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Chicago, Illinois, United States
Onsite
Financing and Contract Administration
• Review approved financing documentation for completeness, accuracy, and alignment with transaction
requirements.
• Maintain organized records for financed contracts, leasing partners, invoice requirements, payment
schedules, remittance information, and related approvals.
• Confirm that required documentation is complete before billing or funding activity proceeds.
• Identify missing, inconsistent, or unclear contract and financial information and route exceptions to the
appropriate AHEAD department or partner.
Leasing-Partner Contract Billing
• Prepare and submit accurate invoices and billing documentation to leasing partners in accordance with
contract terms and partner requirements.
• Track invoice acceptance, submission status, funding milestones, due dates, and payment
commitments.
• Coordinate with Financial Solutions Leads and internal Finance and Accounting stakeholders to resolve
billing questions and prevent avoidable delays.
• Maintain a clear record of billing status, required next steps, owners, and expected resolution dates.
Payment Forecasting and Collections
• Maintain reliable forecasts for expected leasing-partner payments, customer-related cash flows, and
funding activity.
• Monitor aging balances, scheduled payments, overdue items, and unresolved invoice or remittance
issues.
• Conduct timely, professional follow-up with leasing partners regarding invoice status, payment timing,
missing remittance details, disputes, and past-due balances.
• Coordinate customer-related questions and collection matters through the appropriate AHEAD
departments and maintain ownership through resolution.
• Escalate risks, disputes, delays, and exceptions based on established financial controls and business
impact.
Cash Application and Reconciliation
• Coordinate customer and financier cash application activities with Finance and Accounting.
• Reconcile invoices, payments, remittances, funding activity, contract records, and internal financial
data.
• Research unapplied cash, short pays, discrepancies, duplicate payments, and other exceptions.
• Ensure that reconciliations are documented, traceable, and completed within required reporting or close
timelines.
Reporting and Process Improvement
• Prepare accurate and efficient financial reporting related to financed contracts, billings, collections, cash
forecasting, payment status, and open exceptions.
• Maintain trackers, schedules, aging views, and supporting documentation needed for operational
visibility and audit readiness.
• Support month-end close, cash forecasting, audit requests, and financial-control activities as requested.
• Identify opportunities to improve billing, collections, reconciliation, reporting, and financial-control
workflows.
• Maintain clear ownership of every assigned invoice, balance, commitment, and next step until the item
is resolved.
Required Qualifications
• 2–4 years of experience in accounts receivable, billing, collections, credit and collections, finance
operations, lease administration, contract administration, or a related environment.
• Experience managing invoices, payment schedules, aging balances, collection follow-up,
reconciliations, or financial documentation.
• Strong attention to detail and the ability to work accurately with contract, invoice, payment, and
remittance information.
• Strong written and verbal communication skills for professional business-to-business payment
conversations.
• Working proficiency with Microsoft Excel or a comparable spreadsheet tool.
• Ability to manage recurring deadlines, multiple open items, and detailed follow-up requirements.
• Ability to handle confidential financial and contract information with discretion.
• Sound judgment about what to resolve independently and what to escalate.
Preferred Qualifications
• Experience working with leasing companies, financing partners, equipment finance, vendor finance, or
structured commercial transactions.
• Familiarity with financed contracts, lease schedules, funding packages, residuals, payment terms,
invoice acceptance, or remittance processes.
• Experience with an ERP, billing platform, accounts-receivable system, collections platform, CRM, or
cash-application tool.
• Experience supporting cash forecasting, month-end close, audit requests, or financial reporting.
• College coursework or a degree in accounting, finance, business, or a related field.
• Experience improving billing, collections, reconciliation, reporting, or financial-control workflows.