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Leases (Tables)
9 Months Ended
Jul. 31, 2023
Leases  
Schedule of cash flow information related to leases
          
   July 31, 2023  July 31, 2022
Other Lease Information          
Cash paid for amounts included in the measurement of lease liabilities:          
Operating cash flows from operating leases  $(142,202)  $(86,385)
Schedule of condensed balance sheet
          
Lease Position  July 31, 2023  October 31, 2022
Operating Leases          
Operating lease right-of-use assets  $1,056,767   $1,198,969 
Right of use liability operating lease current portion  $179,861   $166,051 
Right of use liability operating lease long term   914,761    1,050,776 
Total operating lease liabilities  $1,094,622   $1,216,827 
Schedule of lessee operating lease liability maturity
        
   Operating Leases
Maturity of Lease Liabilities on July 31, 2023      
2023   $55,997 
2024    228,134 
2025    238,800 
2026    253,614 
2027 and thereafter    450,934 
Total future undiscounted lease payments   $1,227,479 
Less: Interest    (132,857)
Present value of lease liabilities   $1,094,622