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Consolidated Statements of Financial Position
Mar. 31, 2024
USD ($)
Mar. 31, 2023
USD ($)
Current assets    
Cash and cash equivalents $ 733,188 $ 1,334,280
Restricted cash 29,611 29,556
Other receivables 41,747 149,369
Prepaids 322,126 77,050
Total current assets 1,126,672 1,590,255
Non-current assets    
Equipment 5,487  
TOTAL ASSETS 1,132,159 1,590,255
Current liabilities    
Accounts payable and accrued liabilities 755,202 1,790,700
Convertible note liability 7,657,397  
Derivative warrant liabilities 901,608  
TOTAL LIABILITIES 12,104,699 1,790,700
EQUITY    
Share Capital 46,125,397 5,934,141
Accumulated Deficit (57,458,994) (6,299,946)
Reserves 361,057 165,360
NET DEFICIT (10,972,540) (200,445)
TOTAL LIABILITIES AND NET DEFICIT 1,132,159 $ 1,590,255
NCAC Sponsor    
Current liabilities    
Due to related party 1,474,256  
Psyence Group Inc    
Current liabilities    
Due to related party $ 1,316,236