Sedar FilingCONDENSED INTERIM CONSOLIDATED FINANCIAL STATEMENTS FOR THE NINE MONTHS ENDED MAY 31, 2022
ASSETS
Current
Cash $ 1,093,981
GST receivable and other $38,674
Prepaid expenses $78,819
Total Current Assets $1,211,474
Exploration and evaluation assets $ 7,321,932
Property and equipment $ 163,018
Total Assets $ 8,696,424
LIABILITIES AND EQUITY
Current
Accounts payable and accrued liabilities $ 47,487
Total Liabilities $47,487