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SCHEDULE OF RESTATED BALANCE SHEET (Details) - USD ($)
3 Months Ended 12 Months Ended
Sep. 30, 2024
Sep. 30, 2023
Jun. 30, 2024
Jun. 30, 2023
Jun. 30, 2022
Convertible note payable - related party, net of discount $ 1,100,000   $ 1,100,000  
Total current liabilities 4,988,347   4,615,976    
Total liabilities 5,153,067   4,798,625    
Additional paid in capital 17,400,169   17,384,873    
Accumulated deficit (13,300,442)   (12,606,368)    
Total stockholders equity 7,006,118 $ 2,351,926 7,684,521 5,883,754 $ 8,981,643
Total liabilities and stockholders equity 12,159,185   12,483,146 11,733,010  
Interest Expense 33,054 11,000    
Net loss $ (694,074) $ (3,531,828) (7,056,911) (4,295,446)  
Previously Reported [Member]          
Convertible note payable - related party, net of discount     36,565  
Total current liabilities     3,552,541 5,598,042  
Total liabilities     3,735,190 5,849,256  
Additional paid in capital     18,484,873 9,844,510  
Accumulated deficit     (12,642,933) (5,549,457)  
Total stockholders equity     8,747,956 5,883,754  
Total liabilities and stockholders equity     12,483,146    
Interest Expense     47,565  
Net loss     (7,093,476) $ (4,295,446)  
Revision of Prior Period, Accounting Standards Update, Adjustment [Member]          
Convertible note payable - related party, net of discount     1,063,435    
Total current liabilities     1,063,435    
Total liabilities     1,063,435    
Additional paid in capital     (1,100,000)    
Accumulated deficit     36,565    
Total stockholders equity     (1,063,435)    
Total liabilities and stockholders equity     0    
Interest Expense     36,565    
Net loss     $ 36,565