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Cash Flow Information - Schedule of Cash Flow Information (Details) - AUD ($)
12 Months Ended
Jun. 30, 2025
Jun. 30, 2024
Jun. 30, 2023
(a) Reconciliation of Net Loss to Net Cash Flows Used In Operations      
Net loss $ (12,147,828) $ (19,123,464) $ (13,806,515)
Non-cash items      
Depreciation of property and equipment 28,307 35,344 37,854
Depreciation on leased assets 111,408 112,185 64,409
Others 450,056
Share-based payment expenses 979,920 881,950 966,571
Foreign exchange loss/(gain) (259,433) (261,152) (917,650)
Fixed asset write off 10,232
Changes in assets and liabilities      
Decrease/(increase) in trade and other receivables 104,068 4,624,029 (3,940,343)
Decrease/(increase) in other current assets (excepting term deposit) 1,081,363 252,986 (968,207)
(Decrease)/increase in trade and other payables (2,044,457) 1,102,239 (1,560,873)
(Decrease) in other current liabilities (99,861) (11,935)
Increase/(decrease) in provision for employee entitlements 345,209 (218,006) 78,685
Net cash flows used in operating activities (11,451,248) (12,605,824) (20,035,837)
Cash and cash equivalents balance comprises:      
- cash and cash equivalents on hand 33,158,642 12,638,885 15,773,783
Closing cash and cash equivalents balance $ 33,158,642 $ 12,638,885 $ 15,773,783