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CONSOLIDATED STATEMENTS OF CASH FLOWS - CNY (¥)
6 Months Ended
Jun. 30, 2023
Jun. 30, 2022
Cash flows from operating activities:    
Profit before income taxes ¥ 30,463,000 ¥ 60,169,000
Depreciation of property and equipment 1,474,000 1,477,000
Amortization of intangible asset 1,000  
(Reversal)/ Provision of credit impairment losses 6,311,000 (16,382,000)
Operating profit before working capital changes 38,249,000 45,264,000
Loans receivable (51,545,000) (57,093,000)
Prepaid expenses and others (266,000) (158,000)
Salary and benefit payable 1,023,000 1,068,000
Interest payable 8,987,000 9,015,000
Other payable 3,388,000 1,875,000
Cash used in operating activities (164,000) (29,000)
Income tax paid 0 0
Net cash used in operating activities (164,000) (29,000)
Net decrease in cash and restricted cash (164,000) (29,000)
Cash and restricted cash at beginning of the period 295,000 396,000
Exchange losses on cash and restricted cash 158,000 (170,000)
Cash and restricted cash at end of the period ¥ 289,000 ¥ 197,000