As of
December 31, 2025
June 30, 2026
RMB
US$
(Audited)
(Unaudited)
Prepaid service fee
6,692
7,719
1,137
VAT and other surcharges
2,590
2,798
412
Deferred offering expenses
1,748
1,424
210
Office rental deposit
467
601
89
Other deposits
1,152
1,450
214
Contract assets
479
430
63
Prepaid media cost
972
221
33
Receivables from sales of shares on behalf of employees
15
168
25
Others
1,191
1,275
186
Total prepayments and other current assets
15,306
16,086
2,369
No definition available.
Tabular disclosure of the carrying amounts of other current assets.