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Prepayment and Other Current Assets (Tables)
12 Months Ended
Dec. 31, 2023
Prepayment and Other Current Assets [Abstract]  
Schedule of Prepayment and Other Current Assets
   As of
December 31,
2023
   As of
December 31,
2022
 
  US$   US$ 
Current:        
Deposits & Prepayment   370,370    394,078 
Deferred IPO Cost*   2,039,513    
-
 
Other Receivables   257,283    31,562 
    2,667,166    425,649 
Non-current:          
Prepayment, non-current   18,656    
-
 
           
Total prepayment and other assets   2,685,822    425,649 
*the balance of deferred IPO cost includes legal fees related to the registration drafting and counsel, consulting fees related to the registration preparation, SEC filling and print related costs, exchange listing costs, and road show related costs and other offering costs directly attributable to the Company’s initial public offering. It was subsequently charged against the gross proceeds from the Company’s initial public offering completed on April 22, 2024 as a reduction of share capital.