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Schedule of Statement of Cash Flows (Details) - USD ($)
12 Months Ended
Jun. 30, 2024
Jun. 30, 2023
Jun. 30, 2022
Notes and other explanatory information [abstract]      
Loss after income tax $ (14,408,346) $ (20,597,436) $ (11,197,450)
Accrued interest on convertible notes 3,207,497 4,420,225 2,162,646
Share-based payments 4,521,598 2,365,384 1,546,983
Convertible notes issued in lieu of payment for services 624,426
Depreciation and amortisation expense 520,697 360,021 260,651
Fair value movement of derivatives (3,400,685) 6,870,729 (2,751,564)
Decrease in trade and other receivables 372,390 506,737 130,933
(Increase)/Decrease in other assets (189,621) 33,091 1,015,343
Increase/(decrease) in trade and other payables 100,719 (153,292) 993,662
Decrease in net deferred revenue (174,290) (121,453) (339,222)
(Decrease)/increase in provision for refund (70,000) (25,000) 20,000
Increase in employee entitlement 133,845 160,700 102,833
Net cash used in operating activities $ (9,386,196) $ (5,555,868) $ (8,055,185)