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CONSOLIDATED STATEMENTS OF CASH FLOWS (FY) - USD ($)
12 Months Ended
Dec. 31, 2023
Dec. 31, 2022
Cash flows from operating activities:    
Net income $ 23,947 $ 11,530,114
Adjustments to reconcile net income to net cash used in operating activities:    
Change in fair value of warrant liability (681,000) (10,669,000)
Recovery of offering costs allocated to warrants (309,534) 0
Income from investments held in Trust Account (5,350,288) (3,433,975)
Changes in assets and liabilities:    
Prepaid expenses 363,078 452,365
Accounts payable and accrued expenses 3,406,090 345,676
Franchise tax payable (23,253) 645,442
Marketing service fee 0 150,000
Due to related party 120,000 120,000
Income taxes payable (659,379) (107,676)
Net cash used in operating activities (3,110,339) (967,054)
Cash flows from investing activities:    
Trust extension funding (1,300,000) 0
Cash withdrawn from Trust Account in connection with redemption 179,860,588 0
Cash withdrawn from Trust Account to pay taxes obligation 1,409,500 999,121
Net cash provided by investing activities 179,970,088 999,121
Cash flows from financing activities:    
Redemption of common stock (179,860,588) 0
Proceeds from issuance of promissory note to related party 1,875,000 0
Net cash used in financing activities (177,985,588) 0
Net change in cash (1,125,839) 32,067
Cash, beginning of the period 1,426,006 1,393,939
Cash, end of the period 300,167 1,426,006
Supplemental disclosure of cash flow information:    
Remeasurement adjustment of carrying value of Class A common stock to redemption amount 5,333,891 2,420,680
Conversion of Class B common stock to Class A common stock 500 0
Excise tax payable in connection with redemption 2,235,006 0
Impact of the waiver of deferred commission by the underwriters 8,340,466 0
Payable to redeemable shareholders 43,640,022 0
Income taxes paid $ 1,770,029 $ 0