v3.26.3
OTHER RECEIVABLE, DEPOSITS AND PREPAYMENTS (Tables)
12 Months Ended
Jun. 30, 2026
Receivables [Abstract]  
SCHEDULE OF OTHER RECEIVABLES DEPOSITS AND PREPAYMENTS

Other receivables, deposits and prepayments as of June 30, 2026 and 2025 consisted of the following:

 

       
   As of June 30, 
   2026   2025 
Current portion          
Deposits  $6,892   $6,781 
Other receivables   37,647    41,976 
Total   44,539    48,757 
Less: impairment on other receivables   (34,390)   (33,110)
Other receivables and deposits, net   10,149    15,647 
Prepayments   175,306    46,605 
Prepaid share based compensation – nonemployees   114,358    455,291 
Total Other receivables, deposits and prepayments   $299,813   $517,543 
           
Non-current portion          
Prepaid share based compensation – nonemployees   160,326    126,047 
Prepayments   87,500    - 
Other receivables, deposits and prepayments  $

247,826

   $

126,047