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Organization and basis of financial statements (Tables)
12 Months Ended
Mar. 31, 2023
Organization and basis of financial statements  
Summary of the Company's subsidiaries and the VIE

    

    

    

Percentage

    

of direct or

indirect

ownership

Date of

Place of

by the

Principal

Name of Entity

incorporation

incorporation

Company

activities

Subsidiaries:

 

  

 

  

 

Direct

 

  

Easy Skills Technology Limited (“Hong Kong ES”)

 

December 24, 2018

 

HK

 

100

%  

Holding company

Skillful Craftsman Network Technology (Wuxi) Co., Ltd. (“WOFE” or “Craftsman Wuxi”)

 

January 16, 2019

 

PRC

 

100

%  

Investment holding

Shenzhen Jisen Information Tech Limited (“Jisen Information”)

December 8, 2014

 

PRC

 

100

%  

Financial education and services

LE FIRST SKILLAND PTE. LTD. (“LFS”)

March 30, 2023

 

Singapore

 

75

%  

Vocational education

VIE:

  

 

  

 

Indirect

 

  

Wuxi Kingway Technology Co., Ltd. (“Wuxi Wangdao”)

June 6, 2013

 

PRC

 

100

%  

Vocational online education and technology services

Summary of financial statement balances and amounts of the Company's VIE were included in the accompanying consolidated financial statements

As of March 31,

2023

2022

ASSETS

    

  

    

  

Current assets:

 

  

 

  

Cash and cash equivalents

$

19,142,721

$

20,651,502

Accounts receivable, net

 

8,572

 

252,215

Prepayments and other current assets

 

129,148

 

466,846

Deferred expenses

 

939,252

 

1,101,761

Amounts due from related parties

 

958,634

 

1,589,182

Total current assets

 

21,178,327

 

24,061,506

Non-current assets:

 

  

 

  

Long-term investment

 

14,296,824

 

14,673,898

Goodwill

 

 

4,581,112

Property and equipment, net

 

6,620

 

10,597,581

Intangible assets, net

 

 

15,143,366

Total non-current assets

 

14,303,444

 

44,995,957

TOTAL ASSETS

$

35,481,771

$

69,057,463

Current liabilities:

 

  

 

  

Accounts payable

$

21,894

$

77,266

Taxes payable

 

8,488

 

127,645

Employee benefits payable

 

33,456

 

96,838

Deferred revenue-current

 

1,357,236

 

6,864,731

Other payables

 

104,738

 

5,104,380

Interest payable

 

202,405

 

Related party payables

 

 

44,107

Deferred tax liabilities

 

 

38,744

Total current liabilities:

 

1,728,217

 

12,353,711

Non-current liabilities:

 

  

 

  

Long-term loans

 

13,681,099

 

14,809,302

Deferred revenue-noncurrent

 

 

3,713

Total non-current liabilities

 

13,681,099

 

14,813,015

TOTAL LIABILITIES

$

15,409,316

$

27,166,726

For the years ended March 31,

2023

2022

2021

Revenue

    

$

10,250,708

    

$

23,050,619

    

$

29,168,546

Net profit

$

(18,310,962)

$

1,750,836

$

8,436,207

For the years ended March 31,

2023

2022

2021

Net cash provided by operating activities

    

$

148,162

    

$

9,390,282

    

$

13,927,170

Net cash used in investing activities

 

(529,511)

 

(18,530,989)

 

(12,864,697)

Net cash provided by financing activities

 

 

14,809,302

 

Effects of exchange rate changes on cash

 

(1,127,433)

 

266,364

 

1,722,356

Net cash inflow

$

(1,508,782)

$

5,934,959

$

2,784,829