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Borrowings (Current) (Tables)
12 Months Ended
Mar. 31, 2024
Borrowings Current [Abstract]  
Schedule of Borrowings Consist Borrowings consist of the following:
   As of
March 31,
2024
   As of
March 31,
2023
 
   (US$)   (US$) 
Secured Borrowings        
Vehicle loan from financial institution  $10,044    10,946 
Term Loans from a Bank   227,983    
 

Unsecured Borrowings

          
0% Senior Convertible Notes       3,333,333 
Preferred convertible Security   
     
Loan from directors  $1,457,840   $532,960 
Loan from a related party  $32,323   $1,304 
Loan from others   
    10,587 
    1,728,190    3,889,131 
Schedule of Bank Term Loan Security offered for the Bank term Loan is as under:
Sr No.   Type of Security   Details
1   Primary   Hypothecation of entire current assets of the borrower, both present and future
2   Collateral   Equitable Mortgage of the following properties:
        1. Open Land  belonging to the Director of the Company
        2. Residential property of the Company
        3. Residential property belonging to the Director
3   Others   Duly signed standing instruction form with one undated cheque with amount kept blank to be obtained, however “Not exceeding amount << Sanction Loan Amount>> to be written on cheque
4   Guarantor   Personal  Guarantee of the Director of the company