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SCHEDULE OF EXPOSURE TO FOREIGN CURRENCY RISK (Details) - USD ($)
Dec. 31, 2024
Dec. 31, 2023
Dec. 31, 2022
Current assets      
Cash $ 182,000    
Trade receivables 1,405,000    
Advance to suppliers 33,672 $ 1,048,227  
Loan term deposit 181,584 147,100  
Current liabilities      
Loans from financial institutions (2,077,290) (89,298)  
Sales of future receipts (1,688,435) (1,467,899)
Accounts payable and accrued liabilities (5,356,000)    
Warrants and preferred shares liabilities (1,069,513) $ (156,433)  
Total (8,388,000)    
10% fluctuation in exchange rate (839,000)    
United States Dollars [member]      
Current assets      
Cash 113,000    
Trade receivables 942,000    
Advance to suppliers 34,000    
Loan term deposit    
Current liabilities      
Loans from financial institutions (2,077,000)    
Sales of future receipts (1,688,000)    
Accounts payable and accrued liabilities (2,141,000)    
Warrants and preferred shares liabilities (1,070,000)    
Total (5,887,000)    
10% fluctuation in exchange rate (589,000)    
New Israeli Shekel [member]      
Current assets      
Cash 36,000    
Trade receivables 213,000    
Advance to suppliers    
Loan term deposit 182,000    
Current liabilities      
Loans from financial institutions    
Sales of future receipts    
Accounts payable and accrued liabilities (2,884,000)    
Warrants and preferred shares liabilities    
Total (2,453,000)    
10% fluctuation in exchange rate (245,000)    
Canadian Dollar [member]      
Current assets      
Cash 53,000    
Trade receivables 249,000    
Advance to suppliers    
Loan term deposit    
Current liabilities      
Loans from financial institutions    
Sales of future receipts    
Accounts payable and accrued liabilities (331,000)    
Warrants and preferred shares liabilities    
Total (29,000)    
10% fluctuation in exchange rate $ (3,000)