XML 40 R30.htm IDEA: XBRL DOCUMENT v3.24.0.1
Variable interest entity (Tables)
6 Months Ended
Dec. 31, 2023
Organization, Consolidation and Presentation of Financial Statements [Abstract]  
Schedule of carrying amount of the VIE’s assets and liabilities
        
   December 31, 2023   June 30, 2023 
Cash in bank  $397,027   $341,774 
Prepayments and other receivables  $327,931   $664,886 
Rent deposit  $74,209   $81,624 
Office equipment, net  $21,422   $33,774 
Right of use – noncurrent  $543,307   $6,104 
Deferred tax assets  $   $64,510 
Advance from shareholders  $87,305   $85,200 
Accounts payable  $256,944   $6,278 
Lease liability  $545,219   $4,758 
Income tax payable  $283,519   $276,683 
Other payables and accrued liabilities  $526,727   $344,735 
Schedule of operating results of the VIE
        
   Three Months   Six Months 
Revenue  $   $ 
Net income (loss) after elimination of intercompany transactions  $27,461   $(391,882)

 

The operating results of the VIE were as follows for the three and six months ended December 31, 2022:

         
   Three Months   Six Months 
Revenue  $   $ 
Net income (loss) after elimination of intercompany transactions  $(177,947)  $(911,564)