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Loans and Borrowings - Schedule of Bank Borrowings (Details)
12 Months Ended
Dec. 31, 2024
SGD ($)
Dec. 31, 2024
USD ($)
Dec. 31, 2023
SGD ($)
Schedule of Bank Borrowings [Line Items]      
Total loans and borrowings $ 835,800 $ 611,770 $ 1,266,265
DBS SME Working Capital Loan [Member]      
Schedule of Bank Borrowings [Line Items]      
Principal amount $ 50,000    
Maturity Date Aug. 05, 2024    
Interest Rate Fixed at 7.00%    
Repayment Method Monthly Repayment    
Total loans and borrowings 7,663
Standard Chartered Bank Enterprise Financing Temporary Bridging Loan I [Member]      
Schedule of Bank Borrowings [Line Items]      
Principal amount $ 452,000    
Maturity Date Mar. 31, 2024    
Interest Rate 6.25% below prevailing Business Instalment Loan Board Rate, subject to a cap of 5%    
Repayment Method Monthly Repayment    
Total loans and borrowings 39,149
Standard Chartered Bank Enterprise Financing Temporary Bridging Loan II [Member]      
Schedule of Bank Borrowings [Line Items]      
Principal amount $ 275,000    
Maturity Date Jul. 31, 2025    
Interest Rate 4.12% below prevailing Business Instalment Loan Board Rate, subject to a cap of 5%    
Repayment Method Monthly Repayment    
Total loans and borrowings $ 56,322 41,225 150,339
ETHOZ Capital Ltd Temporary Bridging Loan [Member]      
Schedule of Bank Borrowings [Line Items]      
Principal amount $ 300,000    
Maturity Date Nov. 29, 2024    
Interest Rate Fixed at 5.00%    
Repayment Method Monthly Repayment    
Total loans and borrowings   105,010
ANEXT Bank Loan [Member]      
Schedule of Bank Borrowings [Line Items]      
Principal amount $ 300,000    
Maturity Date Jan. 26, 2028    
Interest Rate Fixed at 8.80%    
Repayment Method Monthly Repayment    
Total loans and borrowings $ 200,223 146,555 254,370
Standard Chartered Bank Business Installment Loan [Member]      
Schedule of Bank Borrowings [Line Items]      
Principal amount $ 300,000    
Maturity Date Aug. 31, 2028    
Interest Rate 0.72% below prevailing Business Instalment Loan Board Rate    
Repayment Method Monthly Repayment    
Total loans and borrowings $ 230,670 168,841 282,664
OCBC Business Term Loan [Member]      
Schedule of Bank Borrowings [Line Items]      
Principal amount $ 300,000    
Maturity Date Aug. 31, 2028    
Interest Rate 4.25% below prevailing Business Term Rate    
Repayment Method Monthly Repayment    
Total loans and borrowings $ 233,111 170,627 285,360
DBS SME Working Capital Loan II [Member]      
Schedule of Bank Borrowings [Line Items]      
Principal amount $ 150,000    
Maturity Date Aug. 09, 2028    
Interest Rate Fixed at 7.75%    
Repayment Method Monthly Repayment    
Total loans and borrowings $ 115,474 $ 84,522 $ 141,710