v3.25.1
DEBT (Tables)
3 Months Ended
Mar. 31, 2025
Debt Disclosure [Abstract]  
Schedule of convertible notes
        
   2025   2024 
Principal Outstanding  $   $166,650 
Less: unamortized debt discount       (45,725)
Convertible notes, net  $   $120,925 
Schedule of outstanding convertible notes and derivative liability
                
   Face Amount   Derivative Liability 
   03/31/2025   03/31/2024   03/31/2025   03/31/2024 
1800 Diagonal Lending  $   $   $   $108,958 
Carebourn                
Carebourn                
More Capital                
EMA                
   $   $   $   $108,958 
Schedule of derivative liability
    
   Derivative Liability 
Balances at December 31, 2024  $(57,235
Loss on issuance of debt    
Issuance of convertible note - 1800 Diagonal Lending    
Change in fair value    
EMA settlement    
Balances at March 31, 2025    $(57,235
Schedule of loans payable
        
   March 31,   December 31, 
   2025   2024 
RI - line of credit  $153,358   $153,358 
RI - Short-term loans   46,544    46,544 
WS - line of credit   218,616    218,616 
WS - Short-term loans   151,970    151,970 
OPT – Optilan Communications & Security Ltd   970    1,042 
Loans payable, current  $571,458   $571,530 
           
RI - SBA EIDL  $102,597   $102,597 
RI - long-term loans   65,532    63,532 
WS - SBA EIDL   26,307    26,307 
WS - long-term loans   97,532    97,532 
Loans payable, non-current  $291,967   $291,967