v3.25.2
Bank Loans - Schedule of Outstanding Balance of Banking Facilities (Details) - USD ($)
12 Months Ended
Mar. 31, 2025
Mar. 31, 2024
Schedule of Outstanding Balance of Banking Facilities [Line Items]    
Bank Loans $ 11,921,224 $ 9,020,817
Bank Loans, current 10,500,085 8,812,807
Bank Loans, non-current $ 1,421,139 208,010
United Overseas Bank Limited (UOB) [Member]    
Schedule of Outstanding Balance of Banking Facilities [Line Items]    
Maturity date July 2025 (Repaid in July 2025)  
Interest rate 2.50%  
Collateral/Guarantee Personal Guarantee by Choo See Wee, the Chairman of the Company, and GCL BVI.  
Bank Loans $ 209,633 826,000
Citi Bank [Member]    
Schedule of Outstanding Balance of Banking Facilities [Line Items]    
Maturity date June 2025 to July  2025  
Collateral/Guarantee Personal Guarantee by Choo See Wee, the Chairman of the Company. Collateral by fixed deposit in bank  
Bank Loans $ 2,738,728 2,799,249
HSBC Bank [Member]    
Schedule of Outstanding Balance of Banking Facilities [Line Items]    
Maturity date April 2025 to July 2025  
Collateral/Guarantee Personal Guarantee by Choo See Wee, the Chairman of the Company. Collateral by fixed deposit in bank  
Bank Loans $ 6,015,053 5,395,568
HSBC Loan [Member]    
Schedule of Outstanding Balance of Banking Facilities [Line Items]    
Maturity date [1] March 2025 to February 2027  
Interest rate 6.33%  
Collateral/Guarantee [1] Personal Guarantee by Choo See Wee, the Chairman of the Company.  
Bank Loans [1] $ 2,875,000
DBS Bank Ltd [Member]    
Schedule of Outstanding Balance of Banking Facilities [Line Items]    
Maturity date May 2027  
Interest rate 6.90%  
Collateral/Guarantee Personal Guarantee by Choo See Wee, the Chairman of the Company, and Tan Jian Hao, the CEO of Titan Digital  
Bank Loans $ 82,810
Minimum [Member] | Citi Bank [Member]    
Schedule of Outstanding Balance of Banking Facilities [Line Items]    
Interest rate 4.30%  
Minimum [Member] | HSBC Bank [Member]    
Schedule of Outstanding Balance of Banking Facilities [Line Items]    
Interest rate 4.30%  
Maximum [Member] | Citi Bank [Member]    
Schedule of Outstanding Balance of Banking Facilities [Line Items]    
Interest rate 6.10%  
Maximum [Member] | HSBC Bank [Member]    
Schedule of Outstanding Balance of Banking Facilities [Line Items]    
Interest rate 6.10%  
[1] From March 2025 to the date of the issuance of these consolidated financial statements, the Company obtained long term bank loans from HSBC Bank for an aggregate total of approximately $2.9 million to be due from March 2027. These bank loans bear interest rates per annum 6.33%.