v3.25.2
Financial Instruments and Risk Management - Schedule of Amounts Disclosed in the Table are the Contractual Undiscounted Cash Flows Includes Principal and Interest (Details) - Liquidity Risk [Member]
Jun. 30, 2025
MYR (RM)
Jun. 30, 2025
USD ($)
Dec. 31, 2024
MYR (RM)
Repayment within less than 1 year [Member]      
Bank borrowings      
Bank borrowings RM 984,355 $ 233,664 RM 976,072
Bank overdraft 335,419 79,621 104,587
Repayment within:      
Lease liabilities 40,764 9,676 60,204
Trade payables 816,366 193,787
Other payables 447,021 106,112 422,973
Amount due to shareholder 3,467 823
Between 1 and 2 years [Member]      
Bank borrowings      
Bank borrowings 936,203 222,234 963,436
Repayment within:      
Lease liabilities 38,168 9,060 61,884
Between 2 and 5 years [Member]      
Bank borrowings      
Bank borrowings 1,338,822 317,308 1,693,768
Repayment within:      
Lease liabilities 27,252 6,468 45,732
Over 5 years [Member]      
Bank borrowings      
Bank borrowings 182,470 43,314 288,536
Repayment within:      
Lease liabilities RM 6,800 $ 1,614 RM 11,342