v3.25.2
Financial Risk Management and Fair Values of Financial Instruments - Schedule of Exposure to Credit Risk and Expected Credit Losses for Trade Receivables Related to Third-Party Retail Outlet Customers (Details)
Dec. 31, 2024
MYR (RM)
Dec. 31, 2024
USD ($)
Dec. 31, 2023
MYR (RM)
Financial Risk Management and Fair Values of Financial Instruments - Schedule of Exposure to Credit Risk and Expected Credit Losses for Trade Receivables Related to Third-Party Retail Outlet Customers (Details) [Line Items]      
Gross carrying amount RM 32,716    
Loss allowance (6,287)    
Net balance 26,429 $ 5,914  
third-party retail outlet customers [Member]      
Financial Risk Management and Fair Values of Financial Instruments - Schedule of Exposure to Credit Risk and Expected Credit Losses for Trade Receivables Related to Third-Party Retail Outlet Customers (Details) [Line Items]      
Gross carrying amount     RM 11,714
Loss allowance     (7,430)
Net balance     4,284
third-party retail outlet customers [Member] | 0 - 90 days [Member]      
Financial Risk Management and Fair Values of Financial Instruments - Schedule of Exposure to Credit Risk and Expected Credit Losses for Trade Receivables Related to Third-Party Retail Outlet Customers (Details) [Line Items]      
Gross carrying amount 28,372   3,177
Loss allowance RM (2,433)   RM (146)
Expected loss rate 8.60% 8.60% 4.60%
Net balance RM 25,939 $ 5,804 RM 3,031
third-party retail outlet customers [Member] | 91 - 180 days [Member]      
Financial Risk Management and Fair Values of Financial Instruments - Schedule of Exposure to Credit Risk and Expected Credit Losses for Trade Receivables Related to Third-Party Retail Outlet Customers (Details) [Line Items]      
Gross carrying amount 747   3,213
Loss allowance RM (453)   RM (1,964)
Expected loss rate 60.60% 60.60% 61.10%
Net balance RM 294 $ 66 RM 1,249
third-party retail outlet customers [Member] | 181 - 270 days [Member]      
Financial Risk Management and Fair Values of Financial Instruments - Schedule of Exposure to Credit Risk and Expected Credit Losses for Trade Receivables Related to Third-Party Retail Outlet Customers (Details) [Line Items]      
Gross carrying amount 1,114   280
Loss allowance RM (918)   RM (276)
Expected loss rate 82.40% 82.40% 98.60%
Net balance RM 196 $ 44 RM 4
third-party retail outlet customers [Member] | 271 - 365 days [Member]      
Financial Risk Management and Fair Values of Financial Instruments - Schedule of Exposure to Credit Risk and Expected Credit Losses for Trade Receivables Related to Third-Party Retail Outlet Customers (Details) [Line Items]      
Gross carrying amount 1,146   5,044
Loss allowance RM (1,146)   RM (5,044)
Expected loss rate 100.00% 100.00% 100.00%
Net balance
third-party retail outlet customers [Member] | Over 1 year [Member]      
Financial Risk Management and Fair Values of Financial Instruments - Schedule of Exposure to Credit Risk and Expected Credit Losses for Trade Receivables Related to Third-Party Retail Outlet Customers (Details) [Line Items]      
Gross carrying amount 1,337    
Loss allowance RM (1,337)    
Expected loss rate 100.00% 100.00%  
Net balance