v3.25.2
BORROWINGS (Tables)
3 Months Ended
Dec. 31, 2024
Broker-Dealer [Abstract]  
Schedule of convertible note payable
          
   December 31, 2024  September 30, 2024
Principal amount  $20,000   $20,000 
Less: unamortized debt discount   (9,259)   (12,592)
Convertible note payable, net  $10,741   $7,408 
Schedule of unsecured notes payable
        Interest  Note Balance As of
Noteholder  Origination  Maturity  Rate  December 31, 2024  September 30, 2024
Brent Lilienthal   2019    12/31/2021    0%  $217,000   $217,000 
Mel Wentz   3/19/2019    4/29/2019    0%   680,000    680,000 
                  $897,000   $897,000