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Supplemental cash flow information (Narrative) (Details) - CAD ($)
12 Months Ended
Sep. 30, 2023
Sep. 30, 2022
Sep. 30, 2021
Supplemental Cash Flow Information [Abstract]      
Non-cash share offering costs as part of the net proceeds settlement at the closing of the U.S. IPO and Canadian Offering $ 2,924,880    
Accounts payables as part of the net proceeds settlement at the closing of the U.S. IPO and Canadian Offering $ 453,102    
Warrants exercised in connection with GhostStep acquisition 250,000    
Shares issued for vested RSUs and PSUs 529,504    
Fair value of contingent shares settled via common shares   $ 83,319  
Number of contingent shares settled via common shares   875  
Shares issued to settle debt   $ 19,000  
Shares for debt settlements     $ 63,866
Fair value of options exercised and transferred     203,516
Fair value of warrants exercised   61,173 102,991
Value of warrants exercised on assets acquisition   $ 125,000 $ 125,000
Number of warrants exercised on assets acquisition   250,000 250,000
Shares and warrants issued on assets acquisition   $ 592,822 $ 1,715,000
Fair value of common shares issued for amended and restated license agreement     137,000
Share offering costs relating to Broker Compensation Options     169,832
Non-cash consideration for computer equipment acquired     $ 3,828