v3.26.1
Prepayments, Other Receivables and Other Current Assets - Schedule of Prepayments, Other Receivables and Other Current Assets, Net (Details) - USD ($)
Dec. 31, 2025
Mar. 31, 2025
Schedule of Prepayments, Other Receivables and Other Current Assets, Net [Abstract]    
Prepaid expenses [1] $ 556,528 $ 256,291
Purchase contract termination refund [2] 114,398 440,972
Deposits [3] 75,879 79,801
Employee advances 413
Others 2,850 4,110
Total prepayments, other receivables and other current assets $ 749,655 $ 781,587
[1] The balance of prepaid expense represented automobile purchase prepayments, automobile liability insurance premium for automobiles for operating lease and other miscellaneous expense such as office lease, office remodel expense, etc. that will expire within one year.
[2] The balance of purchase contract termination refund represented the part of the purchase prepayments originally made for automobile purchase, which will be refunded before March 31, 2026 due to the termination of automobile purchase.
[3] The balance of deposits mainly represented the security deposit made by the Company to various automobile leasing companies and Didi Chuxing Technology Co., Ltd., who runs an online ride-hailing platform. As of December 31, 2025 and March 31, 2025, no allowance for credit losses was recorded.