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NOTES PAYABLE (Tables)
12 Months Ended
May 31, 2025
Debt Disclosure [Abstract]  
Schedule of notes payable
          
   May 31,2025   May 31,2024 
Notes payable to entities, non-interest bearing, due on demand, unsecured  $54,079   $54,079 
Note payable to an individual, due on May 22, 2015, in default (B)   25,000    25,000 
Note payable to an entity, non-interest bearing, due on February 1, 2016, in default (D)   50,000    50,000 
Note payable to a family trust, stated interest of $2,500, due on October 31, 2015, in default (E)   7,000    7,000 
Note payable to a corporation, stated interest of $5,000, due on October 21, 2015, in default (G)   50,000    50,000 
Note payable to a corporation, stated interest of $5,000, due on November 6, 2015, in default (H)   50,000    50,000 
Note payable to an individual, due on December 20, 2015, in default, 24% default rate from January 20, 2016 (I)   25,000    25,000 
Convertible note payable to an entity, interest at 12%, due on December 29, 2016, in default (M)   40,000    40,000 
Note payable to a family trust, interest at 10%, due on November 30, 2016, in default (P)   25,000    25,000 
Convertible note payable to an individual, interest at 10%, due on demand (V)   46,890    46,890 
Convertible note payable to an individual, interest at 8%, due on demand (W)   29,000    29,000 
Convertible note payable to an individual, interest at 8%, due on demand (X)   21,500    21,500 
Convertible note payable to an entity, interest at 10%, due on demand (Y)   8,100    8,100 
Convertible note payable to an entity, interest at 10%, due on March 5, 2019, in default (DD)   35,000    35,000 
Convertible note payable to an entity, interest at 10%, due on September 18, 2019, in default (GG)   8,506    8,505 
Convertible note payable to an entity, interest at 12%, due on November 30, 2021, in default (SS)   154,764    154,764 
Convertible note payable to an entity, interest at 10%, due on June 4, 2022, in default (VV)   152,369    152,369 
Convertible note payable to an entity, interest at 8%, due on August 27, 2022, in default (WW)   14,000    14,000 
Convertible note payable to an entity, interest at 12%, due on December 21, 2022, in default (YY)   424    424 
Convertible note payable to an entity, interest at 12%, due on February 8, 2023, in default (ZZ)   174,128    203,095 
Convertible note payable to an entity, interest at 12%, due on November 4, 2023, in default (C)   6,339    12,649 
Convertible note payable to an entity, interest at 12%, due on April 10, 2024, in default (F)   76,375    76,375 
Convertible note payable to an entity, interest at 10%, due on August 15, 2024, in default (J)       10,201 
Convertible note payable to an entity, interest at 12%, due on September 18, 2024, in default (K)   3,500    2,448 
Convertible note payable to an entity, interest at 12%, due on January 18, 2025, in default (L)   30,555    11,217 
Note payable to an entity, terms to be agreed on and memorialized subsequent to May 31, 2025   48,641    48,641 
Note payable to the Small Business Administration under the Payroll Protection Program, interest at 1%, due in installments through May 4, 2022, forgivable in part or whole subject to certain requirements.   70,000    70,000 
Note payable to the Small Business Administration under the Payroll Protection Program, interest at 1%, due in installments through April 5, 2023, forgivable in part or whole subject to certain requirements.   100,000    100,000 
Notes payable to individuals, non-interest bearing, due on demand   103,476    103,476 
Total Notes Payable   1,409,646    1,434,733 
Less: Current Portion   (1,409,646)   (1,434,733)
Long-Term Notes Payable  $   $ 
Schedule of principal balance of notes payable
        
   May 31, 2025   May 31, 2024 
         
Lender A  $329,317   $358,283 
Lender B   209,874    209,874 
14 other lenders   870,455    898,285 
           
Total   1,409,646    1,466,442 
           
Less debt discounts       (31,709)
           
Net  $1,409,646   $1,434,733