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SUPPLEMENTAL BALANCE SHEET INFORMATION (Tables)
3 Months Ended
Jun. 30, 2025
Balance Sheet Related Disclosures [Abstract]  
SCHEDULE OF ACCOUNTS RECEIVABLE

Our net accounts receivable are summarized as follows:

 

June 30,
2025

 

 

March 31,
2025

 

Accounts receivable

 

$

12,544,721

 

 

$

13,994,499

 

Less: allowance for credit losses

 

 

(3,596,273

)

 

 

(3,805,488

)

Accounts receivable, net

 

$

8,948,448

 

 

$

10,189,011

 

The following presents a reconciliation of our allowance for credit losses for the periods presented:

April 1, 2025

 

 

3,805,488

 

Increase in allowance

 

 

168,500

 

Write-off of uncollectible amounts

 

 

(377,715

)

June 30, 2025

 

$

3,596,273

 

SCHEDULE OF PROPERTY AND EQUIPMENT

Property and equipment consisted of the following at June 30, 2025 and March 31, 2025:

 

 

 

June 30, 2025

 

 

March 31, 2025

 

Leasehold improvements

 

$

209,113

 

 

$

247,725

 

Furniture and fixtures

 

 

321,720

 

 

 

331,483

 

Software and equipment

 

 

10,087,955

 

 

 

9,249,946

 

Construction in progress

 

 

619,910

 

 

 

733,384

 

Total property and equipment

 

$

11,238,698

 

 

$

10,562,538

 

Less accumulated depreciation

 

 

(4,352,985

)

 

 

(4,084,854

)

Net property and equipment

 

$

6,885,713

 

 

$

6,477,684

 

SCHEDULE OF ACCRUED LIABILITIES

At June 30, 2025 and March 31, 2025, accrued liabilities were as follows:

 

 

June 30, 2025

 

 

March 31, 2025

 

 

Accrued bonus program

 

$

 

627,017

 

 

$

 

1,831,250

 

 

Accrued professional fees

 

 

 

1,977,999

 

 

 

 

4,682,183

 

 

Accrued payroll

 

 

 

1,063,430

 

 

 

 

764,174

 

 

Other accruals

 

 

 

1,645,582

 

 

 

 

674,735

 

 

Income taxes payable

 

 

 

394,065

 

 

 

 

394,065

 

 

Accrued contingency

 

 

 

 

 

 

 

29,067,229

 

 

Accrued liabilities

 

$

 

5,708,093

 

 

$

 

37,413,636