v3.26.1
Financial Risk Management - Schedule of Credit Quality of the Group’s Financial Assets (Details) - USD ($)
Mar. 31, 2026
Mar. 31, 2025
Gross carrying amount [Member]    
Schedule of Credit Quality of the Group’s Financial Assets [Line Items]    
Trade receivables $ 1,810,275 $ 1,199,983
Other receivables (exclude prepayments and VAT refundable) 74,702 71,031
Amounts due from related parties, net 72,033 1,053,708
Loans to related parties, net   4,291,215
Loss allowance [Member]    
Schedule of Credit Quality of the Group’s Financial Assets [Line Items]    
Trade receivables (37,773) (10,079)
Other receivables (exclude prepayments and VAT refundable)
Amounts due from related parties, net
Loans to related parties, net  
Financial assets (37,773) (10,079)
Net carrying amount [Member]    
Schedule of Credit Quality of the Group’s Financial Assets [Line Items]    
Trade receivables 1,772,502 1,189,904
Other receivables (exclude prepayments and VAT refundable) 74,702 71,031
Amounts due from related parties, net $ 72,033 1,053,708
Loans to related parties, net   $ 4,291,215