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Notes to the Statements of Cash Flows (Details) - Schedule of Changes in Liabilities Arising from Financing Activities - USD ($)
12 Months Ended
Dec. 31, 2023
Dec. 31, 2022
Dec. 31, 2021
Loan notes [Member]      
Schedule of Changes in Liabilities Arising from Financing Activities [Line Items]      
Beginning balance $ 8,745,192  
Changes from financing cash flows (27,720,827) 22,397,271  
Interest paid classified as operating cash flows  
New leases  
Remeasurement on lease modifications    
Recognition of warrant liabilities   (11,642,006)  
Initial recognition of derivative financial instruments   (2,796,131)  
Derecognition of derivative financial instruments    
Issuance of convertible loan for settlement of bridge loan    
Conversion to Preference Shares    
Other non-cash transactions    
Finance costs accrued 18,975,635 786,058  
Exchange realignment  
Ending balance 8,745,192
Lease Liabilities [Member]      
Schedule of Changes in Liabilities Arising from Financing Activities [Line Items]      
Beginning balance 785,687 486,678 1,116,912
Changes from financing cash flows (730,908) (873,308) (785,494)
Interest paid classified as operating cash flows (48,363) (42,130) (48,171)
New leases 549,622 1,237,069  
Remeasurement on lease modifications   (64,390) 206,250
Recognition of warrant liabilities    
Initial recognition of derivative financial instruments  
Derecognition of derivative financial instruments    
Issuance of convertible loan for settlement of bridge loan    
Conversion to Preference Shares    
Other non-cash transactions  
Finance costs accrued 48,363 42,130 48,171
Exchange realignment 1,660 (362) (50,990)
Ending balance 606,061 785,687 486,678
Convertible loan [Member]      
Schedule of Changes in Liabilities Arising from Financing Activities [Line Items]      
Beginning balance 4,294,265 4,123,563
Changes from financing cash flows   12,656,069
Interest paid classified as operating cash flows  
New leases    
Remeasurement on lease modifications  
Recognition of warrant liabilities    
Initial recognition of derivative financial instruments   (10,024,014) (544,327)
Derecognition of derivative financial instruments   735,688  
Issuance of convertible loan for settlement of bridge loan   18,960,000  
Conversion to Preference Shares   (29,381,027)  
Other non-cash transactions   (135,031)
Finance costs accrued   2,894,050 715,029
Exchange realignment  
Ending balance   4,294,265
Bridge loan [Member]      
Schedule of Changes in Liabilities Arising from Financing Activities [Line Items]      
Beginning balance 12,274,215  
Changes from financing cash flows   610,000  
Interest paid classified as operating cash flows    
New leases    
Remeasurement on lease modifications    
Recognition of warrant liabilities    
Initial recognition of derivative financial instruments   (842,181)  
Derecognition of derivative financial instruments   3,229,291  
Issuance of convertible loan for settlement of bridge loan   (18,960,000)  
Conversion to Preference Shares    
Other non-cash transactions   (385,500)  
Finance costs accrued   4,074,175  
Exchange realignment    
Ending balance   12,274,215
Bridge loan [Member]      
Schedule of Changes in Liabilities Arising from Financing Activities [Line Items]      
Beginning balance   $ 12,274,215
Changes from financing cash flows     13,150,000
Interest paid classified as operating cash flows    
Remeasurement on lease modifications    
Initial recognition of derivative financial instruments     (1,418,222)
Other non-cash transactions     (394,500)
Finance costs accrued     936,937
Exchange realignment    
Ending balance     $ 12,274,215