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Financial Risk Management (Tables)
12 Months Ended
Mar. 31, 2024
Financial Risk Management [Abstract]  
Schedule of Expected Credit Loss The Group provides for expected credit loss based on the following:

 

Credit rating

  Basis of categorization   Provision for expected credit loss
Low credit risk   Cash and cash equivalents, trade receivables, and other financial assets   12 month expected credit loss
Moderate credit risk   Trade receivables and other financial assets   Lifetime expected credit loss, or 12 month expected credit loss
High credit risk   Trade receivables and other financial assets   Lifetime expected credit loss, or fully provided for
Schedule of Profit and Loss and Other Comprehensive Income Recoveries made are recognized in the consolidated statement of profit and loss and other comprehensive income.

Credit rating

  Basis of categorization  As of
31 March
2024
   As of
31 March
2023
 
Low credit risk  Cash and cash equivalents  $246,377.00   $311,810.00 
Low credit risk  Other financial assets  $4,222,957.00   $2,529,576.00 
Moderate credit risk  Trade receivables  $3,682,302.00   $1,831,724 
Moderate credit risk  Other receivables  $
   $
 
Schedule of Loss Provisions are Disclosed Under Each Sub-Category of Such Financial Assets The Group does not have any expected loss-based impairment recognized on such assets considering their low credit risk nature, though incurred loss provisions are disclosed under each sub-category of such financial assets.
Asset class  Estimated gross
carrying amount
at default
   Expected
probability
of default
   Expected
credit losses
   As of
March 31,
2024
 
Cash and cash equivalents  $246,377.00    0.00%   
   $246,377.00 
Other financial assets  $4,222,957.00    0.00%   
   $4,222,957.00 
Asset class  Estimated gross
carrying amount
at default
   Expected
probability
of default
   Expected
credit losses
   As of
March 31,
2023
 
Cash and cash equivalents  $311,810    0.00%   
   $311,810 
Other financial assets  $2,529,576    0.00%   
   $2,529,576 

 

Schedule of Considered to Recognize Lifetime Expected Credit Losses on Trade Receivables
Ageing  Not past
due &<30
   31 – 90   90 – 180   180 – 365   >365   Total 
Gross carrying amount   3,811,576.00    
    
    
    
    
 
Expected loss rate   0.00%   0.00%   0.04%   6.61%   50.00%     
Estimated total gross carrying amount at default   2,821,141    335,357    276,851    138,164    240,063    3,811,576 
Lifetime ECL   
    
    106.00    9,137.00    120,031.00    129,274 
Ageing  Not past
due &<30
   31 – 90   90 – 180   180 – 365   >365   Total 
Gross carrying amount   1,889,556    
    
    
    
    
 
Expected loss rate   0.00%   0.00%   0.03%   5.82%   50.00%     
Estimated total gross carrying amount at default   1,259,489    239,522    220,966    59,573    110,006    1,889,556 
Lifetime ECL   0.01    0.10    73.16    3,641.53    54,116.20    57,831 
Schedule of Movement of Allowance for Trade Receivables Movement of allowance for trade receivables
(USD) As at March 31, 2022    
Acquired in business combination   190,549.00 
Gain recognised/(reversed) during the year   (120,544.00)
Exchange gain   12,174.00 
Amounts written off     
As at March 31, 2023   57,831.00 
Acquired in business combination   
 
Gain recognised/(reversed) during the year   72,698.00 
Exchange gain   
 
Amounts written off     
As at March 31, 2024   (1,255.00)
    129,274.00 
Schedule of Group’s Financial Liabilities Based on their Contractual Maturities The amounts disclosed in the table are the contractual undiscounted cash flows.
Liability class  Less than
1 year
   1 – 2 years   2 – 3 years   More than
3 years
   Total
as of
March 31,
2024
 
Borrowings  $1,728,190    
    
    
   $1,728,190 
Trade payables   8,430,154    
    
    
    8,430,154 
Other financial liabilities   243,655    
    
    
    243,655 
Other current liabilities   3,413,025                   3,413,025 
Total  $13,815,024   $
   $
   $
   $13,815,024 
As at March 31, 2023
Liability class  Less than
1 year
   1 – 2 years   2 – 3 years   More than
3 years
   Total
as of
March 31,
2023
 
Borrowings  $3,889,131    
    
    
   $3,889,131 
Trade payables   6,802,780    
    
    
    6,802,780 
Other financial liabilities   1,715,060    
    
    
    1,715,060 
Other current liabilities   2,452,190                   2,452,190 
Customer Acquisition Payable   
    
    
    
    
 
Total  $14,859,161   $
   $
   $
   $14,859,161