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BALANCE SHEETS - USD ($)
Apr. 30, 2022
Apr. 30, 2021
CURRENT ASSETS    
Cash $ 673,181 $ 19,778
Accounts receivable 3,802 0
Prepaid fees 668 0
Prepaid consulting - related party 52,500 52,500
TOTAL CURRENT ASSETS 730,151 72,278
PROPERTY AND EQUIPMENT    
Football equipment 507,133 46,223
Office equipment 11,000 11,000
TOTAL PROPERTY AND EQUIPMENT 518,133 57,223
OTHER ASSETS    
Trademarks 2,500 2,000
Security deposits 6,607 11,607
TOTAL OTHER ASSETS 9,107 13,607
TOTAL ASSETS 1,257,391 143,108
CURRENT LIABILITIES    
Accounts payable 1,740,655 1,641,838
Accounts payable - related parties 210,868 177,868
Accrued former officer compensation 740,000 740,000
Accrued expenses 367,756 338,251
Accrued payroll 25,726 0
Deferred revenue 3,802 0
State income taxes payable 110,154 110,154
Conversion option liability 197,508 208,503
Notes payable 357,300 332,300
Notes payable, related party 55,000 55,000
Accrued former officer payroll taxes 37,111 37,111
Accrued interest 361,400 261,289
Accrued interest - related party 10,529 5,029
TOTAL CURRENT LIABILITIES 4,916,306 4,392,271
STOCKHOLDERS' DEFICIT    
Common stock, $0.001 par value, 950,000,000 shares authorized: 527,327,424 and 419,562,102 shares issued and 525,827,424 and 418,062,102 shares outstanding at April 30, 2022 and April 30, 2021, respectively 525,827 418,062
Common stock issuable; 0 and 40,000 shares at April 30, 2022 and April 30, 2021, respectively 0 40
Additional paid-in capital 26,477,739 24,325,517
Accumulated deficit (30,662,481) (28,992,782)
TOTAL STOCKHOLDERS' DEFICIT (3,658,915) (4,249,163)
TOTAL LIABILITIES AND STOCKHOLDERS' DEFICIT 1,257,391 143,108
Unsecured [Member]    
STOCKHOLDERS' DEFICIT    
Convertible unsecured promissory notes, net of $32,129 and $54,942 debt discounts and premiums 269,112 351,595
Secured [Member]    
STOCKHOLDERS' DEFICIT    
Convertible unsecured promissory notes, net of $32,129 and $54,942 debt discounts and premiums $ 429,385 $ 133,333