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REVENUE (Tables)
12 Months Ended
Jun. 30, 2019
Revenue  
Addoption of new accounting standard
   

Balance as of

June 30, 2018

    Adjustment for (ASC 606)    

Opening as of

July 1, 2018

 
Assets                  
Trade Accounts Receivable     8,007       (260 )     7,747  
                         
Other Receivables                        
Others     621       -       621  
Contract Assets     -       260       260  
Total     621       260       881  

 

   

Balance as of

June 30, 2018

    Adjustment for (ASC 606)    

Opening as of

July 1, 2018

 
Liabilities                  
Accounts Payable     3,704       -       3,704  
                         
Accrued Expenses                        
Others     3,172       (31 )     3,141  
Contract Liabilities     -       31       31  
Total     3,172       -       3,172  

 

Contract assets and liabilities
   

June 30, 2019

(Audited)

$

   

July 1, 2018 (Audited)

$

 
Trade Accounts Receivable     7,113       7,747  
Trade Accounts Payable     3,272       3,704  
Contract Assets     419       260  
Contract Liabilities     501       31