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Statements of Cash Flows - USD ($)
1 Months Ended 12 Months Ended
Dec. 31, 2021
Dec. 31, 2022
Cash flows from operating activities    
Net loss $ (4,730) $ (675,874)
Adjustment to reconcile net loss to net cash in operating activities:    
Unrealized income received in trust account (1,107,852)
Unrealized foreign exchange loss 15,579
Formation and operating costs paid by related party 4,730
Changes in operating assets and liabilities:    
Accrued liabilities, excluding unrealized foreign exchange loss 990,141
Prepaid expenses (106,542)
Net cash used in operating activities (884,548)
Cash flows from investing activities:    
Cash deposited in trust account (79,931,250)
Net cash used in investing activities (79,931,250)
Cash flows from financing activities:    
Proceed from related party loan 485,150
Repayment of related party loans (217,641)
Proceeds from sale of units in the initial public offering, including over-allotment 78,750,000
Payment of underwriting fee and other offering costs (1,552,500)
Proceeds from sale of warrants in private placement 3,762,500
Net cash provided by financing activities 81,227,509
Net increase in cash 411,711
Cash – beginning of the period
Cash – end of the period 411,711
Non-cash investing and financial activities:    
Deferred offering costs paid by related party 83,343 149,418
Deferred underwriting commission charged to additional paid in capital 2,362,500
Allocation of offering costs to Class A ordinary shares subject to redemption 304,011
Issuance of representative shares 946,181
Initial value of public shares subject to possible redemption 71,851,500
Reclassification of offering costs related to public shares (4,647,702)
Remeasurement adjustment on public shares subject to possible redemption 13,835,304
Deferred offering costs paid by Sponsor in exchange for issuance of Class B ordinary shares which are deemed to be a repayment to a related party $ 25,000