Consolidated Statement of Stockholders' Deficiency - USD ($)
12 Months Ended
Jun. 30, 2015
Jun. 30, 2014
Preferred Stock    
Beginning balance, Shares 1,000 1,000
Beginning balance, Amount $ 1,000 $ 1,000
Shares issued for acquisitions, shares  
Shares issued for acquisitions, amount  
Shares issued for services, shares
Shares issued for services, amount  
Shares issued for common stock issuable, shares  
Shares issued for common stock issuable, amount  
Stock based compensation
Beneficial conversion feature on issuance of convertible notes payable  
Net (Loss) Income
Ending balance, Shares 1,000 1,000
Ending balance, Amount $ 1,000 $ 1,000
Common Stock    
Beginning balance, Shares 15,920,088 15,920,088
Beginning balance, Amount $ 159,201 $ 159,201
Shares issued for acquisitions, shares 250,000  
Shares issued for acquisitions, amount $ 2,500  
Shares issued for services, shares 135,000
Shares issued for services, amount $ 1,350  
Shares issued for common stock issuable, shares 225,000  
Shares issued for common stock issuable, amount $ 2,250  
Stock based compensation
Beneficial conversion feature on issuance of convertible notes payable  
Net (Loss) Income
Ending balance, Shares 16,530,088 15,920,088
Ending balance, Amount $ 165,301 $ 159,201
Common Stock to be Issued    
Beginning balance, Amount $ 39,596 $ 10,477
Shares issued for acquisitions, amount  
Shares issued for services, shares   3,869
Shares issued for services, amount $ 9,300  
Shares issued for common stock issuable, amount (25,250)  
Stock based compensation $ 28,154 $ 25,250
Beneficial conversion feature on issuance of convertible notes payable  
Net (Loss) Income
Ending balance, Amount $ 51,800 $ 39,596
Additional Paid-In Capital    
Beginning balance, Amount 14,594,181 $ 14,594,181
Shares issued for acquisitions, amount 35,000  
Shares issued for services, shares  
Shares issued for services, amount 8,950  
Shares issued for common stock issuable, amount $ 23,000  
Stock based compensation
Beneficial conversion feature on issuance of convertible notes payable $ 297,875  
Net (Loss) Income
Ending balance, Amount $ 14,959,006 $ 14,594,181
Accumulated Deficit    
Beginning balance, Amount $ (19,376,066) $ (19,678,119)
Shares issued for acquisitions, amount  
Shares issued for services, shares  
Shares issued for services, amount  
Shares issued for common stock issuable, amount  
Stock based compensation
Beneficial conversion feature on issuance of convertible notes payable  
Net (Loss) Income $ (907,474) $ 302,053
Ending balance, Amount (20,283,540) (19,376,066)
Beginning balance, Amount (4,582,088) $ (4,913,260)
Shares issued for acquisitions, amount $ 37,500
Shares issued for services, shares 135,000  
Shares issued for services, amount $ 19,600  
Shares issued for common stock issuable, amount  
Stock based compensation $ 28,154 $ 25,250
Beneficial conversion feature on issuance of convertible notes payable 297,875
Net (Loss) Income (907,474) $ 302,053
Ending balance, Amount $ (5,106,433) $ (4,582,088)