Annual report pursuant to Section 13 and 15(d)

COMPOSITION OF CERTAIN FINANCIAL STATEMENT CAPTIONS (Tables)

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COMPOSITION OF CERTAIN FINANCIAL STATEMENT CAPTIONS (Tables)
12 Months Ended
Oct. 31, 2023
Organization, Consolidation and Presentation of Financial Statements [Abstract]  
SCHEDULE OF INTEREST RATES AND AMOUNT HELD IN CERTIFIED DEPOSIT INTEREST BEARING ACCOUNTS

Currency Denomination   Amount     HSBC     Jyske Bank
(Denmark)
 
USD   $ 15,201,579       5.28 %        
GBP   £ 750,000       4.80 %        
GBP (Unrestricted access)   £ 500,000       5.00 %        
*USD   $ 2,400,000               4.0 %

*Held in Jyske Bank USD Account

SCHEDULE OF COMPONENTS OF INVENTORY

Inventory consisted of the following as of:

    October 31,     October 31,  
    2023     2022  
             
Raw materials and parts   $ 8,994,482     $ 7,219,344  
Work in progress     483,227       383,427  
Finished goods     2,207,816       2,424,340  
Total Inventory   $ 11,685,525     $ 10,027,111  
SUMMARY OF OTHER CURRENT ASSETS

Other current assets consisted of the following as of:

  

    October 31,     October 31,  
    2023     2022  
             
Deposits and other assets   $ 23,081     $ 18,631  
Other US Tax Receivables/Prepaid Taxes     450,625       151,217  
Employee Retention Credit Receivables     212,300       173,213  
Other Foreign Tax Receivables     348,620       -  
Total Other Current Assets   $ 1,034,626     $ 343,061  
SCHEDULE OF PROPERTY AND EQUIPMENT

Property and equipment consisted of the following as of:

  

    October 31,     October 31,  
    2023     2022  
             
Buildings   $ 6,386,705     $ 5,419,946  
Land     200,000       200,000  
Office machinery and equipment     1,596,026       1,556,030  
Rental assets     2,323,446       2,252,292  
Furniture, fixtures and improvements     1,172,169       1,108,787  
Total     11,678,346       10,537,055  
Less: accumulated depreciation     (4,805,026 )     (4,704,523 )
                 
Total Property and Equipment, net   $ 6,873,320     $ 5,832,532  
SCHEDULE OF PROPERTY AND EQUIPMENT, NET, BY GEOGRAPHIC AREAS

Property and equipment, net, by geographic areas was as follows: 

SCHEDULE OF PROPERTY AND EQUIPMENT, NET, BY GEOGRAPHIC AREAS

    October 31,     October 31,  
    2023     2022  
             
USA     1,751,260       1,825,858  
Europe     5,122,060       4,006,674  
Total Property and Equipment, net   $ 6,873,320     $ 5,832,532  
SCHEDULE OF ACCRUED EXPENSES AND OTHER CURRENT LIABILITIES

Accrued Expenses and Other Current Liabilities consisted of the following as of: 

SCHEDULE OF ACCRUED EXPENSES AND OTHER CURRENT LIABILITIES

    October 31,     October 31,  
    2023     2022  
             
Accruals   $ 384,880     $ 1,474,744  
Other Tax Payables     525,565       144,158  
Employee Related     85,185       112,804  
Total   $ 995,630     $ 1,731,706  
SCHEDULE OF OTHER INCOME

Total Other Income, net consisted of the following for the year ended:

 

    October 31,     October 31,  
    2023     2022  
             
Employee Retention Credits   $ -     $ 88,917  
Other Income    

39,146

     

49,058

 

Total Other Income,

  $

39,146

    $

137,975

 
                 
Interest Income     642,530       -  
                 
Interest (Expense)     -       (9,704 )
Total Other Income, net   $ 681,676     $ 128,271