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SUPPLEMENTAL DISCLOSURES ON STATEMENTS OF CASH FLOWS
12 Months Ended
Mar. 31, 2022
Supplemental Cash Flow Information [Abstract]  
SUPPLEMENTAL DISCLOSURES ON STATEMENTS OF CASH FLOWS [Text Block]

13. SUPPLEMENTAL DISCLOSURES ON STATEMENTS OF CASH FLOWS

Changes in non-cash working capital balances consist of:

    March 31,     March 31,  
    2022     2021  
    $     $  
Amounts and other receivables   (536,815 )   (41,812 )
Inventories   (665,572 )   -  
Prepaids and deposits   (985,522 )   16,108  
Accounts payable and accrued liabilities   831,484     64,251  
    (1,356,425 )   38,547  

Supplementary disclosures:

Change in accrued exploration property expenditures $ -   $ (61,844 )
Assumption of mortgage to acquire building $ 1,949,000   $ -  
Stock-based compensation charged to exploration and evaluation assets $ -   $ 177,541  
Shares issued charged to share issue costs $ 38,979   $ -  
Shares issued to settle debt $ -   $ 45,200  

 

Cash and cash equivalents are comprised of:   March 31,     March 31,  
    2022     2021  
    $     $  
             
Cash in bank   26,475,000     3,091,549  
Cashable guaranteed investment certificate, 0.5%, maturing December 2022   200,000     -  
    26,675,000     3,091,549