EX-99.3 4 jdot-20250715xex99d3.htm EX-99.3

John Deere Owner Trust 2023-C

EXHIBIT 99.3

Servicer's Certificate

Check for Error

$321,000,000 Class A-1 5.65000% Asset Backed Notes due September 16, 2024

$430,000,000 Class A-2 5.76% Asset Backed Notes due August 17, 2026

$430,000,000 Class A-3 5.48% Asset Backed Notes due May 15, 2028

$91,790,000 Class A-4 5.39% Asset Backed Notes due August 15, 2030

$32,639,410 Overcollateralization

Scheduled Payment Date (30/360)

15-Jul-25

Actual Payment Date (A/360)

15-Jul-25

Collection Period Begin Date

26-May-25

Collection Period End Date

22-Jun-25

Days in accrual period (30/360)

30

Days in accrual period (ACT/360)

29

(1)

Total Distribution Amount:

$27,821,784.29

(a)

Total cash receipts during the month:

$27,406,151.78

(b)

Administrative repurchases during the month:

$370,105.67

(c)

Investment earnings on cash accounts:

$45,526.84

(d)

Payment from Deere to buy-back the deal:

$0.00

(2)

(a)

Administration Fee:

$100.00

(b)

Administration Fee Shortfall:

$0.00

(3)

Noteholders' Interest Distributable Amount deposited into Note Distribution Account:

$2,317,529.74

Noteholders' Interest Carryover Shortfall:

$0.00

(a)

(i)

Noteholders' Interest Distributable Amount applicable to Class A-1 Notes:

$0.00

(ii)

Noteholders' Interest Carryover Shortfall applicable to Class A-1 Notes:

$0.00

(b)

(i)

Noteholders' Interest Distributable Amount applicable to Class A-2 Notes:

$0.00

(ii)

Noteholders' Interest Carryover Shortfall applicable to Class A-2 Notes:

$0.00

(c)

(i)

Noteholders' Interest Distributable Amount applicable to Class A-3 Notes:

$1,905,239.66

(ii)

Noteholders' Interest Carryover Shortfall applicable to Class A-3 Notes:

$0.00

(d)

(i)

Noteholders' Interest Distributable Amount applicable to Class A-4 Notes:

$412,290.08

(ii)

Noteholders' Interest Carryover Shortfall applicable to Class A-4 Notes:

$0.00

(4)

Noteholders' Principal Distribution Amount deposited into Note Distribution Account:

$23,923,014.07

Noteholders' Principal Carryover Shortfall:

$0.00

(a)

(i)

Class A-1 Noteholders' Monthly Principal Distributable Amount:

$0.00

(ii)

% of Principal Distribution Amount applicable to Class A-1 Noteholders:

0.00%

(iii)

Class A-1 Noteholders' Principal Carryover Shortfall:

$0.00

(iv)

Class A-1 Noteholders' Principal Distributable Amount:

$0.00

(b)

(i)

Class A-2 Noteholders' Monthly Principal Distributable Amount:

$0.00

(ii)

% of Principal Distribution Amount applicable to Class A-2 Noteholders:

0.00%

(iii)

Class A-2 Noteholders' Principal Carryover Shortfall:

$0.00

(iv)

Class A-2 Noteholders' Principal Distributable Amount:

$0.00

(c)

(i)

Class A-3 Noteholders' Monthly Principal Distributable Amount:

$23,923,014.07

(ii)

% of Principal Distribution Amount applicable to Class A-3 Noteholders:

100.00%

(iii)

Class A-3 Noteholders' Principal Carryover Shortfall:

$0.00

(iv)

Class A-3 Noteholders' Principal Distributable Amount:

$23,923,014.07

(d)

(i)

Class A-4 Noteholders' Monthly Principal Distributable Amount:

$0.00

(ii)

% of Principal Distribution Amount applicable to Class A-4 Noteholders:

0.00%

(iii)

Class A-4 Noteholders' Principal Carryover Shortfall:

$0.00

(iv)

Class A-4 Noteholders' Principal Distributable Amount:

$0.00

1


(5)

Noteholders' Distributable Amount:

$26,240,543.81

(6)

Reserve Account balance:

(a)

Beginning balance:

$13,054,294.10

(b)

Amount to increase the amount on deposit in the Reserve Account to the Specified Reserve Account Balance:

$0.00

(c)

Amount to be withdrawn from the Reserve Account and deposited into Note Distribution Account (5.05(e)):

$0.00

(i)

Interest Amount included above:

$0.00

(ii)

Principal Amount included above:

$0.00

(d)

Amount to be withdrawn from the Reserve Account and Deposited into Certificateholder Account (5.05(c)):

$0.00

(e)

Ending Balance (after giving effect to all distributions):

$13,054,294.10

(f)

Specified Reserve Account Balance:

$13,054,294.10

(7)

Servicing Fee:

$470,443.38

(a)

Amount of Servicing Fee earned:

$470,443.38

(b)

Amount of Servicing Fee paid:

$470,443.38

(c)

Amount of Servicing Fee Shortfall:

$0.00

(8)

Amount paid to Indenture Trustee:

$0.00

(9)

Amount paid to Owner Trustee:

$0.00

(10)

Amount paid to Asset Representations Reviewer

(a)

Section 5.04 (iii) - Asset Representations Review Fees

$0.00

(b)

Section 5.04 (ix) - Asset Representations Review Fees

$0.00

(11)

Amount Paid to Certificateholder:

$1,110,697.10

(12)

(a)

Pool Balance (excluding Accrued Interest) as of close of business on the last day of the related Collection Period:

$538,963,161.68

(b)

Note Value as of the end of the related Collection Period:

$517,712,159.84

(c)

Amount of Overcollateralization (Note value less aggregate principal amount of Notes):

$32,639,410.00

(d)

Number of Accounts at the end of the related Collection Period:

11,868

(13)

After giving effect to all distributions on such Payment Date:

(a)

(i)

Outstanding Principal Balance of Class A-1 Notes:

$0.00

(ii)

Class A-1 Note Pool Factor:

0.0000000

(b)

(i)

Outstanding Principal Balance of Class A-2 Notes:

$0.00

(ii)

Class A-2 Note Pool Factor:

0.0000000

(c)

(i)

Outstanding Principal Balance of Class A-3 Notes:

$393,282,750.25

(ii)

Class A-3 Note Pool Factor:

0.9146110

(d)

(i)

Outstanding Principal Balance of Class A-4 Notes:

$91,790,000.00

(ii)

Class A-4 Note Pool Factor:

1.0000000

2


(14)

(a)

Number of Receivables that were the subject of a repurchase demand in the related Collection Period:

(i)

Aggregate Principal Balance of Receivables:

$0.00

(ii)

% of Pool Balance:

0.00%

(b)

Number of Purchased Receivables in the related Collection Period:

(i)

Aggregate Principal Balance of Purchased Receivables:

$358,506.15

(ii)

% of Pool Balance:

0.06%

(c)

Number of Receivables pending repurchase (within cure period) in the related Collection Period:

(i)

Aggregate Principal Balance of Receivables:

$0.00

(ii)

% of Pool Balance:

0.00%

(d)

Number of repurchase demands in dispute in the related Collection Period:

(i)

Aggregate Principal Balance of Receivables:

$0.00

(ii)

% of Pool Balance:

0.00%

(e)

Number of repurchase demands withdrawn in the related Collection Period:

(i)

Aggregate Principal Balance of related Receivables:

$0.00

(ii)

% of Pool Balance:

0.00%

(f)

Number of repurchase demands rejected in the related Collection Period:

(i)

Aggregate Principal Balance of related Receivables:

$0.00

(ii)

% of Pool Balance:

0.00%

(15)

(i)

Aggregate amount of net losses for the collection period:

$528,020.02

(ii)

Cumulative amount of net losses:

$6,239,187.83

(iii)

Cumulative net loss as a percent of Initial Pool Balance (Cumulative Net Loss Ratio):

0.44%

(16)

(i)

Payoff Amount of Receivables 60 days or more past due as a % of the Pool Balance:

2.89%

(17)

Collateral Composition:

(a)

Number of loans at the beginning of the period:

12,162

(b)

Number of loans at the end of the period:

11,868

(c)

Weighted average remaining term on receivables:

26.78

(d)

Prepayment amount - monthly:

($8,004,350.48)

(e)

Prepayment amount - life-to-date:

$176,238,181.08

(f)

Weighted average APR of the pool assets:

4.39%

(g)

Pool Factor:

0.38

(18)

(a)

Delinquency Trigger:

14.60%

(b)

Payoff Amount of Receivables 60 or more days past due as a percent of ending Pool Balance:

2.89%

(c)

Delinquency Trigger Occurred: Y/N

N

3