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Prepayments and Other Receivables, Net (Tables)
6 Months Ended
Sep. 30, 2025
Prepayments and Other Receivables, Net [Abstract]  
Schedule of Other Receivables and Prepayments, Net

Other receivables and prepayments, net consisted of the following:

 

   As of
September 30, 2025
   As of
March 31, 2025
 
   US$   US$ 
   (Unaudited)   (Audited) 
Prepaid insurance   15,188    27,438 
Prepaid Nasdaq fee   
    630,000 
Prepaid Rent   31,061    
 
Performance fee receivables   
    3,936,122 
Rental deposit   167,742    57,229 
Others   55,617    20,395 
Total   269,608    4,671,184 
Less: non-current rental deposit   (111,059)   (57,229)
    158,548    4,613,955 
Schedule of Movements of Allowance for Credit Losses

Movements of allowance for credit losses as followings:

 

   

September 30,

2025

  

March 31,

2025

 
    US$   US$ 
    (Unaudited)   (Audited) 
At of beginning of period/year    
   —
    2,076 
Written-off    
    (2,076)
As of the end of period/year