| Profit/(Loss) before tax |
| 7. |
Profit/(Loss)
before tax |
Profit
before tax has been arrived at after charging:
Schedule
of Profit before tax
| | |
July
1, 2025 to
December
31, 2025 | | |
July
1, 2025 to
December
31, 2025 | | |
July
1, 2024 to
December
31, 2024 | |
| | |
US$ | | |
S$ | | |
S$ | |
| | |
| | |
| | |
| |
| Marketing and advertisement | |
| 181,415 | | |
| 233,282 | | |
| 379,175 | |
| Legal and professional fees | |
| 83,517 | | |
| 107,394 | | |
| 181,866 | |
| Insurance | |
| 137,031 | | |
| 176,208 | | |
| 28,115 | |
| Transportation | |
| 24,173 | | |
| 31,084 | | |
| 17,997 | |
| Short term lease expenses | |
| 2,456 | | |
| 3,158 | | |
| 120,000 | |
| Depreciation of property and equipment | |
| 148,998 | | |
| 191,596 | | |
| 20,501 | |
| Amortisation of right-of-use assets | |
| 1,450,881 | | |
| 1,865,688 | | |
| 330,968 | |
| Employee benefit expenses | |
| | | |
| | | |
| | |
| - Director’s salaries and bonuses | |
| 328,952 | | |
| 423,000 | | |
| 96,936 | |
| - Staff costs share based payment | |
| 194,416 | | |
| 250,000 | | |
| - | |
| - Employees’ salaries and bonus | |
| 3,333,142 | | |
| 4,286,087 | | |
| 2,562,377 | |
| - Employees’ CPF | |
| 254,188 | | |
| 326,860 | | |
| 144,255 | |
| - Other staff expenses | |
| 234,504 | | |
| 301,548 | | |
| 43,974 | |
Basel
Medical Group Ltd and its Subsidiaries
NOTES
TO THE CONSOLIDATED FINANCIAL STATEMENTS
For
the financial period ended December 31, 2025
|