Bank Loans - Schedule of Bank Loans Comprised (Details) |
12 Months Ended | ||||
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Mar. 31, 2025
SGD ($)
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Mar. 31, 2025
USD ($)
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Mar. 31, 2024
SGD ($)
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Schedule of Bank Loans Comprised [Line Items] | |||||
Loans | $ 3,234,199 | $ 2,405,503 | $ 3,669,815 | ||
Mortgage loan I [Member] | |||||
Schedule of Bank Loans Comprised [Line Items] | |||||
Principal amount | $ 3,270,400 | ||||
Maturity date | Jul. 31, 2030 | ||||
Interest Rate | Subsequent years- 1.30% to 2.00% over the applicable 3-month Compounded Singapore Overnight Rate Average (“SORA”) | ||||
Repayment method | Monthly repayment | ||||
Loans | $ 1,188,377 | 883,880 | 1,364,353 | ||
Mortgage loan II [Member] | |||||
Schedule of Bank Loans Comprised [Line Items] | |||||
Principal amount | $ 1,062,500 | ||||
Maturity date | May 31, 2036 | ||||
Interest Rate | 1.30% to 2.00% over the applicable 3-month SORA | ||||
Repayment method | Monthly repayment | ||||
Loans | $ 670,829 | 498,943 | 708,010 | ||
Mortgage loan III [Member] | |||||
Schedule of Bank Loans Comprised [Line Items] | |||||
Principal amount | $ 887,000 | ||||
Maturity date | Mar. 31, 2031 | ||||
Interest Rate | 1.30% to 2.00% over the applicable 3-month SORA | ||||
Repayment method | Monthly repayment | ||||
Loans | $ 565,504 | 420,605 | 644,691 | ||
Mortgage loan IV [Member] | |||||
Schedule of Bank Loans Comprised [Line Items] | |||||
Principal amount | $ 907,000 | ||||
Maturity date | Aug. 31, 2036 | ||||
Interest Rate | 1.30% to 2.00% over the applicable 3-month SORA | ||||
Repayment method | Monthly repayment | ||||
Loans | $ 595,455 | 442,882 | 634,075 | ||
Mortgage Loan V [Member] | |||||
Schedule of Bank Loans Comprised [Line Items] | |||||
Principal amount | [1] | $ 1,311,000 | |||
Maturity date | [1] | Mar. 21, 2040 | |||
Interest Rate | [1] | Fixed at 3.00% for first 2 years Subsequent years- 3.00% over the applicable 3-month Compounded Singapore Overnight Rate Average (“SORA”) | |||
Repayment method | [1] | Monthly repayment | |||
Loans | [1] | $ 131,219 | 97,597 | ||
Term loan I [Member] | |||||
Schedule of Bank Loans Comprised [Line Items] | |||||
Principal amount | $ 960,000 | ||||
Maturity date | Aug. 31, 2036 | ||||
Interest Rate | 1.30% to 2.00% over the applicable 3-month SORA | ||||
Repayment method | Monthly repayment | ||||
Loans | $ 66,617 | 49,548 | 70,937 | ||
Term loan II [Member] | |||||
Schedule of Bank Loans Comprised [Line Items] | |||||
Principal amount | $ 200,000 | ||||
Maturity date | Aug. 31, 2036 | ||||
Interest Rate | 1.30% to 2.0% over the applicable 3-month SORA | ||||
Repayment method | Monthly repayment | ||||
Loans | $ 16,198 | 12,048 | 17,248 | ||
Trust receipts [Member] | |||||
Schedule of Bank Loans Comprised [Line Items] | |||||
Principal amount | $ 1,000,000 | ||||
Maturity date | |||||
Interest Rate | Prevailing Cost of Funds plus 1.50% | ||||
Repayment method | Upon 90 to 120 days | ||||
Loans | $ 230,501 | ||||
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