v3.25.2
FINANCIAL INSTRUMENTS (Details)
Mar. 31, 2025
USD ($)
Mar. 31, 2025
HKD ($)
Mar. 31, 2024
HKD ($)
Amortized cost      
Trade receivables - net $ 1,885 $ 14,704 $ 24,991
Deposit and other receivables   38,888 53,689
Amount due to a director 437 3,407 3,168
Loan from a former related company 19 150 150
Dividend payables 6,444
Lease liabilities   843
Categories Of Financial Instruments [Member]      
Amortized cost      
Trade receivables - net   14,704 24,991
Deposit and other receivables   638 665
Bank balance – client accounts   54,503 60,240
Bank balances and cash   6,084 4,282
Financial assets   75,929 90,178
Trade payables   55,829 61,667
Other payables   1,756 1,316
Amount due to a director   3,407 3,168
Loan from a former related company   150 150
Dividend payables   6,444
Lease liabilities   843
 Financial liabilities   $ 61,142 $ 73,588