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Financial Instruments, Financial Risks and Capital Management - Summary of Remaining Contractual Maturity for Non Derivative Financial Liabilities (Detail) - SGD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2023
Dec. 31, 2022
Non-interest bearing [Member]    
Disclosure of maturity analysis for non-derivative financial liabilities [line items]    
Total contractual undiscounted cash flows $ 53,001 $ 47,040
Carrying amount 53,001 47,040
Non-interest bearing [Member] | On demand or within 1 year [Member]    
Disclosure of maturity analysis for non-derivative financial liabilities [line items]    
Total contractual undiscounted cash flows 53,001 47,040
Lease liabilities (fixed rate) [Member]    
Disclosure of maturity analysis for non-derivative financial liabilities [line items]    
Total contractual undiscounted cash flows 46,529 43,242
Adjustment (2,911) (4,780)
Carrying amount $ 43,618 $ 38,462
Lease liabilities (fixed rate) [Member] | Bottom of range [member]    
Disclosure of maturity analysis for non-derivative financial liabilities [line items]    
Interest rate 1.48% 1.48%
Lease liabilities (fixed rate) [Member] | Top of range [member]    
Disclosure of maturity analysis for non-derivative financial liabilities [line items]    
Interest rate 18.00% 9.75%
Lease liabilities (fixed rate) [Member] | On demand or within 1 year [Member]    
Disclosure of maturity analysis for non-derivative financial liabilities [line items]    
Total contractual undiscounted cash flows $ 24,097 $ 19,869
Lease liabilities (fixed rate) [Member] | Within 2 to 3 years [Member]    
Disclosure of maturity analysis for non-derivative financial liabilities [line items]    
Total contractual undiscounted cash flows 19,854 19,706
Lease liabilities (fixed rate) [Member] | Within 3 to 5 years [Member]    
Disclosure of maturity analysis for non-derivative financial liabilities [line items]    
Total contractual undiscounted cash flows $ 2,578 $ 3,667