v3.25.1
Other Payables - Schedule of Other Payables (Details) - USD ($)
Mar. 31, 2025
Dec. 31, 2024
Schedule of Other Payables [Abstract]    
Professional fees and operating expenses [1] $ 427,574 $ 460,985
Short term loans [2] 1,634,621 760,352
Total $ 2,062,195 $ 1,221,337
[1] As of March 31, 2025, the professional fees balance of $427,574 comprised outstanding legal fees in relation to shareholders’ litigation, audit fee, listing compliance fee owing to professional parties and other operating expenses.
[2] The Company borrowed funds from former executives and third parties to cover daily operational expenses. The payable is unsecured, interest-free, and is expected to be repaid either in cash or through the issuance of the Company’s common stock, subject to mutual agreement between the parties. Repayment is anticipated to occur once the bank accounts are restored to normal operating status.