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Consolidated Statement of Cash Flow
12 Months Ended
May 31, 2022
USD ($)
Cash flows from operating activities  
Net loss $ (238,745)
Recap of Cocoluv, Inc. 34,659
Changes in operating assets and liabilities:  
Prepaid expenses (179,585)
Sales tax receivable (10,809)
Security deposit (613)
Accounts payable 30,754
Payroll liabilities 2,976
Cash used in operating activities (361,363)
Acquisition of property and equipment (3,254)
Cash used in investing activities (3,254)
Cash flows from financing activities  
Proceeds from the issuance of shares and warrants 855,000
Cash used in financing activities 855,000
Effect of translation changes on cash (13,044)
Change in cash and cash equivalents 477,339
Cash, beginning of period 0
Cash, end of period 477,339
Supplemental disclosures  
Cash paid for interest 0
Cash paid for income taxes $ 0