Annual report pursuant to Section 13 and 15(d)

Summary of Significant Accounting Policies - Schedule of New Accounting Pronouncements and Changes in Accounting Principles (Details)

v3.19.2
Summary of Significant Accounting Policies - Schedule of New Accounting Pronouncements and Changes in Accounting Principles (Details) - USD ($)
12 Months Ended
Jun. 30, 2019
Jun. 30, 2018
Jul. 02, 2018
Jun. 30, 2017
Cash and cash equivalents $ 17,366,364 $ 22,088,853 $ 22,088,853  
Accounts receivable, net of allowance 12,332,714 12,775,461 12,775,461  
Accounts receivable, net - related party 3,266,600 3,374,272 3,374,272  
Revenues in excess of billings 14,719,047 14,285,778 6,956,966  
Revenues in excess of billings - related party 110,827  
Convertible note receivable - related party 3,650,000 2,123,500 2,123,500  
Other current assets 3,146,264 2,703,032 2,703,032  
Total current assets 54,591,816 57,350,896 50,022,084  
Revenues in excess of billings, net - long term 1,281,492 1,206,669 $ 5,173,538
Property and equipment, net 12,096,855 16,165,491 16,165,491  
Long term investment 2,653,769 3,217,162 3,217,162  
Other assets 23,569 70,299 70,299  
Intangible assets, net 7,332,950 12,247,196 12,247,196  
Goodwill 9,516,568 9,516,568 9,516,568  
Total assets 87,497,019 99,774,281 91,238,800  
Accounts payable and accrued expenses 7,476,560 7,873,809 7,873,809  
Current portion of loans and obligations under capitalized leases 6,905,597 8,595,919 8,595,919  
Unearned revenues 5,977,736 5,949,581 6,167,755  
Common stock to be issued 88,324 88,324 88,324  
Total current liabilities 20,448,217 22,507,633 22,725,807  
Loans and obligations under capitalized leases; less current maturities 564,572 330,596 330,596  
Total liabilities 21,012,789 22,838,229 23,056,403  
Commitments and contingencies  
Preferred stock, value  
Common stock, value 119,117 117,085 117,085  
Additional paid-in-capital 127,737,999 126,479,147 126,479,147  
Treasury stock (1,455,969) (1,205,024) (1,205,024)  
Accumulated deficit (35,206,898) (37,994,502) (43,790,297)  
Stock subscription receivable (221,000) (221,000)  
Other comprehensive loss (33,125,006) (24,386,071) (24,386,071)  
Total NetSol stockholders' equity 58,069,243 62,789,635 56,993,840  
Non-controlling interest 8,414,987 14,146,417 11,188,557  
Total stockholders' equity 66,484,230 76,936,052 68,182,397 $ 78,193,553
Total liabilities and stockholders' equity 87,497,019 99,774,281 $ 91,238,800  
Total net revenues 67,819,183 60,930,258    
Salaries and consultants 19,253,364 21,856,162    
Travel 6,527,868 1,775,327    
Depreciation and amortization 3,525,857 4,610,737    
Other 4,066,443 3,481,115    
Total cost of revenues 33,373,532 31,723,341    
Gross profit 34,445,651 29,206,917    
Selling and marketing 7,831,758 7,620,476    
Depreciation and amortization 897,800 962,737    
General and administrative 16,916,953 16,714,797    
Research and development cost 1,971,228 853,996    
Total operating expenses 27,617,739 26,152,006    
Income from operations 6,827,912 3,054,911    
Gain (loss) on sale of assets 81,455 7,594    
Interest expense (311,798) (422,327)    
Interest income 955,061 592,153    
Gain on foreign currency exchange transactions 6,345,859 5,010,383    
Share of net loss from equity investment (841,845) (262,556)    
Other income 18,680 42,847    
Total other income (expenses) 6,247,412 4,968,094    
Net income before income taxes 13,075,324 8,023,005    
Income tax provision (1,057,784) (873,027)    
Net income 12,017,540 7,149,978    
Non-controlling interest (3,434,141) (2,843,090)    
Net income (loss) attributable to NetSol $ 8,583,399 $ 4,306,888    
Net income (loss) per common share Basic $ 0.74 $ 0.38    
Net income (loss) per common share Diluted $ 0.74 $ 0.38    
Weighted average number of shares outstanding Basic 11,599,290 11,197,319    
Weighted average number of shares outstanding Diluted 11,621,990 11,197,319    
Depreciation and amortization $ 4,423,657 $ 5,573,474    
Provision for bad debts 474,516 460,730    
Share of net loss from investment under equity method 841,845 262,556    
Stock based compensation 1,131,013 1,861,445    
Fair market value of stock options 43,612    
Accounts receivable (1,836,962) (7,735,582)    
Accounts receivable - related party (977,445) (2,735,846)    
Revenues in excess of billing (10,764,428)      
Revenues in excess of billing - related party (122,810) 77,128    
Other current assets (861,128) (195,529)    
Accounts payable and accrued expenses (47,819) 1,653,778    
Unearned revenue 692,089 2,388,699    
Net cash provided by operating activities 4,933,210 15,714,322    
Purchases of property and equipment (2,726,558) (2,449,449)    
Sales of property and equipment 1,170,878 943,252    
Convertible note receivable - related party (1,526,500) (1,923,500)    
Investment in associates (250,000)      
Purchase of subsidiary shares from open market (317,500) (33,987)    
Net cash used in investing activities (3,649,680) (3,693,684)    
Proceeds from the exercise of stock options and warrants 85,000 312,311    
Proceeds from exercise of subsidiary options 2,650 10,349    
Purchase of treasury stock (250,945) (750,714)    
Dividend paid by subsidiary to non-controlling interest (566,465) (417,853)    
Proceeds from bank loans 1,227,158 1,455,250    
Payments on capital lease obligations and loans - net (480,231) (1,626,109)    
Net cash provided by financing activities 17,167 (1,016,766)    
Effect of exchange rate changes (6,023,186) (3,087,973)    
Net decrease in cash and cash equivalents (4,722,489) 7,915,899    
Cash and cash equivalents at beginning of the period 22,088,853 14,172,954    
Cash and cash equivalents at end of period 17,366,364 22,088,853    
License Fees [Member]        
Total net revenues 16,768,749 6,598,254    
Maintenance Fees [Member]        
Total net revenues 15,010,171 14,382,309    
Services [Member]        
Total net revenues 34,185,992 33,611,982    
License Fees - Related Party [Member]        
Total net revenues 261,513    
Maintenance Fees - Related Party [Member]        
Total net revenues 511,242 418,444    
Services - Related Party [Member]        
Total net revenues 1,343,029 5,657,756    
Adjustments [Member]        
Revenues in excess of billings 9,324,173 (7,328,812)    
Total current assets 9,324,173 (7,328,812)    
Revenues in excess of billings, net - long term 1,383,585 (1,206,669)    
Total assets 10,707,758 (8,535,481)    
Unearned revenues (908,100) 218,174    
Total current liabilities (908,100) 218,174    
Total liabilities (908,100) 218,174    
Commitments and contingencies    
Preferred stock, value    
Accumulated deficit 7,690,573 (5,795,795)    
Total NetSol stockholders' equity 7,690,573 (5,795,795)    
Non-controlling interest 3,925,285 (2,957,860)    
Total stockholders' equity 11,615,858 (8,753,655)    
Total liabilities and stockholders' equity 10,707,758 (8,535,481)    
Total net revenues 944,453      
Salaries and consultants      
Travel      
Depreciation and amortization      
Other      
Total cost of revenues      
Gross profit 944,453      
Selling and marketing      
Depreciation and amortization      
General and administrative      
Research and development cost      
Total operating expenses      
Income from operations 944,453      
Gain (loss) on sale of assets      
Interest expense      
Interest income 176,916      
Gain on foreign currency exchange transactions 1,740,834      
Share of net loss from equity investment      
Other income      
Total other income (expenses) 1,917,750      
Net income before income taxes 2,862,203      
Income tax provision      
Net income 2,862,203      
Non-controlling interest (967,425)      
Net income (loss) attributable to NetSol $ 1,894,778      
Net income (loss) per common share Basic $ 0.16      
Net income (loss) per common share Diluted $ 0.16      
Weighted average number of shares outstanding Basic 11,599,290      
Weighted average number of shares outstanding Diluted 11,621,990      
Revenues in excess of billing $ (2,172,277)      
Unearned revenue (689,926)      
Net cash provided by operating activities      
Net cash used in investing activities      
Net cash provided by financing activities      
Net decrease in cash and cash equivalents      
Cash and cash equivalents at end of period      
Adjustments [Member] | License Fees [Member]        
Total net revenues 357,259      
Adjustments [Member] | Maintenance Fees [Member]        
Total net revenues 587,194      
Adjustments [Member] | Services [Member]        
Total net revenues      
Adjustments [Member] | License Fees - Related Party [Member]        
Total net revenues      
Adjustments [Member] | Maintenance Fees - Related Party [Member]        
Total net revenues      
Adjustments [Member] | Services - Related Party [Member]        
Total net revenues      
Balances under Prior GAAP [Member]        
Cash and cash equivalents 17,366,364      
Accounts receivable, net of allowance 12,332,714      
Accounts receivable, net - related party 3,266,600      
Revenues in excess of billings 24,043,220      
Revenues in excess of billings - related party 110,827      
Convertible note receivable - related party 3,650,000      
Other current assets 3,146,264      
Total current assets 63,915,989      
Revenues in excess of billings, net - long term 2,665,077      
Property and equipment, net 12,096,855      
Long term investment 2,653,769      
Other assets 23,569      
Intangible assets, net 7,332,950      
Goodwill 9,516,568      
Total assets 98,204,777      
Accounts payable and accrued expenses 7,476,560      
Current portion of loans and obligations under capitalized leases 6,905,597      
Unearned revenues 5,069,636      
Common stock to be issued 88,324      
Total current liabilities 19,540,117      
Loans and obligations under capitalized leases; less current maturities 564,572      
Total liabilities 20,104,689      
Commitments and contingencies      
Preferred stock, value      
Common stock, value 119,117      
Additional paid-in-capital 127,737,999      
Treasury stock (1,455,969)      
Accumulated deficit (27,516,325)      
Stock subscription receivable      
Other comprehensive loss (33,125,006)      
Total NetSol stockholders' equity 65,759,816      
Non-controlling interest 12,340,272      
Total stockholders' equity 78,100,088      
Total liabilities and stockholders' equity 98,204,777      
Total net revenues 68,763,636      
Salaries and consultants 19,253,364      
Travel 6,527,868      
Depreciation and amortization 3,525,857      
Other 4,066,443      
Total cost of revenues 33,373,532      
Gross profit 35,390,104      
Selling and marketing 7,831,758      
Depreciation and amortization 897,800      
General and administrative 16,916,953      
Research and development cost 1,971,228      
Total operating expenses 27,617,739      
Income from operations 7,772,365      
Gain (loss) on sale of assets 81,455      
Interest expense (311,798)      
Interest income 1,131,977      
Gain on foreign currency exchange transactions 8,086,693      
Share of net loss from equity investment (841,845)      
Other income 18,680      
Total other income (expenses) 8,165,162      
Net income before income taxes 15,937,527      
Income tax provision (1,057,784)      
Net income 14,879,743      
Non-controlling interest (4,401,566)      
Net income (loss) attributable to NetSol $ 10,478,177      
Net income (loss) per common share Basic $ 0.90      
Net income (loss) per common share Diluted $ 0.90      
Weighted average number of shares outstanding Basic 11,599,290      
Weighted average number of shares outstanding Diluted 11,621,990      
Depreciation and amortization $ 4,423,657      
Provision for bad debts 474,516      
Share of net loss from investment under equity method 841,845      
Stock based compensation 1,131,013      
Fair market value of stock options 43,612      
Accounts receivable (1,836,962)      
Accounts receivable - related party (977,445)      
Revenues in excess of billing (12,936,705)      
Revenues in excess of billing - related party (122,810)      
Other current assets (861,128)      
Accounts payable and accrued expenses (47,819)      
Unearned revenue 2,163      
Net cash provided by operating activities 4,933,210      
Purchases of property and equipment (2,726,558)      
Sales of property and equipment 1,170,878      
Convertible note receivable - related party (1,526,500)      
Investment in associates (250,000)      
Purchase of subsidiary shares from open market (317,500)      
Net cash used in investing activities (3,649,680)      
Proceeds from the exercise of stock options and warrants 85,000      
Proceeds from exercise of subsidiary options 2,650      
Purchase of treasury stock (250,945)      
Dividend paid by subsidiary to non-controlling interest (566,465)      
Proceeds from bank loans 1,227,158      
Payments on capital lease obligations and loans - net (480,231)      
Net cash provided by financing activities 17,167      
Effect of exchange rate changes (6,023,186)      
Net decrease in cash and cash equivalents (4,722,489)      
Cash and cash equivalents at beginning of the period 22,088,853      
Cash and cash equivalents at end of period 17,366,364 $ 22,088,853    
Balances under Prior GAAP [Member] | License Fees [Member]        
Total net revenues 17,126,008      
Balances under Prior GAAP [Member] | Maintenance Fees [Member]        
Total net revenues 15,597,365      
Balances under Prior GAAP [Member] | Services [Member]        
Total net revenues 34,185,992      
Balances under Prior GAAP [Member] | License Fees - Related Party [Member]        
Total net revenues      
Balances under Prior GAAP [Member] | Maintenance Fees - Related Party [Member]        
Total net revenues 511,242      
Balances under Prior GAAP [Member] | Services - Related Party [Member]        
Total net revenues $ 1,343,029