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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 $ 6,960,758 $ 3,749,355
Adjustments to reconcile net income to net cash used in operating activities:    
Interest earned on Investments held in Trust Account (2,885,369) (40,937)
Transaction costs associated with warrant liabilities   591,948
Change in fair value of derivative liabilities and forward purchase asset/liability (7,909,486) (5,318,355)
Changes in operating assets and liabilities:    
Prepaid expenses 251,979 (459,575)
Accrued Offering Costs   431,000
Accounts payable and accrued expenses 1,067,956 710,705
Net Cash Used in Operating Activities (2,514,162) (335,859)
Cash Flows From Investing Activities:    
Cash deposited into Trust Account   (230,000,000)
Cash withdrawn from Trust Account to pay taxes 1,638,019  
Cash withdrawn from Trust Account for redemptions 199,602,422  
Due from Sponsor   (59)
Net Cash Provided by (Used in) Investing Activities 201,240,441 (230,000,059)
Cash Flows From Financing Activities:    
Sale of Units in Public Offering, net of underwriting discount   224,350,761
Sale of Private Placement Warrants to Sponsor   6,600,000
Redemption of Class A common stock (199,602,415)  
Proceeds from note payable - Sponsor 1,900,000  
Repayment of note payable - Sponsor (400,000)  
Net Cash (Used In) Provided by Financing Activities (198,102,415) 230,950,761
Net change in cash and cash - restricted 623,864 614,843
Cash and Cash - Restricted at beginning of year 639,843 25,000
Cash and Cash - Restricted at end of year $ 1,263,707 639,843
Supplemental disclosure of non-cash financing activities:    
Deferred underwriting costs   $ 8,050,000