Prepayments, Other Receivables and Other Current Assets, Net - Schedule of Prepayments, Other Receivables and Other Current Assets, Net (Details) - USD ($) |
Jun. 30, 2025 |
Mar. 31, 2025 |
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Schedule of Prepayments, Other Receivables and Other Current Assets, Net [Abstract] | ||||||||||
Purchase contract termination refund | [1] | $ 446,703 | $ 440,972 | |||||||
Deposits | [2] | 236,973 | 273,182 | |||||||
Prepaid expenses | [3] | 370,918 | 273,405 | |||||||
Value added tax (“VAT”) recoverable | [4] | 7,694 | 40,065 | |||||||
Employee advances | 536 | 413 | ||||||||
Others | 8,850 | 4,110 | ||||||||
Less: Allowance for credit losses | (17,063) | |||||||||
Total prepayments, other receivables and other current assets, net | $ 1,071,674 | $ 1,015,084 | ||||||||
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