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Interim Condensed Consolidated Statements of Financial Position (Unaudited) - USD ($)
Sep. 30, 2025
Mar. 31, 2025
ASSETS    
Right-of-use assets $ 222,637 $ 225,672
Rental deposit 59,247 45,463
Total non-current assets 281,884 271,135
Trade receivables, net 2,495,302 1,394,545
Contract assets 750
Other receivables, deposit and prepayment 10,073,821 1,066,191
Restricted bank balance 383,400 399,400
Cash and cash equivalents 1,850,673 3,111,141
Total current assets 14,803,196 5,972,027
LIABILITIES    
Trade payables (637,680) (200,660)
Other payables and accruals (2,724,912) (706,874)
Deferred revenues (611,260) (505,424)
Due to a related company (34,579)
Lease liabilities, current (181,091) (126,808)
Total current liabilities (4,154,943) (1,574,345)
Lease liabilities, net of current portion (48,293) (110,867)
Total non-current liabilities (48,293) (110,867)
Net current assets 10,648,253 4,397,682
Net assets 10,881,844 4,557,950
EQUITY    
Share capital 10,098 1,150
Share premium 54,608,823 25,689,436
Capital reserve 5,126,150 5,126,150
Warrant reserve 61,886,200 79,263,200
Exchange reserve (3,910) (1,651)
Share option reserve 1,730,804 1,076,345
Accumulated losses (112,476,321) (106,596,680)
Total equity $ 10,881,844 $ 4,557,950