Annual and transition report of foreign private issuers pursuant to Section 13 or 15(d)

SCHEDULE OF CONTRACTUAL MATURITY (Details)

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SCHEDULE OF CONTRACTUAL MATURITY (Details) - USD ($)
Dec. 31, 2023
Dec. 31, 2022
Carrying amount [member]    
IfrsStatementLineItems [Line Items]    
Accounts payable $ 4,406,850 $ 1,672,306
Due to related parties 2,148,148 2,299,231
Loans payable 2,722,111 762,416
Short term debt 122,415 539,245
Total 9,399,524 26,233,924
Operating lease liabilities   12,984,875
Convertible debt obligations   7,975,851
Total Contractual Undiscounted Cash Flow [Member]    
IfrsStatementLineItems [Line Items]    
Accounts payable 4,406,850 1,672,306
Due to related parties 2,148,148 2,299,231
Loans payable 2,722,111 762,416
Short term debt 122,415 539,245
Total 9,399,524 26,233,924
Operating lease liabilities   12,984,875
Convertible debt obligations   7,975,851
Not later than one year [member]    
IfrsStatementLineItems [Line Items]    
Accounts payable 4,406,850 1,672,306
Due to related parties 2,148,148 2,299,231
Loans payable 2,467,656 334,391
Short term debt 122,415 539,245
Total 9,145,069 12,188,039
Operating lease liabilities   1,590,538
Convertible debt obligations   5,752,328
Later than one year and not later than two years [member]    
IfrsStatementLineItems [Line Items]    
Accounts payable
Due to related parties
Loans payable 254,455 428,025
Short term debt
Total $ 254,455 14,045,885
Operating lease liabilities   11,394,337
Convertible debt obligations   $ 2,223,523