CarMax Select Receivables Trust 2024-A

07/15/2025 | Press release | Distributed by Public on 07/15/2025 09:57

Asset-Backed Issuer Distribution Report (Form 10-D)


MONTHLY SERVICER'S CERTIFICATE
CARMAX BUSINESS SERVICES, LLC
CARMAX SELECT RECEIVABLES TRUST
SERIES 2024-A
Collection Period 06/01/25-06/30/25
Determination Date 7/9/2025
Distribution Date 7/15/2025
Additional information, including defined terms, can be found in the prospectus on the SEC's EDGAR system (http://www.sec.gov) under File No. 333-260819-11.



Pool Balance
1. Pool Balance on the close of the last day of the preceding Collection Period $ 469,866,695.92
2. Collections allocable to Principal $ 11,854,428.27
3. Purchase Amount allocable to Principal $ 0.00
4. Defaulted Receivables $ 4,503,223.80
5. Pool Balance on the close of the last day of the related Collection Period $ 453,509,043.85
(Ln1 - Ln2 - Ln3 - Ln4)
6. Total number of Receivables outstanding on the close of the last day of the related Collection Period 24,515
7. Initial Pool Balance $ 666,668,280.61
Beginning of Period End of Period
8. Note Balances
a. Class A-1 Note Balance
$ 0.00 $ 0.00
b. Class A-2a Note Balance $ 79,346,401.74 $ 70,140,094.51
c. Class A-2b Floating Rate Note Balance $ 41,404,423.32 $ 36,600,401.55
d. Class A-3 Note Balance $ 130,020,000.00 $ 130,020,000.00
e. Class B Note Balance $ 46,670,000.00 $ 46,670,000.00
f. Class C Note Balance $ 49,330,000.00 $ 49,330,000.00
g. Class D Note Balance $ 55,670,000.00 $ 55,670,000.00
h. Note Balance (sum a - g) $ 402,440,825.06 $ 388,430,496.06
9. Pool Factors
a. Class A-1 Note Pool Factor 0.0000000 0.0000000
b. Class A-2a Note Pool Factor 0.5175553 0.4575050
c. Class A-2b Floating Rate Note Pool Factor 0.5175553 0.4575050
d. Class A-3 Note Pool Factor 1.0000000 1.0000000
f. Class B Note Pool Factor 1.0000000 1.0000000
g. Class C Note Pool Factor 1.0000000 1.0000000
h. Class D Note Pool Factor 1.0000000 1.0000000
i. Note Pool Factor 0.6439053 0.6214888
10. Overcollateralization Target Amount $ 65,078,547.79
11. Current overcollateralization amount (Pool Balance - Note Balance) $ 65,078,547.79
12. Weighted Average Coupon 16.21 %
13. Weighted Average Original Term months 68.64
14. Weighted Average Remaining Term months 50.21
15. 30 day Average SOFR for the accrual period ending 7/14/2025 4.30385 %
16. Note Rate applicable to the Class A-2b notes for the interest period ending 7/14/2025 5.03385 %
Collections
17. Finance Charges:
a. Collections allocable to Finance Charge $ 6,126,152.93
b. Liquidation Proceeds allocable to Finance Charge $ 1,895.69
c. Purchase Amount allocable to Finance Charge $ 0.00
d. Available Finance Charge Collections (sum a - c) $ 6,128,048.62
18. Principal:
a. Collections allocable to Principal $ 11,854,428.27
b. Liquidation Proceeds allocable to Principal $ 1,204,136.97
c. Purchase Amount allocable to Principal $ 0.00
d. Available Principal Collections (sum a - c) $ 13,058,565.24
19. Total Finance Charge and Principal Collections (17d + 18d) $ 19,186,613.86
20. Interest Income from Collection Account $ 56,179.06
21. Simple Interest Advances $ 0.00
22. Available Collections (Ln19 + 20 + 21) $ 19,242,792.92


Available Funds
23. Available Collections $ 19,242,792.92
24. Reserve Account Draw Amount $ 0.00
25. Available Funds $ 19,242,792.92
Application of Available Funds
26. Servicing Fee 0.15 %
a. Monthly Servicing Fee $ 881,000.05
b. Amount Unpaid from Prior Months $ 0.00
c. Amount Paid $ 881,000.05
d. Shortfall Amount (a + b - c) $ 0.00
27. Unreimbursed Servicer Advances $ 0.00
28. Successor Servicer and Asset Representations Reviewer Unpaid Expenses and Indemnity Amounts
a. Successor Servicer Unpaid Transition Expenses and Indemnity Amounts (Capped at $175,000 annually) $ 0.00
b. Successor Servicer Amount Paid $ 0.00
c. Successor Servicer Shortfall Amount (a - b) $ 0.00
d. Asset Representations Reviewer Fees, Expenses and Indemnity Amounts (Capped at $175,000 annually) $ 0.00
e. Asset Representations Reviewer Amount Paid $ 0.00
f. Asset Representations Reviewer Shortfall Amount (d - e) $ 0.00
29. Class A Noteholder Interest Amounts
a. Class A-1 Monthly Interest $ 0.00
b. Additional Note Interest related to Class A-1 Monthly Interest $ 0.00
c. Interest Due on Additional Note Interest related to Class A-1 Monthly Interest $ 0.00
d. Total Class A-1 Note Interest (sum a - c) $ 0.00
e. Class A-2a Monthly Interest $ 382,185.17
f. Additional Note Interest related to Class A-2a Monthly Interest $ 0.00
g. Interest Due on Additional Note Interest related to Class A-2a Monthly Interest $ 0.00
h. Total Class A-2a Note Interest (sum e - g) $ 382,185.17
i. Class A-2b Monthly Interest $ 167,896.83
j. Additional Note Interest related to Class A-2b Monthly Interest $ 0.00
k. Interest Due on Additional Note Interest related to Class A-2b Monthly Interest $ 0.00
l. Total Class A-2b Note Interest (sum i - k) $ 167,896.83
m. Class A-3 Monthly Interest $ 585,090.00
n. Additional Note Interest related to Class A-3 Monthly Interest $ 0.00
o. Interest Due on Additional Note Interest related to Class A-3 Monthly Interest $ 0.00
p. Total Class A-3 Note Interest (sum m - o) $ 585,090.00
30. Priority Principal Distributable Amount $ 0.00
31. Class B Noteholder Interest Amount
a. Class B Monthly Interest $ 208,070.42
b. Additional Note Interest related to Class B Monthly Interest $ 0.00
c. Interest Due on Additional Note Interest related to Class B Monthly Interest $ 0.00
d. Total Class B Note Interest (sum a - c) $ 208,070.42
32. Secondary Principal Distributable Amount $ 0.00
33. Class C Noteholder Interest Amount
a. Class C Monthly Interest $ 231,028.83
b. Additional Note Interest related to Class C Monthly Interest $ 0.00
c. Interest Due on Additional Note Interest related to Class C Monthly Interest $ 0.00
d. Total Class C Note Interest (sum a - c) $ 231,028.83
34. Tertiary Principal Distributable Amount $ 0.00
35. Class D Noteholder Interest Amount
a. Class D Monthly Interest $ 290,875.75
b. Additional Note Interest related to Class D Monthly Interest $ 0.00
c. Interest Due on Additional Note Interest related to Class D Monthly Interest $ 0.00
d. Total Class D Note Interest (sum a - c) $ 290,875.75


36. Quaternary Principal Distributable Amount $ 0.00
37. Required Payment Amount (Ln 26 + Ln 28 + (sum of Ln 29 through Ln 36)) $ 2,746,147.05
38. Reserve Account Deficiency $ 0.00
39. Regular Principal Distributable Amount $ 14,010,329.00
40. Remaining Unpaid Servicer Transition Expenses and Additional Servicing Fees, if any $ 0.00
41. Remaining Unpaid Trustee and Asset Representations Reviewer Fees, Expenses and Indemnity Amounts, if any
a. Remaining Unpaid Trustee Fees, Expenses and Indemnity Amounts $ 0.00
b. Remaining Unpaid Asset Representations Reviewer Fees, Expenses and Indemnity Amounts $ 0.00
42. Remaining Unpaid Successor Servicer Indemnity Amounts, if any $ 0.00
Collection Account Activity 0.15 %
43. Deposits
a. Total Daily Deposits of Finance Charge Collections $ 6,128,048.62
b. Total Daily Deposits of Principal Collections $ 13,058,565.24
c. Withdrawal from Reserve Account $ 0.00
d. Interest Income $ 56,179.06
e. Total Deposits to Collection Account (sum a - d) $ 19,242,792.92
44. Withdrawals
a. Servicing Fee and Unreimbursed Servicer Advances $ 881,000.05
b. Successor Servicer Transition Expenses and Indemnity Amounts $ 0.00
c. Deposit to Note Payment Account for Monthly Note Interest/Principal $ 15,875,476.00
d. Deposit to Reserve Account $ 0.00
e. Excess Collections (Deposit to Certificate Payment Account for payment to Certificateholder) $ 2,486,316.87
f. Total Withdrawals from Collection Account (sum a - e) $ 19,242,792.92
Note Payment Account Activity
45. Deposits
a. Class A-1 Interest Distribution $ 0.00
b. Class A-2a Interest Distribution $ 382,185.17
c. Class A-2b Interest Distribution $ 167,896.83
d. Class A-3 Interest Distribution $ 585,090.00
e. Class B Interest Distribution $ 208,070.42
f. Class C Interest Distribution $ 231,028.83
g. Class D Interest Distribution $ 290,875.75
h. Class A-1 Principal Distribution $ 0.00
i. Class A-2a Principal Distribution $ 9,206,307.23
j. Class A-2b Principal Distribution $ 4,804,021.77
k. Class A-3 Principal Distribution $ 0.00
l. Class B Principal Distribution $ 0.00
m. Class C Principal Distribution $ 0.00
n. Class D Principal Distribution $ 0.00
o. Total Deposits to Note Payment Account (sum a - n) $ 15,875,476.00
46. Withdrawals
a. Class A-1 Distribution $ 0.00
b. Class A-2a Distribution $ 9,588,492.40
c. Class A-2b Distribution $ 4,971,918.60
d. Class A-3 Distribution $ 585,090.00
e. Class B Distribution $ 208,070.42
f. Class C Distribution $ 231,028.83
g. Class D Distribution $ 290,875.75
h. Total Withdrawals from Note Payment Account (sum a - g) $ 15,875,476.00


Certificate Payment Account Activity
47. Deposits to Certificate Payment Account from Excess Collections $ 2,486,316.87
48. Withdrawals from Certificate Payment Account for Certificateholder Distribution $ 2,486,316.87
Required Reserve Account Amount 0.15 %
49. Required Reserve Account Amount (1.00% of Initial Pool Balance) $ 6,666,682.81
Reserve Account Reconciliation
50. Beginning Balance (as of end of preceding Distribution Date) $ 6,666,682.81
51. Investment Earnings $ 23,002.32
52. Reserve Account Draw Amount $ 0.00
53. Reserve Account Amount (Ln 50 + Ln 51 - Ln 52) $ 6,689,685.13
54. Deposit from Available Funds (Ln 44d) $ 0.00
55. If Reserve Account Balance exceeds Required Reserve Account Amount, payment to
a. the Note Payment Account for the payment of principal to the extent of any unfunded Regular Principal Distribution Amount; and $ 0.00
b. any Successor Servicer for the payment of any unfunded Transition Costs and Additional Servicing Fee $ 0.00
56. Payment to Depositor if Reserve Account Balance exceeds Required Reserve Account Amount and to the extent no unfunded amounts described in Ln 55 exist $ 23,002.32
57. Ending Balance (Ln53 + Ln54 - Ln55 - Ln56) $ 6,666,682.81
58. Reserve Account Deficiency (Ln50 - Ln57) $ 0.00
Instructions to the Trustee
59. Amount to be deposited from the Reserve Account into the Collection Account $ 0.00
60. Amount to be paid to Servicer from the Collection Account $ 881,000.05
61. Amount to be deposited from the Collection Account into the Note Payment Account $ 15,875,476.00
62. Amount to be deposited from the Collection Account into the Certificate Payment Account $ 2,486,316.87
63. Amount to be deposited from the Collection Account into the Reserve Account $ 0.00
64. Amount to be deposited from the Reserve Account, if Reserve Account Balance exceeds Required Reserve Account Amount, into
a. the Note Payment Account for any unfunded Regular Principal Distributable Amount $ 0.00
b. the Depositor, if no unfunded Regular Principal distributable amount exists $ 23,002.32
65. Amount to be paid to Class A-1 Noteholders from the Note Payment Account $ 0.00
66. Amount to be paid to Class A-2a Noteholders from the Note Payment Account $ 9,588,492.40
67. Amount to be paid to Class A-2b Noteholders from the Note Payment Account $ 4,971,918.60
68. Amount to be paid to Class A-3 Noteholders from the Note Payment Account $ 585,090.00
69. Amount to be paid to Class B Noteholders from the Note Payment Account $ 208,070.42
70. Amount to be paid to Class C Noteholders from the Note Payment Account $ 231,028.83
71. Amount to be paid to Class D Noteholders from the Note Payment Account $ 290,875.75
72. Amount to be paid to Certificateholders from the Certificate Payment Account with respect to Excess Collections $ 2,486,316.87


Delinquency Activity
Number of Loans Principal Balance
73. Delinquency Analysis
a. 31 to 60 days past due 1,886 $ 41,098,794.09
b. 61 to 90 days past due 948 $ 21,434,910.13
c. 91 to 120 days past due 256 $ 5,091,000.96
d. 121 or more days past due 1 $ 26,727.10
e. Total Past Due (sum a - d) 3,091 $ 67,651,432.28
f. Delinquent Loans as a percentage of end of period Pool Balance (Ln 74e / Ln 5) 14.9173 %
74. Has a Delinquency Trigger Event occurred? No
Loss Activity
Number of Loans Principal Balance
75. Defaulted Receivables (charge-offs) 210 $ 4,503,223.80
76. Recoveries 217 $ 1,206,032.66
77. Net Losses (Ln 76 - Ln 77) $ 3,297,191.14
78. Ratio of Net Losses to Beginning of Period Pool Balance (Ln 78 / Ln 1) 0.7017 %
Cumulative Loss Activity
Number of Loans Principal Balance
79. Defaulted Receivables (charge-offs) 1,680 $ 36,702,435.02
80. Recoveries 1,160 $ 10,675,318.65
81. Cumulative Net Losses (Ln 80 - Ln 81) $ 26,027,116.37
82. Ratio of Cumulative Net Losses to Initial Pool Balance (Ln 82 / Ln 7) 3.9041 %
83. Average Net Loss on Defaulted Receivables $ 15,492.33
Other Servicing Information
84. Principal Balance of Receivables extended during the Collection Period $ 15,951,944.64
85. Pool Balance on the close of the last day of the preceding Collection Period $ 469,866,695.92
86. Ratio of extensions to pool balance (Ln 85 / Ln 86) 3.39 %



IN WITNESS WHEREOF, the undersigned has duly executed this certificate on July 9, 2025
CARMAX BUSINESS SERVICES, LLC
As Servicer
By: /s/ Greg Dostich
Name: Greg Dostich
Title: Vice President and Treasurer


CarMax Select Receivables Trust 2024-A published this content on July 15, 2025, and is solely responsible for the information contained herein. Distributed via SEC EDGAR on July 15, 2025 at 15:57 UTC. If you believe the information included in the content is inaccurate or outdated and requires editing or removal, please contact us at support@pubt.io