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Variable interest entity (Tables)
3 Months Ended
Sep. 30, 2024
Organization, Consolidation and Presentation of Financial Statements [Abstract]  
Schedule of VIE’s assets and liabilities
         
   September 30, 2024   June 30, 2024 
Cash in bank  $330,760   $222,648 
Prepayments and other receivables  $337,172   $202,904 
Rent deposit  $   $72,281 
Office equipment, net  $9,174   $12,205 
Right of use – noncurrent  $   $434,034 
Accounts payable  $213,717   $381,013 
Lease liability  $   $443,059 
Income tax payable  $285,963   $276,158 
Other payables and accrued liabilities  $652,387   $514,285 
Schedule of operating results of the VIE
    
   September 30, 2024 
Revenue  $ 
Net loss after elimination of intercompany transactions  $138,930 

 

The operating results of the VIE were as follows for the three months ended September 30, 2023 :

     
   September 30, 2023 
Revenue  $ 
Net loss after elimination of intercompany transactions  $419,343