v3.26.1
INTEREST BEARING BANK BORROWINGS (Tables)
12 Months Ended
Mar. 31, 2026
Notes and other explanatory information [abstract]  
SCHEDULE OF INTEREST BEARING BANK BORROWINGS
       
   As of March 31, 
   2025   2026 
   HKD   HKD 
Bank loans secured and repayable          
Within 12 months   7,978,822    8,584,558 
Over 1 year   5,859,581    10,174,359 
Total   13,838,403    18,758,917 
SCHEDULE OF PRINCIPAL REPAYMENTS TO MATURITY

Principal repayments to maturity by fiscal year are as follows:

 SCHEDULE OF PRINCIPAL REPAYMENTS TO MATURITY

Year ended March 31,  HKD 
2026  $8,584,558 
2027   2,185,235 
Thereafter   7,989,124 
Total  $18,758,917