v3.26.1
Schedule of reconciliation of liabilities arising from financing activities (Details)
6 Months Ended 12 Months Ended
Dec. 31, 2025
USD ($)
Dec. 31, 2025
SGD ($)
Dec. 31, 2024
SGD ($)
Jun. 30, 2025
USD ($)
Jun. 30, 2025
SGD ($)
IfrsStatementLineItems [Line Items]          
Bank overdraft, beginnings $ 47,726 $ 61,371  
Cash flows, Bank overdraft (40,044) (51,493)    
Proceeds from bank borrowings, Bank overdraft     61,371
Non-cash changes Addition Bank overdraft    
Non-cash changes Accretion of interests, Bank overdraft    
Non-cash changes Other, Bank overdraft    
Fair value reserve, Bank overdraft    
Bank overdraft, endings 7,682 9,878   $ 47,726 61,371
Lease liabilities current, beginnings   2,059,748      
Proceed from bank borrowings, current 2,332,996 3,000,000 4,000,000    
Lease liabilities current, ending 1,570,074 2,018,958     2,059,748
Lease liabilities non-current, beginnings   2,956,727      
Lease liabilities non-current, ending 3,132,055 4,027,510     2,956,727
Bank borrowings, beginnings        
Bank borrowings, ending 711,982 915,538    
Bank borrowings non current, beginnings        
Bank borrowings non current, ending 1,564,621 2,011,946    
Lease liabilities [member]          
IfrsStatementLineItems [Line Items]          
Lease liabilities current, beginnings 1,601,795 2,059,748 28,500   28,500
Cash flows lease liabilities and bank borrowings current (1,433,280) (1,843,055)     (1,096,308)
Proceed from bank borrowings, current    
Addition lease liabilities current 1,442,808 1,855,307     4,524,209
Accretion of interests bank borrowings current 91,093 117,136     114,966
Other non cash changes bank borrowings current     (1,511,619)
Fair value reserve, Lease liabilities current    
Lease liabilities current, ending 1,702,416 2,189,136   1,601,795 2,059,748
Lease liabilities non-current, beginnings 2,299,344 2,956,727  
Cash flows lease liabilities and bank borrowings noncurrent    
Proceed from bank borrowings, non current    
Addition lease liabilities non current 700,369 900,605    
Accretion of interests bank borrowings non current    
Other non cash changes bank borrowings non current     50,087
Fair value reserve, Lease liabilities Non- current     2,906,640
Lease liabilities non-current, ending 2,999,713 3,857,332   2,299,344 2,956,727
Fair value reserve, Bank borrowings Current    
Fair value reserve, Bank borrowings Non-current    
Short-term borrowings [member]          
IfrsStatementLineItems [Line Items]          
Cash flows lease liabilities and bank borrowings current (74,567) (95,886)     (6,766,838)
Proceed from bank borrowings, current 768,375 988,054   4,000,000  
Accretion of interests bank borrowings current 18,174 23,370     88,982
Other non cash changes bank borrowings current    
Cash flows lease liabilities and bank borrowings noncurrent     (1,583,434)
Proceed from bank borrowings, non current 1,564,621 2,011,946    
Accretion of interests bank borrowings non current    
Other non cash changes bank borrowings non current    
Bank borrowings, beginnings 2,677,856   2,677,856
Addition bank borrowings current    
Bank borrowings, ending 711,982 915,538  
Bank borrowings non current, beginnings 1,583,434   1,583,434
Addition bank borrowings non current    
Bank borrowings non current, ending 1,564,621 2,011,946  
Assets held to hedge liabilities arising from financing activities [member]          
IfrsStatementLineItems [Line Items]          
Reconciliation of liabilities financing activities current and non current, beginnings 3,948,865 5,077,846 $ 4,289,790   4,289,790
Cash flows lease liabilities and bank borrowings (1,547,891) (1,990,434)     (9,446,580)
Proceed from bank borrowings lease liabilities, current and non current 2,332,996 3,000,000     4,061,371
Addition bank lease liabilities current and non current 2,143,177 2,755,912     4,524,209
Accretion of interests current and non current 109,267 140,506     203,948
Other non cash changes current and non current     (1,461,532)
Fair value reserve current and non current     2,906,640
Reconciliation of liabilities financing activities current and non current, ending $ 6,986,414 $ 8,983,830   $ 3,948,865 $ 5,077,846