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Condensed Balance Sheet - USD ($)
Mar. 31, 2023
Dec. 31, 2022
Dec. 31, 2021
Current assets:      
Cash and cash equivalents $ 141,549 $ 271,467 $ 1,028,183
Prepaid expenses 94,553 604,107
Total current assets 141,549 366,020 1,632,290
Cash and marketable securities held in Trust Account 101,834,184 208,932,880 203,000,706
Total assets 101,975,733 209,298,900 204,632,996
Current liabilities:      
Accrued expenses 3,125,503 2,787,773 76,474
Total current liabilities 3,262,809 2,854,360 76,474
Deferred underwriter fee payable 5,999,964 5,999,964 5,999,964
Total liabilities 9,262,773 8,854,324 6,076,438
Commitments and contingencies (Note 20)
Class A ordinary shares subject to possible redemption; 9,584,428 and 19,999,880 shares at redemption value, respectively 101,834,184 208,932,880  
Mezzanine equity   208,932,880
Shareholders’ deficit:      
Preferred shares, $0.0001 par value; 5,000,000 shares authorized; none issued and outstanding
Common shares (US$0.001 par value; 58,030,000 shares authorized, issued and outstanding as of December 31, 2022 and 2021)
Additional paid-in capital
Accumulated deficit (9,121,807) (8,488,887) (4,442,807)
Total shareholders’ deficit (9,121,224) (8,488,304) (4,442,224)
Total deficit (9,121,224) (8,488,304) (4,442,224)
Total liabilities and shareholders’ deficit 101,975,733 209,298,900 204,632,996
Seamless Group Inc [Member]      
Current assets:      
Cash and cash equivalents   62,798,729 62,754,165
Short-term investments   2,000,000 2,063,003
Restricted cash   6,756,989 6,438,287
Accounts receivable, net   3,067,697 2,880,915
Prepayments to remittance agents   92,485 87,766
Escrow money receivable   4,443,985 2,624,687
Amounts due from related parties   4,483,228 2,891,286
Prepayments, receivables and other assets   31,776,196 22,773,279
Total current assets   115,419,309 102,513,388
Investment in an equity security   100,000 100,000
Equipment and software, net   1,321,621 1,335,092
Right-of-use asset   342,432 116,777
Intangible assets, net   9,849,778 13,383,697
Goodwill   27,001,383 19,229,528
Deferred tax assets   768,617 106,151
Total assets   154,803,140 136,784,633
Current liabilities:      
Bank overdraft   27,861
Borrowings   13,404,390 4,144,402
Receivable factoring   677,640 272,108
Escrow money payable   250,013 154,714
Client money payable   6,250,070 5,729,363
Accounts payable, accruals and other payables   53,159,031 61,399,970
Amounts due to related parties   83,757,317 52,165,395
Convertible bonds   9,192,140 7,561,050
Lease liabilities   174,061 117,203
Total current liabilities   166,864,662 131,572,066
Borrowings   7,879,279 2,104,343
Convertible bonds   9,192,140
Deferred tax liabilities   1,616,343 1,986,077
Employee benefit obligation   61,392
Other payables   158,895 23,758
Total liabilities   176,580,571 144,878,384
Mezzanine equity   2,957,948
Shareholders’ deficit:      
Common shares (US$0.001 par value; 58,030,000 shares authorized, issued and outstanding as of December 31, 2022 and 2021)   58,030 58,030
Additional paid-in capital   29,172,373 29,172,373
Accumulated deficit   (76,768,829) (60,090,694)
Accumulated other comprehensive income   61,298 52,457
Total shareholders’ deficit   (47,477,128) (30,807,834)
Non-controlling interests   22,741,749 22,714,083
Total deficit   (24,735,379) (8,093,751)
Total liabilities and shareholders’ deficit   154,803,140 136,784,633
Common Class A [Member]      
Current liabilities:      
Class A ordinary shares subject to possible redemption; 9,584,428 and 19,999,880 shares at redemption value, respectively 101,834,184 208,932,880 202,998,782
Shareholders’ deficit:      
Common shares (US$0.001 par value; 58,030,000 shares authorized, issued and outstanding as of December 31, 2022 and 2021)
Common Class B [Member]      
Shareholders’ deficit:      
Common shares (US$0.001 par value; 58,030,000 shares authorized, issued and outstanding as of December 31, 2022 and 2021) 583 583 583
Related Party [Member]      
Current liabilities:      
Accrued expenses – related party $ 137,306 66,587
Related Party [Member] | Seamless Group Inc [Member]      
Current assets:      
Amounts due from related parties   $ 4,483,228 $ 2,891,286