v3.26.1
BANK BORROWING (Tables)
12 Months Ended
Mar. 31, 2026
Debt Disclosure [Abstract]  
SCHEDULE OF BANK BORROWING

Bank borrowing was analyzed as follows:

 

   2026   2025 
   As of March 31, 
   2026   2025 
         
Bank borrowing – guaranteed and repayable on demand  $154,972   $156,170 
SCHEDULE OF MATURITIES OF THE BANK BORROWING

Maturities of the bank borrowing based on repayment schedule, were as follows:

   2026   2025 
   As of March 31, 
   2026   2025 
Carrying amount:          
Within one year  $21,855   $21,977 
Between one and two years   133,117    134,193 
           
 Total carrying amount  $154,972   $156,170 
SCHEDULE OF BANK BORROWING IS CLASSIFIED AS CURRENT LIABILITIES

Bank borrowing as of March 31, 2026 and 2025 was as follows:

 

      Maturity    

Weighted average interest

rate as of March 31,

  

Balance as of

March 31,

 
Lender  Type  date  Currency  2026   2025   2026   2025 
                          
Standard Chartered Bank (Hong Kong) Limited  Non-revolving loan  March 17, 2027  HK$   2.80%   2.80%  $154,972   $156,170