Related Party Notes Payable - Schedule of Related Party Notes Payable (Details) (Parenthetical) - USD ($) |
Dec. 30, 2020 |
Nov. 06, 2020 |
Jun. 29, 2020 |
Jun. 26, 2019 |
May 20, 2019 |
Jan. 11, 2019 |
Jul. 14, 2020 |
Jul. 10, 2019 |
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Debt instrument, interest rate | 12.00% | |||||||
Inventory Financing [Member] | ||||||||
Line of credit | $ 1,000,000 | |||||||
Line of credit facility, interest rate | 12.00% | |||||||
Inventory Financing [Member] | Minimum [Member] | ||||||||
Ownership percentage | 5.00% | |||||||
Officer Loan [Member] | ||||||||
Debt instrument description | On June 26, 2019, the Company borrowed $75,000 from the Chief Executive Officer of the Company. This note accrues interest at the rate of 4.5% per annum, payable at maturity, is unsecured, and was originally due August 26, 2019, but the maturity date was extended to June 30, 2021. | |||||||
Officer Loan [Member] | Chief Executive Officer [Member] | ||||||||
Loan borrowed | $ 75,000 | |||||||
Debt instrument, interest rate | 4.50% | |||||||
Promissory Note [Member] | ||||||||
Loan borrowed | $ 100,000 | |||||||
Debt instrument description | This note accrues interest at the rate of 12% per annum, payable at maturity, is unsecured, and was originally due August 20, 2019, but the maturity date was extended to June 30, 2021. | |||||||
Debt instrument, interest rate | 12.00% | |||||||
Note payable | $ 400,000 | |||||||
Promissory Note [Member] | Minimum [Member] | ||||||||
Ownership percentage | 5.00% | |||||||
Promissory Note [Member] | ||||||||
Ownership percentage | 5.00% | |||||||
Debt instrument description | This note accrued interest at the rate of 12% per annum, payable at maturity, was unsecured, and was originally due September 30, 2020, but the maturity date was extended to October 15, 2020. This note was fully repaid on October 8, 2020. | |||||||
Debt instrument, interest rate | 12.00% | |||||||
Note payable | $ 25,000 | |||||||
Promissory Note [Member] | ||||||||
Ownership percentage | 5.00% | |||||||
Debt instrument description | This note accrued an issuance fee of $4,000 and a one-time fixed interest charge upon issuance of $2,000, payable at maturity, is unsecured, and was originally due December 6, 2020, but the maturity date was extended to June 30, 2021. | |||||||
Note payable | $ 94,000 | |||||||
Issuance fee | 4,000 | |||||||
One-time fixed interest charges | $ 2,000 | |||||||
Promissory Note [Member] | ||||||||
Ownership percentage | 5.00% | |||||||
Debt instrument description | This note accrues interest at the rate of 12% per annum, is unsecured, and was originally due March 30, 2021, but the maturity date was extended to June 30, 2021. Interest was originally payable monthly but was amended on January 1, 2021, to be payable at maturity. | |||||||
Debt instrument, interest rate | 12.00% | |||||||
Note payable | $ 100,000 |