v3.26.3
Other Receivables and Other Current Assets
6 Months Ended 12 Months Ended
Apr. 30, 2026
Oct. 31, 2025
Other Receivables and Other Current Assets [Abstract]    
Other receivables and other current assets
5. Other receivables and other current assets

 

Other receivables and other current assets consisted of the following:

 

   

April 30,

2026

    October 31,
2025
 
Deposit   $ 23,380     $ 27,780  
Other receivables     593,292       623,472  
VAT deductibles     21,472       45,863  
Export tax rebate receivable     36,537       39,818  
Cash advanced to employees     23,206       334,550  
Advances to suppliers     7,534,664       3,931,712  
Others     1,950       472  
Total other receivables and other current assets   $ 8,234,501     $ 5,003,667  
5. Other receivables and other current assets

 

Other receivables and other current assets consisted of the following:

 

    October 31,
2025
    October 31,
2024
 
Deposit   $ 18,879     $ 26,935  
Other receivables     632,373       13,087  
VAT deductibles     45,863       140,944  
Export tax rebate receivable     39,818       75,639  
Cash advanced to employees     334,550       51,343  
Advances to suppliers     3,931,712       7,144,369  
Others     472       —  
Total prepayments and other current assets   $ 5,003,667     $ 7,452,317