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PREPAYMENTS DEPOSITS AND OTHER RECEIVABLES CONSISTS OF THE FOLLOWING (Details) (USD $)
Jun. 30, 2012
Dec. 31, 2011
Temporary prepayments   $ 38,610
Deposits to suppliers 299,817 349,101
Contract guarantee deposits 218,326 208,319
Premises and sundry deposits 64,624 25,206
Advances to employees/consultants 63,544 20,000
Harmonized sales tax receivable   218
TOTAL PREPAYMENTS DEPOSITS AND OTHER RECEIVABLES $ 646,311 $ 641,454