v3.26.1
Principal Financing Arrangements (Details Narrative) - USD ($)
1 Months Ended 9 Months Ended 12 Months Ended
Jul. 08, 2025
May 01, 2025
Apr. 29, 2025
Mar. 26, 2025
Jun. 17, 2021
May 31, 2025
Jan. 31, 2026
Jan. 31, 2025
Apr. 30, 2025
Feb. 02, 2021
Jun. 17, 2020
Short-Term Debt [Line Items]                      
Loan payable - bank             $ 34,324   $ 34,324    
Issued percentage             9.75%        
Long term liability             $ 492,443   500,000    
Short term liability             1,893,357   1,885,800    
Gross proceeds             300,000      
Securities Purchase Agreement [Member] | Convertible Promissory Note [Member]                      
Short-Term Debt [Line Items]                      
Debt monthy payment           $ 6,872.30          
Debt Payment term           10          
Principal amount           $ 61,360          
Original issue discount           $ 9,360          
Debt instrument interest rate, stated percentage           12.00%          
Repayments of debt           $ 52,779          
Purchase price           $ 52,000          
Securities Purchase Agreement [Member] | Second Convertible Bridge Note [Member]                      
Short-Term Debt [Line Items]                      
Debt Payment term           5          
Principal amount           $ 64,960          
Original issue discount           $ 8,960          
Debt instrument interest rate, stated percentage           12.00%          
Repayments of debt           $ 69,845          
Purchase price           $ 56,000          
Securities Purchase Agreement [Member] | 1800 Diagonal Lending LLC [Member]                      
Short-Term Debt [Line Items]                      
Principal amount       $ 181,540              
Original issued discount       25,040              
Net proceeds       $ 150,000              
Original issue discount                 19,753    
Carrying amount                 $ 161,787    
Debt instrument interest rate, stated percentage                 12.00%    
Maturity date                 Jan. 30, 2026    
Repayments of debt                 $ 203,324    
Amount remitted based on option exercised $ 197,225                    
Private Financing Transaction [Member]                      
Short-Term Debt [Line Items]                      
Issued percentage   50.00%                  
Principal amount   $ 400,000 $ 200,000                
Carrying amount                 101,650    
Debt instrument interest rate, stated percentage   8.00% 8.00%                
Maturity date   Aug. 01, 2025                  
Gross proceeds   $ 200,000 $ 100,000                
Interest rate increases   20.00% 20.00%                
Unamortized original issue discount                 98,350    
June Loan [Member]                      
Short-Term Debt [Line Items]                      
Issued percentage         3.75%            
Long term liability         $ 495,840           $ 500,000
Short term liability         4,160            
Debt monthy payment         $ 2,437            
Debt Payment term         over a term of thirty years            
Accrued interest payable             12,856   20,611    
February Loan [Member]                      
Short-Term Debt [Line Items]                      
Issued percentage                   1.00%  
Short term liability                   $ 1,885,800  
Accrued interest payable             $ 94,446   $ 80,186