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Operating Lease Liabilities (Tables)
12 Months Ended
Dec. 31, 2023
Operating Lease Liabilities [Abstract]  
Schedule of Operating Lease Liabilities Operating lease liabilities comprise the following:
  

Interest

rate %

  December 31,
2023
  

Interest

rate %

  December 31,
2022
 
               
Short-term lease liabilities  21-55   412,564   14-36   2,152,677 
Long-term lease liabilities  21-55   277,956   14-36   674,496 
                 
Total      690,520       2,827,173 
Schedule of Maturity of the Operating Lease Liabilities As at December 31, 2023 and 2022 maturity of the operating lease liabilities are as follows:
   Dec 31,
2023
   Dec 31,
2022
 
         
2023   
--
    2,152,677 
2024   412,564    334,300 
2025   233,984    260,854 
2026   43,972    79,342 
           
Total   690,520    2,827,173 
Schedule of Supplemental Information Operating Lease Liabilities The following table presents supplemental information used to calculate the present value of operating lease liabilities:
   Dec 31,
2023
   Dec 31,
2022
 
         
Weighted average remaining        
lease term (in years)            1.78               1.64 
Weighted average interest rate %   30%   26%

 

Schedule of Supplemental Cash Flow Information Related to Operating Leases Supplemental cash flow information related to operating leases included in cash flow from operating activities was as follows:
   Dec 31,
2023
   Dec 31,
2022
 
         
Cash paid for operating leases   (1,403,266)   (2,837,048)
           
Total   (1,403,266)   (2,837,048)