XML 15 R2.htm IDEA: XBRL DOCUMENT v3.23.3
CONSOLIDATED BALANCE SHEETS - USD ($)
Aug. 31, 2023
Aug. 31, 2022
Current assets    
  Cash and cash equivalents $ 83,696 $ 484,463
  Accounts receivable, net of allowance of $0 (August 31, 2022 - $0) 5,634,924 7,191,646
  Inventory, net of allowance of $497,884 (August 31, 2022 - $800,000) (note 3) 18,339,048 20,632,313
  Prepaid expenses 630,788 1,112,575
  Prepaid income taxes 208,963
  Total current assets 24,688,456 29,629,960
Property, plant and equipment, net (note 4) 4,655,427 4,828,420
Intangible assets, net (note 5) 134,845 33,358
Deferred tax assets (Note 6) 319,875 24,998
Total assets 29,798,603 34,516,736
Current liabilities    
  Accounts payable 2,181,194 1,566,047
  Bank indebtedness (note 7) 1,259,259 7,000,000
  Income taxes payable (note 6) 147,629
  Accrued liabilities 2,113,194 1,856,039
Total liabilities 5,701,276 10,422,086
Stockholders’ equity    
Capital stock (notes 8, 9) Authorized 21,567,564 common shares, no par value 10,000,000 preferred shares, no par value Issued 3,498,899 common shares (August 31, 2022 – 3,495,342) 825,468 824,629
  Additional paid-in capital 765,055 742,591
  Retained earnings 22,506,804 22,527,430
  Total stockholders’ equity 24,097,327 24,094,650
  Total liabilities and stockholders’ equity $ 29,798,603 $ 34,516,736