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

Basis of preparation - Consolidated Statements of Cash Flows (Details)

v3.24.1.1.u2
Basis of preparation - Consolidated Statements of Cash Flows (Details)
12 Months Ended
Dec. 31, 2023
USD ($)
Dec. 31, 2022
USD ($)
Dec. 31, 2022
CAD ($)
Dec. 31, 2021
USD ($)
Dec. 31, 2021
CAD ($)
Disclosure of initial application of standards or interpretations [line items]          
Cash used in operating activities $ (6,583,165) $ (8,963,557)   $ (4,801,045)  
Cash used in investing activities (46,363) (45,701)   (31,807)  
Cash provided by financing activities (361,044) 4,709,739   19,372,334  
Effect of foreign exchange on cash 4,041     195,863  
Net (decrease) increase in cash (6,986,531) (4,435,665)   14,735,345  
Cash, beginning of year 10,434,196 14,869,861   134,516  
Cash, end of year $ 3,447,665 $ 10,434,196   $ 14,869,861  
As reported          
Disclosure of initial application of standards or interpretations [line items]          
Cash used in operating activities     $ (11,973,226)   $ (6,062,510)
Cash used in investing activities     (60,016)   (39,809)
Cash provided by financing activities     6,435,884   24,456,551
Effect of foreign exchange on cash     871,636   325,741
Net (decrease) increase in cash     (4,725,722)   18,679,973
Cash, beginning of year     18,851,244   171,271
Cash, end of year     $ 14,125,522   $ 18,851,244