Defined terms have the meanings assigned to them in the Sale and Servicing Agreement or in other Transaction Documents. The undersigned hereby certifies that no Trigger Event has occurred on the related Determination Date and that, to the knowledge of the Servicer, no Insurance Agreement Event of Default has occurred.

Americredit Automobile Receivables Trust 2000 C – ------------------------------------------------------------------------------- ------------------------- ORIGINAL PURCHASES UNITS CUT-OFF DATE CLOSING DATE POOL BALANCE ------------------------------------------------------------------ -------------------------------------- INITIAL PURCHASE 37,065 08/17/2000 08/23/2000 $549,998,545 SUB. PURCHASE #1 3,674 09/20/2000 09/28/2000 49,999,986 SUB. PURCHASE #2 34,400 10/19/2000 10/26/2000 499,999,128 ------------------------------------------------------------------------- TOTAL 75,139 $1,099,997,659 --------------------------------------------------- (September 18th, 2001)

AmeriCredit Automobile Receivables Trust 2000-C Class A-1 6.7320 % Asset Backed Notes Class A-2 6.9700 % Asset Backed Notes Class A-3 7.0500 % Asset Backed Notes Class A-4 Floating Rate Asset Backed Notes Preliminary Servicer's Certificate This Servicer's Certificate has been prepared pursuant to Section 4.9 of the Sale and Servicing Agreement among AmeriCredit Automobile Receivables Trust 2000-C, as Issuer, AmeriCredit Financial Services, Inc., as Servicer, AFS Funding Corp., as Seller, and Bank One, N.A., as the Backup Servicer and Trust Collateral Agent, dated as of August 8,2000. Defined terms have the meanings assigned to them in the Sale and Servicing Agreement or in other Transaction Documents. The undersigned hereby certifies that no Trigger Event has occurred on the related Determination Date and that, to the knowledge of the Servicer, no Insurance Agreement Event of Default has occurred. --------------------------------------------------- MONTHLY PERIOD BEGINNING: 03/01/2001

Americredit Automobile Receivables Trust 2000 C – ---------------------------------------------- -------------------------------- ------------------------------------------------- MONTHLY PERIOD BEGINNING: 01/01/2001 ORIGINAL MONTHLY PERIOD ENDING: 01/31/2001 PURCHASES UNITS CUT-OFF DATE CLOSING DATE POOL BALANCE ------------------------------------------------ --------------------------------- PREV. DISTRIBUTION/CLOSE DATE: 01/05/2001 INITIAL PURCHASE 37,065 08/17/2000 08/23/2000 $549,998,545 DISTRIBUTION DATE: 02/05/2001 SUB. PURCHASE #1 3,674 09/20/2000 09/28/2000 49,999,986 DAYS OF INTEREST FOR PERIOD: 31 SUB. PURCHASE #2 34,400 10/19/2000 (September 18th, 2001)

AmeriCredit Automobile Receivables Trust 2000-C Class A-1 6.7320% Asset Backed Notes Class A-2 6.9700% Asset Backed Notes Class A-3 7.0500% Asset Backed Notes Class A-4 Floating Rate Asset Backed Notes Preliminary Servicer's Certificate This Servicer's Certificate has been prepared pursuant to Section 4.9 of the Sale and Servicing Agreement among AmeriCredit Automobile Receivables Trust 2000-C, as Issuer, AmeriCredit Financial Services, Inc., as Servicer, AFS Funding Corp., as Seller, and Bank One, N.A., as the Backup Servicer and Trust Collateral Agent, dated as of August 8, 2000. Defined terms have the meanings assigned to them in the Sale and Servicing Agreement or in other Transaction Documents. The undersigned hereby certifies that no Trigger Event has occurred on the related Determination Date and that, to the knowledge of the Servicer, no Insurance Agreement Event of Default has occurred.