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Other Receivables (Tables)
6 Months Ended
Dec. 31, 2019
Receivables [Abstract]  
Other receivables
   December 31,   June 30, 
   2019   2019 
Advances to customers*  $10,216,897   $4,237,270 
Cash advances   99,331    54,953 
Security deposit   -    43,492 
Other receivables  $10,316,228   $4,335,715 

 

* As of December 31, 2019, the Company entered into certain contracts with customers (state-owned entities) where the Company's services included freight costs and cost of commodities to be shipped to customers' designated locations. The Company prepaid the costs of commodities and recognized as advance payments on behalf of its customers. These advance payments on behalf of the customers will be repaid to the Company when either the contract terms are expired or the contracts are terminated by the Company. The Company is expected to deliver its services under all such contracts by December 31, 2020.