v3.25.2
Cash - Schedule of Reconciliation of Liabilities Arising from Financing Activities (Details)
12 Months Ended
Dec. 31, 2024
MYR (RM)
Dec. 31, 2024
USD ($)
Dec. 31, 2023
MYR (RM)
Lease Liabilities [Member]      
Schedule of Reconciliation of Liabilities Arising from Financing Activities [Line Items]      
Balance RM 67,086  
Changes from financing cash flows:      
Payment of capital element of lease liabilities  
Payment of interest element of lease liabilities  
Repayment to related parties    
Proceeds from bank borrowing     69,000
Advance received from a related party    
Payment of principal element of bank borrowing (14,914)   (1,914)
Payment of interest element of bank borrowing (4,056)   (796)
Repayment of shareholder’s loan    
Proceeds from shareholder’s loan    
Proceeds from the issue of redeemable convertible preference shares  
Advances received for redeemable convertible preference shares    
Interest paid for redeemable convertible preference shares  
Payment of redeemable convertible preference shares commission fee    
Total changes from financing cash flows (18,970)   66,290
Other changes:      
Increase in lease liabilities from entering into new leases during the year  
Finance costs (note 21) 4,056   1,566
Conversion of redeemable convertible preference shares    
Commission fee for redeemable convertible preference shares    
Loss of redeemable convertible preference shares    
Redemption of redeemable convertible preference shares    
Equity component of redeemable convertible preference shares  
Other expenses 857    
Reclass to other payables     (770)
Effect of foreign exchange rate  
Change arising from investing activities    
Change arising from operating activities  
Total other changes 4,913   796
Balance 53,029 $ 11,865 67,086
Balance (in Dollars) 53,029   67,086
Redeemable convertible preference shares [Member]      
Schedule of Reconciliation of Liabilities Arising from Financing Activities [Line Items]      
Balance 2,217,028   26,208
Changes from financing cash flows:      
Payment of capital element of lease liabilities (339,747)   (161,857)
Payment of interest element of lease liabilities (253,389)   (124,157)
Repayment to related parties    
Proceeds from bank borrowing    
Advance received from a related party    
Payment of principal element of bank borrowing  
Payment of interest element of bank borrowing  
Repayment of shareholder’s loan    
Proceeds from shareholder’s loan    
Proceeds from the issue of redeemable convertible preference shares  
Advances received for redeemable convertible preference shares    
Interest paid for redeemable convertible preference shares  
Payment of redeemable convertible preference shares commission fee    
Total changes from financing cash flows (593,136)   (286,014)
Other changes:      
Increase in lease liabilities from entering into new leases during the year 616,029   2,352,677
Finance costs (note 21) 253,389   124,157
Conversion of redeemable convertible preference shares    
Commission fee for redeemable convertible preference shares    
Loss of redeemable convertible preference shares    
Redemption of redeemable convertible preference shares    
Equity component of redeemable convertible preference shares  
Other expenses    
Effect of foreign exchange rate  
Change arising from investing activities    
Change arising from operating activities  
Total other changes 869,418   2,476,834
Balance 2,493,310 557,850 2,217,028
Balance (in Dollars) 2,493,310   2,217,028
Other payables [Member]      
Schedule of Reconciliation of Liabilities Arising from Financing Activities [Line Items]      
Balance 6,483,536   2,500,000
Changes from financing cash flows:      
Payment of capital element of lease liabilities  
Payment of interest element of lease liabilities  
Repayment to related parties    
Proceeds from bank borrowing    
Advance received from a related party    
Payment of principal element of bank borrowing  
Payment of interest element of bank borrowing  
Repayment of shareholder’s loan    
Proceeds from shareholder’s loan    
Proceeds from the issue of redeemable convertible preference shares 7,989,890   3,609,483
Advances received for redeemable convertible preference shares    
Interest paid for redeemable convertible preference shares  
Payment of redeemable convertible preference shares commission fee    
Total changes from financing cash flows 7,989,890   3,609,483
Other changes:      
Increase in lease liabilities from entering into new leases during the year  
Finance costs (note 21)  
Conversion of redeemable convertible preference shares (4,389,989)    
Commission fee for redeemable convertible preference shares    
Loss of redeemable convertible preference shares     704,900
Redemption of redeemable convertible preference shares     177,600
Equity component of redeemable convertible preference shares (321,679)   (459,417)
Other expenses    
Effect of foreign exchange rate (171,388)   (49,030)
Change arising from investing activities    
Change arising from operating activities  
Total other changes (4,883,056)   374,053
Balance 9,590,370 2,145,737 6,483,536
Balance (in Dollars) 9,590,370   6,483,536
Amounts due to related parties [Member]      
Schedule of Reconciliation of Liabilities Arising from Financing Activities [Line Items]      
Balance 1,213,527   181,655
Changes from financing cash flows:      
Payment of capital element of lease liabilities  
Payment of interest element of lease liabilities  
Repayment to related parties    
Proceeds from bank borrowing    
Advance received from a related party    
Payment of principal element of bank borrowing  
Payment of interest element of bank borrowing  
Repayment of shareholder’s loan    
Proceeds from shareholder’s loan    
Proceeds from the issue of redeemable convertible preference shares  
Advances received for redeemable convertible preference shares     918,274
Interest paid for redeemable convertible preference shares (355,394)   (175,000)
Payment of redeemable convertible preference shares commission fee    
Total changes from financing cash flows (355,394)   743,274
Other changes:      
Increase in lease liabilities from entering into new leases during the year  
Finance costs (note 21) 1,384,065   360,407
Conversion of redeemable convertible preference shares    
Commission fee for redeemable convertible preference shares    
Loss of redeemable convertible preference shares    
Redemption of redeemable convertible preference shares     (177,600)
Equity component of redeemable convertible preference shares  
Other expenses    
Reclass to other payables     770
Effect of foreign exchange rate  
Change arising from investing activities    
Change arising from operating activities 863,278   105,021
Total other changes 2,247,343   288,598
Balance 3,105,476 694,815 1,213,527
Balance (in Dollars) 3,105,476   1,213,527
Cash Flows from Financing Activities [Member]      
Schedule of Reconciliation of Liabilities Arising from Financing Activities [Line Items]      
Balance 3,404,046   264,607
Changes from financing cash flows:      
Payment of capital element of lease liabilities  
Payment of interest element of lease liabilities  
Repayment to related parties (37,431)    
Proceeds from bank borrowing    
Advance received from a related party     1,042,409
Payment of principal element of bank borrowing  
Payment of interest element of bank borrowing  
Repayment of shareholder’s loan (70,925)    
Proceeds from shareholder’s loan     1,363,000
Proceeds from the issue of redeemable convertible preference shares  
Advances received for redeemable convertible preference shares    
Interest paid for redeemable convertible preference shares  
Payment of redeemable convertible preference shares commission fee     (137,912)
Total changes from financing cash flows (108,356)   2,267,497
Other changes:      
Increase in lease liabilities from entering into new leases during the year  
Finance costs (note 21) 27,260   17,081
Conversion of redeemable convertible preference shares    
Commission fee for redeemable convertible preference shares     137,912
Loss of redeemable convertible preference shares    
Redemption of redeemable convertible preference shares    
Equity component of redeemable convertible preference shares  
Other expenses    
Reclass to other payables    
Effect of foreign exchange rate  
Change arising from investing activities     738,670
Change arising from operating activities 678,900   (21,721)
Total other changes 706,160   871,942
Balance 4,001,850 895,370 3,404,046
Balance (in Dollars) 4,001,850   3,404,046
Bank borrowings [Member]      
Schedule of Reconciliation of Liabilities Arising from Financing Activities [Line Items]      
Balance 13,385,223   2,972,470
Changes from financing cash flows:      
Payment of capital element of lease liabilities (339,747)   (161,857)
Payment of interest element of lease liabilities (253,389)   (124,157)
Repayment to related parties (37,431)    
Proceeds from bank borrowing     69,000
Advance received from a related party     1,042,409
Payment of principal element of bank borrowing (14,914)   (1,914)
Payment of interest element of bank borrowing (4,056)   (796)
Repayment of shareholder’s loan (70,925)    
Proceeds from shareholder’s loan     1,363,000
Proceeds from the issue of redeemable convertible preference shares 7,989,890   3,609,483
Advances received for redeemable convertible preference shares     918,274
Interest paid for redeemable convertible preference shares (355,394)   (175,000)
Payment of redeemable convertible preference shares commission fee     (137,912)
Total changes from financing cash flows 6,914,034   6,400,530
Other changes:      
Increase in lease liabilities from entering into new leases during the year 616,029   2,352,677
Finance costs (note 21) 1,668,770   503,211
Conversion of redeemable convertible preference shares (4,389,989)    
Commission fee for redeemable convertible preference shares     137,912
Loss of redeemable convertible preference shares     704,900
Redemption of redeemable convertible preference shares    
Equity component of redeemable convertible preference shares (321,679)   (459,417)
Other expenses 857    
Reclass to other payables    
Effect of foreign exchange rate (171,388)   (49,030)
Change arising from investing activities     738,670
Change arising from operating activities 1,542,178   83,300
Total other changes (1,055,222)   4,012,223
Balance 19,244,035 $ 4,305,637 13,385,223
Balance (in Dollars) RM 19,244,035   RM 13,385,223