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Schedule of reconciliation of liabilities arising from financing activities (Details)
12 Months Ended
Jun. 30, 2025
USD ($)
Jun. 30, 2025
SGD ($)
Jun. 30, 2024
SGD ($)
IfrsStatementLineItems [Line Items]      
Lease liabilities current, beginnings   $ 28,500  
Proceed from bank borrowings and lease liabilities, current $ 3,144,901 4,000,000
Lease liabilities current, ending 1,619,426 2,059,748 28,500
Lease liabilities non-current, beginnings    
Lease liabilities non-current, ending 2,324,654 2,956,727
Lease liabilities current, beginnings   2,677,856  
Bank borrowings, ending 2,677,856
Lease liabilities non-current, beginnings   1,583,434  
Bank borrowings non current, ending 1,583,434
Bank Overdraft [Member]      
IfrsStatementLineItems [Line Items]      
Reconciliation of liabilities financing activities current and non current, beginnings  
Cash flows lease liabilities and bank borrowings  
Proceed from bank borrowings and lease liabilities 48,251 61,371  
Fair value reserve current and noncurrent  
Accretion of interests current and non current  
Other non cash changes current and non current  
Fair value reserve current and noncurrent    
Reconciliation of liabilities financing activities current and non current, ending 48,251 61,371
Lease liabilities [member]      
IfrsStatementLineItems [Line Items]      
Lease liabilities current, beginnings 22,407 28,500 566,039
Repayment of lease liabilities current cash flows (861,945) (1,096,308) (553,000)
Proceed from bank borrowings and lease liabilities, current
Fair value reserve current 3,557,047 4,524,209
Accretion of interests current 90,389 114,966 15,461
Other non cash changes current (1,188,472) (1,511,619)
Lease liabilities current, ending 1,619,426 2,059,748 28,500
Lease liabilities non-current, beginnings 28,500
Repayment of lease liabilities non current cash flows
Proceed from bank borrowings and lease liabilities, noncurrent
Fair value reserve noncurrent
Accretion of interests noncurrent
Other non cash changes non current 39,380 50,087 (28,500)
Lease liabilities non-current, ending 2,324,654 2,956,727
Fair Value Reserve [Member]      
IfrsStatementLineItems [Line Items]      
Fair value reserve current and noncurrent   2,906,640
Fair value reserve current and noncurrent 2,285,274    
Fair value reserve current
Fair value reserve noncurrent 2,285,274 2,906,640
Fair value reserve current    
Fair value reserve noncurrent    
Fair value reserve current    
Fair value reserve noncurrent    
Short-term borrowings [member]      
IfrsStatementLineItems [Line Items]      
Repayment of lease liabilities current cash flows (5,320,259) (6,766,838) (2,517,707)
Proceed from bank borrowings and lease liabilities, current 3,144,901 4,000,000
Accretion of interests current 69,960 88,982 160,777
Other non cash changes current 1,811,636
Repayment of lease liabilities non current cash flows (1,244,936) (1,583,434)
Proceed from bank borrowings and lease liabilities, noncurrent
Accretion of interests noncurrent
Other non cash changes non current (1,811,636)
Lease liabilities current, beginnings 2,105,398 2,677,856 3,223,150
Addition lease liabilities current
Bank borrowings, ending 2,677,856
Lease liabilities non-current, beginnings 1,244,936 1,583,434 3,395,070
Addition lease liabilities non current
Bank borrowings non current, ending 1,583,434
Assets held to hedge liabilities arising from financing activities [member]      
IfrsStatementLineItems [Line Items]      
Reconciliation of liabilities financing activities current and non current, beginnings 3,372,741 4,289,790 7,212,759
Cash flows lease liabilities and bank borrowings (7,427,140) (9,446,580) (3,070,707)
Proceed from bank borrowings and lease liabilities 3,193,152 4,061,371
Fair value reserve current and noncurrent 3,557,047 4,524,209
Accretion of interests current and non current 160,349 203,948 176,238
Other non cash changes current and non current (1,149,092) (1,461,532) (28,500)
Reconciliation of liabilities financing activities current and non current, ending $ 3,992,331 $ 5,077,846 $ 4,289,790