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Organization and basis of financial statements (Tables)
6 Months Ended
Sep. 30, 2024
Organization, Consolidation and Presentation of Financial Statements [Abstract]  
Schedule of Company’s Subsidiaries and the VIEs

Details of the Company’s subsidiaries and the VIEs were as follows:

 

         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
Schedule of Variable Interest Entities

Schedule of Variable Interest Entities 

   September 30, 2024   March 31, 2024 
   As of 
   September 30, 2024   March 31, 2024 
   (Unaudited)   (Audited) 
ASSETS          
Current assets:          
Cash and cash equivalents  $16,927,882   $17,087,419 
Accounts receivable, net   14,285    7,343 
Prepayments   2,854    2,819 
Deferred expenses   183,163    878,654 
Amounts due from related parties   951,048    939,450 
Total current assets   18,079,232    18,915,685 
Non-current assets:          
Long-term investment   16,940,782    15,552,775 
Property and equipment, net   501    495 
Total non-current assets   16,941,283    15,553,270 
TOTAL ASSETS  $35,020,515   $34,468,955 
Current liabilities:          
Taxes payable   1,517    1,082 
Employee benefits payable   44,747    45,984 
Deferred revenue-current   12,039    111,630 
Other payables   206,392    162,090 
Interest payable   1,407,597    992,701 
Total current liabilities:   1,672,292    1,313,487 
Non-current liabilities:          
Long-term loans   13,416,162    13,250,516 
Total non-current liabilities   13,416,162    13,250,516 
TOTAL LIABILITIES  $15,088,454   $14,564,003 

 

   2024   2023 
   For the six months ended September 30, 
   2024   2023 
   (Unaudited)   (Unaudited) 
Revenue  $119,018   $1,493,709 
Net income/ (loss)  $(218,851)  $737,179 

 

   2024   2023 
   For the six months ended September 30, 
   2024   2023 
   (Unaudited)   (Unaudited) 
Net cash (used in) and provided by operating activities  $(905,614)  $1,321,718 
Net cash provided by investing activities       4,785 
Net cash provided by financing activities        
Effects of exchange rate changes on cash   746,077    (1,858,089)
Net cash used  $(159,537)  $(531,586)