v3.25.1
Balance Sheets - CAD ($)
Mar. 31, 2025
Dec. 31, 2024
Current    
Cash $ 53,392 $ 59,922
GST receivable 1,149 6,232
Assets Current 54,541 66,154
Mineral Property Interests (note 5) 104,502 104,502
Total Assets 159,043 170,656
Current    
Accounts payable and accrued liabilities (notes 6 and 13) 58,550 66,361
Due to related parties (note 7) 116,369 110,069
Loan payable (note 8) 37,997 37,504
Convertible debentures (note 9) 557,089 549,589
Total Liabilities 770,005 763,523
Stockholders’ Deficiency    
Capital stock (note 10) 27,856,612 27,856,612
Equity portion of convertible debentures (note 9) 33,706 33,706
Reserves 147,255 139,845
Deficit (28,648,535) (28,623,030)
Total Stockholders’ Deficiency (610,962) (592,867)
Total Liabilities and Stockholders’ Deficiency $ 159,043 $ 170,656