v3.26.1
CONDENSED FINANCIAL INFORMATION OF THE PARENT COMPANY (Tables) - Parent Company [Member]
12 Months Ended
Mar. 31, 2026
Condensed Financial Statements, Captions [Line Items]  
SCHEDULE OF BALANCE SHEET

  

   2025   2026 
   As of March 31, 
   2025   2026 
   RMB   RMB 
ASSETS          
Current assets          
Cash and cash equivalents   2    2 
Prepaid expenses and other current assets   26,516    - 
Inter-company receivable   466,289    432,580 
Non-current assets          
Investment in subsidiaries   (563,937)   (230,876)
Total assets   (71,130)   201,706 
           
LIABILITIES AND SHAREHOLDERS’ EQUITY          
Current liabilities          
Inter-company payable   (324)   862 
Due to related parties   22,906    20,794 
Other payables and accrued liabilities   38,951    36,987 
Total liabilities   61,533    58,643 
           
Shareholders’ equity          
Class A ordinary shares, par value US$0.001; Authorized: 900,000,000 shares; Issued and outstanding: 721 shares as of March 31,2025 and 169,242 shares as of March 31, 2026*   26    5,839 
Class B ordinary shares, par value US$0.001; Authorized: 100,000,000 shares; nil shares as of March 31, 2025 and March 31, 2026   -    - 
Additional paid-in capital   732,909    1,204,970 
Subscription Receivables   -    (155,495)
Accumulated deficit   (878,915)   (906,751)
Accumulated other comprehensive income   13,317    (5,500)
Total shareholders’ equity   (132,663)   143,063 
Total liabilities and shareholders’ equity   (71,130)   201,706 
SCHEDULE OF COMPREHENSIVE (LOSS)/INCOME

  

   2024   2025   2026 
   Year ended March 31, 
   2024   2025   2026 
   RMB   RMB   RMB 
Loss from equity method investments   (50,082)   (558,399)   28,691 
Operating expenses   (10,802)   (111,688)   (56,527)
Net loss   (60,884)   (670,087)   (27,836) 
Foreign currency translation difference   1,456    10,584    (18,817)
Comprehensive loss   (59,428)   (659,503)   (46,653)
SCHEDULE OF CASH FLOWS

  

   2024   2025   2026 
   Year ended March 31, 
   2024   2025   2026 
   RMB   RMB   RMB 
CASH FLOW FROM OPERATING ACTIVITIES               
Net loss   (60,884)   (670,087)   (27,836)
Adjustments to reconcile net loss to net cash provided by operating activities:               
Equity loss of subsidiaries   50,082    558,399    (28,691)
Share-based compensation and expenses   8,892    111,034    - 
Allowance for credit loss, net   -    -    25,950 
Changes in operating assets and liabilities:               
Inter-company receivable   (13,078)   10,624    33,709 
Prepaid expenses and other current assets   (500)   (21,355)   (21,203)
Inter-company payable   (33,989)   (3,210)   1,186 
Other payables and accrued liabilities   25,531    (5,058)   9,252 
Net cash used in operating activities   (23,946)   (19,653)   (7,633)
Related-parties   2,901    (822)   (2,113)
Loan received from a shareholder   20,546    -    - 
Proceeds from issuance of ordinary shares   -    11,724    - 
Effect of exchange rate changes on cash and cash equivalent and restricted cash   498    8,752    9,746 
Net change in cash and cash equivalent   (1)   1    - 
Cash and cash equivalents, beginning of year   2    1    2 
Cash and cash equivalents, end of year   1    2    2