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SUPPLEMENTAL DISCLOSURES ON STATEMENTS OF CASH FLOWS
12 Months Ended
Mar. 31, 2025
Supplemental of cash flow informations [abstract]  
SUPPLEMENTAL DISCLOSURES ON STATEMENTS OF CASH FLOWS [Text Block]

13. SUPPLEMENTAL DISCLOSURES ON STATEMENTS OF CASH FLOWS

Changes in non-cash working capital balances consist of:

      March 31,     March 31,  
      2025     2024  
      $     $  
  Accounts and other receivables   (906,215 )   272,478  
  Inventories   397,476     (70,251 )
  Prepaids and deposits   187,707     728,211  
  Accounts payable and accrued liabilities   1,797,002     (15,549 )
Total change in non-cash working capital balances   1,475,970     914,889  
             
Supplementary disclosures:            
             
  Change in accounts payable relating to property and equipment $ -   $ (105,264 )

During the year ended March 31, 2025, 1,250,000 (2024: 1,900,000) stock options were exercised using a "cashless" exercise method whereby 387,249 (2024: 472,304) fewer shares were issued than options exercised as compensation for the $534,500 (2024: $958,000) in cash that would have otherwise been received by the Company upon exercise.

Cash and cash equivalents are comprised of:   March 31,     March 31,  
    2025     2024  
    $     $  
Cash in bank   121,481     521,420  
Cashable guaranteed investment certificate, variable rate, matured January 2025   -     3,000,000  
Total cash and cash equivalents   121,481     3,521,420