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Other Current and Non-Current Assets
6 Months Ended 12 Months Ended
Jun. 30, 2019
Dec. 31, 2018
Other Current and Non-Current Assets [Abstract]    
OTHER CURRENT AND NON-CURRENT ASSETS

6. OTHER CURRENT AND NON-CURRENT ASSETS

 

  

As at
30 June 2019

   As at
31 December 2018
 
   (Unaudited)     
         
Input VAT receivable  $330,765   $358,179 
Prepayments-office rental   575,543    842,150 
Prepayments-insurance   436,186    5,861 
Prepayments-others   44,700    258,718 
Uniforms   52,088    36,418 
Tools and supplies   189,178    118,977 
Other current assets  $1,628,460   $1,620,303 
           
Deposit  $330,584   $303,320 
Others   6,577    - 
Other non-current assets  $337,161   $303,320 

7. OTHER CURRENT AND NON-CURRENT ASSETS

 

   31 December 
   2018   2017 
Input VAT receivable  $358,179   $335,510 
Prepayments-office rental   842,150    765,370 
Prepayments-insurance   5,861    120,372 
Prepayments-others   258,718    125,753 
Uniforms   36,418    97,850 
Tools and supplies   118,977    144,448 
Other current assets  $1,620,303   $1,589,303 
           
Deposit  $303,320   $308,307 
Other non-current assets  $303,320   $308,307