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Organization and Principal Activities (Details) - Schedule of Consolidated Financial Information - VIE [Member] - CNY (¥)
¥ in Thousands
12 Months Ended
Jun. 30, 2024
Jun. 30, 2023
Jun. 30, 2022
Current assets:      
Cash and cash equivalents ¥ 311,071 ¥ 422,076  
Short-term investments 50,213  
Accounts receivable, net 16,083 12,203  
Amounts due from related parties 4,488 29,116  
Amounts due from intra-Group companies 149,820  
Inventory, net 6  
Prepayments and other current assets 180,818 123,734  
Total current assets 662,286 637,342  
Property and equipment, net 1,330 2,646  
Operating lease right-of-use assets 26,848 41,654  
Deferred tax assets 847 2,084  
Other non-current assets 10,945 12,347  
Total non-current assets 39,970 58,731  
TOTAL ASSETS 702,256 696,073  
Accounts payables 61,888 62,094  
Accrued expenses and other current liabilities 151,918 124,532  
Amounts due to intra-Group companies 32,714 17,000  
Income tax payable 9,642 8,794  
Contract liabilities, current portion 380,548 517,213  
Advance from customers 159,806 144,397  
Operating lease liabilities, current portion 23,782 21,425  
Total current liabilities 820,298 895,455  
Contract liabilities, non-current portion 11,365 7  
Operating lease liabilities, non-current portion 6,317 23,786  
Total non-current liabilities 17,682 23,793  
TOTAL LIABILITIES 837,980 919,248  
Revenues:      
Total revenues 3,786,570 3,081,334 ¥ 2,867,218
Cost of revenues and operating expenses      
Total cost of revenues and operating expenses (3,725,757) (3,093,461) (2,806,425)
Net (loss)/income 69,773 (15,092) 62,712
Cash flows from operating activities:      
Net cash provided by transactions with third parties 644,984 548,728 495,719
Net cash used in transactions with intra-Group companies related to technical consulting and related service under VIE Contractual Agreements (713,732) (415,703) (239,597)
Net cash provided by operating activities (68,748) 133,025 256,122
Cash flows from investing activities:      
Net cash (used in)/provided by transactions with third parties 56,305 9,786 (31,836)
Net cash (used in)/provided by transactions with related parties 24,386 (5,912)
Net cash (used in)/provided by transactions with intra-Group companies* [1] (141,984) 155,960 (155,960)
Net cash (used in)/provided by investing activities (85,679) 190,132 (193,708)
Cash flows from financing activities:      
Net cash provided by/(used in) transactions with Predecessors (3,691)
Net cash used in transactions with third parties (2,250) (1,530)
Net cash provided by/ (used in) transactions with intra-Group companies 45,672 17,000
Net cash provided by/ (used in) financing activities 43,422 15,470 (3,691)
- earned from third-party customers [Member]      
Revenues:      
Total revenues 3,752,463 2,933,413 2,822,508
- earned from a related party [Member]      
Revenues:      
Total revenues 34,107 147,921 44,710
- arising from non intra-Group transactions [Member]      
Cost of revenues and operating expenses      
Total cost of revenues and operating expenses (3,052,384) (2,701,287) (2,576,144)
- arising from the intra-Group technical consulting and related service under VIE Contractual Agreements [Member]      
Cost of revenues and operating expenses      
Total cost of revenues and operating expenses ¥ (673,373) ¥ (392,174) ¥ (230,281)
[1] During the year ended June 30, 2022, the VIEs transferred RMB155,960 of its excess cash to the WFOEs for cash management purpose, which have been fully collected during the year ended June 30, 2023. During the year ended June 30, 2024, the VIEs transferred RMB141,984 of its excess cash to certain subsidiaries to support their business.