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Other Receivables and Other Current Assets, Net - Schedule of Other Receivables and Other Current Assets, Net (Details) - USD ($)
Mar. 31, 2025
Mar. 31, 2024
Mar. 31, 2023
Mar. 31, 2022
Schedule of Other Receivables and Other Current Assets, Net [Abstract]        
Deposits [1] $ 273,041 $ 42,832    
Prepaid expenses [2] 1,122,403 18,279    
Prepaid income tax [3] 1,812 23,366    
GST recoverable [4] 209,880 232,367    
Other receivables [5] 153,809 197,102    
Less: allowance for credit loss (27,923) (52,949) $ (3,747) $ (2,376)
Total other receivables and other current assets, net $ 1,733,022 $ 460,997    
[1]

The balance of deposit mainly comprised deposits made for rental and utility service of the Company.

[2]

The balance of prepaid expenses represented prepayment for services, such as subscription fees, advertising expenses, and director & officer insurance.

[3]

The balance of prepaid income tax represents prepaid estimated income tax from the Company’s Singapore subsidiary.

[4]

The balance of GST recoverable represented the amount of GST, which resulted from historical purchasing activities and could be further used for deducting future GST in Singapore.

[5]

The balance of other receivables mainly represented balance due from vendor for marketing expense paid on behalf.