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(Loss)/Profit before tax
12 Months Ended
Jun. 30, 2025
Lossprofit Before Tax  
(Loss)/Profit before tax

 

7. (Loss)/Profit before tax

 

Profit before tax has been arrived at after charging:

 

   2025   2025   2024 
   US$   S$   S$ 
             
Marketing and advertisement   480,960    611,733    698,336 
Legal and professional fees   191,393    243,433    426,740 
Insurance   269,199    342,394    48,112 
Transportation   34,789    44,248    38,367 
Bad debts written off   473,515    602,264    - 
Provision for expected credit losses   217,863    277,101    50,168 

Short term lease expenses

   110,917    141,075    3,180 
Depreciation of property and equipment   84,644    107,659    30,093 
Amortisation of right-of-use assets   843,989    1,073,469    498,635 
Recruitment   1,815    2,309    131,786 
Membership and subscription   16,207    20,614    38,919 
Telephone   32,869    41,806    32,746 
Employee benefit expenses               
- Director’s salaries and bonuses   261,813    333,000    121,200 
- Director’s CPF   23,764    30,226    137 
- Employees’ salaries and bonus   3,990,917    5,076,048    3,218,275 
- Employees’ CPF   370,127    470,765    177,754 
- Other staff expenses   383,594    487,894    121,576 

 

 

Basel Medical Group Ltd. and its Subsidiaries

 

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS

For year ended June 30, 2025 and 2024