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Condensed Consolidated Statements of Cash Flows - USD ($)
3 Months Ended 12 Months Ended
Mar. 31, 2021
Mar. 31, 2020
Dec. 31, 2020
Dec. 31, 2019
Operating Activities        
Net Loss $ (1,223,519) $ (152,266) $ (1,187,620) $ (359,034)
Adjustments to reconcile net loss to net cash from operating activities:        
Amortization of prepaid services paid by shares issuance     234,064
Shares and warrants issued for services 565,261 181,602
Loss on impairment     54,292
Depreciation and amortization 7,843 6,514 26,962 11,438
Interest on lease liability 915 1,460 5,039 2,706
Wages and salaries     43,709
Accrued interest 17,010 58,397
Amortization on OID interest 211,340 12,715 297,697
Gain on settlement of debt (9,207) (184,868) (250,778)
Total items not involving cash flow from operating activities (430,357) (131,577) (525,020) (541,376)
Changes in operating assets and liabilities (76,510) (49,458) (201,284) 539,220
Net cash used in operating activities (506,867) (181,035) (726,304) (2,157)
Cash Flows from Investing Activities        
Repayment of lease liability (7,516) (10,037)
Loan receivable (5,507)    
Purchase of investment (8,765) (8,765) (15,658)
Purchase of property and equipment (119,233) (7,962) (98,353)
Net cash used in investing activities (132,256) (8,765) (16,727) (124,048)
Financing Activities        
Proceeds from issuance of common shares, net of issuance cost 5,993,441    
Proceeds from warrant exercise 2,932,105 9,100,000  
Proceeds from issuance of stock for cash     1,007,617 30,000
Proceeds from share subscriptions     250,000
Repayment of loan payable (62,905)    
Proceeds from loan payable     178,836 88,120
Proceeds from promissory notes 182,500 467,500
Shareholder Assumption of Debt (19,453) 6,317 (48,953) 19,266
Repayments on promissory notes     (16,150) (19,544)
Net cash provided by financing activities 8,843,188 188,817 1,838,850 117,841
Effects of Foreign Currency Translation     (4,967)
Change in cash 8,204,066 (983) 1,095,819 (13,330)
Cash and cash equivalents - beginning of year 1,107,812 11,993 11,993 25,323
Cash and cash equivalents end of year 9,311,878 11,010 1,107,812 11,993
Supplemental disclosure of cash flow information:        
Interest paid 1,850 11,100 8,113
Supplemental Disclosure of non-cash investing and financing Activities        
Purchase of software 69,315    
Share cancellation     (77,179)
Shares issued to service providers 241,559 372,990
Cashless warrant exercise 51,901    
Conversion of preferred stock to common stock     8,642
Shares issued for share subscriptions payable 274,259 968,472 2,046,415 290,540
Recognition of operating lease right of use asset and liability     68,517
Conversion of convertible promissory note to common stock 368,320 226,839
Convertible promissory note - equity discount 182,500 467,500
Convertible promissory note - original issue discount $ 16,215 $ 41,537