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BUSINESS ACTIVITY AND SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES (Tables)
9 Months Ended
Mar. 31, 2025
BUSINESS ACTIVITY AND SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES  
Schedule of revenue recognized included in contract liability

Contract Liabilities ($ in Thousands)

March 31,

June 30,

Contract Liabilities

2025

2024

Customer deposits

$

1,534

$

1,651

Unearned warranty revenue

53

31

Customer refunds

288

399

Total

$

1,874

$

2,081

Schedule of disaggregation of revenue

Three Months Ended

Nine Months Ended

March 31,

March 31,

Disaggregation of Revenue ($ in Thousands)

    

2025

    

2024

    

2025

    

2024

Equipment upon delivery (point in time)

$

3,540

$

3,767

$

12,138

$

13,484

Installation (point in time)

 

18

 

107

 

85

 

255

Software and services (over time)

 

13

 

16

 

41

 

51

Total revenues

$

3,571

$

3,890

$

12,264

$

13,790

Schedule of deferred tax assets and liabilities

$ in Thousands

    

Deferred Tax Assets (Liabilities)

March 31, 2025

 

June 30, 2024

Inventory reserve

$

387

$

309

Accumulated depreciation

 

(4)

 

(6)

Accumulated goodwill amortization

 

58

 

63

Accumulated intangible amortization

 

122

 

125

Deferred rent

 

16

 

2

Warranty reserve

 

15

 

9

Stock compensation

 

68

 

68

Net operating loss carryforward

 

1,703

 

1,481

Allowance for doubtful accounts

 

106

 

106

Net

 

2,471

 

2,157

Valuation allowance

 

(2,471)

 

(2,157)

Total

$

$

Schedule of warranty liabilities

The changes in the Company’s aggregate warranty liabilities were as follows for the following periods (in thousands):

March 31,

June 30,

    

2025

2024

Product warranty liability, beginning of period

 

$

69

$

53

Accruals for warranties issued

 

309

250

Settlements made

 

(337)

(234)

Product warranty liability, end of period

 

$

41

$

69