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NOTES PAYABLE (Tables)
6 Months Ended
Jun. 30, 2022
Debt Disclosure [Abstract]  
SCHEDULE OF PROMISSORY NOTES ISSUED TO UNRELATED THIRD PARTIES

The following table presents a summary of the Company’s promissory notes issued to unrelated third parties as of June 30, 2022:

 

   Note Amount   Issuance Date  Balance 
Henry Mahgerefteh  $144,000   2/15/15  $125,020 
BNA & TRA Capital   106,112   3 loans   109,999 
1800 Diagonal Lending       7/12/17   256,250 
TysAdco Partners   1,405,000   3 loans   1,266,000 
LGH Investments   850,000   2 loans   661,600 
Jefferson Capital   330,000   12/1/22   330,000 
SBA Loan   309,900   4/1/20   159,900 
Dicer   64,678   7/20/20   117,113 
Seaport loan   437,500   9/30/21   250,000 
TCA Global fund   2,150,000   5/1/18   3,681,792 
TCA Global fund 2   3,000,000   12/17/19   7,912,924 
   $9,492,933      $14,870,599 
SCHEDULE OF PURCHASE RECEIVABLES

   Amount   Issuance Date  Balance 
Cap Call  $1,000,000   3 loans - 2020  $413,825 

Lends Park Corp

   3,119,163   6/30/22   3,119,163 
Fox Capital   607,500   12/1/20   170,307 
   $4,726,663      $3,703,295