v3.26.3
Bank Borrowings and Bank Overdraft (Tables)
6 Months Ended
Jun. 30, 2026
Bank Borrowings and Bank Overdraft [Abstract]  
Schedule of Bank Borrowings and Bank Overdraft
    As of  
    December 31,
2025
    June 30,
2026
    June 30,
2026
 
    RM     RM     Convenience
Translation
USD
 
Current                  
Bank borrowings     1,173,088       1,227,285       300,525  
      1,173,088       1,227,285       300,525  
Non-current                        
Bank borrowings     3,859,445       3,239,408       793,235  
      5,032,533       4,466,693       1,093,760  
Schedule of Maturities of Bank Borrowing

Bank borrowing

 

Maturities of Bank Borrowing                  
Year ending December 31, 2026     1,173,088       -       -  
Year ending December 31, 2027     1,252,768       -       -  
Year ending December 31, 2028     996,901       -       -  
Year ending December 31, 2029     716,991       -       -  
Year ending December 31, 2030     768,277       -       -  
After December 31, 2030     124,508       -       -  
      5,032,533       -       -  

 

Maturities of Bank Borrowing                  
Period ending June 30, 2027     -       1,227,285       300,525  
Period ending June 30, 2028     -       1,201,004       294,090  
Period ending June 30, 2029     -       785,891       192,441  
Period ending June 30, 2030     -       737,527       180,598  
Period ending June 30, 2031     -       509,570       124,779  
After June 30, 2031     -       5,416       1,327  
      -       4,466,693       1,093,760  
Schedule of Borrowings
    As of  
    December 31,
2025
    June 30,
2026
    June 30,
2026
 
    RM     RM     Convenience
Translation
USD
 
Fair value of non-current borrowing     3,323,249       2,811,259       688,393  
Undrawn borrowing facility     2,250,000       2,250,000       550,957  
Weighted average interest rate     4.60 %     7.90 %     7.90 %
Schedule of Reconciliation of Liabilities Arising From Financing Activities

Reconciliation of liabilities arising from financing activities

 

    As of  
    December 31,
2025
    June 30,
2026
    June 30,
2026
 
    RM     RM     Convenience
Translation
USD
 
Bank borrowing                        
As at beginning of the year/period     3,262,715       5,032,533       1,232,317  
Proceeds from borrowing     2,500,000       -       -  
Scheduled repayment     (976,305 )     (738,921 )     (180,939 )
Non-cash changes                        
Finance cost     246,123       173,080       42,382  
As at end of the year/period     5,032,533       4,466,693       1,093,760  
                         
Lease liability                        
As at beginning of the year/period     162,577       1,360,238       333,082  
Scheduled repayment     (161,328 )     (191,308 )     (46,846 )
Non-cash changes                        
Addition during the year     1,355,647       -       -  
Modification     (69 )     1,014       248  
Imputed interest     40,750       31,444       7,700  
Termination     (37,339 )     -       -  
As at end of the year/period     1,360,238       1,201,388       294,184