Company: CSLMF
Filing Date: 2025-07-03
Form Type: DEFM14A
Source: 0001193125-25-155514
Chunk: 612

Company: CSLM ACQUISITION CORP.
Filing Date: 2025-07-03
Form: DEFM14A
Chunk 612
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 September 2024 Convertible Promissory Notes with principal amount of $ 100,000 each was amended to $3.15 from the original conversion price of $4.94.

Issuance of convertible promissory note

On February 24, 2025, the company entered into a convertible promissory note amounting to $180,000 with an interest rate of 4.71% and
maturity date of February 19, 2028. Upon closing of the merger agreement, the Note shall automatically convert into the number of shares of Common Stock equal to the then outstanding Obligations under the note divided by the applicable
Conversion Price i.e., $3.15.

F-97

Fusemachines Inc. and Subsidiaries Condensed Consolidated Interim Balance Sheets (all amounts in USD, in thousands, except number of shares and per share data)

|                                                                                                                                                        |     | March 31,  
 2025       |         |   |     | December 31, 
 2024         |         |   |
|:-------------------------------------------------------------------------------------------------------------------------------------------------------|:----|:-----------|--------:|:--|:----|:-------------|--------:|:--|
|                                                                                                                                                        |     | -Unaudited |         |   |     |              |         |   |
| Assets                                                                                                                                                 |     |            |         |   |     |              |         |   |
| Current Assets:                                                                                                                                        |     |            |         |   |     |              |         |   |
| Cash and cash equivalents                                                                                                                              |     |            |     429 |   |     |              |     500 |   |
| Accounts receivable, current, net                                                                                                                      |     |            |   1,334 |   |     |              |   1,420 |   |
| Unbilled revenue                                                                                                                                       |     |            |     133 |   |     |              |     113 |   |
| Deferred transaction costs                                                                                                                             |     |            |   1,572 |   |     |              |   1,865 |   |
| Prepaid expenses and other current assets                                                                                                              |     |            |     167 |   |     |              |     219 |   |
| Total current assets                                                                                                                                   |     |            |   3,635 |   |     |              |   4,117 |   |
| Property and equipment, net                                                                                                                            |     |