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Income Statement
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Cash Flow
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Balance Sheet
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Balance Sheets Overview
Current Ratio
32.02%
Quick Ratio
32.02%
Debt to Asset Ratio
301.42%
Unit: Dollar
Assets Breakdown
Cash and cash equivalents
Prepayment
Plant and equipment, net
Liabilities Breakdown
Accumulated deficit
Additional paid in capital
Amount due to a director
Others
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Page 1
Quarterly
123
Page 1
Balance Sheets
2025-10-31
2025-07-31
Cash and cash equivalents
5,927
27,927
Prepayment
5,706
117
Total current assets
11,633
28,044
Plant and equipment, net
422
451
Total non-current assets
422
451
Total assets
12,055
28,495
Accrued liability
3,100
9,000
Amount due to a director
29,153
29,153
Deferred revenue
83
417
Customer deposit
4,000
4,000
Total current liabilities
36,336
42,570
Total liabilities
36,336
42,570
Common stock - par value 0.0001 authorized 75,000,000 shares issued and outstanding 5,950,000 as of october 31, 2025 and july 31, 2025 respectively
595
595
Subscription receivable
0
-
Additional paid in capital
32,035
32,035
Accumulated deficit
-56,911
-46,705
Total shareholders' equity
-24,281
-14,075
Total liabilities and shareholders' equity
12,055
28,495
Page 1
Unit: Dollar. Numbers labeled with * are estimated quarterly values.
Page 1
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Time Plot
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Balance Sheets
Cash and cash
equivalents
$5,927
Prepayment
$5,706
Plant and equipment,
net
$422
Total current assets
$11,633
Total non-current
assets
$422
Total assets
$12,055
Accumulated deficit
-$56,911
Total liabilities and
shareholders' equity
$12,055
Total shareholders'
equity
-$24,281
Additional paid in capital
$32,035
Common stock - par value
0.0001 authorized...
$595
Total liabilities
$36,336
Total current
liabilities
$36,336
Amount due to a director
$29,153
Customer deposit
$4,000
Accrued liability
$3,100
Deferred revenue
$83
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TriUnity Business Services Ltd (TYBB)
TriUnity Business Services Ltd (TYBB)