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COMMITMENTS, CONTINGENCIES, AND CONCENTRATIONS (Details)
3 Months Ended
Jan. 03, 2020
USD ($)
shares
Mar. 31, 2021
USD ($)
Applicants
KeyEmployee
Lawsuit
Mar. 31, 2020
USD ($)
Dec. 31, 2020
USD ($)
Sep. 03, 2019
USD ($)
Concentrations [Abstract]          
REVENUES   $ 8,724,359 $ 6,859,584    
Accounts Receivable   $ 2,413,552   $ 3,377,387  
Employment Contracts [Abstract]          
Number of key employees with whom Company has employment contracts | KeyEmployee   2      
Aggregate annual salaries of employment contracts   $ 843,292      
Contract one, expiration date   Dec. 31, 2021      
Contract two, expiration date   Dec. 31, 2022      
Future minimum salary commitments [Abstract]          
2021   $ 632,469      
2022   $ 460,000      
Pension Plan [Abstract]          
Percentage of employer's matching contribution   40.00%      
Expenses related to matching contribution   $ 35,456 28,120    
Components of Lease Expense [Abstract]          
Operating lease expense   408,466 463,857    
Finance lease cost [Abstract]          
Amortization of right-of-use assets   15,758 12,398    
Interest on lease liabilities   4,944 4,211    
Total finance lease expense   20,702 16,609    
Cash paid for amounts included in the measurement of lease liabilities [Abstract]          
Operating cash flows for operating leases   347,871 165,218    
Operating cash flows for finance leases   4,944 4,211    
Financing cash flows for finance leases   14,282 10,913    
Right-of-use assets obtained in exchange for lease obligations [Abstract]          
Operating leases   0 0    
Finance leases   0 27,641    
Finance Leases [Abstract]          
Finance lease right of use asset   315,153 262,075    
Accumulated depreciation   (97,777) (35,770)    
Finance lease right of use asset, net   $ 217,376 $ 226,305 233,134  
Weighted Average Remaining Lease Term [Abstract]          
Operating leases   8 years 7 months 6 days 9 years    
Finance leases   3 years 6 months 4 years    
Weighted Average Discount Rate [Abstract]          
Operating leases   9.30% 8.64%    
Finance leases   8.18% 7.50%    
Maturities of Operating Lease Liabilities [Abstract]          
2019 and 2021   $ 861,916 $ 1,039,942    
2022   1,057,757 1,209,787    
2023   1,026,272 1,057,757    
2024   1,018,875 1,026,272    
2025   1,049,442 1,018,875    
Thereafter   4,724,446 5,773,890    
Total lease payments   9,738,708 11,126,523    
Less: imputed interest   2,968,703 3,589,622    
Total   6,770,005 7,536,901    
Maturities of Finance Lease Liabilities [Abstract]          
2019 and 2021   57,678 47,232    
2022   76,904 62,976    
2023   76,904 62,976    
2024   49,136 62,976    
2025   5,751 35,207    
Thereafter   0 620    
Total lease payments   266,373 271,987    
Less: imputed interest   36,544 40,700    
Total finance lease liability   $ 229,829 231,287    
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      
Number of class action lawsuits | Lawsuit   4      
Number of motions for appointment as lead plaintiff | Applicants   8      
Number of motions abandoned | Applicants   2      
Number of remaining motions for appointment as lead plaintiff | Applicants   2      
Number of motions filed by special situations funds | Applicants   1      
Number of motions filed by municipal employees retirement system | Applicants   1      
Vendor 1 [Member]          
Concentrations [Abstract]          
Purchases   $ 609,000    
Accounts Payable   253,853    
Vendor 2 [Member]          
Concentrations [Abstract]          
Purchases   469,635    
Accounts Payable   336,868    
Customer Concentration Risk [Member] | Customer 1 [Member]          
Concentrations [Abstract]          
Accounts Receivable     $ 1,875,176  
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]          
REVENUES   $ 1,640,073    
Concentration risk, percentage   28.70%    
Purchases [Member] | Vendor 1 [Member]          
Concentrations [Abstract]          
Concentration risk, percentage        
Purchases [Member] | Vendor 2 [Member]          
Concentrations [Abstract]          
Concentration risk, percentage        
Purchases [Member] | Supplier Concentration Risk [Member] | Vendor 1 [Member]          
Concentrations [Abstract]          
Concentration risk, percentage   13.80%      
Purchases [Member] | Supplier Concentration Risk [Member] | Vendor 2 [Member]          
Concentrations [Abstract]          
Concentration risk, percentage   10.60%