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Condensed Consolidated Statements of Cash Flows - USD ($)
6 Months Ended 12 Months Ended
Jun. 30, 2020
Jun. 30, 2019
Dec. 31, 2019
Dec. 31, 2018
Cash flow from operating activities        
Net income (loss) $ (3,593,764) $ (3,327,906) $ (6,060,751) $ (19,430,579)
Adjustment to reconcile comprehensive income/(loss) to net cash used in operating activities        
Depreciation and amortization 1,093,486 1,123,587 2,265,297 2,903,662
Amortization of right of use asset     3,788
Impairment on goodwill and intangible assets     9,038,553
Non-cash expenses 6,117    
Provision for Preference dividend 215,670 211,939 426,003 2,583,184
Changes in fair value of warrants 61,715 (1,796,174) 2,760,819
Changes in estimate of contingent consideration     (6,940,310)
Stock, option, restricted stock unit and warrant expense 34,642 490,175 586,495 1,251,489
Foreign exchange translation adjustment (20,149) 573 (26,985)
Provision for Income taxes (net of deferred income taxes) 39,377 (14,621) 388,657 6,348,502
Loss on sale of fixed assets 21,611 (11,386) (2,139)
Increase (decrease) in:        
Accounts receivable (910,430) (673,381) 1,487,274 967,031
Other current assets (103,393) (1,388) 34,994 105,666
Increase (decrease) in:        
Accounts payable and accrued expenses 366,713 655,151 222,679 (2,101,251)
Net cash provided by (used in) operating activities (2,864,426) (1,474,156) (2,453,123) (2,565,495)
Cash flow from investing activities        
Purchase of fixed assets (39,969) (27,698) (84,331) 6,421
Acquisition consideration (200,000) (200,000) (3,645,667)
Net cash used in investing activities (39,969) (227,698) (284,331) (3,639,246)
Cash flow from financing activities        
Proceeds from bank loan and convertible notes, net 2,835,685 (191,762) (1,326,070) (1,976,299)
Proceeds from Issue of debentures     1,000,000
Contingent consideration for acquisitions     (1,657,667)
Proceeds from issuance of common shares, net 1,725,000 2,123,425 2,123,594 6,327,954
Net cash provided by financing activities 4,560,685 1,931,663 1,797,524 2,693,988
Net increase (decrease) in cash and cash equivalents 1,656,291 229,809 (939,931) (3,510,753)
Cash and cash equivalents as at beginning of the period 431,400 1,371,331 1,371,331 4,882,084
Cash at the end of the period $ 2,087,691 $ 1,601,140 431,400 1,371,331
SUPPLEMENTAL DISCLOSURES:        
Cash paid during the period for: Interest     480,404 571,628
Cash paid during the period for: Taxes    
Non-cash investing and financing activities:        
Operating lease liability     $ 371,754