v3.26.1
Commitments and Contingencies (Tables)
9 Months Ended
Jun. 30, 2026
Commitments and Contingencies [Abstract]  
Schedule of Supplemental Cash Flow Information Related to the Operating Leases

Supplemental cash flow information related to the operating leases was as follows: 

 

    For the nine months  ended
June 30,
 
    2026     2025  
Cash paid for amounts included in the measurement of lease liability:            
Operating cash flows from operating leases   $ 103,700     $ 92,390  
                 
Right-of-use assets obtained in exchange for lease obligations:                
Modification of right-of-use asset and associated lease liability   $     $ 111,898  

 

Supplemental balance sheet information related to the operating leases was as follows: 

 

    As of
June 30,
2026
    As of
September 30,
2025
 
             
Right-of-use assets   $ 166,751     $ 255,195  
                 
Lease liabilities   $ 175,345     $ 266,806  
                 
Weighted average remaining lease term (years)     1.7       2.3  
Weighted average discount rate     7.2 %     7.2 %
Schedule of Maturity of the Operating Lease Liabilities

Maturity of the operating lease liabilities was as follows:

 

Calendar Year   As of
June 30,
2026
 
2026   $ 70,330  
2027     81,708  
2028     34,815  
Total lease payments     186,853  
Less imputed interest     (11,508 )
Total     175,345  
Short-term portion (included in accrued expenses and other liabilities)     (102,025 )
Long-term portion   $ 73,320