Document:

EXHIBIT 10-2

Employment Agreement                

THIS AGREEMENT is made as of December 1, 2007
B E T W E E N:

ZION OIL AND GAS INC., a Company incorporated under the laws of Delaware.

(the "Company")

and -

WILLIAM H. AVERY (the "Employee")

CONTEXT OF THIS AGREEMENT

	The Company explores for oil and gas in Israel.

	The Company wishes to employ the Employee upon the terms and conditions as set out herein.

FOR VALUE RECEIVED, the sufficiency of which is acknowledged, the parties agree as follows:

	
INTERPRETATION

	Definitions.  In this Agreement, the following terms shall have the following meanings:

"Agreement" means this agreement and all schedules attached hereto and all amendments made hereto and thereto in writing by the parties.

"Business Day" means a day other than a Saturday, Sunday or statutory holiday in the United States.

"Person" includes individuals, companies, limited partnerships, general partnerships, joint stock companies, joint ventures, associations, companies, trusts or other organizations, whether or not legal entities.

	Entire Agreement. This Agreement together with the agreements and other documents to be delivered pursuant to this Agreement (or other agreements pertaining to employee benefits, including, without limitation, stock option and bonus plan agreements), constitute the entire agreement between the parties pertaining to the subject matter of this Agreement and supersede all prior agreements, understandings, negotiations and discussions, whether oral or written, of the parties and there are no warranties, representations or other agreements between the parties in connection with the subject matter of this Agreement except as specifically set forth in this Agreement and any document delivered pursuant to this Agreement.  No supplement, modification or waiver or termination of this Agreement shall be binding unless executed in writing by the party to be bound thereby.

	Sections and Headings.  The division of this Agreement into parts and sections and the insertion of headings are for convenience of reference only and shall not affect the construction or interpretation of this Agreement.  The terms "this Agreement", "hereof", "hereunder" and similar expressions refer to this Agreement and not to any particular article, section or other portion hereof and include any agreement or instrument supplemental or ancillary hereto.  Unless something in the subject matter or context is inconsistent therewith, references herein to parts and sections are to parts and sections of this Agreement.

	Number & Gender.  Words importing the singular number only shall include the plural and vice versa and words importing the masculine gender shall include the feminine and neuter genders and vice versa.

	Applicable Law.  This Agreement shall be construed and enforced in accordance with the laws of the State of Texas applicable therein.

	Currency.  Unless otherwise specified, all references herein to currency shall be references to currency of the United States.

	Calculation of Time.  When calculating the period of time within which or following which any act is to be done or step taken pursuant to this Agreement, the date which is the reference date in calculating such period shall be excluded.  If the last day of such period is a non Business Day, the period in question shall end on the next Business Day. 

	
APPOINTMENT AND DUTIES

2.1 Appointment.  The Company agrees to employ the Employee as its 'Corporate Executive Vice President' (including USA and Israel) upon the terms and conditions contained herein and the Employee accepts such appointment. 

2.2 Term.  The employment of the Employee hereunder shall commence on the date hereof and shall continue until December 31, 2008 (the "Initial Term") unless terminated in accordance with the provisions of this Agreement.  This Agreement shall be renewed for successive one year terms (each a "Renewal Term") unless the Company or Employee indicates in writing, more than 90 days prior to the termination of this Initial term or any Renewal term, that it does not intend to renew this Agreement.  

2.3 Duties and Reporting.  The Employee will report directly to the president of the Company  and shall carry out all duties and responsibilities  which are from time to time assigned to him by the president. Duties shall include legal, financial and administrative responsibilities in the United States and Israel as directed by the President.

	
BENEFITS & EXPENSES

3.1 Gross Salary. During the term hereof, and subject to the performance of the services required to be performed hereunder by Employee, the Company shall pay to the Employee for all services rendered hereunder, as salary, payable not less often than once per month and in accordance with the Company 's normal and reasonable payroll practices, a monthly gross amount equal to U.S. $18,750 (the "Gross Salary").

Gross Salary shall be deferred in an amount equal to the percentage being paid by the Company to its other senior executive officers from time to time. Currently, the Company pays 60% of salaries up to the maximum amount of  $10,000 monthly as gross salary to senior executive officers. The Gross Salary which is deferred shall be paid at such time and in accordance with the amount being paid to other Company senior executive officers. For the purposes of this Section 3.1 senior executive offices include the CEO , CFO and President.

3.2 Cell Phone. Company shall provide the Employee with a cell phone and pay for its maintenance and use. 

3.3 Benefits.  The Employee shall be entitled to participate in all of the Company's benefit plans generally available to its senior level employees from time to time established for Company employees who are located in the United States.  

3.4 Expenses All expenses reasonably incurred by the Employee shall be reimbursed, together with any applicable sales and goods and services taxes, by the Company within 10 Business Days after presentation by the Employee of proper invoices and receipts in keeping with the policies of the Company as established from time to time. 

3.5 Options. Subject to the Employee entering into the Company's standard Employee Stock Option agreement, the Employee shall be entitled to participate in an employee stock option plan of the Company. Company shall grant to Employee under Company's 2005 Stock Option Plan non qualified fully vested penny options for 40,000 shares of Common Stock of the CompanyThe vested options shall be exercisable until October 31, 2017 subject to the terms of the Company's Employee Stock Option Agreement.  

3.6 Vacation. The Employee shall be entitled to an annual vacation of twenty three (23) working days at full pay. Vacation days may be accumulated for two (2) years, after which they must be used or redeemed; provided that accumulation of vacation days in excess of forty six  (46) days may be approved by the Board in its discretion.

3.7 Withholding Tax Company shall withhold, or charge Employee with, all taxes and other compulsory payments as required under applicable law with respect to all payments, benefits and/or other compensation paid to Employee in connection with his employment with Company.

	EMPLOYEE'S COVENANTS

	Service.  The Employee shall devote substantially all of his time, attention and ability to the business of the Company and shall well and faithfully serve the Company and shall use his best efforts to promote the interests of the Company. The Employee appreciates that the Employee's duties may involve significant travel from the Employee's place of employment, and the Employee agrees to travel as reasonably required in order to fulfill the Employee's duties. The Employee may sit on boards of other companies unless there is a reasonable basis upon which the Company may deny him the right to do so. 

4.2 Duties and Responsibilities. The Employee shall duly and diligently perform all the duties assigned to him while in the employ of the Company, and shall truly and faithfully account for and deliver to the Company all money, securities and things of value belonging to the Company which the Employee may from time to time receive for, from or on account of the Company.

4.3 Rules and Regulations. The Employee shall be bound by and shall faithfully observe and abide by all the rules and regulations of the Company from time to time in force which are brought to his notice including insider trading policies and underwriter lock ups, from time to time in force which are brought to his notice.

	
CONFIDENTIAL INFORMATION AND DEVELOPMENTS

	"Confidential Information" means information, whether or not originated by the Employee, that relates to the business or affairs of the Company, its affiliates, clients or suppliers and is confidential or proprietary to, about or created by the Company, its affiliates, clients, or suppliers.  Confidential Information includes, but is not limited to, the following types of confidential information and other proprietary information of a similar nature (whether or not reduced to writing or designated or marked as confidential):

	work product resulting from or related to work or projects performed for or to be performed for the Company or its affiliates, including but not limited to, the interim and final lines of inquiry, hypotheses,  research and conclusions related thereto and the methods, processes, procedures, analysis, techniques and audits used in connection therewith; 

	computer software of any type or form and in any stage of actual or anticipated development, including but not limited to, programs and program modules, routines and subroutines, procedures, algorithms, design concepts, design specifications (design notes, annotations, documentation, flowcharts, coding sheets, and the like), source code, object code and load modules, programming, program patches and system designs;

	information relating to developments (as hereinafter defined) prior to any public disclosure thereof, including but not limited to, the nature of the developments, production data, technical and engineering data, test data and test results, the status and details of research and development of products and services, and information regarding acquiring, protecting, enforcing and licensing proprietary rights (including patents, copyrights and trade secrets);

	internal Company personnel and financial information, vendor names and other vendor information, purchasing and internal cost information, internal services and operational manuals, and the manner and method of conducting the Company's business;

	marketing and development plans, price and cost data, price and fee amounts, pricing and billing policies, quoting procedures, marketing techniques and methods of obtaining business, forecasts and forecast assumptions and volumes, and future plans and potential strategies of the Company that have been or are being discussed; and

	all information that becomes known to the Employee as a result of employment that the Employee, acting reasonably, believes is confidential information or that the Company takes measures to protect.

	Confidential Information does not include:

	the general skills and experience gained during the Employee's employment or engagement with the Company that the Employee could reasonably have been expected to acquire in similar employment or engagements with other companies;

	information publicly known without breach of this Agreement or similar agreements; or

	information, the disclosure of which is required to be made by any law, regulation, governmental authority or court (to the extent of the requirement), provided that before disclosure is made, notice of the requirement is provided to the Company, and to the extent of the requirement, (to the extent reasonably possible in the circumstances) the Company is afforded an opportunity to dispute the requirement.

	"Developments" means all discoveries, inventions, designs, works of authorship, improvements and ideas (whether or not patentable or copyrightable) and legally recognized proprietary rights (including, but not limited to, patents, copyrights, trademarks, topographies, know how and trade secrets), and all records and copies of records relating to the foregoing, that relates solely to the Company's business  and improvements and modifications to it:

	result or derive from the Employee's employment or from the Employee's knowledge or use of Confidential Information;

	are conceived or made by the Employee (individually or in collaboration with others) during the term of the Employee's employment by the Company;

	result from or derive from the use or application of the resources of the Company or its affiliates; or

	relate to the business operations of or actual or demonstrably anticipated research and development by the Company or its affiliates.

For greater certainty, discoveries, inventions, designs, works of authorship, improvements and ideas (whether or not patentable or copyrightable) of the Employee that do not relate to the business of the Company are not the subject matter of this Agreement.

	
NO CONFLICTING OBLIGATIONS

	The Employee warrants to the Company that:

	the performance of the Employee's duties as an employee of the Company will not breach any agreement or other obligation to keep confidential the proprietary information of any other party; and

	the Employee is not bound by any agreement with or obligation to any other party that conflicts with the Employee's obligations as an employee of the Company or that may affect the Company's interest in the Developments.

	The Employee will not, in the performance of the Employee's duties as an employee of the Company:

	improperly bring to the Company or use any trade secrets, confidential information or other proprietary information of any other party; or

	knowingly infringe the intellectual property rights of any other party.

	CONFIDENTIAL INFORMATION

	Protection of Confidential Information. All Confidential Information, whether it is developed by the Employee during the Employment Period or by others employed or engaged by or associated with the Company or its affiliates or clients, is the exclusive and confidential property of the Company or its affiliates or clients, as the case may be, and will at all times be regarded, treated and protected as such, as provided in this Agreement.

	Covenants Respecting Confidential Information. As a consequence of the acquisition of Confidential Information, the Employee will occupy a position of trust and confidence with respect to the affairs and business of the Company and its affiliates and clients. In view of the foregoing, it is reasonable and necessary for the Employee to make the following covenants regarding the Employee's conduct during and subsequent to the Employee's employment by the Company.

	Non Disclosure.  At all times during and subsequent to the Employee's employment with the Company, the Employee will not disclose Confidential Information to any Person (other than as necessary in carrying out the Employee's duties on behalf of the Company) without first obtaining the Company's consent, and the Employee will take all reasonable precautions to prevent inadvertent disclosure of any Confidential Information. This prohibition includes, but is not limited to, disclosing or confirming the fact that any similarity exists between the Confidential Information and any other information.

	Using, Copying, etc.  At all times during and subsequent to the Employee's employment with the Company, the Employee will not use, copy, transfer or destroy any Confidential Information (other than as necessary in carrying out the Employee's duties on behalf of the Company) without first obtaining the Company's consent, and the Employee will take all reasonable precautions to prevent inadvertent use, copying, transfer or destruction of any Confidential Information. This prohibition includes, but is not limited to, licensing or otherwise exploiting, directly or indirectly, any products or services that embody or are derived from Confidential Information or exercising judgment or performing analysis based upon knowledge of Confidential Information.

	Return of Confidential Information.  Within 2 Business Days after the termination of the Employee's employment on any basis and of receipt by the Employee of the Company's written request, the Employee will promptly deliver to the Company all property of or belonging to or administered by Company including without limitation all Confidential Information that is embodied in any physical or ephemeral form, whether in hard copy or on magnetic media, and that is within the Employee's possession or under the Employee's control.

	Obligations Continue.  The Employee's obligations under this Part 7 are to remain in effect in perpetuity.

	
INTELLECTUAL PROPERTY

	Ownership.  All Developments will be the exclusive property of the Company and the Company will have sole discretion to deal with Developments. For greater certainty, all work done during the Employment Period by the Employee for the Company or its affiliates is a work for hire of which the Company or its affiliate, as the case may be, is the first author for copyright purposes and in respect of which all copyright will vest in the Company or the relevant affiliate, as the case may be.

	Records.  The Employee will keep complete, accurate and authentic notes, reference materials, data and records of all Developments in the manner and form requested by the Company. All these materials will be Confidential Information upon their creation.

	Moral Rights.  The Employee hereby irrevocably waives all moral rights arising under statute in any jurisdiction or under common law which the employee may have now or in the future with respect to the Developments, including, without limitation, any rights the Employee may have to have the Employee's name associated with the Developments or to have the Employee's name not associated with the Developments, any rights the Employee may have to prevent the alteration, translation or destruction of the Developments, and any rights the Employee may have to control the use of the Developments in association with any product, service, cause or institution. The Employee agrees that this waiver may be invoked by the Company, and by any of its authorized agents or assignees, in respect of any or all of the Developments and that the Company may assign the benefit of this waiver to any Person.

	Further Assurances.  The Employee will do all further things that may be reasonably necessary or desirable in order to give full effect to the foregoing. If the Employee's co-operation is required in order for the Company to obtain or enforce legal protection of the Developments following the termination of the Employee's employment, the Employee will provide that co-operation so long as the Company pays to the Employee reasonable compensation for the Employee's time at a rate to be agreed, provided that the rate will not be less than the last base salary or compensation rate paid to the Employee by the Company during the Employee's employment.

	Obligations Continue.  The Employee's obligations under this Part 8 are to remain in effect in perpetuity.

	CONSENT TO ENFORCEMENT

The Employee confirms that all restrictions in Part 7 and 8 are reasonable and valid and all defences to the strict enforcement thereof by the Company are waived by the Employee. Without limiting the generality of the forgoing, the Employee hereby consents to an injunction being granted by a court of competent jurisdiction in the event that the Employee is in any breach of any of the provisions stipulated in Part 7 and 8. The Employee hereby expressly acknowledges and agrees that injunctive relief is an appropriate and fair remedy in the event of a breach of any of the said provisions.

	WARRANTIES, COVENANTS AND REMEDIES

	The obligations of the Employee as set forth in Parts 6 through 9 will be deemed to have commenced as of the date on which the Employee was first employed by Company. The Employee warrants that the Employee has not, to date, breached any of the obligations set forth in any of those Sections. Any breach or threatened breach of those sections by the Employee will constitute Just Cause for immediate termination of the Employee's employment or engagement by the Company.

	The Employee understands that the Company has expended significant financial resources in developing its products and the Confidential Information. Accordingly, a breach or threatened breach by the Employee of any of Parts 6 through 9 could result in unfair competition with the Company and could result in the Company and its shareholders suffering irreparable harm that is not capable of being calculated and that cannot be fully or adequately compensated by the recovery of damages alone. Accordingly, in the event of a breach or threatened breach by the Employee of any of Parts 6 through 9 the Employee agrees that the Company will be entitled to interim and permanent injunctive relief, specific performance and other equitable remedies, in addition to any other relief to which the Company may become entitled.

	The Employee's obligations under each of Parts 6 through 9 are to remain in effect in accordance with each of their terms and will exist and continue in full force and effect despite any breach or repudiation of this Agreement or the Employee's employment (including, without limitation, the Employee's wrongful dismissal) by the Company. 

	TERMINATION

	Termination by the Employee.  The Employee may terminate this Agreement upon 60 Business Days prior written notice given by the Employee to the Company.  The Company, at its sole discretion, may elect to accept the 60 Business Days written notice or to reduce or eliminate the notice period.  In such event, the Employee's employment shall terminate on the earlier day elected by the Company.  Such election on the part of the Company will not alter the nature of the termination as voluntary and the Company will not be required to pay any severance or termination payments in respect of a termination by the Employee under this Section 12.1.  Upon the termination of employment by the Employee under this Section 12.1 the Company shall pay to the Employee all  bonuses and other benefits earned or accrued up to the date of termination, but otherwise all obligations of the Company under this Agreement shall end.

	Definition of "Just Cause".  "Just Cause" means:

(i)  Employee's conviction of, or plea of nolo contendere, to any felony or to a crime involving moral depravity or fraud; (ii) Employee's commission of an act of dishonesty or fraud or breach of fiduciary duty or act that has a material adverse effect on the name or public image of the Company, as determined by the Board provided the Board affords the Employee  the opportunity to personally appear before the Board in order to state his case prior to the Board voting to so terminate the Employee;  (iii)  Employee's commission of an act of willful misconduct or gross negligence, as determined by the Board provided the Employee shall have the opportunity to state his case before the Board prior to the Board taking such decision to so terminate the Employee; (iv) the failure of Employee to perform his duties under this Agreement; (v) the material breach of any of Employee's material obligations under this Agreement; (vi) the failure of Employee to follow a directive of the CEO; or (vii) excessive absenteeism, chronic alcoholism or any other form of addiction that prevents Employee from performing the essential functions of his position with or without a reasonable accommodation; provided, however, that the Company may terminate Employee's employment for Just Cause, as to  (iv) or (v)  above, only after failure by Employee to correct or cure, or to commence or to continue to pursue the correction or curing of, such conduct or omission within ten (10) days after receipt by Employee of written notice by the Company of each specific claim of any such misconduct or failure. 

	Termination by the Company for Just Cause.  The Company may terminate this Agreement at any time for Just Cause without notice and (except as provided in the immediately following sentence) without payment of any compensation by way of anticipated earnings, damages, or other relief of any kind whatsoever.  Upon the termination of employment by the Company for Just Cause, the Company shall pay to the Employee all salaries, bonuses, vacation and other benefits, if any, earned or accrued up to the date of termination, but otherwise all obligations of the Company under this Agreement end. 

	Termination by the Company for Other Than Just Cause.  The Company may terminate this Agreement at any time for other than Just Cause upon the following terms:

	if the Company so terminates this Agreement at any time during the Initial Term of this Agreement or during a Renewal Term, the Company shall pay to the Employee an amount equal to the Gross Salary then payable, for a six month period as if the Agreement had not been so terminated; 

	upon any such termination, all bonuses or other benefits earned or accrued up to the date of termination or expiry shall be paid by the Company, but except for such payments and the payments to be made pursuant to Sections 11.4(a) or (b), as applicable, all obligations of the Company under this Agreement shall end upon such termination or failure to renew. Payments under Sections 11.4(a) or (b) shall be payable monthly subject to deductions in Section 3.7.

	Termination by the Employee for Good Reason.  The Employee may terminate this Agreement at any time upon the occurrence of any of the following events (each a "Good Reason"), if such occurrence takes place without the express written consent of the Employee:

	a change in the Employee's title or position or a material diminution in the Employee's duties or the assignment to the Employee of duties which materially impairs the Employee's ability to function in his current capacity for the Company, or, with respect an assignment of duties only, is materially inconsistent with his duties;

In the event that the Employee terminates this Agreement for Good Reason, he shall be entitled to the same payments and benefits as provided in Section 11.4 of this Agreement as if the Company had terminated this Agreement at the time that the Employee terminates this Agreement under this Section 11.5.

11.6 Death.  Your employment terminates on the date of your death and the Company will pay your Gross Salary to the end of the month during which you died and other bonuses, vacation and other benefits, if any, earned or accrued up to the date of termination.

11.7 Full and Final Release.  In order to be eligible for the payments as set forth in this Section 11 the Employee must (i) execute and deliver to the Company a general release, in a form satisfactory to the Company and Employee , and (ii) be and remain in full compliance with his obligations under this Agreement 

11.8 Fair and Reasonable.  The parties confirm that the provisions contained in Sections 11.4 and 11.5 are fair and reasonable and that all such payments shall be in full satisfaction of all claims which the Employee may otherwise have at law against the Company including, or in equity by virtue of such termination of employment.

11.9 Return of Property.  Upon the termination of the Employee's employment for any reason whatsoever, the Employee shall at once deliver or cause to be delivered to the Company all books, documents, effects, money, computer equipment, computer storage media, securities or other property belonging to the Company or for which the Company is liable to others, which are in the possession, charge, control or custody of the Employee.

11.10 Provisions Which Operate Following Termination.  Notwithstanding any termination of this Agreement for any reason whatsoever, provisions of this Agreement necessary to give efficacy thereto shall continue in full force and effect.

11.11 Board. Notwithstanding the foregoing, the termination of Employee's employment hereunder for any reason shall automatically be deemed as Employee's resignation (to extent Employee serves in such capacity) from the Board of Directors of the Company and any affiliates without any further action, except when the Board shall, in writing, request a continuation of duty as a Director in its sole discretion.

	
GENERAL

	Benefit & Binding.  This Agreement shall enure to the benefit of and be binding upon the respective successors and permitted assigns of the parties hereto.

	Amendments & Waivers.  No amendment to this Agreement shall be valid or binding unless set forth in writing and duly executed by all of the parties hereto. No waiver of any breach of any provision of this Agreement shall be effective or binding unless made in writing and signed by the party purporting to give the same and, unless otherwise provided in the written waiver, shall be limited to the specific breach waived.

	Time.  Time shall be of the essence of this Agreement.

	Assignment.  Neither this Agreement nor the rights and obligations hereunder shall be assignable by either party without the consent of the other.

	Severability.  If any provision of this Agreement is determined to be invalid or unenforceable in whole or in part, such invalidity or unenforceability shall attach only to such provision and all other provisions hereof shall continue in full force and effect.

	Attornment & Venue.  For the purposes of all legal proceedings this Agreement shall be deemed to have been performed in the State of Texas and the courts of Dallas County shall have jurisdiction to entertain any action arising under this Agreement.

	
ACKNOWLEDGEMENT

The Employee acknowledges that:

	the Employee has received a copy of this Agreement;

	the Employee has had sufficient time to review and consider this Agreement thoroughly;

	the Employee has read and understands the terms of this Agreement and his obligations under this Agreement;

	the restrictions placed upon the Employee by this Agreement are reasonably necessary to protect the Company's proprietary interests in the Confidential Information and the Developments and will not preclude the Employee from being gainfully employed in a suitable capacity following the termination of the Employee's employment, given the Employee's knowledge and experience;

	the Employee has been given an opportunity to obtain independent legal advice, or such other advice as the Employee may desire, concerning the interpretation and effect of this Agreement and by signing this Agreement the Employee has either obtained advice or voluntarily waived the Employee's opportunity to receive the same; and

	this Agreement is entered into voluntarily by the Employee.

	
NOTICES

Any demand, notice or other communication (the "Notice") to be given in connection with this Agreement shall be given in writing on a Business Day and may be given by personal delivery or by transmittal by facsimile addressed to the recipient as follows:

	
To the Company:
	
6510 Abrams Road, Suite 300, Dallas, TX 75231

Attention:  CEO

Facsimile: 

	 	 
	
To the Employee:
	
Facsimile:  

	 	 

or such other address or facsimile number as may be designated by notice by any party to the other.  Any Notice given by personal delivery will be deemed to have been given on the day of actual delivery and if transmitted by facsimile before 3:00 pm on a Business Day, will be deemed to have been given on that Business Day and if transmitted by facsimile after 3:00 pm on a Business Day, will be deemed to have been given on the next Business Day after the date of transmission.

	
FURTHER ASSURANCES

The parties shall from time to time execute and deliver all such further documents and do all acts and things as the other party may reasonably require to effectively carry out or better evidence or perfect the full intent and meaning of this Agreement.

	
FAX SIGNATURES

This Agreement may be signed either by original signature or by facsimile signature.

	
COUNTERPARTS

This Agreement may be executed by the parties in one or more counterparts, each of which when so executed and delivered shall be an original and such counterparts shall together constitute one and the same instrument.

IN WITNESS WHEREOF the parties have duly executed this Agreement.

	 	
ZION OIL & GAS  INC.

Per: /s/ Richard R. Rinberg

		
/s/ William H.Avery

WILLIAM H. AVERYexhibit_10.htm

    Exhibit
      10

    

    NAVISTAR
      FINANCIAL CORPORATION

    AND
      SUBSIDIARIES

    

    MATERIAL
      CONTRACTS

    

    The
      following documents of Navistar Financial Corporation (“the Corporation”) are
      incorporated herein by reference:

    

    
      	
              10.01  

            	
              Master
                Inter-company Agreement dated as of April 26, 1993, between the
                Corporation and International.  Filed on the Corporation’s Form
                8-K on April 30, 1993.  Commission File
                No.  001-04146.

            

    

    

    
      	
              10.02  

            	
              First
                Amendment to the Master Inter-company Agreement dated as of September
                30,
                1996, between the Corporation and International.  Filed as
                Exhibit 10.60 to the Corporation's Form 10-Q on September 10,
                2004.  Commission File No.
                001-04146.

            

    

    

    
      	
              10.03  

            	
              Second
                Amendment to the Master Inter-company Agreement dated as of August
                16,
                2000, between the Corporation and International.  Filed as
                Exhibit 10.61 to the Corporation's Form 10-Q on September 10,
                2004.  Commission File No.
                001-04146.

            

    

    

    
      	
              10.04  

            	
              Third
                Amendment to the Master Inter-company Agreement dated as of March
                2002,
                between the Corporation and International.  Filed as Exhibit
                10.62 to the Corporation's Form 10-Q on September 10,
                2004.  Commission File No.
                001-04146.

            

    

    

    
      	
              10.05  

            	
              Fourth
                Amendment to the Master Inter-company Agreement dated as of February
                17,
                2004, between the Corporation and International.  Filed as
                Exhibit 3.1 to the Corporation’s Form 10-Q on March 8,
                2004.  Commission File
                No.  001-04146.

            

    

    

    
      	
              10.06  

            	
              Amended
                and Restated Master Intercompany Agreement, dated April 1, 2007,
                between
                the Corporation and International. Filed as Exhibit 10.2 to the
                Corporation’s Form 8-K on April 3, 2007. Commission File No.
                001-04146.

            

    

    

    
      	
              10.07  

            	
              Amended
                and Restated Credit Agreement dated as of July 1, 2005 between the
                Corporation, Arrendadora Financiera Navistar, S.A. de C. V., Servicios
                Financieros Navistar, S.A. de C.V., and Navistar Comerical, S.A.
                de C.V.,
                as Borrowers, and JPMorgan Chase Bank, N.A. as Administrative Agent,
                Bank
                of America, N.A., as Syndication agent, and the Bank of Nova Scotia,
                as
                Documentation Agent, J.P. Morgan Securities Inc. and Banc of America
                Securities, LLC, as Joint Book Managers and Joint Lead Arrangers,
                with
                respect to $1,200,000,000 Revolving Credit and Competitive Advance
                Facility.  Filed as Exhibit 10.01 to the Corporation’s Form 8-K
                on September 1, 2005.  Commission File No.
                001-04146.

            

    

    

    
      	
              10.08  

            	
              Amended
                and Restated Security, Pledge and Trust Agreement dated as of July
                1,
                2005, between the Corporation and Deutsche Bank Trust Company Americas,
                as
                Trustee, pursuant to the terms of the Credit agreement.  Filed
                as Exhibit 10.02 to the Corporation’s Form 8-K on September 1,
                2005.   Commission File No.
                001-04146.

            

    

    
      
        
        

      

      
        E-3

        
          

        

      

      
        
        

      

    

    

    
      	
              10.09  

            	
              Pooling
                and Servicing Agreement dated as of June 8, 1995, among the Corporation,
                as Servicer, Navistar Financial Securities Corporation, as Seller,
                Chemical Bank, as 1990 Trust Trustee, and The Bank of New York, as
                Master
                Trust Trustee.  Filed as Exhibit 4.1 to Navistar Financial
                Securities Corporation’s Form 8-K on December 12,
                2003.  Commission File No.
                033-87374.

            

    

    

    
      	
              10.10  

            	
              Fourth
                Amendment to the Pooling and Servicing Agreement dated as of June
                2, 2000,
                among the Corporation, as Servicer, Navistar Financial Securities
                Corporation, as Seller, and The Bank of New York, as Master Trust
                Trustee.  Filed as Exhibit 4.7 to Navistar Financial Securities
                Corporation’s Form S-3/A dated June 12, 2000.  Commission File
                No. 333-32960.

            

    

    

    
      	
              10.11  

            	
              Fifth
                Amendment to the Pooling and Servicing Agreement dated as of July
                13,
                2000, among the Corporation, as Servicer, Navistar Financial Securities
                Corporation, as Seller, and The Bank of New York, as Master Trust
                Trustee.  Filed as Exhibit 4.2 to Navistar Financial Dealer Note
                Master Trust’s Form 8-K on July 14, 2000.  Commission File No.
                033-36767-03.

            

    

    

    
      	
              10.12  

            	
              Sixth
                Amendment to the Pooling and Servicing Agreement dated as of October
                31,
                2003, among the Corporation, as Servicer, Navistar Financial Securities
                Corporation, as Seller, and The Bank of New York, as Master Trust
                Trustee.  Filed as Exhibit 4.7 to Navistar Financial Dealer Note
                Master Owner Trust’s Form S-3/A dated December 23,
                2003.  Commission File No.
                333-104639-01.

            

    

    

    
      	
              10.13  

            	
              Seventh
                Amendment to the Pooling and Servicing Agreement dated as of June
                10,
                2004, among the Corporation, as Servicer, Navistar Financial Securities
                Corporation, as Seller, and The Bank of New York, as Master Trust
                Trustee.  Filed as Exhibit 4.6 to Navistar Financial Dealer Note
                Master Owner Trust’s Form 8-K on June 14, 2004.  Commission File
                No. 333-104639-01.

            

    

    

    
      	
              10.14  

            	
              Series
                1998-1 Supplement to the Pooling and Servicing Agreement dated as
                of July
                17, 1998, among the Corporation, as Servicer, Navistar Financial
                Securities Corporation, as Seller, and the Bank of New York, as Master
                Trust Trustee on behalf of the Series 1998-1
                Certificateholders.  Filed as Exhibit 4.1 to Navistar Financial
                Securities Corporation’s Form 8-K on December 4,
                2003.  Commission File No.
                033-87374.

            

    

    

    
      	
              10.15  

            	
              Series
                2000-VFC Supplement to the Pooling and Servicing Agreement, dated
                as of
                January 28, 2000, among the Corporation, as Servicer, Navistar Financial
                Securities Corporation, as Seller, and the Bank of New York, as Master
                Trust Trustee on behalf of the Series 2000-VFC Certificateholders.
                Filed
                as Exhibit 10.71 to the Corporation's Form 10-Q on April 19,
                2005.  Commission File No.
                001-04146.

            

    

    

    
      	
              10.16  

            	
              Amendment
                No. 1 to the Series 2000-VFC Supplement to the Pooling and Servicing
                Agreement, dated as of January 22, 2003, by and among the Corporation,
                as
                Servicer, Navistar Financial Securities Corporation, as Seller, and
                the
                Bank of New York, as Master Trust Trustee. Filed as Exhibit 10.72
                to the
                Corporation's Form 10-Q on April 19, 2005.  Commission File No.
                001-04146.

            

    

    

    
      	
              10.17  

            	
              Certificate
                Purchase Agreement, dated as of January 28, 2000, among the Corporation,
                as Servicer, Navistar Financial Securities Corporation, as Seller,
                Receivables Capital Corporation, as the Conduit Purchaser, Bank of
                America, National Association, as Administrative Agent for the Purchasers,
                and as a Committed Purchaser. Filed as Exhibit 1.1 to Navistar Financial
                Securities Corporation’s Form 8-K on February 24, 2000. Commission File
                No. 033-87374.

            

    

    
      
        
        

      

      
        E-4

        
          

        

      

      
        
        

      

    

    

    
      	
              10.18  

            	
              Amended
                and Restated Certificate Purchase Agreement, dated as of December
                27,
                2004, among Corporation, as Servicer, Navistar Financial Securities
                Corporation, as Seller, Kitty Hawk Funding Corporation, as a Conduit
                Purchaser, Liberty Street Funding Corp., as a Conduit Purchaser,
                Bank of
                America, National Association, as Administrative Agent for the Purchasers,
                a Managing Agent, and as a Committed Purchaser and the Bank of Nova
                Scotia, as a Committed Purchaser and as a Managing Agent. Filed as
                Exhibit
                10.73 to the Corporation's Form 10-Q on April 19,
                2005.  Commission File No.
                001-04146.

            

    

    

    
      	
              10.19  

            	
              Series
                2000-1 Supplement to the Pooling and Servicing Agreement dated as
                of July
                13, 2000, among Navistar Financial Corporation, as Servicer, Navistar
                Financial Securities Corporation, as Seller, and the Bank of New
                York, as
                Master Trust Trustee on behalf of the Series 2000-1
                Certificateholders.  Filed as Exhibit 4.1 to Navistar Financial
                Securities Corporation’s Form 8-K on July 14, 2000.  Commission
                File No. 033-87374.

            

    

    

    
      	
              10.20  

            	
              Series
                2003-1 Supplement to the Pooling and Servicing Agreement, dated as
                of July
                13, 2003, among the Corporation, as Servicer, Navistar Financial
                Securities Corporation, as Seller, and the Bank of New York, as Master
                Trust Trustee on behalf of the Series 2003-1
                Certificateholders.  Filed as Exhibit 4.1 to Navistar Financial
                Securities Corporation’s Form 8-K on July 11, 2003.  Commission
                File No. 033-87374.

            

    

    

    
      	
              10.21  

            	
              Series
                2004-1 Supplement to the Pooling and Servicing Agreement, dated as
                of June
                10, 2004, among the Corporation, as Servicer, Navistar Financial
                Securities Corporation, as Seller, and the Bank of New York, as Master
                Trust Trustee on behalf of the Series 2004-1
                Certificateholders.  Filed as Exhibit 4.1 to Navistar Financial
                Dealer Note Master Owner Trust’s Form 8-K on June 14,
                2004.  Commission File No.
                333-104639-01.

            

    

    

    
      	
              10.22  

            	
              Master
                Owner Trust Agreement dated as of June 10, 2004, between Navistar
                Financial Securities Corporation, as Seller and Chase Manhattan Bank
                USA,
                N.A. as Master Owner Trust Trustee.  Filed as Exhibit 4.11 to
                Navistar Financial Dealer Note Master Owner Trust’s Form 8-K on June 14,
                2004.  Commission File No.
                333-104639-01.

            

    

    

    
      	
              10.23  

            	
              Indenture,
                dated as of June 10, 2004, between Navistar Financial Dealer Note
                Master
                Owner Trust, as Issuer, and The Bank of New York, as Indenture
                Trustee.  Filed as Exhibit 4.2 to Navistar Financial Dealer Note
                Master Owner Trust’s Form 8-K on June 14, 2004.  Commission File
                No. 333-104639-01.

            

    

    

    
      	
              10.24  

            	
              Series
                2004-1 Indenture Supplement dated as of June 10, 2004, between Navistar
                Financial Dealer Note Master Owner Trust, as Issuer, and The Bank
                of New
                York, as Indenture Trustee.  Filed as Exhibit 4.3 to Navistar
                Financial Dealer Note Master Owner Trust’s Form 8-K on June 14,
                2004.  Commission File No.
                333-104639-01.

            

    

    

    
      	
              10.25  

            	
              Series
                2005-1 Indenture Supplement to the Indenture, dated as of February
                28,
                2005, between Navistar Financial Dealer Note Master Owner Trust,
                as
                Issuer, and The Bank of New York, as Indenture Trustee.  Filed
                as Exhibit 4.1 to Navistar Financial Dealer Note Master Owner Trust’s Form
                8-K on February 28, 2005.  Commission File No.
                333-104639-01.

            

    

    
      
        
        

      

      
        E-5

        
          

        

      

      
        
        

      

    

    

    
      	
              10.26  

            	
              Receivables
                Purchase Agreement dated as of October 16, 2000, between Truck Retail
                Installment Paper Corp. and the Corporation.  Filed as Exhibit
                10.02 to the Corporation's Form 10-Q on March 15,
                2001.  Commission File No.
                001-04146.

            

    

    

    
      	
              10.27  

            	
              Servicing
                Agreement dated as of October 16, 2000, between the Corporation,
                as
                Servicer, and Navistar Leasing Company, Harco Leasing Company, Inc.,
                Truck
                Retail Installment Paper Corp., The Bank of New York as Collateral
                Agent,
                and Bank One National Association, as Portfolio Trustee.  Filed
                as Exhibit 10.01 to the Corporation's Form 10-Q on March 15,
                2001.  Commission File No.
                001-04146.

            

    

    

    
      	
              10.28  

            	
              Indenture
                Agreement dated as of October 16, 2000, between Truck Retail Installment
                Paper Corp., as Issuer, and The Bank of New York, as Indenture
                Trustee.  Filed as Exhibit 10.03 to the Corporation's Form 10-Q
                on March 15, 2001.  Commission File No.
                001-04146

            

    

    

    
      	
              10.29  

            	
              Series
                2005-1 Supplement dated as of June 29, 2005, to the Indenture also
                dated
                October 16, 2000 between Truck Retail Installment Paper Corp., as
                Issuer,
                and The Bank of New York, as Indenture Trustee.  Filed as
                Exhibit 10.03 to the Corporation’s Form 8-K on September 1,
                2005.   Commission File No.
                001-04146.

            

    

    

    
      	
              10.30  

            	
              Supplement
                No. 1, dated as of July 24, 2001, to Indenture agreement dated October
                16,
                2000, among Truck Retail Installment Paper Corp., as Issuer, and
                The Bank
                of New York, as Indenture Trustee, to amend the Indenture to (i)
                revise
                the definition of "Series 2000-1 Loss Reserve Specified Balance",
                and (ii)
                revise the Amortization Events. Filed as Exhibit 10 to the Corporation’s
                Form 8-K on August 6, 2001.  Commission File No.
                001-04146.

            

    

    

    
      	
              10.31  

            	
              Supplement
                No. 2, dated as of July 31, 2002, to Indenture agreement dated October
                16,
                2000, among Truck Retail Installment Paper Corp., as Issuer, and
                The Bank
                of New York, as Indenture Trustee, to amend the Indenture to (i)
                revise
                the definition of “Series 2000-1 Loss Reserve Specified Balance,” (ii)
                revise the definition of “Reserve Account Trigger Event.”, and (iii)
                revise the definition of “Receivable Sale Closing
                Conditions.”  Filed on the Corporation’s Form 8-K on November
                27, 2002.  Commission File No.
                001-04146.

            

    

    

    
      	
              10.32  

            	
              Receivables
                Purchase Agreement dated as of November 21, 2000, among Truck Engine
                Receivables Financing Co., as Buyer and the Corporation, as Seller
                and as
                Servicer.  Filed as Exhibit 10.66 to the Corporation's Form 10-Q
                on September 10, 2004.  Commission File No.
                001-04146.

            

    

    

    
      	
              10.33  

            	
              Trust
                Sale and Servicing Agreement dated as of November 21, 2000, among
                the
                Corporation, as Servicer, Truck Engine Receivables Financing Co.,
                as
                Seller, and Truck Engine Receivables Master Trust, as
                Trust.  Filed as Exhibit 10.65 to the Corporation's Form 10-Q on
                September 10, 2004.  Commission File No.
                001-04146.

            

    

    

    
      	
              10.34  

            	
              Indenture,
                dated as of November 21, 2000, between Truck Engine Receivables Master
                Trust and The Bank of New York, as Indenture Trustee.  Filed as
                Exhibit 10.63 to the Corporation's Form 10-Q on September 10,
                2004.  Commission File No.
                001-04146.

            

    

    

    
      	
              10.35  

            	
              Series
                2000-1 Indenture Supplement dated as of November 21, 2000, among
                Truck
                Engine Receivables Master Trust, as Issuer, and The Bank of New York,
                as
                Indenture Trustee.  Filed as Exhibit 10.67 to the Corporation's
                Form 10-Q on September 10, 2004.  Commission File No.
                001-04146.

            

    

    
      
        
        

      

      
        E-6

        
          

        

      

      
        
        

      

    

    

    
      	
              10.36  

            	
              Trust
                Agreement dated as of November 21, 2000, between Truck Engine Receivables
                Financing Co., as Transferor, and Chase Manhattan Bank USA, National
                Association, as Owner Trustee.  Filed as Exhibit 10.64 to the
                Corporation's Form 10-Q on September 10, 2004.  Commission File
                No. 001-04146.

            

    

    

    
      	
              10.37  

            	
              Purchase
                Agreement dated as of April 30, 2002, between the Corporation and
                Navistar
                Financial Retail Receivables Corporation, with respect to Navistar
                Financial 2002-A Owner Trust.  Filed as Exhibit 99.1 to Navistar
                Financial Retail Receivables Corporation’s Form 8-K on May 3,
                2002.  Commission File No.
                033-50291.

            

    

    

    
      	
              10.38  

            	
              Pooling
                and Servicing Agreement dated as of April 30, 2002, among the Corporation,
                as Servicer, Navistar Financial Retail Receivables Corporation, as
                Seller,
                and Chase Manhattan Bank USA, N.A. as Owner Trustee.  Filed as
                Exhibit 4.1 to Navistar Financial Retail Receivables Corporation’s Form
                8-K on May 3, 2002.  Commission File No.
                033-50291.

            

    

    

    
      	
              10.39  

            	
              Trust
                Agreement dated as of April 30, 2002, between Navistar Financial
                Retail
                Receivables Corporation, as Seller, and Chase Manhattan Bank USA,
                National
                Association, as Owner Trustee, with respect to Navistar Financial
                2002-A
                Owner Trust.  Filed as Exhibit 4.3 to Navistar Financial Retail
                Receivables Corporation’s Form 8-K on May 3, 2002.  Commission
                File No. 033-50291.

            

    

    

    
      	
              10.40  

            	
              Indenture
                dated as of April 30, 2002, between Chase Manhattan Bank USA, N.A.
                as
                Owner Trustee and The Bank of New York, as Indenture Trustee, with
                respect
                to Navistar Financial 2002-A Owner Trust.  Filed as Exhibit 4.2
                to Navistar Financial Retail Receivables Corporation’s Form 8-K on May 3,
                2002.  Commission File No.
                033-50291.

            

    

    

    
      	
              10.41  

            	
              Purchase
                Agreement dated as of November 19, 2002, between the Corporation
                and
                Navistar Financial Retail Receivables Corporation, with respect to
                Navistar Financial 2002-B Owner Trust,.  Filed as Exhibit 99.1
                to Navistar Financial Retail Receivables Corporation’s Form 8-K on
                November 25, 2002.  Commission File No.
                033-50291.

            

    

    

    
      	
              10.42  

            	
              Pooling
                Agreement dated as of November 19, 2002, among Navistar Financial
                Retail
                Receivables Corporation, as Seller, and Navistar Financial 2002-B
                Owner
                Trust, as Issuer.  Filed as Exhibit 4.1 to Navistar Financial
                Retail Receivables Corporation’s Form 8-K on November 25,
                2002.  Commission File No.
                033-50291.

            

    

    

    
      	
              10.43  

            	
              Servicing
                Agreement dated as of November 19, 2002, between the Corporation,
                as
                Servicer, Navistar Leasing Company, Harco Leasing Company, Inc.,
                Navistar
                Financial Retail Receivables Corporation, The Bank of New York as
                Collateral Agent and as Indenture Trustee, Bank One National Association,
                as Portfolio Trustee, and Navistar Financial 2002-B Owner Trust,
                as
                Issuer.  Filed as Exhibit 99.3 to Navistar Financial Retail
                Receivables Corporation’s Form 8-K on November 25,
                2002.  Commission File No.
                033-50291.

            

    

    

    
      	
              10.44  

            	
              Trust
                Agreement dated as of November 19, 2002, between Navistar Financial
                Retail
                Receivables Corporation, as Seller, and Chase Manhattan Bank USA,
                National
                Association, as Owner Trustee, with respect to Navistar Financial
                2002-B
                Owner Trust.  Filed as Exhibit 4.3 to Navistar Financial Retail
                Receivables Corporation’s Form 8-K on November 25,
                2002.  Commission File No.
                033-50291.

            

    

    
      
        
        

      

      
        E-7

        
          

        

      

      
        
        

      

    

    

    
      	
              10.45  

            	
              Indenture
                dated as of November 19, 2002, between Navistar Financial 2002-B
                Owner
                Trust, as Issuer and The Bank of New York, as Indenture Trustee,
                with
                respect to Navistar Financial 2002-B Owner Trust.  Filed as
                Exhibit 4.2 to Navistar Financial Retail Receivables Corporation’s Form
                8-K on November 25, 2002.  Commission File No.
                033-50291.

            

    

    

    
      	
              10.46  

            	
              Purchase
                Agreement dated as of June 5, 2003, between the Corporation and Navistar
                Financial Retail Receivables Corporation, with respect to Navistar
                Financial 2003-A Owner Trust,.  Filed as Exhibit 99.1 to
                Navistar Financial Retail Receivables Corporation’s Form 8-K on June 11,
                2003.  Commission File No.
                033-50291.

            

    

    

    
      	
              10.47  

            	
              Pooling
                Agreement dated as of June 5, 2003, Navistar Financial Retail Receivables
                Corporation, as Seller, and Navistar Financial 2003-A Owner Trust,
                as
                Issuer.  Filed as Exhibit 4.1 to Navistar Financial Retail
                Receivables Corporation’s Form 8-K on June 11, 2003.  Commission
                File No. 033-50291.

            

    

    

    
      	
              10.48  

            	
              Servicing
                Agreement dated as of June 5, 2003, between the Corporation, as Servicer,
                Navistar Leasing Company, Harco Leasing Company, Inc., Navistar Financial
                Retail Receivables Corporation, The Bank of New York as Collateral
                Agent
                and as Indenture Trustee, Bank One National Association, as Portfolio
                Trustee, and Navistar Financial 2003-A Owner Trust, as
                Issuer.  Filed as Exhibit 99.3 to Navistar Financial Retail
                Receivables Corporation’s Form 8-K on June 11, 2003.  Commission
                File No. 033-50291.

            

    

    

    
      	
              10.49  

            	
              Trust
                Agreement dated as of June 5, 2003, between Navistar Financial Retail
                Receivables Corporation, as Seller, and Chase Manhattan Bank USA,
                National
                Association, as Owner Trustee, with respect to Navistar Financial
                2003-A
                Owner Trust.  Filed as Exhibit 4.3 to Navistar Financial Retail
                Receivables Corporation’s Form 8-K on June 11, 2003.  Commission
                File No. 033-50291.

            

    

    

    
      	
              10.50  

            	
              Indenture
                dated as of June 5, 2003, between Navistar Financial 2003-A Owner
                Trust
                and The Bank of New York, as Indenture Trustee, with respect to Navistar
                Financial 2003-A Owner Trust.  Filed as Exhibit 4.2 to Navistar
                Financial Retail Receivables Corporation’s Form 8-K on June 11,
                2003.  Commission File No.
                033-50291.

            

    

    

    
      	
              10.51  

            	
              Purchase
                Agreement dated as of October 31, 2003, between the Corporation and
                Navistar Financial Retail Receivables Corporation, with respect to
                Navistar Financial 2003-B Owner Trust.  Filed as Exhibit 99.1 to
                Navistar Financial Retail Receivables Corporation’s Form 8-K on November
                5, 2003.  Commission File No.
                033-50291.

            

    

    

    
      	
              10.52  

            	
              Pooling
                Agreement dated as of October 31, 2003, Navistar Financial Retail
                Receivables Corporation, as Seller, and Navistar Financial 2003-B
                Owner
                Trust, as Issuer.  Filed as Exhibit 4.1 to Navistar Financial
                Retail Receivables Corporation’s Form 8-K on November 5,
                2003.  Commission File No.
                033-50291.

            

    

    

    
      	
              10.53  

            	
              Servicing
                Agreement dated as of October 31, 2003, between the Corporation,
                as
                Servicer, Navistar Leasing Company, Harco Leasing Company, Inc.,
                Navistar
                Financial Retail Receivables Corporation, The Bank of New York as
                Collateral Agent and as Indenture Trustee, Bank One National Association,
                as Portfolio Trustee, and Navistar Financial 2003-B Owner Trust,
                as
                Issuer.  Filed as Exhibit 99.3 to Navistar Financial Retail
                Receivables Corporation’s Form 8-K on November 5,
                2003.  Commission File No.
                033-50291.

            

    

    
      
        
        

      

      
        E-8

        
          

        

      

      
        
        

      

    

    

    
      	
              10.54  

            	
              Trust
                Agreement dated as of October 31, 2003, between Navistar Financial
                Retail
                Receivables Corporation, as Seller, and Chase Manhattan Bank USA,
                National
                Association, as Owner Trustee, with respect to Navistar Financial
                2003-B
                Owner Trust.  Filed as Exhibit 4.3 to Navistar Financial Retail
                Receivables Corporation’s Form 8-K on November 5,
                2003.  Commission File No.
                033-50291.

            

    

    

    
      	
              10.55  

            	
              Indenture
                dated as of October 31, 2003, between Navistar Financial 2003-B Owner
                Trust and The Bank of New York, as Indenture Trustee, with respect
                to
                Navistar Financial 2003-B Owner Trust.  Filed as Exhibit 4.2 to
                Navistar Financial Retail Receivables Corporation’s Form 8-K on November
                5, 2003.  Commission File No.
                033-50291.

            

    

    

    
      	
              10.56  

            	
              Purchase
                Agreement dated as of April 1, 2004, between the Corporation and
                Navistar
                Financial Retail Receivables Corporation, with respect to Navistar
                Financial 2004-A Owner Trust.  Filed as Exhibit 99.1 to Navistar
                Financial Retail Receivables Corporation Owner Trust 2004-A’s Form 8-K on
                April 5, 2004.  Commission File No.
                333-67112-01.

            

    

    

    
      	
              10.57  

            	
              Pooling
                Agreement dated as of April 1, 2004, Navistar Financial Retail Receivables
                Corporation, as Seller, and Navistar Financial 2004-A Owner Trust,
                as
                Issuer.  Filed as Exhibit 4.1 to Navistar Financial Retail
                Receivables Corporation Owner Trust 2004-A’s Form 8-K on April 5,
                2004.  Commission File No.
                333-67112-01.

            

    

    

    
      	
              10.58  

            	
              Servicing
                Agreement dated as of April 1, 2004, between the Corporation, as
                Servicer,
                Navistar Leasing Company, Harco Leasing Company, Inc., Navistar Financial
                Retail Receivables Corporation, The Bank of New York as Collateral
                Agent
                and as Indenture Trustee, JP Morgan Trust Company National Association,
                (as successor-in-interest to Bank One, National Association),as Portfolio
                Trustee, and Navistar Financial 2004-A Owner Trust, as
                Issuer.  Filed as Exhibit 99.3 to Navistar Financial Retail
                Receivables Corporation Owner Trust 2004-A’s Form 8-K on April 5,
                2004.  Commission File No.
                333-67112-01.

            

    

    

    
      	
              10.59  

            	
              Trust
                Agreement dated as of April 1, 2004, between Navistar Financial Retail
                Receivables Corporation, as Seller, and Chase Manhattan Bank USA,
                National
                Association, as Owner Trustee, with respect to Navistar Financial
                2004-A
                Owner Trust.  Filed as Exhibit 4.3 to Navistar Financial Retail
                Receivables Corporation Owner Trust 2004-A’s Form 8-K on April 5,
                2004.  Commission File No.
                333-67112-01.

            

    

    

    
      	
              10.60  

            	
              Indenture
                dated as of April 1, 2004, between Navistar Financial 2004-A Owner
                Trust
                and The Bank of New York, as Indenture Trustee, with respect to Navistar
                Financial 2004-A Owner Trust.  Filed as Exhibit 4.2 to Navistar
                Financial Retail Receivables Corporation Owner Trust 2004-A’s Form 8-K on
                April 5, 2004.  Commission File No.
                333-67112-01.

            

    

    

    
      	
              10.61  

            	
              Purchase
                Agreement dated as of November 17, 2004, between the Corporation
                and
                Navistar Financial Retail Receivables Corporation, with respect to
                Navistar Financial 2004-B Owner Trust.  Filed as Exhibit 99.1 to
                Navistar Financial Retail Receivables Corporation Owner Trust 2004-B’s
                Form 8-K on November 17, 2004.  Commission File No.
                333-67112-06.

            

    

    

    
      	
              10.62  

            	
              Pooling
                Agreement dated as of November 17, 2004, Navistar Financial Retail
                Receivables Corporation, as Seller, and Navistar Financial 2004-B
                Owner
                Trust, as Issuer.  Filed as Exhibit 4.1 to Navistar Financial
                Retail Receivables Corporation Owner Trust 2004-B’s Form 8-K on November
                17, 2004.  Commission File No.
                333-67112-06.

            

    

    
      
        
        

      

      
        E-9

        
          

        

      

      
        
        

      

    

    

    
      	
              10.63  

            	
              Servicing
                Agreement dated as of November 17, 2004, between the Corporation,
                as
                Servicer, Navistar Leasing Company, Harco Leasing Company, Inc.,
                Navistar
                Financial Retail Receivables Corporation, The Bank of New York as
                Collateral Agent and as Indenture Trustee, JP Morgan Trust Company,
                National Association, (as successor-in-interest to Bank One, National
                Association),as Portfolio Trustee, and Navistar Financial 2004-B
                Owner
                Trust, as Issuer.  Filed as Exhibit 99.3 to Navistar Financial
                Retail Receivables Corporation Owner Trust 2004-B’s Form 8-K on November
                17, 2004.  Commission File No.
                333-67112-06.

            

    

    

    
      	
              10.64  

            	
              Trust
                Agreement dated as of November 17, 2004, between Navistar Financial
                Retail
                Receivables Corporation, as Seller, and Chase Manhattan Bank USA,
                National
                Association, as Owner Trustee, with respect to Navistar Financial
                2004-B
                Owner Trust.  Filed as Exhibit 4.3 to Navistar Financial Retail
                Receivables Corporation Owner Trust 2004-B’s Form 8-K on November 17,
                2004.  Commission File No.
                333-67112-06.

            

    

    

    
      	
              10.65  

            	
              Indenture
                dated as of November 17, 2004, between Navistar Financial 2004-B
                Owner
                Trust and The Bank of New York, as Indenture Trustee, with respect
                to
                Navistar Financial 2004-B Owner Trust.  Filed as Exhibit 4.2 to
                Navistar Financial Retail Receivables Corporation Owner Trust 2004-B’s
                Form 8-K on November 17, 2004.  Commission File No.
                333-67112-06.

            

    

    

    
      	
              10.66  

            	
              Receivables
                Sale Agreement dated as of July 30, 2004, between Navistar Financial
                Retail Receivables Corporation and the Corporation.  Filed as
                Exhibit 10.68 to the Corporation's Form 10-Q on September 10,
                2004.  Commission File No.
                001-04146.

            

    

    

    
      	
              10.67  

            	
              Receivables
                Purchase Agreement dated as of July 30, 2004, between Navistar Financial
                Retail Receivables Corporation, as Seller, the Corporation, as Servicer,
                Thunder Bay Funding, LLC, as Company, and Royal Bank of Canada, as
                Agent.  Filed as Exhibit 10.69 to the Corporation's Form 10-Q on
                September 10, 2004.  Commission File No.
                001-04146.

            

    

    

    
      	
              10.68  

            	
              Receivables
                Sale Agreement dated as of April 29, 2005, between Navistar Financial
                Retail Receivables Corporation and the Corporation.   Filed
                as Exhibit 99.1 to Navistar Financial Retail Receivables Corporation
                Owner
                Trust Form 8-K on May 31, 2005.  Commission File No.
                333-67112.

            

    

    

    
      	
              10.69  

            	
              Receivables
                Purchase Agreement dated as of April 29, 2005, between Navistar Financial
                Retail Receivables Corporation, as Seller, the Corporation, as Servicer,
                Thunder Bay Funding, LLC, as Company, and Royal Bank of Canada, as
                Agent.  Filed as Exhibit 99.2 to Navistar Financial Retail
                Receivables Corporation Owner Trust Form 8-K on May 31,
                2005.  Commission File
                No.333-67112.

            

    

    

    
      	
              10.70  

            	
              Purchase
                Agreement dated as of July 27, 2005, between the Corporation and
                Navistar
                Financial Retail Receivables Corporation, with respect to Navistar
                Financial 2005-A Owner Trust.  Filed as Exhibit 99.1 to Navistar
                Financial Retail Receivables Corporation Owner Trust 2005-A’s Form 8-K on
                July 27, 2005.  Commission File No.
                333-115716-01.

            

    

    

    
      	
              10.71  

            	
              Pooling
                Agreement dated as of July 27, 2005 among Navistar Financial Retail
                Receivables Corporation, as Seller, and Navistar Financial 2005-A
                Owner
                Trust, as Issuer.  Filed as Exhibit 4.1 to Navistar Financial
                Retail Receivables Corporation Owner Trust 2005-A Form 8-K on July
                27,
                2005.   Commission File
                No.  333-115716-01.

            

    

    
      
        
        

      

      
        E-10

        
          

        

      

      
        
        

      

    

    
      	
              10.72  

            	
              Servicing
                Agreement dated as of July 27, 2005, between the Corporation, as
                Servicer,
                Navistar Leasing Company, Harco Leasing Company, Inc., Navistar Financial
                Retail Receivables Corporation, The Bank of New York as Collateral
                Agent
                and as Indenture Trustee, JP Morgan Trust Company, National Association,
                (as successor-in-interest to Bank One, National Association),as Portfolio
                Trustee, and Navistar Financial 2005-A Owner Trust, as
                Issuer.  Filed as Exhibit 99.3 to Navistar Financial Retail
                Receivables Corporation Owner Trust 2005-A’s Form 8-K on July 27.
                2005.   Commission File No.
                333-115716-01.

            

    

    

    
      	
              10.73  

            	
              Trust
                Agreement dated as of July 27, 2005, between Navistar Financial Retail
                Receivables Corporation, as Seller, and Chase Bank USA, National
                Association, as Owner Trustee, with respect to Navistar Financial
                2005-A
                Owner Trust.    Filed as Exhibit 4.3 to Navistar
                Financial Retail Receivables Corporation Owner Trust 2005-A’s Form 8-K on
                July 27, 2005.  Commission File
                No.  333-115716-01.

            

    

    

    
      	
              10.74  

            	
              Indenture
                dated as of July 27, 2005, between Navistar Financial 2005-A Owner
                Trust
                and The Bank of New York, as Indenture Trustee, with respect to Navistar
                Financial 2005-A Owner Trust.  Filed as Exhibit 4.2 to Navistar
                Financial Retail Receivables Corporation Owner Trust 2005-A’s Form 8-K on
                July 27, 2005.  Commission File No.
                333-115716-01.

            

    

    

    
      	
              10.75  

            	
              Purchase
                Agreement dated as of February 27, 2006, between the Corporation
                and
                Navistar Financial Retail Receivables Corporation, with respect to
                Navistar Financial 2006-BOA Owner Trust. Filed as Exhibit 10.5 to
                the
                Corporation’s Form 8-K on April 5, 2006. Commission File No.
                001-04146.

            

    

    

    
      	
              10.76  

            	
              Pooling
                Agreement dated as of February 27, 2006 among Navistar Financial
                Retail
                Receivables Corporation, as Seller, and Navistar Financial 2006-BOA
                Owner
                Trust, as Issuer. Filed as Exhibit 10.2 to the Corporation’s Form 8-K on
                April 5, 2006. Commission File No.
                001-04146.

            

    

    

    
      	
              10.77  

            	
              Servicing
                Agreement dated as of February 27, 2006, between the Corporation,
                as
                Servicer, Navistar Financial Retail Receivables Corporation, The
                Bank of
                New York as Indenture Trustee, and Navistar Financial 2006-BOA Owner
                Trust, as Issuer. Filed as Exhibit 10.6 to the Corporation’s Form 8-K on
                April 5, 2006. Commission File No.
                001-04146.

            

    

    

    
      	
              10.78  

            	
              Trust
                Agreement dated as of February 27, 2006, between Navistar Financial
                Retail
                Receivables Corporation, as Seller, and Chase Bank USA, National
                Association, as Owner Trustee, with respect to Navistar Financial
                2006-BOA
                Owner Trust. Filed as Exhibit 10.4 to the Corporation’s Form 8-K on April
                5, 2006. Commission File No.
                001-04146.

            

    

    

    
      	
              10.79  

            	
              Indenture
                dated as of February 27, 2006, between Navistar Financial 2006-BOA
                Owner
                Trust and The Bank of New York, as Indenture Trustee, with respect
                to
                Navistar Financial 2006-BOA Owner Trust. Filed as Exhibit 10.3 to
                the
                Corporation’s Form 8-K on April 5, 2006. Commission File No.
                001-04146.

            

    

    

    
      	
              10.80  

            	
              Purchase
                Agreement dated as of September 1, 2006, between the Corporation
                and
                Navistar Financial Retail Receivables Corporation, with respect to
                Navistar Financial 2006-ARC Owner Trust. Filed as Exhibit 10.5 to
                the
                Corporation’s Form 8-K on September 8, 2006. Commission File No.
                001-04146.

            

    

    

    
      	
              10.81  

            	
              Pooling
                Agreement dated as of September 1, 2006 among Navistar Financial
                Retail
                Receivables Corporation, as Seller, and Navistar Financial 2006-ARC
                Owner
                Trust, as Issuer. Filed as Exhibit 10.2 to the Corporation’s Form 8-K on
                September 8, 2006. Commission File No.
                001-04146.

            

    

    
      
        
        

      

      
        E-11

        
          

        

      

      
        
        

      

    

    
      	
              10.82  

            	
              Servicing
                Agreement dated as of September 1, 2006, between the Corporation,
                as
                Servicer, Navistar Leasing Company, Harco Leasing Company, Inc.,
                Navistar
                Financial Retail Receivables Corporation, The Bank of New York as
                Collateral Agent, LaSalle Bank National Association, as Indenture
                Trustee,
                JP Morgan Trust Company, National Association, (as successor-in-interest
                to Bank One, National Association), as Portfolio Trustee, and Navistar
                Financial 2006-ARC Owner Trust, as Issuer. Filed as Exhibit 10.6
                to the
                Corporation’s Form 8-K on September 8, 2006. Commission File No.
                001-04146.

            

    

    

    
      	
              10.83  

            	
              Trust
                Agreement dated as of September 1, 2006, between Navistar Financial
                Retail
                Receivables Corporation, as Seller, and Chase Bank USA, National
                Association, as Owner Trustee, with respect to Navistar Financial
                2006-ARC
                Owner Trust. Filed as Exhibit 10.4 to the Corporation’s Form 8-K on
                September 8, 2006. Commission File No.
                001-04146..

            

    

    

    
      	
              10.84  

            	
              Indenture
                dated as of September 1, 2006, between Navistar Financial 2006-ARC
                Owner
                Trust and LaSalle Bank National Association, as Indenture Trustee,
                with
                respect to Navistar Financial 2006-ARC Owner Trust. Filed as Exhibit
                10.3
                to the Corporation’s Form 8-K on September 8, 2006. Commission File No.
                001-04146.

            

    

    

    
      	
              10.85  

            	
              Purchase
                Agreement dated as of October 20, 2006, between the Corporation and
                Navistar Financial Retail Receivables Corporation, with respect to
                Navistar Financial 2006-RBC Owner Trust. Filed as Exhibit 10.5 to
                the
                Corporation’s Form 8-K on October 25, 2006. Commission File No.
                001-04146.

            

    

    

    
      	
              10.86  

            	
              Pooling
                Agreement dated as of October 20, 2006 among Navistar Financial Retail
                Receivables Corporation, as Seller, and Navistar Financial 2006-RBC
                Owner
                Trust, as Issuer. Filed as Exhibit 10.2 to the Corporation’s Form 8-K on
                October 25, 2006. Commission File No.
                001-04146.

            

    

    

    
      	
              10.87  

            	
              Servicing
                Agreement dated as of October 20, 2006, between the Corporation,
                as
                Servicer, Navistar Financial Retail Receivables Corporation, The
                Bank of
                New York as Indenture Trustee, and Navistar Financial 2006-RBC Owner
                Trust, as Issuer. Filed as Exhibit 10.6 to the Corporation’s Form 8-K on
                October 25, 2006. Commission File No.
                001-04146.

            

    

    

    
      	
              10.88  

            	
              Trust
                Agreement dated as of October 20, 2006, between Navistar Financial
                Retail
                Receivables Corporation, as Seller, and Chase Bank USA, National
                Association, as Owner Trustee, with respect to Navistar Financial
                2006-RBC
                Owner Trust. Filed as Exhibit 10.4 to the Corporation’s Form 8-K on
                October 25, 2006. Commission File No.
                001-04146.

            

    

    

    
      	
              10.89  

            	
              Indenture
                dated as of October 20, 2006, between Navistar Financial 2006-RBC
                Owner
                Trust and The Bank of New York, as Indenture Trustee, with respect
                to
                Navistar Financial 2006-RBC Owner Trust. Filed as Exhibit 10.3 to
                the
                Corporation’s Form 8-K on October 25, 2006. Commission File No.
                001-04146.

            

    

    

    
      	
              10.90  

            	
              Purchase
                Agreement dated as of February 16, 2007, between the Corporation
                and
                Navistar Financial Retail Receivables Corporation, with respect to
                Navistar Financial 2007-JPM Owner Trust. Filed as Exhibit 10.5 to
                the
                Corporation’s Form 8-K on February 23, 2007. Commission File No.
                001-04146.

            

    

    

    
      	
              10.91  

            	
              Pooling
                Agreement dated as of February 16, 2007 among Navistar Financial
                Retail
                Receivables Corporation, as Seller, and Navistar Financial 2007-JPM
                Owner
                Trust, as Issuer. Filed as Exhibit 10.2 to the Corporation’s Form 8-K on
                February 23, 2007. Commission File No.
                001-04146.

            

    

    
      
        
        

      

      
        E-12

        
          

        

      

      
        
        

      

    

    

    
      	
              10.92  

            	
              Servicing
                Agreement dated as of February 16, 2007, between the Corporation,
                as
                Servicer, Navistar Financial Retail Receivables Corporation, The
                Bank of
                New York as Indenture Trustee, and Navistar Financial 2007-JPM Owner
                Trust, as Issuer.  Filed as Exhibit 10.6 to the Corporation’s
                Form 8-K on February 23, 2007. Commission File No.
                001-04146.

            

    

    

    
      	
              10.93  

            	
              Trust
                Agreement dated as of February 16, 2007, between Navistar Financial
                Retail
                Receivables Corporation, as Seller, and Deutsche Bank Trust Company
                Delaware, as Owner Trustee, with respect to Navistar Financial 2007-JPM
                Owner Trust.  Filed as Exhibit 10.4 to the Corporation’s Form
                8-K on February 23, 2007. Commission File No.
                001-04146.

            

    

    

    
      	
              10.94  

            	
              Indenture
                dated as of February 16, 2007, between Navistar Financial 2007-JPM
                Owner
                Trust and The Bank of New York, as Indenture Trustee, with respect
                to
                Navistar Financial 2007-JPM Owner Trust. Filed as Exhibit 10.3 to
                the
                Corporation’s Form 8-K on February 23, 2007. Commission File No.
                001-04146.

            

    

    

    
      	
              10.95  

            	
              Purchase
                Agreement dated as of June 22, 2007, between the Corporation and
                Navistar
                Financial Retail Receivables Corporation, with respect to Navistar
                Financial 2007-BNS Owner Trust. Filed as Exhibit 10.5 to the Corporation’s
                Form 8-K on June 27, 2007. Commission File No.
                001-04146.

            

    

    

    
      	
              10.96  

            	
              Pooling
                Agreement dated as of June 22, 2007 among Navistar Financial Retail
                Receivables Corporation, as Seller, and Navistar Financial 2007-BNS
                Owner
                Trust, as Issuer. Filed as Exhibit 10.2 to the Corporation’s Form 8-K on
                June 27, 2007. Commission File No.
                001-04146.

            

    

    

    
      	
              10.97  

            	
              Servicing
                Agreement dated as of June 22, 2007, between the Corporation, as
                Servicer,
                Navistar Financial Retail Receivables Corporation, The Bank of New
                York as
                Indenture Trustee, and Navistar Financial 2007-BNS Owner Trust, as
                Issuer.
                Filed as Exhibit 10.6 to the Corporation’s Form 8-K on June 27, 2007.
                Commission File No. 001-04146.

            

    

    

    
      	
              10.98  

            	
              Trust
                Agreement dated as of June 22, 2007, between Navistar Financial Retail
                Receivables Corporation, as Seller, and Deutsche Bank Trust Company
                Delaware, as Owner Trustee, with respect to Navistar Financial 2007-BNS
                Owner Trust. Filed as Exhibit 10.4 to the Corporation’s Form 8-K on June
                27, 2007. Commission File No.
                001-04146.

            

    

    

    
      	
              10.99  

            	
              Indenture
                dated as of June 22, 2007, between Navistar Financial 2007-BNS Owner
                Trust
                and The Bank of New York, as Indenture Trustee, with respect to Navistar
                Financial 2007-BNS Owner Trust. Filed as Exhibit 10.3 to the Corporation’s
                Form 8-K on June 27, 2007. Commission File No.
                001-04146.

            

    

    

    
      	
              10.100  

            	
              Waiver
                dated January 17, 2006, to the Amended and Restated Credit Agreement
                dated
                as of July 1, 2005 between the Corporation, Arrendadora Financiera
                Navistar, S.A. de C. V., Servicios Financieros Navistar, S.A. de
                C.V., and
                Navistar Comerical, S.A. de C.V., as Borrowers, and JPMorgan Chase
                Bank,
                N.A. as Administrative Agent, Bank of America, N.A., as Syndication
                agent,
                and the Bank of Nova Scotia, as Documentation Agent, J.P. Morgan
                Securities Inc. and Banc of America Securities, LLC, as Joint Book
                Managers and Joint Lead Arrangers, with respect to $1,200,000,000
                Revolving Credit and Competitive Advance Facility.  Filed as
                Exhibit 99.1 to the Corporation’s Form 8-K on March 8,
                2006.  Commission File No.
                001-04146.

            

    

    
      
        
        

      

      
        E-13

        
          

        

      

      
        
        

      

    

    

    
      	
              10.101  

            	
              Second
                Waiver and Consent dated March 2, 2006, to the Amended and Restated
                Credit
                Agreement dated as of July 1, 2005 between the Corporation, Arrendadora
                Financiera Navistar, S.A. de C. V., Servicios Financieros Navistar,
                S.A.
                de C.V., and Navistar Comerical, S.A. de C.V., as Borrowers, and
                JPMorgan
                Chase Bank, N.A. as Administrative Agent, Bank of America, N.A.,
                as
                Syndication agent, and the Bank of Nova Scotia, as Documentation
                Agent,
                J.P. Morgan Securities Inc. and Banc of America Securities, LLC,
                as Joint
                Book Managers and Joint Lead Arrangers, with respect to $1,200,000,000
                Revolving Credit and Competitive Advance Facility.  Filed as
                Exhibit 99.2 to the Corporation’s Form 8-K on March 8,
                2006.  Commission File No.
                001-04146.

            

    

    

    
      	
              10.102  

            	
              Third
                Waiver and Consent dated November 10, 2006, to the Amended and Restated
                Credit Agreement dated as of July 1, 2005 between the Corporation,
                Arrendadora Financiera Navistar, S.A. de C. V., Servicios Financieros
                Navistar, S.A. de C.V., and Navistar Comerical, S.A. de C.V., as
                Borrowers, and JPMorgan Chase Bank, N.A. as Administrative Agent,
                Bank of
                America, N.A., as Syndication agent, and the Bank of Nova Scotia,
                as
                Documentation Agent, J.P. Morgan Securities Inc. and Banc of America
                Securities, LLC, as Joint Book Managers and Joint Lead Arrangers,
                with
                respect to $1,200,000,000 Revolving Credit and Competitive Advance
                Facility.  Filed as Exhibit 10.1 to the Corporation’s Form 8-K
                on November 20, 2006.  Commission File No.
                001-04146.

            

    

     

    
      	
              10.141  

            	
              First
                Amendment dated March 28, 2007, to the Amended and Restated Credit
                Agreement dated as of July 1, 2005 among the Corporation, Arrendadora
                Financiera Navistar, S.A. de C. V., Organizacion Auxiliar del Credito,
                a
                Mexican corporation, Servicios Financieros Navistar, S.A. de C.V.,
                Sociedad Financiera de Objeto Limitado, a Mexican corporation and
                Navistar
                Comerical, S.A. de C.V., the Lenders party thereto, JPMorgan Chase
                Bank,
                N.A. as Administrative Agent, Bank of America, N.A., as Syndication
                agent,
                and the Bank of Nova Scotia, as Documentation Agent. Filed as Exhibit
                10.1
                to the Corporation’s Form 8-K on April 3, 2007. Commission File No.
                001-04146.

            

    

    

    
      	
              10.142  

            	
              Second
                Amendment and Fourth Waiver dated October 23, 2007 to the Amended
                and
                Restated Credit Agreement dated as of July 1, 2005 among the Corporation,
                Arrendadora Financiera Navistar, S.A. de C. V., Organizacion Auxiliar
                del
                Credito, a Mexican corporation, Servicios Financieros Navistar, S.A.
                de
                C.V., Sociedad Financiera de Objeto Limitado, a Mexican corporation
                and
                Navistar Comerical, S.A. de

            

    

    C.V.,
      the
      Lenders party thereto, JPMorgan Chase Bank, N.A. as Administrative Agent, Bank
      of America, N.A., as Syndication agent, and the Bank of Nova Scotia, as
      Documentation Agent.  Filed as Exhibit 10.1 to the Corporation’s Form
      8-K on October 5, 2007. Commission File No. 001-04146.

    

    
      	
              10.143  

            	
              Series
                1995-1 Supplement dated as of June 8, 1995, to the Pooling and Servicing
                Agreement dated June 8, 1995, among the Corporation, as Servicer,
                Navistar
                Financial Securities Corporation, as Seller, Chemical Bank, as 1990
                Trust
                Trustee, and The Bank of New York, as Master Trust
                Trustee.  Filed as Exhibit 4.1 to Navistar Financial Securities
                Corporation’s Form 8-K on December 4, 2003.  Commission File No.
                033-87374.

            

    

    

    
      
        
        

      

      
        E-14

        
          

        

      

      
        
        

      

    

     

    

    
      	
              10.170  

            	
              Note
                Purchase Agreement, dated as of February 27, 2006, among Navistar
                Financial Retail Receivables Corporation, as Seller, Navistar Financial
                Corporation, as Servicer, Bank of America,, as Agent for the Investors,
                Administrator and as an alternate investor, Kitty Hawk Funding
                Corporation, as the Conduit Investor.  Filed as Exhibit 10.1 to
                the Corporation’s Form 8-K on April 5, 2006. Commission File No.
                001-04146.

            

    

    

    
      	
              10.171  

            	
              Note
                Purchase Agreement, dated as of September 1, 2006, among Navistar
                Financial Retail Receivables Corporation, as Seller, Navistar Financial
                Corporation, as Servicer, ABN AMRO Bank N.V,’, as Funding Agent for the
                Investors and as an alternate investor, Amsterdam Funding Corporation,
                as
                Conduit Investor.  Filed as Exhibit 10.1 to the Corporation’s
                Form 8-K on September 8, 2006. Commission File No.
                001-04146.

            

    

    

    
      	
              10.172  

            	
              Note
                Purchase Agreement, dated as of October 20, 2006, among Navistar
                Financial
                Retail Receivables Corporation, as seller, Navistar Financial Corporation,
                as Servicer, Royal Bank of Canada, as Agent for the Investors, and
                Thunder
                Bay Funding LLC, as Conduit Investor.  Filed as Exhibit 10.1 to
                the Corporation’s Form 8-K on October 25, 2006. Commission File No.
                001-04146.

            

    

    

    
      	
              10.173  

            	
              Note
                Purchase Agreement, dated as of February 16, 2007, among Navistar
                Financial Retail Receivables Corporation, as Seller, Navistar Financial
                Corporation, as Servicer, JPMorgan Chase, N.A., as Agent for the
                Investors, and Jupiter Securitization Company LLC and Falcon Asset
                Securitization Company LLC, Collectively, as the Conduit
                Investor.   Filed as Exhibit 10.1 to the Corporation’s Form
                8-K on February 23, 2007. Commission File No.
                001-04146.

            

    

    

    
      	
              10.174  

            	
              Note
                Purchase Agreement, dated June 22, 2007, among Navistar Financial
                Retail
                Receivables Corporation, as Seller, Navistar Financial Corporation,
                as
                Servicer, The Bank of Nova Scotia, as Agent for the Investors, and
                Liberty
                Street Funding LLC, as the Conduit Investor.  Filed as Exhibit
                10.1 to the Corporation’s Form 8-K on June 22, 2007. Commission File No.
                001-04146.

            

    

    

    
      	
              10.175  

            	
              Note
                Purchasing Agreement, dated as of November 28, 2007, among Navistar
                Financial Retail Receivables Corporation, as Seller, Navistar Financial
                Corporation, individually and as Servicer, Citicorp North America,
                Inc.,
                as Agent for the Investors, CAFCO, LLC and CRC Funding, LLC as the
                Conduit
                Investors, and Citibank, N.A., as Committed
                Investor.   Filed as Exhibit 10.1 to the Corporation’s Form
                8-K on November 28, 2007. Commission File No.
                001-04146.

            

    

    

    
      	
              10.176  

            	
              Pooling
                Agreement dated as of November 28, 2007 between Navistar Financial
                Retail
                Receivables Corporation, as Seller, and Navistar Financial 2007-C
                Owner
                Trust, as Issuer.  Filed as Exhibit 10.2 to the Corporation’s
                Form 8-K on November 28, 2007. Commission File No.
                001-04146.

            

    

    

    
      	
              10.177  

            	
              Indenture
                dated as of November 28, 2007, between Navistar Financial 2007-C
                Owner
                Trust, as Issuer, and The Bank of New York, as the Indenture
                Trustee.   Filed as Exhibit 10.3 to the Corporation’s Form
                8-K on November 28, 2007. Commission File No.
                001-04146.

            

    

    

    
      	
              10.178  

            	
              Trust
                Agreement, dated as of November 28, 2007, between Navistar Financial
                Retail Receivables Corporation, as Seller, and Deutsche Bank Trust
                Company
                Delaware, as Owner Trustee.   Filed as Exhibit 10.4 to the
                Corporation’s Form 8-K on November 28, 2007. Commission File No.
                001-04146.

            

    

    
      
        
        

      

      
        E-15

        
          

        

      

      
        
        

      

    

    

    
      	
              10.179  

            	
              Purchase
                Agreement, dated November 28, 2007, among Navistar Financial Retail
                Receivables Corporation, The Bank of New Your, as Indenture Trustee,
                Navistar Financial 2007-C Owner Trust, as Issuer, and Navistar Financial
                Corporation, as Servicer.  Filed as Exhibit 10.5 to the
                Corporation’s Form 8-K on November 28, 2007. Commission File No.
                001-04146.

            

    

    

    
      	
              10.180  

            	
              Servicing
                Agreement, dated November 28, 2007, among Navistar Financial Retail
                Receivables Corporation, The Bank of New Your, as Indenture Trustee,
                Navistar Financial 2007-C Owner Trust, as Issuer and Navistar Financial
                Corporation, as Servicer.  Filed as Exhibit 10.6 to the
                Corporation’s Form 8-K on November 28, 2007. Commission File No.
                001-04146.

            

    

    
      
        
        

      

      
        E-16

        
          

        

      

      
        
        

      

    

    

    The
      following documents of Navistar Financial Corporation are filed
      herewith:

    

    
      	
              10.103  

            	
              First
                Amendment to the Pooling and Servicing Agreement dated as of September
                12,
                1995, among the Corporation, as Servicer, Navistar Financial Securities
                Corporation, as Seller, and The Bank of New York, as Master Trust
                Trustee.

            

    

    

    
      	
              10.104  

            	
              Second
                Amendment to the Pooling and Servicing Agreement dated as of March
                27,
                1996, among the Corporation, as Servicer, Navistar Financial Securities
                Corporation, as Seller, and The Bank of New York, as Master Trust
                Trustee.

            

    

    

    
      	
              10.105  

            	
              Third
                Amendment to the Pooling and Servicing Agreement dated as of July
                17,
                1998, among the Corporation, as Servicer, Navistar Financial Securities
                Corporation, as Seller, and The Bank of New York, as Master Trust
                Trustee.

            

    

    

    
      	
              10.106  

            	
              Extension
                to the Certificate Purchase Agreement, dated as of January 25, 2001,
                among
                the Corporation, as Servicer, Navistar Financial Securities Corporation,
                as Seller, Receivables Capital Corporation, as the Conduit Purchaser,
                Bank
                of America, National Association, as a Committed
                Purchaser.

            

    

    

    
      	
              10.107  

            	
              Extension
                and Amendment to the Certificate Purchase Agreement, dated as of
                January
                23, 2002, among the Corporation, as Servicer, Navistar Financial
                Securities Corporation, as Seller, Receivables Capital Corporation,
                as the
                Conduit Purchaser, Bank of America, National Association, as a Committed
                Purchaser.

            

    

    

    
      	
              10.108  

            	
              First
                Amendment to Certificate Purchase Agreement, dated as of January
                27, 2003,
                among the Corporation, as Servicer, Navistar Financial Securities
                Corporation, as Seller, Receivables Capital Corporation, as the Conduit
                Purchaser, Bank of America, National Association, as Administrative
                Agent
                for the Purchasers, and as a Committed
                Purchaser.

            

    

    

    
      	
              10.109  

            	
              Extension
                to Amended and Restated Certificate Purchase Agreement, dated as
                of
                December 19, 2005, among the Corporation, as Servicer, Navistar Financial
                Securities Corporation, as Seller, Kitty Hawk Funding Corporation,
                as a
                Conduit Purchaser, Liberty Street Funding Corp., as a Conduit Purchaser,
                Bank of America, National Association, as Administrative Agent for
                the
                Purchasers, a Managing Agent, and as a Committed Purchaser and the
                Bank of
                Nova Scotia, as a Committed Purchaser and as a Managing
                Agent.

            

    

    

    
      	
              10.110  

            	
              Amendment,
                Waiver, and Extension to Amended and Restated Certificate Purchase
                Agreement, dated as of May 26, 2006, among the Corporation, as Servicer,
                Navistar Financial Securities Corporation, as Seller, Kitty Hawk
                Funding
                Corporation, as a Conduit Purchaser, Liberty Street Funding Corp.,
                as a
                Conduit Purchaser, Bank of America, National Association, as
                Administrative Agent for the Purchasers, a Managing Agent, and as
                a
                Committed Purchaser and the Bank of Nova Scotia, as a Committed Purchaser
                and as a Managing Agent.

            

    

    

    
      	
              10.111  

            	
              Amendment,
                Waiver, and Extension to Amended and Restated Certificate Purchase
                Agreement, dated as of January 31, 2007, among the Corporation, as
                Servicer, Navistar Financial Securities Corporation, as Seller, Kitty
                Hawk
                Funding Corporation, as a Conduit Purchaser, Liberty Street Funding
                Corp.,
                as a Conduit Purchaser, Bank of America, National Association, as
                Administrative Agent for the Purchasers, a Managing Agent, and as
                a
                Committed Purchaser and the Bank of Nova Scotia, as a Committed Purchaser
                and as a Managing Agent.

            

    

    
      
        
        

      

      
        E-17

        
          

        

      

      
        
        

      

    

    

    
      	
              10.112  

            	
              Receivables
                Purchase Agreement, dated as of April 8, 2004, among Truck Retail
                Accounts
                Corporation, as Seller, the Corporation, as Servicer, Bank One, NA,
                as
                Agent, and Jupiter Securitization Corporation, as
                Conduit.

            

    

    

    
      	
              10.113  

            	
              Receivables
                Sale Agreement, dated as of April 8, 2004, between the Corporation,
                as
                Transferor, and Truck Retail Accounts Corporation, as
                Transferee.

            

    

    

    
      	
              10.114  

            	
              Waiver
                No. 1 to Receivables Purchase Agreement, dated as of January 28,
                2005,
                among Truck Retail Accounts Corporation, as Seller, the Corporation,
                as
                initial Servicer, Bank One, NA, as Agent, and Jupiter Securitization
                Corporation, as Conduit.

            

    

    

    
      	
              10.115  

            	
              Waiver
                No. 2 to Receivables Purchase Agreement, dated as of March 14, 2005,
                among
                Truck Retail Accounts Corporation, as Seller, the Corporation, as
                initial
                Servicer, Bank One, NA, as Agent, and Jupiter Securitization Corporation,
                as Conduit.

            

    

    

    
      	
              10.116  

            	
              Waiver
                No. 3 to Receivables Purchase Agreement, dated as of April 14, 2005,
                among
                Truck Retail Accounts Corporation, as Seller, the Corporation, as
                initial
                Servicer, JP Morgan Chase Bank, N.A.(successor by merger to Bank
                One, NA),
                as Agent, and Jupiter Securitization Corporation, as
                Conduit.

            

    

    

    
      	
              10.117  

            	
              Waiver
                No. 4 to Receivables Purchase Agreement, dated as of July 20, 2005,
                among
                Truck Retail Accounts Corporation, as Seller, the Corporation, as
                initial
                Servicer, JP Morgan Chase Bank, N.A.(successor by merger to Bank
                One, NA),
                as Agent, and Jupiter Securitization Corporation, as
                Conduit.

            

    

    

    
      	
              10.118  

            	
              Waiver
                No. 5 to Receivables Purchase Agreement, dated as of January 17,
                2006,
                among Truck Retail Accounts Corporation, as Seller, the Corporation,
                as
                initial Servicer, JP Morgan Chase Bank, N.A.(successor by merger
                to Bank
                One, NA), as Agent, and Jupiter Securitization Corporation, as
                Conduit.

            

    

    

    
      	
              10.119  

            	
              Waiver
                No. 6 to Receivables Purchase Agreement, dated as of March 21, 2006,
                among
                Truck Retail Accounts Corporation, as Seller, the Corporation, as
                initial
                Servicer, JP Morgan Chase Bank, N.A.(successor by merger to Bank
                One, NA),
                as Agent, and Jupiter Securitization Corporation, as
                Conduit.

            

    

    

    
      	
              10.120  

            	
              Waiver
                No. 7 to Receivables Purchase Agreement, dated as of January 31,
                2007,
                among Truck Retail Accounts Corporation, as Seller, the Corporation,
                as
                initial Servicer, JP Morgan Chase Bank, N.A.(successor by merger
                to Bank
                One, NA), as Agent, and Jupiter Securitization Corporation, as
                Conduit.

            

    

    

    
      	
              10.121  

            	
              Waiver
                No. 1 to Receivables Sale Agreement, dated as of March 21, 2006,
                among the
                Corporation, as Transferor and Truck Retail Accounts Corporation,
                as
                Transferee.

            

    

    

    
      	
              10.122  

            	
              Waiver
                No. 2 to Receivables Sale Agreement, dated as of January 31, 2007,
                among
                the Corporation, as Transferor and Truck Retail Accounts Corporation,
                as
                Transferee.

            

    

    

    
      	
              10.123  

            	
              Amendment
                No. 1 to Receivables Purchase Agreement, dated as of March 31, 2005,
                among
                Truck Retail Accounts Corporation, as Seller, the Corporation, as
                initial
                Servicer, Bank One, NA, as Agent, and Jupiter Securitization Corporation,
                as Conduit.

            

    

    
      
        
        

      

      
        E-18

        
          

        

      

      
        
        

      

    

    
      	
              10.124  

            	
              Amendment
                No. 2 to Receivables Purchase Agreement, dated as of August 14, 2005,
                among Truck Retail Accounts Corporation, as Seller, the Corporation,
                as
                initial Servicer, JP Morgan Chase Bank, N.A.(successor by merger
                to Bank
                One, NA), as Agent, and Jupiter Securitization Corporation, as
                Conduit.

            

    

    

    
      	
              10.125  

            	
              Amendment
                No. 3 to Receivables Purchase Agreement, dated as of August 11, 2006,
                among Truck Retail Accounts Corporation, as Seller, the Corporation,
                as
                initial Servicer, JP Morgan Chase Bank, N.A.(successor by merger
                to Bank
                One, NA), as Agent, and Jupiter Securitization Corporation, as
                Conduit.

            

    

    

    
      	
              10.126  

            	
              Amendment
                No. 1 to the Pooling Agreement, dated as of January 31, 2007, among
                Navistar Financial Retail Receivables Corporation (the “Seller”),
                and
                Navistar Financial 2006-ARC Owner Trust, as
                Issuer.

            

    

    

    
      	
              10.127  

            	
              Amendment
                No.1 to the Pooling Agreement, dated as of May 31, 2007, among Navistar
                Financial Retail Receivables Corporation (the “Seller”), and Navistar
                Financial 2006-RBC Owner Trust, as
                Issuer.

            

    

    

    
      	
              10.128  

            	
              Amendment
                No. 4 dated August 10, 2007 to the Receivables Purchase Agreement,
                dated
                as of April 8, 2004, among Truck Retail Accounts Corporation, as
                Seller,
                the Corporation, as Servicer, JP Morgan Chase Bank, N.A. (successor
                by
                merger to Bank One, NA), as Agent, and Jupiter Securitization Corporation,
                as Conduit.

            

    

    

    
      	
              10.129  

            	
              Not
                used

            

    

    

    
      	
              10.130  

            	
              Waiver
                dated January 31, 2007 to (i) the Indenture dated as of September
                1, 2006
                between Navistar Financial 2006-ARC Owner Trust, a Delaware statutory
                trust, and LaSalle Bank National Association, a national banking
                association, as Indenture Trustee, (ii) the Note Purchase Agreement
                dated
                as of September 1, 2006, among Navistar Financial Retail Receivables
                Corporation, as Seller, Navistar Financial Corporation, Amsterdam
                Funding
                Corporation, as a Conduit Investor, and ABN AMRO Bank, N.V., as Funding
                Agent and an Alternate Investor, (iii) the Servicing Agreement dated
                as of
                September 1, 2006, among Navistar Leasing Company, Harco Leasing
                Company,
                Inc., Navistar Financial Retail Receivables Corporation, The Bank
                of New
                York Trust Company, N.A., as Collateral Agent, JP Morgan Trust Company,
                National Association, (as successor-in-interest to Bank One, National
                Association), as Portfolio Trustee, Navistar Financial 2006-ARC Owner
                Trust, as Issuer, NFC, as Servicer, and LaSalle Bank, National
                Association, as Indenture Trustee, and (iv) the ISDA Master Agreement
                dated as of September 1, 2006 between LaSalle Bank National Association
                and Navistar Financial
                Corporation..

            

    

    

    
      	
              10.131  

            	
              Waiver
                dated January 31, 2007 to the Receivables Purchase Agreement, dated
                as of
                July 30, 2004, between Navistar Financial Retail Receivables Corporation,
                as Seller, the Corporation, as Servicer, Thunder Bay Funding, LLC,
                as
                Company, and Royal Bank of Canada, as
                Agent.

            

    

    

    
      	
              10.132  

            	
              Amendment
                dated October 31, 2006 to the Amended and Restated Certificate Purchase
                Agreement, dated as of December 27, 2004, among Corporation, as Servicer,
                Navistar Financial Securities Corporation, as Seller, Kitty Hawk
                Funding
                Corporation, as a Conduit Purchaser, Liberty Street Funding Corp.,
                as a
                Conduit Purchaser, Bank of America, National Association, as
                Administrative Agent for the Purchasers, a Managing Agent, and as
                a
                Committed Purchaser and the Bank of Nova Scotia, as a Committed Purchaser
                and as a Managing Agent.

            

    

    
      
        
        

      

      
        E-19

        
          

        

      

      
        
        

      

    

    

    
      	
              10.133  

            	
              Amendment,
                waiver and extension dated March 24, 2006 to the Amended and Restated
                Certificate Purchase Agreement, dated as of December 27, 2004, among
                Corporation, as Servicer, Navistar Financial Securities Corporation,
                as
                Seller, Kitty Hawk Funding Corporation, as a Conduit Purchaser, Liberty
                Street Funding Corp., as a Conduit Purchaser, Bank of America, National
                Association, as Administrative Agent for the Purchasers, a Managing
                Agent,
                and as a Committed Purchaser and the Bank of Nova Scotia, as a Committed
                Purchaser and as a Managing Agent.

            

    

    

    
      	
              10.134  

            	
               Extension
                dated February 20, 2004 to the Certificate Purchase Agreement, dated
                as of
                January 28, 2000, among the Corporation, as Servicer, Navistar Financial
                Securities Corporation, as Seller, Kitty Hawk Funding Corporation,
                as
                conduit purchaser and assignee of Receivables Capital Corporation,
                and
                Bank of America, National Association, as Administrative Agent for
                the
                Purchasers, and as a Committed
                Purchaser.

            

    

    

    
      	
              10.135  

            	
              Amendment
                No. 5 dated August 15, 2007 to the Receivables Purchase Agreement,
                dated
                as of April 8, 2004, among Truck Retail Accounts Corporation, as
                Seller,
                the Corporation, as Servicer, JP Morgan Chase Bank, N.A. (successor
                by
                merger to Bank One, NA), as Agent, Jupiter Securitization Company,
                LLC,
                and JS Siloed Trust, as Trust.

            

    

    

    
      	
              10.136  

            	
              Waiver
                dated January 31, 2007 to the Receivables Purchase Agreement, dated
                as of
                April 29, 2005, between Navistar Financial Retail Receivables Corporation,
                as Seller, the Corporation, as Servicer, Thunder Bay Funding, LLC,
                as
                Company, and Royal Bank of Canada, as
                Agent.

            

    

    

    
      	
              10.137  

            	
              Waiver
                dated March 31, 2007 to (i) the Note Purchase Agreement, dated as
                of
                October 20, 2006, among Navistar Financial Retail Receivables Corporation,
                as Seller, Navistar Financial Corporation, individually and as Servicer,
                Thunder Bay Funding, LLC., as Conduit Investor, and Royal Bank of
                Canada,
                as Agent and (ii) the Servicing Agreement, dated as of October 20,
                2006,
                among Navistar Financial Retail Receivables, Navistar Financial 2006-RBC
                Owner Trust, as issuer, Navistar Financial Corporation, as Servicer,
                and
                The Bank of New York, as Indenture
                Trustee.

            

    

    

    
      	
              10.138  

            	
              First
                Amended Control Agreement, dated as of February 20, 2007, among Truck
                Retail Accounts Corporation, as Seller, the Corporation, as Servicer,
                JP
                Morgan Chase Banks N.A. (successor by merger to Bank One, N.A.),
                as Agent,
                and The Bank of New York (successor to JP Morgan Chase Bank, N.A.),
                as
                Securities Intermediary.

            

    

    

    
      	
              10.139  

            	
              Amendment
                dated January 31, 2007 to the Note Purchase Agreement, dated as of
                February 27, 2006, among Navistar Financial Retail Receivables
                Corporation, as Seller, the Corporation, as Servicer, Kitty Hawk
                Funding
                Corporation, as Conduit Investor, and Bank of America, National
                Association, as Agent.

            

    

    

    
      	
              10.140  

            	
              Waiver
                dated January 8, 2007 to the Master Purchase Agreement, dated as
                of June
                30, 2004, among International Truck Leasing Corp. and Banc of America
                Leasing & Capital LLC.

            

    

    

    
      	
              10.144  

            	
              Series
                1997-1 Supplement dated as of August 19, 1997, to the Pooling and
                Servicing Agreement dated June 8, 1995, among the Corporation, as
                Servicer, Navistar Financial Securities Corporation, as Seller, and
                The Bank of New York, as Master Trust
                Trustee.

            

    

    

    
      	
              10.145  

            	
              Amendment
                No. 1, dated March 27, 1996, to the Series 1995-1 Supplement to the
                Pooling and Servicing Agreement dated June 8, 1995, among the Corporation,
                as Servicer, Navistar Financial Securities Corporation, as Seller,
                Chemical Bank, as 1990 Trust Trustee, and The Bank of New York, as
                Master
                Trust Trustee.

            

    

    

    
      	
              10.146  

            	
              Amendment
                No. 2, dated August 19, 1997, to Series 1995-1 Supplement to the
                Pooling
                and Servicing Agreement dated June 8, 1995, among the Corporation,
                as
                Servicer, Navistar Financial Securities Corporation, as Seller, and
                The
                Bank of New York, as Master Trust
                Trustee.

            

    

    
      
        
        

      

      
        E-20

        
          

        

      

      
        
        

      

    

    

    
      	
              10.147  

            	
              Amended
                and Restated Certificate Purchase Agreement dated as of October 23,
                2007
                to the amended and restated Certificate dated December 27,
                2004  between Navistar Financial Securities Corporation, as
                Seller and Navistar Financial Corporation, as Servicer,
                Kitty Hawk
                Funding Corporation, as a Conduit Purchaser, Liberty Street Funding
                Corp.,
                as a Conduit Purchaser, Bank of America, National Association, as
                Administrative Agent for the Purchasers, a Managing Agent, and as
                a
                Committed Purchaser and the Bank of Nova Scotia, as a Committed Purchaser
                and as a Managing Agent.

            

    

    

    
      	
              10.148  

            	
              Amended
                and Restated Fee Letter dated October 23, 2007, to the Restated Fee
                Letter
                dated May 26, 2006 amended and restated Certificate Purchase Agreement
                dated December 27, 2004 between Navistar Financial Securities Corporation,
                as Seller, Navistar Financial Corporation, as Servicer, Bank of America,
                National Association and The Bank of Nova Scotia, Kitty Hawk Funding
                Corporation, as a Conduit Purchaser, Liberty Street Funding LLC,
                as a
                Conduit Purchaser, The Bank of Nova Scotia, as a Managing Agent and
                as a
                Committed Purchaser, Bank of America, National Association, as
                Administrative Agent, and Bank of America, National Association,
                as a
                Committed Purchaser and a Managing
                Agent.

            

    

    

    
      	
              10.149  

            	
              Amendment
                No. 2 dated October 25, 2007 to the Series 2000-VFC Supplement to
                the
                Pooling and Servicing Agreement dated January 28, 2000, among Navistar
                Financial Securities Corporation, as Seller, Navistar Financial
                Corporation, as Servicer, The Bank of New York, a New York banking
                corporation, as Master Trust
                Trustee.

            

    

    

    
      	
              10.150  

            	
              Waiver
                No.
                8 dated as of October 23, 2007 to the Receivables Purchase
                Agreement dated as of April 8, 2004 among Truck Retail Accounts
                Corporation, as Seller, Navistar
                Financial Corporation, as initial Servicer, 
                JS Siloed Trust as assignee of Jupiter Securitization Company LLC,
                and JPMorgan Chase Bank, N.A. (successor by merger to Bank
                One,
                NA), as agent.

            

    

    

    
      	
              10.151  

            	
              Waiver
                No. 3 dated as of October 23, 2007 to the Receivables Sale Agreement
                dated
                as of April 8, 2004 among Navistar Financial Corporation, a Delaware
                corporation,
as
                Transferor, and Truck Retail Accounts Corporation, as
                Transferee.

            

    

    

    
      	
              10.152  

            	
              Waiver
                dated October 23, 2007 to the Receivables Purchase Agreement, dated
                as of
                July 30, 2004 among Navistar Financial Retail Receivables Corporation,
                as
                Seller, Navistar Financial Corporation, as Servicer, Thunder Bay
                Funding,
                LLC, as Company, and Royal Bank of Canada, as
                Agent.

            

    

    

    
      	
              10.153  

            	
              Waiver
                dated October 23, 2007 to the Receivables Purchase Agreement, dated
                as of
                April 29, 2005 among Navistar Financial Retail Receivables Corporation,
                as
                Seller, Navistar Financial Corporation, as Servicer, Thunder Bay
                Funding,
                LLC, as Company, and Royal Bank of Canada, as
                Agent.

            

    

    

    
      	
              10.154  

            	
              Waiver
                dated October 23, 2007 to (i) the indenture dated as of September
                1, 2006
                between Navistar Financial 2006-ARC Owner Trust, a Delaware statutory
                trust, and LaSalle Bank National Association, a national banking
                association, as indenture trustee (ii) the Note Purchase Agreement
                dated
                as of September 1, 2006, among Navistar Financial Retail Receivables
                Corporation, as the Seller, Navistar Financial Corporation , Amsterdam
                Funding Corporation, as a Conduit Investor, and ABN AMRO Bank, N.V.,
                as
                Funding Agent and an Alternate Investor, (iii) the Servicing Agreement
                dated as of September 1, 2006 (the “Servicing
                Agreement”), among Navistar Leasing Company, Harco Leasing Company,
                Inc., Navistar Financial Retail Receivables Corporation, The Bank
                of New
                York Trust Company, N.A., as Collateral Agent, JP Morgan Trust Company,
                National Association (as successor-in-interest to Bank One, National
                Association), as Portfolio Trustee, Navistar Financial 2006-ARC Owner
                Trust, as Issuer, Navistar Financial Corporation, as Servicer, and
                LaSalle
                Bank, National Association, as Indenture Trustee, and (iv) the ISDA
                Master
                Agreement dated as of September 1, 2006 between LaSalle Bank National
                Association (in such capacity, the “Swap
                Counterparty”) and Navistar Financial
                Corporation..

            

    

    
      
        
        

      

      
        E-21

        
          

        

      

      
        
        

      

    

    

    
      	
              10.155  

            	
              Waiver
                dated October 23, 2007 to (i) the Note Purchase Agreement, dated
                as of
                October 20, 2006 among Navistar Financial Retail Receivables Corporation,
                as Seller, Navistar Financial Corporation, individually and as Servicer,
                Thunder Bay Funding, LLC, as Conduit Investor, and Royal Bank of
                Canada,
                as Agent and (ii) the Servicing Agreement, dated as of October 20,
                2006,
                among Navistar Financial Retail Receivables Corporation, Navistar
                Financial 2006-RBC Owner Trust, as Issuer, Navistar Financial Corporation
                , as Servicer, and The Bank of New York, as Indenture
                Trustee.

            

    

    

    
      	
              10.156  

            	
              Waiver
                dated October 23, 2007 to (i) the Note Purchase Agreement dated as
                of June
                22, 2007 among Navistar Financial Retail Receivables Corporation,
                as
                Seller, Navistar Financial Corporation, individually and as Servicer,
                Liberty Street Funding, LLC, as the Conduit Investor, and The Bank
                of Nova
                Scotia, as Agent for the Investors, and (ii) the Servicing Agreement,
                dated as of June_22, 2007, among Navistar Financial Retail Receivables
                Corporation, Navistar Financial 2007-BNS Owner Trust, as Issuer,
                Navistar
                Financial, as Servicer, and The Bank of New York, as Indenture
                Trustee.

            

    

    

    
      	
              10.157  

            	
              Amendment
                to Note Purchase Agreement dated as of October 23, 2007, between
                Navistar
                Financial Retail Receivables Corporation,
                as Seller,
                Navistar Financial Corporation, as Servicer, Kitty Hawk Funding
                Corporation, as a Conduit Investor, and Bank of America, National
                Association, as Agent, the Administrator and an Alternate
                Investor.

            

    

    

    
      	
              10.158  

            	
              Waiver
                dated October 22, 2007 to the Master Purchase Agreement dated as
                of June
                30, 2004 among Banc of America Leasing & Capital LLC and International
                Truck Leasing Corp.

            

    

    

    
      	
              10.159  

            	
              Waiver
                dated October 23, 2007 to (i) the Note Purchase Agreement, dated
                as of
                February 16, 2007 among Navistar Financial Retail Receivables Corporation,
                as Seller, Navistar Financial Corporation, individually and as Servicer,
                Falcon Asset Securitization Company, LLC, and Park Avenue Receivables
                Company, LLC, as the Conduit Investor, and JP Morgan Chase Bank,
                as Agent
                for the Investors and (ii) the Servicing Agreement, dated as of February
                16, 2007, among NFRRC, Navistar Financial 2007-JPM Owner Trust, as
                Issuer,
                Navistar Financial Corporation, as Servicer, and The Bank of New
                York, as
                Indenture Trustee.

            

    

    

    10.160
      thru 10.169  Not used

     

     

    
      
        
        

      

      
        E-22

Source: [{"source": "alea-institute/alea-institute/kl3m-data-edgar-agreements/train-00133-of-00352.parquet"}, [{"source": "alea-institute/alea-institute/kl3m-data-edgar-agreements/train-00133-of-00352.parquet"}]]