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Borrowings (Details Narrative) - TALENTEC SDN. BHD. [Member]
12 Months Ended
Nov. 22, 2010
USD ($)
Jul. 31, 2025
USD ($)
Jul. 31, 2024
USD ($)
May 31, 2025
CNY (¥)
Nov. 22, 2010
MYR (RM)
Collaborative Arrangement and Arrangement Other than Collaborative [Line Items]          
Bank guarantee | ¥       ¥ 3,172,054.94  
Bank overdraft repaid   $ 127,106    
Interest expenses   $ 3,006 $ 9,467    
Credit Facility Agreement [Member]          
Collaborative Arrangement and Arrangement Other than Collaborative [Line Items]          
Overdraft fascilities $ 204,860       RM 940,000
Debt instrument interest rate description interest rate of BLR plus 1.75% p.a.        
Debt for trade facilities $ 435,872       RM 2,000,000
Commission percentage on letter of credit 0.1       0.1
Debt instrument interest rate description BLR plus 1.75% p.a.       BLR plus 1.75% p.a.
Commission percentage on bank acceptance 0.0185       0.0185
Commission percentage on shipping guarantee 0.001       0.001
Promissory notes $ 333,178       RM 1,500,000
Bank guarantee $ 111,059       RM 500,000
Commision depending on tenor description commission for tender/performance guarantee of 0.13%, 0.155% or 0.18% per month depending on the tenor.       commission for tender/performance guarantee of 0.13%, 0.155% or 0.18% per month depending on the tenor.
Description of sinking fund created for debt The credit facility was secured by: (i) Creation of sinking fund of US$97,732 (RM440,000) to be built up by way of fixed deposits of 44 monthly placement of US$2,221 (RM10,000) together with interest accrued thereon commencing on April 1, 2023; (ii) Joint and several guarantee of Ho Say San and Choo Yeow.