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Financial Instruments - Schedule of Fair Value of the Company’s Financial Instruments and Non-financial Derivatives (Details) - Financial instruments, class [member] - USD ($)
Jun. 30, 2024
Jun. 30, 2023
Amortized costs    
Cash and cash equivalents [1] $ 3,296,554 $ 2,064,079
Trade and other receivables [1] 11,631,118 10,454,301
Fair value through profit or loss    
Cash and cash equivalents [2] 2,093,374 463,594
Short-term investments [2] 306,034
Total financial assets 17,021,046 13,288,008
Financial Liabilities    
Trade and other payables [1] 12,662,290 9,340,571
Financial debts [1] 14,259,391 2,645,289
Lease liabilities [1] 421,887
Fair value through profit or loss    
Warrant liabilities [2] 555,500 887,689
Total financial liabilities 27,899,068 12,873,549
Net financial (liability) / asset $ (10,878,022) $ 414,459
[1] Cash, short-term investments, trade and other receivables, prepayments, trade and other payables, financial debts and lease liabilities are recorded at carrying value, which approximates fair value due to their short-term nature and generally negligible credit losses.
[2] Fair value of cash equivalent, short-term investment and warrants has been determined using the quoted market price at the year end (level 1).