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Schedule of condensed balance sheets of parent company (Details) - USD ($)
Sep. 30, 2024
Dec. 31, 2023
Dec. 31, 2022
Current assets:      
Cash and cash equivalents $ 49,060,421 $ 48,516,765  
Short-term investments 300,000  
Prepayments, deposits and other receivables 26,957,511 34,225,239  
Total current assets 82,532,410 103,361,724  
Total assets 114,964,512 141,490,432  
Current liabilities:      
Accruals and other payables 35,657,510 53,988,231  
Convertible bonds 1,750,000 10,000,000  
Total current liabilities 136,664,051 173,862,148  
Borrowings 2,506,974  
Total liabilities 137,699,458 177,675,731  
Shareholders’ deficit:      
Common shares (US$0.001 par value; 58,030,000 shares authorized, issued and outstanding as of December 31, 2023 and 2022) [1] 4,653 3,398  
Additional paid-in capital [1] 57,056,967 29,227,005  
Accumulated deficit (103,857,748) (92,075,379)  
Accumulated other comprehensive loss (158,585) 88,366  
Total shareholders’ deficit attributable to Seamless Group Inc. (46,954,713) (62,756,610)  
Total liabilities and shareholders’ deficit $ 114,964,512 141,490,432  
Seamless Group Inc [Member]      
Current assets:      
Cash and cash equivalents   48,516,765 $ 62,798,729 [2]
Short-term investments   300,000 2,000,000 [2]
Prepayments, deposits and other receivables   34,225,239 37,563,550 [2]
Total current assets   103,361,724 121,206,663 [2]
Total assets   141,490,432 160,590,494 [2]
Current liabilities:      
Accruals and other payables   53,988,231 58,946,385 [2]
Convertible bonds   10,000,000 9,192,140 [2]
Total current liabilities   173,862,148 172,652,016 [2]
Borrowings   2,506,974 7,879,279
Convertible bonds  
Total liabilities   177,675,731 182,367,925 [2]
Shareholders’ deficit:      
Common shares (US$0.001 par value; 58,030,000 shares authorized, issued and outstanding as of December 31, 2023 and 2022)   58,030 58,030 [2]
Additional paid-in capital   29,172,373 29,172,373 [2]
Accumulated deficit   (92,075,379) (76,768,829) [2]
Accumulated other comprehensive loss   88,366 61,298 [2]
Total shareholders’ deficit attributable to Seamless Group Inc.   (62,756,610) (47,477,128) [2]
Total liabilities and shareholders’ deficit   141,490,432 160,590,494 [2]
Parent Company [Member] | Seamless Group Inc [Member]      
Current assets:      
Cash and cash equivalents   130,634 78,968
Short-term investments  
Prepayments, deposits and other receivables   76,492 66,245
Amounts due from subsidiaries   6,155,464 6,869,413
Amounts due from related parties   123,906 90,666
Total current assets   6,486,496 7,105,292
Investments in subsidiaries   20,682,970 26,470,719
Investment in an equity security  
Total assets   27,169,466 33,576,011
Current liabilities:      
Borrowings   11,162,844 11,577,451
Accruals and other payables   9,621,542 5,410,027
Amounts due to subsidiaries   7,302,130 2,640,735
Amounts due to related parties   49,472,617 49,900,344
Convertible bonds   10,000,001 9,192,141
Total current liabilities   87,559,134 78,720,698
Borrowings  
Convertible bonds  
Total liabilities   87,559,134 78,720,698
Shareholders’ deficit:      
Common shares (US$0.001 par value; 58,030,000 shares authorized, issued and outstanding as of December 31, 2023 and 2022)   58,030 58,030
Additional paid-in capital   29,172,373 29,172,373
Accumulated deficit   (89,542,157) (74,235,607)
Accumulated other comprehensive loss   (77,914) (139,483)
Total shareholders’ deficit attributable to Seamless Group Inc.   (60,389,668) (45,144,687)
Total liabilities and shareholders’ deficit   $ 27,169,466 $ 33,576,011
[1] Retrospectively restated to reflect Reverse Recapitalization - see Note 2.
[2] Periods presented have been adjusted. Additional information regarding the adjustment may be found in Note 3 - Restatement of Previously Issued Financial Statements, included elsewhere in the notes to the financial statements.