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Consolidated Statements of Cash Flow (Unaudited) - USD ($)
3 Months Ended 6 Months Ended 12 Months Ended
Sep. 30, 2019
Sep. 30, 2018
Sep. 30, 2019
Sep. 30, 2018
Mar. 31, 2019
Cash flows from operating activities:          
Net (Loss) $ (3,444,260) $ (1,580,438) $ (7,285,662) $ (3,361,264)  
Adjustments to reconcile Net (Loss) to Net Cash provided by operations:          
Depreciation and amortization     2,242,048 203,872  
Debt discount amortization     24,144  
Stock grants     379,694 269,661  
Stock for services     200,000 22,350  
Employee stock awards     506,500 482,625  
Interest on convertible promissory note     18,226   $ 151,856
Changes in Current Assets and Liabilities          
Accounts receivable     (1,189,573) 140,706  
Allowance for doubtful accounts     (103,644) (6,000)  
Due to (from) related parties     (32,376) (4,104)  
Inventories     (256,614) (973,399)  
Prepaid expenses     122,349 (80,679)  
Deposits     (3,960) (132,163)  
Accounts payable     2,337,445 78,379  
Accrued liabilities     60,788 (138,557)  
Net cash used in operating activities     (2,980,635) (3,498,573)  
Cash flows from investing activities          
Purchase of equipment     (426,467) (1,157,915)  
Acquisition Deposit     (250,000)  
Net cash used in investing activities     (426,467) (1,407,915)  
Cash flow from financing activities          
Note payable related party     375,000  
Note payment - related party     (1,500,000)  
Insurance premium note payment     (201,238) (71,998)  
Contingent consideration payment     (150,000)  
Sale of common stock     2,465,540 3,247,030  
Factoring liability     1,036,273  
Common stock issued for exercised warrants     4,767,625  
Organizational and fundraising costs     (285,981) (719,974)  
Net cash provided by financing activities     1,739,594 7,222,683  
Netincrease in cash     (1,667,508) 2,316,195  
Cash, beginning of period     2,181,246 4,381,643 4,381,643
Cash, end of period $ 513,738 $ 6,697,838 513,738 6,697,838 $ 2,181,246
Supplemental cash flow disclosures          
Cash paid during the period for - Interest     346,800 2,903  
Cash paid during the period for - Income taxes      
Non-cash investing and financing activities:          
Additional paid-in-capital     (11)  
Common stock     11  
Convertible promissory note     (300,000)  
Convertible promissory note conversion     300,000  
Insurance premium note payment     165,120  
Prepaid expenses     (165,120)    
Right of use assets - operating leases     (4,288,208)    
Operating lease liability     4,288,208  
Total non-cash investing and financing activities