v3.26.1
Other Current Assets
12 Months Ended
Mar. 31, 2026
Other Current Assets [Abstract]  
Other current assets
7Other current assets*

 

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 

 

*Refer to Note 28 – VIE.