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
 |