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CONDENSED CONSOLIDATED INTERIM BALANCE SHEETS (Q2) - USD ($)
Jan. 31, 2025
Jul. 31, 2024
Current assets    
Cash $ 16,665 $ 21,106
GST receivable 116,347 85,658
Corporate taxes receivable 171,573 0
Subscription receivable 20,000 0
Deferred financing costs 101,667 0
Prepaid expenses 39,149 35,141
Deposit on carbon credits purchase 396,500 0
Carbon credits 206,721 0
Total current assets 1,068,622 141,905
Equipment 231 953
Deferred financing costs, long-term 203,333 0
Deposit on carbon credits purchase, long-term 271,403 0
Investment in associate 1,113,150 0
Total assets 2,656,739 142,858
Current liabilities    
Accounts payable and accrued liabilities 9,085,972 6,097,902
Accounts payable and accrued liabilities - related parties 525,398 478,072
Mandatory convertible debentures 0 127,500
Convertible debentures - related parties 3,870,693 881,544
Derivative liabilities 0 919,250
Warrant liabilities 7,345,642 0
Stock option liabilities 152,631 0
Stop loss provision liabilities 1,024,713 0
Total current liabilities 22,005,049 8,504,268
Shareholders' deficiency    
Common shares (No par value, unlimited common shares authorized; 28,343,067 common shares issued and outstanding) (July 31, 2024 - 11,638,713) 0 0
Additional paid in capital 10,946,618 13,321,266
Accumulated other comprehensive loss 45,361 43,553
Deficit (30,340,289) (21,726,229)
Total shareholders' deficiency (19,348,310) (8,361,410)
Total liabilities and shareholders' deficiency $ 2,656,739 $ 142,858