Annual report pursuant to Section 13 and 15(d)

RESTATEMENTOF PREVIOUSLY ISSUED FINANCIAL STATEMENT (Tables)

v3.23.2
RESTATEMENTOF PREVIOUSLY ISSUED FINANCIAL STATEMENT (Tables)
12 Months Ended
Mar. 31, 2023
Accounting Changes and Error Corrections [Abstract]  
SCHEDULE OF PREVIOUSLY ISSUED FINANCIAL STATEMENT

Following is a comprehensive list of all revised adjustments made during the Restatement Process:

 

SCHEDULE OF PREVIOUSLY ISSUED FINANCIAL STATEMENT

    As Previously Reported     Adjustments     As Revised  
Cash Flow Statement for the year ended March 31, 2022                        
Prepaid expenses and other current assets   $ (1,506,207 )   $ 650,000     $ (856,207 )
Accounts payable     (2,657,052 )     3,000,000       342,948  
CASH USED IN OPERATING ACTIVITIES     (12,575,244 )     3,650,000       (8,925,244 )
Payments due on License Agreement           (3,000,000 )     (1,250,000 )
              2,400,000          
              (650,000 )        
Payments made on License Agreement           (2,400,000 )     (2,400,000 )
CASH PROVIDED BY FINANCING ACTIVITIES     22,585,954       (3,650,000 )     18,935,954