Restricted Cash and Other Deposits - Schedule of Restricted Cash and Other Deposits (Details) - USD ($) |
Jun. 30, 2026 |
Jun. 30, 2025 |
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| Schedule of Restricted Cash and Other Deposits [Abstract] | ||||||||
| Funds held on deposit against offtake prepayment | [1] | $ 15,269,272 | $ 15,447,516 | |||||
| Term deposits | [2] | 22,015 | 22,662 | |||||
| Funds held as security against credit card facility | [3] | 68,673 | ||||||
| Total restricted cash and other deposits | $ 15,359,960 | $ 15,470,178 | ||||||
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