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Condensed Interim Consolidated Balance Sheets - USD ($)
Jun. 30, 2023
Sep. 30, 2022
Sep. 30, 2021
Current assets      
Cash and cash equivalents $ 764,386 $ 3,300,495 $ 25,806
Trade and other receivables, net 96,615 137,214 12,984
Prepaid expenses and deposits 136,400 317,277 46,151
Total current assets 997,401 3,754,986 84,941
Non-current assets      
Reclamation deposits 145,000 145,000 144,847
Property and equipment, net of accumulated depreciation and depletion 10,368,436 8,426,776 6,638,975
Right of use asset, net 166,960 240,796 72,539
Total assets 11,677,797 12,567,558 6,941,302
Current liabilities      
Trade and other payables 3,419,106 1,561,344 402,979
Amounts due to related party   16,628
Convertible debenture 38,291 78,500
Lease liability – current portion 79,866 104,224 51,963
Total current liabilities 3,498,972 1,703,859 550,070
Non-current liabilities      
Asset retirement obligations 260,394 236,412 552,594
Lease liability, less current portion 97,023 140,682 26,986
Loan payable   31,400
Warrant liability 23,500
Total liabilities 3,856,389 2,104,453 1,161,050
Equity      
Common stock, no par value per share; unlimited shares authorized, 2,206,014 and 1,932,604 shares* issued and outstanding as of June 30, 2023 and September 30, 2022, respectively. 14,989,912 14,337,739 8,976,747
Additional paid-in capital 5,092,665 4,513,194 2,476,717
Accumulated other comprehensive loss (127,413) (127,413) (127,413)
Accumulated deficit (12,133,756) (8,260,415) (5,545,799)
Total equity 7,821,408 10,463,105 5,780,252
Total liabilities and equity $ 11,677,797 $ 12,567,558 $ 6,941,302