v3.26.1
SCHEDULE OF CONSOLIDATED STATEMENTS OF CASH FLOW (Details) - USD ($)
12 Months Ended
May 31, 2026
May 31, 2025
Cash Flows (Used In)/Provided By Operating Activities $ 76,483 $ (418,525)
Cash Flows (Used In)/Provided By Investing Activities
Cash Flows Provided By/(Used In) Financing Activities (17,321) 423,172
Effects On Change In Foreign Exchange Rate 2,853 2,869
Net change in cash and cash equivalents 62,015 7,516
Parent Company [Member]    
Cash Flows (Used In)/Provided By Operating Activities (22,272) (445,973)
Cash Flows (Used In)/Provided By Investing Activities
Cash Flows Provided By/(Used In) Financing Activities 23,049 445,168
Effects On Change In Foreign Exchange Rate
Net change in cash and cash equivalents 777 (805)
WFOE and Subsidiaries [Member]    
Cash Flows (Used In)/Provided By Operating Activities (10,235) 1,603
Cash Flows (Used In)/Provided By Investing Activities 607 591
Cash Flows Provided By/(Used In) Financing Activities 7,710 3,255
Effects On Change In Foreign Exchange Rate 283 24
Net change in cash and cash equivalents (1,635) 5,473
VIE and Subsidiaries [Member]    
Cash Flows (Used In)/Provided By Operating Activities 107,528 26,491
Cash Flows (Used In)/Provided By Investing Activities 844 1,585
Cash Flows Provided By/(Used In) Financing Activities (48,080) (25,251)
Effects On Change In Foreign Exchange Rate 2,581 23
Net change in cash and cash equivalents 62,873 2,848
Elimination [Member]    
Cash Flows (Used In)/Provided By Operating Activities 1,462 (646)
Cash Flows (Used In)/Provided By Investing Activities (1,451) (2,176)
Cash Flows Provided By/(Used In) Financing Activities
Effects On Change In Foreign Exchange Rate (11) 2,822
Net change in cash and cash equivalents