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Prepayments, Deposits and Other Assets, Net (Details) - Schedule of Prepayments, Deposits and Other Assets, Net - USD ($)
Jun. 30, 2023
Jul. 01, 2022
Jun. 30, 2022
Schedule Of Prepayments Deposits And Other Assets Net Abstract      
Prepaid expenses [1] $ 510,462   $ 928,025
Contract assets 691,025   1,461,411
Advances and deposits to suppliers [1] 155,179   728,238
Deferred contract costs 114,400   714,127
Note receivables 280,223   187,916
Advances to employees 100,090   6,865
Government subsidies   437,288
Prepaid VAT 74,329  
Less: allowance for credit loss (7,316)  
Total 1,918,392   4,463,870
Less: non-current portion (252,656)   (248,456)
Prepayments, deposits and other assets – current portion $ 1,665,736 $ 4,214,414 $ 4,215,414
[1] Prepaid expenses, advances and deposits to suppliers primarily consists of advances and deposits to suppliers for purchasing goods or services that have not been received or provided.