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SCHEDULE OF RIGHT OF USE ASSET AND LEASE LIABILITY (Details) - USD ($)
12 Months Ended
Dec. 31, 2024
Dec. 31, 2023
Dec. 31, 2022
Notes and other explanatory information [abstract]      
Right of use asset, cost, beginning $ 1,151,458 $ 730,652 $ 649,110
Lease modification (439,568)   81,542
Addition 603,725 420,806  
Effect of changes in foreign exchange rates (7,749)    
Right of use asset, cost, ending 1,307,866 1,151,458 730,652
Right of use asset, accumulated amortization, beginning 669,069 489,605 322,220
Amortization 214,165 180,602 158,648
Effect of changes in foreign exchange rates   (1,138) 8,737
Lease modification (273,503)    
Right of use asset, accumulated amortization, ending 609,731 669,069 489,605
Carrying Amounts 698,135 482,389 241,047
Lease liability, beginning 512,080 279,263 359,348
Interest expense (1) 90,041 [1] 53,614 49,738
Lease modification (183,251)   81,542
Lease payments (255,953) (252,103) (204,518)
Effect of changes in foreign exchange rates (9,562) 7,285 (6,847)
Additions 589,063 424,021  
Lease liability, ending 742,418 512,080 279,263
Less current portion 115,793 204,939 150,951
Long term portion $ 626,625 $ 307,141 $ 128,312
[1] In addition to the non-cash interest of $90,041, the Company also incurred interest of $12,632 related to its financed insurance costs.