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Liquidity and Capital Resources (Details) - USD ($)
12 Months Ended
Dec. 20, 2024
Dec. 22, 2023
Sep. 30, 2024
Sep. 30, 2023
Liquidity and Capital Resources [Line Items]        
Net proceeds   $ 150,161 $ 150,161
Customer custodial funds     3,700  
Working capital deficit     6,104,000  
Incurred net loss [1]     (8,518,520) (17,428,428)
Negative cash used in operating activities     (3,818,443) (1,232,382)
Common Stock [Member]        
Liquidity and Capital Resources [Line Items]        
Incurred net loss [1]    
Common Stock [Member] | Stock Purchase Warrants [Member]        
Liquidity and Capital Resources [Line Items]        
Cash from sale of shares $ 10,000,000      
Private Placement [Member]        
Liquidity and Capital Resources [Line Items]        
Cash from sale of shares $ 10,000,000      
[1] Retroactively restated for the reverse recapitalization as described in Note 1 and Note 4 and the one-for-eight reverse stock split described in Note 14.