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Summary of significant accounting policies (Details Narrative) - USD ($)
3 Months Ended 9 Months Ended 12 Months Ended
Aug. 30, 2024
Jul. 29, 2023
Jul. 29, 2022
Sep. 13, 2018
Sep. 30, 2024
Jun. 30, 2024
Mar. 31, 2024
Sep. 30, 2023
Jun. 30, 2023
Mar. 31, 2023
Sep. 30, 2024
Sep. 30, 2023
Dec. 31, 2023
Dec. 31, 2022
Dec. 31, 2021
Product Information [Line Items]                              
Cash         $ 49,100,000           $ 49,100,000        
Working capital         54,100,000           54,100,000        
Net captial deficit         22,734,946 $ 45,472,683 $ 41,407,040 $ 34,793,963 $ 30,963,238 $ 27,490,633 22,734,946 $ 34,793,963 $ 39,143,247 $ 24,735,379  
Net loss         5,021,425 $ 3,607,338 $ 2,631,928 $ 3,815,112 $ 3,292,178 $ 3,339,807 11,260,691 10,447,097      
Net cash used in operating activities                     11,671,423 10,844,751      
Investing activities                     365,224 174,303      
Financing activities                     $ 2,179,105 (148,066)      
Expected Volatility, Minimum   26.65%                          
Expected Volatility, Maximum   42.32%                          
Expected Dividend Yield   0.00%                          
Exercise Price                            
Stock price at grant date   6.22                          
Weighted Average Fair Value   $ 5.78                          
Fair value of awards granted     $ 30,479,627   13,137                    
Shares forfeited                     489,333        
Share-based compensation expense         13,137,850           $ 13,137,850      
Safeguarding assets         2,222,368           2,222,368   1,983,116    
Safeguarding liabilities         2,222,368           2,222,368   1,983,116    
Cash         $ 49,060,421           49,060,421   48,516,765    
Net cash provided by investing activities                     (365,224) (174,303)      
Net cash used in financing activities                     $ (2,179,105) $ 148,066      
Convertible Debt Securities [Member]                              
Product Information [Line Items]                              
Convertible shares                     204,167 2,736,287      
Minimum [Member]                              
Product Information [Line Items]                              
Expected Time to Liquidity   10 days                          
Maximum [Member]                              
Product Information [Line Items]                              
Expected Time to Liquidity   2 years 10 days                          
2018 Equity Incentive Plan [Member] | Restricted Stock Units (RSUs) [Member]                              
Product Information [Line Items]                              
Share-based compensation exercisable, options grants in priod       2,591,543                      
2018 Equity Incentive Plan [Member] | Restricted Stock Units (RSUs) [Member] | Directors And Employees [Member]                              
Product Information [Line Items]                              
Share-based compensation exercisable, options grants in priod       978,397                      
Share-based compensation exercisable, weighted average exercise price       $ 12.87                      
2022 Equity Incentive Plan [Member]                              
Product Information [Line Items]                              
Shares vested 3,964,324                   1,321,441        
Exchange consideration shares 40,000,000                            
Shares vested and expected to vest         2,642,883           2,642,883        
2022 Equity Incentive Plan [Member] | Restricted Stock Units (RSUs) [Member] | Seamless Group Inc [Member]                              
Product Information [Line Items]                              
Share-based compensation exercisable, options grants in priod       5,803,000                      
Business Combination Agreement [Member]                              
Product Information [Line Items]                              
Ordinary shares                     40,000,000        
Currenc at exchange after adjusting for per share repurchase         $ 0.650635750           $ 0.650635750        
InFint Acquisition Corporation [Member]                              
Product Information [Line Items]                              
Cash equivalents                         0 0  
Cash and marketable securities held in trust account                         83,523,112 208,932,880  
Deferred offering costs                         582,540    
Adjustments to additional paid in capital, fair value                         268,617    
Underwriter discount                         8,499,949    
Temporary equity                         83,523,112 208,932,880  
Unrecognized tax benefits                         0 0  
Accrued interest and penalties                         0 0  
Federal depository insurance                         250,000    
Cash                         43,509    
Working capital                         (4,516,047)    
Net captial deficit                         10,516,011 8,488,304 $ 4,442,224
Net loss                         (3,147,500) 1,111,964  
Net cash used in operating activities                         552,958 756,716  
Investing activities                         (130,584,975) 2,999,982  
Financing activities                         (130,259,975) 2,999,982  
Cash                         43,509 271,467  
Net cash provided by investing activities                         130,584,975 (2,999,982)  
Net cash used in financing activities                         130,259,975 (2,999,982)  
Seamless Group Inc [Member]                              
Product Information [Line Items]                              
Net captial deficit                         39,143,247 24,735,379 [1] 8,093,751
Net loss                         14,417,786 15,725,713 [2]  
Net cash used in operating activities                         15,286,494 (8,681,916) [2]  
Investing activities                         (1,444,823) 732,332 [2]  
Financing activities                         $ (1,197,648) (5,767,020) [2]  
Expected Volatility, Minimum   39.84%                     39.84%    
Expected Volatility, Maximum   43.74%                     43.74%    
Expected Dividend Yield   0.00%                     0.00%    
Exercise Price                          
Stock price at grant date   6.55                     6.55    
Weighted Average Fair Value   $ 5.73                     $ 5.73    
Fair value of awards granted $ 2,696,053                            
Shares forfeited 466,573                       77,261    
Safeguarding assets                         $ 1,983,116 5,787,354  
Safeguarding liabilities                         1,983,116 5,787,354  
Cash                         48,516,765 62,798,729 [1]  
Working capital deficit                         70,500,000    
Net capital deficit                         36,200,000    
Net cash provided by investing activities                         1,444,823 (732,332) [2]  
Net cash used in financing activities                         1,197,648 5,767,020 [2]  
Accounts Receivable, Allowance for Credit Loss                         187,462 117,195
Advertising and promotion costs                         784,818 618,661  
Outstanding balance of convertible bond                         10,000,000 10,000,000  
Fair value of awards granted                         32,790,450    
Other assets                         $ 2,000,000.0 $ 5,800,000  
Seamless Group Inc [Member] | Accounts Receivable [Member] | Customer Concentration Risk [Member]                              
Product Information [Line Items]                              
Concentration Risk, Percentage                         53.00% 71.00%  
Seamless Group Inc [Member] | Convertible Debt Securities [Member]                              
Product Information [Line Items]                              
Convertible shares                         1,532,798 1,532,798  
Seamless Group Inc [Member] | Convertible Bond [Member]                              
Product Information [Line Items]                              
Outstanding balance of convertible bond                         $ 10,000,000 $ 10,000,000  
Seamless Group Inc [Member] | Computer Software, Intangible Asset [Member]                              
Product Information [Line Items]                              
Intangible assets amortized period                         5 years    
Seamless Group Inc [Member] | Developed Technology Rights [Member]                              
Product Information [Line Items]                              
Intangible assets amortized period                         7 years    
Seamless Group Inc [Member] | Trademarks and Trade Names [Member]                              
Product Information [Line Items]                              
Intangible assets amortized period                         10 years    
Seamless Group Inc [Member] | Minimum [Member]                              
Product Information [Line Items]                              
Expected Time to Liquidity   11 months 1 day                     11 months 1 day    
Seamless Group Inc [Member] | Maximum [Member]                              
Product Information [Line Items]                              
Expected Time to Liquidity   2 years 11 months 1 day                     2 years 11 months 1 day    
Seamless Group Inc [Member] | 2018 Equity Incentive Plan [Member]                              
Product Information [Line Items]                              
Share-based compensation exercisable, options grants in priod       2,591,543                      
Share-based compensation exercisable, weighted average exercise price       $ 12.87                      
Share-Based Compensation Arrangement by Share-Based Payment Award, Options, Grants in Period, Gross       978,397                      
Seamless Group Inc [Member] | 2022 Equity Incentive Plan [Member]                              
Product Information [Line Items]                              
Share-Based Compensation Arrangement by Share-Based Payment Award, Non-Option Equity Instruments, Other     5,803,000                        
[1] 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.
[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.