1 EXHIBIT 10.32a PROLOGIC MANAGEMENT SYSTEMS, INC. AND SUBSIDIARIES PRO FORMA FINANCIAL INFORMATION CONDENSED CONSOLIDATED BALANCE SHEET CONSOLIDATION ADJUSTED AT PRO FORMA AT NOVEMBER 30, 1997 ADJUSTMENTS NOVEMBER 30, 1997 ------------------ ----------- ------------------ (unaudited) (unaudited) (unaudited) ASSETS Cash $ 481,230 $ 481,230 Restricted Cash 1,000,000 1,000,000 Accounts Receivable - Net 2,614,710 2,614,710 Notes Receivable 38,889 38,889 Inventories 337,639 337.639 Prepaid Expenses 151,596 151,596 ----------- ----------- Current Assets $ 4,624,064 $ 4,624,064 Fixed Assets - Net 530,032 530,032 Deposits 117,444 117,444 Goodwill - Net 1,354,162 1,354,162 ----------- ----------- TOTAL ASSETS $ 6,625,702 $ 6,625,702 =========== =========== LIABILITIES AND EQUITY Line of Credit 1,383,957 1,383,957 Accounts Payable 2,275,961 2,275,961 Notes Payable 619,007 (160,000)(1) 459,007 Accrued Expenses 397,025 (66,330)(2) 330,695 Deferred Revenue 182,905 182,905 ----------- ----------- Current Liabilities $ 4,858,855 $ 4,632,525 Long term debt 1,027,314 (100,000)(1) 927,314 Equity 739,533 326,330 1,065,863 ----------- ----------- TOTAL LIABILITIES AND EQUITY $ 6,625,702 $ 6,625,702 =========== =========== (1) $260,000 of debt was converted to 416,000 shares of common stock of the Company. (2) In December affiliates of the Company purchased 66,330 shares of common stock of the Company for the assumption of debt totaling $66,330.