| 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 |
* |
* |
http://xbrlsite.azurewebsites.net/2019/ipsas/role/schedule/level4/ReconciliationOfCashDetailSchedule |
| 2 |
Reconciling Items of Cash and Cash Equivalents [Table] |
Table |
|
|
ipsas:ReconcilingItemsOfCashAndCashEquivalentsTable |
| 3 |
Legal Entity [Axis] |
Axis |
|
|
frm:LegalEntityAxis |
| 4 |
Consolidated Entity [Member] |
Member |
|
|
frm:ConsolidatedEntityMember |
| 5 |
Report Date [Axis] |
Axis |
|
|
frm:ReportDateAxis |
| 6 |
Reporting Scenario [Axis] |
Axis |
|
|
frm:ReportingScenarioAxis |
| 7 |
Actual [Member] |
Member |
|
|
frm:ActualMember |
| 8 |
Reconciling Item Type [Axis] |
Axis |
|
|
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 |