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Loans and Borrowings (Details) - Schedule of Terms and Debt Repayment Schedule - USD ($)
12 Months Ended
Dec. 31, 2023
Dec. 31, 2022
Schedule of Terms and Debt Repayment Schedule [Line Items]    
Total interest-bearing liabilities $ 3,464,420 $ 2,738,098
Guaranteed bank loan [Member]    
Schedule of Terms and Debt Repayment Schedule [Line Items]    
Original Currency SGD  
Principal amount $ 400,000  
Year of origination 2020  
Year of Maturity 2025  
Interest rate 2.75%  
Repayment method Monthly repayment  
Total interest-bearing liabilities $ 116,071 173,958
Guaranteed bank loan [Member]    
Schedule of Terms and Debt Repayment Schedule [Line Items]    
Original Currency SGD  
Principal amount $ 85,000  
Year of origination 2019  
Year of Maturity 2023  
Interest rate 7.00%  
Repayment method Monthly repayment  
Total interest-bearing liabilities   16,059
Guaranteed bank loan [Member]    
Schedule of Terms and Debt Repayment Schedule [Line Items]    
Original Currency SGD  
Principal amount $ 185,000  
Year of origination 2019  
Year of Maturity 2024  
Interest rate 10.88%  
Repayment method Monthly repayment  
Total interest-bearing liabilities $ 31,692 61,664
Guaranteed bank loan [Member]    
Schedule of Terms and Debt Repayment Schedule [Line Items]    
Original Currency SGD  
Principal amount $ 1,200,000  
Year of origination 2020  
Year of Maturity 2025  
Interest rate 2.50%  
Repayment method Monthly repayment  
Total interest-bearing liabilities $ 300,588 475,025
Guaranteed bank loan [Member]    
Schedule of Terms and Debt Repayment Schedule [Line Items]    
Original Currency SGD  
Principal amount $ 300,000  
Year of origination 2020  
Year of Maturity 2025  
Interest rate 3.75%  
Repayment method Monthly repayment  
Total interest-bearing liabilities $ 64,859 109,302
Guaranteed bank loan [Member]    
Schedule of Terms and Debt Repayment Schedule [Line Items]    
Original Currency SGD  
Principal amount $ 450,000  
Year of origination 2023  
Year of Maturity 2028  
Interest rate 8.00%  
Repayment method Monthly repayment  
Total interest-bearing liabilities $ 207,045
Guaranteed bank loan [Member]    
Schedule of Terms and Debt Repayment Schedule [Line Items]    
Original Currency SGD  
Principal amount $ 300,000  
Year of origination 2023  
Year of Maturity 2026  
Interest rate 7.75%  
Repayment method Monthly repayment  
Total interest-bearing liabilities $ 187,864
Guaranteed bank loan [Member]    
Schedule of Terms and Debt Repayment Schedule [Line Items]    
Original Currency SGD  
Principal amount $ 50,000  
Year of origination 2023  
Year of Maturity 2028  
Interest rate 8.25%  
Repayment method Monthly repayment  
Total interest-bearing liabilities $ 34,264
Guaranteed bank loan [Member]    
Schedule of Terms and Debt Repayment Schedule [Line Items]    
Original Currency SGD  
Principal amount $ 100,000  
Year of origination 2023  
Year of Maturity 2028  
Interest rate 8.28%  
Repayment method Monthly repayment  
Total interest-bearing liabilities $ 67,450
Guaranteed bank loan [Member]    
Schedule of Terms and Debt Repayment Schedule [Line Items]    
Original Currency SGD  
Principal amount $ 50,000  
Year of origination 2023  
Year of Maturity 2026  
Interest rate 10.38%  
Repayment method Monthly repayment  
Total interest-bearing liabilities $ 31,429
Guaranteed bank loan [Member]    
Schedule of Terms and Debt Repayment Schedule [Line Items]    
Original Currency SGD  
Principal amount $ 300,000  
Year of origination  
Year of Maturity 2026  
Interest rate 8.80%  
Repayment method Monthly repayment  
Total interest-bearing liabilities $ 199,261
Recourse liability [Member]    
Schedule of Terms and Debt Repayment Schedule [Line Items]    
Original Currency SGD  
Principal amount  
Year of origination  
Year of Maturity  
Repayment method Maturity upon 90-120 days  
Total interest-bearing liabilities $ 2,139,575 946,592
Recourse liability [Member] | Bottom of Range [Member]    
Schedule of Terms and Debt Repayment Schedule [Line Items]    
Interest rate 4.80%  
Recourse liability [Member] | Top of Range [Member]    
Schedule of Terms and Debt Repayment Schedule [Line Items]    
Interest rate 5.30%  
Convertible loan [Member]    
Schedule of Terms and Debt Repayment Schedule [Line Items]    
Original Currency SGD  
Principal amount $ 1,000,000  
Year of origination 2022  
Year of Maturity 2024  
Interest rate 8.00%  
Repayment method Upon maturity date  
Total interest-bearing liabilities 736,129
Lease liabilities [Member]    
Schedule of Terms and Debt Repayment Schedule [Line Items]    
Original Currency SGD/MYR  
Principal amount  
Repayment method Monthly Repayment  
Total interest-bearing liabilities $ 84,322 $ 219,369
Lease liabilities [Member] | Bottom of Range [Member]    
Schedule of Terms and Debt Repayment Schedule [Line Items]    
Year of origination 2019  
Year of Maturity 2023  
Interest rate 2.99%  
Lease liabilities [Member] | Top of Range [Member]    
Schedule of Terms and Debt Repayment Schedule [Line Items]    
Year of origination 2022  
Year of Maturity 2026  
Interest rate 8.21%