Quarterly report pursuant to Section 13 or 15(d)

Convertible Debt and Other Debt - Schedule of Merchant Agreements (Details)

v3.20.2
Convertible Debt and Other Debt - Schedule of Merchant Agreements (Details)
12 Months Ended
Dec. 31, 2019
USD ($)
Purchase Price $ 1,400,000
Purchased Amount 1,919,525
Outstanding Balance 1,082,435
Daily Payment 10,745
Deferred Finance Fees $ 15,750
Merchant Agreements One [Member]  
Inception Date Aug. 05, 2019
Purchase Price $ 600,000
Purchased Amount 816,000
Outstanding Balance 421,024
Daily Payment 4,533
Deferred Finance Fees $ 6,000
Merchant Agreements Two [Member]  
Inception Date Aug. 19, 2019
Purchase Price $ 350,000
Purchased Amount 479,500
Outstanding Balance 272,315
Daily Payment 2,664
Deferred Finance Fees $ 3,000
Merchant Agreements Three [Member]  
Inception Date Aug. 23, 2019
Purchase Price $ 175,000
Purchased Amount 239,750
Outstanding Balance 132,284
Daily Payment 1,410
Deferred Finance Fees $ 1,750
Merchant Agreements Four [Member]  
Inception Date Sep. 19, 2019
Purchase Price $ 275,000
Purchased Amount 384,275
Outstanding Balance 256,812
Daily Payment 2,138
Deferred Finance Fees $ 5,000