v3.25.2
CONSOLIDATED BALANCE SHEETS - USD ($)
Mar. 31, 2025
Mar. 31, 2024
Current assets    
Cash $ 673,397 $ 1,101,235
Restricted cash 125,561 126,194
Accounts receivable, net 3,310,143 1,785,304
Due from related parties 11,410 37,506
Inventories 59,077 210,259
Deferred contract costs 63,392 379,284
Prepaid expenses and other current assets 35,923 269,339
Total current assets 4,278,903 3,909,121
Non-current assets    
Property and equipment, net 460,314 405,365
Capitalized software development cost, net 202,166 357,264
Deferred offering Cost 838,804 441,067
Long term deposits 94,811 105,917
Total non-current assets 1,596,095 1,309,613
Total assets 5,874,998 5,218,734
Current liabilities    
Short-term bank loans 4,408,340 2,471,374
Accounts payable 1,075,456 1,813,561
Deferred revenue 135,737 434,717
Due to related parties 43,289 63,403
Accrued expenses and other liabilities 718,327 406,540
Total current liabilities 6,381,149 5,189,595
Total non-current liabilities
Total liabilities 6,381,149 5,189,595
EQUITY    
30,000,004 shares issued and outstanding as of March 31, 2025 and 2024) 6,000 6,000
Additional paid-in capital 15,210,301 15,210,301
Accumulated deficit (15,630,351) (15,233,789)
Accumulated other comprehensive income 252,250 257,751
Total Ruanyun Edai Technology Inc.’s shareholders' (deficit) equity (161,800) 240,263
Non-controlling interest (344,351) (211,124)
Total (Deficit) Equity (506,151) 29,139
Total liabilities and equity $ 5,874,998 $ 5,218,734