2030 - Disclosure - Reconciliation of Cash per Balance Sheet with Cash Flow Statement, Detail, by Item

Line Label Object Class Period Type Balance Report ElementName
1 2030 - Disclosure - Reconciliation of Cash per Balance Sheet with Cash Flow Statement, Detail, by Item Network

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http://accounting.auditchain.finance/ipsas/role/schedule/level4/ReconciliationOfCashDetailSchedule
2 Reconciling Items of Cash and Cash Equivalents [Table] Hypercube ipsas:ReconcilingItemsOfCashAndCashEquivalentsTable
3 Legal Entity [Axis] Dimension frm:LegalEntityAxis
4 Consolidated Entity [Member] Member frm:ConsolidatedEntityMember
5 Report Date [Axis] Dimension frm:ReportDateAxis
6 Reporting Scenario [Axis] Dimension frm:ReportingScenarioAxis
7 Actual [Member] Member frm:ActualMember
8 Reconciling Item Type [Axis] Dimension ipsas:ReconcilingItemTypeAxis
9 All Reconciling Items of Cash and Cash Equivalents [Member] Member ipsas:AllReconcilingItemsOfCashAndCashEquivalentsMember
10 Reconciling Item of Cash and Cash Equivalents [Line Items] LineItems ipsas:ReconcilingItemOfCashAndCashEquivalentsLineItems
11 Reconciling Item of Cash and Cash Equivalents [Set] Abstract ipsas:ReconcilingItemOfCashAndCashEquivalentsSet
12 Reconciling Item, Description Concept (xbrli:tokenItemType) For Period ipsas:ReconcilingItemDescription
13 Reconciling Item, Amount Concept (Monetary) As Of Debit ipsas:ReconcilingItemAmount