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CONDENSED STATEMENT OF CASH FLOWS - USD ($)
3 Months Ended
Mar. 31, 2021
Mar. 31, 2020
Cash flow from operating activities    
Net loss $ (108,323) $ (7,355)
Adjustments to reconcile net loss to net cash used in operating activities:    
Interest income earned in cash and investments held in trust account (382)  
Change in fair value of warrant liabilities 30,000  
Changes in operating assets and liabilities:    
Increase in prepayments (92,432)  
Increase in security deposit and rental deposit (4,528)  
(Decrease) increase in accrued expenses (22,837) 367
Cash used in operating activities (198,502) (6,988)
Cash flows from investing activities    
Proceeds deposited in trust account (46,460,000)  
Net cash used in investing activities (46,460,000)  
Cash flows from financing activities    
Proceeds from sale of representative share 75  
Proceeds from public offering 46,000,000  
Proceeds from private placements to related party 2,250,000  
Payment of offering costs (1,124,767) (63,283)
Repayment of advance from a related party (26,750)  
Repayment of promissory note - related party (228,483)  
Net cash provided by (used in )financing activities 46,870,075 (63,283)
NET CHANGE IN CASH 211,575 (70,271)
Cash, beginning of period 239 428,307
Cash, end of period 211,814 $ 358,036
SUPPLEMENTAL DISCLOSURE OF NON-CASH FINANCING ACTIVITIES:    
Initial classification of ordinary shares subject to possible redemption 34,281,198  
Changes in value of ordinary shares subject to possible redemption 125,878  
Deferred underwriting fee payable $ 1,150,000