v3.25.1
Cash and cash equivalents (Tables)
6 Months Ended
Dec. 31, 2024
Cash and cash equivalents  
Schedule of cash and cash equivalents

    

December 31, 

    

June 30, 

2024

2024

US$

US$

Fixed deposits

 

3,049,339

 

3,000,000

Cash at banks

 

6,276,733

 

3,766,347

 

9,326,072

 

6,766,347

Schedule of cash and cash bank balance for the purpose of presenting the consolidated statement of cash flows

December 31, 

June 30, 

2024

2024

    

US$

    

US$

Cash and short-term deposit

 

9,326,072

 

6,766,347

Less: Restricted deposit

 

(3,049,339)

 

(3,000,000)

 

6,276,733

 

3,766,347

December 31, 

June 30, 

2024

2024

    

US$

    

US$

United States Dollar

 

9,047,212

 

6,579,951

Singapore Dollar

 

167,380

 

118,618

Hong Kong Dollar

 

103,792

 

63,972

Others

 

7,688

 

3,806

Total

 

9,326,072

 

6,766,347