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Cash Flow Information (Details) - Schedule of Reconciliation of Cash Flow From Operations with Loss After Income Tax - AUD ($)
12 Months Ended
Jun. 30, 2024
Jun. 30, 2023
Jun. 30, 2022
Schedule of Reconciliation of Cash Flow From Operations with Loss After Income Tax [Abstract]      
Net Loss for the Year $ (6,936,957) $ (3,786,507) $ (2,854,254)
Adjustments for      
Depreciation expense 45,981 48,662 26,613
Lease modification 15,993
Distribution costs 35,000
Expected credit losses (11,687) 19,111 8,809
Finance costs 7,576 9,652 6,184
Finance income (327,756) (116,323) (21,785)
Share of loss from associates 1,456,019    
Leave provision expense 44,863 27,235 45,470
Share-based payment expenses 3,299 226,954 94,890
Unrealized net foreign currency gains (76,771) (422,881) (234,793)
Change in operating assets and liabilities:      
Add decrease in trade and other receivables (958,466) 226,365 (336,998)
Add (increase) / decrease in inventories (194,279) (776,100) 275,605
Add (increase) / decrease in other operating assets 71,353 414,249 (494,143)
Add (increase) / decrease in financial assets 557,676 848,006
Add (decrease) / increase in trade and other payables 890,102 31,876 285,616
Add (decrease) / increase in other operating liabilities (451,092) 654,506
Total $ (5,880,139) $ (2,595,195) $ (3,147,793)