Adjustments for Financial Year 2022 (Details) - USD ($) | 12 Months Ended | |
Dec. 31, 2023 | Dec. 31, 2022 | Dec. 31, 2021 |
Accumulated other comprehensive income / (loss) | $ 18,322,482 | $ 58,881,794 | $ (120,898) |
Accumulated surplus/(deficit) | (40,140,592) | 521,211 | |
Accumulated other comprehensive income | 16,734 | 13,330 | |
Equity attributable to equity holders of the parent | 18,323,395 | 58,881,794 | |
Revenue | 2,420,184 | 2,476,931 | |
Cost of Revenue | (688,630) | (415,010) | |
Cost of Revenue | 688,630 | 415,010 | |
Gross Profit | (1,731,554) | (2,061,921) | |
Gross Profit | 1,731,554 | 2,061,921 | |
Selling expense | | (977) | |
Selling expense | | 977 | |
General and administrative expenses | (3,415,786) | (1,245,325) | |
General and administrative expenses | 3,415,786 | 1,245,325 | |
Total other income / (expense), net | 323,872 | (67,160) | |
Net income before tax | (40,497,231) | 748,459 | |
Income tax | | | |
Net income for the period | (40,661,803) | 748,039 | |
Accumulated other comprehensive income / (loss) | 3,404 | 9,067 | |
Net Income (Loss), Including Portion Attributable to Noncontrolling Interest | (40,662,716) | | |
Stock Issued During Period, Value, New Issues | 100,000 | | |
Stock Issued During Period, Value, Acquisitions | | 58,245,586 | |
Net income / (loss) | (40,662,716) | 748,039 | |
Depreciation and amortization of- property, plant and equipment and right-of-use assets | 37,853 | 21,737 | |
Depreciation and amortization of- property, plant and equipment and right-of-use assets | (37,853) | (21,737) | |
Gain on disposal of subsidiaries | | | |
Other receivables, prepayments and other current assets | (539,842) | 1,018,177 | |
Commission payables | | | |
Accrued expense and other payables | 91,181 | 1,839,444 | |
Net (used in) / cash generated by operating activities | 295,531 | 414,231 | |
Purchase of property and equipment | 12,496 | 112,675 | |
Purchase of property and equipment | (12,496) | (112,675) | |
Disposal of subsidiaries, net of cash disposed | | (1,049,608) | |
Acquisition of subsidiaries, net cash acquired | | 2,485,213 | |
Net (used in) / cash generated by investing activities | (12,496) | 3,422,146 | |
Proceed from / (repayment to) related parties | (411,858) | (180,120) | |
Net cash generated by / (used in) financing activities | (311,858) | (180,120) | |
EFFECT OF EXCHANGE RATES ON CASH | 3,404 | 9,067 | |
NET CHANGE IN CASH AND CASH EQUIVALENTS | (25,419) | 3,665,324 | |
CASH AND CASH EQUIVALENTS, BEGINNING OF YEAR | 3,791,378 | 126,054 | |
Common Stock [Member] | | | |
Accumulated other comprehensive income / (loss) | 298,743 | 198,743 | $ 101,667 |
Accumulated other comprehensive income / (loss) | | | |
Shares, Outstanding | 298,742,643 | 198,742,643 | 101,666,666 |
Net Income (Loss), Including Portion Attributable to Noncontrolling Interest | | | |
Stock Issued During Period, Shares, New Issues | 100,000,000 | | |
Stock Issued During Period, Value, New Issues | $ 100,000 | | |
Stock Issued During Period, Value, Acquisitions | | $ 97,076 | |
Additional Paid-in Capital [Member] | | | |
Accumulated other comprehensive income / (loss) | 58,148,510 | 58,148,510 | |
Accumulated other comprehensive income / (loss) | | | |
Net Income (Loss), Including Portion Attributable to Noncontrolling Interest | | | |
Stock Issued During Period, Value, New Issues | | | |
Stock Issued During Period, Value, Acquisitions | | 58,148,510 | |
Retained Earnings [Member] | | | |
Accumulated other comprehensive income / (loss) | (40,140,592) | 521,211 | (226,828) |
Accumulated other comprehensive income / (loss) | | | |
Net Income (Loss), Including Portion Attributable to Noncontrolling Interest | (40,661,803) | | |
Stock Issued During Period, Value, New Issues | | | |
Stock Issued During Period, Value, Acquisitions | | | |
AOCI Attributable to Parent [Member] | | | |
Accumulated other comprehensive income / (loss) | 16,734 | 13,330 | $ 4,263 |
Accumulated other comprehensive income / (loss) | 3,404 | 9,067 | |
Net Income (Loss), Including Portion Attributable to Noncontrolling Interest | | | |
Stock Issued During Period, Value, New Issues | | | |
Stock Issued During Period, Value, Acquisitions | | | |
As Restated Two [Member] | | | |
Accumulated other comprehensive income / (loss) | | 58,148,510 | |
Additional paid-in capital | | | |
Merger reserves | | 521,211 | |
Accumulated surplus/(deficit) | | 13,330 | |
Accumulated other comprehensive income | | 58,881,794 | |
Equity attributable to equity holders of the parent | | | |
Cost of Revenue | | (415,010) | |
Cost of Revenue | | 415,010 | |
Gross Profit | | 2,061,921 | |
Gross Profit | | (2,061,921) | |
Selling expense | | (977) | |
Selling expense | | 977 | |
General and administrative expenses | | (1,245,325) | |
General and administrative expenses | | 1,245,325 | |
Operating Profit | | (815,619) | |
Operating Profit | | 815,619 | |
Total other income / (expense), net | | (67,160) | |
Net income before tax | | 748,459 | |
Income tax | | (420) | |
Net income for the period | | 748,039 | |
Accumulated other comprehensive income / (loss) | | 9,067 | |
Net income / (loss) | | 748,039 | |
Depreciation and amortization of- property, plant and equipment and right-of-use assets | | 21,737 | |
Depreciation and amortization of- property, plant and equipment and right-of-use assets | | (21,737) | |
Gain on disposal of subsidiaries | | | |
Other receivables, prepayments and other current assets | | (1,018,177) | |
Commission payables | | | |
Accrued expense and other payables | | 1,839,444 | |
Net (used in) / cash generated by operating activities | | 414,231 | |
Purchase of property and equipment | | 112,675 | |
Purchase of property and equipment | | (112,675) | |
Disposal of subsidiaries, net of cash disposed | | 1,049,608 | |
Acquisition of subsidiaries, net cash acquired | | 2,485,213 | |
Net (used in) / cash generated by investing activities | | 3,422,146 | |
Proceed from / (repayment to) related parties | | (180,120) | |
Net cash generated by / (used in) financing activities | | (180,120) | |
EFFECT OF EXCHANGE RATES ON CASH | | 9,067 | |
NET CHANGE IN CASH AND CASH EQUIVALENTS | | 3,665,324 | |
CASH AND CASH EQUIVALENTS, BEGINNING OF YEAR | | 126,054 | |
As Restated Two [Member] | Common Stock [Member] | | | |
Accumulated other comprehensive income / (loss) | | $ 101,667 | |
Shares, Outstanding | | 101,666,666 | |
Stock Issued During Period, Value, Other | | | |
Stock Issued During Period, Shares, New Issues | | | |
Stock Issued During Period, Value, New Issues | | | |
Acquisition of subsidiaries, shares | | 97,075,977 | |
Stock Issued During Period, Value, Acquisitions | | 97,076 | |
As Restated Two [Member] | Additional Paid-in Capital [Member] | | | |
Accumulated other comprehensive income / (loss) | | | |
Net income for the period | | 716,567 | |
Net Income (Loss), Including Portion Attributable to Noncontrolling Interest | | | |
Stock Issued During Period, Value, Acquisitions | | 58,148,510 | |
Reverse merger recapitalization | | | |
Net income for Fintech Scion US Group for the 1 month period post-acquisition | | 31,472 | |
As Restated Two [Member] | Retained Earnings [Member] | | | |
Accumulated other comprehensive income / (loss) | | (226,828) | |
Reverse merger recapitalization | | | |
As Restated Two [Member] | AOCI Attributable to Parent [Member] | | | |
Accumulated other comprehensive income / (loss) | | 4,263 | |
Accumulated other comprehensive income / (loss) | | 9,067 | |
As Restated Two [Member] | Merger Reserves [Member] | | | |
Stock Issued During Period, Value, Acquisitions | | | |
As Restated [Member] | | | |
Revenue | | 2,476,931 | |
Previously Reported [Member] | | | |
Accumulated other comprehensive income / (loss) | | 111,770,998 | |
Additional paid-in capital | | (55,000,000) | |
Merger reserves | | 1,342,788 | |
Accumulated surplus/(deficit) | | 565,935 | |
Accumulated other comprehensive income | | 58,878,464 | |
Equity attributable to equity holders of the parent | | 3,330 | |
Revenue | | 3,084,279 | |
Cost of Revenue | | (430,281) | |
Cost of Revenue | | 430,281 | |
Gross Profit | | 2,653,998 | |
Gross Profit | | (2,653,998) | |
Selling expense | | (9,790) | |
Selling expense | | 9,790 | |
General and administrative expenses | | (1,863,982) | |
General and administrative expenses | | 1,863,982 | |
Operating Profit | | 780,226 | |
Operating Profit | | (780,226) | |
Total other income / (expense), net | | 5,143,801 | |
Net income before tax | | 5,924,027 | |
Income tax | | (5,057) | |
Net income for the period | | 5,918,970 | |
Accumulated other comprehensive income / (loss) | | 308,288 | |
Net income / (loss) | | 5,918,970 | |
Depreciation and amortization of- property, plant and equipment and right-of-use assets | | 37,471 | |
Depreciation and amortization of- property, plant and equipment and right-of-use assets | | (37,471) | |
Gain on disposal of subsidiaries | | (5,481,178) | |
Other receivables, prepayments and other current assets | | (1,011,960) | |
Commission payables | | (126,315) | |
Accrued expense and other payables | | 1,519,318 | |
Net (used in) / cash generated by operating activities | | (320,584) | |
Purchase of property and equipment | | | |
Purchase of property and equipment | | | |
Disposal of subsidiaries, net of cash disposed | | (75,389) | |
Acquisition of subsidiaries, net cash acquired | | 3,791,378 | |
Net (used in) / cash generated by investing activities | | 3,715,989 | |
Proceed from / (repayment to) related parties | | 391,805 | |
Net cash generated by / (used in) financing activities | | 391,805 | |
EFFECT OF EXCHANGE RATES ON CASH | | (32,865) | |
NET CHANGE IN CASH AND CASH EQUIVALENTS | | 3,754,345 | |
CASH AND CASH EQUIVALENTS, BEGINNING OF YEAR | | 37,033 | |
Previously Reported [Member] | Common Stock [Member] | | | |
Accumulated other comprehensive income / (loss) | | $ 5,409 | |
Shares, Outstanding | | 54,087,903 | |
Stock Issued During Period, Value, Other | | $ (48,678,593) | |
Stock Issued During Period, Shares, New Issues | | 193,333,333 | |
Stock Issued During Period, Value, New Issues | | $ 193,334 | |
Acquisition of subsidiaries, shares | | | |
Stock Issued During Period, Value, Acquisitions | | | |
Previously Reported [Member] | Additional Paid-in Capital [Member] | | | |
Accumulated other comprehensive income / (loss) | | 4,749,798 | |
Net income for the period | | 716,567 | |
Net Income (Loss), Including Portion Attributable to Noncontrolling Interest | | (5,918,970) | |
Stock Issued During Period, Value, Acquisitions | | 113,389,440 | |
Reverse merger recapitalization | | (5,022,637) | |
Previously Reported [Member] | Retained Earnings [Member] | | | |
Accumulated other comprehensive income / (loss) | | (9,598,819) | |
Net income for the period | | | |
Net Income (Loss), Including Portion Attributable to Noncontrolling Interest | | 5,918,970 | |
Reverse merger recapitalization | | 5,022,637 | |
Net income for Fintech Scion US Group for the 1 month period post-acquisition | | | |
Previously Reported [Member] | AOCI Attributable to Parent [Member] | | | |
Accumulated other comprehensive income / (loss) | | 257,647 | |
Accumulated other comprehensive income / (loss) | | 308,288 | |
Previously Reported [Member] | Merger Reserves [Member] | | | |
Stock Issued During Period, Value, Acquisitions | | (55,000,000) | |
Revision of Prior Period, Adjustment [Member] | | | |
Accumulated other comprehensive income / (loss) | | (53,622,488) | |
Additional paid-in capital | | 55,000,000 | |
Merger reserves | | (821,577) | |
Accumulated surplus/(deficit) | | (552,605) | |
Accumulated other comprehensive income | | 3,330 | |
Equity attributable to equity holders of the parent | | (3,330) | |
Revenue | | (607,348) | |
Cost of Revenue | | (15,271) | |
Cost of Revenue | | 15,271 | |
Gross Profit | | 592,077 | |
Gross Profit | | (592,077) | |
Selling expense | | (8,813) | |
Selling expense | | 8,813 | |
General and administrative expenses | | (618,657) | |
General and administrative expenses | | 618,657 | |
Operating Profit | | 35,393 | |
Operating Profit | | (35,393) | |
Total other income / (expense), net | | (5,210,961) | |
Net income before tax | | (5,175,568) | |
Income tax | | 4,637 | |
Net income for the period | | (5,170,931) | |
Accumulated other comprehensive income / (loss) | | (299,221) | |
Net income / (loss) | | (5,170,931) | |
Depreciation and amortization of- property, plant and equipment and right-of-use assets | | 15,734 | |
Depreciation and amortization of- property, plant and equipment and right-of-use assets | | (15,734) | |
Gain on disposal of subsidiaries | | 5,481,178 | |
Other receivables, prepayments and other current assets | | (6,217) | |
Commission payables | | 126,315 | |
Accrued expense and other payables | | 320,126 | |
Net (used in) / cash generated by operating activities | | 734,815 | |
Purchase of property and equipment | | 112,675 | |
Purchase of property and equipment | | (112,675) | |
Disposal of subsidiaries, net of cash disposed | | 1,124,997 | |
Acquisition of subsidiaries, net cash acquired | | (1,306,165) | |
Net (used in) / cash generated by investing activities | | (293,843) | |
Proceed from / (repayment to) related parties | | (571,925) | |
Net cash generated by / (used in) financing activities | | (571,925) | |
EFFECT OF EXCHANGE RATES ON CASH | | 41,932 | |
NET CHANGE IN CASH AND CASH EQUIVALENTS | | (89,021) | |
CASH AND CASH EQUIVALENTS, BEGINNING OF YEAR | | 89,021 | |
Revision of Prior Period, Adjustment [Member] | Common Stock [Member] | | | |
Accumulated other comprehensive income / (loss) | | $ 96,258 | |
Shares, Outstanding | | 47,578,763 | |
Stock Issued During Period, Value, Other | | $ 48,678,593 | |
Stock Issued During Period, Shares, New Issues | | (193,333,333) | |
Stock Issued During Period, Value, New Issues | | $ (193,334) | |
Acquisition of subsidiaries, shares | | 97,075,977 | |
Stock Issued During Period, Value, Acquisitions | | 97,076 | |
Revision of Prior Period, Adjustment [Member] | Additional Paid-in Capital [Member] | | | |
Accumulated other comprehensive income / (loss) | | (4,749,798) | |
Stock Issued During Period, Value, Acquisitions | | (55,240,930) | |
Reverse merger recapitalization | | 5,022,637 | |
Net income for Fintech Scion US Group for the 1 month period post-acquisition | | 31,472 | |
Revision of Prior Period, Adjustment [Member] | Retained Earnings [Member] | | | |
Accumulated other comprehensive income / (loss) | | 9,371,991 | |
Reverse merger recapitalization | | (5,022,637) | |
Revision of Prior Period, Adjustment [Member] | AOCI Attributable to Parent [Member] | | | |
Accumulated other comprehensive income / (loss) | | (253,384) | |
Accumulated other comprehensive income / (loss) | | (299,221) | |
Revision of Prior Period, Adjustment [Member] | Merger Reserves [Member] | | | |
Stock Issued During Period, Value, Acquisitions | | $ 55,000,000 | |