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Reverse Recapitalization - Schedule of Business Combination of Consolidated Statements of Cash Flow and Stockholders’ Deficit (Details) - Business Combination [Member]
Dec. 31, 2023
USD ($)
Schedule of Business Combination of Consolidated Statements of Cash Flow and Stockholders’ Deficit [Line Items]  
Cash-trust and cash, net of redemptions $ 2,714,091
Less: transaction costs, promissory note and professional fees, paid (7,350,088)
Proceeds from Sponsor PIPE investment 15,000,000
Net proceeds from the Business Combination 10,364,003
Less: liabilities assumed (12,041,288)
Reverse recapitalization, net $ (1,677,285)