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SCHEDULE OF FAIR VALUE OF FINANCIAL INSTRUMENTS RECONCILIATION (Details)
3 Months Ended
Sep. 30, 2025
USD ($)
AccountingPoliciesLineItems [Line Items]  
Beginning balance $ 903,766
Amortization during the period 24,814
Transfers to short term (56,813)
Effect of Translation Adjustment 9,286
Ending balance 881,053
Revenues in Excess of Billings - Long Term [Member]  
AccountingPoliciesLineItems [Line Items]  
Beginning balance 1,111,803
Amortization during the period
Transfers to short term (56,813)
Effect of Translation Adjustment 9,200
Ending balance 1,064,190
Fair Value Discount [Member]  
AccountingPoliciesLineItems [Line Items]  
Beginning balance (208,037)
Amortization during the period 24,814
Transfers to short term
Effect of Translation Adjustment 86
Ending balance $ (183,137)