v3.25.2
Schedule of prepayments and other current assets (Details) - USD ($)
Mar. 31, 2025
Dec. 31, 2024
Dec. 31, 2023
Dec. 31, 2022
Jun. 02, 2022
Safeguarding assets   $ 3,790,176 $ 1,983,116    
Prefunding to remittances partner   13,829,321 21,082,897    
Deposits   316,872 1,402,729    
Prepayments   1,259,527 553,258    
Airtime stock   498,728 607,308    
Current tax recoverable   297,323 360,358    
Others         $ 1,600,000
Total $ 25,874,112 $ 20,948,216 34,225,239    
Seamless Group Inc [Member]          
Contract asset     6,888,954 $ 4,657,799  
Safeguarding assets     1,983,116 5,787,354  
Other receivables     100,144 54,425  
Prefunding to remittances partner     21,082,897 21,896,243  
Deposits     1,402,729 1,438,316  
Goods and services tax/ Value-added tax recoverable     26,493 13,842  
Prepayments     553,258 503,123  
Airtime stock     607,308 715,755  
Inventory     125,603 162,227  
Current tax recoverable     360,358 1,094,332  
Others     1,094,379 1,240,134  
Total     $ 34,225,239 $ 37,563,550 [1]  
[1] Periods presented have been adjusted. Additional information regarding the adjustment may be found in Note 3 - Restatement of Previously Issued Financial Statements, included elsewhere in the notes to the financial statements.