v3.25.2
Deposits, Prepayment, Other Receivables and Deferred IPO Cost, Net (Tables)
12 Months Ended
Dec. 31, 2024
Deposits, Prepayment, Other Receivables and Deferred IPO Cost, Net [Abstract]  
Schedule of Deposits, Prepayment, Other Receivables and Deferred IPO Cost, Net

Deposits, prepayment, other receivables and deferred IPO cost, net consist of the following:

 

   December 31, 
   2024   2023 
Current        
Other receivables  $121,533   $15,910 
Deposits   73,917    123,008 
Deferred initial public offering “IPO” cost   
-
    373,677 
Less: allowance for expected credit loss   (4)   (14)
   $195,446   $512,581 
           
Deposit with a digital asset trading platform  $1,000,000   $
-
 
           
Receivable from agents  $1,191,795   $
-
 
           
Prepayments  $197,706   $1,262,228 
           
Non-current          
Prepayment  $33,333   $1,582,156 
   $33,333   $1,582,156 
Schedule of Movement of Allowances for Expected Credit Loss

The movement of allowances for expected credit loss is as follow:

 

   December 31, 
   2024   2023 
Balance at beginning of the year  $(14)  $(141)
Reversal of provision (Provision)   10    127 
Ending balance  $(4)  $(14)