v3.26.1
Financial Risk Management - Schedule of Group’s Liquidity Risk Analysis (Details) - Liquidity Risk [Member] - USD ($)
Jun. 30, 2026
Dec. 31, 2025
Book Value [Member]    
Schedule of Group’s Liquidity Risk Analysis [Line Items]    
Borrowings $ 5,428,648 $ 4,343,276
Other Payables 9,094,278 8,787,983
Lease liabilities 34,137 59,512
Total 14,557,063 13,190,771
Cashflow by contract [Member]    
Schedule of Group’s Liquidity Risk Analysis [Line Items]    
Borrowings 5,479,958 4,388,129
Other Payables 9,114,230 8,800,013
Lease liabilities 41,518 66,555
Total 14,635,706 13,254,697
Within a year [Member]    
Schedule of Group’s Liquidity Risk Analysis [Line Items]    
Borrowings 5,212,019 4,388,129
Other Payables 9,114,230 8,800,013
Lease liabilities 32,112 51,223
Total 14,358,361 13,239,365
1 year to 3 years [Member]    
Schedule of Group’s Liquidity Risk Analysis [Line Items]    
Borrowings 267,939
Other Payables
Lease liabilities 9,406 15,332
Total 277,345 15,332
More than 3 years [Member]    
Schedule of Group’s Liquidity Risk Analysis [Line Items]    
Borrowings
Other Payables
Lease liabilities
Total