v3.25.2
PREPAYMENT, DEPOSITS AND OTHER RECEIVABLES
3 Months Ended 12 Months Ended
Mar. 31, 2025
Dec. 31, 2024
Prepayment Deposits And Other Receivables    
PREPAYMENT, DEPOSITS AND OTHER RECEIVABLES

4. PREPAYMENT, DEPOSITS AND OTHER RECEIVABLES

 

  

As of

March 31, 2025

  

As of

December 31, 2024

 
Prepaid expenses   30,644    37,488 
Other receivables   38,260    34,821 
Other deposits   34,188    36,298 
Purchase in advance   37,651    37,626 
Total  $140,743   $146,233 

 

Prepaid expenses include website domain, third party software maintenance and subscription, OTC Markets fee, employee and motor vehicle insurance.

 

Other receivables include receivables from service tax and management of car park for director and employees.

 

Other deposits primarily include deposit of the tenancy agreement and deposit made for security deposit for renovation and car park deposit.

 

Purchase in advance consist of monies paid to supplier but have yet to receive the products or services from the suppliers.

 

5. PREPAYMENT, DEPOSITS AND OTHER RECEIVABLES

 

  

As of

December 31, 2024

  

As of

December 31, 2023

 
Prepaid expenses  $37,488   $34,717 
Other receivables   34,821    33,578 
Other deposits   36,298    30,952 
Purchase in advance   37,626    14,886 
Total  $146,233   $114,133 

 

Prepaid expenses include website domain, third party software maintenance and subscription, rental, employee and motor vehicle insurance.

 

Other receivables include receivables from service tax and management of car park for director and employees.

 

Other deposits primarily include deposit of the tenancy agreement and deposit made for security deposit for renovation and car park deposit.

 

Purchase in advance consist of monies paid to supplier but have yet to receive the products or services from the suppliers.