v3.26.1
Reconciliation for Changes in Liabilities Arising from Financing Activities - Schedule of Change in Group Liability (Details) - USD ($)
12 Months Ended
Dec. 31, 2025
Dec. 31, 2024
Debts [Member]    
Schedule of Change in Group Liability [Line Items]    
Non cash changes, Balance $ 5,088,014 $ 3,972,648
Non cash changes, Financing cashflows (541,874) 1,003,296
Non cash changes, Interest charged 282,337 193,418
Non cash changes, New leases
Non cash changes, Fair value adjustment
Non cash changes, Effect of changes in foreign exchange rates (18,043) 81,348
Non cash changes Balance 4,810,434 5,088,014
Operating Lease [Member]    
Schedule of Change in Group Liability [Line Items]    
Non cash changes, Balance 83,067 81,297
Non cash changes, Financing cashflows (61,365) (55,135)
Non cash changes, Interest charged 1,496 1,901
Non cash changes, New leases 34,674 57,528
Non cash changes, Fair value adjustment
Non cash changes, Effect of changes in foreign exchange rates 4,960 (2,524)
Non cash changes Balance 62,832 83,067
Finance Lease [Member]    
Schedule of Change in Group Liability [Line Items]    
Non cash changes, Balance 177,095 68,606
Non cash changes, Financing cashflows (64,232) (25,446)
Non cash changes, Interest charged 12,319 5,811
Non cash changes, New leases 103,263 130,324
Non cash changes, Fair value adjustment
Non cash changes, Effect of changes in foreign exchange rates 10,714 (2,200)
Non cash changes Balance 239,159 177,095
Convertible note – host debt [Member]    
Schedule of Change in Group Liability [Line Items]    
Non cash changes, Balance 940,077
Non cash changes, Financing cashflows   964,922
Non cash changes, Interest charged   17,500
Non cash changes, New leases  
Non cash changes, Fair value adjustment   (42,345)
Non cash changes, Effect of changes in foreign exchange rates  
Non cash changes Balance   940,077
Other financial liabilities [Member]    
Schedule of Change in Group Liability [Line Items]    
Non cash changes, Balance $ 173,551
Non cash changes, Financing cashflows   35,078
Non cash changes, Interest charged  
Non cash changes, New leases  
Non cash changes, Fair value adjustment   138,473
Non cash changes, Effect of changes in foreign exchange rates  
Non cash changes Balance   $ 173,551