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PREPAYMENTS AND OTHER CURRENT ASSETS
12 Months Ended
Dec. 31, 2022
PREPAYMENTS AND OTHER CURRENT ASSETS  
PREPAYMENTS AND OTHER CURRENT ASSETS

6.

PREPAYMENTS AND OTHER CURRENT ASSETS

As of December 31, 

    

2021

    

2022

Receivable from payment platform (Note)

 

68,287

Rebate receivable from suppliers

77,687

 

68,236

Advance to suppliers

21,064

 

55,477

Value added tax recoverable

92,107

 

51,634

Deposits

35,905

24,267

Prepaid expense

9,476

6,656

Others

 

5,960

 

7,509

Total

 

242,199

 

282,066

Note:  Mainly from 2022, the Group engaged licensed companies which provided payment settlement service, under the service, the cash paid by customer but held by the third party companies was RMB68,287 as of December 31, 2022.