Bookkeeping & Month-End Support
Transaction coding, bank reconciliation, schedules, month-end close support and working file preparation for review by your team.
Chenxing Global helps CPA / CA firms, accounting firms and bookkeeping companies in the United States reduce back-office workload, prepare review-ready accounting and audit documentation, and build scalable offshore delivery capacity while keeping final review, approval and client responsibility with the US firm.
Many CPA / CA firms, accounting firms and bookkeeping companies face recurring capacity pressure during monthly close, tax season, audit preparation and client documentation cycles. Chenxing Global provides structured offshore execution support so your internal professionals can focus on client communication, technical review and sign-off.
Transaction coding, bank reconciliation, schedules, month-end close support and working file preparation for review by your team.
PBC file organization, supporting schedules, audit documentation packs, lead schedules and review-ready workpaper preparation.
Tax file organization, source document review, supporting schedules, entity document packages and cross-border record preparation.
Bank, AR, AP, payroll, fixed asset and intercompany reconciliation files prepared in a consistent format for local team review.
Document classification, file naming, checklist preparation and structured folder setup for accounting, audit and tax workflows.
Dedicated or project-based offshore support capacity for recurring monthly work, seasonal workload peaks and special documentation projects.
Chenxing Global does not replace the CPA firm’s local professional judgment, client relationship or statutory responsibility. We support the preparation of working files, schedules and documentation for your team to review and approve.
To prepare a practical offshore delivery plan, please share your firm type, service area, estimated monthly workload, file type, deadline, preferred review format and whether you need ongoing monthly support or project-based support.
Explore our broader finance and accounting support model.
View Finance SupportReview dedicated offshore audit documentation support.
View Audit SupportExplore tax file and documentation support for advisory teams.
View Tax SupportSend us your workload details and we will help structure a practical accounting, audit documentation or tax support workflow for your team.
Chenxing Global supports accounting firms, CPA / CA firms, bookkeeping companies, outsourced bookkeeping providers and small to mid-sized businesses across developed markets with white-label back-office bookkeeping delivery.
Our bookkeeping support covers transaction coding, bank reconciliation, accounts payable and receivable documentation, monthly bookkeeping files, payroll documentation support, month-end schedules and management reporting preparation.
We can work behind the client’s brand as a white-label delivery team for bookkeeping firms, or provide structured back-office bookkeeping support for small and mid-sized businesses that need reliable remote finance operations.
Chenxing Global works as a back-office delivery partner. We do not replace local licensed accountants, tax agents, auditors or statutory representatives. Final review, filing, client advice and sign-off remain with the client-side professional firm or local responsible team.
Chenxing Global provides white-label offshore support across finance, audit, tax documentation, cost engineering and Japan-related coordination.
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