Other (Income)/Expense, Net - Schedule of Other (income)/Expense, Net (Details) - USD ($) |
12 Months Ended | |||||||||
|---|---|---|---|---|---|---|---|---|---|---|
Mar. 31, 2026 |
Mar. 31, 2025 |
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| Other (income)/expense, net - other than related parties | ||||||||||
| Interest income | $ (9,007) | $ (40,428) | ||||||||
| Change in fair value of derivative financial instruments | (9,035,085) | |||||||||
| Loss on modification of finance leases | 456,715 | |||||||||
| Change in fair value of Atalaya Note | (1,740,636) | |||||||||
| Loss on litigation settlement | [1] | 5,603,193 | 12,738,865 | |||||||
| Loss on settlement of liability | 42,558 | |||||||||
| Loss/(gain) on sale of property & equipment | 2,188 | (114) | ||||||||
| Gain on sale of assets held for sale | (10,755) | (1,054) | ||||||||
| Loss on extinguishment of liability | [2] | 3,458,248 | ||||||||
| Bad debts written off on receivables from car sale | 452,014 | |||||||||
| Gain on derecognition of subsidiary, net (Refer Note 28) | [3] | (1,748,507) | ||||||||
| Liquidated damages to Investors | [4] | 2,568,936 | 570,893 | |||||||
| Impairment on assets held for sale | 23,789 | 448,484 | ||||||||
| Loss on assets written off | 111,094 | 853,194 | ||||||||
| Payable to customers and provision written back | (102,815) | (227,643) | ||||||||
| Gain on recovery of goods and service tax receivable | (439,204) | |||||||||
| Gain on write off of liabilities (Refer Note 25) | (1,272,825) | (219,284) | ||||||||
| Other, net | (25,351) | 71,123 | ||||||||
| Total | $ 4,743,294 | $ 7,785,292 | ||||||||
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