v3.26.1
Bank and Other Borrowings and Bank Overdrafts - Schedule of Principal and Interest Payments of Bank and Other Borrowings (Details) - Bank and Other Borrowings [Member] - USD ($)
Mar. 31, 2026
Mar. 31, 2025
Schedule of Principal and Interest Payments of Bank and Other Borrowings [Line Items]    
2026 $ 10,791,869
2027 10,930,332 269,101
2028 267,235 274,277
2029 267,235 274,277
2030 257,034 271,014
2031 105,970 111,788
2032 105,970 88,322
2033 72,369 63,797
2034 49,537 16,324
2035 12,032
Total bank and other borrowings repayments 12,067,714 12,160,769
Less: future interest payment (85,398) (116,334)
Total bank and other borrowings recognized in the consolidated balance sheet $ 11,982,316 $ 12,044,435