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COMMITMENTS, CONTINGENCIES, AND CONCENTRATIONS (Details)
3 Months Ended 6 Months Ended
Jul. 31, 2020
Lawsuit
Jul. 23, 2020
Jul. 17, 2020
Jan. 03, 2020
USD ($)
shares
Jun. 30, 2020
USD ($)
KeyEmployee
Jun. 30, 2019
USD ($)
Jun. 30, 2020
USD ($)
KeyEmployee
Jun. 30, 2019
USD ($)
Dec. 31, 2019
USD ($)
Sep. 03, 2019
USD ($)
Concentrations [Abstract]                    
Sales         $ 5,111,172 $ 9,888,136 $ 11,970,755 $ 18,430,401    
Accounts Receivable         $ 2,610,587   $ 2,610,587   $ 3,661,325  
Employment Contracts [Abstract]                    
Number of key employees with whom Company has employment contracts | KeyEmployee         2   2      
Aggregate annual salaries of employment contracts             $ 765,000      
Contract one, expiration date             Dec. 31, 2020      
Contract two, expiration date             Dec. 31, 2022      
Future minimum salary commitments [Abstract]                    
2020         $ 382,500   $ 382,500      
2021         765,000   765,000      
2022         400,000   $ 400,000      
Pension Plan [Abstract]                    
Percentage of employer's matching contribution             40.00%      
Expenses related to matching contribution             $ 49,407 49,000    
Leases [Abstract]                    
Right-of-use asset acquired in exchange for right-of-use liabilities         0 0 0 6,949,611    
Components of Lease Expense [Abstract]                    
Operating lease expense         388,951 400,658 852,808 682,261    
Finance lease cost [Abstract]                    
Amortization of right-of-use assets         14,687 0 27,085 0    
Interest on lease liabilities         5,156 0 9,367 0    
Total finance lease expense         19,843 0 36,452 0    
Cash paid for amounts included in the measurement of lease liabilities [Abstract]                    
Operating cash flows for operating leases         292,058 147,107 457,277 305,157    
Operating cash flows for finance leases         5,156 0 9,367 0    
Financing cash flows for finance leases         12,666 0 23,578 0    
Right-of-use assets obtained in exchange for lease obligations [Abstract]                    
Operating leases         0 0 0 6,949,611    
Finance leases         47,499 233,722 75,852 233,722    
Finance Leases [Abstract]                    
Finance lease right of use asset         309,574 233,722 309,574 233,722    
Accumulated depreciation         (50,690) 0 (50,690) 0    
Finance lease right of use asset, net         $ 258,884 $ 233,722 $ 258,884 $ 233,722 210,350  
Weighted Average Remaining Lease Term [Abstract]                    
Operating leases         9 years 10 years 9 years 10 years    
Finance leases         4 years 5 years 4 years 5 years    
Weighted Average Discount Rate [Abstract]                    
Operating leases         8.62% 8.52% 8.62% 8.52%    
Finance leases         9.73% 7.00% 9.73% 7.00%    
Maturities of Operating Lease Liabilities [Abstract]                    
2019 and 2020         $ 682,667 $ 1,129,543 $ 682,667 $ 1,129,543    
2021         1,209,787 998,071 1,209,787 998,071    
2022         1,057,757 1,026,044 1,057,757 1,026,044    
2023         1,026,272 1,011,085 1,026,272 1,011,085    
2024         1,018,875 0 1,018,875 0    
Thereafter         5,773,887 6,792,767 5,773,887 6,792,767    
Total lease payments         10,769,245 10,957,510 10,769,245 10,957,510    
Less: imputed interest         3,427,535 3,986,013 3,427,535 3,986,013    
Total         7,341,710 6,971,497 7,341,710 6,971,497    
Maturities of Finance Lease Liabilities [Abstract]                    
2019 and 2020         37,720 27,768 37,720 27,768    
2021         75,440 55,536 75,440 55,536    
2022         75,440 55,536 75,440 55,536    
2023         75,440 55,536 75,440 55,536    
2024         47,672 55,536 47,672 55,536    
Thereafter         4,774 27,767 4,774 27,767    
Total lease payments         316,486 277,679 316,486 277,679    
Less: imputed interest         50,366 43,957 50,366 43,957    
Total finance lease liability         266,120 233,722 266,120 233,722    
Employee Litigation [Abstract]                    
Exercise price of stock options       $ 943,126            
Vested shares exercisable (in shares) | shares       266,666            
Term to exercise stock options       30 days            
Customer Concentration Risk [Member] | Customer 1 [Member]                    
Concentrations [Abstract]                    
Accounts Receivable         806,196   806,196   941,962  
Customer Concentration Risk [Member] | Customer 2 [Member]                    
Concentrations [Abstract]                    
Accounts Receivable         0   $ 0   $ 0  
Subsequent Event [Member]                    
Employee Litigation [Abstract]                    
Number of class action lawsuits | Lawsuit 4                  
Period in which a proposed schedule is submitted for filing     10 days              
Period to submit an order for entitlement of attorney's fees and expenses   45 days                
Maximum [Member]                    
Pension Plan [Abstract]                    
Employee contribution subject to employer matching contribution             5.00%      
Employer matching contribution             2.00%      
Senior Secured Term Loan Credit Facility [Member]                    
Leases [Abstract]                    
Debt instrument, face amount                   $ 20,000,000
Sales [Member] | Customer Concentration Risk [Member] | Customer 1 [Member]                    
Concentrations [Abstract]                    
Sales         $ 657,304 $ 4,573,434 $ 2,297,376 $ 5,615,932    
Concentration risk, percentage         17.00% 54.00% 24.00% 38.00%    
Sales [Member] | Customer Concentration Risk [Member] | Customer 2 [Member]                    
Concentrations [Abstract]                    
Sales         $ 0 $ 1,627,075 $ 0 $ 3,460,666    
Concentration risk, percentage         0.00% 19.00% 0.00% 23.00%