0001580957-15-000009.txt : 20150211 0001580957-15-000009.hdr.sgml : 20150211 20150211131728 ACCESSION NUMBER: 0001580957-15-000009 CONFORMED SUBMISSION TYPE: 10-Q PUBLIC DOCUMENT COUNT: 9 CONFORMED PERIOD OF REPORT: 20141231 FILED AS OF DATE: 20150211 DATE AS OF CHANGE: 20150211 FILER: COMPANY DATA: COMPANY CONFORMED NAME: PCS EDVENTURES COM INC CENTRAL INDEX KEY: 0001122020 STANDARD INDUSTRIAL CLASSIFICATION: SERVICES-EDUCATIONAL SERVICES [8200] IRS NUMBER: 820475383 STATE OF INCORPORATION: ID FISCAL YEAR END: 0331 FILING VALUES: FORM TYPE: 10-Q SEC ACT: 1934 Act SEC FILE NUMBER: 000-49990 FILM NUMBER: 15598345 BUSINESS ADDRESS: STREET 1: 345 BOBWHITE COURT STREET 2: #200 CITY: BOISE STATE: ID ZIP: 83706 BUSINESS PHONE: 208-343-3110 MAIL ADDRESS: STREET 1: 345 BOBWHITE COURT STREET 2: #200 CITY: BOISE STATE: ID ZIP: 83706 10-Q 1 form10-Q_edgar.htm 10-Q

 

SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549

 

FORM 10-Q

 

QUARTERLY REPORT UNDER SECTION 13 OR 15 (d) OF THE SECURITIES EXCHANGE ACT OF 1934

 

For the quarterly period ended December 31, 2014

 

TRANSITION REPORT UNDER SECTION 13 OR 15 (d) OF THE EXCHANGE ACT

 

For the transition period from ____________ to____________

 

Commission File No. 000-49990

 

PCS EDVENTURES!.COM, INC.

(Exact name of Registrant as specified in its charter)

 

Idaho

82-0475383

(State or Other Jurisdiction of

(I.R.S. Employer Identification No.)

incorporation or organization)

 

 

345 Bobwhite Court, Suite 200

Boise, Idaho 83706

(Address of Principal Executive Offices)

 

(208) 343-3110

(Registrant’s telephone number, including area code)

 

N/A

(Former name, former address and former fiscal year,

if changed since last report)

 

Indicate by check mark whether the Registrant has (1) filed all reports required to be filed by Section 13 or 15(d) of the Securities Exchange Act of 1934 (the “Exchange Act”) during the preceding 12 months (or for such shorter period that the Registrant was required to file such reports), and (2) has been subject to such filing requirements for the past 90 days. Yes   No 

 

Indicate by check mark whether the Registrant has submitted electronically and posted on its corporate Web site, if any, every Interactive Data File required to be submitted and posted pursuant to Rule 405 of Regulation S-T (§232.405 of this chapter) during the preceding 12 months (or for such shorter period that the Registrant was required to submit and post such files). Yes   No 

 

Indicate by check mark whether the Registrant is a large accelerated filer, an accelerated filer, a non-accelerated filer, or a smaller reporting company. See definition of “large accelerated filer,” “accelerated filer” and “smaller reporting company” in Rule 12b-2 of the Exchange Act. (Check one):

 

Large accelerated filer       Accelerated filer       Non-accelerated filer       Smaller reporting company 

 

Indicate by check mark whether the Registrant is a shell company (as defined in Rule 12b-2 of the Exchange Act). Yes   No 

 

 

 

1



APPLICABLE ONLY TO ISSUERS INVOLVED IN BANKRUPTCY

PROCEEDINGS DURING THE PRECEDING FIVE YEARS

 

Indicate by check mark whether the Registrant has filed all documents and reports required to be filed by Sections 12, 13 or 15(d) of the Securities Exchange Act of 1934 subsequent to the distribution of securities under a plan confirmed by a court.     

 

Not applicable.

 

APPLICABLE ONLY TO CORPORATE ISSUERS

 

Indicate the number of shares outstanding of each of the Registrant’s classes of common stock, as of the latest practicable date:

 

January 21, 2015: 73,745,998 shares of Common Stock

 

PART I –FINANCIAL INFORMATION

 

Item 1.  Financial Statements

 

The Financial Statements of the Registrant required to be filed with this 10-Q Quarterly Report were prepared by management and commence below, together with related notes. In the opinion of management, the Financial Statements fairly present the financial condition of the Registrant.

 

 

 

2


 

3


 

PCS EDVENTURES!.COM, INC. AND SUBSIDIARY

Consolidated Balance Sheets (USD $)

(Unaudited)

 

 

 

December 31, 2014
(Unaudited)

 

March 31, 2014

CURRENT ASSETS

   

Cash

  $ 20,323   $ 27,860

Accounts receivable, net of allowance for doubtful accounts of $4,063 and $4,063, respectively

  330,264   489,751

Prepaid expenses

  48,033   68,906

    Finished goods inventory

  247,705   187,386

    Other receivable

  -   3,424

Total Current Assets

  646,325   777,327
   

FIXED ASSETS, net of accumulated depreciation of $122,836  and $118,005, respectively

  32,971   19,462
   

OTHER ASSETS

   

    Note Receivable, net of allowance of $47,743

  2,785   -

    Mold cost

  11,339   14,668

Deposits

  7,619   7,371

Total Other Assets

  21,743   22,039

TOTAL ASSETS

  $ 701,039   $ 818,828

 

  

The accompanying notes are an integral part of these financial statements.

 

 

4



PCS EDVENTURES!.COM, INC. AND SUBSIDIARY

Consolidated Balance Sheets (USD $)

(Unaudited)

 

 

December 31, 2014
(Unaudited)

 

March 31, 2014

CURRENT LIABILITIES

   

Accounts payable and other current liabilities

  $ 421,209   $ 471,426

Payroll liabilities payable

  32,829   35,973

Accrued expenses

  131,926   124,753

Deferred revenue

  34,526   68,467

Note payable, convertible, related party, net of $38,571 and $0  discount as of December 31, 2014 and March 31, 2014, respectively

  161,429   50,000

Note payable, related party

  966,350   707,251

Line of credit payable

  22,905   27,089

Total Current Liabilities

  1,771,174   1,484,959
   

Notes payable, long term

  20,004   -

Notes payable, related party, long term

  116,871   23,846

Convertible notes payable, long term, related party, net of  $0 and $315,721 discount as of December 31, 2014 and March 2014, respectively

- 293,436

Convertible notes payable, long term, net of $0 and $4,693 discount as of December 31, 2014 and March 31, 2014, respectively

  219,734   236,541

Total Long Term Liabilities

  356,609   553,823

Total Liabilities

  2,127,783   2,038,782
   

STOCKHOLDERS' EQUITY (DEFICIT)

   

Preferred stock, no par value, 20,000,000 authorized shares, no shares issued and outstanding

  -   -

Common stock, no par value, 90,000,000 authorized shares, 73,745,998  and 52,970,332 shares issued and outstanding, respectively

  37,806,221   36,919,152

Stock payable

  60,732   31,080

Accumulated deficit

  (39,293,697 )   (38,170,186 )

Total Stockholders' Equity (Deficit)

  (1,426,744 )   (1,219,954 )

TOTAL LIABILITIES AND STOCKHOLDERS' EQUITY

  $ 701,039   $ 818,828

 

  

The accompanying notes are an integral part of these financial statements.

 

 

5



PCS EDVENTURES!.COM, INC. AND SUBSIDIARY

Consolidated Income Statements (USD $)

(Unaudited)

 

 

For the Three Months Ended
December 31,

 

For the Nine Months Ended
December 31,

 

2014

 

2013

   

2014

   

2013

REVENUES

               

Lab revenue

  $ 314,056   $ 226,260     1,271,702     $ 974,066

International service revenue

  385,569     81,229     890,364     84,543

Learning Center revenue

  72,853     35,516     150,672     74,555

License and royalty revenue

  9,844     5,334     26,688     15,399

Total Revenues

  782,322     348,339     2,339,426     1,148,563

COST OF SALES

  272,605     164,210     1,303,027     561,747

GROSS PROFIT

  509,717     184,129     1,036,399     586,816,

OPERATING EXPENSES

             

Salaries and wages

  200,901     155,583     604,942     450,766

Depreciation and amortization

  7,117     4,678     19,699     14,036

General and administrative expenses

  290,631     220,996     1,071,243     744,002

Total Operating Expenses

  498,649     381,257     1,695,884     1,208,804

OPERATING INCOME (LOSS)

  11,068     (197,128 )     (659,485 )     (621,988 )

OTHER INCOME AND EXPENSES

             

Interest income

  3,188     -     3,188     12

Interest expense

  (52,621 )     (41,657 )     (470,211 )     (107,143 )

Gain on Bad Debt Collection

  2,996     -     2,996     -

Total Other Income and (Expenses)

  (46,437 )     (41,657 )     (464,027 )     (107,131 )

LOSS FROM CONTINUING OPERATIONS

  (35,369)     (238,785 )     (1,123,512)     (729,119 )

LOSS FROM DISCONTINUED OPERATIONS

  -     (1,177 )     -     (30,368 )

NET INCOME/(LOSS)

  (35,369 )     (239,962 )     (1,123,512 )     (759,487 )

NET COMPREHENSIVE INCOME/(LOSS)

  (35,369 )     (239,962 )     (1,123,512 )     (759,487 )
             

NET LOSS ATTRIBUTABLE TO COMMON SHAREHOLDERS

  (35,369 )     $ (239,962 )     (1,123,512 )     $ (759,487 )

Basic and diluted net income (loss) per common share:

             

Basic and diluted loss per share from continuing operations

  $ (0.00 )     $ (0.00 )     $ (0.02 )     $ (0.01 )

Basic and diluted loss per share from discontinued operations

  $ (0.00 )     $ (0.00 )     $ (0.00 )     $ (0.00 )

Basic and diluted net loss per share

  $ (0.00 )     $ (0.00 )     $ (0.02 )     $ (0.01 )

Weighted Average Number of Shares Outstanding, Basic and Diluted

  72,855,781     52,504,350     64,850,290     51,434,182

 

 

The accompanying notes are an integral part of these financial statements.

 

 

6



PCS EDVENTURES!.COM, INC.

Consolidated Statements of Stockholders’ Equity (Deficit)

(Unaudited)

 

 

# of

               

Other

   

Total

 
 

Common

 

Capital

   

Stock

 

Accumulated

   

Comprehensive

   

Stockholders’

 
 

Shares O/S

 

Stock

   

Payable

 

Deficit

   

Income

   

Equity

 

Balance at 03/31/2014

  52,970,332   $ 36,919,152     $ 31,080   $ (38,170,186 )     -     $ (1,219,954 )  
                     

Stock for Employee

  170,000     8,160     -       -     8,160  
                     

Stock for Services

  1,750,000     97,500     (2,080 )   -     -     95,420  
                     

Stock for RSU's

  -     -     31,732   -     -     31,732  
                     

Stock for Settlement

  400,000     22,000     -   -     -     22,000  
                     

Conversion of Notes Payable

  18,455,666     696,375     -   -     -     696,375  
                     

Option/Warrant Expense

  -     13,035     -   -     -     13,035  
                     

Debt Discount

  -     50,000     -   -     -     50,000  
                     

Net Loss through 12/31/2014

  -     -     -   (1,123,512 )     -     (1,123,512 )  
                     

Balance at 012/31/2014 (unaudited)

  73,745,998     $ 37,806,222     $ 60,732   $ (39,293,698 )     $ -     $ (1,426,744 )  
                   

 

 

 

 

The accompanying notes are an integral part of these financial statements.

 

 

7



PCS EDVENTURES!.COM, INC.

Consolidated Statements of Cash Flows

(Unaudited)

 

 

 

For the Nine Months Ended

 

December 31,

 

2014

 

2013

CASH FLOWS FROM OPERATING ACTIVITIES

   

Net Loss

  (1,123,512 )     (759,487 )

Adjustments to reconcile net loss to net cash provided (used) by operating activities:

     

    Debt discount amortization

  331,696     49,182

Depreciation and amortization

  19,699     14,036

Common stock issued for services

  135,312     41,785

Common stock for settlement

  22,000     -

Amortization of fair value of stock options

  13,035     30,913

Amortization of brain molds

  2,219     -

(Gain) on  Bad Debt Collection

  (2,996 )     50,740
     

Changes in operating assets and liabilities:

     

(Increase) decrease in accounts receivable

  162,483     (13,912 )

(Increase) decrease in prepaid expenses

  20,873     (38,332 )

(Increase) decrease in inventories

  (60,319 )     (60,832 )

(Increase) decrease in other current assets

  639     2,144

(Increase) decrease in other assets

  862     3,108

(Decrease) increase in accounts payable and accrued liabilities

  (375 )     160,283

Increase (decrease) in deferred revenue

  (33,941 )     (9,299 )
Net Cash Provided (Used) by Operating Activities) (512,325 ) (529,671 )
     

CASH FLOWS FROM INVESTING ACTIVITIES

     

   Cash paid for purchase of fixed assets

  (33,328 )     -

Net Cash Used by Investing Activities

(33,328 ) -

     

  CASH FLOWS FROM FINANCING ACTIVITIES

     

Proceeds from notes payable

20,000 -

Proceeds from notes payable, related party

  997,582     520,000

Principal payments on debt, related party

  (479,466 )     (229,606 )

Net Cash Used by Financing Activities

  538,116     290,394
     

Foreign currency translation

  -     (3,533 )

Net Increase (Decrease) in Cash

  (7,537 )     (242,810 )

Cash at Beginning of Period

  27,860     247,245

Cash at End of Period

  20,323     4,435

 

 

The accompanying notes are an integral part of these financial statements.

 

 

8



PCS EDVENTURES!.COM, INC.

Consolidated Statements of Cash Flows (continued)

(Unaudited)

 

 


For the Nine Months Ended

 

December 31,

NON-CASH INVESTING & FINANCING ACTIVITIES

2014

 

2013

Common stock issued for services (stock payable)

-

 

1,640

Common stock issued for employee bonus (stock payable)

-

 

600

RSU Forfeiture

-

 

13,750

Conversion of debt

696,374

 

100,000

Debt discount

50,000

 

220,000

Sale of Subsidiary

-

 

140,926

Stock payable accrued in prior period and issued in current period

2,080


23,855

 

 

 

For the Nine Months Ended

 

December 31,

 

2014

 

2013

CASH PAID FOR:

   

   Interest

  69,225   $ 68,697

   Income Taxes

  -   $ -

 

 

The accompanying notes are an integral part of these financial statements.

 

 

9



PCS EDVENTURES!.COM, INC

Notes to the Consolidated Financial Statements

December 31, 2014

(Unaudited)

 

 

NOTE 1 - ORGANIZATION AND DESCRIPTION OF BUSINESS

 

The consolidated financial statements presented are those of PCS Edventures!.com, Inc., an Idaho corporation ( “the Company”).

 

On August 3, 1994, PCS Education Systems, Inc. was incorporated under the laws of Idaho to develop and operate stand-alone learning labs.

 

In October 1994, PCS exchanged common stock on a one-for-one basis for common stock of PCS Schools, Inc. As a result of this exchange, PCS Schools, Inc. became a wholly owned subsidiary of PCS. In the late 1990s, the Company divested the stand-alone learning labs to focus on the creation of turn-key lab modules coupled with web-based technology for use in the classroom and afterschool programs.

 

On March 27, 2000, PCS changed its name from PCS Education Systems, Inc. to PCS Edventures!.com, Inc. On September 26, 2014 the shareholders voted for the proposal to grant the board of directors the authority to change the name of the company in a fashion that will remove the .com but retain the current brand.

 

On November 30, 2005, PCS entered into an agreement with 511092 N.B. LTD., a Canadian corporation (LabMentors) to exchange PCS common stock for common stock of 511092 N.B. LTD. as disclosed in the 8-K as filed with the Securities and Exchange Commission (the “SEC”) on December 9, 2005 and amended on February 15, 2006. As a result of the definitive Share Exchange Agreement, 511092 N.B. LTD. became a wholly owned subsidiary of the Company. In December 2005, the name of this subsidiary was formally changed to PCS LabMentors, Ltd. It remains a Canadian corporation. The Company had a memo of understanding with a company for the potential sale of LabMentors in Quarter ending June 30th, 2013.  The Company divested the wholly owned subsidiary in August of 2013.

 

In January of 2012, PCS Edventures!.com Inc. committed to a business plan enhancement which included the opening, operating, and licensing of EdventuresLab private learning centers and launched a pilot in the spring of 2012.  As of June 30, 2014 two EdventuresLab programs have been opened and are operating in the Idaho Treasure Valley.

 

 On January 31, 2013, PCS Edventures!.com, Inc. formed a subsidiary called Premiere Science Inc. incorporated and registered in the State of Idaho. The subsidiary is 100% wholly owned by PCS Edventures!.com,Inc. and was formed to use as an additional sales and marketing tool to gain other business opportunities. There were no operations for the subsidiary during the quarter year ended December 31, 2014.

NOTE 2 - UNAUDITED CONSOLIDATED FINANCIAL STATEMENTS

 

The December 31, 2014, consolidated financial statements presented herein are unaudited, and in the opinion of management, include all adjustments (consisting of only normal recurring accruals) necessary for a fair presentation of financial position, results of operations and cash flows. Such financial statements do not include all of the information and footnote disclosures normally included in financial statements prepared in accordance with accounting principles generally accepted in the United States of America. This Quarterly Report on Form 10-Q should be read in conjunction with the Annual Report on Form 10-K for PCS Edventures!.com for the fiscal year ended March 31, 2014. The March 31, 2014, consolidated balance sheet is derived from the audited balance sheet included therein.

 

The operating results for the period ended December 31, 2014 are not necessarily indicative of the results that may be expected for the fiscal year ending March 31, 2015.

 

10


 


NOTE 3 - GOING CONCERN

 

The Company’s consolidated financial statements are prepared using accounting principles generally accepted in the United States of America applicable to a going concern that contemplates the realization of assets and liquidation of liabilities in the normal course of business. The established sources of revenues are not sufficient to cover the Company’s operating costs. The Company has accumulated significant losses, payables, and generated negative cash flows. The combination of these items raises substantial doubt about its ability to continue as a going concern. Management’s plans with respect to alleviating this adverse position is to continue to develop and execute its strategic plan as outlined in the Plan of Operations. The following highlights key areas of the plan and progress made in the past year:

 

1) In Q1-Q3 PCS invested in product R&D to improve its robotics and engineering product lines and provide its expanding sales force an advantage over competitors.  Executive management continues in its conviction that the K12 educational robotics market represents a significant market opportunity for PCS products and has committed resources to product development, inventory, and sales and marketing to pursue this opportunity.

 

2) Since January of 2014 PCS has increased its sales presence from 4 to 12 people through internal hires and the formation of a partnership with Priority Education Solutions of Florida.  We continue to actively seek additional channel partners.

 

3) PCS is focused on actively promoting its two EdventuresLab locations in the Boise area for direct to consumer sales and is using these locations as a proving ground for our retail offerings. 

 

4) In December of 2014, PCS formally launched its retail product line, an extension of its EdventuresLab consumer program, to further diversify its revenue streams during Q3, a typically slow institutional sales period.  PCS is now actively pursuing retail distribution channels to grow this opportunity. The introductory product is RiQ,  an easy-to-program, fun way to learn robotics and coding.  The product has unique characteristics that position it strongly against competitors in the market that include price point, ease-of-use, availability on tablet devices, and a lot of expandability for the hobbyist market.  It   has been very well received during its initial launch and is now selling through the PCS EdventuresLab website and Amazon. 

 

5) PCS has existing contracts in Saudi Arabia that represent significant revenue potential for Q4 and our FY2015 and we are committed to delivering those contracts.

 

6) The Q4 FY2014 addition of Britt Ide to the Board of Directors has brought significant expertise in corporate governance and planning, and the fresh perspective of a woman engineer passionate about the need and opportunity for STEM education.  PCS plans to expand and strategically recruit new board members who can help the management team focus and execute its business plan.

 

Revenue for the period ending December 31, 2014 was $782,322  compared to revenue of $348,341, up approximately 125% compared to the same period last fiscal year. Net loss for the nine months ended was ($1,123,512), compared to ($729,119), a 54% increase from the same period last year resulting from: $331,696 of note payable discount taken to interest expense on notes payable and conversions, $741,280 increased cost of goods, investments in product development and marketing, with some mitigation by continued effort to keep costs down. Cash flow used from operations for the nine months ended December 31, 2014 was $(512,325).

 

 While the efforts put in by management and the entire employee team are beginning to be realized, as illustrated by increase in revenues this quarter, and the achievement of a cash positive EBIDTA for the quarter, the ability of the Company to continue as a going concern is dependent upon our ability to successfully accomplish the plans described, to raise capital as needed, to continue to monitor and reduce overhead costs, and to attain profitable operations. The accompanying consolidated financial statements do not include any adjustments that might be necessary if the Company is unable to continue as a going concern.

 

NOTE 4 – PREPAID EXPENSES

 

Prepaid expenses for the periods are as follows:

 

11


 

December 31, 2014

   

March 31, 2014

 

Prepaid insurance

$ 15,042     $ 9,709 

Prepaid trade show/travel

  -       1,150 

Prepaid inventory

  11,480       38,452 

Prepaid software

    18,212       11,457 

Prepaid expenses, other

    3,299       8,138 

Total Prepaid Expenses

  $ 48,033     $ 68,906 

NOTE 5 - FIXED ASSETS

 

Assets and depreciation for the periods are as follows:


December 31, 2014 March 31, 2014

Computer/office equipment

$ 28,452     $ 10,112  

Software

  127,355       127,355  

Accumulated depreciation

  (122,836 )     (118,005 )

Total Fixed Assets

  $ 32,971     $ 19,462  


Fixed asset depreciation expense for the nine months ended December 31, 2014 and 2013 was $19,699  and $14,036 respectively.

NOTE 6 - ACCRUED EXPENSES

 

Accrued expenses for the periods are as follows:

 

December 31, 2014

   

March 31, 2014

 

Interest payable

$ 73,222     $ 67,933 

Sales tax payable

  1,677       3,442 

Credit card debt

  57,027       43,853 

Professional fees: legal, accounting & other

    -       9,525 

Total accrued expenses

  $ 131,926     $ 124,753 


NOTE 7 – NOTES PAYABLE

 

Notes payable consisted of the following:

 

December 31, 2014

   

March 31, 2014

Short Term Note Payable, Related Party

$ 966,350     $ 707,251 

Short Term Convertible Note, Related Party net discount of $38,571 as of December 31, 2014 and March 31, 2014

  161,429       50,000 

Line of Credit

  22,905       27,089 

Long Term Note Payable

    20,004       - 

Long Term Note Payable, Related Party

    116,871       23,846 

Convertible notes payable, long term, net of $0 and $4,693 discount as of December 31, 2014 and March 31, 2014, respectively

    219,734       236,541 

Convertible notes payable, long term, related party, net of discount of $0 and $315,721, as of December 31, 2014 and March 31, 2014, respectively

    -       293,436 

Total Notes Payable

  $ 1,507,293     $ 1,338,163 

 

Long Term Note Payable

 

On May 1, 2014, the company entered into a 36 month note payable of $20,000.  The note bears interest at twelve percent (12%) per annum. Total interest accrued as of December 31, 2014 was $1,611.

 

 

Note Payable – Related Party


On December 30, 2011, the Company entered into a note payable in the amount of $30,000. The note bears

 

12



interest at
ten percent (10%) per annum and was due on February 28, 2012
with no conversion feature. This note extended under the same terms and conditions to March 31, 2015. Total interest accrued as of December 31, 2014 was $8,770.

 

On January 13, 2012, the Company entered into two separate promissory notes, which are non-convertible, in the amount of $35,000 each for an aggregate amount of $70,000. The notes bear interest at nine percent (9%) per annum and are due and payable on or before January 10, 2013. Minimum monthly payments of 1.5% of the loan balances are required and are submitted to Lenders’ financial institution. The note was amended April 1, 2013 and re-written with a new principal amount of $32,100 each for an aggregate amount of $64,200. The notes bear interest at nine percent (9%) per annum and are due and payable on or before April 1, 2020. The underlying loan requires that the Company pay to the lenders financial institution monthly payments of $1,033 on or before the 1st day of each month, beginning May 1, 2013, and continuing each month in like amount until the final payment due on April 1, 2020. The company has paid $12,524 in principal leaving a balance of $51,676 at December 31, 2014.

 

On February 26, 2013, we executed a promissory note with one of our shareholders, for $65,000 at 15% interest per annum, secured by seven of our sales orders to finance inventory purchases. The promissory note was due on or before April 20, 2013. There is no conversion feature associated with this promissory note. A payment of $20,000 was made against the principal on the note on April 1, 2013. The remaining $45,000 was extended and made part of the $95,000 convertible promissory note issued on May 24, 2013 which included an additional $50,000 promissory note as describe in the 8-K filed on May 24, 2013, with a maturity date of August 24, 2016 (See Convertible Note Payable – Related Party). The debt discount was calculated as $21,923. This note was converted on July 21, 2014 with total accrued interest of $6,041 into 3,108,944 shares. During the period ended September 30, 2014, $1,639 discount was amortized and the remaining debt discount of $15,322 was fully expensed upon conversion.  Due to conversion within the terms of the note, no gain or loss was recognized.

 

On March 22, 2013, we entered into a loan transaction that bears interest at a rate of 8% per annum, secured with one of our board members in the amount of $25,000. The note is secured by three of our accounts receivables to finance inventory purchases. This note was extended on September 30, 2013 and reclassed to a long term convertible promissory note with board member and shareholder of an 8% Convertible Promissory Note in the amount of $25,000, convertible into shares of common stock of the Company, at a price of $0.04 per share (See Convertible Note Payable – Related Party), which represents a 50% discount from the market price as of the date of the note. The note is due 36 months from the date of the note on or before September 30, 2016. The debt discount was calculated as $25,000. This note was converted on July 21, 2014 with total accrued interest as of July 21, 2014 was $1,611 into 665,274 shares. During the period ended September 30, 2014, $455 discount was amortized and the remaining $21,499 was fully expensed up conversion.  Due to conversion within the term of the note, no gain or loss was recognized.

 

On January 22, 2014 the Company entered into a loan transaction with one of our board members in the amount of $200,000, which was non-convertible. The note bears interest at a rate of 15% per annum, secured by Catapult PO NA1314-001 to finance inventory purchases and payoff the promissory notes dated January 7 and January 15, 2014. The promissory note and all accrued interest were due and payable on April 30, 2014. This note was paid in full including all accrued interest on April 8, 2014. 

 

On February 13, 2014 the Company entered into a loan transaction with one of our board members in the amount of $250,000, which was non-convertible. The note bears interest at a rate of 15% per annum, secured by Tatweer Company for Educational Services Mobile Outreach Saudi Work Order 001 to finance inventory purchases. The promissory note and all accrued interest were due and payable on May 13, 2014.  This note was extended to September 30, 2014, to account for the delay in invoice acceptance and payment by Tatweer Company for Educational Services. On September 9, 2014, the Company accrued and paid interest in the amount of $20,445 On October 21, 2014 this note was paid off when the Company entered into at 10% Convertible Promissory Note with a current board member and shareholder, in the amount of $200,000, convertible into shares of common stock of the Company, at the market price of $0.04. The note is due on or before October 22, 2015. The remaining $50,000 was paid in full by the issuance of that certain Promissory Note of even date herewith in the principal amount of $870,457. Total interest accrued as of December 31, 2014 was $5,137.

 

On February 21, 2014 the Company entered into a loan transaction with one of our board members in the amount of $70,000, which was non-convertible. The note bears interest at a rate of 15% per annum, secured by Catapult Learning PO NA1314-090 to finance inventory purchases. The promissory note and all accrued interest were due and payable on April 30, 2014.  This note was paid in full including all accrued interest on April 22, 2014.

 

On March 4, 2014 the Company entered into a loan transaction with one of our board members in the amount of $50,000. The note is non-convertible and bears interest at a rate of 15% per annum, secured by

 

13



T
4EDU Training Academy Contract to finance inventory purchases. The promissory note and all accrued interest were due and payable on April 30, 2014. $37,500 of this note was paid
during the period and the remaining $12,500 was extended and rolled into a new promissory note dated July 21, 2014 for $105,000 (includes a $75,000 and $17,500 promissory notes) with interest at 15% per annum due on or before August 30, 2014.  On October 21, 2014 this $105,000 note was paid off by an issuance of a promissory note with one of our board members in the amount of $870,457. The note is non-convertible and bears and interest rate of 10% per annum, and due October 22, 2015. Total interest accrued as of December 31, 2014 was $906.

 

On April 3, 2014, the Company executed a promissory note with one of our board members, for $60,000 at 15% interest per annum, secured by sales orders finance operations and inventory purchases. The promissory note was due April 30, 2014. There is no conversion feature associated with this promissory note. The note was extended on April 30, 2014 to September 30, 2014. The note was replaced with note dated July 28, 2014 for $210,000. Total interest accrued up through date of replacement was $2,860.

 

On April 11, 2014, the Company entered into a 36 month note payable of $60,000.  The note bears interest at twelve percent (12%) per annum. On June 1, 2014 this note holder became a board member. There is no conversion feature associated with this promissory noteTotal interest accrued as of December 31, 2014 was $5,708.

 

On April 15, 2014, the Company executed a promissory note with one of our board members, for $160,000 at 15% interest per annum, secured by sales orders to finance operations and inventory purchases. The promissory note was due June 30, 2014. There is no conversion feature associated with this promissory note.  The note was extended to September 30, 2014. This note was replaced by three different notes: $25,000 note payable executed June 3, 2014 (which was replaced by a $25,000 note dated June 28, 2014); $60,000 note payable executed August 20, 2014; $75,000 of the $150,000 note payable executed June 27, 2014 (which was replaced by three other notes dated August 20, 2014, August 07, 2014 and July 28, 2014). On October 21, 2014 these notes were paid off by an issuance of a promissory note with one of our board members in the amount of $870,457. The note is non-convertible and bears and interest rate of 10% per annum, and due October 22, 2015. Total Interest accrued during the period, up through the dates of replacement, is $4,159.

 

On May 1, 2014 the Company executed a promissory note with one of our shareholders and board members, for $60,000 at 15% interest per annum, secured by sales orders to finance operations and inventory purchases. The promissory note was due July 15, 2014. There is no conversion feature associated with this promissory note.  The note was extended to September 30, 2014.  During the period ended September 30, 2014, the notes were separated split into two notes, $17,500 and $42,500 and included in two separate notes dated July 21, 2014 for $105,000 and July 28, 2014 for $210,000, respectively.  On October 21, 2014 the notes for $105,000 and $210,000 were paid off by an issuance of a promissory note with one of our board members in the amount of $870,457. The note is non-convertible and bears and interest rate of 10% per annum, and due October 22, 2015.  Total interest accrued as of December 31, 2014 were $906 and $1,812 respectively.

 

On May 5, 2014 the Company executed a promissory note with one of our shareholders and board members, for $145,000 at 15% interest per annum, secured by sales orders to finance operations and inventory purchases. The promissory note was due July 15, 2014. There is no conversion feature associated with this promissory note.  The note was extended to September 30, 2014. On October 21, 2014 this note was paid off by an issuance of a promissory note with one of our board members in the amount of $870,457. The note is non-convertible and bears and interest rate of 10% per annum, and due October 22, 2015. Total interest accrued as of December 31, 2014 was $2,384.

 

On May 16, 2014 the Company executed a promissory note with one of our shareholders and board members, for $150,000 at 15% interest per annum, secured by sales orders to finance operations and inventory purchases. The promissory note was due September 30, 2014. There is no conversion feature associated with this promissory note.  $75,000 of this note was added to a $150,000 note payable executed June 21, 2014. The other $75,000 was added to another $150,000 note dated June 27, 2014.  Total interest accrued up through dates of replacement was $3,329.

 

On May 21, 2014 the Company executed a promissory note with one of our shareholders and board members, for $50,000 at 15% interest per annum, secured by sales orders to finance operations and inventory purchases. The promissory note was due August 30, 2014. There is no conversion feature associated with this promissory note. This promissory note was rolled into promissory note dated July 28, 2014 for $210,000. All interest was paid at the time of roll into the $210,000 note. On October 21, 2014 the $210,000 note was paid off by an issuance of a promissory note with one of our board members in the amount of $870,457. The note is non-convertible and bears and interest rate of 10% per annum, and due October 22, 2015.

 
On June 3, 2014 the Company executed a promissory note with one of our shareholders and board members

 

14



(part of a replacement note for promissory note dated April 15, 2014), for $25,000 at 15% interest per annum, secured by sales orders to finance operations and inventory purchases. The promissory note was due September 3, 2014. There is no conversion feature associated with this promissory note.  This promissory note was rolled into a promissory note dated July 28, 2014 for $210,000. All interest was paid at the time of roll into the $210,000 note. On October 21, 2014 the $210,000 note was paid off by an issuance of a promissory note with one of our board members in the amount of $870,457. The note is non-convertible and bears and interest rate of 10% per annum, and due October 22, 2015. 

 

On June 27, 2014 the Company executed a promissory note with one of our shareholders and board members, for $150,000 at 15% interest per annum (compose of two separate $75,000 notes that was previously issued and replaced dated May 16, 2014 and April 16,2014, respectively), secured by sales orders to finance operations and inventory purchases. The promissory note was due September 30, 2014. There is no conversion feature associated with this promissory note. This note is replaced by three different notes: $63,000 note payable executed on August 20, 2014, a part of the $123,000 promissory note; $25,000 note payable executed on August 7, 2014; and $32,500 note executed on July 28, 2014.  The remaining principal balance of $29,500 was paid off by an issuance of a promissory note with one of our board members in the amount of $870,457 on October 21, 2014. The note is non-convertible and bears and interest rate of 10% per annum, and due October 22, 2015.  Total interest accrued as of the date of pay off was $242

 

On July 21, 2014 the Company executed a promissory note with one of our shareholders and board members, for $105,000 at 15% interest per annum, secured by T4EDU Contract 0006/2014, to finance operations and inventory purchases. The promissory note is due October 31, 2014. There is no conversion feature associated with this promissory note.  This promissory note composed of prior issued notes dated March 4, 2014 for $12,500; May 1, 2014 for $17,500; and May 16, 2014 for $75,000. On October 21, 2014 the note for $105,000 was paid off by an issuance of a promissory note with one of our board members in the amount of $870,457. The note is non-convertible and bears and interest rate of 10% per annum, and due October 22, 2015.  Total interest accrued as of December 31, 2014 were $906.

 

On July 21, 2014, the Company converted $646,500 in convertible long term related party,  notes payable, and the related $49,874 in accrued interest (individual notes identified in the convertible related parties  notes payable section of  (See Convertible note – related party).  The strike price varied from $0.0325 to $0.065 depending on the note terms.  The conversion resulted in 18,455,666 shares of common stock.

 

On July 28, 2014, the Company executed a promissory note with one of our shareholders and board members, for $210,000 at 15% interest per annum, secured by T4EDU Contract 0006/2014, to finance operations and inventory purchases. The promissory note is due October 31, 2014. There is no conversion feature associated with this promissory note.  This promissory note composed of prior issued notes dated April 3, 2014 for $60,000; May 1, 2014 for $42,500; May 21, 2014 for $50,000; June 3, 2014 for $25,000 and June 27, 2014 for $32,500. Total Interest accrued as of September 30, 2014 was $5,523. All interest was paid at the time of roll into the $210,000 note. On October 21, 2014 the $210,000 note was paid off by an issuance of a promissory note with one of our board members in the amount of $870,457. The note is non-convertible and bears and interest rate of 10% per annum, and due October 22, 2015. 

 

On July 28, 2014 the Company executed a promissory note with one of our shareholders and board members, for $100,000 at 5% interest per annum, secured by sales orders to finance operations and inventory purchases. The promissory note is due November 28, 2014. There is no conversion feature associated with this promissory note. The note was paid in full on December 30, 2014. Total interest accrued accrued and paid at payoff was$2,137.

On August 7, 2014 the Company executed a promissory note with one of our shareholders and board members, for $25,000 at 15% interest per annum, secured by sales orders to finance operations and inventory purchases. The promissory note was due October 31, 2014. There is no conversion feature associated with this promissory note.  This note replaced prior issued note dated June 27, 2014.  On October 21, 2014 this note was paid off by an issuance of a promissory note with one of our board members in the amount of $870,457. The note is non-convertible and bears and interest rate of 10% per annum, and due October 22, 2015.  Total interest accrued as of December 31, 2014 was $215.

 

On August 20, 2014 the Company executed a promissory note with one of our shareholders and board members, for $123,000 at 15% interest per annum, secured by sales orders to finance operations and inventory purchases. The promissory note was due November 30, 2014. There is no conversion feature associated with this promissory note.  This notes replaced prior issued note dated June 27, 2014 for $63,000 and April 15, 2014 for $60,000. On October 21, 2014 this note was paid off by an issuance of a promissory note with one of our board members in the amount of $870,457. The note is non-convertible and bears and interest rate of 10% per annum, and due October 22, 2015.  Total interest accrued as of December 31, 2014 was $1,062.

 

15



On October 21, 2014
the Company executed a promissory note with one of our shareholders and board members in the amount of $870,457. The note is non-convertible and bears and interest rate of 10% per annum, and due October 22, 2015.  This note includes new cash lent to Borrower under this note of $175,000.  This note includes $7,957 of accrued interest on the paid off notes listed below. This note pays off the following notes:  $50,000 of the February 11, 2014 $250,000 Convertible long term related party;$145,000 dated May 7, 2014; $29,500 of the June 27, 2014 $105,000; $105,000 dated July 21, 2014; $210,000 dated July 28, 2014; $25,000 dated 08/08/2014; $123,000 dated August 20, 2014. Total interest accrued as of December 31, 2014 was $16,932.

 

On October 22, 2014 the Company executed a promissory note with a related party for credit up to $20,000 at 12% interest per annum. The promissory note was due December 31, 2014. There is no conversion feature associated with this promissory note.  The principle balance on December 31, 2014 was $14,217. This note was subsequently extended to February 15, 2015. Total interest accrued as of December 31, 2014 was $221.


 

Line of Credit

 

On September 13, 2011, the Company drew down a line of credit at a financial institution in the amount of $39,050. The line of credit bears interest at 17.5% per annum. The Company makes variable monthly payments. As of September 30, 2014, the Company has paid $16,189 in principal leaving a balance of $22,861 payable.

 

Convertible Note Payable – Non-related party

 

On August 1, 2012, the Company issued amendments to the convertible note agreements (convertible into common stock at a rate of $0.15 per share) in the aggregated amount of $215,000 and extended the due date with the repayments in the amount of $40,000 per quarter to begin April, 2013, and the final payments due in August, 2014, with any remaining balance due at that time. In consideration for extending the due date of the promissory notes, the expiration dates on the warrants issued (fully expensed in the prior period) on March 31, 2011 and June 27, 2011, were amended and extended an additional three years, making the new expiration dates August 1, 2017.  At the Lender’s sole option, Lenders may elect to receive payment of their respective note and all accrued interest in restricted common stock of the Borrower at the price per share of said common stock at same rate as the warrants. Subsequently and effective June 7, 2013, we executed an amendment to the loan transaction.  The amended transaction involved the extension of the Promissory Note from April 30, 2013 to April 30, 2016, with the creditors waiving any default under the previous note. The company made interest payments to each of the eight note holders for all accrued interest from August 1, 2012 to April 30, 2013 for consideration of the extension.  On the fourth extension, all accrued interest was combined with the original principal amount as of July 31, 2012. The company has agreed to make quarterly interest payments to each of the note holders during the term of the extension. All other terms of the previous Promissory Note, Security Agreement and related warrants remain in full force and effect.  As of September 30, 2014, the ending principle balance was $243,745, including the related party convertible note balance of $34,011 noted below. Interest accrued as of December 31, 2014 for the total set of notes was $30,084.

 

On April 30, 2013, the Company entered into a loan transaction with an “accredited investor” for a Promissory Note, payable with interest at 8% per annum in the amount of $5,000, convertible into shares of common stock of the Company at a price of $0.20 per share. The note is due twenty-four months from the date of the note, on or before August 31, 2015. Total accrued interest as of December 31, 2014 was $701.

 

On July 30, 2013, the Company entered into a loan transaction with an “accredited investor” for a promissory Note, payable with interest at 8% per annum in the amount of $5,000, convertible into shares of common stock of the Company at a price of $0.20 per share. The note is due twenty-four months from the date of the note, on or before July 30, 2015. No debt discount was recognized as the conversion price is considered “out of the money”, therefore no discount was necessary. Total accrued interest as of December 31, 2014 was $562.

 

Convertible Note Payable – Related Party

 

For the transactions described above in regard to the original $215,000 convertible notes, $34,011 was loaned from a related party and has been separated out as described in the Company’s financial statements and accompanying notes at March 31, 2013.  Interest expense for the related party convertible note with the ending December 31, 2014 principle balance was $4,802.


On February 26, 2013, we executed a promissory note with one of our shareholders, for $65,000 at 15% interest per annum, secured by seven of our sales orders to finance inventory purchases. The promissory note was due on or before April 20, 2013. There is no conversion feature associated with this promissory note. A payment

 

16



of $
20,000 was made against the principal on the note on April 1, 2013.
The remaining $45,000 was extended and made part of the $95,000 convertible promissory note issued on May 24, 2013 which included an additional $50,000 promissory note as describe in the 8-K filed on May 24, 2013, with a maturity date of August 24, 2016 and conversion rate of $0.0325. The debt discount was calculated as $21,923. This note was converted on July 21, 2014 with total accrued interest of $6,041 into 3,108,944 shares. During the period ended September 30, 2014, $1,639 discount was amortized and the remaining debt discount of $15,322 was fully expensed upon conversion.  Due to conversion within the terms of the note, no gain or loss was recognized.

 

On February 29, 2012, the Company entered into three separate convertible promissory notes in the aggregate amount of $100,000.  The notes bear interest at ten percent (10%) per annum and were due on May 30, 2012.  At the sole option of each respective Lender, the outstanding balance of the notes may be converted into shares of restricted Rule 144 common stock of the Borrower at a price per share of $0.05.  In the event Lender elects to convert any outstanding balance due under this note into such shares, Lender shall give written notice to the Borrower seven (7) days prior to the effective date of such exercise.  At Borrower’s sole option, Borrower may elect to pay Lender in cash up to one-half (1/2) of the then principal and interest due under the note.  In such event, the remaining balance of principal and interest shall be converted as provided under the note agreement.  On June 14, 2012, one of the notes, in the amount of $50,000, was converted into 1,028,770 shares of our “restricted” common stock in accordance with the terms of the convertible promissory note.  The remaining two notes were extended, with no changes to the terms, were due and payable on June 30, 2014.  On July 21, 2014 the principal balance of the notes at $35,000 and $15,000 totaling to the $50,000 plus the accrued interest of $11,959 was converted into 1,239,178 shares of our “restricted” common stock in accordance with the terms of the convertible promissory note. Discount recognized on the convertible note were fully expensed in the prior period.  Due to conversion within the terms of the note, no gain or loss was recognized.

 

On December 3, 2012, the Company entered into a long term convertible promissory note with a board member and shareholder in the amount of $45,000. The note is convertible into common stock at a rate of $0.04 per share. The note bears interest at eight (8%) per annum and is due 36 months from the date of the agreement, on or before December 03, 2015. The proceeds from the note were used by the company to pay off the Security Purchase Agreement (tranche 2) issued on June 4, 2012, along with any accrued interest, penalties and administrative costs.  The debt discount was calculated as $18,255, of which $5,300 was amortized during the twelve months ended March 31, 2014, leaving the discount balance remaining of $11,722. This note was converted on July 21, 2014 with total accrued interest of $1,105 into 1,152,617 shares of our “restricted” common stock in accordance with the terms of the convertible promissory note. During the period ended September 30, 2014, $1,471 discount was amortized and the remaining $10,251 was fully expensed upon conversion of the promissory note.  Due to conversion within the terms of the note, no gain or loss was recognized.

 

On January 11, 2013, the Company entered into an 8% Convertible Promissory Note with an “accredited investor,” in the amount of $21,500, convertible into shares of common stock of the Company, at the market price of $0.065. The note is due thirty six months from the date of note.  The note is secured by a secondary security interest in all of the Company’s intellectual property.  The proceeds received by the Company from the sale of this note were used by the Company for prepaying the Promissory Note dated June 5, 2012 (Tranche 3) issued to Asher Enterprises, Inc., as well as any administrative costs associated with the payment. This final payment completes and pays off all outstanding notes with Asher Enterprises. The Company recognized a discount on the debt issued related to the derivative liability. This debt discount was calculated as $9,285, of which $4,592 was amortized during the twelve months ended March 31, 2014. This note was converted on July 21, 2014 with total accrued interest of $1,385 into 352,084 shares of our “restricted” common stock in accordance with the terms of the convertible promissory note. During the period ended September 30, 2014, $740 discount was amortized and the remaining $3,953 was fully expensed upon conversion of the promissory note.  Due to conversion within the terms of the note, no gain or loss was recognized.

 

On March 22, 2013, we entered into a loan transaction that bears interest at a rate of 8% per annum, secured with one of our board members in the amount of $25,000. The note is secured by three of our accounts receivables to finance inventory purchases. This note was extended on September 30, 2013 and reclassed to a long term convertible promissory note with board member and shareholder of an 8% Convertible Promissory Note in the amount of $25,000, convertible into shares of common stock of the Company, at a price of $0.04 per share, which represents a 50% discount from the market price as of the date of the note. The note is due 36 months from the date of the note on or before September 30, 2016. The debt discount was calculated as $25,000. This note was converted on July 21, 2014 with total accrued interest as of July 21, 2014 was $1,611 into 665,274 shares. During the period ended September 30, 2014, $455 discount was amortized and the remaining $21,499 was fully expensed up conversion.  Due to conversion within the term of the note, no gain or loss was recognized.

 

On September 30, 2013, the Company entered into a long term convertible promissory note with board member

 

17



and shareholder of an
8% Convertible Promissory Note in the amount of $150,000, convertible into shares of common stock of the Company, at a price of $0.04 per share, which represents a 50% discount from the market price as of the date of the note. The note is due 36 months from the date of the note on or before September 30, 2016. The debt discount was calculated as $150,000, of which $18,579 was amortized during the twelve months ended March 31, 2014, leaving the discount balance remaining of $131,421.
This note was converted on July 21, 2014 with total accrued interest of $9,666 into 3,991,644 shares of our “restricted” common stock in accordance with the terms of the convertible promissory note. During the period ended September 30, 2014, $2,728 was amortized and the remaining $128,693 was fully expensed upon conversion of the promissory note.  Due to conversion within the terms of the note, no gain or loss was recognized.

 

On September 30, 2013, the Company entered into a Promissory Note in the amount of $260,000 with one of our board members, payable with interest at 10% per annum, in cash on or before November 29, 2013. The Promissory Note funded payables and other corporate purposes of borrower. This note is secured by that certain license agreement and other agreements between borrower and Kindle Education, now Creya Learning. A long-term Convertible Promissory Note (convertible at a rate of $0.035 per share) was executed on January 8, 2014 that replaced the September 30, 2013, payable with interest at 8% per annum on or before January 8, 2017. The debt discount was calculated as $156,000, of which $22,286 was amortized during the twelve months ended March 31, 2014, leaving the discount balance remaining of $133,714. This note was converted on July 21, 2014 with total accrued interest of $18,107 into 7,945,925 shares of our “restricted” common stock in accordance with the terms of the convertible promissory note. During the period ended September 30, 2014, $12,251 was amortized and the remaining $121,463 was fully expensed upon conversion of the promissory note.  Due to conversion within the terms of the note, no gain or loss was recognized.

 

On October 21, 2014 the Company entered into at 10% Convertible Promissory Note with a current board member and shareholder, in the amount of $200,000, convertible into shares of common stock of the Company, at the market price of $0.04. The note is due on or before October 22, 2015.The debt discount was calculated as $50,000. During the period ended December 31, 2014, $11,429 discount was amortized.

 

NOTE 8 – DERIVATIVE FINANCIAL INSTRUMENTS

 

The Company generally does not use derivative financial instruments to hedge exposures to cash-flow risks or market-risks that may affect the fair values of its financial instruments. The Company utilizes various types of financing to fund our business needs, including convertible debts with conversion features and other instruments not indexed to our stock. The convertible notes include fluctuating conversion rates. The Company uses a lattice model for valuation of the derivative. For derivative financial instruments that are accounted for as liabilities, the derivative instrument is initially recorded at its fair value and then re-valued at each reporting date, with changes in the fair value reported in income in accordance with ASC 815. The classification of derivative instruments, including whether such instruments should be recorded as liabilities or as equity, is reassessed at the end of each reporting period. Derivative instrument liabilities are classified in the balance sheet as current or non-current based on whether net cash settlement of the derivative instrument could be required within the 12 months of the balance sheet date.

 

The Company, in  year ended March 31, 2013, issued convertible notes payable that provide for the issuance of convertible notes with variable conversion provisions. The conversion terms of the convertible notes are variable based on certain factors, such as the future price of the Company’s common stock. The number of shares of common stock to be issued is based on the future price of the Company’s common stock. Due to the fact that the number of shares of common stock issuable is not able to be determined definitively, the equity environment is tainted and all additional convertible debentures and warrants are included in the value of the derivative. Pursuant to ASC 815-15 Derivatives, the fair values of the variable conversion option and warrants and shares to be issued were recorded as derivative liabilities on the issuance date.

 

The fair values of the Company’s derivative liabilities were estimated at the issuance date and are revalued at each subsequent reporting date, using a lattice model. The Company eliminated the derivative as of March 31, 2013. As a result, the loss on derivative liabilities was $-0- and $-0- as of December 31, 2014 and 2013.

NOTE 9 – FAIR VALUE OF FINANCIAL INSTRUMENTS

 

On January 1, 2008, the Company adopted guidance which defines fair value, establishes a framework for using fair value to measure financial assets and liabilities on a recurring basis, and expands disclosures about fair value measurements. Beginning on January 1, 2009, the Company also applied the guidance to non-financial assets and liabilities measured at fair value on a non-recurring basis, which includes goodwill and intangible assets. The guidance establishes a hierarchy for inputs used in measuring fair value that maximizes the use of observable inputs and minimizes the use of unobservable inputs by requiring that the most observable inputs be used

 

18



when available. Observable inputs are inputs that market participants would use in pricing the asset or liability developed based on market data obtained from sources independent of the Company. Unobservable inputs are inputs that 
reflect the Company’s assumptions of what market participants would use in pricing the asset or liability developed based on

 

 

the best information available in the circumstances. The hierarchy is broken down into three levels based on the reliability of the inputs as follows:

 

Level 1 - Inputs are unadjusted quoted prices in active markets for identical assets or liabilities that the Company has the ability to access at the measurement date.

 

Level 2 - Inputs include quoted prices for similar assets and liabilities in active markets, quoted prices for identical or similar assets or liabilities in markets that are not active, inputs other than quoted prices that are observable for the asset or liability (e.g., interest rates, yield curves, etc.), and inputs that are derived principally from or corroborated by observable market data by correlation or other means (market corroborated inputs).

 

Level 3 - Unobservable inputs that reflect our assumptions about the assumptions that market participants would use in pricing the asset or liability.

 

The following schedule summarizes the valuation of financial instruments at fair value on a recurring basis in the balance sheets as of December 31, 201and March 31, 2014:

 

Fair Value Measurements at December 31, 2014

 

Liabilities

Level 1

     

Level 2

     

Level 3

     

Gain/(loss)

 
                         

Convertible notes

$     $ 381,163     $       $  
    $     $              

 

 

Fair Value Measurements at March 31, 2014

 

Liabilities

Level 1

     

Level 2

     

Level 3

     

Gain/(loss)

 
                         

Convertible notes

$     $ 343,436              
    $     $              


 

NOTE 10 – DISCONTINUED OPERATIONS

 

On July 31, 2013, the Company signed a Memorandum of Understanding with a Canadian company owned by Joseph Khoury (“JAK”) proposing a purchase agreement in which JAK shall purchase LabMentors from PCS for USD $150,000. JAK has agreed to assume 100% of LabMentors outstanding liabilities and to pay the remainder of the USD $150,000 through a note payable. The note shall carry an annual interest rate of 3% compounded annually and be paid over a period of 60 months in equal monthly payments beginning in month 13 of the 60 month period. This sale was finalized during the period ending September 30, 2013.

 

The assets and liabilities of PCS LabMentors were segregated in the balance sheet and appropriately labeled as discontinued. As of the LabMentors  sale, income and expenses are netted in the income statement and appropriately labeled as discontinued operations. A full allowance of 50,740 was recorded for the promissory note.  As payments are received, the principle payment portion is recognized as Gain On Bad Debt Collection against the note receivable allowance.

 

NOTE 11 - COMMITMENTS AND CONTINGENCIES

 

a. Operating Lease Obligation

 

The Company leases its main office under a non-cancelable lease agreement accounted for as an operating lease. The lease expired in May 2012. This lease was extended for 13 months beginning June 1, 2012. Rent expense for the corporate offices was $14,131 and 26,041 for the quarter ended December 31, 2014 and 2013, and $99,318 and $107,717 for the twelve months ended March 31, 2014 and 2013, respectively, under this lease arrangement. On December 31, 2013 the Company signed an amendment to the existing contract to reduce the

 

19



leased square feet to 5,412 for $6,765/ month for 12 months ending December 31, 2014.

 

The Company leases additional warehouse space in Boise, Idaho. This warehouse space consists of approximately 2,880 square feet. The lease expired in June 2012. This lease was extended for 24 months, beginning July 1, 2012. The Fifth Lease Amendment was entered into for the warehouse space extending the lease period through October 31, 2015. Rent expense for the warehouse was $2,780 and $3,975 for the three months ended December 31, 2014 and 2013, respectively.

 

b. Litigation

 

Anthony Maher brought suit against PCS in January of 2014, claiming breach of an employment contract, interference with economic expectancy, and fraud.  Settlement was agreed in principle during mediation on July 9, 2014 as follows: in exchange for dismissal of the suit, and release of PCS from any liability to Mr. Maher for any and all claims related to Mr. Maher’s employment contract with PCS, PCS issued Mr. Maher 400,000 shares of the common stock of PCS, and paid him $50,000. PCS does not admit the allegations or any other wrongdoing, but would rather settle the matter for a modest amount to avoid the expense of defending it in court.  The settlement agreement was executed on July 9, 2014.  There are no other lawsuits pending involving PCS.

 

c. Contingencies

 None

 

NOTE 12 - STOCKHOLDERS’ EQUITY

 

a. Common Stock

 

 During the period ending September 30, 2014, $77,160 has been accrued in stock payable that will be issued in future periods.

 

During the period ending September 30, 2014, the Company expensed amounts related to stock options and warrants granted in the current period as well as prior periods valued at $11,222.

 

During the period ending September 30, 2014, the Company issued 750,000 shares of common stock for consulting services.  The shares were valued based on the fair market price on the date of grant for a total of $37,500.

 

During the period ended September 30, 2014, the company accrued $12,308 payable in Restricted Stock Unit to its non-management directors. Each restricted stock unit is valued at $0.05, based on the closing price of the Company’s common stock at the date of grant. As of September 30, 2014, $44,808 has been accrued for director services. For the directors who chose to defer payment in a prior year an entry was made to book fair market value of the RSU and $9,000 was reclassed to stock payable.

 

During the period ending September 30, 2014, the Company issued 400,000 shares to a related party for settlement of liabilities.  The shares were valued based on the fair market price on the date of grant for a total of $22,000

 

              On July 21, 2014, a $95,000 note was converted with total accrued interest of $6,041 into 3,108,944 shares. Due to conversion within the terms of the note, no gain or loss was recognized. (See Convertible Note Payable – Related Party)

 

On July 21, 2014 the principal balance of the notes at $35,000 and $15,000 totaling to the $50,000 plus the accrued interest of $11,959 was converted into 1,239,178 shares of our “restricted” common stock in accordance with the terms of the convertible promissory note. Due to conversion within the terms of the note, no gain or loss was recognized. (See Convertible Note Payable – Related Party)

 

On July 21, 2014, a $45,000 note was converted with total accrued interest of $1,105 into 1,152,617 shares of our “restricted” common stock in accordance with the terms of the convertible promissory note. Due to conversion within the terms of the note, no gain or loss was recognized. (See Convertible Note Payable – Related Party)

 

On July 21, 2014, a $21,500 note was converted with total accrued interest of $1,385 into 352,084 shares of our “restricted” common stock in accordance with the terms of the convertible promissory note. Due to conversion within the terms of the note, no gain or loss was recognized. (See Convertible Note Payable –

 

20


Related Party)

 

On July 21, 2014, a $25,000 note was converted with total accrued interest as of July 21, 2014 was $1,611 into 665,274 shares of our “restricted” common stock in accordance with the terms of the convertible promissory note. Due to conversion within the term of the note, no gain or loss was recognized. (See Convertible Note Payable – Related Party)

 

On July 21, 2014, a $150,000 note was converted with total accrued interest of $9,666 into 3,991,644 shares of our “restricted” common stock in accordance with the terms of the convertible promissory note. Due to conversion within the terms of the note, no gain or loss was recognized. (See Convertible Note Payable – Related Party)

 

On July 21, 2014, a $260,000 note was converted with total accrued interest of $18,107 into 7,945,925 shares of our “restricted” common stock in accordance with the terms of the convertible promissory note. Due to conversion within the terms of the note, no gain or loss was recognized. (See Convertible Note Payable – Related Party)

 

 

During the period ending December 31, 2014, $0 has been accrued in stock payable that will be issued in future periods.

 

During the period ending December 31, 2014, the Company issued 1,010,000 shares of common stock for  services.  The shares were valued based on the fair market price on the date of grant for a total of $60,400.

 

During the period ending December 31, 2014, the Company issued 16,000 shares of common stock for employees bonus.  The shares were valued based on the fair market price on the date of grant for a total of $7,760.

 

During the period ending December 31, 2014, the Company recognized $50,000 in debt discount as an increase to stockholders’ equity pursuant to the terms of two different convertible promissory notes issued. The debt discount consists of a beneficial conversion feature on both convertible promissory notes in which $11,429 was amortized for the period.

 

During the period ending December 31, 2014, the Company expensed $1,813 related to stock options and warrants granted in the current period as well as prior periods. 

 

During the period ended December 31, 2014, the company accrued $6,924 payable in Restricted Stock Units to its non-management directors. Each restricted stock unit is valued at $0.05, based on the closing price of the Company’s common stock at the date of grant. These agreements call for payment of current year director fees via issuance of restricted stock units over a vesting period of not less than twelve months, and require continued service for twelve months and reelection at the next annual shareholder meeting. As of December 31, 2014, $51,732 has been accrued for director services.

 

b. Preferred Stock

 

The Company has 20,000,000 authorized shares of preferred stock. As of December 31, 2014, there are no preferred shares issued or outstanding.

 

NOTE 13 - BASIC AND DILUTED NET LOSS PER COMMON SHARE

 

Basic and diluted net loss per common share for the three month periods ended December 31, 2014 and 2013, are based on 72,855,781 and 52,504,350, respectively, of weighted average common shares outstanding.

 

Basic and diluted net loss per common share for the nine month periods ended December 31, 2014 and 2013, are based on 64,850,290 and 51,434,182, respectively, of weighted average common shares outstanding.

 

No adjustment has been made for any common stock equivalents outstanding because their effects would be antidilutive. An adjustment has been made to show that effect on the loss per share from discontinued operations as outlined below.

 

NOTE 14 - DILUTIVE INSTRUMENTS

 

Stock Options and Warrants

 

21



The Company is required to recognize expense of options or similar equity instruments issued to employees using the fair-value-based method of accounting for stock-based payments in compliance with the financial accounting standard pertaining to share-based payments. This standard covers a wide range of share-based compensation arrangements including share options, restricted share plans, performance-based awards, share appreciation rights, and employee share purchase plans. Application of this standard requires significant judgment regarding the assumptions used in the selected option pricing model, including stock price volatility and employee exercise behavior. Most of these inputs are either highly dependent on the current economic environment at the date of grant or forward-looking over the expected term of the award.

 


             

Total Issued

         

Not

 

Issued

 

Cancelled

   

Executed

   

and Outstanding

   

Exercisable

   

Vested

 
                                 

Balance as of March 31, 2014

  27,856,655         14,789,300         9,722,210         3,345,145         2,320,145         1,025,000  

Warrants

                                               

Common Stock

              1,255,150                 (1,255,150 )         (775,150 )         (480,000 )  

Balance as of December 31, 2014

      27,856,655         16,044,450         9,722,210         2,089,995         1,544,995         545,000  


No common stock options or warrants were issued, exercised, or cancelled during the period ended December 31, 2014.

 

January 1, 2014, the company granted 40,000 incentive options each to one employee per year for three years. These options were issued as incentive compensation to the employee. The options were valued using the Black-Scholes valuation model. The options have an expected volatility rate of 258.20% calculated using the Company stock price for a three-year period. A risk free interest rate of 0.41% - 0.64% was used to value the options. The total value of these options was $4,107. The options vest over a three-year period and are exercisable at a range of $.05 to $0.6 per share, which represents the fair market value at the date of grant in accordance with the 2009 Equity Incentive Plan. As of December 31, 2014, $ 1,027 of the total value was expensed. $341 was expensed in the three months ending December 31, 2014.

 

February 1, 2014, the company granted 40,000 incentive options each to three employees per year for three years. These options were issued as incentive compensation to the employee. The options were valued using the Black-Scholes valuation model. The options have an expected volatility rate of 259.07% calculated using the Company stock price for a three-year period.  A risk free interest rate of 0.26% - 0.76% was used to value the options. The total value of these options was $17,726. The options vest over a three-year period and are exercisable at a range of $.05 to $0.6 per share, which represents the fair market value at the date of grant in accordance with the 2009 Equity Incentive Plan. As of December 31, 2014, $3,977 of the total value was expensed. $1,473 was expensed in the three months ending December 31, 2014.

 

On May 15, 2012, the Company granted 850,000 incentive stock options to an officer, Robert Grover. The expected volatility rate of 223.62% calculated using the Company stock price over the period beginning June 1, 2009 through date of issue. A risk free interest rate of 0.38 % was used to value the options. The options were valued using the Black-Scholes valuation model. The total value of this option was $46,175. The options vest over a three year period and are exercisable at $0.06 per share which represents the fair market value at the date of grant in accordance with the 2009 Equity Incentive Plan. As of December 31, 2014, $40,452 in value of the options was expensed.  $8,031 was expensed in the three months ending December 31, 2014.

 

NOTE 15 - SUBSEQUENT EVENTS

 

               On January 22, 2015 the Company entered into at 10% Promissory Note with a current board member and shareholder, in the amount of $400,000, secured by T4EDU Contract 0006/0017, to finance operations and inventory purchases, due June 30, 2015. The Lender has also issued warrants to acquire up to 2,000,000 shares of Company’s common stock for $0.04 per share exercisable at any time within 36 months after the date of issuance of the Warrants.

 

The Board of Directors of PCS Edventures!.com, Inc. (the “Company”) has accepted the resignation of Andrew J. Scoggin as a member of the board of directors of the Company. Mr. Scoggin’s resignation is effective as of January 31, 2015. 

 

On February 1, 2015 the Board of Directors of PCS Edventures!.com, Inc. (the “Company”) has 

 

22



appointed
: Robert Grover as President and Co-Chief Executive Officer; Russelee V. Horsburgh as Vice President and Treasurer; Todd Hackett as and Co-Chief Executive Office; and Britt Ide as Chair of the Board.


Item 2.  Management’s Discussions and Analysis of Financial Condition and Results of Operations.

 

Cautionary Statements for Purposes of “Safe Harbor Provisions” of the Private Securities Litigation Reform Act of 1995:

Except for historical facts, all matters discussed in this report, which are forward-looking, involve a high degree of risk and uncertainty. Certain statements in this report set forth management’s intentions, plans, beliefs, expectations, or predictions of the future based on current facts and analyses. When we use the words “believe”, “expect”, “anticipate”, “estimate”, “intend” or similar expressions, we intend to identify forward-looking statements. You should not place undue reliance on these forward-looking statements. Actual results may differ materially from those indicated in such statements, due to a variety of factors, risks and uncertainties. Potential risks and uncertainties include, but are not limited to, competitive pressures from other companies within the Educational Industries, economic conditions in the Company’s primary markets, exchange rate fluctuation, reduced product demand, increased competition, inability to produce required capacity, unavailability of financing, government action, weather conditions and other uncertainties, including those detailed in the Company’s Securities and Exchange Commission filings. The Company assumes no duty to update forward-looking statements to reflect events or circumstances after the date of such statements.

 

The following discussion should be read in conjunction with our audited consolidated financial statements and Management’s Discussion and Analysis of Financial Condition and Results of Operations (“MD&A”) contained in our Form 10-K for the year ended March 31, 2014.

 

Plan of Operation

 

PCS holds a unique position in the STEM education market with 1) an existing STEM library and deep expertise in creating STEM solutions comprised of curriculum and materials; 2) a unique PCS learning methodology – an  adaptive (customizes to individual learners), experiential (hands-on in nature),  learning framework that can be monetized in a number of ways.    This approach to educational assessment and incentivizing students is the educational approach for the future and PCS is a thought leader in this area; 3)  PCS has developed an innovative K12 robotics and engineering system comprised of hardware and software specifically designed to engage students in STEM topics such as hands-on physics and engineering and coding; 4) PCS has established itself as a prime STEM provider in the Kingdom of Saudi Arabia and is growing its revenues from the Kingdom; and  5) PCS entered the B2C space with a retail product launch this year and also has a working model for experiential learning labs operational.  With a plan to expand its B2C offerings, PCS is now in the planning stages of a unique, subscription-based online learning system that can be scaled nationwide if successful.

 

In fiscal year 2015, PCS has continued its commitment to the research and development of PreK-16, brain-based learning programs in Science, Technology, Engineering and Math (STEM) that embed 21st century thinking skills and new technologies through the expansion of its engineering and robotics products and the deployment of a second EdventuresLab site  in Eagle, Idaho. PCS offers products and services to the following markets:

 

1) K6 STEM programs for the elementary classroom

2) Tech Ed STEM programs for grades 6-12 that include robotics and engineering products

3) STEM labs and packages for Afterschool programs

4) Customized STEM consulting solutions for the international market 

5) Direct to consumer (B2C) sales of STEM services and retail products such as our retail robotics kit

 

 

During the remainder of fiscal year 2015 we will continue to focus on the improvement of our web-based marketing efforts, expand our sales force and channel partners, and tighten sales processes for our domestic STEM sales. We will continue to fulfill existing and capture new STEM contracts with the Kingdom of Saudi Arabia.   We will continue to build our Edventures Lab program because it is a key strategic addition to our plan and serves the following purposes: 1) R&D test bed for product improvement and refinement; 2) Revenue generation through afterschool and summer course fees. This course revenue stream will be more predictable and consistent compared to the seasonal revenues associated with education budgets; 3) Showrooms for PCS products in strategic locations and key districts around the country. We believe this will provide PCS with significant competitive advantages over other solution providers since administrators and educators can visit local centers for support, training, and demonstrations of our products in action; 4) Revenues from STEM retail products. We believe e-commerce sales of kits associated with STEM learning targeting the families of students attending the centers as well

 

23


 

as the larger home retail market will provide a consistent, dependable boost in Q3 revenues to offset low education sales traditionally anticipated during this time frame. We will actively seek retail distribution channels for our robotics retail products.

 

To further our EdventuresLab business plan, we deployed a second program in Eagle, Idaho in Q2.  The establishment of this initial network of centers will enable more rapid expansion in FY2015 and beyond. We believe the strategic deployment of Edventures Labs to be a viable and sound approach based on our initial trial programs.


Results of Operations

 

For the nine-month period ended December 31, 2014, the Company reported a net loss of ($1,123,512) as compared to a net loss of ($759,487) for the nine-month period ended December 31, 2013.  The increased loss was predominantly due to the full amortization of all note payable discounts totaling $301,131 on July 21, 2014 as a result of $646,500 in notes payable conversion into 18,455,666 common stock shares. The Basic Loss per Share for nine-month period ended December 31, 2014, is ($0.02), which varies from the ($0.01) loss per share for the nine-month period ended December 31, 2014.

 

Revenues for the nine month period ended December 31, 2014 increased $1,190,864 to $2,339,426 as compared to revenue during the nine month period ended December 31, 2013 of $1,148,563. This was primarily due to the fulfillment of several international contract milestones, with some growth in domestic sales.

 

Operating expenses for the nine-month period ended December 31, 2014, increased by $487,081 (40%) to $1,695,885; compared to $1,208,804 for the nine-month period ended December 31, 2014.

 

For the three months ended December 31, 2014, the Company reported  net ordinary income for the quarter was $11,067.69, and after interest and other expense the net loss for the quarter was ($35,369) as compared to a net loss of ($239,962) for the quarter ended December 31, 2013.  The Basic Loss per Share for the quarter ended December 31, 2014, is ($0.0), which is comparable  to the ($0.0) loss per share for the three month period ended December 31, 2013.

 

Revenue for the three months ended December 31, 2014 increase by $433,983 (125%) to $782,322, as compared to revenue during the quarter ended December 31, 2013 of $348,339. The significant difference in revenue from period to period is due to the large contract received in FY2015 from Saudi Arabia.  

 

Operating expenses for the three month period ended December 31, 2014, increased by $117,392 (31%) to $498,649, as compared to $381,257for the three month period ended December 31, 2013. The table below identifies the quarter over quarter changes:

 

Operating Expenses

 

3 months ended
December 31, 2014

 

9 months ended
December 31, 2014

 

Marketing

    $ 9,575   $ 58,598 (1)

Product Development

    3,867   68,845 (2)

Employee Expenses

    45,318   154,177 (3)

Bad Debt

    66   (50,740 ) (4)

Settlement Expense

    32,000   32,000 (5)

Product Development KSA

    3,867   145,100 (6)

International Administrative Travel & Consulting Expense

    31,854   40,128 (7)

Professional Fees

    (3,536 )   26,029 (8)

Other, net

    (5,619 )   12,944  
    $ 117,392   $ 487,081  

 

 

1)

Marketing Expense increased due to additional sales and promotional efforts at tradeshows, magazines, and locally for the learning centers.

 

 

2)

Product Development Expense includes stock compensation for Cortex 5.0.

 

 

24


 

 

3)

Employee Expenses increased due to filling of open positions for marketing and product development, and added international contract administration.

 


4)

Bad Debt 2013 contained LabMentor Sales Allowance Note Receivable.

 

5)

Settlement Expense of Anthony Maher July 9, 2014.

 

6)

Product Development Kingdom Saudi Arabia (KSA) for specialized contract fulfillment.

 

7)

International Travel for contract bids and Consulting travel and expense on International contract fulfilment.

 

8)

Professional Fees increased due to cost incurred for capital raising efforts.


Liquidity

 

Cash used by operations for Q3 was ($512,325) compared to cash used by operations for Q3 ($529,671) in the same period last year. The Company ended the third quarter of FY 2015 with $20,323 in cash, total current assets of $646,325 and total current liabilities of $1,771,174, resulting in a working capital deficit of $1,124,849 compared to a working capital deficit of $385,254 for the year ended March 31, 2014.

 

For financing activities in FY 2015, management obtained $538,116 by issuing Promissory Notes. Proceeds were used for operations and working capital.

 

The Company had a current ratio at December 31, 2014 and September 30, 2014 of 0.36 and 0. .34, respectively. This increase in liquidity was due primarily to an increase in international accounts receivable. We have an accumulated deficit of ($39,293,698) and shareholders’ equity of ($1,426,745).

 

The Company cannot predict that it will be successful in obtaining funding for its plans or that it will achieve profitability in fiscal year 2015.

 

Item 3. Quantitative and Qualitative Disclosures About Market Risk.

 

The Company is a smaller reporting company as defined by Rule 12b-2 of the Securities Exchange Act of 1934, as amended (the “Exchange Act”) and is not required to provide the information required under this item.

 

 

Item 4. Controls and Procedures

 

Changes in Internal Control Over Financial Reporting.

 

None.

 

Disclosure Controls and Procedures

 

We maintain “disclosure controls and procedures,” as the Securities and Exchange Commission (“SEC”)

defines such term. We have designed these controls and procedures to reasonably assure that information required to be disclosed in our reports filed under the Exchange Act, such as this Form 10-Q, is recorded, processed, summarized, and reported within the periods specified in the SEC’s rules and forms. We have also designed our disclosure controls to provide reasonable assurance that such information is accumulated and communicated to the Chief Executive Officer, as appropriate, to allow them to make timely decisions regarding our required disclosures.

 

Our management has evaluated the effectiveness of our disclosure controls and procedures (as defined in Rule 13a-15(e) of the Securities Exchange Act of 1934) as of December 31, 2013. Based on this evaluation, the Chief

Executive Officer concluded that our Company’s disclosure controls and procedures, including the accumulation and communication of disclosures to the Company’s Chief Executive Officer as appropriate to allow timely decisions regarding required disclosure, were not effective as of this date to provide reasonable assurance that information required to be disclosed by us in the reports that we file or submit under the Exchange Act is recorded, processed, summarized and reported within the time periods specified by the SEC’s rules and forms. Based on this evaluation, we have concluded that there are material weaknesses in our disclosure controls and procedures and they were not effective for the following reasons:

 

 

Due to our relatively small size we do not have segregation of duties which is a deficiency in our disclosure controls.

 

Management’s Report on Internal Control Over Financial Reporting.

 

25


 

Our management is responsible for establishing and maintaining adequate internal control over financial reporting (as defined in Rule 13a-15(f) under the Exchange Act). Our internal control over financial reporting is a process designed to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes.

 

Because of its inherent limitations, internal control over financial reporting may not prevent or detect misstatements. Therefore, even those systems determined to be effective can provide only reasonable assurance of achieving their control objectives.


Our management, including our Chief Executive Officer, does not expect that our disclosure controls and procedures or our internal controls will prevent all error or fraud.

 

A control system, no matter how well conceived and operated, can provide only reasonable, not absolute, assurance that the objectives of the control system are met. Further, the design of a control system must reflect the fact that there are resource constraints and the benefits of controls must be considered relative to their costs. Due to the inherent limitations in all control systems, no evaluation of controls can provide absolute assurance that all control issues and instances of fraud, if any, have been detected. Management believes that the financial statements included in this report fairly present in all material respects our financial condition, results of operations and cash flows for the periods presented.

 

Our management, with the participation of the principal executive officer, evaluated the effectiveness of the Company’s internal control over financial reporting as of December 31, 2014. In making this assessment, our management used the criteria set forth by the Committee of Sponsoring Organizations of the Treadway Commission (“COSO”) in Internal Control – Integrated Framework. As a result of its review, management identified a material weakness in the internal control over financial reporting as described above. Based on this evaluation, our management, concluded that, as of December 31, 2014, our internal control over financial reporting was not effective. Management acknowledges that as a smaller reporting entity, it is difficult to have adequate accounting staff to perform appropriate additional reviews of the financial statements.

 

 

PART II - OTHER INFORMATION

 

Item 1. Legal Proceedings.

 

None.

 

Item 2. Recent Sale of Unregistered Securities.

 

Security issuances occurred during the quarter ended December 31, 2014.

 

Name of Person or Group

   

Shares

 

Consideration

 

**Consultants

    1,010,000      $ 60,400  

**Legal Consultants

    —       

* Employees: Bonus

    160,000      7,760  

*  Employees: Benefits

      —       
      —       

 

* Issued as Restricted Securities under the 2009 Equity Incentive Plan; the shares issuable thereunder are registered on Form S-8 of the SEC.

 

** We issued these securities to persons who were either “accredited investors” or “sophisticated investors” as those terms are respectively defined in Rules 501 and 506 of the SEC; and each person had prior access to all material information about us. We believe that the offer and sale of these securities was exempt from the registration requirements of the Securities Act pursuant to Sections 4(2) and 4(6) thereof, and Rule 506 of Regulation D of the

 

SEC. Section 18 of the Securities Act preempts state registration requirements for sales to these classes of persons, save for compliance with state notice and fee requirements, as may be applicable.

 

Item 3. Defaults Upon Senior Securities.

 

26


 

None; not applicable.

 

Item 4. Mine Safety Disclosures

 

None; not applicable.

 

Item 5. Other Information.

 

None.

 

27



Item 6. Exhibits.

 

31.1

Rule 13a-14(a) or 15d-14(a) Certification of the Registrant’s principal executive officer. Filed herewith.

32.1

Rule 13a-14(b) or 15d-14(b) Certification of the Registrant’s principal executive officer pursuant to 18 U.S.C Section 1350 as adopted pursuant to Rule 906 of the Sarbanes-Oxley Act of 2002. Filed herewith.

 

101.INS

XBRL Instance Document*

101.PRE.

XBRL Taxonomy Extension Presentation Linkbase*

101.LAB

XBRL Taxonomy Extension Label Linkbase*

101.DEF

XBRL Taxonomy Extension Definition Linkbase*

101.CAL

XBRL Taxonomy Extension Calculation Linkbase*

101.SCH

XBRL Taxonomy Extension Schema*

 

*Pursuant to Rule 406T of Regulation S-T, these interactive data files are deemed “furnished” and not “filed” or part of a registration statement or prospectus for purposes of Sections 11 or 12 of the Securities Act of 1933, or deemed “furnished” and not “filed” for purposes of Section 18 of the Securities and Exchange Act of 1934, and otherwise are not subject to liability under these sections.

 

SIGNATURES

 

Pursuant to the requirements of the Securities Exchange Act of 1934, the Registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.

 

PCS EDVENTURES!.COM, INC.

 

Dated:

February 10, 2015

 

By:

/s/Robert O. Grover

 

 

 

 

 

Robert O. Grover

 

 

 

 

 

Chief Executive Officer and Director

 

 

In accordance with the Exchange Act, this report has been signed below by the following persons on behalf of the registrant and in the capacities and on the dates indicated.

 

Dated:

February 10, 2015

 

By:

/s/ Britt E. Ide

 

 

 

 

 

Britt E. Ide

 

 

 

 

 

Secretary and Director

 

 

Dated:

February 10, 2015

 

By:

/s/ Murali Ranganathan

 

 

 

 

Murali Ranganathan

 

 

 

 

Director

 

Dated:

February 10, 2015

 

By:

/s/Todd R. Hackett

 

 

 

 

 

Todd R. Hackett

 

 

 

 

 

Director

 

 

28


EX-31.1 2 ex-31.1d1_edgar.htm EX-31.1


Exhibit 31.1

CERTIFICATION PURSUANT TO

SECTION 302 OF THE SARBANES-OXLEY ACT OF 2002

 

I, Robert O. Grover, certify that:

 

1.   I have reviewed this Quarterly Report on Form 10-Q of PCS Edventures!.com, Inc.;

 

2.   Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

 

3.   Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations and cash flows of the Registrant as of, and for, the periods presented in this report;

 

4.   The Registrant’s other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Exchange Act Rules 13a-15(e) and 15d-15(e)) and internal control over financial reporting (as defined in Exchange Act Rule 13a-15(f) and 15d-15(f)) for the Registrant and have:

 

a)   designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the Registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

 

b)   designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

 

c)   evaluated the effectiveness of the Registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of the end of the period covered by this report based on such evaluation; and

 

d)   disclosed in this report any change in the Registrant’s internal control over financial reporting that occurred during the Registrant’s most recent fiscal quarter (the Registrant’s fourth fiscal quarter in the case of an annual report) that has materially affected, or is reasonably likely to materially affect, the Registrant’s internal control over financial reporting; and

 

5.   The Registrant’s other certifying officer(s) and I have disclosed, based on our most recent evaluation of internal control over financial reporting, to the Registrant’s auditors and the audit committee of the Registrant’s board of directors (or persons performing the equivalent functions):

 

a)  all significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the Registrant’s ability to record, process, summarize and report financial information; and

 

b)  any fraud, whether or not material, that involves management or other employees who have a significant role in the Registrant’s internal control over financial reporting.

 

   

Date:

February 10, 2015

 

By:

/s/Robert O. Grover

 

 

 

 

Chief Executive Officer

(principal executive officer)

 


EX-32.1 3 ex-32.1d2_edgar.htm EX-32.1


Exhibit 32.1

 

CERTIFICATION PURSUANT TO

18 U.S.C. SECTION 1350,

AS ADOPTED PURSUANT TO

SECTION 906 OF THE SARBANES-OXLEY ACT OF 2002

 

In connection with the Quarterly Report of PCS Edventures!.com, Inc. (the “Company”) on Form 10-Q for the period ended December 31, 2014, as filed with the Securities and Exchange Commission on the date hereof (the “Quarterly Report”), I, Robert O. Grover, Chief Executive Officer and of the Company, certify, pursuant to 18 U.S.C. Section 1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002, that, to the best of my knowledge:

 

(1) The Quarterly Report fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934, as amended; and

 

(2)  The information contained in the Quarterly Report fairly presents, in all material respects, the financial condition and result of operations of the Company.

 

 

Date:

February 10, 2015

 

By:

/s/Robert O. Grover

 

 

 

 

Chief Executive Officer

(principal executive officer)

 

 

              A signed original of this written statement required by Section 906 has been provided to the Company and will be retained by the Company and furnished to the Securities and Exchange Commission or its staff upon request.

 

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The note bears interest at a rate of <font>15</font>% per annum, secured by Tatweer Company for Educational Services Mobile Outreach Saudi Work Order <font>001</font> to finance inventory purchases. 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The note bears interest at a rate of <font>15</font>% per annum, secured by Catapult Learning PO NA<font>1314</font>-<font>090</font> to finance inventory purchases. The promissory note and all accrued interest were due and payable on April 30, 2014.&#160; This note was paid in full including all accrued interest on April 22, 2014.</font></p> <p style="margin: 0pt; text-align: justify; font-family: 'times new roman';"><font style="font-family: 'Times New Roman'; font-size: 10pt;">&#160;</font></p> <p style="margin: 0pt; text-align: justify; font-family: 'times new roman';"><font style="font-family: 'Times New Roman'; font-size: 10pt;">On March 4, 2014 the Company entered into a loan transaction with <font>one</font> of our board members in the amount of $<font>50,000</font>. 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The promissory note and all accrued interest were due and payable on April 30, 2014. $</font><font><font style="font-size: 10pt;">37,500</font></font><font style="font-size: 10pt;"> of this note was paid</font></font><font style="font-family: 'Times New Roman'; font-size: 10pt;"> during the period and the remaining $<font>12,500</font> was extended and rolled into a new promissory note dated July 21, 2014 for $<font>105,000</font> (includes a $<font>75,000</font> and $<font>17,500</font> promissory notes) with interest at <font>15</font>% per annum due</font><font style="font-family: 'Times New Roman'; font-size: 10pt;"> on or before August 30, 2014.</font><font style="font-family: 'Times New Roman'; font-size: 10pt;">&#160; On October 21, 2014 this </font><font style="font-family: 'Times New Roman'; font-size: 10pt;">$<font>105,000</font> </font><font style="font-family: 'Times New Roman'; font-size: 10pt;">note was paid off by an issuance of a promissory note with <font>one</font> of our board members in the amount of $<font>870,457</font>. 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The promissory note was due June 30, 2014. There is <font>no</font> conversion feature associated with this promissory note.&#160; The note was extended to September 30, 2014. This note was</font><font style="font-family: 'Times New Roman'; font-size: 10pt;"> replaced by <font>three</font> different notes: </font><font style="font-family: 'Times New Roman'; font-size: 10pt;">$<font>25,000</font> note payable executed June </font><font style="font-family: 'Times New Roman'; font-size: 10pt;">3</font><font style="font-family: 'Times New Roman'; font-size: 10pt;">, <font>2014</font></font><font style="font-family: 'Times New Roman'; font-size: 10pt;"> (which was replaced by a $<font>25,000</font> note dated June 28, 2014)</font><font style="font-family: 'Times New Roman'; font-size: 10pt;">; $<font>60,000</font> note payable executed </font><font style="font-family: 'Times New Roman'; font-size: 10pt;">August 20, 2014</font><font style="font-family: 'Times New Roman'; font-size: 10pt;">; $<font>75,000</font> of the $<font>150,000</font> note payable executed June 27, 2014</font><font style="font-family: 'Times New Roman'; font-size: 10pt;"> (which was replaced by <font>three</font> other notes dated August 20, 2014, August 07, 2014 and July 28, 2014)</font><font style="font-family: 'Times New Roman'; font-size: 10pt;">. </font><font style="font-family: 'Times New Roman'; font-size: 10pt;"> On October 21, 2014 these notes were paid off by an issuance of a promissory note with <font>one</font> of our board members in the amount of $<font>870,457</font>. 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The company made interest payments to each of the <font>eight</font> note holders for all accrued interest from August 1, 2012 to April 30, 2013 for consideration of the extension.&#160; On the fourth extension, all accrued interest was combined with the original princip</font><font style="font-family: 'Times New Roman'; font-size: 10pt;">al</font><font style="font-family: 'Times New Roman'; font-size: 10pt;"> amount as of July 31, 2012. The company has agreed to make quarterly interest payments to each of the note holders during the term of the extension. 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The debt discount was calculated as $<font>21,923</font>. This note was converted on July 21, 2014 with total accrued interest of $<font>6,041</font> into <font>3,108,944</font> shares. 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During the period ended September 30, 2014, $<font>1,471</font> discount was amortized and the remaining $<font>10,251</font> was fully expensed upon conversion of the promissory note.&#160; Due to conversion within the terms of the note, <font>no</font> gain or loss was recognized.</font></p> <p style="margin: 0pt; font-family: 'times new roman';"><font style="font-family: 'Times New Roman'; font-size: 10pt;">&#160;</font></p> <p style="margin: 0pt; font-family: 'times new roman';"><font style="font-family: 'Times New Roman'; font-size: 10pt;">On January 11, 2013, the Company entered into an <font>8</font>% Convertible Promissory Note with an &#147;accredited investor,&#148; in the amount of $<font>21,500</font>, convertible into shares of common stock of the Company, at the market price of $<font>0.065</font>. 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Due to the fact that the number of shares of common stock issuable is not able to be determined definitively, the equity environment is tainted and all additional convertible debentures and warrants are included in the value of the derivative. Pursuant to ASC <font>815</font>-<font>15</font> Derivatives, the fair values of the variable conversion option and warrants and shares to be issued were recorded as derivative liabilities on the issuance date. </font></p> <p style="margin: 0pt; font-family: 'times new roman';"><font style="font-family: 'Times New Roman'; font-size: 10pt;">&#160;</font></p> <p style="margin: 0pt; font-family: 'times new roman';"><font style="font-family: 'Times New Roman'; font-size: 10pt;">The fair values of the Company's derivative liabilities were estimated at the issuance date and are revalued at each subsequent reporting date, using a lattice model. The Company eliminated the derivative as of March 31, 2013. 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Number Of Lab Programs Opened And Operating Number of EdventuresLab programs that have been opened and are operating in the Idaho Treasure Valley The entire disclosure regarding the nature of unaudited consolidated financial statements. Unaudited Consolidated Financial Statements [Text Block] UNAUDITED CONSOLIDATED FINANCIAL STATEMENTS Represents the minimum number of sale persons. Minimum Number of Sale Persons Minimum number of sale persons Represents the maximum number of sale persons. Maximum Number of Sale Persons Maximum number of sale persons Increase in revenue compared to a prior period, stated as a percentage increase. Revenues Percentage Increase Revenue, percentage increase Represents the percentage increase/(decrease) in net income (loss) resulting from increased cost of goods, investments in R&D and marketing, with some mitigation by continued effort to keep costs down. Net Income (Loss) Percentage Increase (Decrease) Net loss, percentage increase resulting from increased cost of goods, investments in R&D and marketing, with some mitigation by continued effort to keep costs down Going Concern [Text Block] GOING CONCERN Increased cost of goods during period. Cost Of Goods Sold Increase Increased cost of goods Represents the number of eduventures lab locations in boise area. Number of Eduventures Lab Locations Number of eduventures lab locations Carrying amount of prepaid travel expenses and other related costs as of the balance sheet date. Prepaid Travel And Other Costs Prepaid trade show/travel Carrying amount prepaid for software and related expenses as of the balance sheet date. Prepaid Software Expenses Prepaid software Amendment Flag Amendment Flag Entire disclosure for prepaid expenses. Prepaid Expenses [Text Block] PREPAID EXPENSES The entire disclosure for prepaid expenses. Prepaid Expense And Other Assets [Table Text Block] Schedule of Prepaid Expenses Represents the amount of gain recorded in bad debt collection. Gain (Loss) on Bad Debt Collection Gain on Bad Debt Collection Gain on Bad Debt Collection Carrying value as of the balance sheet date of the portion of long-term debt due within one year or the operating cycle if longer identified as Convertible Notes Payable due to related parties. Convertible Notes Payable is a written promise to pay a note which can be exchanged for a specified amount of another, related security, at the option of the issuer and the holder. Convertible Notes Payable Related Parties Current Note payable, convertible, related party, net of $38,571 and $0 discount as of December 31, 2014 and March 31, 2014, respectively Short Term Convertible Note, Related Party The amount of discount on long-term debt due within one year or the operating cycle, if longer identified as Convertible Notes Payable due to related parties, which was originally recognized at the issuance of the debt instrument that is yet to be amortized. Convertible Notes Payable Related Parties Unamortized Discount Current Note payable, convertible, related party, discount Short Term Convertible Note, discount The amount of discount on long-term debt (with maturities initially due after one year or beyond the operating cycle, if longer) identified as Convertible Notes Payable, excluding current portion, which was originally recognized at the issuance of the debt instrument that is yet to be amortized. Convertible Long Term Notes Payable Unamortized Discount Noncurrent Convertible notes payable, long term, discount Long Term Convertible Note, discount Number of shares of stock issued during the period as part of a transaction for settlement of liabilities. Stock Issued During Period, Shares, Settlement Of Liabilties Stock for Settlement, shares Stock issued for consulting services, shares Value of shares of stock issued during the period as part of a transaction for settlement of debt. Stock Issued During Period, Value, Settlement of Liabilities Stock for Settlement Stock issued for consulting services Represents the amount of settlement expense recorded in relation to common stock. Common Stock for Settlement Common stock for settlement Represents the expense charged against earnings for the periodic recognition of capitalized mold, dies and tools. Amortization of Brain Molds Amortization of brain molds Common Stock Issued For Services Stock Payable. Common Stock Issued For Services Stock Payable Common stock issued for services (stock payable) Common Stock For Employee Bonus, Value. Common Stock For Employee Bonus Value Stock payable for bonuses Common stock issued for employee bonus (stock payable) Represents the stock payable accrued in prior period and issued in current period. Stock Payable Accrued in Prior Period and Issued in Current Period Stock payable accrued in prior period and issued in current period Number of common stock shares that will be issued to plaintiff seeks in the legal matter. Loss Contingency Damages Sought Number of Common Stock Shares will be Issued Shares of the common stock that will be issued Mr. Maher Warehouse [Member] Warehouses [Member] Represents information pertaining to breach of an employment contract. Breach of An Employment Contract [Member] Breach of an employment contract Current Fiscal Year End Date Current Fiscal Year End Date Represents the potential adverse periodic payment for the operating lease agreement. Future Operating Lease Potential Adverse Periodic Payment Future operating lease, monthly payment to be reduced Area of Real Estate Property Area of property leased Term of the operating lease. Operating Lease Term Operating lease, term Represents information pertaining to Long Term Note Payable of the entity. Long Term Note Payable [Member] Long Term Note Payable [Member] Represents information pertaining to 10 percent Convertible Promissory Note. Ten Percent Convertible Promissory Note [Member] 10% Promissory Note [Member] Represents the period within which option of debt instrument conversion to be exercisable. Debt Instrument Convertible Period in Which Promissory Notes Convertible Into Common Stock Period in which conversion of promissory notes into common stock exercisable Gain Loss [Member] Gain/ (Loss) [Member] Gain/(loss) Note Payable [Member] Note Payable [Member] Award Type [Axis] Separate Promissory Notes, Note One [Member] Separate Promissory Notes, Note One [Member] Separate Promissory Notes, Note 2 [Member] Separate Promissory Notes Note Two [Member] Separate Promissory Notes [Member] Separate Promissory Notes [Member] Minimum periodic payment required for a note payable, presented as a percent of the loan balances. Notes Payable Minimum Periodic Payment Percent Of Loan Balance Minimum monthly payment, percent of loan balances Document Period End Date Document Period End Date Payments made toward outstanding debt as of a specific date. Debt Instrument Payments Payments made Principal payments made as of a specific date toward outstanding debt. Debt Instrument Principal Payments To Date Principal paid Represents the amount of debt instruments extended and rolled. Debt Instrument Extended and Rolled Debt Instrument Extended and Rolled Total debt discount for the period. Debt Discount Noncash Debt discount Debt discount Promissory Note Six [Member] Promissory Note Six [Member] Shareholder Promissory Note [Member] Discount on convertible debt, presented as a percent of the market price. Convertible Debt Percent Of Market Price Discount, percent of market price Loan Transaction Board of Directors [Member] Loan Transaction Board of Directors [Member] Long Term Convertible Promissory Note One [Member] Long Term Convertible Promissory Note One [Member] Payments made for accrued interest on outstanding debt as of a specific date. Debt Instrument Interest Payments To Date Accrued interest, payment Loan Transaction Board of Directors Two [Member] Loan Transaction Board of Directors Two [Member] Promissory Note [Member] Promissory Note [Member] Loan Transaction Board of Directors Three [Member] Loan Transaction Board of Directors Three [Member] Loan Transaction Board of Directors Four [Member] Loan Transaction Board of Directors Four [Member] Short Term Promissory Note Five [Member] Short Term Promissory Note Five [Member] Represents information pertaining to promissory note, eighteen. Promissory Note Eighteen [Member] Promissory Note Eighteen [Member] Represents information pertaining to separate promissory notes, Note 10 of the entity. Promissory Note Ten [Member] Separate promissory notes Note Ten [Member] Represents information pertaining to separate promissory notes, Note 19 of the entity. Promissory Note Nineteen [Member] Note Payable One [Member] Note Payable One [Member] Represents information pertaining to separate promissory notes, Note 11 of the entity. Promissory Note Eleven [Member] Separate promissory notes Note Eleven [Member] Represents information pertaining to separate promissory notes, Note 12 of the entity. Promissory Note Twelve [Member] Separate promissory notes Note Twelve [Member] Represents information pertaining to separate promissory notes, Note 13 of the entity. Promissory Note Thirteen [Member] Separate promissory notes Note Thirteen [Member] Represents information pertaining to separate promissory notes, Note 14 of the entity. Promissory Note Fourteen [Member] Separate promissory notes Note Fourteen [Member] Represents information pertaining to separate promissory notes, Note 16 of the entity. Promissory Note Sixteen [Member] Separate promissory notes Note Sixteen [Member] Represents the aggregate number of stock issued during the period as a result for employee bonus. Common Stock for Employee Bonus Shares Common stock issued for employee bonus shares Represents information pertaining to separate promissory notes, Note 7 of the entity. Promissory Note Seven [Member] Separate promissory notes Note Seven [Member] Represents information pertaining to separate promissory notes, Note 15 of the entity. Promissory Note Fifteen [Member] Separate promissory notes Note Fifteen [Member] Represents information pertaining to separate promissory notes, Note 17 of the entity. Promissory Note Seventeen [Member] Separate promissory notes Note Seventeen [Member] The amount for convertible note, due to related parties. Used to reflect the current portion of the liabilities (due within one year or within the normal operating cycle if longer). Convertible Note Related Parties Classified Current Short Term Convertible Note, Related Party Represents the amount of received from sale of discontinued operations. Disposal Group Including Discontinued Operation Sale Price Sale price of subsidiary to Joseph Khoury For the disposal group, including a component of the entity (discontinued operation), carrying amount of outstanding liabilities and a note receivable. Disposal Group Including Discontinued Operation Outstanding Liabilities and Note Receivable Outstanding liabilities and a note receivable The per month increase/(decrease) in lease payments that result from changes occurring after the inception of the lease in the factors (other than the passage of time) on which lease payments are based, except that any escalation of minimum lease payments relating to increases in construction or acquisition cost of the leased property or for increases in some measure of cost or value during the construction or preconstruction period, are excluded from contingent rentals. Contingent rentals also may include amounts for which the triggering events have not yet occurred or the specified targets for which have not yet been achieved (such as sales based percentage rent), but which events are considered probable of occurring or which specified targets are considered probable of being achieved. Operating Leases Rent Expense Contingent Rentals Per Month Annual base rent per month Represents the percentage of lease annual base rent growth per year. Operating Lease Annual Base Rent Growth Rate Per Year Growth rate per year (as a percent) The amount for convertible notes payable (written promise to pay), payable to related parties, which are due after one year (or one business cycle). Convertible Notes Payable Related Parties Noncurrent Convertible notes payable, long term, related party, net of discount of $0 and $315,721, as of December 31, 2014 and March 31, 2014, respectively Long Term Convertible Note, Related Party, net of $297,178 and $315,721 discount for period ended June 30, 2014 and March 31, 2014, respectively Educational Software [Member] Educational Software [Member] Software [Member] Change In Derivative Liability Due To Debt Conversion. Change In Derivative Liability Due To Debt Conversion Change in derivative liability Adjustment made to stockholders equity for the period for the extension of warrants. Extension Of Warrants Extension of warrants Entire disclosure for other receivables. Other Receivables [Text Block] OTHER RECEIVABLES Policy disclosure for educational software costs. Educational Software, Policy [Policy Text Block] Educational Software Deemed dividend resulting from stock issuance or extension of options or warrants outstanding. Deemed Dividend Deemed dividend Deemed dividend Accounting Policies [Line Items] Accounting Policies [Line Items] Accredited Investor Four [Member] Accredited Investor Four [Member] Accredited Investor One [Member] Accredited Investor One [Member] Accredited Investor One [Member] Accredited Investor Three [Member] Accredited Investor Three [Member] Accredited Investor Two [Member] Accredited Investor Two [Member] Right to refuse any additional funding, maximum amount. Additional Funding Refusal Maximum Amount Right to refuse additional funding, maximum amount Adjustment to derivative liability during the period due to issuance of convertible debt. Adjustment To Derivative Liability Due Convertible Debt Issuance Increase in derivative value due to issuances of convertible notes and warrants Adjustment To Derivative Liability Due To Debt Conversion. Adjustment To Derivative Liability Due To Debt Conversion Adjustment of derivative liability due to debt conversion Promissory notes converted during the period Board Member Shareholder [Member] Board Member Shareholder [Member] Todd Hackett [Member] Board member and shareholder [Member] Noncash value of common stock issued for the conversion of RSUs during the period. Cash Flow Noncash Investing And Financing Activities Common Stock Issued For Restricted Units Conversion Common stock issued for conversion of RSUs (stock payable) Period for which a person is restricted from serviing as an officer or director of any issuer that has a class of securities registered. Civil Litigation Service Restriction Period Former CEO's officer or director restriction period, years Number of shares per dollar loaned called by warrants issued. Class Of Warrant Or Right Number Of Securities Called By Warrants Or Rights Per Dollar Loaned Number of shares per dollar loaned called by warrants Common Stock For RSU, Value. Common Stock For Restricted Stock Units Value Restricted stock units payable for issuance to non-management directors Common Stock Issued For Cash Stock Payable. Common Stock Issued For Cash Stock Payable Common stock issued for cash (stock payable) Entity Well-known Seasoned Issuer Entity Well-known Seasoned Issuer Value per share of common stock issued for services. Common Stock Issued For Services Value Per Share Common stock issued for services, value per share Common stock issued, value per share Entity Voluntary Filers Entity Voluntary Filers Value per share of common stock issued. Common Stock Value Per Share Common stock issued, value per share Entity Current Reporting Status Entity Current Reporting Status Consultant [Member] Consultant [Member] Entity Filer Category Entity Filer Category Amount of reportable sales income that no sales or use tax was filed or collected by the entity and is under examination. Contingencies Tax Examination Amount Sales and use tax contingency, amount Entity Public Float Entity Public Float Maximum amount of cash payable for the conversion of debt, presented as a ratio of the then principal and interest due. Conversion Of Debt Maximum Cash Payble Ratio Conversion of debt, percent of cash payable Entity Registrant Name Entity Registrant Name Written notice required to convert any outstanding balance due into shares. Conversion Of Debt Written Notice Conversion of debt, days written notice required Entity Central Index Key Entity Central Index Key Maximum prepayment percent as part of a convertible debt agreement. Convertible Debt Prepayment Maximum Percentage Prepayment payment percent prior to the expiration of 180 days Prepayment option as part of a convertible debt agreement, minimum percent prepayment. Convertible Debt Prepayment Minimum Percentage Prepayment payment percent during the first 30 days Minimum default rate for the convertible note, used to calculate fair value. Convertible Note Default Rate Base Convertible note, default rate minimum Maximum default rate for the convertible note, used to calculate fair value. Convertible Note Default Rate Maximum Convertible note, default rate maximum Entity Common Stock, Shares Outstanding Entity Common Stock, Shares Outstanding Incremental periodic percentage point increase applied to the base default rate. Convertible Note Default Rate Percentage Point Increase Convertible note, monthly default rate percentage point increase Maximum alternative financing availability rate for the convertible note. Convertible Notes Alternative Financing Availability Rate Maximum Convertible note, alternative financing availability rate maximum Minimum percent of the time alternative financing is available for the convertible note. Convertible Notes Alternative Financing Availability Rate Minimum Convertible note, alternative financing availability rate minimum Percentage point increase applied to the minimum alternative financing availability rate. Convertible Notes Alternative Financing Availability Rate Percentage Point Increase Convertible note, alternative financing availability percentage point increase Customer One [Member] Customer One [Member] Stemfinity [Member] Customer C [Member] Customer Three [Member] Customer C [Member] Customer Two [Member] Customer Two [Member] Catapult Learning [Member] The discount from the market price as of the issuance date of the debt instrument. Debt Conversion Discount Rate Discount rate The amount out of the face (par) amount of a debt instrument at time of issuance that is considered advanced under a previous note. Debt Instrument Face Amount Previous Note Advance Note payable amount, previous advance Deferred Payment [Member] Deferred Payment [Member] Average trading volume for derivatives during the period. Derivative Activity Volume Average monthly trading volume Periodic percentage increase applied to the average trading volume for derivative instruments. Derivative Activity Volume Periodic Percentage Increase Average monthly trading volume, monthly percentage increase Document and Entity Information [Abstract]. Document and Entity Information [Abstract] Educational Software [Abstract] EDUCATIONAL SOFTWARE [Abstract] Amount of employee advance receivable as of the balance sheet date. Employee Advance Receivable Employee advance Employees [Member] Employees [Member] Equity Transaction [Axis] Equity Transaction [Axis] Document Fiscal Year Focus Document Fiscal Year Focus Equity Transaction [Domain] Equity Transaction [Domain] Document Fiscal Period Focus Document Fiscal Period Focus Amount of future estimated sales for a specific product or segment of business. Estimated Future Sales Education robotics, estimated future worldwide sales Exercise Price One [Member] Exercise Price One [Member] Exercise Price Two [Member] Exercise Price Two [Member] First Term [Member] First Term [Member] Periodic payment for an operating lease agreement effective after the end of the current period. Future Operating Lease Periodic Payment Future operating lease, first nine months of term, monthly payment Going Concern [Abstract]. GOING CONCERN [Abstract] Amount of goods and services tax receivable as of the balance sheet date. Goods And Services Tax Receivable Canadian GST tax receivable Increase Decrease In Inventory Reserve (Increase) decrease in inventories reserve (Increase) decrease in inventories reserve Joseph Khoury [Member] Joseph Khoury [Member] Leann Gilberg [Member] Leann Gilberg [Member] Learning Center Revenues. Learning Center Revenues Learning Center revenues Principal payments made to date toward the outstanding balance on a line of credit. Line Of Credit Principal Payment To Date Line of Credit, principal payments Document Type Document Type Civil penalty incurred as part of a litigation judgment. Litigation Civil Penalty Former CEO's civil penalty Quarterly payments for the civil penalty incurred as part of a litigation judgment. Litigation Civil Penalty Quarterly Payments Former CEO's civil penalty, quarterly payments Nonmanagement Directors [Member] Non-management directors [Member] Officers And Employees [Member] Officers and Employees [Member] Officers And Shareholders [Member] Officers and Shareholders [Member] Officer Two [Member] Officer Two [Member] Extension period for an operating lease. Operating Lease Extension Period Lease extension, months Final periodic payments for an operating lease with increasing periodic payments. Operating Lease Increasing Payments Final Periodic Payments Future operating lease, final three months of term, increased monthly payments Penalty period from opting out of an operating lease early. Operating Lease Penalty Period Operating lease, early opt out penalty, months Percent tax applied to operating leases and due as a payable. Operating Lease Tax Percentage Operating lease, tax percentage Other Receivables [Abstract] OTHER RECEIVABLES [Abstract] SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES [Abstract] Previous Period [Member] Previous Period [Member] Promissory Note Five [Member] Promissory Note Five [Member] Anthony A. Maher Promissory Note [Member] Promissory Note Four [Member] Promissory Note Four [Member] Promissory Note Two [Member] Promissory Note Two [Member] The minimum revenue required for the purchase warrant. Purchase Warrant Minimum Revenue Amount Purchase warrant, minimum revenue Value per share of Restricted Stock Units issued during the period. Restricted Stock Units Value Per Share RSUs, value per share Amount of a major sale during the period. Revenue Major Sale Educational robotics sale Robert Grover [Member] Robert Grover [Member] Amount of sales and use tax penalties collected from customers during the period. Sales Use Tax Contingency Amount Collected From Customers Sales and use tax contingency, customer collections Periodic payment agreement to settle the debt owed for sales and use tax uncollected and not paid. Sales Use Tax Contingency Periodic Payment Sales and use tax contingency, monthly payment Tabular disclosure for other receivables. Schedule Of Other Receivables [Table Text Block] Schedule of Other Receivables Amount of Scientific Research and Experimental Development credit receivable as of the balance sheet date. Scientific Research And Experimental Development Credit Receivable Canadian SRED credit receivable Income during the period from the Scientific Research and Experiemental Development program. Scientific Research And Experimental Development Refund SR&ED refund Second Securities Purchase Agreement [Member] Second Securities Purchase Agreement [Member] Accounts Payable and Accrued Liabilities Disclosure [Text Block] ACCRUED EXPENSES Second Term [Member] Second Term [Member] The disclosed amount received for each amount the company has agreed to pay back from a customer purchase order used to secure the debt instrument. Secured Debt Amount To Be Received For Each Payback Amount Secured debt, amount received from customer purchase order per each $0.50 payback The amount the company has agreed to re-secure for each disclosed amount received from a customer purchase order used to secure the debt instrument. Secured Debt Amount To Be Resecured For Each Payback Amount Secured debt, amount to re-secure per each $1.00 received The amount the company has agreed to pay back for each disclosed amount received from a customer purchase order used to secure the debt instrument. Secured Debt Amount To Pay Back Per Amount Received Secured debt, amount to pay back per each $1.00 received Amount of purchase order used to secure debt. Secured Debt Purchase Order Secured promissory note, purchase order Securities Purchase Agreement [Member] Securities Purchase Agreement [Member] Nonvested share based payment awards outstanding. Share Based Compensation Arrangement By Share Based Payment Award Options Outstanding Nonvested Number Not Vested Period over which shares called by warrants are exercisable at a specified price. Shares Called By Warrants Exercise Price Period Exercise price per share, months Exercise price per share of shares called by warrants. Shares Called By Warrants Exercise Price Per Share Shares called by warrants, exercise price per share Stockholders Equity By Issuance [Axis] Stockholders Equity By Issuance [Axis] Stockholders Equity By Issuance [Domain] Stockholders Equity By Issuance [Domain] Stockholders Equity, By Proposal [Table] Stockholders Equity By Proposal [Table] Stockholders Equity [Line Items] Stockholders Equity [Line Items] Stock Payable For Services. Stock Payable For Services Stock payable for service Subsidiary Lease [Member] Subsidiary Lease [Member] LabMentors [Member] Third Securities Purchase Agreement [Member] Third Securities Purchase Agreement [Member] Three Separate Convertible Promissory Notes [Member] Three Separate Convertible Promissory Notes [Member] Transaction Five [Member] Transaction Five [Member] Transaction Four [Member] Transaction Four [Member] Accounts Payable, Interest-bearing, Current Credit card debt Transaction One [Member] Transaction One [Member] Transaction Seven [Member] Transaction Seven [Member] Transaction Six [Member] Transaction Six [Member] Transaction Three [Member] Transaction Three [Member] Transaction Two [Member] Transaction Two [Member] Expiration period for warrants issued. 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Convertible Notes Payable Related Parties Unamortized Discount Noncurrent Convertible notes payable, long term, related party, discount Long Term Convertible Note, Related Party, discount Accounts Receivable, Net Accounts receivable, net of allowance for doubtful accounts of $4,063 and $4,063, respectively Represents the number of individuals who resigned during the period. 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COMMITMENTS AND CONTINGENCIES (Narrative) (Details) (USD $)
3 Months Ended 0 Months Ended 12 Months Ended 9 Months Ended
Dec. 31, 2014
Dec. 31, 2013
Jul. 09, 2014
Dec. 31, 2014
sqft
Mar. 31, 2014
Mar. 31, 2013
Dec. 31, 2014
Operating Leased Assets [Line Items]              
Operating Leases, Rent Expense $ 14,131us-gaap_LeaseAndRentalExpense $ 26,041us-gaap_LeaseAndRentalExpense          
Breach of an employment contract | Subsequent Event [Member]              
Operating Leased Assets [Line Items]              
Shares of the common stock that will be issued Mr. Maher     400,000pcsv_LossContingencyDamagesSoughtNumberOfCommonStockSharesWillBeIssued
/ us-gaap_LossContingenciesByNatureOfContingencyAxis
= pcsv_BreachOfAnEmploymentContractMember
/ us-gaap_SubsequentEventTypeAxis
= us-gaap_SubsequentEventMember
       
Amount paid to Mr. Maher     50,000us-gaap_LossContingencyDamagesSoughtValue
/ us-gaap_LossContingenciesByNatureOfContingencyAxis
= pcsv_BreachOfAnEmploymentContractMember
/ us-gaap_SubsequentEventTypeAxis
= us-gaap_SubsequentEventMember
       
Number of other lawsuits pending     0us-gaap_LossContingencyPendingClaimsNumber
/ us-gaap_LossContingenciesByNatureOfContingencyAxis
= pcsv_BreachOfAnEmploymentContractMember
/ us-gaap_SubsequentEventTypeAxis
= us-gaap_SubsequentEventMember
       
Scenario, Forecast [Member]              
Operating Leased Assets [Line Items]              
Area of property leased 5,412us-gaap_AreaOfRealEstateProperty
/ us-gaap_StatementScenarioAxis
= us-gaap_ScenarioForecastMember
    5,412us-gaap_AreaOfRealEstateProperty
/ us-gaap_StatementScenarioAxis
= us-gaap_ScenarioForecastMember
    5,412us-gaap_AreaOfRealEstateProperty
/ us-gaap_StatementScenarioAxis
= us-gaap_ScenarioForecastMember
Future operating lease, monthly payment to be reduced       6,765pcsv_FutureOperatingLeasePotentialAdversePeriodicPayment
/ us-gaap_StatementScenarioAxis
= us-gaap_ScenarioForecastMember
     
Building [Member]              
Operating Leased Assets [Line Items]              
Operating Leases, Rent Expense         99,318us-gaap_LeaseAndRentalExpense
/ us-gaap_PropertyPlantAndEquipmentByTypeAxis
= us-gaap_BuildingMember
107,717us-gaap_LeaseAndRentalExpense
/ us-gaap_PropertyPlantAndEquipmentByTypeAxis
= us-gaap_BuildingMember
 
Operating lease, term         13 months    
Warehouses [Member]              
Operating Leased Assets [Line Items]              
Operating Leases, Rent Expense $ 2,780us-gaap_LeaseAndRentalExpense
/ us-gaap_PropertyPlantAndEquipmentByTypeAxis
= pcsv_WarehousesMember
$ 3,975us-gaap_LeaseAndRentalExpense
/ us-gaap_PropertyPlantAndEquipmentByTypeAxis
= pcsv_WarehousesMember
         
Operating lease, term             24 months
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NOTES PAYABLE (Notes Payable and Line of Credit) (Details) (USD $)
3 Months Ended 6 Months Ended 9 Months Ended 0 Months Ended
Dec. 31, 2014
Dec. 31, 2013
Sep. 30, 2014
Dec. 31, 2014
Dec. 31, 2013
May 01, 2014
Jul. 21, 2014
May 24, 2013
Apr. 11, 2014
Sep. 30, 2013
Oct. 21, 2014
Mar. 31, 2014
May 16, 2014
Mar. 04, 2014
Jul. 28, 2014
Jun. 27, 2014
Jun. 03, 2014
May 21, 2014
Apr. 03, 2014
Oct. 22, 2014
Dec. 30, 2011
May 01, 2013
Apr. 02, 2013
Jan. 13, 2012
Feb. 26, 2013
Aug. 20, 2014
Jun. 05, 2014
Apr. 15, 2014
item
Jan. 22, 2014
Mar. 22, 2013
Sep. 09, 2014
Feb. 13, 2014
Feb. 21, 2014
May 02, 2014
May 05, 2014
Sep. 13, 2011
Aug. 07, 2014
Debt Instrument [Line Items]                                                                          
Note payable amount $ 0us-gaap_DebtInstrumentFaceAmount     $ 0us-gaap_DebtInstrumentFaceAmount                                                                  
Long Term Note Payable 20,004us-gaap_LongTermNotesPayable     20,004us-gaap_LongTermNotesPayable                                                                   
Accrued interest payable 73,222us-gaap_InterestPayableCurrent     73,222us-gaap_InterestPayableCurrent               67,933us-gaap_InterestPayableCurrent                                                  
Amortization of Debt Discount (Premium)       331,696us-gaap_AmortizationOfDebtDiscountPremium 49,182us-gaap_AmortizationOfDebtDiscountPremium                                                                
Interest expense 52,621us-gaap_InterestExpense 41,657us-gaap_InterestExpense   470,211us-gaap_InterestExpense 107,143us-gaap_InterestExpense                                                                
Line of Credit 22,905us-gaap_LineOfCredit     22,905us-gaap_LineOfCredit               27,089us-gaap_LineOfCredit                                                  
Conversion of notes payable, shares     665,274us-gaap_DebtConversionConvertedInstrumentSharesIssued1                                                                    
Short Term Promissory Note Five [Member]                                                                          
Debt Instrument [Line Items]                                                                          
Payments made                         37,500pcsv_DebtInstrumentPayments
/ us-gaap_DebtInstrumentAxis
= pcsv_ShortTermPromissoryNoteFiveMember
                                               
Promissory Note Eighteen [Member]                                                                          
Debt Instrument [Line Items]                                                                          
Note payable amount           17,500us-gaap_DebtInstrumentFaceAmount
/ us-gaap_DebtInstrumentAxis
= pcsv_PromissoryNoteEighteenMember
105,000us-gaap_DebtInstrumentFaceAmount
/ us-gaap_DebtInstrumentAxis
= pcsv_PromissoryNoteEighteenMember
          150,000us-gaap_DebtInstrumentFaceAmount
/ us-gaap_DebtInstrumentAxis
= pcsv_PromissoryNoteEighteenMember
75,000us-gaap_DebtInstrumentFaceAmount
/ us-gaap_DebtInstrumentAxis
= pcsv_PromissoryNoteEighteenMember
                                             
Interest rate             15.00%us-gaap_DebtInstrumentInterestRateStatedPercentage
/ us-gaap_DebtInstrumentAxis
= pcsv_PromissoryNoteEighteenMember
                                                           
Accrued interest payable 906us-gaap_InterestPayableCurrent
/ us-gaap_DebtInstrumentAxis
= pcsv_PromissoryNoteEighteenMember
    906us-gaap_InterestPayableCurrent
/ us-gaap_DebtInstrumentAxis
= pcsv_PromissoryNoteEighteenMember
                                                                 
Payments made                     105,000pcsv_DebtInstrumentPayments
/ us-gaap_DebtInstrumentAxis
= pcsv_PromissoryNoteEighteenMember
                                                   
Principal paid                         75,000pcsv_DebtInstrumentPrincipalPaymentsToDate
/ us-gaap_DebtInstrumentAxis
= pcsv_PromissoryNoteEighteenMember
12,500pcsv_DebtInstrumentPrincipalPaymentsToDate
/ us-gaap_DebtInstrumentAxis
= pcsv_PromissoryNoteEighteenMember
                                             
Debt Instrument Extended and Rolled     12,500pcsv_DebtInstrumentExtendedAndRolled
/ us-gaap_DebtInstrumentAxis
= pcsv_PromissoryNoteEighteenMember
                                                                   
Promissory Note Nineteen [Member]                                                                          
Debt Instrument [Line Items]                                                                          
Note payable amount                             210,000us-gaap_DebtInstrumentFaceAmount
/ us-gaap_DebtInstrumentAxis
= pcsv_PromissoryNoteNineteenMember
                                           
Interest rate                             15.00%us-gaap_DebtInstrumentInterestRateStatedPercentage
/ us-gaap_DebtInstrumentAxis
= pcsv_PromissoryNoteNineteenMember
                                           
Accrued interest payable     5,523us-gaap_InterestPayableCurrent
/ us-gaap_DebtInstrumentAxis
= pcsv_PromissoryNoteNineteenMember
                                                                   
Payments made           42,500pcsv_DebtInstrumentPayments
/ us-gaap_DebtInstrumentAxis
= pcsv_PromissoryNoteNineteenMember
        210,000pcsv_DebtInstrumentPayments
/ us-gaap_DebtInstrumentAxis
= pcsv_PromissoryNoteNineteenMember
        32,500pcsv_DebtInstrumentPayments
/ us-gaap_DebtInstrumentAxis
= pcsv_PromissoryNoteNineteenMember
25,000pcsv_DebtInstrumentPayments
/ us-gaap_DebtInstrumentAxis
= pcsv_PromissoryNoteNineteenMember
50,000pcsv_DebtInstrumentPayments
/ us-gaap_DebtInstrumentAxis
= pcsv_PromissoryNoteNineteenMember
60,000pcsv_DebtInstrumentPayments
/ us-gaap_DebtInstrumentAxis
= pcsv_PromissoryNoteNineteenMember
                                   
Promissory Note Twenty Four [Member]                                                                          
Debt Instrument [Line Items]                                                                          
Note payable amount                     175,000us-gaap_DebtInstrumentFaceAmount
/ us-gaap_DebtInstrumentAxis
= pcsv_PromissoryNoteTwentyFourMember
                                                   
Accrued interest payable 16,932us-gaap_InterestPayableCurrent
/ us-gaap_DebtInstrumentAxis
= pcsv_PromissoryNoteTwentyFourMember
    16,932us-gaap_InterestPayableCurrent
/ us-gaap_DebtInstrumentAxis
= pcsv_PromissoryNoteTwentyFourMember
            7,957us-gaap_InterestPayableCurrent
/ us-gaap_DebtInstrumentAxis
= pcsv_PromissoryNoteTwentyFourMember
                                                   
Promissory Note Twenty Five [Member]                                                                          
Debt Instrument [Line Items]                                                                          
Interest rate                                       12.00%us-gaap_DebtInstrumentInterestRateStatedPercentage
/ us-gaap_DebtInstrumentAxis
= pcsv_PromissoryNoteTwentyFiveMember
                                 
Accrued interest payable 221us-gaap_InterestPayableCurrent
/ us-gaap_DebtInstrumentAxis
= pcsv_PromissoryNoteTwentyFiveMember
    221us-gaap_InterestPayableCurrent
/ us-gaap_DebtInstrumentAxis
= pcsv_PromissoryNoteTwentyFiveMember
                                                                 
Principle balance 14,217us-gaap_NotesPayableRelatedPartiesCurrentAndNoncurrent
/ us-gaap_DebtInstrumentAxis
= pcsv_PromissoryNoteTwentyFiveMember
    14,217us-gaap_NotesPayableRelatedPartiesCurrentAndNoncurrent
/ us-gaap_DebtInstrumentAxis
= pcsv_PromissoryNoteTwentyFiveMember
                                                                 
Promissory Note Twenty Five [Member] | Maximum [Member]                                                                          
Debt Instrument [Line Items]                                                                          
Note payable amount                                       20,000us-gaap_DebtInstrumentFaceAmount
/ us-gaap_DebtInstrumentAxis
= pcsv_PromissoryNoteTwentyFiveMember
/ us-gaap_RangeAxis
= us-gaap_MaximumMember
                                 
Long Term Note Payable [Member]                                                                          
Debt Instrument [Line Items]                                                                          
Maturity period           36 months                                                              
Long Term Note Payable           20,000us-gaap_LongTermNotesPayable
/ us-gaap_LongtermDebtTypeAxis
= pcsv_LongTermNotePayableMember
                                                             
Interest rate           12.00%us-gaap_DebtInstrumentInterestRateStatedPercentage
/ us-gaap_LongtermDebtTypeAxis
= pcsv_LongTermNotePayableMember
                                                             
Accrued interest payable 1,611us-gaap_InterestPayableCurrent
/ us-gaap_LongtermDebtTypeAxis
= pcsv_LongTermNotePayableMember
    1,611us-gaap_InterestPayableCurrent
/ us-gaap_LongtermDebtTypeAxis
= pcsv_LongTermNotePayableMember
                                                                 
Note Payable [Member]                                                                          
Debt Instrument [Line Items]                                                                          
Note payable amount                                         30,000us-gaap_DebtInstrumentFaceAmount
/ us-gaap_LongtermDebtTypeAxis
= pcsv_NotePayableMember
                               
Interest rate                                         10.00%us-gaap_DebtInstrumentInterestRateStatedPercentage
/ us-gaap_LongtermDebtTypeAxis
= pcsv_NotePayableMember
                               
Accrued interest payable 8,770us-gaap_InterestPayableCurrent
/ us-gaap_LongtermDebtTypeAxis
= pcsv_NotePayableMember
    8,770us-gaap_InterestPayableCurrent
/ us-gaap_LongtermDebtTypeAxis
= pcsv_NotePayableMember
                                                                 
Separate Promissory Notes [Member]                                                                          
Debt Instrument [Line Items]                                                                          
Note payable amount                                             64,200us-gaap_DebtInstrumentFaceAmount
/ us-gaap_LongtermDebtTypeAxis
= pcsv_SeparatePromissoryNotesMember
70,000us-gaap_DebtInstrumentFaceAmount
/ us-gaap_LongtermDebtTypeAxis
= pcsv_SeparatePromissoryNotesMember
                         
Interest rate                                             9.00%us-gaap_DebtInstrumentInterestRateStatedPercentage
/ us-gaap_LongtermDebtTypeAxis
= pcsv_SeparatePromissoryNotesMember
9.00%us-gaap_DebtInstrumentInterestRateStatedPercentage
/ us-gaap_LongtermDebtTypeAxis
= pcsv_SeparatePromissoryNotesMember
                         
Accrued interest payable             11,959us-gaap_InterestPayableCurrent
/ us-gaap_LongtermDebtTypeAxis
= pcsv_SeparatePromissoryNotesMember
                                                           
Minimum monthly payment, percent of loan balances                                               1.50%pcsv_NotesPayableMinimumPeriodicPaymentPercentOfLoanBalance
/ us-gaap_LongtermDebtTypeAxis
= pcsv_SeparatePromissoryNotesMember
                         
Payments made                                           1,033pcsv_DebtInstrumentPayments
/ us-gaap_LongtermDebtTypeAxis
= pcsv_SeparatePromissoryNotesMember
                             
Principal paid 12,524pcsv_DebtInstrumentPrincipalPaymentsToDate
/ us-gaap_LongtermDebtTypeAxis
= pcsv_SeparatePromissoryNotesMember
    12,524pcsv_DebtInstrumentPrincipalPaymentsToDate
/ us-gaap_LongtermDebtTypeAxis
= pcsv_SeparatePromissoryNotesMember
                                                                 
Principle balance 51,676us-gaap_NotesPayableRelatedPartiesCurrentAndNoncurrent
/ us-gaap_LongtermDebtTypeAxis
= pcsv_SeparatePromissoryNotesMember
    51,676us-gaap_NotesPayableRelatedPartiesCurrentAndNoncurrent
/ us-gaap_LongtermDebtTypeAxis
= pcsv_SeparatePromissoryNotesMember
                                                                 
Separate Promissory Notes, Note One [Member]                                                                          
Debt Instrument [Line Items]                                                                          
Note payable amount                                             32,100us-gaap_DebtInstrumentFaceAmount
/ us-gaap_LongtermDebtTypeAxis
= pcsv_SeparatePromissoryNotesNoteOneMember
35,000us-gaap_DebtInstrumentFaceAmount
/ us-gaap_LongtermDebtTypeAxis
= pcsv_SeparatePromissoryNotesNoteOneMember
                         
Interest rate                                             9.00%us-gaap_DebtInstrumentInterestRateStatedPercentage
/ us-gaap_LongtermDebtTypeAxis
= pcsv_SeparatePromissoryNotesNoteOneMember
9.00%us-gaap_DebtInstrumentInterestRateStatedPercentage
/ us-gaap_LongtermDebtTypeAxis
= pcsv_SeparatePromissoryNotesNoteOneMember
                         
Minimum monthly payment, percent of loan balances                                               1.50%pcsv_NotesPayableMinimumPeriodicPaymentPercentOfLoanBalance
/ us-gaap_LongtermDebtTypeAxis
= pcsv_SeparatePromissoryNotesNoteOneMember
                         
Separate Promissory Notes Note Two [Member]                                                                          
Debt Instrument [Line Items]                                                                          
Note payable amount                                             32,100us-gaap_DebtInstrumentFaceAmount
/ us-gaap_LongtermDebtTypeAxis
= pcsv_SeparatePromissoryNotesNoteTwoMember
35,000us-gaap_DebtInstrumentFaceAmount
/ us-gaap_LongtermDebtTypeAxis
= pcsv_SeparatePromissoryNotesNoteTwoMember
                         
Interest rate                                             9.00%us-gaap_DebtInstrumentInterestRateStatedPercentage
/ us-gaap_LongtermDebtTypeAxis
= pcsv_SeparatePromissoryNotesNoteTwoMember
9.00%us-gaap_DebtInstrumentInterestRateStatedPercentage
/ us-gaap_LongtermDebtTypeAxis
= pcsv_SeparatePromissoryNotesNoteTwoMember
                         
Shareholder Promissory Note [Member]                                                                          
Debt Instrument [Line Items]                                                                          
Note payable amount               95,000us-gaap_DebtInstrumentFaceAmount
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteSixMember
                                65,000us-gaap_DebtInstrumentFaceAmount
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteSixMember
                       
Interest rate                                                 15.00%us-gaap_DebtInstrumentInterestRateStatedPercentage
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteSixMember
                       
Accrued interest payable             6,041us-gaap_InterestPayableCurrent
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteSixMember
                                                           
Debt discount     15,322pcsv_DebtDiscountNoncash
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteSixMember
        21,923pcsv_DebtDiscountNoncash
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteSixMember
                                                         
Amortization of Debt Discount (Premium)     1,639us-gaap_AmortizationOfDebtDiscountPremium
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteSixMember
                                                                   
Principal paid                                             20,000pcsv_DebtInstrumentPrincipalPaymentsToDate
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteSixMember
                           
Conversion of notes payable, shares             3,108,944us-gaap_DebtConversionConvertedInstrumentSharesIssued1
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteSixMember
                                                           
Debt Instrument Extended and Rolled               45,000pcsv_DebtInstrumentExtendedAndRolled
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteSixMember
                                                         
Gain or loss on extinguishment of debt             0us-gaap_GainsLossesOnExtinguishmentOfDebt
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteSixMember
                                                           
Separate promissory notes Note Seven [Member]                                                                          
Debt Instrument [Line Items]                                                                          
Note payable amount               95,000us-gaap_DebtInstrumentFaceAmount
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteSevenMember
                                                         
Accrued interest payable             6,041us-gaap_InterestPayableCurrent
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteSevenMember
                                                           
Debt discount     15,322pcsv_DebtDiscountNoncash
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteSevenMember
                                                                   
Amortization of Debt Discount (Premium)     1,639us-gaap_AmortizationOfDebtDiscountPremium
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteSevenMember
                                                                   
Conversion of notes payable, shares             3,108,944us-gaap_DebtConversionConvertedInstrumentSharesIssued1
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteSevenMember
                                                           
Gain or loss on extinguishment of debt     0us-gaap_GainsLossesOnExtinguishmentOfDebt
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteSevenMember
                                                                   
Separate promissory notes Note Ten [Member]                                                                          
Debt Instrument [Line Items]                                                                          
Note payable amount                                     60,000us-gaap_DebtInstrumentFaceAmount
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteTenMember
                                   
Interest rate                                     15.00%us-gaap_DebtInstrumentInterestRateStatedPercentage
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteTenMember
                                   
Accrued interest payable 2,860us-gaap_InterestPayableCurrent
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteTenMember
    2,860us-gaap_InterestPayableCurrent
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteTenMember
                                                                 
Separate promissory notes Note Eleven [Member]                                                                          
Debt Instrument [Line Items]                                                                          
Note payable amount                                                       160,000us-gaap_DebtInstrumentFaceAmount
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteElevenMember
                 
Interest rate                                                       15.00%us-gaap_DebtInstrumentInterestRateStatedPercentage
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteElevenMember
                 
Accrued interest payable 4,159us-gaap_InterestPayableCurrent
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteElevenMember
    4,159us-gaap_InterestPayableCurrent
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteElevenMember
                                                                 
Payments made                               75,000pcsv_DebtInstrumentPayments
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteElevenMember
                  60,000pcsv_DebtInstrumentPayments
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteElevenMember
25,000pcsv_DebtInstrumentPayments
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteElevenMember
                   
Number of notes into which original notes replaced                                                       3pcsv_NumberOfDebtInstrumentsIntoWhichOriginalDebtReplaced
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteElevenMember
                 
Note Payable One [Member]                                                                          
Debt Instrument [Line Items]                                                                          
Maturity period                 36 months                                                        
Long Term Note Payable                 60,000us-gaap_LongTermNotesPayable
/ us-gaap_LongtermDebtTypeAxis
= pcsv_NotePayableOneMember
                                                       
Interest rate                 12.00%us-gaap_DebtInstrumentInterestRateStatedPercentage
/ us-gaap_LongtermDebtTypeAxis
= pcsv_NotePayableOneMember
                                                       
Accrued interest payable 5,708us-gaap_InterestPayableCurrent
/ us-gaap_LongtermDebtTypeAxis
= pcsv_NotePayableOneMember
    5,708us-gaap_InterestPayableCurrent
/ us-gaap_LongtermDebtTypeAxis
= pcsv_NotePayableOneMember
                                                                 
Board Member And Shareholder Five [Member]                                                                          
Debt Instrument [Line Items]                                                                          
Gain or loss on extinguishment of debt             0us-gaap_GainsLossesOnExtinguishmentOfDebt
/ us-gaap_LongtermDebtTypeAxis
= pcsv_BoardMemberShareholderFiveMember
                                                           
Loan Transaction Board of Directors [Member]                                                                          
Debt Instrument [Line Items]                                                                          
Note payable amount                                                         200,000us-gaap_DebtInstrumentFaceAmount
/ us-gaap_LongtermDebtTypeAxis
= pcsv_LoanTransactionBoardOfDirectorsMember
25,000us-gaap_DebtInstrumentFaceAmount
/ us-gaap_LongtermDebtTypeAxis
= pcsv_LoanTransactionBoardOfDirectorsMember
             
Interest rate                                                         15.00%us-gaap_DebtInstrumentInterestRateStatedPercentage
/ us-gaap_LongtermDebtTypeAxis
= pcsv_LoanTransactionBoardOfDirectorsMember
8.00%us-gaap_DebtInstrumentInterestRateStatedPercentage
/ us-gaap_LongtermDebtTypeAxis
= pcsv_LoanTransactionBoardOfDirectorsMember
             
Long Term Convertible Promissory Note One [Member]                                                                          
Debt Instrument [Line Items]                                                                          
Note payable amount                   25,000us-gaap_DebtInstrumentFaceAmount
/ us-gaap_LongtermDebtTypeAxis
= pcsv_LongTermConvertiblePromissoryNoteOneMember
                                                     
Maturity period                   36 months                                                      
Interest rate                   8.00%us-gaap_DebtInstrumentInterestRateStatedPercentage
/ us-gaap_LongtermDebtTypeAxis
= pcsv_LongTermConvertiblePromissoryNoteOneMember
                                                     
Accrued interest payable             1,611us-gaap_InterestPayableCurrent
/ us-gaap_LongtermDebtTypeAxis
= pcsv_LongTermConvertiblePromissoryNoteOneMember
                                                           
Debt discount     21,499pcsv_DebtDiscountNoncash
/ us-gaap_LongtermDebtTypeAxis
= pcsv_LongTermConvertiblePromissoryNoteOneMember
            25,000pcsv_DebtDiscountNoncash
/ us-gaap_LongtermDebtTypeAxis
= pcsv_LongTermConvertiblePromissoryNoteOneMember
                                                     
Amortization of Debt Discount (Premium)     455us-gaap_AmortizationOfDebtDiscountPremium
/ us-gaap_LongtermDebtTypeAxis
= pcsv_LongTermConvertiblePromissoryNoteOneMember
                                                                   
Discount, percent of market price                   50.00%pcsv_ConvertibleDebtPercentOfMarketPrice
/ us-gaap_LongtermDebtTypeAxis
= pcsv_LongTermConvertiblePromissoryNoteOneMember
                                                     
Debt conversion, price per share                   $ 0.04us-gaap_DebtInstrumentConvertibleConversionPrice1
/ us-gaap_LongtermDebtTypeAxis
= pcsv_LongTermConvertiblePromissoryNoteOneMember
                                                     
Gain or loss on extinguishment of debt     0us-gaap_GainsLossesOnExtinguishmentOfDebt
/ us-gaap_LongtermDebtTypeAxis
= pcsv_LongTermConvertiblePromissoryNoteOneMember
                                                                   
Loan Transaction Board of Directors Two [Member]                                                                          
Debt Instrument [Line Items]                                                                          
Note payable amount                                                               250,000us-gaap_DebtInstrumentFaceAmount
/ us-gaap_LongtermDebtTypeAxis
= pcsv_LoanTransactionBoardOfDirectorsTwoMember
         
Interest rate                                                               15.00%us-gaap_DebtInstrumentInterestRateStatedPercentage
/ us-gaap_LongtermDebtTypeAxis
= pcsv_LoanTransactionBoardOfDirectorsTwoMember
         
Accrued interest payable                     5,137us-gaap_InterestPayableCurrent
/ us-gaap_LongtermDebtTypeAxis
= pcsv_LoanTransactionBoardOfDirectorsTwoMember
                                                   
Payments made                     50,000pcsv_DebtInstrumentPayments
/ us-gaap_LongtermDebtTypeAxis
= pcsv_LoanTransactionBoardOfDirectorsTwoMember
                                                   
Accrued interest, payment                                                             20,445pcsv_DebtInstrumentInterestPaymentsToDate
/ us-gaap_LongtermDebtTypeAxis
= pcsv_LoanTransactionBoardOfDirectorsTwoMember
           
Debt conversion, price per share                     $ 0.04us-gaap_DebtInstrumentConvertibleConversionPrice1
/ us-gaap_LongtermDebtTypeAxis
= pcsv_LoanTransactionBoardOfDirectorsTwoMember
                                                   
Amount of note converted                     200,000us-gaap_DebtConversionOriginalDebtAmount1
/ us-gaap_LongtermDebtTypeAxis
= pcsv_LoanTransactionBoardOfDirectorsTwoMember
                                                   
Loan Transaction Board of Directors Three [Member]                                                                          
Debt Instrument [Line Items]                                                                          
Note payable amount                                                                 70,000us-gaap_DebtInstrumentFaceAmount
/ us-gaap_LongtermDebtTypeAxis
= pcsv_LoanTransactionBoardOfDirectorsThreeMember
       
Interest rate                                                                 15.00%us-gaap_DebtInstrumentInterestRateStatedPercentage
/ us-gaap_LongtermDebtTypeAxis
= pcsv_LoanTransactionBoardOfDirectorsThreeMember
       
Loan Transaction Board of Directors Four [Member]                                                                          
Debt Instrument [Line Items]                                                                          
Note payable amount                           50,000us-gaap_DebtInstrumentFaceAmount
/ us-gaap_LongtermDebtTypeAxis
= pcsv_LoanTransactionBoardOfDirectorsFourMember
                                             
Interest rate                           15.00%us-gaap_DebtInstrumentInterestRateStatedPercentage
/ us-gaap_LongtermDebtTypeAxis
= pcsv_LoanTransactionBoardOfDirectorsFourMember
                                             
Accrued interest payable 906us-gaap_InterestPayableCurrent
/ us-gaap_LongtermDebtTypeAxis
= pcsv_LoanTransactionBoardOfDirectorsFourMember
    906us-gaap_InterestPayableCurrent
/ us-gaap_LongtermDebtTypeAxis
= pcsv_LoanTransactionBoardOfDirectorsFourMember
                                                                 
Separate promissory notes Note Twelve [Member]                                                                          
Debt Instrument [Line Items]                                                                          
Note payable amount                                                                   60,000us-gaap_DebtInstrumentFaceAmount
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteTwelveMember
     
Interest rate                                                                   15.00%us-gaap_DebtInstrumentInterestRateStatedPercentage
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteTwelveMember
     
Accrued interest payable 906us-gaap_InterestPayableCurrent
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteTwelveMember
    906us-gaap_InterestPayableCurrent
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteTwelveMember
                                                                 
Payments made 105,000pcsv_DebtInstrumentPayments
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteTwelveMember
  17,500pcsv_DebtInstrumentPayments
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteTwelveMember
105,000pcsv_DebtInstrumentPayments
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteTwelveMember
                                                                 
Number of notes into which original notes replaced 2pcsv_NumberOfDebtInstrumentsIntoWhichOriginalDebtReplaced
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteTwelveMember
    2pcsv_NumberOfDebtInstrumentsIntoWhichOriginalDebtReplaced
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteTwelveMember
                                                                 
Separate promissory notes Note Thirteen [Member]                                                                          
Debt Instrument [Line Items]                                                                          
Note payable amount                                                                     145,000us-gaap_DebtInstrumentFaceAmount
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteThirteenMember
   
Interest rate                                                                     15.00%us-gaap_DebtInstrumentInterestRateStatedPercentage
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteThirteenMember
   
Accrued interest payable 1,812us-gaap_InterestPayableCurrent
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteThirteenMember
  2,384us-gaap_InterestPayableCurrent
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteThirteenMember
1,812us-gaap_InterestPayableCurrent
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteThirteenMember
                                                                 
Payments made 210,000pcsv_DebtInstrumentPayments
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteThirteenMember
  42,500pcsv_DebtInstrumentPayments
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteThirteenMember
210,000pcsv_DebtInstrumentPayments
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteThirteenMember
                                                                 
Separate promissory notes Note Fourteen [Member]                                                                          
Debt Instrument [Line Items]                                                                          
Note payable amount                         150,000us-gaap_DebtInstrumentFaceAmount
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteFourteenMember
                                               
Interest rate                         15.00%us-gaap_DebtInstrumentInterestRateStatedPercentage
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteFourteenMember
                                               
Accrued interest payable 3,329us-gaap_InterestPayableCurrent
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteFourteenMember
    3,329us-gaap_InterestPayableCurrent
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteFourteenMember
                                                                 
Principal paid                               75,000pcsv_DebtInstrumentPrincipalPaymentsToDate
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteFourteenMember
                                         
Separate promissory notes Note Fifteen [Member]                                                                          
Debt Instrument [Line Items]                                                                          
Note payable amount                                   50,000us-gaap_DebtInstrumentFaceAmount
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteFifteenMember
                                     
Interest rate                                   15.00%us-gaap_DebtInstrumentInterestRateStatedPercentage
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteFifteenMember
                                     
Payments made                     210,000pcsv_DebtInstrumentPayments
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteFifteenMember
                                                   
Separate promissory notes Note Sixteen [Member]                                                                          
Debt Instrument [Line Items]                                                                          
Note payable amount                                 25,000us-gaap_DebtInstrumentFaceAmount
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteSixteenMember
                                       
Interest rate                                 15.00%us-gaap_DebtInstrumentInterestRateStatedPercentage
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteSixteenMember
                                       
Payments made                     210,000pcsv_DebtInstrumentPayments
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteSixteenMember
                                                   
Separate promissory notes Note Seventeen [Member]                                                                          
Debt Instrument [Line Items]                                                                          
Note payable amount                               150,000us-gaap_DebtInstrumentFaceAmount
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteSeventeenMember
                                         
Interest rate                               15.00%us-gaap_DebtInstrumentInterestRateStatedPercentage
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteSeventeenMember
                                         
Accrued interest payable 242us-gaap_InterestPayableCurrent
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteSeventeenMember
    242us-gaap_InterestPayableCurrent
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteSeventeenMember
                                                                 
Payments made                             32,500pcsv_DebtInstrumentPayments
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteSeventeenMember
                    63,000pcsv_DebtInstrumentPayments
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteSeventeenMember
                     
Principle balance                     29,500us-gaap_NotesPayableRelatedPartiesCurrentAndNoncurrent
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteSeventeenMember
                                                   
Number of notes into which original notes replaced                               3pcsv_NumberOfDebtInstrumentsIntoWhichOriginalDebtReplaced
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteSeventeenMember
                                         
Line of Credit [Member]                                                                          
Debt Instrument [Line Items]                                                                          
Interest rate                                                                       17.50%us-gaap_DebtInstrumentInterestRateStatedPercentage
/ us-gaap_LongtermDebtTypeAxis
= us-gaap_LineOfCreditMember
 
Principle balance     22,861us-gaap_NotesPayableRelatedPartiesCurrentAndNoncurrent
/ us-gaap_LongtermDebtTypeAxis
= us-gaap_LineOfCreditMember
                                                                   
Line of Credit                                                                       39,050us-gaap_LineOfCredit
/ us-gaap_LongtermDebtTypeAxis
= us-gaap_LineOfCreditMember
 
Line of Credit, principal payments     16,189pcsv_LineOfCreditPrincipalPaymentToDate
/ us-gaap_LongtermDebtTypeAxis
= us-gaap_LineOfCreditMember
                                                                   
Promissory Note [Member]                                                                          
Debt Instrument [Line Items]                                                                          
Note payable amount                     870,457us-gaap_DebtInstrumentFaceAmount
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteMember
                                                   
Interest rate                     10.00%us-gaap_DebtInstrumentInterestRateStatedPercentage
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteMember
                                                   
Promissory Note [Member] | Promissory Note Eighteen [Member]                                                                          
Debt Instrument [Line Items]                                                                          
Note payable amount                           17,500us-gaap_DebtInstrumentFaceAmount
/ us-gaap_DebtInstrumentAxis
= pcsv_PromissoryNoteEighteenMember
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteMember
                                             
Convertible Long Term Note Payable to Related Party [Member]                                                                          
Debt Instrument [Line Items]                                                                          
Accrued interest payable             49,874us-gaap_InterestPayableCurrent
/ us-gaap_LongtermDebtTypeAxis
= pcsv_ConvertibleLongTermNotePayableToRelatedPartyMember
                                                           
Amount of note converted             646,500us-gaap_DebtConversionOriginalDebtAmount1
/ us-gaap_LongtermDebtTypeAxis
= pcsv_ConvertibleLongTermNotePayableToRelatedPartyMember
                                                           
Conversion of notes payable, shares             18,455,666us-gaap_DebtConversionConvertedInstrumentSharesIssued1
/ us-gaap_LongtermDebtTypeAxis
= pcsv_ConvertibleLongTermNotePayableToRelatedPartyMember
                                                           
Convertible Long Term Note Payable to Related Party [Member] | Minimum [Member]                                                                          
Debt Instrument [Line Items]                                                                          
Strike price             $ 0.0325us-gaap_DebtInstrumentConvertibleStockPriceTrigger
/ us-gaap_LongtermDebtTypeAxis
= pcsv_ConvertibleLongTermNotePayableToRelatedPartyMember
/ us-gaap_RangeAxis
= us-gaap_MinimumMember
                                                           
Convertible Long Term Note Payable to Related Party [Member] | Maximum [Member]                                                                          
Debt Instrument [Line Items]                                                                          
Strike price             $ 0.065us-gaap_DebtInstrumentConvertibleStockPriceTrigger
/ us-gaap_LongtermDebtTypeAxis
= pcsv_ConvertibleLongTermNotePayableToRelatedPartyMember
/ us-gaap_RangeAxis
= us-gaap_MaximumMember
                                                           
Separate promissory notes Note Twenty One [Member]                                                                          
Debt Instrument [Line Items]                                                                          
Note payable amount                             100,000us-gaap_DebtInstrumentFaceAmount
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteTwentyOneMember
                                           
Interest rate                             5.00%us-gaap_DebtInstrumentInterestRateStatedPercentage
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteTwentyOneMember
                                           
Accrued interest payable 2,137us-gaap_InterestPayableCurrent
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteTwentyOneMember
    2,137us-gaap_InterestPayableCurrent
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteTwentyOneMember
                                                                 
Separate promissory notes Note Twenty Two [Member]                                                                          
Debt Instrument [Line Items]                                                                          
Note payable amount                                                                         25,000us-gaap_DebtInstrumentFaceAmount
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteTwentyTwoMember
Interest rate                                                                         15.00%us-gaap_DebtInstrumentInterestRateStatedPercentage
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteTwentyTwoMember
Accrued interest payable 215us-gaap_InterestPayableCurrent
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteTwentyTwoMember
    215us-gaap_InterestPayableCurrent
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteTwentyTwoMember
                                                                 
Separate promissory notes Note Twenty Three [Member]                                                                          
Debt Instrument [Line Items]                                                                          
Note payable amount                                                   123,000us-gaap_DebtInstrumentFaceAmount
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteTwentyThreeMember
                     
Interest rate                                                   15.00%us-gaap_DebtInstrumentInterestRateStatedPercentage
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteTwentyThreeMember
                     
Accrued interest payable $ 1,062us-gaap_InterestPayableCurrent
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteTwentyThreeMember
    $ 1,062us-gaap_InterestPayableCurrent
/ us-gaap_LongtermDebtTypeAxis
= pcsv_PromissoryNoteTwentyThreeMember
                                                                 
XML 13 report.css IDEA: XBRL DOCUMENT /* Updated 2009-11-04 */ /* v2.2.0.24 */ /* DefRef Styles */ ..report table.authRefData{ background-color: #def; border: 2px solid #2F4497; font-size: 1em; position: absolute; } ..report table.authRefData a { display: block; font-weight: bold; } ..report table.authRefData p { margin-top: 0px; } ..report table.authRefData .hide { background-color: #2F4497; padding: 1px 3px 0px 0px; text-align: right; } ..report table.authRefData .hide a:hover { background-color: #2F4497; } ..report table.authRefData .body { height: 150px; overflow: auto; width: 400px; } ..report table.authRefData table{ font-size: 1em; } /* Report Styles */ ..pl a, .pl a:visited { color: black; text-decoration: none; } /* table */ ..report { background-color: white; border: 2px solid #acf; clear: both; color: black; font: normal 8pt Helvetica, Arial, san-serif; margin-bottom: 2em; } ..report hr { border: 1px solid #acf; } /* Top labels */ ..report th { background-color: #acf; color: black; font-weight: bold; text-align: center; } ..report th.void { background-color: transparent; color: #000000; font: bold 10pt Helvetica, Arial, san-serif; text-align: left; } ..report .pl { text-align: left; vertical-align: top; white-space: normal; width: 200px; word-wrap: break-word; } ..report td.pl a.a { cursor: pointer; display: block; width: 200px; overflow: hidden; } ..report td.pl div.a { width: 200px; } ..report td.pl a:hover { background-color: #ffc; } /* Header rows... */ ..report tr.rh { background-color: #acf; color: black; font-weight: bold; } /* Calendars... */ ..report .rc { background-color: #f0f0f0; } /* Even rows... */ ..report .re, .report .reu { background-color: #def; } ..report .reu td { border-bottom: 1px solid black; } /* Odd rows... */ ..report .ro, .report .rou { background-color: white; } ..report .rou td { border-bottom: 1px solid black; } ..report .rou table td, .report .reu table td { border-bottom: 0px solid black; } /* styles for footnote marker */ ..report .fn { white-space: nowrap; } /* styles for numeric types */ ..report .num, .report .nump { text-align: right; white-space: nowrap; } ..report .nump { padding-left: 2em; } ..report .nump { padding: 0px 0.4em 0px 2em; } /* styles for text types */ ..report .text { text-align: left; white-space: normal; } ..report .text .big { margin-bottom: 1em; width: 17em; } ..report .text .more { display: none; } ..report .text .note { font-style: italic; font-weight: bold; } ..report .text .small { width: 10em; } ..report sup { font-style: italic; } ..report .outerFootnotes { font-size: 1em; } XML 14 R25.htm IDEA: XBRL DOCUMENT v2.4.1.9
NOTES PAYABLE (Tables)
9 Months Ended
Dec. 31, 2014
NOTES PAYABLE [Abstract]  
Schedule of Notes Payable

December 31, 2014

   

March 31, 2014

Short Term Note Payable, Related Party

$ 966,350     $ 707,251 

Short Term Convertible Note, Related Party net discount of $38,571 as of December 31, 2014 and March 31, 2014

  161,429       50,000 

Line of Credit

  22,905       27,089 

Long Term Note Payable

    20,004       - 

Long Term Note Payable, Related Party

    116,871       23,846 

Convertible notes payable, long term, net of $0 and $4,693 discount as of December 31, 2014 and March 31, 2014, respectively

    219,734       236,541 

Convertible notes payable, long term, related party, net of discount of $0 and $315,721, as of December 31, 2014 and March 31, 2014, respectively

    -       293,436 

Total Notes Payable

  $ 1,507,293     $ 1,338,163 
XML 15 R42.htm IDEA: XBRL DOCUMENT v2.4.1.9
DILUTIVE INSTRUMENTS (Narrative) (Details) (USD $)
9 Months Ended 12 Months Ended 3 Months Ended 12 Months Ended
Dec. 31, 2014
Mar. 31, 2014
Dec. 31, 2014
Mar. 31, 2013
Share-based Compensation Arrangement by Share-based Payment Award [Line Items]        
Issued 27,856,655us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsGrantsInPeriod 27,856,655us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsGrantsInPeriod    
Warrant [Member]        
Share-based Compensation Arrangement by Share-based Payment Award [Line Items]        
Issued         
Transaction One [Member]        
Share-based Compensation Arrangement by Share-based Payment Award [Line Items]        
Issued   40,000us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsGrantsInPeriod
/ pcsv_EquityTransactionAxis
= pcsv_TransactionOneMember
   
Number of employees to whom options were granted   3pcsv_ShareBasedCompensationArrangementByShareBasedPaymentAwardNumberOfGrantees
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XML 16 R37.htm IDEA: XBRL DOCUMENT v2.4.1.9
FAIR VALUE OF FINANCIAL INSTRUMENTS (Details) (Recurring [Member], USD $)
Dec. 31, 2014
Mar. 31, 2014
Level 1    
Fair value of financial instruments    
Liabilities      
Level 1 | Convertible Debt [Member]    
Fair value of financial instruments    
Derivative Liabilities      
Level 2    
Fair value of financial instruments    
Liabilities      
Level 2 | Convertible Debt [Member]    
Fair value of financial instruments    
Derivative Liabilities 381,163us-gaap_DerivativeLiabilities
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343,436us-gaap_DerivativeLiabilities
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= us-gaap_FairValueMeasurementsRecurringMember
Level 3    
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Level 3 | Convertible Debt [Member]    
Fair value of financial instruments    
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Gain/(loss)    
Fair value of financial instruments    
Liabilities      
Gain/(loss) | Convertible Debt [Member]    
Fair value of financial instruments    
Derivative Liabilities      
XML 17 R9.htm IDEA: XBRL DOCUMENT v2.4.1.9
GOING CONCERN
9 Months Ended
Dec. 31, 2014
GOING CONCERN [Abstract]  
GOING CONCERN

NOTE 3 - GOING CONCERN

 

The Company's consolidated financial statements are prepared using accounting principles generally accepted in the United States of America applicable to a going concern that contemplates the realization of assets and liquidation of liabilities in the normal course of business. The established sources of revenues are not sufficient to cover the Company's operating costs. The Company has accumulated significant losses, payables, and generated negative cash flows. The combination of these items raises substantial doubt about its ability to continue as a going concern. Management's plans with respect to alleviating this adverse position is to continue to develop and execute its strategic plan as outlined in the Plan of Operations. The following highlights key areas of the plan and progress made in the past year:

 

1) In Q1-Q3 PCS invested in product R&D to improve its robotics and engineering product lines and provide its expanding sales force an advantage over competitors.  Executive management continues in its conviction that the K12 educational robotics market represents a significant market opportunity for PCS products and has committed resources to product development, inventory, and sales and marketing to pursue this opportunity.

 

2) Since January of 2014 PCS has increased its sales presence from 4 to 12 people through internal hires and the formation of a partnership with Priority Education Solutions of Florida.  We continue to actively seek additional channel partners.

 

3) PCS is focused on actively promoting its two EdventuresLab locations in the Boise area for direct to consumer sales and is using these locations as a proving ground for our retail offerings. 

 

4) In December of 2014, PCS formally launched its retail product line, an extension of its EdventuresLab consumer program, to further diversify its revenue streams during Q3, a typically slow institutional sales period.  PCS is now actively pursuing retail distribution channels to grow this opportunity. The introductory product is RiQ,  an easy-to-program, fun way to learn robotics and coding.  The product has unique characteristics that position it strongly against competitors in the market that include price point, ease-of-use, availability on tablet devices, and a lot of expandability for the hobbyist market.  It   has been very well received during its initial launch and is now selling through the PCS EdventuresLab website and Amazon. 

 

5) PCS has existing contracts in Saudi Arabia that represent significant revenue potential for Q4 and our FY2015 and we are committed to delivering those contracts.

 

6) The Q4 FY2014 addition of Britt Ide to the Board of Directors has brought significant expertise in corporate governance and planning, and the fresh perspective of a woman engineer passionate about the need and opportunity for STEM education.  PCS plans to expand and strategically recruit new board members who can help the management team focus and execute its business plan.

 

Revenue for the period ending December 31, 2014 was $782,322  compared to revenue of $348,341, up approximately 125% compared to the same period last fiscal year. Net loss for the nine months ended was ($1,123,512), compared to ($729,119), a 54% increase from the same period last year resulting from: $331,696 of note payable discount taken to interest expense on notes payable and conversions, $741,280 increased cost of goods, investments in product development and marketing, with some mitigation by continued effort to keep costs down. Cash flow used from operations for the nine months ended December 31, 2014 was $(512,325).

 

 While the efforts put in by management and the entire employee team are beginning to be realized, as illustrated by increase in revenues this quarter, and the achievement of a cash positive EBIDTA for the quarter, the ability of the Company to continue as a going concern is dependent upon our ability to successfully accomplish the plans described, to raise capital as needed, to continue to monitor and reduce overhead costs, and to attain profitable operations. The accompanying consolidated financial statements do not include any adjustments that might be necessary if the Company is unable to continue as a going concern.

 

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DILUTIVE INSTRUMENTS (Schedule of Stock-Based Payment Awards) (Details)
9 Months Ended 12 Months Ended
Dec. 31, 2014
Mar. 31, 2014
Share-based Compensation Arrangement by Share-based Payment Award [Line Items]    
Issued 27,856,655us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsGrantsInPeriod 27,856,655us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsGrantsInPeriod
Cancelled 16,044,450us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsForfeituresAndExpirationsInPeriod 14,789,300us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsForfeituresAndExpirationsInPeriod
Executed 9,722,210us-gaap_StockIssuedDuringPeriodSharesStockOptionsExercised 9,722,210us-gaap_StockIssuedDuringPeriodSharesStockOptionsExercised
Total Issued and Outstanding 2,089,995us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingNumber 3,345,145us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingNumber
Exercisable 1,544,995us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsExercisableNumber 2,320,145us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsExercisableNumber
Not Vested 545,000pcsv_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingNonvestedNumber 1,025,000pcsv_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingNonvestedNumber
Warrants [Member]    
Share-based Compensation Arrangement by Share-based Payment Award [Line Items]    
Issued     
Cancelled     
Executed     
Total Issued and Outstanding     
Exercisable     
Not Vested     
Common Stock [Member]    
Share-based Compensation Arrangement by Share-based Payment Award [Line Items]    
Issued     
Cancelled 1,255,150us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsForfeituresAndExpirationsInPeriod
/ us-gaap_AwardTypeAxis
= us-gaap_EmployeeStockOptionMember
 
Executed     
Total Issued and Outstanding (1,255,150)us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingNumber
/ us-gaap_AwardTypeAxis
= us-gaap_EmployeeStockOptionMember
 
Exercisable (775,150)us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsExercisableNumber
/ us-gaap_AwardTypeAxis
= us-gaap_EmployeeStockOptionMember
 
Not Vested (480,000)pcsv_ShareBasedCompensationArrangementByShareBasedPaymentAwardOptionsOutstandingNonvestedNumber
/ us-gaap_AwardTypeAxis
= us-gaap_EmployeeStockOptionMember
 
XML 20 R29.htm IDEA: XBRL DOCUMENT v2.4.1.9
GOING CONCERN (Details) (USD $)
3 Months Ended 9 Months Ended
Dec. 31, 2014
item
Dec. 31, 2013
Dec. 31, 2014
item
Dec. 31, 2013
GOING CONCERN [Abstract]        
Minimum number of sale persons 4pcsv_MinimumNumberOfSalePersons   4pcsv_MinimumNumberOfSalePersons  
Maximum number of sale persons 12pcsv_MaximumNumberOfSalePersons   12pcsv_MaximumNumberOfSalePersons  
Number of eduventures lab locations 2pcsv_NumberOfEduventuresLabLocations   2pcsv_NumberOfEduventuresLabLocations  
Revenue $ 782,322us-gaap_Revenues $ 348,339us-gaap_Revenues $ 2,339,426us-gaap_Revenues $ 1,148,563us-gaap_Revenues
Revenue, percentage increase     125.00%pcsv_RevenuesPercentageIncrease  
NET LOSS (35,369)us-gaap_NetIncomeLoss (239,962)us-gaap_NetIncomeLoss (1,123,512)us-gaap_NetIncomeLoss (759,487)us-gaap_NetIncomeLoss
Net loss, percentage increase resulting from increased cost of goods, investments in R&D and marketing, with some mitigation by continued effort to keep costs down     54.00%pcsv_NetIncomeLossPercentageIncreaseDecrease  
Cash flow from operations     (512,325)us-gaap_NetCashProvidedByUsedInOperatingActivities (529,671)us-gaap_NetCashProvidedByUsedInOperatingActivities
Increased cost of goods     $ 741,280pcsv_CostOfGoodsSoldIncrease  
XML 21 R28.htm IDEA: XBRL DOCUMENT v2.4.1.9
ORGANIZATION AND DESCRIPTION OF BUSINESS (Details)
9 Months Ended
Dec. 31, 2014
item
Income Statement, Balance Sheet and Additional Disclosures by Disposal Groups, Including Discontinued Operations [Line Items]  
Number of EdventuresLab programs that have been opened and are operating in the Idaho Treasure Valley 2pcsv_NumberOfLabProgramsOpenedAndOperating
Ownership percentage 100.00%us-gaap_EquityMethodInvestmentOwnershipPercentage
XML 22 R44.htm IDEA: XBRL DOCUMENT v2.4.1.9
SUBSEQUENT EVENTS (Details) (USD $)
0 Months Ended
Jan. 22, 2015
Dec. 31, 2014
Subsequent Event [Line Items]    
Note payable amount   $ 0us-gaap_DebtInstrumentFaceAmount
Subsequent Event [Member] | 10% Promissory Note [Member]    
Subsequent Event [Line Items]    
Interest rate 10.00%us-gaap_DebtInstrumentInterestRateStatedPercentage
/ us-gaap_DebtInstrumentAxis
= pcsv_TenPercentConvertiblePromissoryNoteMember
/ us-gaap_SubsequentEventTypeAxis
= us-gaap_SubsequentEventMember
 
Note payable amount $ 400,000us-gaap_DebtInstrumentFaceAmount
/ us-gaap_DebtInstrumentAxis
= pcsv_TenPercentConvertiblePromissoryNoteMember
/ us-gaap_SubsequentEventTypeAxis
= us-gaap_SubsequentEventMember
 
Debt conversion, price per share $ 0.04us-gaap_DebtInstrumentConvertibleConversionPrice1
/ us-gaap_DebtInstrumentAxis
= pcsv_TenPercentConvertiblePromissoryNoteMember
/ us-gaap_SubsequentEventTypeAxis
= us-gaap_SubsequentEventMember
 
Period in which conversion of promissory notes into common stock exercisable 36 months  
Subsequent Event [Member] | 10% Promissory Note [Member] | Maximum [Member]    
Subsequent Event [Line Items]    
Number of common stock acquired as a result of conversion 2,000,000us-gaap_DebtInstrumentConvertibleNumberOfEquityInstruments
/ us-gaap_DebtInstrumentAxis
= pcsv_TenPercentConvertiblePromissoryNoteMember
/ us-gaap_RangeAxis
= us-gaap_MaximumMember
/ us-gaap_SubsequentEventTypeAxis
= us-gaap_SubsequentEventMember
 
XML 23 R30.htm IDEA: XBRL DOCUMENT v2.4.1.9
PREPAID EXPENSES (Details) (USD $)
Dec. 31, 2014
Mar. 31, 2014
PREPAID EXPENSES [Abstract]    
Prepaid insurance $ 15,042us-gaap_PrepaidInsurance $ 9,709us-gaap_PrepaidInsurance
Prepaid trade show/travel    1,150pcsv_PrepaidTravelAndOtherCosts
Prepaid inventory 11,480us-gaap_Supplies 38,452us-gaap_Supplies
Prepaid software 18,212pcsv_PrepaidSoftwareExpenses 11,457pcsv_PrepaidSoftwareExpenses
Prepaid expenses, other 3,299us-gaap_OtherPrepaidExpenseCurrent 8,138us-gaap_OtherPrepaidExpenseCurrent
Total Prepaid Expenses $ 48,033us-gaap_PrepaidExpenseCurrent $ 68,906us-gaap_PrepaidExpenseCurrent
XML 24 R31.htm IDEA: XBRL DOCUMENT v2.4.1.9
FIXED ASSETS (Details) (USD $)
9 Months Ended
Dec. 31, 2014
Dec. 31, 2013
Mar. 31, 2014
Property, Plant and Equipment [Line Items]      
Accumulated depreciation $ (122,836)us-gaap_AccumulatedDepreciationDepletionAndAmortizationPropertyPlantAndEquipment   $ (118,005)us-gaap_AccumulatedDepreciationDepletionAndAmortizationPropertyPlantAndEquipment
Total Fixed Assets 32,971us-gaap_PropertyPlantAndEquipmentNet   19,462us-gaap_PropertyPlantAndEquipmentNet
Depreciation expense 19,699us-gaap_Depreciation 14,036us-gaap_Depreciation  
Computer/office equipment [Member]      
Property, Plant and Equipment [Line Items]      
Fixed Assets 28,452us-gaap_PropertyPlantAndEquipmentGross
/ us-gaap_PropertyPlantAndEquipmentByTypeAxis
= us-gaap_OfficeEquipmentMember
  10,112us-gaap_PropertyPlantAndEquipmentGross
/ us-gaap_PropertyPlantAndEquipmentByTypeAxis
= us-gaap_OfficeEquipmentMember
Server equipment [Member]      
Property, Plant and Equipment [Line Items]      
Fixed Assets $ 127,355us-gaap_PropertyPlantAndEquipmentGross
/ us-gaap_PropertyPlantAndEquipmentByTypeAxis
= us-gaap_TechnologyEquipmentMember
  $ 127,355us-gaap_PropertyPlantAndEquipmentGross
/ us-gaap_PropertyPlantAndEquipmentByTypeAxis
= us-gaap_TechnologyEquipmentMember
XML 25 R8.htm IDEA: XBRL DOCUMENT v2.4.1.9
UNAUDITED CONSOLIDATED FINANCIAL STATEMENTS
9 Months Ended
Dec. 31, 2014
UNAUDITED CONSOLIDATED FINANCIAL STATEMENTS [Abstract]  
UNAUDITED CONSOLIDATED FINANCIAL STATEMENTS

NOTE 2 - UNAUDITED CONSOLIDATED FINANCIAL STATEMENTS

 

The December 31, 2014, consolidated financial statements presented herein are unaudited, and in the opinion of management, include all adjustments (consisting of only normal recurring accruals) necessary for a fair presentation of financial position, results of operations and cash flows. Such financial statements do not include all of the information and footnote disclosures normally included in financial statements prepared in accordance with accounting principles generally accepted in the United States of America. This Quarterly Report on Form 10-Q should be read in conjunction with the Annual Report on Form 10-K for PCS Edventures!.com for the fiscal year ended March 31, 2014. The March 31, 2014, consolidated balance sheet is derived from the audited balance sheet included therein.

 

The operating results for the period ended December 31, 2014 are not necessarily indicative of the results that may be expected for the fiscal year ending March 31, 2015.

 

XML 26 R32.htm IDEA: XBRL DOCUMENT v2.4.1.9
ACCRUED EXPENSES (Details) (USD $)
Dec. 31, 2014
Mar. 31, 2014
ACCRUED EXPENSES [Abstract]    
Interest payable $ 73,222us-gaap_InterestPayableCurrent $ 67,933us-gaap_InterestPayableCurrent
Sales tax payable 1,677us-gaap_SalesAndExciseTaxPayableCurrent 3,442us-gaap_SalesAndExciseTaxPayableCurrent
Credit card debt 57,027us-gaap_AccountsPayableInterestBearingCurrent 43,853us-gaap_AccountsPayableInterestBearingCurrent
Professional fees: legal, accounting & other    9,525us-gaap_AccruedProfessionalFeesCurrent
Total accrued expenses $ 131,926us-gaap_AccruedLiabilitiesCurrent $ 124,753us-gaap_AccruedLiabilitiesCurrent
XML 27 R40.htm IDEA: XBRL DOCUMENT v2.4.1.9
STOCKHOLDERS' EQUITY (Details) (USD $)
3 Months Ended 6 Months Ended 9 Months Ended 0 Months Ended
Dec. 31, 2014
Sep. 30, 2014
Dec. 31, 2014
Dec. 31, 2013
Jul. 21, 2014
Mar. 31, 2014
Stockholders Equity [Line Items]            
Stock payable for service   $ 9,000pcsv_StockPayableForServices        
Total amount recorded in stock payable   44,808us-gaap_OtherEmployeeRelatedLiabilitiesCurrent        
Amortization of fair value of stock options 1,813us-gaap_StockOptionPlanExpense 11,222us-gaap_StockOptionPlanExpense 13,035us-gaap_StockOptionPlanExpense 30,913us-gaap_StockOptionPlanExpense    
Stock issued for consulting services, shares   750,000pcsv_StockIssuedDuringPeriodSharesSettlementOfLiabilties        
Stock issued for consulting services   22,000pcsv_StockIssuedDuringPeriodValueSettlementOfLiabilties 22,000pcsv_StockIssuedDuringPeriodValueSettlementOfLiabilties      
Stock issued to related party for settlement of liabilities, shares   400,000us-gaap_StockIssuedDuringPeriodSharesIssuedForServices 1,010,000us-gaap_StockIssuedDuringPeriodSharesIssuedForServices      
Stock issued to related party for settlement of liabilities 60,400us-gaap_StockIssuedDuringPeriodValueIssuedForServices 37,500us-gaap_StockIssuedDuringPeriodValueIssuedForServices 95,420us-gaap_StockIssuedDuringPeriodValueIssuedForServices      
Common stock issued for employee bonus shares     16,000pcsv_CommonStockForEmployeeBonusShares      
Common stock issued for employee bonus (stock payable)        600pcsv_CommonStockForEmployeeBonusValue    
Debt discount     50,000us-gaap_AdjustmentsToAdditionalPaidInCapitalConvertibleDebtWithConversionFeature 220,000us-gaap_AdjustmentsToAdditionalPaidInCapitalConvertibleDebtWithConversionFeature    
Amortization of discount     331,696us-gaap_AmortizationOfDebtDiscountPremium 49,182us-gaap_AmortizationOfDebtDiscountPremium    
Note payable amount 0us-gaap_DebtInstrumentFaceAmount   0us-gaap_DebtInstrumentFaceAmount      
Accrued interest payable 73,222us-gaap_InterestPayableCurrent   73,222us-gaap_InterestPayableCurrent     67,933us-gaap_InterestPayableCurrent
Conversion of notes payable, shares   665,274us-gaap_DebtConversionConvertedInstrumentSharesIssued1        
RSUs, value per share   $ 0.05pcsv_RestrictedStockUnitsValuePerShare        
Preferred stock, shares authorized 20,000,000us-gaap_PreferredStockSharesAuthorized   20,000,000us-gaap_PreferredStockSharesAuthorized     20,000,000us-gaap_PreferredStockSharesAuthorized
Preferred stock, shares issued 0us-gaap_PreferredStockSharesIssued   0us-gaap_PreferredStockSharesIssued     0us-gaap_PreferredStockSharesIssued
Preferred stock, shares outstanding 0us-gaap_PreferredStockSharesOutstanding   0us-gaap_PreferredStockSharesOutstanding     0us-gaap_PreferredStockSharesOutstanding
Convertible Debt [Member]            
Stockholders Equity [Line Items]            
Amortization of discount     11,429us-gaap_AmortizationOfDebtDiscountPremium
/ us-gaap_LongtermDebtTypeAxis
= us-gaap_ConvertibleDebtMember
     
Goods and Services Exchanged for Equity Instrument [Member]            
Stockholders Equity [Line Items]            
Stock payable for service   77,160pcsv_StockPayableForServices
/ pcsv_StockholdersEquityByIssuanceAxis
= us-gaap_GoodsAndServicesExchangedForEquityInstrumentMember
       
Non-management directors [Member]            
Stockholders Equity [Line Items]            
Accrued interest payable 6,924us-gaap_InterestPayableCurrent
/ pcsv_StockholdersEquityByIssuanceAxis
= pcsv_NonmanagementDirectorsMember
12,308us-gaap_InterestPayableCurrent
/ pcsv_StockholdersEquityByIssuanceAxis
= pcsv_NonmanagementDirectorsMember
6,924us-gaap_InterestPayableCurrent
/ pcsv_StockholdersEquityByIssuanceAxis
= pcsv_NonmanagementDirectorsMember
     
RSUs, value per share     $ 0.05pcsv_RestrictedStockUnitsValuePerShare
/ pcsv_StockholdersEquityByIssuanceAxis
= pcsv_NonmanagementDirectorsMember
     
Promissory Note Seven [Member]            
Stockholders Equity [Line Items]            
Note payable amount         95,000us-gaap_DebtInstrumentFaceAmount
/ pcsv_StockholdersEquityByIssuanceAxis
= pcsv_PromissoryNoteSevenMember
 
Accrued interest payable         6,041us-gaap_InterestPayableCurrent
/ pcsv_StockholdersEquityByIssuanceAxis
= pcsv_PromissoryNoteSevenMember
 
Conversion of notes payable, shares         3,108,944us-gaap_DebtConversionConvertedInstrumentSharesIssued1
/ pcsv_StockholdersEquityByIssuanceAxis
= pcsv_PromissoryNoteSevenMember
 
Separate Promissory Notes, Note One [Member]            
Stockholders Equity [Line Items]            
Note payable amount         35,000us-gaap_DebtInstrumentFaceAmount
/ pcsv_StockholdersEquityByIssuanceAxis
= pcsv_SeparatePromissoryNotesNoteOneMember
 
Separate Promissory Notes Note Two [Member]            
Stockholders Equity [Line Items]            
Note payable amount         15,000us-gaap_DebtInstrumentFaceAmount
/ pcsv_StockholdersEquityByIssuanceAxis
= pcsv_SeparatePromissoryNotesNoteTwoMember
 
Separate Promissory Notes [Member]            
Stockholders Equity [Line Items]            
Note payable amount         50,000us-gaap_DebtInstrumentFaceAmount
/ pcsv_StockholdersEquityByIssuanceAxis
= pcsv_SeparatePromissoryNotesMember
 
Accrued interest payable         11,959us-gaap_InterestPayableCurrent
/ pcsv_StockholdersEquityByIssuanceAxis
= pcsv_SeparatePromissoryNotesMember
 
Conversion of notes payable, shares         1,239,178us-gaap_DebtConversionConvertedInstrumentSharesIssued1
/ pcsv_StockholdersEquityByIssuanceAxis
= pcsv_SeparatePromissoryNotesMember
 
Board Member Shareholder [Member]            
Stockholders Equity [Line Items]            
Note payable amount         45,000us-gaap_DebtInstrumentFaceAmount
/ pcsv_StockholdersEquityByIssuanceAxis
= pcsv_BoardMemberShareholderMember
 
Accrued interest payable         1,105us-gaap_InterestPayableCurrent
/ pcsv_StockholdersEquityByIssuanceAxis
= pcsv_BoardMemberShareholderMember
 
Conversion of notes payable, shares         1,152,617us-gaap_DebtConversionConvertedInstrumentSharesIssued1
/ pcsv_StockholdersEquityByIssuanceAxis
= pcsv_BoardMemberShareholderMember
 
Accredited Investor One [Member]            
Stockholders Equity [Line Items]            
Note payable amount         21,500us-gaap_DebtInstrumentFaceAmount
/ pcsv_StockholdersEquityByIssuanceAxis
= pcsv_AccreditedInvestorOneMember
 
Accrued interest payable         1,385us-gaap_InterestPayableCurrent
/ pcsv_StockholdersEquityByIssuanceAxis
= pcsv_AccreditedInvestorOneMember
 
Conversion of notes payable, shares         352,084us-gaap_DebtConversionConvertedInstrumentSharesIssued1
/ pcsv_StockholdersEquityByIssuanceAxis
= pcsv_AccreditedInvestorOneMember
 
Long Term Convertible Promissory Note One [Member]            
Stockholders Equity [Line Items]            
Note payable amount         25,000us-gaap_DebtInstrumentFaceAmount
/ pcsv_StockholdersEquityByIssuanceAxis
= pcsv_LongTermConvertiblePromissoryNoteOneMember
 
Accrued interest payable         1,611us-gaap_InterestPayableCurrent
/ pcsv_StockholdersEquityByIssuanceAxis
= pcsv_LongTermConvertiblePromissoryNoteOneMember
 
Conversion of notes payable, shares         665,274us-gaap_DebtConversionConvertedInstrumentSharesIssued1
/ pcsv_StockholdersEquityByIssuanceAxis
= pcsv_LongTermConvertiblePromissoryNoteOneMember
 
Board Member And Shareholder Three [Member]            
Stockholders Equity [Line Items]            
Note payable amount         150,000us-gaap_DebtInstrumentFaceAmount
/ pcsv_StockholdersEquityByIssuanceAxis
= pcsv_BoardMemberShareholderThreeMember
 
Accrued interest payable         9,666us-gaap_InterestPayableCurrent
/ pcsv_StockholdersEquityByIssuanceAxis
= pcsv_BoardMemberShareholderThreeMember
 
Conversion of notes payable, shares         3,991,644us-gaap_DebtConversionConvertedInstrumentSharesIssued1
/ pcsv_StockholdersEquityByIssuanceAxis
= pcsv_BoardMemberShareholderThreeMember
 
Board Member And Shareholder Four [Member]            
Stockholders Equity [Line Items]            
Note payable amount         260,000us-gaap_DebtInstrumentFaceAmount
/ pcsv_StockholdersEquityByIssuanceAxis
= pcsv_BoardMemberShareholderFourMember
 
Accrued interest payable         18,107us-gaap_InterestPayableCurrent
/ pcsv_StockholdersEquityByIssuanceAxis
= pcsv_BoardMemberShareholderFourMember
 
Conversion of notes payable, shares         7,945,925us-gaap_DebtConversionConvertedInstrumentSharesIssued1
/ pcsv_StockholdersEquityByIssuanceAxis
= pcsv_BoardMemberShareholderFourMember
 
Directors [Member]            
Stockholders Equity [Line Items]            
Accrued interest payable $ 51,732us-gaap_InterestPayableCurrent
/ pcsv_StockholdersEquityByIssuanceAxis
= us-gaap_DirectorMember
  $ 51,732us-gaap_InterestPayableCurrent
/ pcsv_StockholdersEquityByIssuanceAxis
= us-gaap_DirectorMember
     
XML 28 R2.htm IDEA: XBRL DOCUMENT v2.4.1.9
Consolidated Balance Sheets (USD $)
Dec. 31, 2014
Mar. 31, 2014
CURRENT ASSETS    
Cash $ 20,323us-gaap_CashAndCashEquivalentsAtCarryingValue $ 27,860us-gaap_CashAndCashEquivalentsAtCarryingValue
Accounts receivable, net of allowance for doubtful accounts of $4,063 and $4,063, respectively 330,264us-gaap_AccountsReceivableNet 489,751us-gaap_AccountsReceivableNet
Prepaid expenses 48,033us-gaap_PrepaidExpenseCurrent 68,906us-gaap_PrepaidExpenseCurrent
Finished goods inventory 247,705us-gaap_InventoryFinishedGoods 187,386us-gaap_InventoryFinishedGoods
Other receivable    3,424us-gaap_OtherReceivables
Total Current Assets 646,325us-gaap_AssetsCurrent 777,327us-gaap_AssetsCurrent
FIXED ASSETS, net of accumulated depreciation of $122,836 and $118,005, respectively 32,971us-gaap_PropertyPlantAndEquipmentNet 19,462us-gaap_PropertyPlantAndEquipmentNet
OTHER ASSETS    
Note Receivable net of allowance of $47,743 2,785us-gaap_NotesAndLoansReceivableNetNoncurrent   
Mold cost 11,339us-gaap_PreproductionCostsRelatedToLongTermSupplyArrangementsAssetForMoldsDiesAndToolsOwned 14,668us-gaap_PreproductionCostsRelatedToLongTermSupplyArrangementsAssetForMoldsDiesAndToolsOwned
Deposits 7,619us-gaap_DepositAssets 7,371us-gaap_DepositAssets
Total Other Assets 21,743us-gaap_OtherAssets 22,039us-gaap_OtherAssets
TOTAL ASSETS 701,039us-gaap_Assets 818,828us-gaap_Assets
CURRENT LIABILITIES    
Accounts payable and other current liabilities 421,209us-gaap_AccountsPayableOtherCurrent 471,426us-gaap_AccountsPayableOtherCurrent
Payroll liabilities payable 32,829us-gaap_EmployeeRelatedLiabilitiesCurrent 35,973us-gaap_EmployeeRelatedLiabilitiesCurrent
Accrued expenses 131,926us-gaap_AccruedLiabilitiesCurrent 124,753us-gaap_AccruedLiabilitiesCurrent
Deferred revenue 34,526us-gaap_DeferredRevenueCurrent 68,467us-gaap_DeferredRevenueCurrent
Note payable, convertible, related party, net of $38,571 and $0 discount as of December 31, 2014 and March 31, 2014, respectively 161,429pcsv_ConvertibleNotesPayableRelatedPartiesCurrent 50,000pcsv_ConvertibleNotesPayableRelatedPartiesCurrent
Note payable, related party 966,350us-gaap_NotesPayableRelatedPartiesClassifiedCurrent 707,251us-gaap_NotesPayableRelatedPartiesClassifiedCurrent
Line of credit payable 22,905us-gaap_LineOfCredit 27,089us-gaap_LineOfCredit
Total Current Liabilities 1,771,174us-gaap_LiabilitiesCurrent 1,484,959us-gaap_LiabilitiesCurrent
Notes payable, long term 20,004us-gaap_LongTermNotesPayable   
Notes payable, related party, long term 116,871us-gaap_NotesPayableRelatedPartiesNoncurrent 23,846us-gaap_NotesPayableRelatedPartiesNoncurrent
Convertible notes payable, long term, related party, net of discount of $0 and $315,721, as of December 31, 2014 and March 31, 2014, respectively    293,436pcsv_ConvertibleNotesPayableRelatedPartiesNoncurrent
Convertible notes payable, long term, net of $0 and $4,693 discount as of December 31, 2014 and March 31, 2014, respectively 219,734us-gaap_ConvertibleLongTermNotesPayable 236,541us-gaap_ConvertibleLongTermNotesPayable
Total Long Term Liabilities 356,609us-gaap_LiabilitiesNoncurrent 553,823us-gaap_LiabilitiesNoncurrent
Total Liabilities 2,127,783us-gaap_Liabilities 2,038,782us-gaap_Liabilities
STOCKHOLDERS' EQUITY (DEFICIT)    
Preferred stock, no par value, 20,000,000 authorized shares, no shares issued and outstanding      
Common stock, no par value, 90,000,000 authorized shares, 73,745,998 and 52,970,332 shares issued and outstanding, respectively 37,806,221us-gaap_CommonStockValue 36,919,152us-gaap_CommonStockValue
Stock payable 60,732us-gaap_DeferredCompensationShareBasedArrangementsLiabilityCurrent 31,080us-gaap_DeferredCompensationShareBasedArrangementsLiabilityCurrent
Accumulated deficit (39,293,697)us-gaap_RetainedEarningsAccumulatedDeficit (38,170,186)us-gaap_RetainedEarningsAccumulatedDeficit
Total Stockholders' Equity (Deficit) (1,426,744)us-gaap_StockholdersEquity (1,219,954)us-gaap_StockholdersEquity
TOTAL LIABILITIES AND STOCKHOLDERS' EQUITY $ 701,039us-gaap_LiabilitiesAndStockholdersEquity $ 818,828us-gaap_LiabilitiesAndStockholdersEquity
XML 29 R6.htm IDEA: XBRL DOCUMENT v2.4.1.9
Consolidated Statements of Cash Flows (USD $)
9 Months Ended
Dec. 31, 2014
Dec. 31, 2013
CASH FLOWS FROM OPERATING ACTIVITIES    
Net Loss $ (1,123,512)us-gaap_NetIncomeLoss $ (759,487)us-gaap_NetIncomeLoss
Adjustments to reconcile net loss to net cash provided (used) by operating activities:    
Debt discount amortization 331,696us-gaap_AmortizationOfDebtDiscountPremium 49,182us-gaap_AmortizationOfDebtDiscountPremium
Depreciation and amortization 19,699us-gaap_DepreciationDepletionAndAmortization 14,036us-gaap_DepreciationDepletionAndAmortization
Common stock issued for services 135,312us-gaap_ShareBasedCompensation 41,785us-gaap_ShareBasedCompensation
Common stock for settlement 22,000pcsv_CommonStockForSettlement   
Amortization of fair value of stock options 13,035us-gaap_StockOptionPlanExpense 30,913us-gaap_StockOptionPlanExpense
Amortization of brain molds 2,219pcsv_AmortizationOfBrainMolds   
(Gain) on Bad Debt Collection (2,996)us-gaap_ProvisionForDoubtfulAccounts 50,740us-gaap_ProvisionForDoubtfulAccounts
Changes in operating assets and liabilities:    
(Increase) decrease in accounts receivable 162,483us-gaap_IncreaseDecreaseInAccountsReceivable (13,912)us-gaap_IncreaseDecreaseInAccountsReceivable
(Increase) decrease in prepaid expenses 20,873us-gaap_IncreaseDecreaseInPrepaidExpense (38,332)us-gaap_IncreaseDecreaseInPrepaidExpense
(Increase) decrease in inventories (60,319)us-gaap_IncreaseDecreaseInInventories (60,832)us-gaap_IncreaseDecreaseInInventories
(Increase) decrease in other current assets 639us-gaap_IncreaseDecreaseInOtherCurrentAssets 2,144us-gaap_IncreaseDecreaseInOtherCurrentAssets
(Increase) decrease in other assets 862us-gaap_IncreaseDecreaseInOtherOperatingAssets 3,108us-gaap_IncreaseDecreaseInOtherOperatingAssets
(Decrease) increase in accounts payable and accrued liabilities (375)us-gaap_IncreaseDecreaseInAccountsPayableAndAccruedLiabilities 160,283us-gaap_IncreaseDecreaseInAccountsPayableAndAccruedLiabilities
Increase (decrease) in deferred revenue (33,941)us-gaap_IncreaseDecreaseInDeferredRevenue (9,299)us-gaap_IncreaseDecreaseInDeferredRevenue
Net Cash Provided (Used) by Operating Activities (512,325)us-gaap_NetCashProvidedByUsedInOperatingActivities (529,671)us-gaap_NetCashProvidedByUsedInOperatingActivities
CASH FLOWS FROM INVESTING ACTIVITIES    
Cash paid for purchase of fixed assets (33,328)us-gaap_PaymentsToAcquirePropertyPlantAndEquipment   
Net Cash Used by Investing Activities (33,328)us-gaap_NetCashProvidedByUsedInInvestingActivities   
CASH FLOWS FROM FINANCING ACTIVITIES    
Proceeds from notes payable 20,000us-gaap_ProceedsFromNotesPayable   
Proceeds from notes payable, related party 997,582us-gaap_ProceedsFromRelatedPartyDebt 520,000us-gaap_ProceedsFromRelatedPartyDebt
Principal payments on debt, related party (479,466)us-gaap_ProceedsFromRepaymentsOfDebt (229,606)us-gaap_ProceedsFromRepaymentsOfDebt
Net Cash Provided by Financing Activities 538,116us-gaap_NetCashProvidedByUsedInFinancingActivities 290,394us-gaap_NetCashProvidedByUsedInFinancingActivities
Foreign currency translation    (3,533)us-gaap_EffectOfExchangeRateOnCashAndCashEquivalents
Net Increase (Decrease) in Cash (7,537)us-gaap_CashAndCashEquivalentsPeriodIncreaseDecrease (242,810)us-gaap_CashAndCashEquivalentsPeriodIncreaseDecrease
Cash at Beginning of Period 27,860us-gaap_CashAndCashEquivalentsAtCarryingValueIncludingDiscontinuedOperations 247,245us-gaap_CashAndCashEquivalentsAtCarryingValueIncludingDiscontinuedOperations
Cash at End of Period 20,323us-gaap_CashAndCashEquivalentsAtCarryingValueIncludingDiscontinuedOperations 4,435us-gaap_CashAndCashEquivalentsAtCarryingValueIncludingDiscontinuedOperations
NON-CASH INVESTING & FINANCING ACTIVITIES    
Common stock issued for services (stock payable)    1,640pcsv_CommonStockIssuedForServicesStockPayable
Common stock issued for employee bonus (stock payable)    600pcsv_CommonStockForEmployeeBonusValue
RSU Forfeiture    13,750us-gaap_StockIssuedDuringPeriodValueRestrictedStockAwardForfeitures
Conversion of debt 696,374us-gaap_ConversionOfStockAmountIssued1 100,000us-gaap_ConversionOfStockAmountIssued1
Debt discount 50,000us-gaap_AdjustmentsToAdditionalPaidInCapitalConvertibleDebtWithConversionFeature 220,000us-gaap_AdjustmentsToAdditionalPaidInCapitalConvertibleDebtWithConversionFeature
Sale of subsidiary    140,926us-gaap_NoncashOrPartNoncashDivestitureAmountOfConsiderationReceived1
Stock payable accrued in prior period and issued in current period 2,080pcsv_StockPayableAccruedInPriorPeriodAndIssuedInCurrentPeriod 23,855pcsv_StockPayableAccruedInPriorPeriodAndIssuedInCurrentPeriod
CASH PAID FOR:    
Interest 69,225us-gaap_InterestPaid 68,697us-gaap_InterestPaid
Income Taxes      
XML 30 R35.htm IDEA: XBRL DOCUMENT v2.4.1.9
NOTES PAYABLE (Schedule of Notes Payable) (Details) (USD $)
Dec. 31, 2014
Mar. 31, 2014
NOTES PAYABLE [Abstract]    
Short Term Note Payable, Related Party $ 966,350us-gaap_NotesPayableRelatedPartiesClassifiedCurrent $ 707,251us-gaap_NotesPayableRelatedPartiesClassifiedCurrent
Short Term Convertible Note, Related Party net discount of $38,571 as of December 31, 2014 and March 31, 2014 161,429us-gaap_ConvertibleNotesPayableCurrent 50,000us-gaap_ConvertibleNotesPayableCurrent
Line of Credit 22,905us-gaap_LineOfCredit 27,089us-gaap_LineOfCredit
Long Term Note Payable 20,004us-gaap_LongTermNotesPayable   
Long Term Note Payable, Related Party 116,871us-gaap_NotesPayableRelatedPartiesNoncurrent 23,846us-gaap_NotesPayableRelatedPartiesNoncurrent
Convertible notes payable, long term, net of $0 and $4,693 discount as of December 31, 2014 and March 31, 2014, respectively 219,734us-gaap_ConvertibleLongTermNotesPayable 236,541us-gaap_ConvertibleLongTermNotesPayable
Convertible notes payable, long term, related party, net of discount of $0 and $315,721, as of December 31, 2014 and March 31, 2014, respectively    293,436pcsv_ConvertibleNotesPayableRelatedPartiesNoncurrent
Total Notes Payable 1,507,293us-gaap_LongTermDebt 1,338,163us-gaap_LongTermDebt
Convertible Short Term Notes Payable Unamortized Discount Current 38,571pcsv_ConvertibleShortTermNotesPayableUnamortizedDiscountCurrent 38,571pcsv_ConvertibleShortTermNotesPayableUnamortizedDiscountCurrent
Convertible notes payable, long term, discount 0pcsv_ConvertibleLongTermNotesPayableUnamortizedDiscountNoncurrent 4,693pcsv_ConvertibleLongTermNotesPayableUnamortizedDiscountNoncurrent
Convertible notes payable, long term, related party, discount $ 0pcsv_ConvertibleNotesPayableRelatedPartiesUnamortizedDiscountNoncurrent $ 315,721pcsv_ConvertibleNotesPayableRelatedPartiesUnamortizedDiscountNoncurrent
XML 31 R22.htm IDEA: XBRL DOCUMENT v2.4.1.9
PREPAID EXPENSES (Tables)
9 Months Ended
Dec. 31, 2014
PREPAID EXPENSES [Abstract]  
Schedule of Prepaid Expenses

 

December 31, 2014

   

March 31, 2014

 

Prepaid insurance

$ 15,042     $ 9,709 

Prepaid trade show/travel

  -       1,150 

Prepaid inventory

  11,480       38,452 

Prepaid software

    18,212       11,457 

Prepaid expenses, other

    3,299       8,138 

Total Prepaid Expenses

  $ 48,033     $ 68,906 
XML 32 R36.htm IDEA: XBRL DOCUMENT v2.4.1.9
DERIVATIVE FINANCIAL INSTRUMENTS (Narrative) (Details) (USD $)
9 Months Ended
Dec. 31, 2014
Dec. 31, 2013
DERIVATIVE FINANCIAL INSTRUMENTS [Abstract]    
Loss on derivative liabilities $ 0us-gaap_DerivativeLossOnDerivative $ 0us-gaap_DerivativeLossOnDerivative
XML 33 R24.htm IDEA: XBRL DOCUMENT v2.4.1.9
ACCRUED EXPENSES (Tables)
9 Months Ended
Dec. 31, 2014
ACCRUED EXPENSES [Abstract]  
Schedule of Accrued Expenses

December 31, 2014

   

March 31, 2014

 

Interest payable

$ 73,222     $ 67,933 

Sales tax payable

  1,677       3,442 

Credit card debt

  57,027       43,853 

Professional fees: legal, accounting & other

    -       9,525 

Total accrued expenses

  $ 131,926     $ 124,753 
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ORGANIZATION AND DESCRIPTION OF BUSINESS
9 Months Ended
Dec. 31, 2014
ORGANIZATION AND DESCRIPTION OF BUSINESS [Abstract]  
ORGANIZATION AND DESCRIPTION OF BUSINESS

NOTE 1 - ORGANIZATION AND DESCRIPTION OF BUSINESS

 

The consolidated financial statements presented are those of PCS Edventures!.com, Inc., an Idaho corporation ( “the Company”).

 

On August 3, 1994, PCS Education Systems, Inc. was incorporated under the laws of Idaho to develop and operate stand-alone learning labs.

 

In October 1994, PCS exchanged common stock on a one-for-one basis for common stock of PCS Schools, Inc. As a result of this exchange, PCS Schools, Inc. became a wholly owned subsidiary of PCS. In the late 1990s, the Company divested the stand-alone learning labs to focus on the creation of turn-key lab modules coupled with web-based technology for use in the classroom and afterschool programs.

 

On March 27, 2000, PCS changed its name from PCS Education Systems, Inc. to PCS Edventures!.com, Inc. On September 26, 2014 the shareholders voted for the proposal to grant the board of directors the authority to change the name of the company in a fashion that will remove the .com but retain the current brand.

 

On November 30, 2005, PCS entered into an agreement with 511092 N.B. LTD., a Canadian corporation (LabMentors) to exchange PCS common stock for common stock of 511092 N.B. LTD. as disclosed in the 8-K as filed with the Securities and Exchange Commission (the “SEC”) on December 9, 2005 and amended on February 15, 2006. As a result of the definitive Share Exchange Agreement, 511092 N.B. LTD. became a wholly owned subsidiary of the Company. In December 2005, the name of this subsidiary was formally changed to PCS LabMentors, Ltd. It remains a Canadian corporation. The Company had a memo of understanding with a company for the potential sale of LabMentors in Quarter ending June 30th, 2013.  The Company divested the wholly owned subsidiary in August of 2013.

 

In January of 2012, PCS Edventures!.com Inc. committed to a business plan enhancement which included the opening, operating, and licensing of EdventuresLab private learning centers and launched a pilot in the spring of 2012.  As of June 30, 2014 two EdventuresLab programs have been opened and are operating in the Idaho Treasure Valley.

 

 On January 31, 2013, PCS Edventures!.com, Inc. formed a subsidiary called Premiere Science Inc. incorporated and registered in the State of Idaho. The subsidiary is 100% wholly owned by PCS Edventures!.com,Inc. and was formed to use as an additional sales and marketing tool to gain other business opportunities. There were no operations for the subsidiary during the quarter year ended December 31, 2014.

XML 36 R3.htm IDEA: XBRL DOCUMENT v2.4.1.9
Consolidated Balance Sheets (Parenthetical) (USD $)
Dec. 31, 2014
Mar. 31, 2014
Consolidated Balance Sheets [Abstract]    
Accounts receivable, allowance for doubtful accounts $ 4,063us-gaap_AllowanceForDoubtfulAccountsReceivable $ 4,063us-gaap_AllowanceForDoubtfulAccountsReceivable
FIXED ASSETS, accumulated depreciation 122,836us-gaap_AccumulatedDepreciationDepletionAndAmortizationPropertyPlantAndEquipment 118,005us-gaap_AccumulatedDepreciationDepletionAndAmortizationPropertyPlantAndEquipment
Notes receivable, allowance for notes 47,743us-gaap_AllowanceForNotesAndLoansReceivableNoncurrent 47,743us-gaap_AllowanceForNotesAndLoansReceivableNoncurrent
Note payable, convertible, related party, discount 38,571pcsv_ConvertibleNotesPayableRelatedPartiesUnamortizedDiscountCurrent 0pcsv_ConvertibleNotesPayableRelatedPartiesUnamortizedDiscountCurrent
Convertible notes payable, long term, related party, discount 0pcsv_ConvertibleNotesPayableRelatedPartiesUnamortizedDiscountNoncurrent 315,721pcsv_ConvertibleNotesPayableRelatedPartiesUnamortizedDiscountNoncurrent
Convertible notes payable, long term, discount $ 0pcsv_ConvertibleLongTermNotesPayableUnamortizedDiscountNoncurrent $ 4,693pcsv_ConvertibleLongTermNotesPayableUnamortizedDiscountNoncurrent
Preferred stock, par value per share      
Preferred stock, shares authorized 20,000,000us-gaap_PreferredStockSharesAuthorized 20,000,000us-gaap_PreferredStockSharesAuthorized
Preferred stock, shares issued 0us-gaap_PreferredStockSharesIssued 0us-gaap_PreferredStockSharesIssued
Preferred stock, shares outstanding 0us-gaap_PreferredStockSharesOutstanding 0us-gaap_PreferredStockSharesOutstanding
Common stock, par value per share      
Common stock, shares authorized 90,000,000us-gaap_CommonStockSharesAuthorized 90,000,000us-gaap_CommonStockSharesAuthorized
Common stock, shares issued 73,745,998us-gaap_CommonStockSharesIssued 52,970,332us-gaap_CommonStockSharesIssued
Common stock, shares outstanding 73,745,998us-gaap_CommonStockSharesOutstanding 52,970,332us-gaap_CommonStockSharesOutstanding
XML 37 R17.htm IDEA: XBRL DOCUMENT v2.4.1.9
COMMITMENTS AND CONTINGENCIES
9 Months Ended
Dec. 31, 2014
COMMITMENTS AND CONTINGENCIES [Abstract]  
COMMITMENTS AND CONTINGENCIES

NOTE 11 - COMMITMENTS AND CONTINGENCIES

 

a. Operating Lease Obligation

 

The Company leases its main office under a non-cancelable lease agreement accounted for as an operating lease. The lease expired in May 2012. This lease was extended for 13 months beginning June 1, 2012. Rent expense for the corporate offices was $14,131 and 26,041 for the quarter ended December 31, 2014 and 2013, and $99,318 and $107,717 for the twelve months ended March 31, 2014 and 2013, respectively, under this lease arrangement. On December 31, 2013 the Company signed an amendment to the existing contract to reduce the


leased square feet to 5,412 for $6,765/ month for 12 months ending December 31, 2014.

 

The Company leases additional warehouse space in Boise, Idaho. This warehouse space consists of approximately 2,880 square feet. The lease expired in June 2012. This lease was extended for 24 months, beginning July 1, 2012. The Fifth Lease Amendment was entered into for the warehouse space extending the lease period through October 31, 2015. Rent expense for the warehouse was $2,780 and $3,975 for the three months ended December 31, 2014 and 2013, respectively.

 

b. Litigation

 

Anthony Maher brought suit against PCS in January of 2014, claiming breach of an employment contract, interference with economic expectancy, and fraud.  Settlement was agreed in principle during mediation on July 9, 2014 as follows: in exchange for dismissal of the suit, and release of PCS from any liability to Mr. Maher for any and all claims related to Mr. Maher's employment contract with PCS, PCS issued Mr. Maher 400,000 shares of the common stock of PCS, and paid him $50,000. PCS does not admit the allegations or any other wrongdoing, but would rather settle the matter for a modest amount to avoid the expense of defending it in court.  The settlement agreement was executed on July 9, 2014.  There are no other lawsuits pending involving PCS.

 

c. Contingencies

 None

 

XML 38 R1.htm IDEA: XBRL DOCUMENT v2.4.1.9
Document and Entity Information
9 Months Ended
Dec. 31, 2014
Jan. 21, 2015
Document and Entity Information [Abstract]    
Document Type 10-Q  
Amendment Flag false  
Document Period End Date Dec. 31, 2014  
Entity Registrant Name PCS EDVENTURES COM INC  
Entity Central Index Key 0001122020  
Current Fiscal Year End Date --03-31  
Document Fiscal Period Focus Q3  
Document Fiscal Year Focus 2015  
Entity Current Reporting Status Yes  
Entity Filer Category Smaller Reporting Company  
Entity Common Stock, Shares Outstanding   73,745,998dei_EntityCommonStockSharesOutstanding
XML 39 R18.htm IDEA: XBRL DOCUMENT v2.4.1.9
STOCKHOLDERS' EQUITY
9 Months Ended
Dec. 31, 2014
STOCKHOLDERS' EQUITY [Abstract]  
STOCKHOLDERS' EQUITY

NOTE 12 - STOCKHOLDERS' EQUITY

 

a. Common Stock

 

 During the period ending September 30, 2014, $77,160 has been accrued in stock payable that will be issued in future periods.

 

During the period ending September 30, 2014, the Company expensed amounts related to stock options and warrants granted in the current period as well as prior periods valued at $11,222.

 

During the period ending September 30, 2014, the Company issued 750,000 shares of common stock for consulting services.  The shares were valued based on the fair market price on the date of grant for a total of $37,500.

 

During the period ended September 30, 2014, the company accrued $12,308 payable in Restricted Stock Unit to its non-management directors. Each restricted stock unit is valued at $0.05, based on the closing price of the Company's common stock at the date of grant. As of September 30, 2014, $44,808 has been accrued for director services. For the directors who chose to defer payment in a prior year an entry was made to book fair market value of the RSU and $9,000 was reclassed to stock payable.

 

During the period ending September 30, 2014, the Company issued 400,000 shares to a related party for settlement of liabilities.  The shares were valued based on the fair market price on the date of grant for a total of $22,000

 

              On July 21, 2014, a $95,000 note was converted with total accrued interest of $6,041 into 3,108,944 shares. Due to conversion within the terms of the note, no gain or loss was recognized. (See Convertible Note Payable – Related Party)

 

On July 21, 2014 the principal balance of the notes at $35,000 and $15,000 totaling to the $50,000 plus the accrued interest of $11,959 was converted into 1,239,178 shares of our “restricted” common stock in accordance with the terms of the convertible promissory note. Due to conversion within the terms of the note, no gain or loss was recognized. (See Convertible Note Payable – Related Party)

 

On July 21, 2014, a $45,000 note was converted with total accrued interest of $1,105 into 1,152,617 shares of our “restricted” common stock in accordance with the terms of the convertible promissory note. Due to conversion within the terms of the note, no gain or loss was recognized. (See Convertible Note Payable – Related Party)

 

On July 21, 2014, a $21,500 note was converted with total accrued interest of $1,385 into 352,084 shares of our “restricted” common stock in accordance with the terms of the convertible promissory note. Due to conversion within the terms of the note, no gain or loss was recognized. (See Convertible Note Payable –

Related Party)

 

On July 21, 2014, a $25,000 note was converted with total accrued interest as of July 21, 2014 was $1,611 into 665,274 shares of our “restricted” common stock in accordance with the terms of the convertible promissory note. Due to conversion within the term of the note, no gain or loss was recognized. (See Convertible Note Payable – Related Party)

 

On July 21, 2014, a $150,000 note was converted with total accrued interest of $9,666 into 3,991,644 shares of our “restricted” common stock in accordance with the terms of the convertible promissory note. Due to conversion within the terms of the note, no gain or loss was recognized. (See Convertible Note Payable – Related Party)

 

On July 21, 2014, a $260,000 note was converted with total accrued interest of $18,107 into 7,945,925 shares of our “restricted” common stock in accordance with the terms of the convertible promissory note. Due to conversion within the terms of the note, no gain or loss was recognized. (See Convertible Note Payable – Related Party)

 

 

During the period ending December 31, 2014, $0 has been accrued in stock payable that will be issued in future periods.

 

During the period ending December 31, 2014, the Company issued 1,010,000 shares of common stock for  services.  The shares were valued based on the fair market price on the date of grant for a total of $60,400.

 

During the period ending December 31, 2014, the Company issued 16,000 shares of common stock for employees bonus.  The shares were valued based on the fair market price on the date of grant for a total of $7,760.

 

During the period ending December 31, 2014, the Company recognized $50,000 in debt discount as an increase to stockholders' equity pursuant to the terms of two different convertible promissory notes issued. The debt discount consists of a beneficial conversion feature on both convertible promissory notes in which $11,429 was amortized for the period.

 

During the period ending December 31, 2014, the Company expensed $1,813 related to stock options and warrants granted in the current period as well as prior periods. 

 

During the period ended December 31, 2014, the company accrued $6,924 payable in Restricted Stock Units to its non-management directors. Each restricted stock unit is valued at $0.05, based on the closing price of the Company's common stock at the date of grant. These agreements call for payment of current year director fees via issuance of restricted stock units over a vesting period of not less than twelve months, and require continued service for twelve months and reelection at the next annual shareholder meeting. As of December 31, 2014, $51,732 has been accrued for director services.

 

b. Preferred Stock

 

The Company has 20,000,000 authorized shares of preferred stock. As of December 31, 2014, there are no preferred shares issued or outstanding.

 

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Consolidated Statements of Operations (USD $)
3 Months Ended 9 Months Ended
Dec. 31, 2014
Dec. 31, 2013
Dec. 31, 2014
Dec. 31, 2013
REVENUES        
Lab revenue $ 314,056us-gaap_SalesRevenueGoodsGross $ 226,260us-gaap_SalesRevenueGoodsGross $ 1,271,702us-gaap_SalesRevenueGoodsGross $ 974,066us-gaap_SalesRevenueGoodsGross
International service revenue 385,569us-gaap_SalesRevenueServicesGross 81,229us-gaap_SalesRevenueServicesGross 890,364us-gaap_SalesRevenueServicesGross 84,543us-gaap_SalesRevenueServicesGross
Learning Center revenue 72,853us-gaap_OtherSalesRevenueNet 35,516us-gaap_OtherSalesRevenueNet 150,672us-gaap_OtherSalesRevenueNet 74,555us-gaap_OtherSalesRevenueNet
License and royalty revenue 9,844us-gaap_LicensesRevenue 5,334us-gaap_LicensesRevenue 26,688us-gaap_LicensesRevenue 15,399us-gaap_LicensesRevenue
Total Revenues 782,322us-gaap_Revenues 348,339us-gaap_Revenues 2,339,426us-gaap_Revenues 1,148,563us-gaap_Revenues
COST OF SALES 272,605us-gaap_CostOfGoodsAndServicesSold 164,210us-gaap_CostOfGoodsAndServicesSold 1,303,027us-gaap_CostOfGoodsAndServicesSold 561,747us-gaap_CostOfGoodsAndServicesSold
GROSS PROFIT 509,717us-gaap_GrossProfit 184,129us-gaap_GrossProfit 1,036,399us-gaap_GrossProfit 586,816us-gaap_GrossProfit
OPERATING EXPENSES        
Salaries and wages 200,901us-gaap_SalariesAndWages 155,583us-gaap_SalariesAndWages 604,942us-gaap_SalariesAndWages 450,766us-gaap_SalariesAndWages
Depreciation and amortization 7,117us-gaap_DepreciationAndAmortization 4,678us-gaap_DepreciationAndAmortization 19,699us-gaap_DepreciationAndAmortization 14,036us-gaap_DepreciationAndAmortization
General and administrative expenses 290,631us-gaap_GeneralAndAdministrativeExpense 220,996us-gaap_GeneralAndAdministrativeExpense 1,071,243us-gaap_GeneralAndAdministrativeExpense 744,002us-gaap_GeneralAndAdministrativeExpense
Total Operating Expenses 498,649us-gaap_OperatingExpenses 381,257us-gaap_OperatingExpenses 1,695,884us-gaap_OperatingExpenses 1,208,804us-gaap_OperatingExpenses
OPERATING INCOME (LOSS) 11,068us-gaap_OperatingIncomeLoss (197,128)us-gaap_OperatingIncomeLoss (659,485)us-gaap_OperatingIncomeLoss (621,988)us-gaap_OperatingIncomeLoss
OTHER INCOME AND EXPENSES        
Interest income 3,188us-gaap_InvestmentIncomeInterest    3,188us-gaap_InvestmentIncomeInterest 12us-gaap_InvestmentIncomeInterest
Interest expense (52,621)us-gaap_InterestExpense (41,657)us-gaap_InterestExpense (470,211)us-gaap_InterestExpense (107,143)us-gaap_InterestExpense
Gain on Bad Debt Collection 2,996pcsv_GainLossOnBadDebtCollection    2,996pcsv_GainLossOnBadDebtCollection   
Total Other Income and (Expenses) (46,437)us-gaap_OtherNonoperatingIncomeExpense (41,657)us-gaap_OtherNonoperatingIncomeExpense (464,027)us-gaap_OtherNonoperatingIncomeExpense (107,131)us-gaap_OtherNonoperatingIncomeExpense
LOSS FROM CONTINUING OPERATIONS (35,369)us-gaap_IncomeLossFromContinuingOperations (238,785)us-gaap_IncomeLossFromContinuingOperations (1,123,512)us-gaap_IncomeLossFromContinuingOperations (729,119)us-gaap_IncomeLossFromContinuingOperations
LOSS FROM DISCONTINUED OPERATIONS    (1,177)us-gaap_IncomeLossFromDiscontinuedOperationsNetOfTaxAttributableToReportingEntity    (30,368)us-gaap_IncomeLossFromDiscontinuedOperationsNetOfTaxAttributableToReportingEntity
NET INCOME/(LOSS) (35,369)us-gaap_NetIncomeLoss (239,962)us-gaap_NetIncomeLoss (1,123,512)us-gaap_NetIncomeLoss (759,487)us-gaap_NetIncomeLoss
NET COMPREHENSIVE INCOME/(LOSS) (35,369)us-gaap_ComprehensiveIncomeNetOfTax (239,962)us-gaap_ComprehensiveIncomeNetOfTax (1,123,512)us-gaap_ComprehensiveIncomeNetOfTax (759,487)us-gaap_ComprehensiveIncomeNetOfTax
NET LOSS ATTRIBUTABLE TO COMMON SHAREHOLDERS $ (35,369)us-gaap_NetIncomeLossAvailableToCommonStockholdersDiluted $ (239,962)us-gaap_NetIncomeLossAvailableToCommonStockholdersDiluted $ (1,123,512)us-gaap_NetIncomeLossAvailableToCommonStockholdersDiluted $ (759,487)us-gaap_NetIncomeLossAvailableToCommonStockholdersDiluted
Basic and diluted net income (loss) per common share:        
Basic and diluted loss per share from continuing operations $ 0.00us-gaap_IncomeLossFromContinuingOperationsPerBasicAndDilutedShare $ 0.00us-gaap_IncomeLossFromContinuingOperationsPerBasicAndDilutedShare $ (0.02)us-gaap_IncomeLossFromContinuingOperationsPerBasicAndDilutedShare $ (0.01)us-gaap_IncomeLossFromContinuingOperationsPerBasicAndDilutedShare
Basic and diluted loss per share from discontinued operations $ 0.00us-gaap_IncomeLossFromDiscontinuedOperationsNetOfTaxPerBasicAndDilutedShare $ 0.00us-gaap_IncomeLossFromDiscontinuedOperationsNetOfTaxPerBasicAndDilutedShare $ 0.00us-gaap_IncomeLossFromDiscontinuedOperationsNetOfTaxPerBasicAndDilutedShare $ 0.00us-gaap_IncomeLossFromDiscontinuedOperationsNetOfTaxPerBasicAndDilutedShare
Basic and diluted net loss per share $ 0.00us-gaap_EarningsPerShareBasicAndDiluted $ 0.00us-gaap_EarningsPerShareBasicAndDiluted $ (0.02)us-gaap_EarningsPerShareBasicAndDiluted $ (0.01)us-gaap_EarningsPerShareBasicAndDiluted
Weighted Average Number of Shares Outstanding, Basic and Diluted 72,855,781us-gaap_WeightedAverageNumberOfShareOutstandingBasicAndDiluted 52,504,350us-gaap_WeightedAverageNumberOfShareOutstandingBasicAndDiluted 64,850,290us-gaap_WeightedAverageNumberOfShareOutstandingBasicAndDiluted 51,434,182us-gaap_WeightedAverageNumberOfShareOutstandingBasicAndDiluted

XML 42 R12.htm IDEA: XBRL DOCUMENT v2.4.1.9
ACCRUED EXPENSES
9 Months Ended
Dec. 31, 2014
ACCRUED EXPENSES [Abstract]  
ACCRUED EXPENSES

NOTE 6 - ACCRUED EXPENSES

 

Accrued expenses for the periods are as follows:

 

December 31, 2014

   

March 31, 2014

 

Interest payable

$ 73,222     $ 67,933 

Sales tax payable

  1,677       3,442 

Credit card debt

  57,027       43,853 

Professional fees: legal, accounting & other

    -       9,525 

Total accrued expenses

  $ 131,926     $ 124,753 


XML 43 R11.htm IDEA: XBRL DOCUMENT v2.4.1.9
FIXED ASSETS
9 Months Ended
Dec. 31, 2014
FIXED ASSETS [Abstract]  
FIXED ASSETS

NOTE 5 - FIXED ASSETS

 

Assets and depreciation for the periods are as follows:


December 31, 2014 March 31, 2014

Computer/office equipment

$ 28,452     $ 10,112  

Software

  127,355       127,355  

Accumulated depreciation

  (122,836 )     (118,005 )

Total Fixed Assets

  $ 32,971     $ 19,462  


Fixed asset depreciation expense for the nine months ended December 31, 2014 and 2013 was $19,699  and $14,036 respectively.

XML 44 R23.htm IDEA: XBRL DOCUMENT v2.4.1.9
FIXED ASSETS (Tables)
9 Months Ended
Dec. 31, 2014
FIXED ASSETS [Abstract]  
Schedule of Fixed Assets


December 31, 2014 March 31, 2014

Computer/office equipment

$ 28,452     $ 10,112  

Software

  127,355       127,355  

Accumulated depreciation

  (122,836 )     (118,005 )

Total Fixed Assets

  $ 32,971     $ 19,462  


XML 45 R19.htm IDEA: XBRL DOCUMENT v2.4.1.9
BASIC AND DILUTED NET LOSS PER COMMON SHARE
9 Months Ended
Dec. 31, 2014
BASIC AND DILUTED NET LOSS PER COMMON SHARE [Abstract]  
BASIC AND DILUTED NET LOSS PER COMMON SHARE

NOTE 13 - BASIC AND DILUTED NET LOSS PER COMMON SHARE

 

Basic and diluted net loss per common share for the three month periods ended December 31, 2014 and 2013, are based on 72,855,781 and 52,504,350, respectively, of weighted average common shares outstanding.

 

Basic and diluted net loss per common share for the nine month periods ended December 31, 2014 and 2013, are based on 64,850,290 and 51,434,182, respectively, of weighted average common shares outstanding.

 

No adjustment has been made for any common stock equivalents outstanding because their effects would be antidilutive. An adjustment has been made to show that effect on the loss per share from discontinued operations as outlined below.

 

XML 46 R15.htm IDEA: XBRL DOCUMENT v2.4.1.9
FAIR VALUE OF FINANCIAL INSTRUMENTS
9 Months Ended
Dec. 31, 2014
FAIR VALUE OF FINANCIAL INSTRUMENTS [Abstract]  
FAIR VALUE OF FINANCIAL INSTRUMENTS

NOTE 9 – FAIR VALUE OF FINANCIAL INSTRUMENTS

 

On January 1, 2008, the Company adopted guidance which defines fair value, establishes a framework for using fair value to measure financial assets and liabilities on a recurring basis, and expands disclosures about fair value measurements. Beginning on January 1, 2009, the Company also applied the guidance to non-financial assets and liabilities measured at fair value on a non-recurring basis, which includes goodwill and intangible assets. The guidance establishes a hierarchy for inputs used in measuring fair value that maximizes the use of observable inputs and minimizes the use of unobservable inputs by requiring that the most observable inputs be used


when available. Observable inputs are inputs that market participants would use in pricing the asset or liability developed based on market data obtained from sources independent of the Company. Unobservable inputs are inputs that 
reflect the Company's assumptions of what market participants would use in pricing the asset or liability developed based on

 

 

the best information available in the circumstances. The hierarchy is broken down into three levels based on the reliability of the inputs as follows:

 

Level 1 - Inputs are unadjusted quoted prices in active markets for identical assets or liabilities that the Company has the ability to access at the measurement date.

 

Level 2 - Inputs include quoted prices for similar assets and liabilities in active markets, quoted prices for identical or similar assets or liabilities in markets that are not active, inputs other than quoted prices that are observable for the asset or liability (e.g., interest rates, yield curves, etc.), and inputs that are derived principally from or corroborated by observable market data by correlation or other means (market corroborated inputs).

 

Level 3 - Unobservable inputs that reflect our assumptions about the assumptions that market participants would use in pricing the asset or liability.

 

The following schedule summarizes the valuation of financial instruments at fair value on a recurring basis in the balance sheets as of December 31, 201and March 31, 2014:

 

Fair Value Measurements at December 31, 2014

 

Liabilities

Level 1

     

Level 2

     

Level 3

     

Gain/(loss)

 
                         

Convertible notes

$     $ 381,163     $       $  
    $     $              

 

 

Fair Value Measurements at March 31, 2014

 

Liabilities

Level 1

     

Level 2

     

Level 3

     

Gain/(loss)

 
                         

Convertible notes

$     $ 343,436              
    $     $              


XML 47 R13.htm IDEA: XBRL DOCUMENT v2.4.1.9
NOTES PAYABLE
9 Months Ended
Dec. 31, 2014
NOTES PAYABLE [Abstract]  
NOTES PAYABLE

NOTE 7 – NOTES PAYABLE

 

Notes payable consisted of the following:

 

December 31, 2014

   

March 31, 2014

Short Term Note Payable, Related Party

$ 966,350     $ 707,251 

Short Term Convertible Note, Related Party net discount of $38,571 as of December 31, 2014 and March 31, 2014

  161,429       50,000 

Line of Credit

  22,905       27,089 

Long Term Note Payable

    20,004       - 

Long Term Note Payable, Related Party

    116,871       23,846 

Convertible notes payable, long term, net of $0 and $4,693 discount as of December 31, 2014 and March 31, 2014, respectively

    219,734       236,541 

Convertible notes payable, long term, related party, net of discount of $0 and $315,721, as of December 31, 2014 and March 31, 2014, respectively

    -       293,436 

Total Notes Payable

  $ 1,507,293     $ 1,338,163 

 

Long Term Note Payable

 

On May 1, 2014, the company entered into a 36 month note payable of $20,000.  The note bears interest at twelve percent (12%) per annum. Total interest accrued as of December 31, 2014 was $1,611.

 

 

Note Payable – Related Party


On December 30, 2011, the Company entered into a note payable in the amount of $30,000. The note bears


interest at
ten percent (10%) per annum and was due on February 28, 2012
with no conversion feature. This note extended under the same terms and conditions to March 31, 2015. Total interest accrued as of December 31, 2014 was $8,770.

 

On January 13, 2012, the Company entered into two separate promissory notes, which are non-convertible, in the amount of $35,000 each for an aggregate amount of $70,000. The notes bear interest at nine percent (9%) per annum and are due and payable on or before January 10, 2013. Minimum monthly payments of 1.5% of the loan balances are required and are submitted to Lenders' financial institution. The note was amended April 1, 2013 and re-written with a new principal amount of $32,100 each for an aggregate amount of $64,200. The notes bear interest at nine percent (9%) per annum and are due and payable on or before April 1, 2020. The underlying loan requires that the Company pay to the lenders financial institution monthly payments of $1,033 on or before the 1st day of each month, beginning May 1, 2013, and continuing each month in like amount until the final payment due on April 1, 2020. The company has paid $12,524 in principal leaving a balance of $51,676 at December 31, 2014.

 

On February 26, 2013, we executed a promissory note with one of our shareholders, for $65,000 at 15% interest per annum, secured by seven of our sales orders to finance inventory purchases. The promissory note was due on or before April 20, 2013. There is no conversion feature associated with this promissory note. A payment of $20,000 was made against the principal on the note on April 1, 2013. The remaining $45,000 was extended and made part of the $95,000 convertible promissory note issued on May 24, 2013 which included an additional $50,000 promissory note as describe in the 8-K filed on May 24, 2013, with a maturity date of August 24, 2016 (See Convertible Note Payable – Related Party). The debt discount was calculated as $21,923. This note was converted on July 21, 2014 with total accrued interest of $6,041 into 3,108,944 shares. During the period ended September 30, 2014, $1,639 discount was amortized and the remaining debt discount of $15,322 was fully expensed upon conversion.  Due to conversion within the terms of the note, no gain or loss was recognized.

 

On March 22, 2013, we entered into a loan transaction that bears interest at a rate of 8% per annum, secured with one of our board members in the amount of $25,000. The note is secured by three of our accounts receivables to finance inventory purchases. This note was extended on September 30, 2013 and reclassed to a long term convertible promissory note with board member and shareholder of an 8% Convertible Promissory Note in the amount of $25,000, convertible into shares of common stock of the Company, at a price of $0.04 per share (See Convertible Note Payable – Related Party), which represents a 50% discount from the market price as of the date of the note. The note is due 36 months from the date of the note on or before September 30, 2016. The debt discount was calculated as $25,000. This note was converted on July 21, 2014 with total accrued interest as of July 21, 2014 was $1,611 into 665,274 shares. During the period ended September 30, 2014, $455 discount was amortized and the remaining $21,499 was fully expensed up conversion.  Due to conversion within the term of the note, no gain or loss was recognized.

 

On January 22, 2014 the Company entered into a loan transaction with one of our board members in the amount of $200,000, which was non-convertible. The note bears interest at a rate of 15% per annum, secured by Catapult PO NA1314-001 to finance inventory purchases and payoff the promissory notes dated January 7 and January 15, 2014. The promissory note and all accrued interest were due and payable on April 30, 2014. This note was paid in full including all accrued interest on April 8, 2014. 

 

On February 13, 2014 the Company entered into a loan transaction with one of our board members in the amount of $250,000, which was non-convertible. The note bears interest at a rate of 15% per annum, secured by Tatweer Company for Educational Services Mobile Outreach Saudi Work Order 001 to finance inventory purchases. The promissory note and all accrued interest were due and payable on May 13, 2014.  This note was extended to September 30, 2014, to account for the delay in invoice acceptance and payment by Tatweer Company for Educational Services. On September 9, 2014, the Company accrued and paid interest in the amount of $20,445 On October 21, 2014 this note was paid off when the Company entered into at 10% Convertible Promissory Note with a current board member and shareholder, in the amount of $200,000, convertible into shares of common stock of the Company, at the market price of $0.04. The note is due on or before October 22, 2015. The remaining $50,000 was paid in full by the issuance of that certain Promissory Note of even date herewith in the principal amount of $870,457. Total interest accrued as of December 31, 2014 was $5,137.

 

On February 21, 2014 the Company entered into a loan transaction with one of our board members in the amount of $70,000, which was non-convertible. The note bears interest at a rate of 15% per annum, secured by Catapult Learning PO NA1314-090 to finance inventory purchases. The promissory note and all accrued interest were due and payable on April 30, 2014.  This note was paid in full including all accrued interest on April 22, 2014.

 

On March 4, 2014 the Company entered into a loan transaction with one of our board members in the amount of $50,000. The note is non-convertible and bears interest at a rate of 15% per annum, secured by


T
4EDU Training Academy Contract to finance inventory purchases. The promissory note and all accrued interest were due and payable on April 30, 2014. $37,500 of this note was paid
during the period and the remaining $12,500 was extended and rolled into a new promissory note dated July 21, 2014 for $105,000 (includes a $75,000 and $17,500 promissory notes) with interest at 15% per annum due on or before August 30, 2014.  On October 21, 2014 this $105,000 note was paid off by an issuance of a promissory note with one of our board members in the amount of $870,457. The note is non-convertible and bears and interest rate of 10% per annum, and due October 22, 2015. Total interest accrued as of December 31, 2014 was $906.

 

On April 3, 2014, the Company executed a promissory note with one of our board members, for $60,000 at 15% interest per annum, secured by sales orders finance operations and inventory purchases. The promissory note was due April 30, 2014. There is no conversion feature associated with this promissory note. The note was extended on April 30, 2014 to September 30, 2014. The note was replaced with note dated July 28, 2014 for $210,000. Total interest accrued up through date of replacement was $2,860.

 

On April 11, 2014, the Company entered into a 36 month note payable of $60,000.  The note bears interest at twelve percent (12%) per annum. On June 1, 2014 this note holder became a board member. There is no conversion feature associated with this promissory noteTotal interest accrued as of December 31, 2014 was $5,708.

 

On April 15, 2014, the Company executed a promissory note with one of our board members, for $160,000 at 15% interest per annum, secured by sales orders to finance operations and inventory purchases. The promissory note was due June 30, 2014. There is no conversion feature associated with this promissory note.  The note was extended to September 30, 2014. This note was replaced by three different notes: $25,000 note payable executed June 3, 2014 (which was replaced by a $25,000 note dated June 28, 2014); $60,000 note payable executed August 20, 2014; $75,000 of the $150,000 note payable executed June 27, 2014 (which was replaced by three other notes dated August 20, 2014, August 07, 2014 and July 28, 2014). On October 21, 2014 these notes were paid off by an issuance of a promissory note with one of our board members in the amount of $870,457. The note is non-convertible and bears and interest rate of 10% per annum, and due October 22, 2015. Total Interest accrued during the period, up through the dates of replacement, is $4,159.

 

On May 1, 2014 the Company executed a promissory note with one of our shareholders and board members, for $60,000 at 15% interest per annum, secured by sales orders to finance operations and inventory purchases. The promissory note was due July 15, 2014. There is no conversion feature associated with this promissory note.  The note was extended to September 30, 2014.  During the period ended September 30, 2014, the notes were separated split into two notes, $17,500 and $42,500 and included in two separate notes dated July 21, 2014 for $105,000 and July 28, 2014 for $210,000, respectively.  On October 21, 2014 the notes for $105,000 and $210,000 were paid off by an issuance of a promissory note with one of our board members in the amount of $870,457. The note is non-convertible and bears and interest rate of 10% per annum, and due October 22, 2015.  Total interest accrued as of December 31, 2014 were $906 and $1,812 respectively.

 

On May 5, 2014 the Company executed a promissory note with one of our shareholders and board members, for $145,000 at 15% interest per annum, secured by sales orders to finance operations and inventory purchases. The promissory note was due July 15, 2014. There is no conversion feature associated with this promissory note.  The note was extended to September 30, 2014. On October 21, 2014 this note was paid off by an issuance of a promissory note with one of our board members in the amount of $870,457. The note is non-convertible and bears and interest rate of 10% per annum, and due October 22, 2015. Total interest accrued as of December 31, 2014 was $2,384.

 

On May 16, 2014 the Company executed a promissory note with one of our shareholders and board members, for $150,000 at 15% interest per annum, secured by sales orders to finance operations and inventory purchases. The promissory note was due September 30, 2014. There is no conversion feature associated with this promissory note.  $75,000 of this note was added to a $150,000 note payable executed June 21, 2014. The other $75,000 was added to another $150,000 note dated June 27, 2014.  Total interest accrued up through dates of replacement was $3,329.

 

On May 21, 2014 the Company executed a promissory note with one of our shareholders and board members, for $50,000 at 15% interest per annum, secured by sales orders to finance operations and inventory purchases. The promissory note was due August 30, 2014. There is no conversion feature associated with this promissory note. This promissory note was rolled into promissory note dated July 28, 2014 for $210,000. All interest was paid at the time of roll into the $210,000 note. On October 21, 2014 the $210,000 note was paid off by an issuance of a promissory note with one of our board members in the amount of $870,457. The note is non-convertible and bears and interest rate of 10% per annum, and due October 22, 2015.

 
On June 3, 2014 the Company executed a promissory note with one of our shareholders and board members


(part of a replacement note for promissory note dated April 15, 2014), for $25,000 at 15% interest per annum, secured by sales orders to finance operations and inventory purchases. The promissory note was due September 3, 2014. There is no conversion feature associated with this promissory note.  This promissory note was rolled into a promissory note dated July 28, 2014 for $210,000. All interest was paid at the time of roll into the $210,000 note. On October 21, 2014 the $210,000 note was paid off by an issuance of a promissory note with one of our board members in the amount of $870,457. The note is non-convertible and bears and interest rate of 10% per annum, and due October 22, 2015. 

 

On June 27, 2014 the Company executed a promissory note with one of our shareholders and board members, for $150,000 at 15% interest per annum (compose of two separate $75,000 notes that was previously issued and replaced dated May 16, 2014 and April 16,2014, respectively), secured by sales orders to finance operations and inventory purchases. The promissory note was due September 30, 2014. There is no conversion feature associated with this promissory note. This note is replaced by three different notes: $63,000 note payable executed on August 20, 2014, a part of the $123,000 promissory note; $25,000 note payable executed on August 7, 2014; and $32,500 note executed on July 28, 2014.  The remaining principal balance of $29,500 was paid off by an issuance of a promissory note with one of our board members in the amount of $870,457 on October 21, 2014. The note is non-convertible and bears and interest rate of 10% per annum, and due October 22, 2015.  Total interest accrued as of the date of pay off was $242

 

On July 21, 2014 the Company executed a promissory note with one of our shareholders and board members, for $105,000 at 15% interest per annum, secured by T4EDU Contract 0006/2014, to finance operations and inventory purchases. The promissory note is due October 31, 2014. There is no conversion feature associated with this promissory note.  This promissory note composed of prior issued notes dated March 4, 2014 for $12,500; May 1, 2014 for $17,500; and May 16, 2014 for $75,000. On October 21, 2014 the note for $105,000 was paid off by an issuance of a promissory note with one of our board members in the amount of $870,457. The note is non-convertible and bears and interest rate of 10% per annum, and due October 22, 2015.  Total interest accrued as of December 31, 2014 were $906.

 

On July 21, 2014, the Company converted $646,500 in convertible long term related party,  notes payable, and the related $49,874 in accrued interest (individual notes identified in the convertible related parties  notes payable section of  (See Convertible note – related party).  The strike price varied from $0.0325 to $0.065 depending on the note terms.  The conversion resulted in 18,455,666 shares of common stock.

 

On July 28, 2014, the Company executed a promissory note with one of our shareholders and board members, for $210,000 at 15% interest per annum, secured by T4EDU Contract 0006/2014, to finance operations and inventory purchases. The promissory note is due October 31, 2014. There is no conversion feature associated with this promissory note.  This promissory note composed of prior issued notes dated April 3, 2014 for $60,000; May 1, 2014 for $42,500; May 21, 2014 for $50,000; June 3, 2014 for $25,000 and June 27, 2014 for $32,500. Total Interest accrued as of September 30, 2014 was $5,523. All interest was paid at the time of roll into the $210,000 note. On October 21, 2014 the $210,000 note was paid off by an issuance of a promissory note with one of our board members in the amount of $870,457. The note is non-convertible and bears and interest rate of 10% per annum, and due October 22, 2015. 

 

On July 28, 2014 the Company executed a promissory note with one of our shareholders and board members, for $100,000 at 5% interest per annum, secured by sales orders to finance operations and inventory purchases. The promissory note is due November 28, 2014. There is no conversion feature associated with this promissory note. The note was paid in full on December 30, 2014. Total interest accrued accrued and paid at payoff was$2,137.

On August 7, 2014 the Company executed a promissory note with one of our shareholders and board members, for $25,000 at 15% interest per annum, secured by sales orders to finance operations and inventory purchases. The promissory note was due October 31, 2014. There is no conversion feature associated with this promissory note.  This note replaced prior issued note dated June 27, 2014.  On October 21, 2014 this note was paid off by an issuance of a promissory note with one of our board members in the amount of $870,457. The note is non-convertible and bears and interest rate of 10% per annum, and due October 22, 2015.  Total interest accrued as of December 31, 2014 was $215.

 

On August 20, 2014 the Company executed a promissory note with one of our shareholders and board members, for $123,000 at 15% interest per annum, secured by sales orders to finance operations and inventory purchases. The promissory note was due November 30, 2014. There is no conversion feature associated with this promissory note.  This notes replaced prior issued note dated June 27, 2014 for $63,000 and April 15, 2014 for $60,000. On October 21, 2014 this note was paid off by an issuance of a promissory note with one of our board members in the amount of $870,457. The note is non-convertible and bears and interest rate of 10% per annum, and due October 22, 2015.  Total interest accrued as of December 31, 2014 was $1,062.


On October 21, 2014
the Company executed a promissory note with one of our shareholders and board members in the amount of $870,457. The note is non-convertible and bears and interest rate of 10% per annum, and due October 22, 2015.  This note includes new cash lent to Borrower under this note of $175,000.  This note includes $7,957 of accrued interest on the paid off notes listed below. This note pays off the following notes:  $50,000 of the February 11, 2014 $250,000 Convertible long term related party;$145,000 dated May 7, 2014; $29,500 of the June 27, 2014 $105,000; $105,000 dated July 21, 2014; $210,000 dated July 28, 2014; $25,000 dated 08/08/2014; $123,000 dated August 20, 2014. Total interest accrued as of December 31, 2014 was $16,932.

 

On October 22, 2014 the Company executed a promissory note with a related party for credit up to $20,000 at 12% interest per annum. The promissory note was due December 31, 2014. There is no conversion feature associated with this promissory note.  The principle balance on December 31, 2014 was $14,217. This note was subsequently extended to February 15, 2015. Total interest accrued as of December 31, 2014 was $221.


 

Line of Credit

 

On September 13, 2011, the Company drew down a line of credit at a financial institution in the amount of $39,050. The line of credit bears interest at 17.5% per annum. The Company makes variable monthly payments. As of September 30, 2014, the Company has paid $16,189 in principal leaving a balance of $22,861 payable.

 

Convertible Note Payable – Non-related party

 

On August 1, 2012, the Company issued amendments to the convertible note agreements (convertible into common stock at a rate of $0.15 per share) in the aggregated amount of $215,000 and extended the due date with the repayments in the amount of $40,000 per quarter to begin April, 2013, and the final payments due in August, 2014, with any remaining balance due at that time. In consideration for extending the due date of the promissory notes, the expiration dates on the warrants issued (fully expensed in the prior period) on March 31, 2011 and June 27, 2011, were amended and extended an additional three years, making the new expiration dates August 1, 2017.  At the Lender's sole option, Lenders may elect to receive payment of their respective note and all accrued interest in restricted common stock of the Borrower at the price per share of said common stock at same rate as the warrants. Subsequently and effective June 7, 2013, we executed an amendment to the loan transaction.  The amended transaction involved the extension of the Promissory Note from April 30, 2013 to April 30, 2016, with the creditors waiving any default under the previous note. The company made interest payments to each of the eight note holders for all accrued interest from August 1, 2012 to April 30, 2013 for consideration of the extension.  On the fourth extension, all accrued interest was combined with the original principal amount as of July 31, 2012. The company has agreed to make quarterly interest payments to each of the note holders during the term of the extension. All other terms of the previous Promissory Note, Security Agreement and related warrants remain in full force and effect.  As of September 30, 2014, the ending principle balance was $243,745, including the related party convertible note balance of $34,011 noted below. Interest accrued as of December 31, 2014 for the total set of notes was $30,084.

 

On April 30, 2013, the Company entered into a loan transaction with an “accredited investor” for a Promissory Note, payable with interest at 8% per annum in the amount of $5,000, convertible into shares of common stock of the Company at a price of $0.20 per share. The note is due twenty-four months from the date of the note, on or before August 31, 2015. Total accrued interest as of December 31, 2014 was $701.

 

On July 30, 2013, the Company entered into a loan transaction with an “accredited investor” for a promissory Note, payable with interest at 8% per annum in the amount of $5,000, convertible into shares of common stock of the Company at a price of $0.20 per share. The note is due twenty-four months from the date of the note, on or before July 30, 2015. No debt discount was recognized as the conversion price is considered “out of the money”, therefore no discount was necessary. Total accrued interest as of December 31, 2014 was $562.

 

Convertible Note Payable – Related Party

 

For the transactions described above in regard to the original $215,000 convertible notes, $34,011 was loaned from a related party and has been separated out as described in the Company's financial statements and accompanying notes at March 31, 2013.  Interest expense for the related party convertible note with the ending December 31, 2014 principle balance was $4,802.


On February 26, 2013, we executed a promissory note with one of our shareholders, for $65,000 at 15% interest per annum, secured by seven of our sales orders to finance inventory purchases. The promissory note was due on or before April 20, 2013. There is no conversion feature associated with this promissory note. A payment


of $
20,000 was made against the principal on the note on April 1, 2013.
The remaining $45,000 was extended and made part of the $95,000 convertible promissory note issued on May 24, 2013 which included an additional $50,000 promissory note as describe in the 8-K filed on May 24, 2013, with a maturity date of August 24, 2016 and conversion rate of $0.0325. The debt discount was calculated as $21,923. This note was converted on July 21, 2014 with total accrued interest of $6,041 into 3,108,944 shares. During the period ended September 30, 2014, $1,639 discount was amortized and the remaining debt discount of $15,322 was fully expensed upon conversion.  Due to conversion within the terms of the note, no gain or loss was recognized.

 

On February 29, 2012, the Company entered into three separate convertible promissory notes in the aggregate amount of $100,000.  The notes bear interest at ten percent (10%) per annum and were due on May 30, 2012.  At the sole option of each respective Lender, the outstanding balance of the notes may be converted into shares of restricted Rule 144 common stock of the Borrower at a price per share of $0.05.  In the event Lender elects to convert any outstanding balance due under this note into such shares, Lender shall give written notice to the Borrower seven (7) days prior to the effective date of such exercise.  At Borrower's sole option, Borrower may elect to pay Lender in cash up to one-half (1/2) of the then principal and interest due under the note.  In such event, the remaining balance of principal and interest shall be converted as provided under the note agreement.  On June 14, 2012, one of the notes, in the amount of $50,000, was converted into 1,028,770 shares of our “restricted” common stock in accordance with the terms of the convertible promissory note.  The remaining two notes were extended, with no changes to the terms, were due and payable on June 30, 2014.  On July 21, 2014 the principal balance of the notes at $35,000 and $15,000 totaling to the $50,000 plus the accrued interest of $11,959 was converted into 1,239,178 shares of our “restricted” common stock in accordance with the terms of the convertible promissory note. Discount recognized on the convertible note were fully expensed in the prior period.  Due to conversion within the terms of the note, no gain or loss was recognized.

 

On December 3, 2012, the Company entered into a long term convertible promissory note with a board member and shareholder in the amount of $45,000. The note is convertible into common stock at a rate of $0.04 per share. The note bears interest at eight (8%) per annum and is due 36 months from the date of the agreement, on or before December 03, 2015. The proceeds from the note were used by the company to pay off the Security Purchase Agreement (tranche 2) issued on June 4, 2012, along with any accrued interest, penalties and administrative costs.  The debt discount was calculated as $18,255, of which $5,300 was amortized during the twelve months ended March 31, 2014, leaving the discount balance remaining of $11,722. This note was converted on July 21, 2014 with total accrued interest of $1,105 into 1,152,617 shares of our “restricted” common stock in accordance with the terms of the convertible promissory note. During the period ended September 30, 2014, $1,471 discount was amortized and the remaining $10,251 was fully expensed upon conversion of the promissory note.  Due to conversion within the terms of the note, no gain or loss was recognized.

 

On January 11, 2013, the Company entered into an 8% Convertible Promissory Note with an “accredited investor,” in the amount of $21,500, convertible into shares of common stock of the Company, at the market price of $0.065. The note is due thirty six months from the date of note.  The note is secured by a secondary security interest in all of the Company's intellectual property.  The proceeds received by the Company from the sale of this note were used by the Company for prepaying the Promissory Note dated June 5, 2012 (Tranche 3) issued to Asher Enterprises, Inc., as well as any administrative costs associated with the payment. This final payment completes and pays off all outstanding notes with Asher Enterprises. The Company recognized a discount on the debt issued related to the derivative liability. This debt discount was calculated as $9,285, of which $4,592 was amortized during the twelve months ended March 31, 2014. This note was converted on July 21, 2014 with total accrued interest of $1,385 into 352,084 shares of our “restricted” common stock in accordance with the terms of the convertible promissory note. During the period ended September 30, 2014, $740 discount was amortized and the remaining $3,953 was fully expensed upon conversion of the promissory note.  Due to conversion within the terms of the note, no gain or loss was recognized.

 

On March 22, 2013, we entered into a loan transaction that bears interest at a rate of 8% per annum, secured with one of our board members in the amount of $25,000. The note is secured by three of our accounts receivables to finance inventory purchases. This note was extended on September 30, 2013 and reclassed to a long term convertible promissory note with board member and shareholder of an 8% Convertible Promissory Note in the amount of $25,000, convertible into shares of common stock of the Company, at a price of $0.04 per share, which represents a 50% discount from the market price as of the date of the note. The note is due 36 months from the date of the note on or before September 30, 2016. The debt discount was calculated as $25,000. This note was converted on July 21, 2014 with total accrued interest as of July 21, 2014 was $1,611 into 665,274 shares. During the period ended September 30, 2014, $455 discount was amortized and the remaining $21,499 was fully expensed up conversion.  Due to conversion within the term of the note, no gain or loss was recognized.

 

On September 30, 2013, the Company entered into a long term convertible promissory note with board member


and shareholder of an
8% Convertible Promissory Note in the amount of $150,000, convertible into shares of common stock of the Company, at a price of $0.04 per share, which represents a 50% discount from the market price as of the date of the note. The note is due 36 months from the date of the note on or before September 30, 2016. The debt discount was calculated as $150,000, of which $18,579 was amortized during the twelve months ended March 31, 2014, leaving the discount balance remaining of $131,421.
This note was converted on July 21, 2014 with total accrued interest of $9,666 into 3,991,644 shares of our “restricted” common stock in accordance with the terms of the convertible promissory note. During the period ended September 30, 2014, $2,728 was amortized and the remaining $128,693 was fully expensed upon conversion of the promissory note.  Due to conversion within the terms of the note, no gain or loss was recognized.

 

On September 30, 2013, the Company entered into a Promissory Note in the amount of $260,000 with one of our board members, payable with interest at 10% per annum, in cash on or before November 29, 2013. The Promissory Note funded payables and other corporate purposes of borrower. This note is secured by that certain license agreement and other agreements between borrower and Kindle Education, now Creya Learning. A long-term Convertible Promissory Note (convertible at a rate of $0.035 per share) was executed on January 8, 2014 that replaced the September 30, 2013, payable with interest at 8% per annum on or before January 8, 2017. The debt discount was calculated as $156,000, of which $22,286 was amortized during the twelve months ended March 31, 2014, leaving the discount balance remaining of $133,714. This note was converted on July 21, 2014 with total accrued interest of $18,107 into 7,945,925 shares of our “restricted” common stock in accordance with the terms of the convertible promissory note. During the period ended September 30, 2014, $12,251 was amortized and the remaining $121,463 was fully expensed upon conversion of the promissory note.  Due to conversion within the terms of the note, no gain or loss was recognized.

 

On October 21, 2014 the Company entered into at 10% Convertible Promissory Note with a current board member and shareholder, in the amount of $200,000, convertible into shares of common stock of the Company, at the market price of $0.04. The note is due on or before October 22, 2015.The debt discount was calculated as $50,000. During the period ended December 31, 2014, $11,429 discount was amortized.

 

XML 48 R14.htm IDEA: XBRL DOCUMENT v2.4.1.9
DERIVATIVE FINANCIAL INSTRUMENTS
9 Months Ended
Dec. 31, 2014
DERIVATIVE FINANCIAL INSTRUMENTS [Abstract]  
DERIVATIVE FINANCIAL INSTRUMENTS

NOTE 8 – DERIVATIVE FINANCIAL INSTRUMENTS

 

The Company generally does not use derivative financial instruments to hedge exposures to cash-flow risks or market-risks that may affect the fair values of its financial instruments. The Company utilizes various types of financing to fund our business needs, including convertible debts with conversion features and other instruments not indexed to our stock. The convertible notes include fluctuating conversion rates. The Company uses a lattice model for valuation of the derivative. For derivative financial instruments that are accounted for as liabilities, the derivative instrument is initially recorded at its fair value and then re-valued at each reporting date, with changes in the fair value reported in income in accordance with ASC 815. The classification of derivative instruments, including whether such instruments should be recorded as liabilities or as equity, is reassessed at the end of each reporting period. Derivative instrument liabilities are classified in the balance sheet as current or non-current based on whether net cash settlement of the derivative instrument could be required within the 12 months of the balance sheet date.

 

The Company, in  year ended March 31, 2013, issued convertible notes payable that provide for the issuance of convertible notes with variable conversion provisions. The conversion terms of the convertible notes are variable based on certain factors, such as the future price of the Company's common stock. The number of shares of common stock to be issued is based on the future price of the Company's common stock. Due to the fact that the number of shares of common stock issuable is not able to be determined definitively, the equity environment is tainted and all additional convertible debentures and warrants are included in the value of the derivative. Pursuant to ASC 815-15 Derivatives, the fair values of the variable conversion option and warrants and shares to be issued were recorded as derivative liabilities on the issuance date.

 

The fair values of the Company's derivative liabilities were estimated at the issuance date and are revalued at each subsequent reporting date, using a lattice model. The Company eliminated the derivative as of March 31, 2013. As a result, the loss on derivative liabilities was $-0- and $-0- as of December 31, 2014 and 2013.

XML 49 R16.htm IDEA: XBRL DOCUMENT v2.4.1.9
DISCONTINUED OPERATIONS
9 Months Ended
Dec. 31, 2014
DISCONTINUED OPERATIONS [Abstract]  
DISCONTINUED OPERATIONS

NOTE 10 – DISCONTINUED OPERATIONS

 

On July 31, 2013, the Company signed a Memorandum of Understanding with a Canadian company owned by Joseph Khoury (“JAK”) proposing a purchase agreement in which JAK shall purchase LabMentors from PCS for USD $150,000. JAK has agreed to assume 100% of LabMentors outstanding liabilities and to pay the remainder of the USD $150,000 through a note payable. The note shall carry an annual interest rate of 3% compounded annually and be paid over a period of 60 months in equal monthly payments beginning in month 13 of the 60 month period. This sale was finalized during the period ending September 30, 2013.

 

The assets and liabilities of PCS LabMentors were segregated in the balance sheet and appropriately labeled as discontinued. As of the LabMentors  sale, income and expenses are netted in the income statement and appropriately labeled as discontinued operations. A full allowance of 50,740 was recorded for the promissory note.  As payments are received, the principle payment portion is recognized as Gain On Bad Debt Collection against the note receivable allowance.

 

XML 50 R34.htm IDEA: XBRL DOCUMENT v2.4.1.9
NOTES PAYABLE (Convertible Notes) (Details) (USD $)
3 Months Ended 6 Months Ended 9 Months Ended 0 Months Ended 9 Months Ended 3 Months Ended 12 Months Ended 0 Months Ended
Dec. 31, 2014
Dec. 31, 2013
Sep. 30, 2014
Dec. 31, 2014
Dec. 31, 2013
Jun. 14, 2012
Jul. 21, 2014
Sep. 30, 2014
Mar. 31, 2013
Mar. 31, 2014
Sep. 30, 2013
Jan. 08, 2014
Apr. 30, 2013
Jul. 30, 2013
Aug. 01, 2012
Feb. 29, 2012
Oct. 21, 2014
Dec. 03, 2012
Jan. 11, 2013
Debt Instrument [Line Items]                                      
Note payable amount $ 0us-gaap_DebtInstrumentFaceAmount     $ 0us-gaap_DebtInstrumentFaceAmount                              
Accrued interest 73,222us-gaap_InterestPayableCurrent     73,222us-gaap_InterestPayableCurrent           67,933us-gaap_InterestPayableCurrent                  
Debt discount amortization       331,696us-gaap_AmortizationOfDebtDiscountPremium 49,182us-gaap_AmortizationOfDebtDiscountPremium                            
Interest expense 52,621us-gaap_InterestExpense 41,657us-gaap_InterestExpense   470,211us-gaap_InterestExpense 107,143us-gaap_InterestExpense                            
Conversion of notes payable, shares     665,274us-gaap_DebtConversionConvertedInstrumentSharesIssued1                                
Debt discount       50,000us-gaap_AdjustmentsToAdditionalPaidInCapitalConvertibleDebtWithConversionFeature 220,000us-gaap_AdjustmentsToAdditionalPaidInCapitalConvertibleDebtWithConversionFeature                            
Accredited Investor Five [Member]                                      
Debt Instrument [Line Items]                                      
Interest rate                         8.00%us-gaap_DebtInstrumentInterestRateStatedPercentage
/ us-gaap_DebtInstrumentAxis
= pcsv_AccreditedInvestorFiveMember
           
Note payable amount                         5,000us-gaap_DebtInstrumentFaceAmount
/ us-gaap_DebtInstrumentAxis
= pcsv_AccreditedInvestorFiveMember
           
Debt conversion, price per share                         $ 0.20us-gaap_DebtInstrumentConvertibleConversionPrice1
/ us-gaap_DebtInstrumentAxis
= pcsv_AccreditedInvestorFiveMember
           
Accrued interest 701us-gaap_InterestPayableCurrent
/ us-gaap_DebtInstrumentAxis
= pcsv_AccreditedInvestorFiveMember
    701us-gaap_InterestPayableCurrent
/ us-gaap_DebtInstrumentAxis
= pcsv_AccreditedInvestorFiveMember
                             
Accredited Investor Six [Member]                                      
Debt Instrument [Line Items]                                      
Interest rate                           8.00%us-gaap_DebtInstrumentInterestRateStatedPercentage
/ us-gaap_DebtInstrumentAxis
= pcsv_AccreditedInvestorSixMember
         
Note payable amount                           5,000us-gaap_DebtInstrumentFaceAmount
/ us-gaap_DebtInstrumentAxis
= pcsv_AccreditedInvestorSixMember
         
Debt conversion, price per share                           $ 0.20us-gaap_DebtInstrumentConvertibleConversionPrice1
/ us-gaap_DebtInstrumentAxis
= pcsv_AccreditedInvestorSixMember
         
Accrued interest 562us-gaap_InterestPayableCurrent
/ us-gaap_DebtInstrumentAxis
= pcsv_AccreditedInvestorSixMember
    562us-gaap_InterestPayableCurrent
/ us-gaap_DebtInstrumentAxis
= pcsv_AccreditedInvestorSixMember
                             
Convertible Promisorry Notes [Member]                                      
Debt Instrument [Line Items]                                      
Debt conversion, price per share                             $ 0.15us-gaap_DebtInstrumentConvertibleConversionPrice1
/ us-gaap_DebtInstrumentAxis
= us-gaap_ConvertibleDebtMember
       
Three Separate Convertible Promissory Notes [Member]                                      
Debt Instrument [Line Items]                                      
Interest rate                               10.00%us-gaap_DebtInstrumentInterestRateStatedPercentage
/ us-gaap_DebtInstrumentAxis
= pcsv_ThreeSeparateConvertiblePromissoryNotesMember
     
Note payable amount                               100,000us-gaap_DebtInstrumentFaceAmount
/ us-gaap_DebtInstrumentAxis
= pcsv_ThreeSeparateConvertiblePromissoryNotesMember
     
Debt conversion, price per share                               $ 0.05us-gaap_DebtInstrumentConvertibleConversionPrice1
/ us-gaap_DebtInstrumentAxis
= pcsv_ThreeSeparateConvertiblePromissoryNotesMember
     
Conversion of debt, days written notice required           7pcsv_ConversionOfDebtWrittenNotice
/ us-gaap_DebtInstrumentAxis
= pcsv_ThreeSeparateConvertiblePromissoryNotesMember
                  7pcsv_ConversionOfDebtWrittenNotice
/ us-gaap_DebtInstrumentAxis
= pcsv_ThreeSeparateConvertiblePromissoryNotesMember
     
Conversion of debt, percent of cash payable           0.50%pcsv_ConversionOfDebtMaximumCashPaybleRatio
/ us-gaap_DebtInstrumentAxis
= pcsv_ThreeSeparateConvertiblePromissoryNotesMember
                  0.50%pcsv_ConversionOfDebtMaximumCashPaybleRatio
/ us-gaap_DebtInstrumentAxis
= pcsv_ThreeSeparateConvertiblePromissoryNotesMember
     
Amount of note converted           50,000us-gaap_DebtConversionOriginalDebtAmount1
/ us-gaap_DebtInstrumentAxis
= pcsv_ThreeSeparateConvertiblePromissoryNotesMember
                         
Conversion of notes payable, shares           1,028,770us-gaap_DebtConversionConvertedInstrumentSharesIssued1
/ us-gaap_DebtInstrumentAxis
= pcsv_ThreeSeparateConvertiblePromissoryNotesMember
                         
Board member and shareholder [Member]                                      
Debt Instrument [Line Items]                                      
Interest rate                                 10.00%us-gaap_DebtInstrumentInterestRateStatedPercentage
/ us-gaap_DebtInstrumentAxis
= pcsv_BoardMemberShareholderMember
8.00%us-gaap_DebtInstrumentInterestRateStatedPercentage
/ us-gaap_DebtInstrumentAxis
= pcsv_BoardMemberShareholderMember
 
Note payable amount                                 200,000us-gaap_DebtInstrumentFaceAmount
/ us-gaap_DebtInstrumentAxis
= pcsv_BoardMemberShareholderMember
45,000us-gaap_DebtInstrumentFaceAmount
/ us-gaap_DebtInstrumentAxis
= pcsv_BoardMemberShareholderMember
 
Debt conversion, price per share                                 $ 0.04us-gaap_DebtInstrumentConvertibleConversionPrice1
/ us-gaap_DebtInstrumentAxis
= pcsv_BoardMemberShareholderMember
$ 0.04us-gaap_DebtInstrumentConvertibleConversionPrice1
/ us-gaap_DebtInstrumentAxis
= pcsv_BoardMemberShareholderMember
 
Accrued interest             1,105us-gaap_InterestPayableCurrent
/ us-gaap_DebtInstrumentAxis
= pcsv_BoardMemberShareholderMember
                       
Debt discount               10,251pcsv_DebtDiscountNoncash
/ us-gaap_DebtInstrumentAxis
= pcsv_BoardMemberShareholderMember
                     
Debt discount amortization               1,471us-gaap_AmortizationOfDebtDiscountPremium
/ us-gaap_DebtInstrumentAxis
= pcsv_BoardMemberShareholderMember
                     
Warrants, expiration period, months                                   36pcsv_WarrantsExpirationPeriod
/ us-gaap_DebtInstrumentAxis
= pcsv_BoardMemberShareholderMember
 
Conversion of notes payable, shares             1,152,617us-gaap_DebtConversionConvertedInstrumentSharesIssued1
/ us-gaap_DebtInstrumentAxis
= pcsv_BoardMemberShareholderMember
                       
Gains (Losses) on Extinguishment of Debt             0us-gaap_GainsLossesOnExtinguishmentOfDebt
/ us-gaap_DebtInstrumentAxis
= pcsv_BoardMemberShareholderMember
                       
Accredited Investor One [Member]                                      
Debt Instrument [Line Items]                                      
Interest rate                                     8.00%us-gaap_DebtInstrumentInterestRateStatedPercentage
/ us-gaap_DebtInstrumentAxis
= pcsv_AccreditedInvestorOneMember
Note payable amount                                     21,500us-gaap_DebtInstrumentFaceAmount
/ us-gaap_DebtInstrumentAxis
= pcsv_AccreditedInvestorOneMember
Debt conversion, price per share                                     $ 0.065us-gaap_DebtInstrumentConvertibleConversionPrice1
/ us-gaap_DebtInstrumentAxis
= pcsv_AccreditedInvestorOneMember
Accrued interest             1,385us-gaap_InterestPayableCurrent
/ us-gaap_DebtInstrumentAxis
= pcsv_AccreditedInvestorOneMember
                       
Debt discount               3,953pcsv_DebtDiscountNoncash
/ us-gaap_DebtInstrumentAxis
= pcsv_AccreditedInvestorOneMember
9,285pcsv_DebtDiscountNoncash
/ us-gaap_DebtInstrumentAxis
= pcsv_AccreditedInvestorOneMember
                   
Debt discount amortization               740us-gaap_AmortizationOfDebtDiscountPremium
/ us-gaap_DebtInstrumentAxis
= pcsv_AccreditedInvestorOneMember
  4,592us-gaap_AmortizationOfDebtDiscountPremium
/ us-gaap_DebtInstrumentAxis
= pcsv_AccreditedInvestorOneMember
                 
Conversion of notes payable, shares             352,084us-gaap_DebtConversionConvertedInstrumentSharesIssued1
/ us-gaap_DebtInstrumentAxis
= pcsv_AccreditedInvestorOneMember
                       
Gains (Losses) on Extinguishment of Debt             0us-gaap_GainsLossesOnExtinguishmentOfDebt
/ us-gaap_DebtInstrumentAxis
= pcsv_AccreditedInvestorOneMember
                       
Board Member And Shareholder Three [Member]                                      
Debt Instrument [Line Items]                                      
Interest rate                     8.00%us-gaap_DebtInstrumentInterestRateStatedPercentage
/ us-gaap_DebtInstrumentAxis
= pcsv_BoardMemberShareholderThreeMember
               
Debt conversion, price per share                     $ 0.04us-gaap_DebtInstrumentConvertibleConversionPrice1
/ us-gaap_DebtInstrumentAxis
= pcsv_BoardMemberShareholderThreeMember
               
Accrued interest             9,666us-gaap_InterestPayableCurrent
/ us-gaap_DebtInstrumentAxis
= pcsv_BoardMemberShareholderThreeMember
                       
Debt discount               128,693pcsv_DebtDiscountNoncash
/ us-gaap_DebtInstrumentAxis
= pcsv_BoardMemberShareholderThreeMember
    150,000pcsv_DebtDiscountNoncash
/ us-gaap_DebtInstrumentAxis
= pcsv_BoardMemberShareholderThreeMember
               
Debt discount amortization               2,728us-gaap_AmortizationOfDebtDiscountPremium
/ us-gaap_DebtInstrumentAxis
= pcsv_BoardMemberShareholderThreeMember
  18,579us-gaap_AmortizationOfDebtDiscountPremium
/ us-gaap_DebtInstrumentAxis
= pcsv_BoardMemberShareholderThreeMember
                 
Conversion of notes payable, shares             3,991,644us-gaap_DebtConversionConvertedInstrumentSharesIssued1
/ us-gaap_DebtInstrumentAxis
= pcsv_BoardMemberShareholderThreeMember
                       
Discount, percent of market price                     50.00%pcsv_ConvertibleDebtPercentOfMarketPrice
/ us-gaap_DebtInstrumentAxis
= pcsv_BoardMemberShareholderThreeMember
               
Unamortized debt discount                   131,421us-gaap_DebtInstrumentUnamortizedDiscount
/ us-gaap_DebtInstrumentAxis
= pcsv_BoardMemberShareholderThreeMember
                 
Gains (Losses) on Extinguishment of Debt             0us-gaap_GainsLossesOnExtinguishmentOfDebt
/ us-gaap_DebtInstrumentAxis
= pcsv_BoardMemberShareholderThreeMember
                       
Board Member And Shareholder Four [Member]                                      
Debt Instrument [Line Items]                                      
Interest rate                     10.00%us-gaap_DebtInstrumentInterestRateStatedPercentage
/ us-gaap_DebtInstrumentAxis
= pcsv_BoardMemberShareholderFourMember
               
Note payable amount                     260,000us-gaap_DebtInstrumentFaceAmount
/ us-gaap_DebtInstrumentAxis
= pcsv_BoardMemberShareholderFourMember
               
Debt conversion, price per share             $ 0.035us-gaap_DebtInstrumentConvertibleConversionPrice1
/ us-gaap_DebtInstrumentAxis
= pcsv_BoardMemberShareholderFourMember
                       
Accrued interest             18,107us-gaap_InterestPayableCurrent
/ us-gaap_DebtInstrumentAxis
= pcsv_BoardMemberShareholderFourMember
                       
Debt discount               121,463pcsv_DebtDiscountNoncash
/ us-gaap_DebtInstrumentAxis
= pcsv_BoardMemberShareholderFourMember
                     
Debt discount amortization               12,251us-gaap_AmortizationOfDebtDiscountPremium
/ us-gaap_DebtInstrumentAxis
= pcsv_BoardMemberShareholderFourMember
                     
Conversion of notes payable, shares             7,945,925us-gaap_DebtConversionConvertedInstrumentSharesIssued1
/ us-gaap_DebtInstrumentAxis
= pcsv_BoardMemberShareholderFourMember
                       
Gains (Losses) on Extinguishment of Debt             0us-gaap_GainsLossesOnExtinguishmentOfDebt
/ us-gaap_DebtInstrumentAxis
= pcsv_BoardMemberShareholderFourMember
                       
Long Term Convertible Promissory Note [Member]                                      
Debt Instrument [Line Items]                                      
Interest rate                       8.00%us-gaap_DebtInstrumentInterestRateStatedPercentage
/ us-gaap_DebtInstrumentAxis
= pcsv_LongTermConvertiblePromissoryNoteMember
             
Debt discount                       156,000pcsv_DebtDiscountNoncash
/ us-gaap_DebtInstrumentAxis
= pcsv_LongTermConvertiblePromissoryNoteMember
             
Debt discount amortization                   22,286us-gaap_AmortizationOfDebtDiscountPremium
/ us-gaap_DebtInstrumentAxis
= pcsv_LongTermConvertiblePromissoryNoteMember
                 
Unamortized debt discount                   $ 133,714us-gaap_DebtInstrumentUnamortizedDiscount
/ us-gaap_DebtInstrumentAxis
= pcsv_LongTermConvertiblePromissoryNoteMember
                 
XML 51 R21.htm IDEA: XBRL DOCUMENT v2.4.1.9
SUBSEQUENT EVENTS
9 Months Ended
Dec. 31, 2014
SUBSEQUENT EVENTS [Abstract]  
SUBSEQUENT EVENTS

NOTE 15 - SUBSEQUENT EVENTS

 

               On January 22, 2015 the Company entered into at 10% Promissory Note with a current board member and shareholder, in the amount of $400,000, secured by T4EDU Contract 0006/0017, to finance operations and inventory purchases, due June 30, 2015. The Lender has also issued warrants to acquire up to 2,000,000 shares of Company's common stock for $0.04 per share exercisable at any time within 36 months after the date of issuance of the Warrants.

 

The Board of Directors of PCS Edventures!.com, Inc. (the “Company”) has accepted the resignation of Andrew J. Scoggin as a member of the board of directors of the Company. Mr. Scoggin's resignation is effective as of January 31, 2015. 

 

On February 1, 2015 the Board of Directors of PCS Edventures!.com, Inc. (the “Company”) has 


appointed
: Robert Grover as President and Co-Chief Executive Officer; Russelee V. Horsburgh as Vice President and Treasurer; Todd Hackett as and Co-Chief Executive Office; and Britt Ide as Chair of the Board.


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FAIR VALUE OF FINANCIAL INSTRUMENTS (Tables)
9 Months Ended
Dec. 31, 2014
FAIR VALUE OF FINANCIAL INSTRUMENTS [Abstract]  
Summary of the valuation of financial instruments at fair value on a recurring basis in the balance sheets

The following schedule summarizes the valuation of financial instruments at fair value on a recurring basis in the balance sheets as of December 31, 201and March 31, 2014:

 

Fair Value Measurements at December 31, 2014

 

Liabilities

Level 1

     

Level 2

     

Level 3

     

Gain/(loss)

 
                         

Convertible notes

$     $ 381,163     $       $  
    $     $              

 

 

Fair Value Measurements at March 31, 2014

 

Liabilities

Level 1

     

Level 2

     

Level 3

     

Gain/(loss)

 
                         

Convertible notes

$     $ 343,436              
    $     $              
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BASIC AND DILUTED NET LOSS PER COMMON SHARE (Details)
3 Months Ended 9 Months Ended
Dec. 31, 2014
Dec. 31, 2013
Dec. 31, 2014
Dec. 31, 2013
Basic and diluted net income (loss) per common share:        
Weighted Average Number of Shares Outstanding, Basic and Diluted 72,855,781us-gaap_WeightedAverageNumberOfShareOutstandingBasicAndDiluted 52,504,350us-gaap_WeightedAverageNumberOfShareOutstandingBasicAndDiluted 64,850,290us-gaap_WeightedAverageNumberOfShareOutstandingBasicAndDiluted 51,434,182us-gaap_WeightedAverageNumberOfShareOutstandingBasicAndDiluted
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Consolidated Statements of Stockholders' Equity (Deficit) (USD $)
Total
Capital Stock [Member]
Stock Payable [Member]
Accumulated Deficit [Member]
Other Comprehensive Income [Member]
Balance at Mar. 31, 2014 $ (1,219,954)us-gaap_StockholdersEquity $ 36,919,152us-gaap_StockholdersEquity
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$ (38,170,186)us-gaap_StockholdersEquity
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Balance, shares at Mar. 31, 2014 52,970,332us-gaap_CommonStockSharesOutstanding 52,970,332us-gaap_CommonStockSharesOutstanding
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$ 60,732us-gaap_StockholdersEquity
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$ (39,293,698)us-gaap_StockholdersEquity
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PREPAID EXPENSES
9 Months Ended
Dec. 31, 2014
PREPAID EXPENSES [Abstract]  
PREPAID EXPENSES

NOTE 4 – PREPAID EXPENSES

 

Prepaid expenses for the periods are as follows:

 

December 31, 2014

   

March 31, 2014

 

Prepaid insurance

$ 15,042     $ 9,709 

Prepaid trade show/travel

  -       1,150 

Prepaid inventory

  11,480       38,452 

Prepaid software

    18,212       11,457 

Prepaid expenses, other

    3,299       8,138 

Total Prepaid Expenses

  $ 48,033     $ 68,906 

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DILUTIVE INSTRUMENTS (Tables)
9 Months Ended
Dec. 31, 2014
DILUTIVE INSTRUMENTS [Abstract]  
Schedule of Stock-Based Payment Awards


             

Total Issued

         

Not

 

Issued

 

Cancelled

   

Executed

   

and Outstanding

   

Exercisable

   

Vested

 
                                 

Balance as of March 31, 2014

  27,856,655         14,789,300         9,722,210         3,345,145         2,320,145         1,025,000  

Warrants

                                               

Common Stock

              1,255,150                 (1,255,150 )         (775,150 )         (480,000 )  

Balance as of December 31, 2014

      27,856,655         16,044,450         9,722,210         2,089,995         1,544,995         545,000  


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Dec. 31, 2014
Jul. 31, 2013
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DILUTIVE INSTRUMENTS
9 Months Ended
Dec. 31, 2014
DILUTIVE INSTRUMENTS [Abstract]  
DILUTIVE INSTRUMENTS

NOTE 14 - DILUTIVE INSTRUMENTS

 

Stock Options and Warrants


The Company is required to recognize expense of options or similar equity instruments issued to employees using the fair-value-based method of accounting for stock-based payments in compliance with the financial accounting standard pertaining to share-based payments. This standard covers a wide range of share-based compensation arrangements including share options, restricted share plans, performance-based awards, share appreciation rights, and employee share purchase plans. Application of this standard requires significant judgment regarding the assumptions used in the selected option pricing model, including stock price volatility and employee exercise behavior. Most of these inputs are either highly dependent on the current economic environment at the date of grant or forward-looking over the expected term of the award.

 


             

Total Issued

         

Not

 

Issued

 

Cancelled

   

Executed

   

and Outstanding

   

Exercisable

   

Vested

 
                                 

Balance as of March 31, 2014

  27,856,655         14,789,300         9,722,210         3,345,145         2,320,145         1,025,000  

Warrants

                                               

Common Stock

              1,255,150                 (1,255,150 )         (775,150 )         (480,000 )  

Balance as of December 31, 2014

      27,856,655         16,044,450         9,722,210         2,089,995         1,544,995         545,000  


No common stock options or warrants were issued, exercised, or cancelled during the period ended December 31, 2014.

 

January 1, 2014, the company granted 40,000 incentive options each to one employee per year for three years. These options were issued as incentive compensation to the employee. The options were valued using the Black-Scholes valuation model. The options have an expected volatility rate of 258.20% calculated using the Company stock price for a three-year period. A risk free interest rate of 0.41% - 0.64% was used to value the options. The total value of these options was $4,107. The options vest over a three-year period and are exercisable at a range of $.05 to $0.6 per share, which represents the fair market value at the date of grant in accordance with the 2009 Equity Incentive Plan. As of December 31, 2014, $ 1,027 of the total value was expensed. $341 was expensed in the three months ending December 31, 2014.

 

February 1, 2014, the company granted 40,000 incentive options each to three employees per year for three years. These options were issued as incentive compensation to the employee. The options were valued using the Black-Scholes valuation model. The options have an expected volatility rate of 259.07% calculated using the Company stock price for a three-year period.  A risk free interest rate of 0.26% - 0.76% was used to value the options. The total value of these options was $17,726. The options vest over a three-year period and are exercisable at a range of $.05 to $0.6 per share, which represents the fair market value at the date of grant in accordance with the 2009 Equity Incentive Plan. As of December 31, 2014, $3,977 of the total value was expensed. $1,473 was expensed in the three months ending December 31, 2014.

 

On May 15, 2012, the Company granted 850,000 incentive stock options to an officer, Robert Grover. The expected volatility rate of 223.62% calculated using the Company stock price over the period beginning June 1, 2009 through date of issue. A risk free interest rate of 0.38 % was used to value the options. The options were valued using the Black-Scholes valuation model. The total value of this option was $46,175. The options vest over a three year period and are exercisable at $0.06 per share which represents the fair market value at the date of grant in accordance with the 2009 Equity Incentive Plan. As of December 31, 2014, $40,452 in value of the options was expensed.  $8,031 was expensed in the three months ending December 31, 2014.

 

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