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CONSOLIDATED BALANCE SHEETS
Jun. 30, 2025
CNY (¥)
Jun. 30, 2025
USD ($)
Jun. 30, 2024
CNY (¥)
Current assets      
Cash ¥ 98,874,577 $ 13,802,361 ¥ 109,991,674
Restricted cash 8,204 1,147 848,936
Short-term investments 3,600,000 500,000 88,091,794
Notes receivable 0   1,341,820
Accounts receivable, net 35,852,484 5,004,814 38,631,762
Inventories, net 1,344,588 187,697 1,128,912
Loans to third parties-short term 141,564,073 19,761,583 208,928,370
Purchase advances, net 14,619,556 2,040,811 5,156,550
Contract costs, net 53,547,408 7,474,930 48,335,817
Prepaid expenses 389,216 54,330 401,586
Deferred offering cost 2,529,724 400,000  
Total Current Assets 356,157,898 49,717,727 506,485,249
Property and equipment, net 19,986,635 2,790,027 22,137,940
Construction in progress 12,000,900 1,675,261 219,132
Loans to third parties-long term 118,500,000 16,541,962  
Operating lease right-of-use assets, net (including ¥1,769,840 and ¥696,851($97,277) from a related party as of June 30, 2024 and June 30, 2025, respectively) 18,975,692 2,648,904 23,547,193
Total Assets 525,621,125 73,373,881 552,389,514
Current liabilities      
Short-term bank loans 11,582,336 1,616,832 12,425,959
Accounts payable 19,398,669 2,707,950 10,187,518
Contract liabilities 4,719,255 658,783 1,820,481
Accrued payroll and employees' welfare 3,212,227 448,410 3,237,164
Taxes payable 795,629 111,066 993,365
Short-term borrowings - related parties 10,017,250 1,398,354 10,002,875
Operating lease liabilities - current (including ¥1,775,114 and ¥355,601 ($49,640) from related parties as of June 30, 2024 and June 30, 2025, respectively) 1,761,231 245,858 3,741,247
Total Current Liabilities 60,568,863 8,455,088 47,477,363
Operating lease liabilities - non-current (including ¥335,976 and nil from related parties as of June 30, 2024 and June 30, 2025, respectively) 1,081,827 151,017 3,971,285
Long-term borrowings - related party 10,000,000 1,395,946 10,000,000
Warrant liability - non-current 688 96 6,969
Total Liabilities 71,651,378 10,002,147 61,455,617
Commitments and Contingencies
Shareholders' Equity      
Additional paid-in capital [1] 692,569,747 96,679,009 681,476,717
Statutory reserve 4,148,929 579,168 4,148,929
Accumulated deficit (262,900,639) (36,699,514) (220,312,085)
Accumulated other comprehensive income 33,493,895 4,675,567 37,136,649
Total Recon Technology, Ltd' equity 467,427,518 65,250,366 502,554,537
Non-controlling interests (13,457,771) (1,878,632) (11,620,640)
Total shareholders' equity 453,969,747 63,371,734 490,933,897
Total Liabilities and Shareholders' Equity 525,621,125 73,373,881 552,389,514
Class A ordinary shares      
Shareholders' Equity      
Common stock value 101,548 14,176 99,634
Class B ordinary shares      
Shareholders' Equity      
Common stock value 14,038 1,960 4,693
Related Parties      
Current assets      
Other receivables, net 67,976 9,489 275,976
Operating lease right-of-use assets, net (including ¥1,769,840 and ¥696,851($97,277) from a related party as of June 30, 2024 and June 30, 2025, respectively) 696,851 97,277 1,769,840
Current liabilities      
Other payables 2,927,377 408,646 2,299,069
Contract liabilities 4,719,255 658,783 1,820,481
Operating lease liabilities - current (including ¥1,775,114 and ¥355,601 ($49,640) from related parties as of June 30, 2024 and June 30, 2025, respectively) 355,601 49,640 1,775,114
Operating lease liabilities - non-current (including ¥335,976 and nil from related parties as of June 30, 2024 and June 30, 2025, respectively) 0   335,976
Third Parties      
Current assets      
Accounts receivable, net 35,852,484 5,004,814 38,631,762
Other receivables, net 3,760,881 524,999 3,352,052
Current liabilities      
Other payables ¥ 6,154,889 $ 859,189 ¥ 2,769,685
[1] Retrospectively restated for the 1-for-18 reverse stock split on May 1, 2024 and change in capital structure on March 29, 2024.