v3.26.1
Schedule of prepayment and other current assets (Details) - USD ($)
Mar. 31, 2026
Sep. 30, 2025
Prepayments And Other Current Assets    
Loan and Interest receivable $ 5,012,575 $ 916,164
Prepaid software system development 1,600,000
Receivable from sales of equity investment 350,100 350,100
Advance to suppliers 157,250
Prepaid rent 44,000 48,000
Prepaid insurance 34,028
Prepaid for legal fee 24,649 24,649
Deposits 35,499 24,000
Advance to other service providers 803,333
Other prepayments and current assets 42,000 13,250
Total $ 7,912,156 $ 1,567,441