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OTHER CURRENT ASSETS (Tables)
6 Months Ended 12 Months Ended
Jun. 30, 2025
Dec. 31, 2024
Deferred Costs, Capitalized, Prepaid, and Other Assets Disclosure [Abstract]    
SCHEDULE OF OTHER CURRENT ASSETS

The other current assets as of June 30, 2025 and December 31, 2024 consist of the following:

  

   June 30,   December 31, 
   2025   2024 
Staff advance  $61,241    55,512 
Deposit   22,010    - 
VAT recoverable   -    - 
Loan to the third party   963,773    943,376 
Others   2,780    2,749 
Subtotal   1,049,804    1,001,637 
Less: bad debt   (2,268)   - 
Total of other current assets  $1,047,536    1,001,637 

The other current assets as of December 31, 2024 and 2023 consist of the following:

 

   December 31,   December 31, 
   2024   2023 
Staff advance  $55,512    436,145 
Deposit   -    88,650 
VAT recoverable   -    2,780 
Loan to the third party     943,376       -  
Others   2,749    64,780 
Subtotal   1,001,637    592,355 
Less: allowance for credit losses   -    (126,875)
Total of other current assets  $1,001,637    465,480 
SCHEDULE OF ALLOWANCE FOR OTHER CURRENT ASSETS

   June 30,   December 31, 
   2025   2024 
Balance as of the beginning of period/year  $-    126,875 
Additions charged to bad debt expense   2,268    - 
Effect of disposal subsidiaries   -    (126,875)
Balance as of the end of period/year  $2,268    - 

 

On August 10,2025, the amount of $967,337 loan to the third party has been fully recovered.

 

   December 31,   December 31, 
   2024   2023 
Balance as of the beginning of year  $126,875    - 
Additions charged to bad debt expense   -    116,402 
Effect of disposal subsidiaries     (126,875 )     -  
Translation adjustments   -    10,473 
Balance as of the end of year  $-    126,875