v3.23.1
STATEMENT OF CASH FLOWS (Unaudited) - USD ($)
3 Months Ended
Mar. 31, 2023
Mar. 31, 2022
OPERATING ACTIVITIES    
Net Income (Loss) $ (148,386) $ (265,612)
Finance Costs 0 41,868
Depreciation 2,985 2,985
Gain on Debt Forgiveness 35,346 0
Change in other assets (3,352) 1,481
Change in Accounts Receivable 3,751 0
Change in Inventory (16,272) 0
Change in Accounts Payable and Accrued Expenses 25,874 30,636
Change in Deferred revenue (11,250) 0
Change in Derivative and Note Discount 56,810 118,677
Net Cash Used by Operating Activities (54,494) (69,965)
INVESTING ACTIVITIES:    
Purchase of Equipment 0 0
Net cash used by investing activities 0 0
FINANCING ACTIVITIES:    
Bank Overdraft / (Repayment) 1,552 (5,624)
Proceeds from notes payable 41,750 88,000
Net cash provided by financing activities 43,302 82,376
NET INCREASE (DECREASE) IN CASH (11,192) 12,411
CASH AT BEGINNING OF PERIOD 11,192 0
CASH AT END OF PERIOD 0 12,411
Supplemental Cashflow Information    
Interest Paid 0 0
Taxes Paid $ 0 $ 0