v3.25.2
TRADE PAYABLES (Tables)
12 Months Ended
Mar. 31, 2025
Notes and other explanatory information [abstract]  
Schedule of trade payables
          
   As of March 31,
    2024    2025 
    HK$’000    HK$’000 
           
Trade payables arising from the business of dealing in securities:          
-    Cash clients – third parties   55,919    53,860 
-    Margin clients – third parties   4,321    643 
-    Others – third parties   127    26 
Trade payables arising from consultancy services – third parties   1,300    1,300 
           
 Trade payables   61,667    55,829