Bookkeeping Firm Support
Monthly transaction records organized for a bookkeeping provider, including bank reconciliation support, AP/AR documentation and month-end schedules.
Read case study →Anonymous delivery examples showing how Chenxing Global supports accounting firms, bookkeeping companies, audit practices, tax advisory firms, QS teams, cost engineering consultants and SMEs with controlled offshore workflows.
Monthly transaction records organized for a bookkeeping provider, including bank reconciliation support, AP/AR documentation and month-end schedules.
Read case study →Reduced document preparation pressure for an audit practice by organizing PBC files, reconciliation schedules and review-ready working paper support.
Read case study →Supported a QS / cost consulting team with quantity take-off checks, BOQ documentation and cost estimate preparation during a tender deadline.
Read case study →Send one bookkeeping file, audit documentation pack, tax documentation task or BOQ / cost estimate file. We will help define a controlled offshore workflow.
Discuss a Pilot TaskThese examples are anonymized to protect client confidentiality. They are designed to show typical support scenarios, workflow structure, compliance boundaries and pilot-task logic. Chenxing Global works as a back-office delivery partner. Final review, client advice, filing, signing and statutory responsibility remain with the client-side professional team.
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