NOTE 8 - OTHER CURRENT ASSETS | | | | | | | Other current assets included the following as of: | | June 30, 2023 | | March 31, 2023 | Prepaid taxes | | $ | 35,505 | | $ | 9,616 | Prepaid insurance | | | 148,592 | | | 162,075 | Prepaid subscriptions | | | 87,071 | | | 120,570 | Deposits | | | 21,706 | | | 21,706 | Employee advances | | | 12,683 | | | 4,561 | Prepaid advisory fees, other | | | 18,900 | | | 30,455 | Total | | $ | 324,457 | | $ | 348,983 |
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