v3.25.2
SCHEDULE OF FOREIGN EXCHANGE RISK EXPOSURE OF FINANCIAL INSTRUMENTS (Details)
12 Months Ended
Mar. 31, 2025
USD ($)
Mar. 31, 2024
USD ($)
Mar. 31, 2025
EUR (€)
Mar. 31, 2025
CAD ($)
Trading Activity, Gains and Losses, Net [Line Items]        
Tax receivable $ 604,912 $ 374,964    
Increase/decrease in prepaid expenses (158,287) (648,326)    
Restricted share unit liability 3,911,823 576,214    
Restricted share unit liability (3,911,823) (576,214)    
Increase/decrease in deferred grant 37,553 $ 80,993    
Fair Value Concentration of Risk All Financial Instrument [Member]        
Trading Activity, Gains and Losses, Net [Line Items]        
Tax receivable 380   € 352  
Accounts payable (17,944)   (16,622)  
Foreign currency future instrument 104,416   34,111  
Restricted cash 122,740   113,701  
Deferred Grant (67,732)   € (62,615)  
Plus 10 Percentage Fluctuation [Member] | Fair Value Concentration of Risk All Financial Instrument [Member]        
Trading Activity, Gains and Losses, Net [Line Items]        
Increase/decrease in tax receivable 38      
Increase/decrease in accounts payable 1,794      
Increase/decrease in foreign currency future instrument 3,668      
Increase/decrease in restricted cash 12,274      
Increase/decrease in deferred grant 6,773      
Minus 10 Percentage Fluctuation [Member] | Fair Value Concentration of Risk All Financial Instrument [Member]        
Trading Activity, Gains and Losses, Net [Line Items]        
Increase/decrease in tax receivable (38)      
Increase/decrease in accounts payable (1,794)      
Increase/decrease in foreign currency future instrument (3,668)      
Increase/decrease in restricted cash (12,274)      
Increase/decrease in deferred grant (6,773)      
Foreign Exchange [Member]        
Trading Activity, Gains and Losses, Net [Line Items]        
Cash 3,788,233     $ 5,445,994
Tax receivable 605,293     870,173
Prepaid expenses 283,946     408,202
Accounts payable (947,445)     (1,362,055)
Accrued liabilities (41,736)     (60,000)
Restricted share unit liability 3,911,824     (5,623,668)
Restricted share unit liability (3,911,824)     5,623,668
Foreign currency future instrument 223,534     $ 321,354
Foreign Exchange [Member] | Plus 10 Percentage Fluctuation [Member]        
Trading Activity, Gains and Losses, Net [Line Items]        
Increase/decrease in cash 378,823      
Increase/decrease in tax receivable 60,529      
Increase/decrease in prepaid expenses 28,395      
Increase/decrease in accounts payable 94,745      
Increase/decrease in accrued liabilities 4,174      
Increase/decrease in restricted share unit liability 391,182      
Increase/decrease in foreign currency future instrument 22,354      
Foreign Exchange [Member] | Minus 10 Percentage Fluctuation [Member]        
Trading Activity, Gains and Losses, Net [Line Items]        
Increase/decrease in cash (378,823)      
Increase/decrease in tax receivable (60,529)      
Increase/decrease in prepaid expenses (28,395)      
Increase/decrease in accounts payable (94,745)      
Increase/decrease in accrued liabilities (4,174)      
Increase/decrease in restricted share unit liability (391,182)      
Increase/decrease in foreign currency future instrument $ (22,354)