|
The components of other current assets were as follows:
| (In USD) | |
March 31, | | |
March 31, | |
| As at | |
2026 | | |
2025 | |
| Security deposits | |
$ | 24,405 | | |
$ | 24,997 | |
| Franchise tax refund receivable | |
| - | | |
| 84,490 | |
| Advance to employees | |
| 13,297 | | |
| 29,730 | |
| Advance to suppliers | |
| 43,514 | | |
| 5,201 | |
| Receivables from car sale | |
| 3,037 | | |
| 57,892 | |
| Other receivables | |
| 19,320 | | |
| 58,890 | |
| Other current assets | |
$ | 103,573 | | |
$ | 261,200 | |
|