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NOTE 7. OTHER CURRENT ASSETS - Schedule of Other Current Assets (Details) - USD ($)
Mar. 31, 2023
Dec. 31, 2022
Other Income and Expenses [Abstract]    
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