General form of registration statement for all companies including face-amount certificate companies

CONSOLIDATED STATEMENTS OF CASH FLOWS (Unaudited)

v3.23.3
CONSOLIDATED STATEMENTS OF CASH FLOWS (Unaudited) - USD ($)
6 Months Ended 12 Months Ended
Jun. 30, 2023
Jun. 30, 2022
Dec. 31, 2022
Dec. 31, 2021
Cash from operating activities:        
Net loss $ (5,133,083) $ (3,987,288) $ (6,864,783) $ (6,008,901)
Adjustments to reconcile net loss to net cash used in operating activities:        
Bad debt expense     76,046
Depreciation and amortization 230,592 145,627 350,192 275,346
Loss on disposal of assets     14,454
Stock based compensation 302,743 438,809 819,191 262,411
Stock issued for services 65,000 80,000 157,500 144,167
PPP loan forgiveness including accrued interest     (1,421,577)
Amortization of operating lease right of use asset 155,338 158,547 235,834 250,482
Changes in assets and liabilities:        
   Accounts receivable 3,131,392 1,458,592 (1,679,720) (611,023)
   Note receivable (150,625)    
   Contract assets (581,069) (698,923) (422,273) 99,009
   Inventory (116,393) (481,880) (1,130,022) (185,915)
   Prepaid expenses and other current assets 403,225 (218,198) 266,539 423,905
   Security deposit 50,000 (600,000)
   Accounts payable (1,530,361) 268,425 1,245,890 445,184
Accounts payable-related party     (7,700)
Payroll taxes payable     (3,146)
   Accrued expenses (150,914) (108,550) (165,069) (408,692)
   Operating lease obligation (80,559) 46,485 184,728 (127,816)
   Contract liabilities 1,481,643 3,186,138 (871,314) 804,388
Net cash (used in) provided by operating activities (1,923,071) 287,784 (7,873,307) (6,579,378)
Cash flows from investing activities:        
    Purchase of patents/trademarks (28,720) (13,660) (18,190) (7,435)
    Purchase of software development (360,437) (15,000) (281,783)
    Purchase of fixed assets (159,203) (140,549) (344,915) (545,505)
Net cash used in investing activities (548,360) (169,209) (644,888) (552,940)
Cash flows from financing activities:        
   Repayments of insurance and equipment financing (273,965) (213,404) (331,175) (353,444)
   Repayment of finance lease (22,851) (48,812)    
Repayment of finance lease     (80,335) (89,618)
   Proceeds from common stock issued 6,095,000 8,801,003
   Issuance cost (17,645) (576,650) (942,926)
   Proceeds from shares issued under Employee Stock Purchase Plan 117,048    
   Proceeds from preferred stock issued 4,000,000 1,299,000 4,500,000
Net cash provided by financing activities 3,802,587 5,256,134 8,745,567 4,056,938
Net increase in cash 1,331,156 5,374,709 227,372 (3,075,380)
Cash, beginning of period 1,121,092 893,720 893,720 3,969,100
Cash, end of period 2,452,248 6,268,429 1,121,092 893,720
Supplemental Disclosure of Cash Flow Information:        
Interest paid 4,410 5,984 9,292 30,817
Taxes paid 1,264 1,264
Supplemental Non-Cash Investing and Financing Activities:        
Lease right of use asset and liability     4,980,104
Notes issued for financing of insurance premiums $ 458,452 $ 327,586 $ 353,244 $ 363,005