Quarterly report pursuant to Section 13 or 15(d)

DEBT (Tables)

v3.22.2
DEBT (Tables)
6 Months Ended
Jun. 30, 2022
Debt Disclosure [Abstract]  
Notes Payable - Financing Agreements
                                 
                                   
    June 30, 2022   December 31, 2021  
Notes Payable   Principal       Interest   Principal       Interest  
Third Party - Insurance Note 1   $ 10,317       7.75 %   $ 22,266       7.75 %  
Third Party - Insurance Note 2     52,441       6.24 %     12,667       6.24 %  
Third Party - Insurance Note 3     3,918             17,570          
Third Party - Insurance Note 4     100,010                      
Total   $ 166,686             $ 52,503            
Schedule of Future Minimum Lease Payments Under Finance Lease
       
Calendar year: Amount  
2022     33,441  
2023     23,515  
Total minimum equipment financing payments   $ 56,956  
Less: interest     (2,583 )
Total equipment financing at June 30, 2022   $ 54,373  
Less: current portion of equipment financing     54,373  
Long term portion of equipment financing   $