Quarterly report [Sections 13 or 15(d)]

SCHEDULE OF DEBT (Details)

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SCHEDULE OF DEBT (Details) - USD ($)
Aug. 11, 2024
Aug. 11, 2023
Sep. 30, 2025
Dec. 31, 2024
Short-Term Debt [Line Items]        
Original Balance [1]   $ 4,000,000    
Less May 2024 repayment [1] $ (1,527,500)      
Carrying amount $ 2,472,500 [1]   $ 3,472,500 $ 2,472,500
January 24, 2020 Note [Member]        
Short-Term Debt [Line Items]        
Original Balance   $ 100,000    
Original maturity   Jul. 19, 2023    
Original rate   4.00%    
Revised maturity   Aug. 31, 2026    
Revised rate   2.00%    
June 28, 2021 Note [Member]        
Short-Term Debt [Line Items]        
Original Balance   $ 100,000    
Original maturity   Jun. 28, 2023    
Original rate   4.00%    
Revised maturity   Aug. 31, 2026    
Revised rate   2.00%    
September 17, 2021 Note [Member]        
Short-Term Debt [Line Items]        
Original Balance   $ 500,000    
Original maturity   Sep. 17, 2023    
Original rate   4.00%    
Revised maturity   Aug. 31, 2026    
Revised rate   2.00%    
December 13, 2021 Note [Member]        
Short-Term Debt [Line Items]        
Original Balance   $ 500,000    
Original maturity   Dec. 13, 2023    
Original rate   4.00%    
Revised maturity   Aug. 31, 2026    
Revised rate   2.00%    
December 29, 2022 Note [Member]        
Short-Term Debt [Line Items]        
Original Balance   $ 2,000,000    
Original maturity   Aug. 01, 2023    
Original rate   4.00%    
Revised maturity   Aug. 31, 2026    
Revised rate   2.00%    
March 3, 2023 Note [Member]        
Short-Term Debt [Line Items]        
Original Balance   $ 800,000    
Original maturity   Jul. 01, 2023    
Original rate   4.00%    
Revised maturity   Aug. 31, 2026    
Revised rate   2.00%    
[1] Such was the balance of the Amended Consolidated Secured Promissory Note before the Company received additional fundings, as mentioned below.