v3.26.3
Other Receivables and Other Current Assets - Schedule of Other Receivables and Other Current Assets (Details) - USD ($)
Apr. 30, 2026
Oct. 31, 2025
Oct. 31, 2024
Schedule of Other Receivables and Other Current Assets [Line Items]      
Deposit $ 23,380 $ 27,780  
Other receivables 593,292 623,472  
VAT deductibles 21,472 45,863 $ 140,944
Export tax rebate receivable 36,537 39,818 75,639
Cash advanced to employees 23,206 334,550 51,343
Advances to suppliers 7,534,664 3,931,712 7,144,369
Others 1,950 472
Total prepayments and other current assets $ 8,234,501 5,003,667 7,452,317
Previously Reported [Member]      
Schedule of Other Receivables and Other Current Assets [Line Items]      
Deposit   18,879 26,935
Other receivables   $ 632,373 $ 13,087