v3.26.3
Cash Flow Information - Schedule of Reconciliation of Profit After Income Tax to Net Cash Inflow From Operating Activities (Details) - USD ($)
12 Months Ended
Jun. 30, 2026
Jun. 30, 2025
Jun. 30, 2024
Schedule of Reconciliation of Profit After Income Tax to Net Cash Inflow From Operating Activities [Abstract]      
Loss for the year $ (56,950,494) $ (38,342,457) $ (47,949,119)
Adjustments for      
Depreciation and amortization 2,706,033 2,595,637 3,126,286
Contingent consideration (1,671,289) 4,069,680 8,860,358
Finance costs 112,396 (285) 109,207
Finance income (637,144) (888,196)
Leave provision 270,995 46,640 111,196
Share-based payments 2,405,955 1,895,348 2,640,178
Disposal of intellectual property 212,769 1,687,791
Impairment 5,266,823 1,478,892
Net foreign currency (gains)/losses 655,393 (138,141) (94,964)
Change in operating assets and liabilities:      
Movement in trade receivables (7,047,369) (9,412,647) 3,480,495
Movement in other current assets (3,101) 2,948,714 73,871
Movement in trade payables 1,896,195 514,645 3,499,874
Net cash outflow from operating activities $ (52,782,838) $ (36,645,477) $ (22,975,935)