v3.26.1
Other Non-Current Assets (Tables)
12 Months Ended
Mar. 31, 2026
Other Non-Current Assets [Abstract]  
Schedule of Other Non-Current Assets

The components of other non-current assets were as follows:

 

(In USD)
As at
  March 31,
2026
    March 31,
2025
 
             
Security deposits   $ 170,922     $ 188,723  
Deposits with tax authorities     453,327       422,282  
Assets previously held for sale*     213,875      
 
 
Restricted cash**     -       94,762  
Other non-current assets   $ 838,124     $ 705,767  

 

* During the year ended March 31, 2026, the Company reassessed the assets held for sale that were previously presented under current assets. As the sale of these assets is no longer expected to be completed within one year, the conditions for classification as held for sale under ASC 360-10-45-9 are no longer met. Accordingly, the assets have been reclassified from assets held for sale to other non-current assets . In accordance with ASC 360-10-35-44, the assets have been measured at the lower of their carrying amount before classification as held for sale, adjusted for the depreciation that would have been recognised had they been continuously classified as held and used, and their fair value at the date of the decision not to sell. No adjustment was required as the adjusted carrying amount was lower than fair value.

 

** Restricted cash represented amount held as an indemnification escrow fund with the placement agent for all indemnification liabilities and expenses payable by the Company as per the placement agent agreement for a period of 3 years from closing of the November 2024 Offering. As at March 31, 2026, all dues towards the same have been settled by the Company.