v3.26.1
Prepayments, Deposits and Other Receivables, Net
12 Months Ended
Mar. 31, 2026
Prepayments, Deposits and Other Receivables, Net [Abstract]  
PREPAYMENTS, DEPOSITS AND OTHER RECEIVABLES, NET

NOTE 6 — PREPAYMENTS, DEPOSITS AND OTHER RECEIVABLES, NET

 

Prepayments, deposits and other receivables, net consist of the following:

 

    March 31,
2026
    March 31,
2025
 
Prepayments of service fee   $ 136,822     $ 144,315  
Prepaid research and development consulting fee     12,170,032       6,500,624  
Prepayments of goods     2,856,550       1,664,247  
Amount due from employees     106,169       950,459  
Deposits     119,548       93,673  
Third party receivables     3,331,487        
Other receivables     630,014       146,579  
Less: allowance for impairment of prepayments     (54,702 )      
Less: allowance for expected credit loss     (722,428 )     (142,722 )
Prepayments, deposits and other current receivables, net     18,573,492       9,357,175  
Less: amounts classified as non-current assets     (10,443,032 )     (6,035,922 )
Amounts classified as current assets   $ 8,130,460     $ 3,321,253  

 

The movement of allowance for expected credit loss is as follow:

 

    March 31,
2026
    March 31,
2025
 
Balance at beginning of the year   $ 142,722     $ 91,707  
Provision     555,853       51,763  
Exchange adjustment     23,853       (748 )
Ending balance   $ 722,428     $ 142,722  

 

As of and through July 31, 2026, the Company had received approximately $1.1 million in settlement of third-party receivables.