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Borrowings
6 Months Ended
Dec. 31, 2025
Borrowings [Abstract]  
Borrowings

Note 10. Borrowings

 

   Consolidated 
   December
2025
$
   June
2025
$
 
Current liabilities        
Insurance premium funding   98,807    395,640 

 

Borrowings relate to the annual insurance renewal program. An offsetting prepayment of insurance invoices is included in Prepayments - See Note 6 ‘Other assets’.