v3.26.1
Schedule Of Variable Interest Entities (Details)
¥ in Thousands, $ in Thousands
12 Months Ended
Dec. 31, 2025
USD ($)
Dec. 31, 2025
CNY (¥)
Dec. 31, 2024
CNY (¥)
Dec. 31, 2023
CNY (¥)
Dec. 31, 2025
CNY (¥)
Current assets:          
Cash and cash equivalents $ 93,700   ¥ 441,858 ¥ 494,965 ¥ 655,100
Restricted cash 693   11,305   4,800
Accounts receivable, net 139   1,082   972
Prepayments and other current assets 7,105   35,106   49,683
Total current assets 101,609   489,351   710,557
Non-current assets:          
Property, equipment and leasehold improvement, net 1,726   16,491   12,070
Right-of-use assets, net 126   1,176   879
Total non-current assets 5,586   32,089   39,057
TOTAL ASSETS 107,195   521,440   749,614
Current liabilities:          
Accounts payable 8,401   39,379   58,751
Salary and welfare payable 25,199   131,186   176,216
Lease liabilities due within one year 2,090   8,240   14,619
Accrued expenses and other current liabilities     78,491   68,327
Total current liabilities 52,246   302,711   365,356
Non-current liabilities:          
Lease liabilities 1,425   4,424   9,962
Total non-current liabilities 1,425   4,424   9,962
TOTAL LIABILITIES 53,671   307,135   375,318
Revenues   ¥ 3,102,754 2,031,806 2,071,772  
Net cash generated from/ (used in) operating activities 40,044 280,000 (26,469) (117,045)  
Net cash (used in)/ generated from investing activities (544) (3,801) (11,974) 105,653  
Net cash (used in)/generated from financing activities $ (9,466) (66,201) (2,994) (71,674)  
Variable Interest Entity, Primary Beneficiary [Member]          
Current assets:          
Cash and cash equivalents     187,693   280,856
Restricted cash     1,733   2,151
Accounts receivable, net     482   432
Prepayments and other current assets     18,006   29,135
Amount due from the subsidiaries of the Group     ¥ 67,916   ¥ 209,221
Other Receivable, after Allowance for Credit Loss, Current, Related Party [Extensible Enumeration] Amount due from the subsidiaries of the Group   Amount due from the subsidiaries of the Group   Amount due from the subsidiaries of the Group
Total current assets     ¥ 275,830   ¥ 521,795
Non-current assets:          
Property, equipment and leasehold improvement, net     6,996   6,335
Intangible assets, net     1,049   528
Right-of-use assets, net     623   9,074
Total non-current assets     8,668   15,937
TOTAL ASSETS     284,498   537,732
Current liabilities:          
Accounts payable     38,185   57,749
Deferred revenue     29,318   35,705
Salary and welfare payable     104,247   143,105
Taxes payable     5,002   6,097
Lease liabilities due within one year     235   4,661
Accrued expenses and other current liabilities     70,722   63,853
Amount due to the subsidiaries of the Group     ¥ 463,809   ¥ 388,068
Other Liability, Current, Related Party [Extensible Enumeration] Amount due to the subsidiaries of the Group   Amount due to the subsidiaries of the Group   Amount due to the subsidiaries of the Group
Total current liabilities     ¥ 711,518   ¥ 699,238
Non-current liabilities:          
Lease liabilities     385   4,514
Total non-current liabilities     385   4,514
TOTAL LIABILITIES     711,903   ¥ 703,752
Revenues   3,063,542 2,026,664 2,069,491  
Net Income (Loss)   261,385 (56,416) (23,554)  
Net cash generated from/ (used in) operating activities   299,237 (15,009) (25,170)  
Net cash (used in)/ generated from investing activities   (1,968) (699) (2,181)  
Net cash (used in)/generated from financing activities   (210,567) 36,440 (106,058)  
Net increase/(decrease) in cash, cash equivalents and restricted cash   ¥ 86,702 ¥ 20,732 ¥ (133,409)