v3.26.1
Other Non-current Assets, net (Tables)
12 Months Ended
Dec. 31, 2025
Other Non-current Assets, net  
Schedule 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.