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OTHER RECEIVABLES
3 Months Ended
Dec. 31, 2024
Receivables [Abstract]  
OTHER RECEIVABLES

NOTE 5 - OTHER RECEIVABLES

 

Other receivables included the following:

 

   December 31,   September 30, 
   2024   2024 
         
Deposits  $127,091   $136,119 
Advance to employees   542    42,894 
Advance to third-party company   35,470    34,912 
Others   17,776    37,663 
Total other receivables, net  $180,879   $251,588 

 

 

Advance to employees represents funds provided to our officers and employees for business expenses, such as travel, parking, gasoline, membership, and meals, that are anticipated to be incurred by our officers and employees on behalf of the Company. Advances to employees are required to be repaid in cash within a year.

 

Advance to third-party company represents funds provided to a third-party company for rental fee and deposit.