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STATEMENTS OF CASH FLOWS - USD ($)
12 Months Ended
Dec. 31, 2022
Dec. 31, 2021
Cash Flows from Operating Activities:    
Net income (loss) $ 991,838 $ (798,333)
Adjustments to reconcile net income (loss) to net cash used in operating activities:    
Interest earned on cash and investment held in Trust Account (2,428,142) (11,361)
Change in fair value of warrants (129,250) (110,000)
Change in fair value of convertible promissory note (242,448)  
Changes in current assets and current liabilities:    
Prepaid assets 371,417 (410,322)
Accounts payable and accrued expenses (12,091) 150,024
Franchise tax payable (128,085) 128,085
Deferred tax liability - non-current 50,914  
Income taxes payable 426,867  
Due to related party 120,000 107,857
Net cash used in operating activities (978,980) (944,050)
Cash Flows from Investing Activities:    
Investment held in Trust Account   (200,000,000)
Withdrawal of cash from trust account for tax payments 401,104  
Partial liquidation of Trust Account 171,744,610  
Net cash used in investing activities 172,145,714 (200,000,000)
Cash Flows from Financing Activities:    
Proceeds from initial public offering, net of underwriting discounts paid   196,000,000
Proceeds from private placement   5,500,000
Partial redemption of common stock subject to possible redemption (171,744,610)  
Proceeds from issuance of promissory note to related party 575,000  
Repayment of promissory note to related party   (65,000)
Payments of offering costs   (434,513)
Net cash provided by financing activities (171,169,610) 201,000,487
Net Change in Cash (2,876) 56,437
Cash - Beginning of the year 89,393 32,956
Cash - end of the year 86,517 89,393
Supplemental Disclosure of Non-cash Financing Activities:    
Initial value of common stock subject to possible redemption   170,666,930
Change in value of common stock subject to possible redemption   29,344,431
Initial fair value of liability associated with Private Warrants   255,750
Remeasurement of shares subject to possible redemption $ 963,263 $ 4,623,099