Quarterly report pursuant to Section 13 or 15(d)

Liquidity and Going Concern - Additional Information (Details)

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Liquidity and Going Concern - Additional Information (Details) - USD ($)
$ / shares in Units, $ in Thousands
1 Months Ended 3 Months Ended
Apr. 15, 2024
Mar. 31, 2024
Mar. 07, 2024
Feb. 29, 2024
Feb. 05, 2024
Jan. 16, 2024
Apr. 30, 2024
Mar. 31, 2024
Feb. 29, 2024
Mar. 31, 2024
Mar. 31, 2023
Dec. 31, 2023
Dec. 14, 2023
Sep. 30, 2023
Liquidity [Line Items]                            
Accumulated deficit   $ 81,092           $ 81,092   $ 81,092   $ 76,746    
Working capital   (3,600)           (3,600)   (3,600)        
Long term debt   19,700           19,700   19,700        
Cash and cash equivalents   851           851   851 $ 6,174 $ 1,147   $ 900
Net loss                   (4,346) (8,873)      
Cash flows from operations                   3,585 $ 6,541      
Asset Purchase Agreement | Payflex                            
Liquidity [Line Items]                            
Amount agreed to pay in cash                         $ 1,000  
Additional contingent fee receivable                         $ 500  
Libertas Agreement | Libertas Funding LLC                            
Liquidity [Line Items]                            
Amount of future receipts agreed to sell         $ 2,200                  
Sale of future receipt purchase price         1,700                  
Received cash proceeds for future receipts         1,500                  
Received cash of first payment         157                  
Payment of future receipts each week         $ 57                  
Anticipated percentage of its future receivables         20.00%                  
Payment of future receipts on original balance         $ 2,200         134        
Payment of interest on sale of future receipts                   70        
Maestro                            
Liquidity [Line Items]                            
Business combination, monthly payments   $ 158   $ 158                    
Accumulated Annual Payments 2024                   2,300        
Accumulated Annual Payments 2025                   5,300        
Accumulated Annual Payments 2026                   13,300        
Accumulated Annual Payments 2027                   22,300        
Accumulated annual payments reduction criteria amount 2024                   2,300        
Accumulated annual payments reduction criteria amount 2025                   8,300        
Accumulated annual payments reduction criteria amount 2026                   16,300        
Accumulated annual payments reduction criteria amount 2027                   $ 25,300        
Paid to seller               $ 158 $ 158          
Private Placement [Member] | Common Stock | Second Securities Purchase Agreement | HillCour Investment Fund, LLC                            
Liquidity [Line Items]                            
Common stock, shares issued           1,322,100                
Purchase price           $ 0.9201                
Private Placement [Member] | Common Stock | Securities Purchase Agreement | HillCour Investment Fund, LLC                            
Liquidity [Line Items]                            
Common stock, shares issued     910,000                      
Purchase price     $ 1.65                      
Subsequent Event [Member] | Second Securities Purchase Agreement                            
Liquidity [Line Items]                            
Amount of future receipts agreed to sell $ 11,800                          
Sale of future receipt purchase price 11,000                          
Received cash proceeds for future receipts 6,000                          
Subsequent Event [Member] | Maestro                            
Liquidity [Line Items]                            
Business combination, monthly payments $ 158                          
Paid to seller             $ 158