v3.26.1
ORGANIZATION AND BUSINESS DESCRIPTION - Schedule of Amounts and balances of the VIEs (Details) - VIE - Previously Reported [Member] - USD ($)
12 Months Ended
Mar. 31, 2026
Mar. 31, 2025
Mar. 31, 2024
CURRENT ASSETS:      
Cash and cash equivalents $ 3,525,903 $ 3,745,251  
Restricted cash 145 138  
Short-term investments 1,311,939 3,093,976  
Inventories, net 1,593,649 1,584,425  
Due from related parties 1,005,624 1,240,828  
Long-term accounts receivable, net - current portion 0 82,681  
Long-term other receivable, net - current portion 0 89,050  
Finance receivables, net 58,657 70,801  
Prepaid expenses and other current assets, net 1,848,517 1,112,065  
TOTAL CURRENT ASSETS 15,738,602 16,363,653  
     
Property and equipment, net 279,928 352,212  
Right-of-use assets, net 78,250 104,390  
Deferred tax assets, net 6,989 5,613  
Long-term receivable - other receivable, net - non-current portion 375,228 591,803  
Finance receivables, net 41,077 46,852  
Other non-current assets, net 0 374,201  
TOTAL NONCURRENT ASSETS 781,472 1,475,071  
TOTAL ASSETS 16,520,074 17,838,724  
CURRENT LIABILITIES:      
Short-term bank loan 179,611 137,781  
Deferred revenue 1,072,663 876,905  
Payroll payable 288,746 223,035  
Taxes payable 260,600 251,185  
Due to related parties 102,639 121,825  
Accrued expenses and other current liabilities 109,460 90,676  
Operating lease liabilities - current portion 187,325 150,615  
TOTAL CURRENT LIABILITIES 3,079,610 2,780,029  
     
Deferred tax liabilities 5,971 6,413  
Operating lease liabilities - non-current portion 27,222 64,797  
TOTAL NONCURRENT LIABILITY 33,193 71,210  
TOTAL LIABILITIES 3,112,803 2,851,239  
Net revenue 13,581,528 12,233,829 $ 16,963,957
Net (loss) income (2,355,330) (1,422,561) 850,176
Net cash (used in) provided by operating activities (2,315,443) 1,501,559 2,225,194
Net cash provided by (used in) investing activities 1,567,096 (3,345,406) (1,563,434)
Net cash provided by financing activities 348,083 273,659 36,924
Effect of exchange rate change on cash, cash equivalents and restricted cash 180,923 5,333 (245,000)
Net (decrease) increase in cash, cash equivalents and restricted cash (219,341) (1,564,855) 453,684
Cash, cash equivalents and restricted cash, beginning of year 3,745,389 5,310,244 4,856,560
Cash, cash equivalents and restricted cash, end of year 3,526,048 3,745,389 $ 5,310,244
Nonrelated party      
CURRENT ASSETS:      
Accounts receivable 3,975,778 3,809,698  
Advance to vendors, net 2,272,753 1,289,198  
CURRENT LIABILITIES:      
Accounts payable 798,628 787,746  
Related Party      
CURRENT ASSETS:      
Accounts receivable 24,124 245,492  
Advance to vendors, net 121,513 50  
CURRENT LIABILITIES:      
Accounts payable $ 79,938 $ 140,261