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SCHEDULE OF PREPAYMENTS AND OTHER CURRENT ASSETS (Details) - Seamless Group Inc. [Member] - USD ($)
Mar. 31, 2024
Dec. 31, 2023
Dec. 31, 2022
Contract asset   $ 6,888,954 $ 4,657,799
Safeguarding assets $ 2,378,432 1,983,116 5,787,354
Other receivables   100,144 54,425
Prefunding to remittances partner   21,082,897 21,896,243
Deposits   1,402,729 1,438,316
Goods and services tax/ Value-added tax recoverable   26,493 13,842
Prepayments   553,258 503,123
Airtime stock   607,308 715,755
Inventory   125,603 162,227
Current tax recoverable   360,358 1,094,332
Others   1,094,379 1,240,134
Total   $ 34,225,239 $ 37,563,550