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Correction of errors (Details 2) - CNY (¥)
¥ in Thousands
12 Months Ended
Dec. 31, 2020
Dec. 31, 2019
Dec. 31, 2018
Dec. 31, 2017
Dec. 31, 2016
Statement [Line Items]          
Profit beore income tax ¥ 19,854 ¥ 58,616 ¥ 26,188    
Credit impairment losses 55,264 24,694 66,904    
Interest receivables 0 7,057 4,933    
Net cash (used)/generated by operating activities (626) 15,077 27,266    
Net cash used in investing activities (note 29.8) 0 (76) (18,385)    
Proceeds received from shareholders' loans (note 29.9) 0 13,000 5,000    
Repayment of shareholders' loans (note 29.9) 0 3,000 5,000    
Proceeds received from loans payable (note 29.9) 0 48,142 308,629    
Repayment of loans payable (note 29.9) 0 79,345 414,924    
Net cash generated/(used) by financing activities ¥ 414 ¥ (18,462) ¥ (26,795)    
Other Impacts [Member]          
Statement [Line Items]          
Credit impairment losses       ¥ (2,822)  
Operating profit before changes in working capital       (2,822)  
Interest receivables       2,822  
Loans receivable (note 29.8)       (121,040) ¥ (213,138)
Net cash generated/(used) by operating activities       (121,040) (213,138)
Net cash (used)/generated by operating activities       (121,040) (213,138)
Originated loan disbursements (note 29.8)       397,190 446,264
Repayments of loans from customers (note 29.8)       (276,150) (233,126)
Net cash used in investing activities (note 29.8)       121,040 213,138
Proceeds received from shareholders' loans (note 29.9)       38,600 48,000
Repayment of shareholders' loans (note 29.9)       (38,600) (58,000)
Proceeds received from loans payable (note 29.9)       (38,600) (48,000)
Repayment of loans payable (note 29.9)       38,600 58,000
Adjustments [Member]          
Statement [Line Items]          
Profit beore income tax       (3,826)  
Operating profit before changes in working capital       (3,826)  
Interest payable (note 29.1)       (731)  
Other payable (notes 29.1 and 29.2)       10,986  
Net cash generated/(used) by operating activities       6,429  
Net cash (used)/generated by operating activities       6,429  
Share issuance expenses (note 29.2)       (6,429)  
Net cash generated/(used) by financing activities       (6,429)  
As Previously Reported [Member]          
Statement [Line Items]          
Profit beore income tax       48,202  
Credit impairment losses       6,402  
Operating profit before changes in working capital       55,045  
Interest receivables       (22,309)  
Loans receivable (note 29.8)       0  
Interest payable (note 29.1)       1,333  
Other payable (notes 29.1 and 29.2)       13,046  
Net cash generated/(used) by operating activities       58,585 38,167
Net cash (used)/generated by operating activities       44,192 16,708
Originated loan disbursements (note 29.8)       (397,190) (446,264)
Repayments of loans from customers (note 29.8)       276,150 233,126
Net cash used in investing activities (note 29.8)       (135,968) (213,138)
Share issuance expenses (note 29.2)       (9,198)  
Proceeds received from shareholders' loans (note 29.9)       14,000 2,000
Repayment of shareholders' loans (note 29.9)       (4,000) (2,000)
Proceeds received from loans payable (note 29.9)       402,300 384,240
Repayment of loans payable (note 29.9)       (386,400) (332,990)
Net cash generated/(used) by financing activities       16,702  
As Currently Reported [Member]          
Statement [Line Items]          
Profit beore income tax       44,376  
Credit impairment losses       3,580  
Operating profit before changes in working capital       48,397  
Interest receivables       (19,487)  
Loans receivable (note 29.8)       (121,040) (213,138)
Interest payable (note 29.1)       602  
Other payable (notes 29.1 and 29.2)       24,032  
Net cash generated/(used) by operating activities       (56,026) (174,971)
Net cash (used)/generated by operating activities       (70,419) (196,430)
Originated loan disbursements (note 29.8)       0  
Repayments of loans from customers (note 29.8)       0  
Net cash used in investing activities (note 29.8)       (14,928)  
Share issuance expenses (note 29.2)       (15,627)  
Proceeds received from shareholders' loans (note 29.9)       52,600 50,000
Repayment of shareholders' loans (note 29.9)       (42,600) (60,000)
Proceeds received from loans payable (note 29.9)       363,700 336,240
Repayment of loans payable (note 29.9)       (347,800) ¥ (274,990)
Net cash generated/(used) by financing activities       ¥ 10,273