v3.26.1
Related Party Transaction and Balance - Schedule of Balance with Related Parties (Details) - USD ($)
Mar. 31, 2026
Mar. 31, 2025
Jul. 29, 2024
Schedule of Balance with Related Parties [Line Items]      
Amounts due to related parties $ 16,473 $ 260,064  
Tse Tim [Member]      
Schedule of Balance with Related Parties [Line Items]      
Receivables from customers [1] 1,183  
Payables to customers [2] 15,049 74,311  
Oriental Moon Tree Limited [Member]      
Schedule of Balance with Related Parties [Line Items]      
Amounts due to related parties [3] 218,513  
Cheung Yuk Shan [Member]      
Schedule of Balance with Related Parties [Line Items]      
Payables to customers [2] 89,632 80,843  
Fong Wai Lok, Raymond [Member]      
Schedule of Balance with Related Parties [Line Items]      
Payables to customers [2] 9 36  
Lau Kam Yan, Karen [Member]      
Schedule of Balance with Related Parties [Line Items]      
Payables to customers [2] 42,493 17,180  
Wu Hin Lun [Member]      
Schedule of Balance with Related Parties [Line Items]      
Payables to customers [2] 1,020 1,028  
Zhu Jian Guo [Member]      
Schedule of Balance with Related Parties [Line Items]      
Payables to customers [2] 2,848 2,889  
Zhu Yun [Member]      
Schedule of Balance with Related Parties [Line Items]      
Payables to customers [2] 80  
Related Party [Member]      
Schedule of Balance with Related Parties [Line Items]      
Payables to customers 152,348 176,367  
Amounts due to related parties 16,473 260,064  
Contract liabilities-related party 90,479
Shum Ngan, Sammy [Member]      
Schedule of Balance with Related Parties [Line Items]      
Amounts due to related parties [4] 16,473 41,551  
Chan Sze Ho [Member]      
Schedule of Balance with Related Parties [Line Items]      
Payables to customers [2] 1,297  
I Win Growth SPC – Fund 2 SP [Member]      
Schedule of Balance with Related Parties [Line Items]      
Contract liabilities-related party [5] $ 90,479  
[1] The balance as of March 31, 2025 represented amounts overdue on brokerage transactions which passed the settlement dates, before allowance for expected credit losses. The balances were fully settled subsequently.
[2] The balances as of March 31, 2026 and 2025 represented cash deposits received from the related parties and payables arising from unsettled trades on trade-date basis.
[3] The balances as of March 31, 2025 represented the advance from shareholder for operational purposes. The balance was unsecured, non-interest bearing and repayable on demand.
[4] The balance as of March 31, 2026 and 2025 represented accrued brokerage, clearing and exchange fees payable to director.
[5] The balance as of March 31, 2026 represented amounts billed to related party for services not yet performed. The balance was expected to be recognized as revenue within a twelve-month period.