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Summary of Significant Accounting Policies (Tables)
12 Months Ended
Mar. 31, 2021
Accounting Policies [Abstract]  
Schedule of subsidiaries and its subsidiary's VIE
Company     Date of establishment     Place of establishment     Percentage of legal
ownership by
Wah Fu
    Principal activities  
Subsidiaries:                          
Wah Fu Holding     May 19, 2016     Hong Kong, PRC     100%     Holding Company  
Distance Learning     December 23, 1999     Mainland, PRC     100 %     Provider of online education services and technological development and operation services  
Shanghai Xin Fu     July 20, 2015     Mainland, PRC     100%     Inactive  
Shanghai Xia Shu     April 29, 2016     Mainland, PRC     100%     Inactive  
Hunan Huafu     June 15, 2015     Mainland, PRC     75%     Provider of online education services  
Nanjing Suyun     March 8, 2017     Mainland, PRC     70%     Provider of online education services  
Huaxia MOOC     March 15, 2017     Mainland, PRC     51%     Provider of online education services  
Guizhou Huafu     April 25, 2017     Mainland, PRC     51%     Provider of online education services  
Fuzhou Huafu     May 21, 2018     Mainland, PRC     65%     Provider of online education services  
Liaoning Huafu      June 26, 2018     Mainland, PRC     70%     Provider of online education services  
Guangxi Huafu     August 14, 2019     Mainland, PRC     55%     Inactive  
Huafu Silu*     September 18, 2018     Mainland, PRC     51%     Inactive  
Guangzhou Huafu     October 21, 2019     Mainland, PRC     60%     Inactive  
Sichuan Huafu     November 8, 2019     Mainland, PRC     60%     Inactive  
                           
Variable interest entity                          
Digital Information     September 14, 2000     Mainland, PRC     Nil     Provider of technological development and operation service and holder of Internet Content Provider (“ICP”) License  
* Huafu Silu was dissolved on March 4, 2020. 
Schedule of consolidated balance sheets
   As of
March 31,
2021
   As of
March 31,
2020
 
Current assets  $267,727   $149,289 
Non-current assets   63,177    62,577 
Total assets   330,904    211,866 
Current liabilities   247,462    142,711 
Intercompany payables*   3,394,741    3,020,067 
Total liabilities   3,642,203    3,162,778 
Net assets  $(3,311,299)  $(2,950,912)
* Intercompany payables are eliminated upon consolidation.
Schedule of statements of comprehensive income
   For the Years Ended 
   March 31,
2021
   March 31,
2020
   March 31,
2019
 
Revenue*  $514,888   $309,380   $1,585,677 
Net loss  $(114,129)  $(1,247,053)  $(36,887)
* Intercompany sales are eliminated upon consolidation.
Schedule of statements of cash flows
   For the Years Ended 
  

March 31,
2021

  

March 31,
2020

  

March 31,
2019

 
Net cash provided by operating activities*  $92,187   $100,016   $51,611 
Net cash used in investing activities   (1,252)   (1,477)   (14,017)
Effect of exchange rate fluctuation on cash   15,091    (4,103)   (1,039)
Net increase in cash  $106,026   $94,436   $36,555 
* Intercompany operating activities are eliminated upon consolidation.
Schedule of estimated useful lives of property and equipment
   Estimated useful lives  
Buildings  20 years  
Electronic equipment  4 - 5 years  
Office equipment and furniture  4 - 5 years  
Motor vehicles  4 - 5 years  
Software  5 years  
Leasehold improvements  The shorter of the lease term and useful life  
Summary of disaggregated revenue from contracts with customers by timing of revenue recognition
   For the Years Ended 
  

March 31,
2021

  

March 31,
2020

  

March 31,
2019

 
Services transferred at a point in time            
Revenue from Online Education Services  $584,138   $219,912   $126,665 
Revenue from Technological Development and Operation Services   77,486    91,757    943,686 
Services transferred over time               
Revenue from Online Education Services   7,674,311    5,150,788    4,058,931 
Revenue from Technological Development and Operation Services   179,625    174,913    228,741 
Total  $8,515,561   $5,637,370   $5,358,023 
Schedule of deferred revenue
   As of   As of 
   March 31,
2021
   March 31,
2020
 
Beginning balance  $1,524,918   $620,332 
Ending balance   4,141,555    1,524,918 
Increase  $2,616,673   $904,586