v3.26.1
CASH AND BANK BALANCES (Tables)
12 Months Ended
Dec. 31, 2025
Notes and other explanatory information [abstract]  
SCHEDULE OF CASH AND CASH EQUIVALENTS

For the purpose of the consolidated statements of cash flows, cash and bank balances comprise the following:

 

   2024   2025 
   S$   S$ 
Cash at banks   514,490    1,215,529 
Cash on hand   398    277 
Short-term fixed deposits   4,455,479    879,683 
Cash and cash equivalents   4,970,367    2,095,489 
Less: Fixed deposits with maturities over 3 months   (273,320)   - 
Cash and cash equivalents on consolidated statements of cash flows   4,697,047    2,095,489