GATX Corporation
Overview
Founded in 1898 and headquartered in Chicago, IL, GATX Corporation (NYSE: GATX) is an industry leader with 125+ years of success—success that is powered by our people. We are proud of our high-performance culture, hard‑working and enthusiastic management team, and beautiful office space in the Willis Tower.
At GATX, we hire the best and offer our employees a dynamic, energetic, collaborative environment to enable them to make an impact from day one. Enjoy the perks and benefits of a global company with the close‑knit culture and community of a much smaller one. In the same way we strive to empower our customers to propel the world forward, we are dedicated to providing our people with the tools and resources they need to advance in their careers.
This position will oversee Accounts Receivables processes including accounting, collection, cash application and related transactions. A key focus will be to evaluate and continually improve collection and cash application processes, facilitate resolution of issues with cash application and past‑due accounts, perform analysis and reporting of the receivables portfolio, and work effectively and collaboratively with internal and external business partners.
Responsibilities
Identify and implement collection and cash application process improvements:
Standardize / define follow‑up procedures for calling customers and escalating past‑due balances
Standardize / define procedures for investigating and resolving cash application issues
Collaborate with internal business partners to identify inefficiencies and bottlenecks and make process improvement recommendations
Manage collection specialist(s) and cash application specialist(s) for Joint Venture and LTL Portfolio:
Oversee Accounts Receivable, Cash Application and Collection correspondence / discussions with business partners and ensure timely and appropriate actions are taken with little oversight
Oversee collection and cash application of past‑due amounts (investigate circumstances of non‑payment, troubleshoot and resolve conflicts)
Oversee resolution of cash application issues (overpayments, short payments, unidentified receipts)
Handle escalations from the collection specialists and cash application clerk
Respond to inquiries related to discrepancies or payment disputes.
Perform A/R related accounting, analysis, and reporting for Joint Venture and LTL Portfolio:
Prepare schedules and documents for AR and cash transactions including interest calculations, bankruptcy journals, write‑offs, customer refunds, etc.
Prepare monthly analysis of balances
Prepare analysis of Allowance for Doubtful Accounts
Perform account reconciliations
Provide audit requests as needed throughout the year and for year‑end
Provide reporting and analysis needed to various internal and external parties
Prepare customer portfolio aging reports and analysis for meetings with senior management:
Develop KPIS’s (aging levels as a % of total AR, DSO, etc.) and ensure KPI’s are tracked and met.
Act as the liaison between accounts receivable / collections and other departments:
Partner with internal and external business partners (Sales, Customer Service, Legal, Billing, Outside Collections Agency, Auditors, Trusts, etc.) to address collection and cash application issues in a collaborative manner
Qualifications The expectation is the manager will oversee the day‑to‑day collection and cash application activities with little oversight, while also exercising judgment for when matters should be escalated / elevated to the Director and or legal team. The position interacts with all levels of the organization as well as GATX external customers, outside agencies and auditors.
Education and/or Experience:
Bachelor’s degree in Accounting, Finance, or related field
7+ years of experience in Accounts Receivables/Collections and at least 3 years managerial experience
Knowledge and understanding of rail billing process extremely helpful
Strong Microsoft Office experience – Advanced Excel (working with large data sets, performing vlook‑ups and pivot tables) proficient in Word, Power‑point and Outlook
Ability to prepare well‑constructed spreadsheets
Demonstrated experience in process improvement
Proven track record of staff management and superior project management skills
ERP system experience (posting & researching transactions, executing queries), preferably SAP
This is a hybrid position that will require the employee to work in the office at least 3 days a week throughout the year.
Posting Duration This posting will remain open until the role is filled. As of the post date, the salary range for this position is:
Min USD $90,400.00/Yr.
Max USD $118,000.00/Yr.
This role may be eligible to participate in the Company’s short‑term incentive plan, the details of which will be provided to the applicant upon hire. This range is a reasonable estimate and takes into account several factors that are considered in making compensation decisions, including, but not limited to, geographic location, skill set, experience, education, training, internal equity, and other business needs.
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At GATX, we hire the best and offer our employees a dynamic, energetic, collaborative environment to enable them to make an impact from day one. Enjoy the perks and benefits of a global company with the close‑knit culture and community of a much smaller one. In the same way we strive to empower our customers to propel the world forward, we are dedicated to providing our people with the tools and resources they need to advance in their careers.
This position will oversee Accounts Receivables processes including accounting, collection, cash application and related transactions. A key focus will be to evaluate and continually improve collection and cash application processes, facilitate resolution of issues with cash application and past‑due accounts, perform analysis and reporting of the receivables portfolio, and work effectively and collaboratively with internal and external business partners.
Responsibilities
Identify and implement collection and cash application process improvements:
Standardize / define follow‑up procedures for calling customers and escalating past‑due balances
Standardize / define procedures for investigating and resolving cash application issues
Collaborate with internal business partners to identify inefficiencies and bottlenecks and make process improvement recommendations
Manage collection specialist(s) and cash application specialist(s) for Joint Venture and LTL Portfolio:
Oversee Accounts Receivable, Cash Application and Collection correspondence / discussions with business partners and ensure timely and appropriate actions are taken with little oversight
Oversee collection and cash application of past‑due amounts (investigate circumstances of non‑payment, troubleshoot and resolve conflicts)
Oversee resolution of cash application issues (overpayments, short payments, unidentified receipts)
Handle escalations from the collection specialists and cash application clerk
Respond to inquiries related to discrepancies or payment disputes.
Perform A/R related accounting, analysis, and reporting for Joint Venture and LTL Portfolio:
Prepare schedules and documents for AR and cash transactions including interest calculations, bankruptcy journals, write‑offs, customer refunds, etc.
Prepare monthly analysis of balances
Prepare analysis of Allowance for Doubtful Accounts
Perform account reconciliations
Provide audit requests as needed throughout the year and for year‑end
Provide reporting and analysis needed to various internal and external parties
Prepare customer portfolio aging reports and analysis for meetings with senior management:
Develop KPIS’s (aging levels as a % of total AR, DSO, etc.) and ensure KPI’s are tracked and met.
Act as the liaison between accounts receivable / collections and other departments:
Partner with internal and external business partners (Sales, Customer Service, Legal, Billing, Outside Collections Agency, Auditors, Trusts, etc.) to address collection and cash application issues in a collaborative manner
Qualifications The expectation is the manager will oversee the day‑to‑day collection and cash application activities with little oversight, while also exercising judgment for when matters should be escalated / elevated to the Director and or legal team. The position interacts with all levels of the organization as well as GATX external customers, outside agencies and auditors.
Education and/or Experience:
Bachelor’s degree in Accounting, Finance, or related field
7+ years of experience in Accounts Receivables/Collections and at least 3 years managerial experience
Knowledge and understanding of rail billing process extremely helpful
Strong Microsoft Office experience – Advanced Excel (working with large data sets, performing vlook‑ups and pivot tables) proficient in Word, Power‑point and Outlook
Ability to prepare well‑constructed spreadsheets
Demonstrated experience in process improvement
Proven track record of staff management and superior project management skills
ERP system experience (posting & researching transactions, executing queries), preferably SAP
This is a hybrid position that will require the employee to work in the office at least 3 days a week throughout the year.
Posting Duration This posting will remain open until the role is filled. As of the post date, the salary range for this position is:
Min USD $90,400.00/Yr.
Max USD $118,000.00/Yr.
This role may be eligible to participate in the Company’s short‑term incentive plan, the details of which will be provided to the applicant upon hire. This range is a reasonable estimate and takes into account several factors that are considered in making compensation decisions, including, but not limited to, geographic location, skill set, experience, education, training, internal equity, and other business needs.
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