v3.26.1
Loan to third parties
6 Months Ended 12 Months Ended
Oct. 31, 2025
Apr. 30, 2025
Loan To Third Parties    
Loan to third parties

5 Loan to third party

 

         October 31, 2025 
   As of 
   April 30, 2025   October 31, 2025   October 31, 2025 
  

S$

Audited

  

S$

Unaudited

  

US$

Unaudited

 
Loan to third party   1,623,608    1,121,323    861,737 
Allowance for impairment of loan   (1,223,608)   (1,121,323)   (861,737)
Loan to third parties, net   400,000    -    - 

 

On 19th January 2024, the Company provided a loan to PT Neura Integrasi Solusi, a technology company providing pathology related software solutions. The loan bears an interest at a rate of 1% per annum, with a maturity date of 36 months and is due on demand. The purpose of the loan was to provide working capital for our Indonesian partner in the expansion of our business. As of April 30, 2025 the carrying amount of the loan has been partially impaired by S$1,223,608, with a carrying amount of S$400,000 after the impairment. As of October 31, 2025, repayment of S$502,283 was received resulting in a reversal of impairment of S$102,283.

 

 

5 Loan to third parties

 

   2024   2025   2025 
   As of April 30, 
   2024   2025   2025 
   S$   S$   US$ 
Loan to third parties   1,530,982    1,623,608    1,243,684 
Allowance for impairment of loan   -    (1,223,608)   (937,284)
Loan to third parties, net   1,530,982    400,000    306,400 

 

On 19th January 2024, the Company provided a loan to PT Neura Integrasi Solusi, a technology company providing pathology related software solutions. The loan bears an interest at a rate of 1% per annum, with a maturity date of 36 months and is due on demand. The purpose of the loan was to provide working capital for our Indonesian partner in the expansion of our business. For the year ending April 30, 2025, the Company loaned a total of S$153,305 (US$114,000) to PT Neura Integrasi Solusi while repayment made by PT Neura Integrasi Solusi was S$60,680 (US$45,000), giving rise to a balance of S$1,623,608 (US$1,243,684) as at April 30, 2025.

 

The carrying amount of the loan as of April 30, 2025 has been partially impaired by S$1,223,608 (US$937,284), with S$400,000 (US$306,400) as the carrying amount after impairment. As of August 2025, the Company has reached an agreement with PT Neura Integrasi Solusi where the first repayment of approximately S$400,000 will happen in September 2025, expecting to make a total repayment of S$1,000,000 by December 31, 2025. The borrower of the loan, PT Neura Integrasi Solusi is neither affiliated with the Company nor the shareholders of the Company.