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OTHER CURRENT ASSETS (Tables)
9 Months Ended
Dec. 31, 2022
OTHER CURRENT ASSETS  
Schedule of other current assets

Other current assets included the following as of:

    

December 31, 2022

    

March 31, 2022

Prepaid taxes

$

34,814

$

26,497

Supplier advances

41,920

ERTC refundable credits

 

624,045

 

1,093,661

Prepaid insurance

 

149,609

 

184,275

Prepaid subscriptions

 

83,605

 

66,098

Deposits

21,706

21,100

Employee advances

9,668

Prepaid advisory fees, other

 

30,325

 

20,160

Totals

$

986,024

$

1,421,459