Annual report pursuant to Section 13 and 15(d)

12. Other Assets, Net

v3.19.2
12. Other Assets, Net
12 Months Ended
Mar. 31, 2019
Other Assets [Abstract]  
Other Assets, Net

    March 31, 2019   March 31, 2018
        (Recast)
Prepaid expenses   $ 1,851   $ 1,641
Rent guarantee deposit   714   965
Current income tax asset   502    365
Outstanding settlement operations   429   -
Taxes other than income taxes   149    147
Guaranty deposit   69   75
Prepaid insurance   21    26
Advances paid for leasehold improvements   -   1,057
Other   516   355
         
Total other assets   4,251   4,631
         
Allowance for other assets   (62)   (58)
         
Other assets, net   $ 4,189   $ 4,573