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Other Receivables and Other Current Assets (Details) - Schedule of Other receivables and Other Current Assets - USD ($)
Sep. 30, 2023
Jun. 30, 2023
Schedule Of Other Receivables And Other Current Assets Abstract    
Deposits [1] $ 113,773 $ 59,486
Prepaid tax 2,701 1,595
Prepaid expense [2] 435,389 552,044
Service deposit [3] 209,768
Total other receivables and other current assets $ 761,631 $ 613,125
[1] The balance of deposits mainly represented deposit made by the Company to a third-party service provider to secure the service, security deposit consists of rent and utilities, and others. As of September 30, 2023 and 2022, no allowance was recorded against doubtful receivables.
[2] The balance of prepaid expense mainly represented prepayment made by the Company to third parties for cyber security service, director & officer liability insurance (“D&O Insurance”) or other professional service.
[3] On July 20, 2023, the Company entered into a software development agreement (the “Agreement”) with Nexgen Advisory Sdn Bhd (“Nexgen”), an unrelated third party. Pursuant to the Agreement, the Company engaged with Nexgen in software development related to the creation of an artificial intelligence-powered travel platform. As of September 30, 2023, the Company had made a $209,768 service deposit to Nexgen; however, the service had not yet commenced. On September 25, 2023, the Company terminated the Agreement with Nexgen and expects to collect the service deposit by the end of December 2023.