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Consolidated Statements of Cash Flows - USD ($)
6 Months Ended 12 Months Ended
Jun. 30, 2016
Jun. 30, 2015
Dec. 31, 2015
Dec. 31, 2014
Operating Activities        
Net Loss for the year $ (329,286) $ (847,860) $ (3,487,757) $ (479,341)
Items not involving cash flows from operating activities:        
Transaction costs     38,280 299,839
Depreciation 712 417 556 157
Amortization of intangible assets     326 129
Professional fees paid in shares 517,664 2,871,164
Sales and marketing fees paid in shares 73,500 73,500
Financing fees paid in shares     12,823
Loss on disposal of capital assets     72
Fair value of services rendered by shareholder 0 30,673 45,269
Accretion of debt discount 8,314    
Transaction costs 38,280    
Loss on derivative 137,353    
Total Items not involving cash flows from operating activities (182,907) (217,999) (491,108) (133,875)
Net changes in non cash working capital:        
Decrease (increase) in accounts receivable 83,676 (67,968) (76,561) 3,839
Decrease (increase) in inventory 39,889 (161,194) (40,240) 66,239
Decrease (increase) in prepaid expenses (33,062) 1,116 1,496 (4,582)
Decrease (increase) in related party receivables (2,155) 288 (672)
Decrease (increase) in other receivables (28,140)    
Increase (decrease) in income taxes payable 332 (396) (898) (765)
Increase (decrease) in accounts payable and accrued liabilities 45,344 96,431 65,941 37,498
Net changes in non cash working capital 134,024 (159,863) (50,934) 102,229
Cash used in operating activities (48,883) (377,862) (542,042) (31,646)
Investing Activities        
Purchase of property and equipment (29,260)    
Cash received upon completion of Reverse Acquisition Transaction     1,552
Transaction costs (69,870) (95,011) (215,000)
Capital assets     (39,957)
Intangible assets (3,500) (3,500)
Cash used in investing activities (102,630) (138,468) (213,448)
Financing Activities        
Share subscriptions payable 9,900 439,800 528,195 383,000
Proceeds from promissory notes payable     100,300
Repayments of promissory notes payable (8,965) (54,200)
Payments to related parties     (37,231)
Proceeds from related parties     6,272
Proceeds from convertible promissory note payable, net of debt issuance costs 77,750    
Debt issuance costs (7,500)    
Cash provided by financing activities 71,185 439,800 574,295 352,041
Effects of Foreign Currency Translation (4,516) (23,339) (35,054) 31,271
Change in cash 17,786 (64,031) (141,269) 138,218
Cash and cash equivalents beginning of year 14,466 155,735 155,735 17,517
Cash and cash equivalents end of year 32,252 91,704 $ 14,466 $ 155,735
Significant Non Cash Transactions Not Disclosed Above        
Common Shares issued to service providers $ 2,660,964