v3.26.1
Condensed Consolidated Statement of Cashflows - USD ($)
9 Months Ended 12 Months Ended
Dec. 31, 2025
Dec. 31, 2024
Mar. 31, 2025
Mar. 31, 2024
Mar. 31, 2023
Cash flows from operating activities:          
Net Loss $ (5,900,892) $ (282,028) $ (714,680) $ (93,197) $ 174,268
Adjustments to reconcile net loss to net cash used in operating activities:          
Depreciation and amortization 803,345      
Share-based compensation expense 1,488,500      
Bad debt expenses (17,733) 17,708
Interest forgiven 32,153 32,153
Changes in operating assets and liabilities:          
Due to related party 20,201 48,394 (274,251) (175,757)
Contract assets (12,939) 36,654 37,186 73,909 (47,550)
Account receivables (146,781) (31,037) (25,177) 12,780 (9,571)
Prepaid expenses (47,245) (42,900)      
Rent deposit (2,736) (5,627) (8,192) (385)
Non-cash operating lease expense 71,570 71,522 77,084 20,772 24,074
Deferred offering costs 130,809 340,320
Right-of-use liabilities (71,680) (71,294) (77,350) (20,766) (23,680)
Contract liabilities 998 (24,127) 29,248 38,742 (134,062)
Account payable 114,986 (8,308) (15,087) 11,068 772
Accrued expenses 3,448,533 2,178 (7,783) 6,814
Net cash used in operating activities (251,873) (194,183) (256,215) (239,111) (184,692)
Cash flows from investing activities:          
Purchases of property and equipment (1,000,673)      
Capitalized internal-use software (15,043,691)      
Net cash used in investing activities (16,044,364)      
Cash flows from financing activities:          
Proceeds from issuance of common stock upon initial public offering, net of underwriting discounts, commissions and other offering costs 15,308,000      
Shareholder investment 37,000      
Proceeds from the issuance of preferred stock, net 1,300,000      
Borrowings on debt     472,477
Loan payment     (1,497)
Net cash provided from financing activities 16,645,000 (1,497) 472,477
Net change in cash 348,763 (194,183) (257,712) 233,366 (184,692)
Effect of currency translation on cash and cash equivalents 85,939 1,710 21,502 75 (363)
Cash and cash equivalents, beginning of period 31,950 268,160 268,160 34,719 219,774
Cash and cash equivalents, end of period 466,652 75,687 31,950 268,160 34,719
SUPPLEMENTAL DISCLOSURE OF CASH FLOW INFORMATION:          
Cash paid for interest 10,482 44,857 16,298 1,199
Cash paid for taxes
NON-CASH INVESTING AND FINANCING ACTIVITIES          
Establishment of ROU asset and liabilities 106,752 82,402 82,402 45,680 31,689
Shareholder distribution 600,000 600,000
Debt conversion 600,000 600,000
Stock Issued for services 85,800 $ 85,800
Accretion to redeemable preferred equity 384,650      
Deferred IPO costs reclassified to APIC $ 266,028