7. | Other Non-current Assets, net |
The following is a summary of other non-current assets, net: | | | | | | | December 31, 2024 | | December 31, 2025 | | | RMB | | RMB | Interest-free loans to staff (i) | | 15,413 | | 16,073 | Less: allowance for credit losses | | (489) | | (466) | Interest-free loans to staff, net | | 14,924 | | 15,607 | | | | | | Prepaid staff compensation (ii) | | 2,687 | | 2,027 | Prepayments for assets acquisition (Note 21) | | — | | 6,900 | Others | | — | | 262 | Total other non-current assets, net | | 17,611 | | 24,796 |
(i) | Amount represents the present value of interest-free loans with a principal amount of RMB18.1 million, which was drawn down in December 2023. The principal will be due upon maturity of 5 years. |
(ii) | Prepaid staff compensation represents the interest free discount related to the above interest-free loans to staff. |
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