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Parent company only financial information (Tables)
12 Months Ended
Jun. 30, 2024
Condensed Financial Information Disclosure [Abstract]  
Schedule of Condensed Balance Sheets

Condensed balance sheets

 

             
   As of June 30, 
   2023   2024   2024 
   GBP   GBP   US$ 
ASSETS               
Non-current assets               
Interest in a subsidiary   78    78    99 
                
Current assets               
Amount due from group companies   -    5,082,519    6,424,304 
                
   Total non-current assets and total assets   78    5,082,597    6,424,403 
                
LIABILITIES               
Current liabilities               
Amount due to a related party   15,264    35,093    44,358 
Total non-current liabilities and total liabilities   15,264    35,093    44,358 
                
SHAREHOLDERS’ DEFICIT               
Preferred shares (US$0.0001 par value per share; 3,000,000 shares authorized; nil share and 2,575,250 shares issued and outstanding as of June 30, 2023 and 2024, respectively)   -    203    257 
Ordinary shares (US$0.0001 par value per share; 300,000,000 shares authorized; 12,000,000 shares issued and outstanding as of June 30, 2023 and 2024*)   987    987    1,248 
Additional paid-in capital   (905)   5,108,404    6,457,022 
Accumulated other comprehensive income   828    732    925 
Accumulated deficit   (16,096)   (62,822)   (79,407)
Total shareholders’ equity (deficit)   (15,186)   5,047,504    6,380,045 

 

*Giving retroactive effect to the issuance of ordinary shares effected on February 23, 2023.
Schedule of Condensed Statements of Loss and Comprehensive Loss

Condensed statements of loss and comprehensive loss

 

             
   For the years ended June 30, 
   2023   2024   2024 
   GBP   GBP   US$ 
General and administrative expenses   (16,096)   (46,726)   (59,062)
Loss before income taxes   (16,096)   (46,726)   (59,062)
Income tax expense   -    -    - 
Net loss   (16,096)   (46,726)   (59,062)
Foreign currency translation   828    (96)   (121)
Total comprehensive loss   (15,268)   (46,822)   (59,183)
Schedule of Condensed Statements of Cash Flows

Condensed statements of cash flows

 

             
   For the years ended June 30, 
   2023   2024   2024 
   GBP   GBP   US$ 
Cash flows from operating activities               
Net loss   (16,096)   (46,726)   (59,062)
Net cash used in operating activities   (16,096)   (46,726)   (59,062)
Cash flows from investing activities               
Cash generated from (used in) investing activities   -    -    - 
Cash flows from financing activities               
Amount due to a related party   16,096    46,726    59,062 
Net generated from financing activities   16,096    46,726    59,062 
Net increase (decrease) in cash and cash equivalents   -    -    - 
Cash and cash equivalents at the beginning of the year   -    -    - 
Cash and cash equivalents at the end of the year   -    -    -