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Debt (Details) - Schedule of Indebtedness to Third Parties - USD ($)
Dec. 31, 2023
Dec. 31, 2022
Schedule of Debt [Abstract]    
Current Credit Facility – Revolving loan $ 10,804,000 $ 13,352,000
Current Credit Facility – Term loan 5,045,000 5,396,000
Solar Credit Facility 393,000
Finance lease obligations 884,000 328,000
Loans Payable - financed assets 22,000 30,000
Subtotal 17,148,000 19,106,000
Less: Current portion (16,036,000) (14,477,000)
Long-Term Portion $ 1,112,000 $ 4,629,000