Schedule of Segment Information | The following tables present key financial information related of the Company’s reportable segments related to financial position as of June 30, 2023 and December 31, 2022 and results of operations for the three and six months ended June 30, 2023 and 2022: Schedule of Segment Information Three Months Ended June 30, 2023 PDN NAPW Corporate Network Network RemoteMore Overhead Consolidated Membership fees and related services $ - $ 136,235 $ - $ - $ 136,235 Recruitment services 1,076,023 - - - 1,076,023 Contracted software development - - 603,444 - 603,444 Consumer advertising and marketing solutions 25,523 - - - 25,523 Total revenues 1,101,546 136,235 603,444 - 1,841,225 Income (loss) from continuing operations (454,402 ) (133,179 ) (80,737 ) (762,947 ) (1,431,265 ) Depreciation and amortization 127,207 19,606 346 - 147,159 Income tax expense (benefit) 1,484 906 - (1,440 ) 950 Net income (loss) from continuing operations (455,429 ) (134,085 ) (80,697 ) (761,507 ) (1,431,718 ) As of June 30, 2023 Goodwill $ 465,752 $ - $ 952,001 $ - $ 1,417,753 Intangibles assets, net 419,233 95,259 1,042 - 515,534 Assets from continuing operations 8,576,760 153,673 (483,592 ) - 8,246,841 Three Months Ended June 30, 2022 PDN NAPW Corporate Network Network RemoteMore Overhead Consolidated Membership fees and related services $ - $ 161,435 $ - $ - $ 161,435 Recruitment services 1,341,031 - - - 1,341,031 Contracted software development - - 647,868 - 647,868 Consumer advertising and marketing solutions 45,173 - - - 45,173 Total revenues 1,386,204 161,435 647,868 - 2,195,507 Income (loss) from continuing operations 177,773 726,222 (275,443 ) (655,605 ) (27,053 ) Depreciation and amortization 6,892 19,527 205,618 - 232,037 Income tax expense (benefit) 8,791 18,658 - (11,902 ) 15,547 Net income (loss) from continuing operations 170,239 707,577 (287,050 ) (643,703 ) (52,937 ) As of December 31, 2022 Goodwill $ 339,451 $ - $ 935,334 $ - $ 1,274,785 Intangibles assets, net 90,400 133,363 1,458 - 225,221 Assets from continuing operations 6,718,226 203,534 (287,455 ) - 6,634,305 Six Months Ended June 30, 2023 PDN NAPW Corporate Network Network RemoteMore Overhead Consolidated Membership fees and related services $ - $ 265,158 $ - $ - $ 265,158 Recruitment services 2,179,418 - - - 2,179,418 Contracted software development - - 1,301,710 - 1,301,710 Consumer advertising and marketing solutions 50,148 - - - 50,148 Total revenues 2,229,566 265,158 1,301,710 - 3,796,434 Income (loss) from continuing operations (809,034 ) (380,245 ) (185,621 ) (1,183,145 ) (2,558,045 ) Depreciation and amortization 239,967 39,273 693 - 279,933 Income tax expense (benefit) (1,596 ) (2,665 ) 850 (6,512 ) (9,923 ) Net income (loss) from continuing operations (804,155 ) (377,527 ) (182,726 ) (1,176,633 ) (2,541,041 ) Six Months Ended June 30, 2022 PDN NAPW Corporate Network Network RemoteMore Overhead Consolidated Membership fees and related services $ - $ 357,444 $ - $ - $ 357,444 Recruitment services 2,674,395 - - - 2,674,395 Contracted software development - - 1,124,960 - 1,124,960 Consumer advertising and marketing solutions 91,588 - - - 91,588 Total revenues 2,765,983 357,444 1,124,960 - 4,248,387 Income (loss) from continuing operations 450,063 518,345 (653,722 ) (1,257,952 ) (943,266 ) Depreciation and amortization 13,114 38,959 461,236 - 513,309 Income tax expense (benefit) 17,878 5,641 - (33,760 ) (10,241 ) Net income (loss) from continuing operations 436,460 512,881 (667,610 ) (1,224,192 ) (942,461 ) |