v3.26.1
SCHEDULE OF CHANGES IN PROVISION FOR CREDIT LOSSES (Details) - CNY (¥)
¥ in Thousands
9 Months Ended 12 Months Ended
Dec. 31, 2024
Dec. 31, 2025
Mar. 31, 2024
Financing Receivable, Credit Quality Indicator [Line Items]      
Beginning balance of the period ¥ (7,995) ¥ (7,710) ¥ (10,337)
Reversal of/(provision for) credit losses 285 463 1,719
Payments from the borrowers or other recoveries 623
Beginning balance of the period 7,995 7,710 10,337
Write-off [1] 7,247
Ending balance of the period 7,710 7,995
Credit Assessment Normal [Member] | Loan Recognized as Result of Payment Under Guarantee [Member]      
Financing Receivable, Credit Quality Indicator [Line Items]      
Beginning balance of the period
Reversal of/(provision for) credit losses
Payments from the borrowers or other recoveries    
Beginning balance of the period
Write-off    
Ending balance of the period
Credit Assessment Attention [Member] | Loan Recognized as Result of Payment Under Guarantee [Member]      
Financing Receivable, Credit Quality Indicator [Line Items]      
Beginning balance of the period
Reversal of/(provision for) credit losses
Payments from the borrowers or other recoveries    
Beginning balance of the period
Write-off    
Ending balance of the period
Credit Assessment Secondary [Member] | Loan Recognized as Result of Payment Under Guarantee [Member]      
Financing Receivable, Credit Quality Indicator [Line Items]      
Beginning balance of the period (7,995) (7,710) (10,337)
Reversal of/(provision for) credit losses 285 463 1,719
Payments from the borrowers or other recoveries     623
Beginning balance of the period 7,995 7,710 10,337
Write-off   7,247  
Ending balance of the period ¥ 7,710 ¥ 7,995
[1] In light of the low receivables collection rate recorded in prior years, the Group fully wrote off loans recognized as a result of payments under the guarantees.