v3.25.1
Financial Risk Management - Schedule of Group’s Liquidity Risk Analysis (Details) - Liquidity Risk [Member] - USD ($)
Mar. 31, 2025
Dec. 31, 2024
Book Value [Member]    
Schedule of Group’s Liquidity Risk Analysis [Line Items]    
Financial liabilities $ 4,710,699  
Other Payables 8,023,117 $ 1,538,643
Lease liabilities 68,359 80,848
Total 12,802,176 3,916,903
Borrowings   2,297,411
Cashflow by contract [Member]    
Schedule of Group’s Liquidity Risk Analysis [Line Items]    
Financial liabilities 4,846,694  
Other Payables 8,023,117 1,538,643
Lease liabilities 81,827 93,537
Total 12,951,639 4,055,188
Borrowings   2,423,008
Within a year [Member]    
Schedule of Group’s Liquidity Risk Analysis [Line Items]    
Financial liabilities 4,558,520  
Other Payables 8,023,117 1,538,643
Lease liabilities 46,028 48,980
Total 12,627,666 3,428,028
Borrowings   1,840,406
1 year to 3 years [Member]    
Schedule of Group’s Liquidity Risk Analysis [Line Items]    
Financial liabilities 288,173  
Other Payables
Lease liabilities 35,800 44,558
Total 323,973 79,605
Borrowings   35,048
More than 3 years [Member]    
Schedule of Group’s Liquidity Risk Analysis [Line Items]    
Other Payables
Lease liabilities
Total 547,555
Borrowings   $ 547,555