v3.25.2
SUPPLEMENTARY CASH FLOW INFORMATION (Tables)
12 Months Ended
Jun. 30, 2025
SUPPLEMENTARY CASH FLOW INFORMATION  
Schedule of changes in non-cash operating working capital

    

Years ended June 30,

2025

2024

Receivables

$

29,584

$

94,806

Deposits and prepayments

 

104,544

 

99,836

Accounts payable and accrued liabilities

 

(9,152)

 

(594,351)

Due to a related party

 

40,304

 

(4,008)

$

165,280

$

(403,717)

Schedule of non-cash capital transactions

    

Years ended June 30,

2025

2024

Reduction of capital expenditures of mineral property interest in accounts payable and accrued liabilities

$

(312,984)

$

(499,579)

Addition of capital expenditure of mineral property interest from deposits and prepayments

$

$

182,718

Schedule of cash and cash equivalents

    

June 30, 2025

    

June 30, 2024

Cash on hand and at bank

$

8,007,009

$

10,689,181

Cash equivalents

 

8,832,950

 

11,261,030

$

16,839,959

$

21,950,211