SCHEDULE OF CONVERTIBLE NOTES PAYABLE AND NOTES PAYABLE (Details) - USD ($) $ in Thousands |
9 Months Ended | |||||||||||||
---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
Sep. 30, 2023 |
Dec. 31, 2022 |
Jan. 12, 2022 |
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Short-Term Debt [Line Items] | ||||||||||||||
Maturity Date | Nov. 07, 2023 | |||||||||||||
Total notes payable | $ 2,753 | $ 7,018 | ||||||||||||
Debt discount | (171) | (408) | ||||||||||||
Debt issuance costs | (127) | (309) | ||||||||||||
Non-current | (142) | (1,215) | ||||||||||||
Current | $ 2,611 | 5,803 | ||||||||||||
Related Party Note Payable One [Member] | ||||||||||||||
Short-Term Debt [Line Items] | ||||||||||||||
Issuance Date | [1] | Dec. 01, 2015 | ||||||||||||
Maturity Date | [1] | Apr. 01, 2023 | ||||||||||||
Interest Rate | [1] | 12.00% | ||||||||||||
Original Borrowing | [1] | $ 1,249 | ||||||||||||
Total notes payable | [1] | $ 725 | 725 | |||||||||||
Related Party Note Payable Two [Member] | ||||||||||||||
Short-Term Debt [Line Items] | ||||||||||||||
Issuance Date | [2] | Apr. 04, 2016 | ||||||||||||
Maturity Date | [2] | Jun. 04, 2021 | ||||||||||||
Interest Rate | [2] | 12.00% | ||||||||||||
Original Borrowing | [2] | $ 343 | ||||||||||||
Total notes payable | [2] | 40 | ||||||||||||
Note Payable [Member] | ||||||||||||||
Short-Term Debt [Line Items] | ||||||||||||||
Issuance Date | [3] | May 15, 2020 | ||||||||||||
Maturity Date | [3] | May 15, 2050 | ||||||||||||
Interest Rate | [3] | 3.75% | ||||||||||||
Original Borrowing | [3] | $ 150 | ||||||||||||
Total notes payable | [3] | $ 142 | 150 | |||||||||||
Convertible Notes Due 2023 [Member] | ||||||||||||||
Short-Term Debt [Line Items] | ||||||||||||||
Issuance Date | [4] | Jan. 12, 2022 | ||||||||||||
Maturity Date | [4] | Jan. 12, 2023 | ||||||||||||
Interest Rate | 6.00% | [4] | 6.00% | |||||||||||
Original Borrowing | [4] | $ 6,300 | ||||||||||||
Total notes payable | [4] | 1,350 | ||||||||||||
Promissory Note Payable [Member] | ||||||||||||||
Short-Term Debt [Line Items] | ||||||||||||||
Issuance Date | [5] | Nov. 07, 2022 | ||||||||||||
Maturity Date | [5] | May 07, 2024 | ||||||||||||
Interest Rate | [5] | 9.00% | ||||||||||||
Original Borrowing | [5] | $ 5,470 | ||||||||||||
Total notes payable | [5] | $ 2,184 | $ 5,470 | |||||||||||
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