v3.26.3
RELATED PARTY TRANSACTIONS (Details Narrative) - USD ($)
1 Months Ended 12 Months Ended
Jun. 04, 2025
May 02, 2025
May 02, 2012
Sep. 26, 2025
Mar. 25, 2025
Oct. 31, 2013
Jul. 20, 2011
Jun. 30, 2026
Jun. 30, 2025
Monthly payment         $ 12,485        
Unsecured lines of credit               $ 400,000 $ 400,000
Debt term         24 months        
Date of Maturity July 3, 2026     October 23, 2026          
Interest rate monthly         1.50%     2.00%  
Line of credit               $ 45,000 52,000
March 25 2025 [Member]                  
Monthly payment         $ 12,485        
Unsecured lines of credit         $ 250,000        
Debt term         24 months        
Date of Maturity         March 25, 2027        
June 4 2025 [Member]                  
Monthly payment $ 5,366                
Unsecured lines of credit $ 250,000                
Debt term 392 days                
Date of Maturity July 3, 2026                
September 26 2025 [Member]                  
Monthly payment       $ 5,366          
Unsecured lines of credit       $ 250,000          
Debt term       392 days          
Date of Maturity       October 23, 2026          
Note Payable to Wife of CEO                  
Interest rate monthly               6.75%  
Note Face Amount               $ 76,000  
Interest on note               5,290 5,955
Acrrued Interest               $ 52,305 47,015
October 30, 2010 Note                  
Interest rate monthly               6.75%  
Note Face Amount               $ 40,000  
Interest on note               2,784 3,134
Acrrued Interest               13,418 10,634
Line of credit               $ 1,408,244 1,096,403
July 20, 2011 Note                  
Interest rate monthly               20.00%  
Note Face Amount               $ 100,000  
Decription of interest payable due               This note was extended in full on August 20, 2025 with the same lender with interest payable monthly at 13.5%, principal is due in full on July 31, 2027  
Interest payable monthly             13.50% 13.50%  
Interest Payment               $ 1,667  
Extended Date of Maturity             July 31, 2025 July 31, 2021  
October 31, 2013                  
Date of Maturity           October 31, 2025      
Interest rate monthly               20.00%  
Note Face Amount               $ 100,000  
Decription of interest payable due               this note was extended through October 31, 2027  
Interest payable monthly           13.50%   13.50%  
Interest Payment               $ 1,667  
Extended Date of Maturity               October 31, 2021  
May 1, 2012 Note                  
Date of Maturity     May 1, 2025            
Interest rate monthly               20.00%  
Note Face Amount               $ 200,000  
Interest payable monthly   13.50% 13.50%         13.50%  
Extended Date of Maturity   April 30, 2027           May 1, 2021  
Cash Advance from Company and CEO                  
Interest rate monthly               8.00%  
Line of credit               $ 44,842 $ 52,144