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NOTES PAYABLE (Details) - USD ($)
9 Months Ended 12 Months Ended
Sep. 30, 2024
Dec. 31, 2023
Dec. 31, 2022
Beginning balance loans   $ 5,017,987 $ 18,226,062
Proceeds   1,082,231 492,336
Payments   (1,597,894) (12,541,343)
Conversion of debt     (1,190,000)
Recapitalized upon debt modification     (1,084,735)
Accretion of debt and debt discount     1,079,844
Foreign currency translation   92,660 35,823
Subtotal   4,606,227 5,017,987
Notes payable - long-term $ (2,645,623) (3,035,341) (2,859,570)
Notes payable - short-term 1,622,349 1,570,886 2,158,417
Oher additions   317,880  
Notes payable- short -term   1,570,886 2,158,417
Debt forgiveness   (306,637) (306,637)
Trade Facility [Member]      
Beginning balance loans 1,908,195 3,305,532 6,207,010
Proceeds 0    
Payments (334,350) (1,155,310) (2,795,786)
Recapitalized upon debt modification     (221,060)
Accretion of debt and debt discount     216,182
Foreign currency translation 14,318 64,610 (100,814)
Subtotal 1,588,163 1,908,195 3,305,532
Notes payable - long-term (1,086,638) (1,327,440) (1,604,700)
Notes payable- short -term 501,525 580,755 1,700,832
Debt forgiveness   (306,637)  
COVID Loans      
Beginning balance loans 186,884 207,377 641,291
Proceeds 0    
Reclassification of Line of Credit     (407,174)
Payments (19,073) (27,027) (10,029)
Foreign currency translation 3,691 6,534 (16,711)
Subtotal 171,502 186,884 207,377
Notes payable - long-term (142,183) (158,133) (178,172)
Notes payable - short-term 29,319 28,751 29,205
Loan Facility [Member]      
Beginning balance loans 4,606,227 5,017,987 1,299,784
Proceeds 445,800 1,082,231  
Payments (834,677) (1,597,894) (240,705)
Conversion of debt   (306,637) (1,190,000)
Recapitalized upon debt modification   317,880 (81,923)
Accretion of debt and debt discount     81,910
Foreign currency translation 50,622 92,660 130,934
Subtotal 4,267,972 4,606,227  
Notes payable - long-term (2,645,623) (3,035,341)  
Notes payable - short-term 1,622,349 1,570,886  
Third Party [Member]      
Beginning balance loans 2,511,148 1,505,078 10,077,977
Proceeds 445,800 1,082,231 492,336
Reclassification of Line of Credit     407,174
Payments (481,254) (415,557) (9,494,823)
Recapitalized upon debt modification     (781,752)
Accretion of debt and debt discount     781,752
Foreign currency translation 32,613 21,516 22,414
Subtotal 2,508,307 2,511,148 1,505,078
Notes payable - long-term (1,416,802) (1,549,768) (1,076,698)
Notes payable - short-term $ 1,091,505 961,380 $ 428,380
Oher additions   $ 317,880