v3.26.1
LOAN PAYABLE (Tables)
9 Months Ended 12 Months Ended
Dec. 31, 2025
Mar. 31, 2025
Debt Disclosure [Abstract]    
SCHEDULE OF BANK BORROWINGS

Bank borrowings are as follows as of December 31, 2025 and March 31, 2025:

 SCHEDULE OF BANK BORROWINGS

   Interest rate   December 31, 2025   March 31, 2025 
HSBC (Hong Kong) – 100% Guarantee Loan   3.00%  $473,566   $473,566 
                
Less: current portion of long-term bank borrowings        (10,740)   (378)
Non-current portion of long-term bank borrowings       $462,826   $473,188 

Bank borrowings are as follows as of March 31, 2025 and 2024:

 

SCHEDULE OF BANK BORROWINGS

   Interest rate   March 31, 2025   March 31, 2024 
HSBC (Hong Kong) - 100% Guarantee Loan   3.000%  $473,566   $472,477 
                
Less: current portion of long-term bank borrowings        (378)   (18,645)
Non-current portion of long-term bank borrowings       $473,188   $453,832 
SCHEDULE OF MATURITIES OF LOAN PAYABLE

Maturities of the bank borrowings were as follows:

 SCHEDULE OF MATURITIES OF LOAN PAYABLE

   As of 
   December 31, 2025 
2026   10,740 
2027   46,963 
Thereafter   415,863 
Total bank borrowings repayments  $473,566 

Maturities of the loan payable were as follows:

 

 SCHEDULE OF MATURITIES OF LOAN PAYABLE

  

Year ended

March 31, 2025
 
2026  $21,971 
2027   47,317 
Thereafter   403,900 
Total loan payables  $473,188