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Restatement of the Statement of Cash Flows (Tables)
6 Months Ended
Jun. 30, 2023
Restatement Of Statement Of Cash Flows  
Schedule of consolidated statement of cash flows
               
   Six Months Ended June 30, 2022 
   As Previously Reported (i)   Restatement   As Restated 
Net cash provided by (used in):               
Operating activities: (ii)  $(3,226,569)  $4,358,311   $1,131,742 
Investing activities   (33,953)   (4,358,311)   (4,392,264)

 

(i)As reported in the Company's 2022 Form 10-Q filed with the SEC on August 15, 2022.
(ii)Financial statement line impacted in operating activities was increase/(decrease) in premium finance contracts receivable.