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Deposit, Prepayments and Other Receivables , Net (Tables)
12 Months Ended
Dec. 31, 2023
Deposit, Prepayments and Other Receivables , Net (Tables) [Line Items]  
Schedule of Deposit, Prepayment and Other Receivables, Net Deposit, prepayment and other receivables, net consisted of the following:
   As of December 31, 
   2023   2022 
Deposits  $710,702   $364,490 
Prepayments   1,026,767    104,262 
Other receivables   850,361    163,207 
    2,587,830    631,959 
Less: allowance for expected credit losses   (818,248)   (42,173)
Deposit, prepayment and other receivables, net  $1,769,582   $589,786 
Other Receivable [Member]  
Deposit, Prepayments and Other Receivables , Net (Tables) [Line Items]  
Schedule of Allowance for Expected Credit Losses The following table presents the activity in the allowance for expected credit losses:
   As of December 31, 
   2023   2022 
Balance at beginning of year  $42,173   $25,650 
Allowance for expected credit losses   774,070    16,509 
Foreign translation adjustment   2,005    14
Balance at end of year  $818,248   $42,173