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NOTE 7. OTHER CURRENT ASSETS (Tables)
3 Months Ended
Mar. 31, 2023
Other Income and Expenses [Abstract]  
NOTE 7. OTHER CURRENT ASSETS - Schedule of Other Current Assets
Particulars  March 31, 2023  December 31, 2022
Staff Advances   7,280    7,487 
Retention Receivable   2,800,611       
Loans Advanced   1,750,722    2,551,606 
Amount due from Related Party   1,794,218    2,096,777 
Advance given to Suppliers   7,539,940    7,572,440 
Statutory Dues Receivables   46,826    46,326 
Deposits   1,775,441    1,550,914 
Accrual of discounts on Notes   46,666    100,000 
Prepayments/ Prepaid Assets   114,280    150,566 
Other Misc. Current Assets   1,280,654    2,986,272 
TOTAL   17,156,638    17,062,388