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Note 3 - Revenue Recognition (Tables)
12 Months Ended
Nov. 30, 2019
Notes Tables  
Contract With Customer Asset and Liability, Subject to Change [Table Text Block]
   
November 30, 2019
   
December 1, 2018
 
                 
Assets
               
Accounts receivable
  $
58,853
    $
36,337
 
Total Assets
   
58,853
     
36,337
 
                 
Liabilities
               
Contract liabilities - current
   
622,724
     
647,594
 
Contract liabilities - long-term
   
80,110
     
106,948
 
                 
Total Contract Liabilities
  $
702,834
    $
754,542
 
Contract with Customer, Asset and Liability [Table Text Block]
   
Accounts
Receivable
   
Contract
Liabilities
 
                 
Balance at December 1, 2018
  $
36,337
    $
754,542
 
                 
Revenue Recognized
   
671,602
     
(1,141,617
)
                 
Amounts (collected) or invoiced, net
   
(649,086
)    
1,089,909
 
Balance at November 30, 2019
  $
58,853
    $
702,834
 
Revenue, Remaining Performance Obligation, Expected Timing of Satisfaction [Table Text Block]
2020
   
60,435
 
2021
   
17,704
 
2022
   
17,042
 
2023
   
12,348
 
2024
   
10,217
 
Thereafter
   
22,799
 
Total
  $
140,545
 
Schedule of New Accounting Pronouncements and Changes in Accounting Principles [Table Text Block]
   
Balance at
November 30, 2018
   
Adjustments
Due to ASC 606
   
Balance at
December 1, 2018
 
                         
Assets
                       
Other assets
  $
66,295
    $
(1,348
)   $
64,947
 
Liabilities
                       
Accrued gift card liability
   
146,290
     
2,742
     
149,032
 
Other current liabilities
                       
Deferred revenue
   
27,000
     
82,225
     
109,225
 
Shareholders (deficit) equity
                       
Accumulated deficit
   
(11,272,448
)    
(83,619
)    
(11,356,067
)
Accounting Standards Update 2014-09 [Member]  
Notes Tables  
Schedule of New Accounting Pronouncements and Changes in Accounting Principles [Table Text Block]
   
As reported
November 30, 2019
   
Effect of change
   
Balance without ASC
606 adoption
 
                         
Assets
                       
Prepaid expenses and other current assets
  $
94,145
    $
(1,348
)   $
95,493
 
Liabilities
                       
Accrued gift card liability
   
170,863
     
29,286
    $
141,577
 
Other current liabilities
                       
Deferred revenue
   
140,545
     
80,033
    $
60,512
 
Shareholders (deficit) equity
                       
Accumulated deficit
   
(11,342,785
)    
(107,971
)   $
(11,234,814
)
   
As reported fiscal
November 30, 2019
   
Effect of change
   
Balance without
ASC606 adoption
 
                         
Royalty revenue
  $
1,645,639
    $
-
    $
1,645,639
 
Franchise fees
   
33,817
     
8,817
     
25,000
 
License fees
   
19,875
     
(6,625
)    
26,500
 
Gift card revenue
   
4,494
     
(26,544
)    
31,038
 
Sign Shop revenue
   
2,409
     
-
     
2,409
 
Settlement revenue
   
80,307
     
-
     
80,307
 
Nontradtional revenue
   
295,208
     
-
     
295,208
 
Marketing fund revenue
   
987,943
     
987,943
     
-
 
Net revenue
   
3,069,692
     
963,591
     
2,106,101
 
                         
Expenses unaffected by ASC 606
   
1,608,268
     
-
     
1,608,268
 
Marketing fund expenses
   
987,943
     
987,943
     
-
 
Interest (income)/expense
   
(612
)    
-
     
(612
)
Income tax expense
   
25,000
     
-
     
25,000
 
Net expenses
   
2,620,599
     
987,943
     
1,632,656
 
                         
Net income
  $
449,093
    $
(24,352
)   $
473,445