v3.22.4
Financial Instruments (Details) - Schedule of fair values of financial assets and liabilities - AUD ($)
12 Months Ended
Jun. 30, 2022
Jun. 30, 2021
Carrying amount [Member]    
Financial Instruments (Details) - Schedule of fair values of financial assets and liabilities [Line Items]    
Cash and cash equivalents $ 6,011,368 $ 2,172,499
Trade and other receivables 51,176 243,300
Loans receivable 682,421
Trade and other payables (500,769) (555,057)
Interest bearing borrowings (1,110,171) (2,178,142)
Lease liabilities (51,213) (138,125)
Net financial (liabilities) / assets 4,400,391 226,896
Fair value [Member]    
Financial Instruments (Details) - Schedule of fair values of financial assets and liabilities [Line Items]    
Cash and cash equivalents 6,011,368 2,172,499
Trade and other receivables 51,176 243,300
Loans receivable 682,421
Trade and other payables (500,769) (555,057)
Interest bearing borrowings (1,110,171) (2,178,142)
Lease liabilities (51,213) (138,125)
Net financial (liabilities) / assets $ 4,400,391 $ 226,896