v3.26.1
Prepayment, Deposits and Other Receivables
6 Months Ended
Jun. 30, 2026
Prepayment, Deposits and Other Receivables [Abstract]  
PREPAYMENT, DEPOSITS AND OTHER RECEIVABLES

5. PREPAYMENT, DEPOSITS AND OTHER RECEIVABLES

 

    As of
June 30,
2026
(Unaudited)
    As of
December 31,
2025
(Audited)
 
Prepaid expenses   $ 62,598     $ 63,080  
Other receivables     18,819       30,561  
Other deposits     167,913       166,739  
Total   $ 249,330     $ 260,380  

 

Prepaid expenses include website domain, third party software maintenance and subscription, OTC Markets fee, employee and motor vehicle insurance.

 

Other receivables include receivables from service tax and management of car park for director and employees.

 

Other deposits primarily include deposit of the tenancy agreement and deposit made for security deposit for renovation and car park deposit.