Document:

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                                                                    Exhibit 10.3

                               SECURITY AGREEMENT

         THIS SECURITY AGREEMENT (this "Security Agreement") dated as of August
30, 2002 is by and among the parties identified as "Grantors" on the signature
pages hereto and such other parties as may become Grantors hereunder after the
date hereof (individually a "Grantor", and collectively the "Grantors") and BANK
OF AMERICA, N.A., as administrative agent (in such capacity, the "Administrative
Agent") for the holders of the Secured Obligations referenced below.

                              W I T N E S S E T H

         WHEREAS, a $200 million credit facility has been established in favor
of FTI Consulting, Inc., a Maryland corporation (the "Borrower"), pursuant to
the terms of that Credit Agreement (as amended, modified, supplemented and
extended from time to time, the "Credit Agreement") dated as of the date hereof
among the Borrower, the Guarantors identified therein, the Lenders identified
therein and Bank of America, N.A., as Administrative Agent; and

         WHEREAS, this Security Agreement is required under the terms of the
Credit Agreement.

         NOW, THEREFORE, in consideration of these premises and other good and
valuable consideration, the receipt and sufficiency of which are hereby
acknowledged, the parties hereto agree as follows:

         1.     Definitions.

         (a)    Capitalized terms used and not otherwise defined herein shall
have the meanings provided in the Credit Agreement.

         (b)    The following terms shall have the meanings assigned thereto in
the Uniform Commercial Code in effect in the State of North Carolina on the date
hereof: Accession, Account, As-Extracted Collateral, Chattel Paper, Commercial
Tort Claim, Commingled Goods, Consumer Goods, Deposit Account, Document,
Equipment, Farm Products, Fixtures, General Intangible, Goods, Instrument,
Inventory, Investment Property, Letter-of-Credit Right, Manufactured Home,
Proceeds, Software, Standing Timber, Supporting Obligation and Tangible Chattel
Paper.

         (c)    As used herein, the following terms shall have the meanings set
forth below:

                "Collateral" has the meaning provided in Section 2 hereof.

                "Copyright License" means any written agreement, naming any
         Grantor as licensor, granting any right under any Copyright including,
         without limitation, any thereof referred to in Schedule 6.17 to the
         Credit Agreement.

                "Copyrights" means (a) all registered United States copyrights
         in all Works, now existing or hereafter created or acquired, all
         registrations and recordings thereof, and all applications in
         connection therewith, including, without limitation, registrations,
         recordings and applications in the United States Copyright Office
         including, without limitation, any thereof referred to in Schedule 6.17
         to the Credit Agreement, and (b) all renewals thereof including,
         without limitation, any thereof referred to in Schedule 6.17 to the
         Credit Agreement.

                "Patent License" means any agreement, whether written or oral,
         providing for the grant by or to a Grantor of any right to manufacture,
         use or sell any invention covered by a Patent, including, without
         limitation, any thereof referred to in Schedule 6.17 to the Credit
         Agreement.

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                "Patents" means (a) all letters patent of the United States or
         any other country and all reissues and extensions thereof, including,
         without limitation, any letters patent referred to in Schedule 6.17 to
         the Credit Agreement, and (b) all applications for letters patent of
         the United States or any other country and all divisions, continuations
         and continuations-in-part thereof, including, without limitation, any
         thereof referred to in Schedule 6.17 to the Credit Agreement.

                "Secured Obligations" means, without duplication, (i) all of
         the obligations of the Loan Parties to the Lenders (including the L/C
         Issuer and the Swing Line Lender) and the Administrative Agent under
         the Credit Agreement or any other Loan Document (including, but not
         limited to, any interest accruing after the commencement of a
         proceeding by or against any Loan Party under any Debtor Relief Laws,
         regardless of whether such interest is an allowed claim under such
         proceeding), whether now existing or hereafter arising, due or to
         become due, direct or indirect, absolute or contingent, howsoever
         evidenced, created, held or acquired, whether primary, secondary,
         direct, contingent, or joint and several, as such obligations may be
         amended, modified, increased, extended, renewed or replaced from time
         to time, (ii) all of the obligations owing by the Loan Parties under
         any Swap Contract between any Loan Party and any Lender or Affiliate or
         a Lender, whether now existing or hereafter arising and (iii) all costs
         and expenses incurred in connection with enforcement and collection of
         the obligations described in the foregoing clauses (i) and (ii),
         including reasonable attorneys' fees and the allocated cost of internal
         counsel.

                "Trademark License" means any agreement, written or oral,
         providing for the grant by or to a Grantor of any right to use any
         Trademark, including, without limitation, any thereof referred to in
         Schedule 6.17 to the Credit Agreement.

                "Trademarks" means (a) all trademarks, trade names, corporate
         names, company names, business names, fictitious business names, trade
         styles, service marks, logos and other source or business identifiers,
         and the goodwill associated therewith, now existing or hereafter
         adopted or acquired, all registrations and recordings thereof, and all
         applications in connection therewith, whether in the United States
         Patent and Trademark Office or in any similar office or agency of the
         United States, any state thereof or any other country or any political
         subdivision thereof, or otherwise, including, without limitation, any
         thereof referred to in Schedule 6.17 to the Credit Agreement, and (b)
         all renewals thereof.

                "UCC" means the Uniform Commercial Code.

                "Work" means any work that is subject to copyright protection
         pursuant to Title 17 of the United States Code.

         2.     Grant of Security Interest in the Collateral. To secure the
prompt payment and performance in full when due, whether by lapse of time,
acceleration, mandatory prepayment or otherwise, of the Secured Obligations,
each Grantor hereby grants to the Administrative Agent, for the benefit of the
holders of the Secured Obligations, a continuing security interest in, and a
right to set off against, any and all right, title and interest of such Grantor
in and to all of the following, whether now owned or existing or owned,
acquired, or arising hereafter (collectively, the "Collateral"):

                (a)   all Accounts;

                (b)   all cash and currency;

                (c)   all Chattel Paper;

                (d)   those Commercial Tort Claims identified on Schedule 2(d)
                      attached hereto;

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                (e)   all Copyrights;

                (f)   all Copyright Licenses;

                (g)   all Deposit Accounts;

                (h)   all Documents;

                (i)   all Equipment;

                (j)   all Fixtures;

                (k)   all General Intangibles;

                (l)   all Instruments;

                (m)   all Inventory;

                (n)   all Investment Property;

                (o)   all Letter-of-Credit Rights;

                (p)   all Patents;

                (q)   all Patent Licenses;

                (r)   all Software;

                (s)   all Supporting Obligations;

                (t)   all Trademarks;

                (u)   all Trademark Licenses;

                (v)   all other personal property of such Grantor of whatever
         type or description; and

                (w)   to the extent not otherwise included, all Accessions and
         all Proceeds of any and all of the foregoing.

                Notwithstanding anything to the contrary contained herein, the
         security interests granted under this Security Agreement shall not
         extend to (i) any Property that is subject to a Lien securing
         Indebtedness permitted under Section 8.01(b), (i) or (p) of the Credit
         Agreement pursuant to documents that prohibit such Grantor from
         granting any other Liens in such Property or (ii) any lease, license or
         other contract if the grant of a security interest in such lease,
         license or contract in the manner contemplated by this Security
         Agreement is prohibited by the terms of such lease, license or contract
         and would result in the termination thereof, but only to the extent
         that (A) after reasonable efforts, consent from the relevant party or
         parties has not been obtained and (B) any such prohibition could not be
         rendered ineffective pursuant to the UCC or any other applicable law
         (including Debtor Relief Laws) or principles of equity.

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         The Grantors and the Administrative Agent, on behalf of the holders of
the Secured Obligations, hereby acknowledge and agree that the security interest
created hereby in the Collateral (i) constitutes continuing collateral security
for all of the Secured Obligations, whether now existing or hereafter arising
and (ii) is not to be construed as an assignment of any Copyrights, Copyright
Licenses, Patents, Patent Licenses, Trademarks or Trademark Licenses.

         3.     Provisions Relating to Accounts.

         (a)    Anything herein to the contrary notwithstanding, each of the
Grantors shall remain liable under each of the Accounts to observe and perform
all the conditions and obligations to be observed and performed by it
thereunder, all in accordance with the terms of any agreement giving rise to
each such Account. Neither the Administrative Agent nor any holder of the
Secured Obligations shall have any obligation or liability under any Account (or
any agreement giving rise thereto) by reason of or arising out of this Security
Agreement or the receipt by the Administrative Agent or any holder of the
Secured Obligations of any payment relating to such Account pursuant hereto, nor
shall the Administrative Agent or any holder of the Secured Obligations be
obligated in any manner to perform any of the obligations of a Grantor under or
pursuant to any Account (or any agreement giving rise thereto), to make any
payment, to make any inquiry as to the nature or the sufficiency of any payment
received by it or as to the sufficiency of any performance by any party under
any Account (or any agreement giving rise thereto), to present or file any
claim, to take any action to enforce any performance or to collect the payment
of any amounts that may have been assigned to it or to which it may be entitled
at any time or times.

         (b)    At any time after the occurrence and during the continuation of
an Event of Default, the Administrative Agent shall have the right, but not the
obligation, to make test verifications of the Accounts in any manner and through
any medium that it reasonably considers advisable, and the Grantors shall
furnish all such assistance and information as the Administrative Agent may
require in connection with such test verifications, (ii) upon the Administrative
Agent's request and at the expense of the Grantors, the Grantors shall cause
independent public accountants or others satisfactory to the Administrative
Agent to furnish to the Administrative Agent reports showing reconciliations,
aging and test verifications of, and trial balances for, the Accounts and (iii)
the Administrative Agent in its own name or in the name of others may
communicate with account debtors on the Accounts to verify with them to the
Administrative Agent's satisfaction the existence, amount and terms of any
Accounts.

         4.     Representations and Warranties. Each Grantor hereby represents
and warrants to the Administrative Agent, for the benefit of the holders of the
Secured Obligations, that so long as any of the Secured Obligations remains
outstanding and until all of the commitments relating thereto have been
terminated:

                (a)   Legal Name; Chief Executive Office. As of the date hereof:

                      (i)    Each Grantor's exact legal name and state of
                formation are (and for the prior five years have been) as set
                forth on Schedule 6.20(c) to the Credit Agreement.

                      (ii)   Each Grantor's chief executive office is located
                (and for the prior five years has been) at the location set
                forth on Schedule 6.20(c) to the Credit Agreement attached
                hereto.

                      (iii)  Other than as set forth on Schedule 4(a)
                attached hereto, no Grantor has been party to a merger,
                consolidation or other change in structure or used any tradename
                in the prior five years.

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                (b)   Ownership. Each Grantor is the legal and beneficial owner
         of its Collateral and has the right to pledge, sell, assign or transfer
         the same.

                (c)   Security Interest/Priority. This Security Agreement
         creates a valid security interest in favor of the Administrative Agent,
         for the benefit of the holders of the Secured Obligations, in the
         Collateral of such Grantor and, when properly perfected by filing,
         shall constitute a valid perfected security interest in such
         Collateral, to the extent such security interest can be perfected by
         filing under the UCC, free and clear of all Liens except for Permitted
         Liens.

                (d)   Types of Collateral. None of the Collateral consists of,
         or is the Accessions or the Proceeds of, As-Extracted Collateral,
         Consumer Goods, Farm Products, Manufactured Homes, or Standing Timber.

                (e)   Accounts. (i) Each Account of the Grantors and the papers
         and documents relating thereto are genuine and in all material respects
         what they purport to be, (ii) each Account arises out of (A) a bona
         fide sale of goods sold and delivered by such Grantor (or is in the
         process of being delivered) or (B) services theretofore actually
         rendered by such Grantor to, the account debtor named therein, and
         (iii) no surety bond was required or given in connection with any
         Account of a Grantor or the contracts or purchase orders out of which
         they arose.

                (f)   Inventory. No Inventory is held by any Person other than a
         Grantor pursuant to consignment, sale or return, sale on approval or
         similar arrangement.

         5. Covenants. Each Grantor covenants that, so long as any of the
Secured Obligations remains outstanding and until all of the commitments
relating thereto have been terminated, such Grantor shall:

                (a)   Other Liens. Defend the Collateral against the claims and
         demands of all other parties claiming an interest therein other than
         Permitted Liens.

                (b)   Instruments/Tangible Chattel Paper/Documents. If any
         amount payable under or in connection with any of the Collateral shall
         be or become evidenced by any Instrument or Tangible Chattel Paper, or
         if any property constituting Collateral shall be stored or shipped
         subject to a Document, (i) ensure that such Instrument, Tangible
         Chattel Paper or Document is either in the possession of such Grantor
         at all times or, if requested by the Administrative Agent, is
         immediately delivered to the Administrative Agent, duly endorsed in a
         manner satisfactory to the Administrative Agent and (ii) ensure that
         any Collateral consisting of Tangible Chattel Paper is marked with a
         legend acceptable to the Administrative Agent indicating the
         Administrative Agent's security interest in such Tangible Chattel
         Paper.

                (c)   Tradenames. Not use any tradename other than as set forth
         on Schedule 4(a) attached hereto without providing written notice to
         the Administrative Agent within thirty (30) days after commencing to
         use such tradename.

                (d)   Perfection of Security Interest. Execute and deliver to
         the Administrative Agent such agreements, assignments or instruments
         (including affidavits, notices, reaffirmations and amendments and
         restatements of existing documents, as the Administrative Agent may
         reasonably request) and do all such other things as the Administrative
         Agent may reasonably deem necessary, appropriate or convenient (i) to
         assure to the Administrative Agent the effectiveness and priority of
         its security interests hereunder, including (A) such instruments as the
         Administrative Agent may from time to time reasonably request in order
         to perfect and maintain the security interests granted hereunder in
         accordance with the UCC, (B) with regard to Copyrights, a Notice of
         Grant of Security Interest in Copyrights for filing with the United
         States Copyright Office in the form of Schedule

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         5(f)(i) attached hereto, (C) with regard to Patents, a Notice of Grant
         of Security Interest in Patents for filing with the United States
         Patent and Trademark Office in the form of Schedule 5(f)(ii) attached
         hereto and (D) with regard to Trademarks, a Notice of Grant of Security
         Interest in Trademarks for filing with the United States Patent and
         Trademark Office in the form of Schedule 5(f)(iii) attached hereto,
         (ii) to consummate the transactions contemplated hereby and (iii) to
         otherwise protect and assure the Administrative Agent of its rights and
         interests hereunder. To that end, each Grantor authorizes the
         Administrative Agent to file one or more financing statements (with
         collateral descriptions broader and/or less specific than the
         description of the Collateral contained herein) disclosing the
         Administrative Agent's security interest in any or all of the
         Collateral of such Grantor without such Grantor's signature thereon,
         and further each Grantor also hereby irrevocably makes, constitutes and
         appoints the Administrative Agent, its nominee or any other Person whom
         the Administrative Agent may designate, as such Grantor's
         attorney-in-fact with full power and for the limited purpose to sign in
         the name of such Grantor any such financing statements (including
         renewal statements), amendments and supplements, notices or any similar
         documents that in the Administrative Agent's reasonable discretion
         would be necessary, appropriate or convenient in order to perfect and
         maintain perfection of the security interests granted hereunder, such
         power, being coupled with an interest, being and remaining irrevocable
         so long as the Secured Obligations remain unpaid and until the
         commitments relating thereto shall have been terminated. Each Grantor
         hereby agrees that a carbon, photographic or other reproduction of this
         Security Agreement or any such financing statement is sufficient for
         filing as a financing statement by the Administrative Agent without
         notice thereof to such Grantor wherever the Administrative Agent may in
         its sole discretion desire to file the same. In the event for any
         reason the law of any jurisdiction other than North Carolina becomes or
         is applicable to the Collateral of any Grantor or any part thereof, or
         to any of the Secured Obligations, such Grantor agrees to execute and
         deliver all such instruments and to do all such other things as the
         Administrative Agent in its sole discretion reasonably deems necessary,
         appropriate or convenient to preserve, protect and enforce the security
         interests of the Administrative Agent under the law of such other
         jurisdiction (and, if a Grantor shall fail to do so promptly upon the
         request of the Administrative Agent, then the Administrative Agent may
         execute any and all such requested documents on behalf of such Grantor
         pursuant to the power of attorney granted hereinabove). If any
         Collateral is in the possession or control of a Grantor's agents and
         the Administrative Agent so requests, such Grantor agrees to notify
         such agents in writing of the Administrative Agent's security interest
         therein and, upon the Administrative Agent's request, instruct them to
         hold all such Collateral for the account of the holders of the Secured
         Obligations and subject to the Administrative Agent's instructions.
         Each Grantor agrees to mark its books and records to reflect the
         security interest of the Administrative Agent in the Collateral.

                (e)   Control. After the occurrence and during the continuation
         of an Event of Default, execute and deliver all agreements,
         assignments, instruments or other documents as the Administrative Agent
         shall reasonably request for the purpose of obtaining and maintaining
         control within the meaning of the UCC with respect to any Collateral
         consisting of Deposit Accounts, Investment Property, Letter-of-Credit
         Rights and Electronic Chattel Paper.

                (f)   Collateral held by Warehouseman, Bailee, etc. If any
         Collateral is at any time in the possession or control of a
         warehouseman, bailee, agent or processor of such Grantor, (i) notify
         the Administrative Agent of such possession or control, (ii) notify
         such Person of the Administrative Agent's security interest in such
         Collateral, (iii) instruct such Person to hold all such Collateral for
         the Administrative Agent's account and subject to the Administrative
         Agent's instructions and (iv) use its best efforts to obtain an
         acknowledgment from such Person that it is holding such Collateral for
         the benefit of the Administrative Agent.

                (g)   Treatment of Accounts. Not grant or extend the time for
         payment of any Account, or compromise or settle any Account for less
         than the full amount thereof, or release any Person or

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         property,in whole or in part, from payment thereof, or allow any credit
         or discount thereon, other than as normal and customary in the ordinary
         course of a Grantor's business or as required by law.

                (h)   Covenants Relating to Copyrights.

                      (i)    Not do any act or knowingly omit to do any act
                whereby any material Copyright may become invalidated and (A)
                not do any act, or knowingly omit to do any act, whereby any
                material Copyright may become injected into the public domain;
                (B) notify the Administrative Agent immediately if it knows that
                any material Copyright may become injected into the public
                domain or of any adverse determination or development
                (including, without limitation, the institution of, or any such
                determination or development in, any court or tribunal in the
                United States or any other country) regarding a Grantor's
                ownership of any such Copyright or its validity; (C) take all
                necessary steps as it shall deem appropriate under the
                circumstances, to maintain and pursue each application (and to
                obtain the relevant registration) and to maintain each
                registration of each material Copyright owned by a Grantor
                including, without limitation, filing of applications for
                renewal where necessary; and (D) promptly notify the
                Administrative Agent of any material infringement of any
                material Copyright of a Grantor of which it becomes aware and
                take such actions as it shall reasonably deem appropriate under
                the circumstances to protect such Copyright, including, where
                appropriate, the bringing of suit for infringement, seeking
                injunctive relief and seeking to recover any and all damages for
                such infringement.

                      (ii)   Not make any assignment or agreement in conflict
                with the security interest in the Copyrights of each Grantor
                hereunder.

                (i)   Covenants Relating to Patents and Trademarks.

                      (i)    (A) Continue to use each Trademark on each and
                every trademark class of goods applicable to its current line as
                reflected in its current catalogs, brochures and price lists in
                order to maintain such Trademark in full force free from any
                claim of abandonment for non-use, (B) maintain as in the past
                the quality of products and services offered under such
                Trademark, (C) employ such Trademark with the appropriate notice
                of registration, (D) not adopt or use any mark that is
                confusingly similar or a colorable imitation of such Trademark
                unless the Administrative Agent, for the ratable benefit of the
                holders of the Secured Obligations, shall obtain a perfected
                security interest in such mark pursuant to this Security
                Agreement, and (E) not (and not permit any licensee or
                sublicensee thereof to) do any act or knowingly omit to do any
                act whereby any Trademark may become invalidated.

                      (ii)   Not do any act, or omit to do any act, whereby any
                Patent may become abandoned or dedicated.

                      (iii)  Notify the Administrative Agent and the holders of
                the Secured Obligations immediately if it knows that any
                application or registration relating to any Patent or Trademark
                may become abandoned or dedicated, or of any adverse
                determination or development (including, without limitation, the
                institution of, or any such determination or development in, any
                proceeding in the United States Patent and Trademark Office or
                any court or tribunal in any country) regarding a Grantor's
                ownership of any Patent or Trademark or its right to register
                the same or to keep and maintain the same.

                      (iv)   Whenever a Grantor, either by itself or through an
                agent, employee, licensee or designee, shall file an application
                for the registration of any Patent or Trademark with the United
                States Patent and Trademark Office or any similar office or
                agency in any

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                other country or any political subdivision thereof, a Grantor
                shall report such filing to the Administrative Agent and the
                holders of the Secured Obligations within five Business Days
                after the last day of the fiscal quarter in which such filing
                occurs. Upon request of the Administrative Agent, a Grantor
                shall execute and deliver any and all agreements, instruments,
                documents and papers as the Administrative Agent may reasonably
                request to evidence the security interest of the Administrative
                Agent and the holders of the Secured Obligations in any Patent
                or Trademark and the goodwill and general intangibles of a
                Grantor relating thereto or represented thereby.

                      (v)    Take all reasonable and necessary steps, including,
                without limitation, in any proceeding before the United States
                Patent and Trademark Office, or any similar office or agency in
                any other country or any political subdivision thereof, to
                maintain and pursue each application (and to obtain the relevant
                registration) and to maintain each registration of the Patents
                and Trademarks, including, without limitation, filing of
                applications for renewal, affidavits of use and affidavits of
                incontestability.

                      (vi)   Promptly notify the Administrative Agent and the
                holders of the Secured Obligations after it learns that any
                Patent or Trademark included in the Collateral is infringed,
                misappropriated or diluted by a third party and promptly sue for
                infringement, misappropriation or dilution, to seek injunctive
                relief where appropriate and to recover any and all damages for
                such infringement, misappropriation or dilution, or to take such
                other actions as it shall reasonably deem appropriate under the
                circumstances to protect such Patent or Trademark.

                      (vii)  Not make any assignment or agreement in conflict
                with the security interest in the Patents or Trademarks of each
                Grantor hereunder.

                (j)   Insurance.  Insure, repair and replace the Collateral of
         such Grantor as set forth in the Credit Agreement. All insurance
         proceeds shall be subject to the security interest of the
         Administrative Agent hereunder.

                (k)   Commercial Tort Claims.

                      (i)    Promptly notify the Administrative Agent in writing
                of the initiation of any Commercial Tort Claim before any
                Governmental Authority by or in favor of such Grantor or any of
                its Subsidiaries.

                      (ii)   Execute and deliver such statements, documents and
                notices and do and cause to be done all such things as the
                Administrative Agent may reasonably deem necessary, appropriate
                or convenient, or as are required by law, to create, perfect and
                maintain the Administrative Agent's security interest in any
                Commercial Tort Claim.

         6.     Advances by Holders of the Secured Obligations. On failure of
any Grantor to perform any of the covenants and agreements contained herein, the
Administrative Agent may, at its sole option and in its sole discretion, perform
the same and in so doing may expend such sums as the Administrative Agent may
reasonably deem advisable in the performance thereof, including, without
limitation, the payment of any insurance premiums, the payment of any taxes, a
payment to obtain a release of a Lien or potential Lien, expenditures made in
defending against any adverse claim and all other expenditures that the
Administrative Agent or the holders of the Secured Obligations may make for the
protection of the security hereof or that may be compelled to make by operation
of law. All such sums and amounts so expended shall be repayable by the Grantors
on a joint and several basis (subject to Section 23 hereof) promptly upon timely
notice thereof and demand therefor, shall constitute additional Secured
Obligations and shall bear interest from the

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date said amounts are expended at the default rate specified in Section 2.08 of
the Credit Agreement for Base Rate Revolving Loans. No such performance of any
covenant or agreement by the Administrative Agent or the holders of the Secured
Obligations on behalf of any Grantor, and no such advance or expenditure
therefor, shall relieve the Grantors of any default under the terms of this
Security Agreement, the other Credit Documents or any other documents relating
to the Secured Obligations. The holders of the Secured Obligations may make any
payment hereby authorized in accordance with any bill, statement or estimate
procured from the appropriate public office or holder of the claim to be
discharged without inquiry into the accuracy of such bill, statement or estimate
or into the validity of any tax assessment, sale, forfeiture, tax lien, title or
claim except to the extent such payment is being contested in good faith by a
Grantor in appropriate proceedings and against which adequate reserves are being
maintained in accordance with GAAP.

         7.     Remedies.

         (a)    General Remedies. Upon the occurrence of an Event of Default and
during the continuation thereof, the Administrative Agent and the holders of the
Secured Obligations shall have, in addition to the rights and remedies provided
herein, in the Credit Documents, in any other documents relating to the Secured
Obligations, or by law (including, without limitation, levy of attachment and
garnishment), the rights and remedies of a secured party under the UCC of the
jurisdiction applicable to the affected Collateral and, further, the
Administrative Agent may, with or without judicial process or the aid and
assistance of others, (i) enter on any premises on which any of the Collateral
may be located and, without resistance or interference by the Grantors, take
possession of the Collateral, (ii) dispose of any Collateral on any such
premises, (iii) require the Grantors to assemble and make available to the
Administrative Agent at the expense of the Grantors any Collateral at any place
and time designated by the Administrative Agent that is reasonably convenient to
both parties, (iv) remove any Collateral from any such premises for the purpose
of effecting sale or other disposition thereof, and/or (v) without demand and
without advertisement, notice, hearing or process of law, all of which each of
the Grantors hereby waives to the fullest extent permitted by law, at any place
and time or times, sell and deliver any or all Collateral held by or for it at
public or private sale, by one or more contracts, in one or more parcels, for
cash, upon credit or otherwise, at such prices and upon such terms as the
Administrative Agent deems advisable, in its sole discretion (subject to any and
all mandatory legal requirements). Each of the Grantors acknowledges that any
private sale referenced above may be at prices and on terms less favorable to
the seller than the prices and terms that might have been obtained at a public
sale and agrees that such private sale shall be deemed to have been made in a
commercially reasonable manner. Neither the Administrative Agent's compliance
with applicable law nor its disclaimer of warranties relating to the Collateral
shall be considered to adversely affect the commercial reasonableness of any
sale. In addition to all other sums due the Administrative Agent and the holders
of the Secured Obligations with respect to the Secured Obligations, the Grantors
shall pay the Administrative Agent and each of the holders of the Secured
Obligations all reasonable documented costs and expenses incurred by the
Administrative Agent or any such holder of the Secured Obligations, including,
but not limited to, reasonable attorneys' fees, the allocated cost of internal
counsel and court costs, in obtaining or liquidating the Collateral, in
enforcing payment of the Secured Obligations, or in the prosecution or defense
of any action or proceeding by or against the Administrative Agent or the
holders of the Secured Obligations or the Grantors concerning any matter arising
out of or connected with this Security Agreement, any Collateral or the Secured
Obligations, including, without limitation, any of the foregoing arising in,
arising under or related to a case under the Bankruptcy Code. To the extent the
rights of notice cannot be legally waived hereunder, each Grantor agrees that
any requirement of reasonable notice shall be met if such notice is personally
served on or mailed, postage prepaid, to the Borrower in accordance with the
notice provisions of Section 11.02 of the Credit Agreement at least ten Business
Days before the time of sale or other event giving rise to the requirement of
such notice. The Administrative Agent and the holders of the Secured Obligations
shall not be obligated to make any sale or other disposition of the Collateral
regardless of notice having been given. To the extent permitted by law, any
holder of the Secured Obligations may be a purchaser at any such sale. To the
extent permitted by applicable law, each of the Grantors hereby waives all of
its rights of redemption with respect to any such sale. Subject to the
provisions of applicable law, the Administrative Agent and the holders of the

                                       9

<PAGE>

Secured Obligations may postpone or cause the postponement of the sale of all or
any portion of the Collateral by announcement at the time and place of such
sale, and such sale may, without further notice, to the extent permitted by law,
be made at the time and place to which the sale was postponed, or the
Administrative Agent and the holders of the Secured Obligations may further
postpone such sale by announcement made at such time and place.

         (b)    Remedies relating to Accounts. Upon the occurrence of an Event
of Default and during the continuation thereof, whether or not the
Administrative Agent has exercised any or all of its rights and remedies
hereunder, (i) each Grantor will promptly upon request of the Administrative
Agent instruct all account debtors to remit all payments in respect of Accounts
to a mailing location selected by the Administrative Agent and (ii) the
Administrative Agent shall have the right to enforce any Grantor's rights
against its customers and account debtors, and the Administrative Agent or its
designee may notify any Grantor's customers and account debtors that the
Accounts of such Grantor have been assigned to the Administrative Agent or of
the Administrative Agent's security interest therein, and may (either in its own
name or in the name of a Grantor or both) demand, collect (including without
limitation by way of a lockbox arrangement), receive, take receipt for, sell,
sue for, compound, settle, compromise and give acquittance for any and all
amounts due or to become due on any Account, and, in the Administrative Agent's
discretion, file any claim or take any other action or proceeding to protect and
realize upon the security interest of the holders of the Secured Obligations in
the Accounts. Each Grantor acknowledges and agrees that the Proceeds of its
Accounts remitted to or on behalf of the Administrative Agent in accordance with
the provisions hereof shall be solely for the Administrative Agent's own
convenience and that such Grantor shall not have any right, title or interest in
such Accounts or in any such other amounts except as expressly provided herein.
The Administrative Agent and the holders of the Secured Obligations shall have
no liability or responsibility to any Grantor for acceptance of a check, draft
or other order for payment of money bearing the legend "payment in full" or
words of similar import or any other restrictive legend or endorsement or be
responsible for determining the correctness of any remittance. Each Grantor
hereby agrees to indemnify the Administrative Agent and the holders of the
Secured Obligations from and against all liabilities, damages, losses, actions,
claims, judgments, costs, expenses, charges and reasonable attorneys' fees
(including the allocated cost of internal counsel) suffered or incurred by the
Administrative Agent or the holders of the Secured Obligations (each, an
"Indemnified Party") because of the maintenance of the foregoing arrangements
except as relating to or arising out of the gross negligence or willful
misconduct of an Indemnified Party or its officers, employees or agents. In the
case of any investigation, litigation or other proceeding, the foregoing
indemnity shall be effective whether or not such investigation, litigation or
proceeding is brought by a Grantor, its directors, shareholders or creditors or
an Indemnified Party or any other Person or any other Indemnified Party is
otherwise a party thereto.

         (c)    Access. In addition to the rights and remedies hereunder, upon
the occurrence of an Event of Default and during the continuation thereof, the
Administrative Agent shall have the right to enter and remain upon the various
premises of the Grantors without cost or charge to the Administrative Agent, and
use the same, together with materials, supplies, books and records of the
Grantors for the purpose of collecting and liquidating the Collateral, or for
preparing for sale and conducting the sale of the Collateral, whether by
foreclosure, auction or otherwise. In addition, the Administrative Agent may
remove Collateral, or any part thereof, from such premises and/or any records
with respect thereto, in order to effectively collect or liquidate such
Collateral.

         (d)    Nonexclusive Nature of Remedies. Failure by the Administrative
Agent or the holders of the Secured Obligations to exercise any right, remedy or
option under this Security Agreement, any other Credit Document, any other
documents relating to the Secured Obligations, or as provided by law, or any
delay by the Administrative Agent or the holders of the Secured Obligations in
exercising the same, shall not operate as a waiver of any such right, remedy or
option. No waiver hereunder shall be effective unless it is in writing, signed
by the party against whom such waiver is sought to be enforced and then only to
the extent specifically stated, which in the case of the Administrative Agent or
the holders of the Secured Obligations

                                       10

<PAGE>

shall only be granted as provided herein. To the extent permitted by law,
neither the Administrative Agent, the holders of the Secured Obligations, nor
any party acting as attorney for the Administrative Agent or the holders of the
Secured Obligations, shall be liable hereunder for any acts or omissions or for
any error of judgment or mistake of fact or law other than their gross
negligence or willful misconduct hereunder. The rights and remedies of the
Administrative Agents and the holders of the Secured Obligations under this
Security Agreement shall be cumulative and not exclusive of any other right or
remedy that the Administrative Agent or the holders of the Secured Obligations
may have.

         (e)    Retention of Collateral. To the extent permitted under
applicable law, in addition to the rights and remedies hereunder, upon the
occurrence of an Event of Default, the Administrative Agent may, after providing
the notices required by Sections 9-620 and 9-621 of the UCC or otherwise
complying with the requirements of applicable law of the relevant jurisdiction,
accept or retain all or any portion of the Collateral in satisfaction of the
Secured Obligations. Unless and until the Administrative Agent shall have
provided such notices, however, the Administrative Agent shall not be deemed to
have accepted or retained any Collateral in satisfaction of any Secured
Obligations for any reason.

         (f)    Deficiency. In the event that the proceeds of any sale,
collection or realization are insufficient to pay all amounts to which the
Administrative Agent or the holders of the Secured Obligations are legally
entitled, the Grantors shall be jointly and severally liable for the deficiency
(subject to Section 23 hereof), together with interest thereon at the default
rate specified in Section 2.08 of the Credit Agreement for Base Rate Revolving
Loans, together with the costs of collection and reasonable attorneys' fees
(including the allocated cost of internal counsel). Any surplus remaining after
the full payment and satisfaction of the Secured Obligations shall be returned
to the Grantors or to whomsoever a court of competent jurisdiction shall
determine to be entitled thereto.

         8.     Rights of the Administrative Agent.

         (a)    Power of Attorney. In addition to other powers of attorney
contained herein, each Grantor hereby designates and appoints the Administrative
Agent, on behalf of the holders of the Secured Obligations, and each of its
designees or agents, as attorney-in-fact of such Grantor, irrevocably and with
power of substitution, with authority to take any or all of the following
actions upon the occurrence and during the continuation of an Event of Default:

                (i)   to demand, collect, settle, compromise and adjust, and
         give discharges and releases concerning the Collateral, all as the
         Administrative Agent may reasonably deem appropriate;

                (ii)  to commence and prosecute any actions at any court for the
         purposes of collecting any of the Collateral and enforcing any other
         right in respect thereof;

                (iii) to defend, settle or compromise any action brought and, in
         connection therewith, give such discharge or release as the
         Administrative Agent may reasonably deem appropriate;

                (iv)  to receive, open and dispose of mail addressed to a
         Grantor and endorse checks, notes, drafts, acceptances, money orders,
         bills of lading, warehouse receipts or other instruments or documents
         evidencing payment, shipment or storage of the goods giving rise to the
         Collateral on behalf of and in the name of such Grantor, or securing,
         or relating to such Collateral;

                (v)   to pay or discharge taxes, liens, security interests or
         other encumbrances levied or placed on or threatened against the
         Collateral;

                                       11

<PAGE>

                (vi)   to direct any parties liable for any payment in
         connection with any of the Collateral to make payment of any and all
         monies due and to become due thereunder directly to the Administrative
         Agent or as the Administrative Agent shall direct;

                (vii)  to receive payment of and receipt for any and all monies,
         claims, and other amounts due and to become due at any time in respect
         of or arising out of any Collateral;

                (viii) to sell, assign, transfer, make any agreement in respect
         of, or otherwise deal with or exercise rights in respect of, any
         Collateral or the goods or services that have given rise thereto, as
         fully and completely as though the Administrative Agent were the
         absolute owner thereof for all purposes;

                (ix)   to adjust and settle claims under any insurance policy
         relating thereto;

                (x)    to execute and deliver all assignments, conveyances,
         statements, financing statements, renewal financing statements,
         security and pledge agreements, affidavits, notices and other
         agreements, instruments and documents that the Administrative Agent may
         reasonably deem appropriate in order to perfect and maintain the
         security interests and liens granted in this Security Agreement and in
         order to fully consummate all of the transactions contemplated therein;

                (xi)   to institute any foreclosure proceedings that the
         Administrative Agent may reasonably deem appropriate; and

                (xii)  to do and perform all such other acts and things as the
         Administrative Agent may reasonably deem appropriate or convenient in
         connection with the Collateral.

         This power of attorney is a power coupled with an interest and shall be
irrevocable for so long as any of the Secured Obligations shall remain
outstanding and until all of the commitments relating thereto shall have been
terminated. The Administrative Agent shall be under no duty to exercise or
withhold the exercise of any of the rights, powers, privileges and options
expressly or implicitly granted to the Administrative Agent in this Security
Agreement, and shall not be liable for any failure to do so or any delay in
doing so. The Administrative Agent shall not be liable for any act or omission
or for any error of judgment or any mistake of fact or law in its individual
capacity or its capacity as attorney-in-fact except acts or omissions resulting
from its gross negligence or willful misconduct. This power of attorney is
conferred on the Administrative Agent solely to protect, preserve and realize
upon its security interest in the Collateral.

         (b)    Performance by the Administrative Agent of Obligations. If any
Grantor fails to perform any agreement or obligation contained herein, the
Administrative Agent itself may perform, or cause performance of, such agreement
or obligation, and the expenses of the Administrative Agent incurred in
connection therewith shall be payable by the Grantors on a joint and several
basis (subject to Section 24 hereof).

         (c)    The Administrative Agent's Duty of Care. Other than the exercise
of reasonable care to assure the safe custody of the Collateral while being held
by the Administrative Agent hereunder, the Administrative Agent shall have no
duty or liability to preserve rights pertaining thereto, it being understood and
agreed that the Grantors shall be responsible for preservation of all rights in
the Collateral, and the Administrative Agent shall be relieved of all
responsibility for the Collateral upon surrendering it or tendering the
surrender of it to the Grantors. The Administrative Agent shall be deemed to
have exercised reasonable care in the custody and preservation of the Collateral
in its possession if such Collateral is accorded treatment substantially equal
to that which the Administrative Agent accords its own property, which shall be
no less

                                       12

<PAGE>

than the treatment employed by a reasonable and prudent agent in the industry,
it being understood that the Administrative Agent shall not have responsibility
for taking any necessary steps to preserve rights against any parties with
respect to any of the Collateral. In the event of a public or private sale of
Collateral pursuant to Section 7 hereof, the Administrative Agent shall have no
obligation to clean, repair or otherwise prepare the Collateral for sale.

         9.     Rights of Required Lenders.  All rights of the Administrative
Agent hereunder, if not exercised by the Administrative Agent, may be exercised
by the Required Lenders.

         10.    Application of Proceeds. Upon the occurrence and during the
continuation of an Event of Default, any payments in respect of the Secured
Obligations and any proceeds of the Collateral, when received by the
Administrative Agent or any of the holders of the Secured Obligations in cash or
its equivalent, will be applied in reduction of the Secured Obligations in the
order set forth in the Credit Agreement or other document relating to the
Secured Obligations, and each Grantor irrevocably waives the right to direct the
application of such payments and proceeds and acknowledges and agrees that the
Administrative Agent shall have the continuing and exclusive right to apply and
reapply any and all such payments and proceeds in the Administrative Agent's
sole discretion, notwithstanding any entry to the contrary upon any of its books
and records.

         11.    Continuing Agreement.

         (a)    This Security Agreement shall be a continuing agreement in every
respect and shall remain in full force and effect so long as any of the Secured
Obligations remains outstanding and until all of the commitments relating
thereto have been terminated (other than any obligations with respect to the
indemnities and the representations and warranties set forth in the Credit
Documents). Upon such payment and termination, this Security Agreement and the
liens and security interests of the Administrative Agent hereunder shall be
automatically terminated and the Administrative Agent shall, upon the request
and at the expense of the Grantors, execute and deliver all UCC termination
statements and/or other documents reasonably requested by the Grantors
evidencing such termination. Notwithstanding the foregoing, all releases and
indemnities provided hereunder shall survive termination of this Security
Agreement.

         (b)    This Security Agreement shall continue to be effective or be
automatically reinstated, as the case may be, if at any time payment, in whole
or in part, of any of the Secured Obligations is rescinded or must otherwise be
restored or returned by the Administrative Agent or any holder of the Secured
Obligations as a preference, fraudulent conveyance or otherwise under any
bankruptcy, insolvency or similar law, all as though such payment had not been
made; provided that in the event payment of all or any part of the Secured
Obligations is rescinded or must be restored or returned, all reasonable costs
and expenses (including, without limitation, attorneys' fees, the allocated cost
of internal counsel and disbursements) incurred by the Administrative Agent or
any holder of the Secured Obligations in defending and enforcing such
reinstatement shall be deemed to be included as a part of the Secured
Obligations.

         12.    Amendments and Waivers.  This Security Agreement and the
provisions hereof may not be amended, waived, modified, changed, discharged or
terminated except as set forth in Section 11.01 of the Credit Agreement.

         13.    Successors in Interest. This Security Agreement shall create a
continuing security interest in the Collateral and shall be binding upon each
Grantor, its successors and assigns, and shall inure, together with the rights
and remedies of the Administrative Agent and the holders of the Secured
Obligations hereunder, to the benefit of the Administrative Agent and the
holders of the Secured Obligations and their successors and permitted assigns;
provided, however, that none of the Grantors may assign its rights or delegate
its duties hereunder without the prior written consent of the requisite Lenders
under the Credit Agreement. To the fullest extent permitted by law, each Grantor
hereby releases the Administrative Agent

                                       13

<PAGE>

and each holder of the Secured Obligations, their respective successors and
assigns and their respective officers, attorneys, employees and agents, from any
liability for any act or omission or any error of judgment or mistake of fact or
of law relating to this Security Agreement or the Collateral, except for any
liability arising from the gross negligence or willful misconduct of the
Administrative Agent or such holder, or their respective officers, attorneys,
employees or agents.

         14.    Notices.  All notices required or permitted to be given under
this Security Agreement shall be given as provided in Section 11.02 of the
Credit Agreement.

         15.    Counterparts.  This Security Agreement may be executed in any
number of counterparts, each of which where so executed and delivered shall be
an original, but all of which shall constitute one and the same instrument. It
shall not be necessary in making proof of this Security Agreement to produce or
account for more than one such counterpart.

         16.    Headings.  The headings of the sections and subsections hereof
are provided for convenience only and shall not in any way affect the meaning or
construction of any provision of this Security Agreement.

         17.    Governing Law; Submission to Jurisdiction; Venue.

         (a)    THIS SECURITY AGREEMENT SHALL BE GOVERNED BY, AND CONSTRUED IN
ACCORDANCE WITH, THE LAW OF THE STATE OF NORTH CAROLINA APPLICABLE TO AGREEMENTS
MADE AND TO BE PERFORMED ENTIRELY WITHIN SUCH STATE; PROVIDED THAT THE
ADMINISTRATIVE AGENT AND EACH LENDER SHALL RETAIN ALL RIGHTS ARISING UNDER
FEDERAL LAW.

         (b)    ANY LEGAL ACTION OR PROCEEDING WITH RESPECT TO THIS SECURITY
AGREEMENT OR ANY OTHER LOAN DOCUMENT MAY BE BROUGHT IN THE COURTS OF THE STATE
OF NORTH CAROLINA SITTING IN CHARLOTTE, NORTH CAROLINA OR OF THE UNITED STATES
FOR THE WESTERN DISTRICT OF SUCH STATE, AND BY EXECUTION AND DELIVERY OF THIS
SECURITY AGREEMENT, THE BORROWER, THE COLLATERAL Agent AND EACH LENDER CONSENTS,
FOR ITSELF AND IN RESPECT OF ITS PROPERTY, TO THE NON-EXCLUSIVE JURISDICTION OF
THOSE COURTS. THE BORROWER, THE COLLATERAL Agent AND EACH LENDER IRREVOCABLY
WAIVES ANY OBJECTION, INCLUDING ANY OBJECTION TO THE LAYING OF VENUE OR BASED ON
THE GROUNDS OF FORUM NON CONVENIENS, WHICH IT MAY NOW OR HEREAFTER HAVE TO THE
BRINGING OF ANY ACTION OR PROCEEDING IN SUCH JURISDICTION IN RESPECT OF THIS
SECURITY AGREEMENT OR ANY OTHER LOAN DOCUMENT OR OTHER DOCUMENT RELATED THERETO.
THE BORROWER, THE COLLATERAL Agent AND EACH LENDER WAIVES PERSONAL SERVICE OF
ANY SUMMONS, COMPLAINT OR OTHER PROCESS, WHICH MAY BE MADE BY ANY OTHER MEANS
PERMITTED BY THE LAW OF SUCH STATE.

         18.    Waiver of Right to Trial by Jury.

         EACH PARTY TO THIS SECURITY AGREEMENT HEREBY EXPRESSLY WAIVES ANY RIGHT
TO TRIAL BY JURY OF ANY CLAIM, DEMAND, ACTION OR CAUSE OF ACTION ARISING UNDER
THIS SECURITY AGREEMENT OR ANY OTHER LOAN DOCUMENT OR IN ANY WAY CONNECTED WITH
OR RELATED OR INCIDENTAL TO THE DEALINGS OF THE PARTIES HERETO OR ANY OF THEM
WITH RESPECT TO THIS SECURITY AGREEMENT OR ANY OTHER LOAN DOCUMENT, OR THE
TRANSACTIONS RELATED THERETO, IN EACH CASE WHETHER NOW EXISTING OR HEREAFTER
ARISING, AND WHETHER FOUNDED IN CONTRACT OR TORT OR OTHERWISE; AND EACH PARTY
HEREBY AGREES AND CONSENTS THAT ANY SUCH CLAIM, DEMAND, ACTION OR CAUSE OF
ACTION SHALL BE

                                       14

<PAGE>

DECIDED BY COURT TRIAL WITHOUT A JURY, AND THAT ANY PARTY TO THIS SECURITY
AGREEMENT MAY FILE AN ORIGINAL COUNTERPART OR A COPY OF THIS SECTION WITH ANY
COURT AS WRITTEN EVIDENCE OF THE CONSENT OF THE SIGNATORIES HERETO TO THE WAIVER
OF THEIR RIGHT TO TRIAL BY JURY.

         19.    Severability. If any provision of this Security Agreement is
determined to be illegal, invalid or unenforceable, such provision shall be
fully severable and the remaining provisions shall remain in full force and
effect and shall be construed without giving effect to the illegal, invalid or
unenforceable provisions.

         20.    Entirety. This Security Agreement, the other Credit Documents
and the other documents relating to the Secured Obligations represent the entire
agreement of the parties hereto and thereto, and supersede all prior agreements
and understandings, oral or written, if any, including any commitment letters or
correspondence relating to the Credit Documents, any other documents relating to
the Secured Obligations, or the transactions contemplated herein and therein.

         21.    Survival.  All representations and warranties of the Grantors
hereunder shall survive the execution and delivery of this Security Agreement,
the other Credit Documents and the other documents relating to the Secured
Obligations, the delivery of the Notes and the extension of credit thereunder or
in connection therewith.

         22.    Other Security. To the extent that any of the Secured
Obligations are now or hereafter secured by property other than the Collateral
(including, without limitation, real property and securities owned by a
Grantor), or by a guarantee, endorsement or property of any other Person, then
the Administrative Agent shall have the right to proceed against such other
property, guarantee or endorsement upon the occurrence of any Event of Default,
and the Administrative Agent shall have the right, in its sole discretion, to
determine which rights, security, liens, security interests or remedies the
Administrative Agent shall at any time pursue, relinquish, subordinate, modify
or take with respect thereto, without in any way modifying or affecting any of
them or the Secured Obligations or any of the rights of the Administrative Agent
or the holders of the Secured Obligations under this Security Agreement, under
any of the other Credit Documents or under any other document relating to the
Secured Obligations.

         23.    Joint and Several Obligations of Grantors.

         (a)    Subject to subsection (c) of this Section 25, each of the
Grantors is accepting joint and several liability hereunder in consideration of
the financial accommodation to be provided by the holders of the Secured
Obligations, for the mutual benefit, directly and indirectly, of each of the
Grantors and in consideration of the undertakings of each of the Grantors to
accept joint and several liability for the obligations of each of them.

         (b)    Subject to subsection (c) of this Section 25, each of the
Grantors jointly and severally hereby irrevocably and unconditionally accepts,
not merely as a surety but also as a co-debtor, joint and several liability with
the other Grantors with respect to the payment and performance of all of the
Secured Obligations arising under this Security Agreement, the other Credit
Documents and any other documents relating to the Secured Obligations, it being
the intention of the parties hereto that all the Secured Obligations shall be
the joint and several obligations of each of the Grantors without preferences or
distinction among them.

         (c)    Notwithstanding any provision to the contrary contained herein,
in any other of the Credit Documents or in any other documents relating to the
Secured Obligations, the obligations of each Guarantor under the Credit
Agreement and the other Credit Documents shall be limited to an aggregate amount
equal

                                       15

<PAGE>

to the largest amount that would not render such obligations subject to
avoidance under Section 548 of the Bankruptcy Code or any comparable provisions
of any applicable state law.

                            [Signature Pages Follow]

                                       16

<PAGE>

         Each of the parties hereto has caused a counterpart of this Security
Agreement to be duly executed and delivered as of the date first above written.

GRANTORS:                           FTI CONSULTING, INC.,
                                    a Maryland corporation

                                    By: /s/ Theodore I. Pincus
                                       -----------------------------------------
                                    Name:   Theodore I. Pincus
                                    Title:  Executive Vice President and Chief
                                            Financial Officer

                                    FTI APPLIED SCIENCES (ANNAPOLIS), LLC,
                                    a Maryland limited liability company
                                    FTI CORPORATE RECOVERY, INC.,
                                    a Maryland corporation
                                    FTI LITIGATION CONSULTING, LLC,
                                    a Maryland limited liability company
                                    KAHN CONSULTING, INC.,
                                    a New York corporation
                                    KLICK, KENT & ALLEN, INC.,
                                    a Virginia corporation
                                    L.W.G., INC.,
                                    an Illinois corporation
                                    POLICANO & MANZO, L.L.C.,
                                    a New Jersey limited liability company
                                    RESTORTEK, INC.,
                                    an Illinois corporation
                                    S.E.A., INC.,
                                    an Ohio corporation
                                    TECHNOLOGY & FINANCIAL CONSULTING, INC.,
                                    a Texas corporation
                                    TEKLICON, INC.,
                                    a California corporation

                                    By: /s/ Theodore I. Pincus
                                       -----------------------------------------
                                    Name:   Theodore I. Pincus
                                    Title:  Treasurer of each of the foregoing
                                            Grantors

Accepted and agreed to as of the date first above written.

Bank of America, N.A.,
as Administrative Agent

By: /s/ Michael Brashler
   -----------------------------------------
Name:    Michael Brashler
Title:   Agency Officer

<PAGE>

                                  Schedule 2(d)

                             COMMERCIAL TORT CLAIMS

None.

<PAGE>

                               Schedule 4(a)(iii)

            MERGERS, CONSOLIDATIONS, CHANGES IN STRUCTURE, TRADENAMES

         1.  FTI Consulting, Inc. was formerly known as Forensic Technologies
International Corporation. FTI changed its name on June 8, 1998.

         2.  RestorTek, Inc. was formerly known as Contract Replacement Corp.
RestorTek changed its name on March 30, 1995.

         3.  Technology & Financial Consulting, Inc. has not used any corporate
or fictitious name other than its current name. On March 31, 2001, however, in
order to convert from a limited liability company to a corporation, Technology &
Financial Consulting, Inc. acquired all of the assets and liabilities of
Technology & Financial Consulting, LLC.

         4.  In the State of North Carolina, L.W.G., Inc. does business as
Electronic Consultants Group, Inc., and in the State of Ohio, L.W.G., Inc. does
business as Electronic Consultants Group.

         5.  S.E.A., Inc. was formerly known as SEA Investigations Division,
Inc. S.E.A., Inc. changed its name on December 19, 1984. Currently, in the
States of Florida and North Carolina and the Commonwealth of Virginia, S.E.A.,
Inc. does business as SEA Investigations of Ohio, Inc.

<PAGE>

                                SCHEDULE 5(f)(i)

                                     NOTICE

                                       OF

                           GRANT OF SECURITY INTEREST

                                       IN

                                   COPYRIGHTS

United States Copyright Office

Ladies and Gentlemen:

         Please be advised that pursuant to the Security Agreement dated as of
August 30, 2002 (as the same may be amended, modified, extended or restated from
time to time, the "Security Agreement") by and among the Grantors party thereto
(each an "Grantor" and collectively, the "Grantors") and Bank of America, N.A.,
as Administrative Agent (the "Administrative Agent") for the holders of the
Secured Obligations referenced therein, the undersigned Grantor has granted a
continuing security interest in and continuing lien upon, the copyrights and
copyright applications shown on Schedule 1 attached hereto to the Administrative
Agent for the ratable benefit of the holders of the Secured Obligations.

         The undersigned Grantor and the Administrative Agent, on behalf of the
holders of the Secured Obligations, hereby acknowledge and agree that the
security interest in the copyrights and copyright applications set forth on
Schedule 1 attached hereto (i) may only be terminated in accordance with the
terms of the Security Agreement and (ii) is not to be construed as an assignment
of any copyright or copyright application.

                                              Very truly yours,

                                              __________________________________
                                              [Grantor]

                                              By:_______________________________
                                              Name:
                                              Title:

Acknowledged and Accepted:

BANK OF AMERICA, N.A., as Administrative Agent

By:_________________________________________
Name:
Title:

<PAGE>

                                SCHEDULE 5(f)(ii)

                                     NOTICE

                                       OF

                           GRANT OF SECURITY INTEREST

                                       IN

                                     PATENTS

United States Patent and Trademark Office

Ladies and Gentlemen:

         Please be advised that pursuant to the Security Agreement dated as of
August 30, 2002 (the "Security Agreement") by and among the Grantors party
thereto (each an "Grantor" and collectively, the "Grantors") and Bank of
America, N.A., as Administrative Agent (the "Administrative Agent") for the
holders of the Secured Obligations referenced therein, the undersigned Grantor
has granted a continuing security interest in and continuing lien upon, the
patents and patent applications set forth on Schedule 1 attached hereto to the
Administrative Agent for the ratable benefit of the holders of the Secured
Obligations.

         The undersigned Grantor and the Administrative Agent, on behalf of the
holders of the Secured Obligations, hereby acknowledge and agree that the
security interest in the patents and patent applications set forth on Schedule 1
attached hereto (i) may only be terminated in accordance with the terms of the
Security Agreement and (ii) is not to be construed as an assignment of any
patent or patent application.

                                                     Very truly yours,

                                                     ___________________________
                                                     [Grantor]

                                                     By:________________________
                                                     Name:
                                                     Title:

Acknowledged and Accepted:

BANK OF AMERICA, N.A., as Administrative Agent

By:_________________________________________
Name:
Title:

<PAGE>

                               SCHEDULE 5(f)(iii)

                                     NOTICE

                                       OF

                           GRANT OF SECURITY INTEREST

                                       IN

                                   TRADEMARKS

United States Patent and Trademark Office

Ladies and Gentlemen:

         Please be advised that pursuant to the Security Agreement dated as of
August 30, 2002 (the "Security Agreement") by and among the Grantors party
thereto (each an "Grantor" and collectively, the "Grantors") and Bank of
America, N.A., as Administrative Agent (the "Administrative Agent") for the
holders of the Secured Obligations referenced therein, the undersigned Grantor
has granted a continuing security interest in and continuing lien upon, the
trademarks and trademark applications set forth on Schedule 1 attached hereto to
the Administrative Agent for the ratable benefit of the holders of the Secured
Obligations.

         The undersigned Grantor and the Administrative Agent, on behalf of the
holders of the Secured Obligations, hereby acknowledge and agree that the
security interest in the trademarks and trademark applications set forth on
Schedule 1 attached hereto (i) may only be terminated in accordance with the
terms of the Security Agreement and (ii) is not to be construed as an assignment
of any trademark or trademark application.

                                                     Very truly yours,

                                                     ___________________________
                                                     [Grantor]

                                                     By:________________________
                                                     Name:
                                                     Title:

Acknowledged and Accepted:

BANK OF AMERICA, N.A., as Administrative Agent

By:_________________________________________
Name:
Title:<PAGE>

                                                                    Exhibit 10.4

                          TRANSITION SERVICES AGREEMENT

          This TRANSITION SERVICES AGREEMENT (this "Agreement") is made as of
August 30, 2002 by and between PricewaterhouseCoopers LLP, a Delaware limited
liability partnership, having an office at 1301 Avenue of the Americas, New
York, New York ("Seller") and FTI Consulting, Inc., a Maryland corporation,
having an office at 900 Bestgate Road, Annapolis, Maryland ("Buyer").

                                    RECITALS

          A. WHEREAS, pursuant to an Agreement for the Purchase and Sale of
Assets, dated as of July 24, 2002, between Seller and Buyer (as it may be
amended from time to time, the "Asset Purchase Agreement"), Seller transferred
certain assets to Buyer and Buyer assumed certain liabilities as set forth
therein (the "Transfer");

          B. WHEREAS, prior to the Transfer, the Business had been receiving
certain internal support services from Seller;

          C. WHEREAS, in connection with the Transfer, each of Seller and Buyer
desires that certain, but not all, of those services continue to be provided to
Buyer after the Transfer upon the terms and conditions set forth in this
Agreement.

          NOW, THEREFORE, in consideration of the mutual agreements, covenants,
representations and warranties contained herein and other good and valuable
consideration, the receipt and sufficiency of which are hereby acknowledged, and
subject to the terms and conditions hereinafter set forth, and intending to be
legally bound hereby, the parties hereto hereby agree as follows:

                                    AGREEMENT

     1.   Definitions

          1.1 Defined Terms

          Unless otherwise defined herein, terms used herein shall take the
meaning given them in the Asset Purchase Agreement. Otherwise, for the purposes
of this Agreement, the following words and phrases shall have the following
meanings whenever used in this Agreement (including the Schedules and Exhibits
hereto):

          "Actual Costs" has the meaning assigned in Section 3.8(a).

          "Actual Cost Drivers" has the meaning assigned in Section 3.8(a).

          "Additional Service" has the meaning assigned in Section 2.2 (a).

          "Additional Service Change Request" has the meaning assigned in
Section 2.2(b).

          "Additional Service Investment Cost" has the meaning assigned in
Section 2.2(b).

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<PAGE>

          "Additional Services Change Proposal" has the meaning assigned in
Section 2.2(b).

          "Additional Services Cost" has the meaning assigned in Section 2.2(b).

          "Agreement" has the meaning assigned in the preamble.

          "Asset Purchase Agreement" has the meaning assigned in recital A.

          "Basic Services" means those services described on Schedule A.

          "Buyer" has the meaning assigned in the preamble.

          "Buyer Payment" has the meaning assigned in Section 3.8(d).

          "Cost Drivers" has the meaning assigned in Section 2.1(a).

          "Discontinued Service" has the meaning assigned in Section 7.1(b).

          "Dispute Notice" has the meaning assigned in Section 3.8(b).

          "End Date" has the meaning assigned in Section 2.1(c).

          "Impositions" has the meaning assigned in Section 3.10.

          "Initial Estimate" has the meaning assigned in Section 3.2(b).

          "Initial Volume" has the meaning assigned in Section 2.1(a).

          "Insurance Costs" has the meaning assigned in Section 3.5.

          "Locations" has the meaning assigned in Section 2.1(a).

          "Parties" means Seller and Buyer, collectively, and "Party" means each
of them.

          "Pass-Through Costs" has the meaning assigned in Section 3.6.

          "Quality Standard" has the meaning assigned in Section 2.1(b).

          "Real Estate Required Services" means those Services identified on
Schedule J which Seller is required to provide and Buyer is required to accept
for each Location until Buyer vacates such Location; provided, however, that if
at any time, Seller ceases to provide a Real Estate Required Service for its own
account such Service shall cease to be a Real Estate Required Service upon sixty
(60) days advance notice to Buyer.

          "Seller" has the meaning assigned in the preamble.

          "Seller Payment" has the meaning assigned in Section 3.8(d).

                                        2

<PAGE>

          "Services" means the Basic Services and the Additional Services.

          "Statement" has the meaning assigned in Section 3.8(a).

          "Term" has the meaning assigned in Section 7.1(a).

          "Total Payments" has the meaning assigned in Section 3.8(a).

          "Transfer" has the meaning assigned in recital A.

          "TSA Databases" has the meaning assigned in Section 2.11.

     2.   Agreement to Sell and Buy

          2.1 Provision of Basic Services

          (a) Seller agrees to provide or cause to be provided to Buyer, and
Buyer agrees to accept, for use in the Business, the Services in the areas of
Infrastructure and Information Technology described in Schedule A at such head
count, usage, transaction, percentage occupancy and square footage (the "Cost
Drivers") levels as used for purposes of determining the pricing set forth on
Schedule D (the "Initial Volume"), plus up to a 10% increase based on the
applicable Cost Drivers to accommodate normal growth of the current operations
of the Business during the term hereof, at the locations set forth on Schedule F
(the "Locations"), all in accordance with the terms of this Agreement.

          (b) Seller shall not be required to provide to Buyer (i) increased
volume with respect to any Basic Service more than 10% above the Initial Volume
with respect to such Basic Service, (ii) any Basic Service at a level of quality
that is higher than the level of quality, if any, at which such Basic Service is
generally performed by Seller for itself at the time in question (the "Quality
Standard"), or (iii) any Basic Service to a location other than the Locations,
subject to Section 2.1(d).

          (c) If during the Term Seller relocates from an office in which Buyer
is sharing space with Seller, Seller shall be obligated to continue to provide
to Buyer the Services then being provided to Buyer at such Location (but not at
a new location to which Buyer may relocate its employees in the Business then at
such existing Location) through the earlier of the end of the current term of
the lease for the Location being vacated or the termination of this Agreement
(such earlier date, the "End Date"); provided, however, that if Seller
determines in Seller's sole discretion that it is not reasonably practicable to
provide such Services to Buyer at such Location, Seller may request Buyer to
move from a Location at which Buyer shares space with Seller prior to the End
Date, and Buyer may, within its sole discretion, agree to relocate to a new
location if so requested. In such case, Seller shall provide Buyer with space in
the new location reasonably equivalent in terms of size, appearance, quality and
functionality as the space being vacated by Buyer at the then existing level of
the Business' business operations in the space being vacated by it; provided,
however, that if Buyer, within its sole discretion, does not agree to relocate
to the new location, then Seller's obligation to continue to provide Buyer the
Services then being provided to Buyer shall terminate thirty (30) days following
the date Seller initially requested Buyer to move to the new location . The
terms of the foregoing sentence shall

                                       3

<PAGE>

apply equally when prior to the End Date Seller vacates a Location in which
Buyer is sharing space and Buyer as a result is required to relocate; but the
terms of such sentence shall not apply in any case in which Seller is relocating
and/or Buyer is required to relocate because the term of the applicable lease
has ended.

          (d) If for any reason Buyer relocates employees of the Business from a
Location to Buyer's own space that is located within reasonable geographic
proximity to the Location, Seller shall during the Term continue to provide
Basic Services (other than Real Estate Required Services) remotely to such
relocated employees of the Business. Such remotely-provided Basic Services shall
be provided in the same manner, and at substantially the same level of
functionality, as Seller provides for its employees who are working remotely,
subject to any constraints Buyer's own space imposes on Seller's ability to
provide such Basic Services remotely, but shall not include the services
described on Schedule G.

          2.2 Provision of Additional Services

          (a) Subject to Sections 2.1(b) and 2.3, Seller may agree to furnish to
Buyer (i) Basic Services at a volume greater than the Initial Volume, at a level
of quality higher than the Quality Standard or at a location other than the
Locations, or (ii) services other than Basic Services, as Buyer may reasonably
request, including those set forth in Schedule B. Any such service so furnished
or so requested by Buyer and provided by Seller shall constitute an "Additional
Service" for the purposes of this Agreement. Any agreement by Seller to any
requests for Additional Services which do not involve any Additional Service
Investment Costs shall be made in Seller's reasonable discretion and subject to
reaching agreement on the terms set forth in the penultimate sentence in Section
2.2(b); otherwise such agreement shall be in Seller's sole discretion.

          (b) Upon receipt of any request for Additional Services (each, an
"Additional Service Change Request"), Seller will evaluate (i) the costs Seller
would incur in upgrading or expanding its infrastructure, facilities or systems,
and the initial costs of any increased hiring, in order to be able to provide
the requested Additional Services (the "Additional Service Investment Cost") and
(ii) the ongoing costs of providing the Additional Services (the "Additional
Services Costs"). As soon as reasonably practicable after receipt of an
Additional Service Change Request, Seller shall either (x) inform Buyer in
writing that it declines to provide the requested Additional Service or (y)
submit in writing to Buyer the results of its evaluation and a proposal that
sets forth the terms pursuant to which Seller would be willing to provide the
requested Additional Services (the "Additional Services Change Proposal"). If
Seller does not so decline, Seller and Buyer will then enter into negotiations
to see if agreement can be reached upon the estimated Additional Service
Investment Cost, the estimated Additional Services Costs and the parameters
under which Seller will provide the requested Additional Services; failing
reaching agreement on these terms, Seller shall have no obligation to provide
such Additional Services. Each Additional Service Change Proposal must be
approved in writing by Buyer or its authorized designee prior to Seller
implementing an Additional Service Change Request.

                                        4

<PAGE>
          2.3 No Obligation to Upgrade

          Nothing in this Agreement requires Seller to upgrade or expand its
infrastructure, facilities or systems, or hire additional employees, to provide
Additional Services. If Seller agrees to undertake such upgrade, expansion or
increased hiring in connection with an Additional Service Change Request, Buyer
will pay all Additional Service Investment Costs attributable to Buyer. If, at
the time of such upgrade, expansion or hiring, an Additional Service is also
being or will be provided to Seller or other third parties that constitute
former business units of Seller, the portion of the Additional Service
Investments Cost for such upgrades, expansions and increased hiring shall be
prorated among all the parties benefiting from such upgrade, expansion or
increased hiring. If Buyer is provided with an Additional Service for which the
costs of any required upgrade, expansion or hiring have been previously paid or
born by Seller or such other third parties, then at the time of the commencement
of such services for Buyer, Buyer shall pay a pro rata share of such costs.
Buyer shall not take any action that would result in an upgrade or other change
to any Service without Seller's prior written consent which may be withheld in
Seller's sole discretion. If Buyer has paid for the costs of any upgrades,
expansion or hiring related to any Additional Service being provided to it and
thereafter, at any time during the Term, Seller or any such other third party
begins receiving such services, then Seller shall charge such other persons for
their pro rata share of such costs and refund to Buyer an equitable portion
thereof such that Buyer shall have only paid a pro rata portion of such costs.

          2.4 Seller Rights and Responsibilities

          (a) Unless otherwise agreed by the Parties, at any time during the
Term and subject to Article 6, Seller shall use its reasonable efforts to
provide the Basic Services to Buyer in a manner and at a quality level that is
substantially the same as the manner and quality level in which such Basic
Services are generally performed at such time by Seller for itself.

          (b) Seller shall have the right to shut down temporarily for
maintenance purposes the operation of any facilities providing any Service
whenever in its judgment, reasonably exercised, such action is necessary. Seller
shall give Buyer as much advance notice as is practicable of any such shutdown,
which notice, where feasible, shall be given in writing. With respect to the
Services dependent on the operation of such facilities, Seller shall be relieved
of its obligations hereunder to provide such Services during the period that
such facilities are so shut down but shall use reasonable efforts to minimize
each period of shutdown for such purpose and to schedule such shutdown so as not
to inconvenience or disrupt the conduct of the Business by Buyer.

          (c) Seller may modify a Service to the extent such modification is
applicable to Seller's provision of such service for itself; provided, however,
that, if a modification by Seller pursuant to this Section is a material
modification (as reasonably determined by Seller), Seller shall provide at least
thirty (30) days' written notice to Buyer prior to the date on which Seller
implements such modifications. Seller may modify a Service to the extent such
modification is applicable to Seller's provision of such Service solely for
Buyer's account; provided, however, that, if a modification by Seller pursuant
to this sentence is a material modification (as reasonably determined by
Seller), Seller shall obtain the prior written consent of Buyer, which consent
shall not be unreasonably withheld, and Seller shall provide at least thirty

                                        5

<PAGE>

(30) days' written notice to Buyer prior to the date on which Seller implements
such modification. Buyer's responsibilities set forth in Schedule C hereto shall
be amended as necessary to conform to any such modifications made pursuant to
this Section 2.4(c), and Buyer shall comply with any amendments to such
responsibilities arising from such modifications. Subject only to the foregoing
and to Section 2.4(a) above, in providing its Services hereunder, Seller may use
any information systems, hardware, software, processes and procedures it deems
necessary or desirable in its reasonable discretion.

          (d) Without the consent of Buyer, Seller may engage any third party
(including any affiliate of Seller) to provide a Service hereunder or delegate
performance of all or any part of its obligations hereunder to any such third
party; provided, that such engagement or delegation does not result in the
diminution of the quality of the provision of such Service; and, provided,
further, that Seller is using such third party to provide such Service to
itself. If Seller wishes to engage a third party to provide a Service, or
delegate the performance of any of its obligations hereunder, solely to Buyer,
then such engagement or delegation shall be subject to the reasonable consent of
Buyer.

          (e) If during the Term any third party agreement in effect as of the
Closing Date pursuant to which a Service is being provided hereunder expires or
is terminated and such Service (or a service substantially similar thereto) is
not thereafter provided by Seller either by itself or pursuant to another third
party agreement, Seller shall use reasonable efforts to provide such Service
itself or through a third party designated by Seller in its sole discretion.

          2.5 Priorities

          In providing Services, Seller shall accord Buyer the same priority it
accords its own operations.

          2.6 Disclaimer of Warranty

          EXCEPT AS EXPRESSLY SET FORTH IN THIS AGREEMENT, THE GOODS AND
SERVICES TO BE PROVIDED UNDER THIS AGREEMENT ARE FURNISHED AS IS, WHERE IS, WITH
ALL FAULTS AND WITHOUT WARRANTY OF ANY KIND, EXPRESS OR IMPLIED, INCLUDING ANY
WARRANTY OF MERCHANTABILITY OR FITNESS FOR ANY PARTICULAR PURPOSE. SELLER DOES
NOT MAKE ANY WARRANTY THAT ANY GOOD OR SERVICE COMPLIES WITH ANY LAW.

          2.7 Buyer Responsibilities

          The provision of the Services by Seller on a continuing basis is
dependent on the timely compliance by Buyer with its responsibilities set forth
in Schedule C, but the fees and charges of the Services shall only be adjusted
if Buyer has not complied with such responsibilities in all material respects
and such material non-compliance results in additional costs for Seller to
provide such Services. Buyer and Seller agree that the level of quality for
delivery of the Services shall be equitably adjusted to reflect the effects of
such non-compliance, and Seller shall not be deemed to be in breach of its
obligations hereunder by reason of any delays in its performance or diminution
in quality of the Services to the extent resulting from any

                                        6

<PAGE>

such non-compliance. Buyer shall use the Services for substantially the same
purposes and in substantially the same manner as the Business had used the
Services immediately prior to the Closing Date. Buyer shall make available to
Seller on a timely basis all information and materials reasonably requested by
Seller to enable Seller to provide the Services, including the information and
materials described on Schedule C. Buyer shall give Seller reasonable access,
during regular business hours and at such other times as are reasonably
required, to Buyer's premises as necessary for the purpose of providing the
Services.

          2.8 Use of Services

          Seller shall be required to provide the Services only to Buyer in
connection with the conduct by Buyer of the Business. Buyer shall not resell any
Services to any Person whatsoever or permit the use of the Services by any
Person; provided, however, that Buyer may use the Services in providing services
to third parties in the ordinary course of the Business.

          2.9 Books and Records; Equipment

          Seller shall keep books and records of the Services provided hereunder
in the same detail and with the same accuracy that Seller keeps its books and
records with respect to its own use of the Services and reasonable supporting
documentation of all out-of-pocket costs incurred in connection with providing
such Services. Seller shall make such books and records available to Buyer, upon
reasonable notice describing in reasonable detail the books and records
requested, during normal business hours; provided, that to the extent that such
books and records can not be, or are not in the ordinary course, segregated from
the books and records relating to any other aspects of Seller's operations in
Seller's reasonable judgment Buyer shall have access to such unsegregated books
and records; provided, however, that Buyer shall in no event have access to any
such books and records relating to a business that both Buyer and Seller are
engaged in; provided, further, that, if a competitor of Seller acquires a
greater than 10% ownership interest in Buyer (excluding any Person with such
ownership percentage who has been agreed by Seller), Buyer shall not have access
to any such unsegregated books and records, but, if requested by Buyer, Seller
shall prepare, at Buyer's expense, summaries of the information therein related
to the Services provided to Buyer. Other than as expressly provided in Schedule
A, Buyer shall not have any access to Seller's equipment.

          2.10 Provision of Space at the Locations

          The Transferred Employees may continue to work in the Locations during
the Term subject to the terms and conditions hereof and subject to the terms and
conditions contained in the form of Desk Sharing License attached hereto as
Exhibit A; provided, however, that Buyer agrees that it is an immediate and high
priority of Buyer to vacate the Location in New York City and shall therefore
use its best commercial efforts to vacate the Location in New York City prior to
the end of the Term. Buyer shall provide written notice to Seller at least sixty
(60) days in advance of vacating the Location in New York City, and at such time
that Buyer vacates the Location in New York City, the terms of this Agreement
shall cease to apply to such Location and the Transferred Employees located
therein.

                                        7

<PAGE>

          2.11 Temporary License for Certain Databases

          Seller grants Buyer a non-exclusive, royalty-free temporary license
for the Term to use, in connection with the Services, the databases listed on
Schedule H (the "TSA Databases"). The license will terminate, and all rights
granted to Buyer to use the TSA Databases shall revert to Seller, upon
termination of this Agreement. Buyer covenants that within a reasonable time
after the termination of this Agreement it will (i) delete from all personal
computers and servers then in Buyer's possession any and all electronic copies
of the TSA Databases or any portions thereof and (ii) destroy or return to
Seller all printed copies of the TSA Databases or any portions thereof.

          2.12 Employee Leasing Arrangement

          Seller agrees to lease to Buyer certain employees pursuant to the
terms set forth in Exhibit B hereto.

     3.   Cost of Services; Payment

          3.1  Cost of Services

          Buyer shall pay Seller for (i) the fully allocated costs of the
Services from and after the Closing Date plus (ii) all personnel and setup costs
necessary to enable Seller to segregate the services from those previously
delivered to the Business and to enable Seller to deliver Services hereunder.

          3.2  Payment of Estimated Basic Service Costs

          (a)  Buyer will make monthly payments to Seller based on estimates of
the costs of the Basic Services during the Term, as set forth in this Section.

          (b)  The estimate of the annual costs to be incurred by Seller with
respect to the Basic Services to be provided Buyer during the Term is set forth
on Schedule D (the "Initial Estimate"). The Initial Estimate is based on (i) the
methodologies, and on the headcount, percentage usage, percentage occupancy and
square footage assumptions, set forth in Schedule D and (ii) the assumptions set
forth on Schedule E.

          (c)  During the Term, Buyer shall make monthly payments to Seller
equal to the Initial Estimate multiplied by a fraction the numerator of which is
one (1) and the denominator of which is twelve (12), decreased each month by the
costs, if any, of any Services terminated in any prior month in accordance with
Section 7.1(b). Buyer will make such monthly payment with respect to each month
on the first business day of the month for which services are provided. If the
Term begins on a day other than the first day of a month, the first monthly
payment shall be pro rated based on the number of days between the Closing Date
and the end of the first month.

                                        8

<PAGE>

          3.3 Payment of Estimated Additional Service Costs

          Upon approval by Buyer of an Additional Service Change Proposal,
pursuant to Section 2.2(b) hereof, Buyer shall for the remainder of the Term
increase each monthly payment due pursuant to Section 3.2 by an amount equal to
the estimated Additional Services Costs for the remainder of such Term divided
by the number of months or partial months remaining in such Term.

          3.4 Payment of Additional Service Investment Costs

          Seller shall separately invoice Buyer for Additional Service
Investment Costs for any month in which such costs are incurred. Buyer shall pay
such invoiced amounts within thirty (30) days after receipt of the invoice.

          3.5 Payment of Insurance Costs

          Buyer shall pay to Seller Buyer's pro rata portion of the costs (the
"Insurance Costs") of any insurance maintained by Seller with respect to claims
arising for damages insured by usual personal injury liability coverage, claims
for damages by reason of injury to or destruction of tangible property and other
damages relating to the shared space. Buyer shall be invoiced for such Insurance
Costs on a monthly basis. Buyer shall pay such invoiced amounts within ten (10)
days after receipt of the invoice.

          3.6 Payment of Pass-Through Costs

          Buyer shall pay to Seller third-party vendor costs incurred by Seller
in providing the Services that Seller customarily charges its lines of service
as accounts payable rather than includes in overhead allocations ("Pass-Through
Costs"). Pass-Through Costs include, but are not necessarily limited to, certain
costs related to leased computers (including software license and maintenance
fees and computer rental fees), virtual private network (VPN) usage, licenses
for intellectual property, Microsoft project licenses, express delivery and
courier charges, parking and office supplies. A description of illustrative
Pass-Through Costs is attached as Schedule I. Pass-Through Costs will be in
addition to the monthly payments required by Section 3.2(c) and Additional
Service Investment Costs and will be separately invoiced to Buyer based on the
actual costs thereof. Payment will be due within thirty (30) days after receipt
of the invoice.

          3.7 Withholding Payment

          Buyer shall not withhold any undisputed amounts due to Seller under
this Agreement. Any disputed amounts under this Agreement that may be pending
between the Parties (any required adjustment as a result of any such dispute to
be made on subsequent invoices from Seller) may be withheld, so long as such
dispute is subject to the dispute resolution procedures in accordance with
Section 3.8(b). Any amounts not paid when due shall accrue interest until paid
at an annual rate equal to the lesser of (i) the London Interbank Offered Rate
plus two percentage points or (ii) the maximum rate allowed by applicable law.

                                        9

<PAGE>

          3.8 Reconciliation

          (a) Within sixty (60) days after December 31, 2002 and the end of the
Term, Seller shall (i) determine, at such level of accounting detail as is
reasonable and practicable, (A) the actual levels of the Cost Drivers at which
Services were provided to the Business during such term (the "Actual Cost
Drivers") and (B) the total costs of the Services provided during such term
using the Actual Cost Drivers (1) as can be determined using the same
methodologies and assumptions as are set forth in Schedule D or (2) as were
agreed in connection with any Additional Services added during such term, in
each case, as applied to actual costs (the "Actual Costs") and (ii) deliver to
Buyer a statement (the "Statement") setting forth the Actual Costs and the total
of the monthly payments made with respect to such term pursuant to Sections 3.2
and 3.3 (the "Total Payments"). The calculation of Actual Costs shall not
include Additional Service Investment Costs, Pass-Through Costs and Insurance
Costs, inasmuch as such costs are invoiced to Buyer on the basis of Seller's
actual costs as incurred pursuant to Sections 3.4, 3.5 and 3.6. As soon as
practicable and in any event no later than thirty (30) days after the end of
each calendar quarter, Seller shall provide to Buyer non-binding reports of its
good faith estimate of the cost of Services provided by Seller in the previous
calendar quarter.

          (b) Buyer shall notify Seller no later than forty-five (45) days after
receipt of each Statement if Buyer disagrees with Seller's calculation of Actual
Costs or Total Payments as set forth in the Statement, which notice (the
"Dispute Notice") shall set forth in reasonable detail the basis for such
disagreement and Buyer's calculation of the dollar amount of the Actual Costs
and Total Payments. Seller will give Buyer and its representatives access during
normal business hours to the personnel, books and records of Seller reasonably
necessary to enable Buyer to determine its agreement or disagreement with the
Statement prepared by Seller. If no Dispute Notice is received by Seller within
such forty-five (45) day period, Seller's calculation of Actual Costs and Total
Payments shall be final and binding on the Parties. Upon receipt by Seller of a
Dispute Notice, Buyer and Seller shall cooperate and use their best efforts to
resolve such dispute among themselves. If they are unable to resolve their
dispute within thirty (30) days (or such longer period as may be agreed to
between the Parties) after Seller's receipt of the Dispute Notice, then the
Parties shall have whatever rights may be available to them at law, subject to
Sections 10.4 and 10.5 of the Asset Purchase Agreement.

          (c) Within thirty (30) days after the determination of Actual Costs
and Total Payments has become final as a result of Buyer's failure to submit a
timely Dispute Notice, (i) if Actual Costs exceed Total Payments, Buyer shall
pay Seller the difference between Actual Costs and Total Payments or (ii) if
Total Payments exceed Actual Costs, Seller shall pay Buyer the difference
between Total Payments and Actual Costs.

          (d) If Buyer submits a Dispute Notice, then

          (i) (A) if Actual Costs exceed Total Payments as calculated by each of
Seller and Buyer but in differing amounts, then Buyer will pay Seller the
smaller difference within thirty (30) days after submission of the Dispute
Notice (the "Buyer Payment"); and then upon resolution, pursuant to Section
3.8(b) or at law, of the dispute covered by such Dispute Notice, (A) if Actual
Costs (as finally determined) exceed Total Payments (as finally determined) plus
any Buyer Payment, Buyer will pay Seller the difference, plus interest as

                                       10

<PAGE>

determined pursuant to Section 3.7, within thirty (30) days after such final
determination and (B) if Total Payments (as finally determined) plus any Buyer
Payment exceed Actual Costs (as finally determined), Seller will pay Buyer the
difference, plus interest as determined pursuant to Section 3.7, within thirty
(30) days after such final determination; or

               (ii)  if Total Payments exceed Actual Costs as calculated by each
of Seller and Buyer but in differing amounts, Seller will pay Buyer the smaller
difference within thirty (30) days after submission of the Dispute Notice (the
"Seller Payment"); and then, upon resolution, pursuant to Section 3.8(b) or at
law, of the dispute covered by such Dispute Notice, (A) if Total Payments (as
finally determined) minus any Seller Payment exceed Actual Costs (as finally
determined), Seller will pay Buyer the difference, plus interest as determined
pursuant to Section 3.7, within thirty (30) days after such final determination
and (B) if Actual Costs (as finally determined) exceed Total Payments (as
finally determined) minus any Seller Payment, Buyer will pay Seller the
difference, plus interest as determined pursuant to Section 3.7, within thirty
(30) days after such final determination; or

               (iii) if Actual Costs exceed Total Payments as calculated by one
Party but Total Payments exceed Actual Costs as calculated by the other Party,
then no payment is due from either Party until the dispute is settled; and then,
upon resolution, pursuant to Section 3.8(b) or at law, of the dispute covered by
such Dispute Notice, (A) if Actual Costs (as finally determined) exceed Total
Payments (as finally determined), Buyer will pay Seller the difference, plus
interest as determined pursuant to Section 3.7, within thirty (30) days after
such final determination and (B) if Total Payments (as finally determined)
exceed Actual Costs (as finally determined), Seller will pay Buyer the
difference, plus interest as determined pursuant to Section 3.7, within thirty
(30) days after such final determination.

          3.9  Allocation of Certain Expenses

          In addition to the foregoing amounts, Buyer shall bear the costs and
expenses of obtaining any and all consents from third parties which may be
necessary in connection with Seller's provision of Services to Buyer hereunder
and which are due to the separation of Buyer from Seller, and Buyer shall
reimburse Seller for any such costs and expenses Seller incurs in connection
with obtaining any such consents within thirty (30) days after being invoiced
therefor; provided, however, that Seller shall be responsible for the costs and
expenses relating to obtaining consents from the landlords of facilities at any
of the Locations to the extent such costs and expenses exceed $200,000 in the
aggregate; provided, further, that if such costs and expenses relating to
obtaining consents from the landlords of facilities at any Locations exceed
$200,000 in the aggregate, then the Buyer and Seller shall each use their best
efforts to find a mutually agreeable solution to minimize such costs and
expenses, including relocating Buyer to a new location as reasonably determined
by Seller.

          3.10 Taxes

          In addition to any amounts payable to Seller hereunder, within thirty
(30) days after receipt of an invoice for Impositions from Seller, Buyer shall
reimburse Seller for any sales, use, transfer, privilege, stamp, documentary,
value added, excise, commercial rent tax (if applicable) or other similar taxes,
charges or assessments of any nature not otherwise included in

                                       11

<PAGE>

the payments to be made hereunder (excepting any taxes based on the net income
of Seller) that Seller is required to pay on account of the provision of the
Services, that are levied or imposed by reason of the transactions contemplated
by this Agreement or with respect to payments made by Buyer for such Services
pursuant to this Agreement ("Impositions"). If Buyer claims an exemption from
any Imposition, or makes a claim that such Imposition is not applicable, then
Buyer shall furnish Seller with proper evidence of such exemption, along with
appropriate documentation necessary to obtain such exemption, or appropriate
documentation regarding the inapplicability of such Imposition, and Seller will
use reasonable efforts to obtain an exemption, refund or determination as
requested by Buyer at Buyer's expense. Buyer will cooperate with Seller in such
efforts. Notwithstanding any claim by Buyer of or for an exemption, refund or
inapplicability, if Seller is finally held liable for an Imposition, Buyer shall
promptly reimburse Seller for such amount plus any interest or penalties
assessed thereon or additions thereto. All payments to Seller pursuant to this
Agreement shall be made free and clear of and without deduction for any taxes;
provided, that if Buyer is required to deduct any taxes from such payments, then
(i) the sum payable shall be increased as necessary so that after making all
required deductions (including deductions applicable to additional sums payable
hereunder) Seller shall receive an amount equal to the sum it would have
received had no such deductions been made, (ii) Buyer shall make such deductions
and (iii) Buyer shall pay the full amount deducted to the relevant governmental
authority in accordance with applicable law.

         4.       Certain Covenants

                  4.1     Contact Persons

                  Within ten (10) days prior to the Closing Date, Seller and
Buyer shall each name an individual to serve as its respective point of contact.
Such individuals shall be responsible for the implementation of this Agreement
between Seller and Buyer, including resolution of any issues that may arise
during the performance hereunder on a day-to-day basis. Such individuals shall
meet once each calendar quarter throughout the Term as soon as practicable and
in any event no later than thirty (30) days after the end of each calendar
quarter and otherwise as reasonably requested by a Party to review the
performance of the Parties hereunder as well as the costs of the Services being
provided during such quarter and for the year to date.

                  4.2      Data Protection

                  Seller shall take necessary measures to protect Buyer's data
that is processed by Seller from unauthorized destruction, deletion, change or
disclosure to third parties, and to allow recovery of such data in events of
force majeure; provided, however, that Seller shall be deemed to have satisfied
this obligation if the measures taken to protect and recover Buyer's data are
equivalent to what Seller uses in carrying out its own businesses.

                  4.3      Personal Computers

                  Subject to the terms of its master leases for personal
computers, Seller agrees that it will provide to Buyer the use of personal
computers, together with all software currently thereon, that are Related to the
Business on the Closing Date until the termination of this Agreement. At Buyer's
election, upon the end of the Term, either (i) Seller and Buyer will use

                                       12

<PAGE>

reasonable efforts to negotiate, and obtain the lessor's consent to, a sublease,
assignment, partial assignment or other agreement to be effective upon
expiration of the Term in form and substance acceptable to each Party setting
forth the terms and conditions of Buyer's use of the personal computers from the
end of the Term through the end of the then-existing lease periods for such
personal computers, although neither Party has any legal obligation to do so, or
(ii) Buyer shall buy out the leases for such personal computers through the
payment of the remaining rental costs of such personal computers plus the fair
market value thereof. Neither the sublease nor any sale of personal computers at
the end of the Term gives any rights to the software currently on such personal
computers, all of which software shall be removed, overlaid or disabled by Buyer
prior to any such sublease or sale.

                  4.4      Shared Office Locations

                  Buyer shall take such action as is necessary to ensure, to the
extent not prohibited under the applicable lease, that, in Locations at which
both Seller and Buyer have employees, (i) the office space of Buyer is clearly
distinguishable from the office space of Seller and (ii) the Buyer office space
has office signage that is distinct and separate from the Seller office signage.
Seller shall reasonably cooperate with, and assist, Buyer, at Buyer's expense,
with such actions by Buyer.

         5.       Force Majeure

                  5.1      Force Majeure

                  Seller shall not be liable for any interruption of a Service,
any delay in providing any Service or any other failure to perform under this
Agreement when such interruption, delay or failure results, directly or
indirectly, from any cause or circumstance beyond Seller's reasonable control,
including strikes, lock-outs, acts or orders of any government (or agency or
instrumentality thereof), riot, war, insurrection, terrorism or other
hostilities, acts of a public enemy, embargo, fuel or energy shortage, power
outages or interruptions, fire, flood, earthquake or other acts of God,
accidents, telecommunication failures, malfunctions of equipment or software
programs, sabotage or computer viruses. In any such event, Seller's obligations
hereunder shall be postponed for such time as its performance is suspended or
delayed on account thereof. Seller will promptly notify Buyer, either orally or
in writing, upon learning of the occurrence of any such force majeure event.
Upon the cessation of the force majeure event, Seller will use reasonable
efforts to resume its performance hereunder with the least possible delay.

         6.       Liabilities

                  6.1      Obligation to Reperform

                  In the event of any breach of this Agreement by Seller as a
result of any error or defect in the provision of any Service, Seller shall use
its reasonable efforts to correct such error or defect or reperform such Service
at Seller's expense, and such correction or reperformance shall be Buyer's sole
remedy for such breach, unless such breach is the direct result of gross
negligence or willful misconduct by Seller or Seller is not able to correct the
error or defect or reperform the Service. If such a breach by Seller takes place
and Seller is not able to correct the

                                       13

<PAGE>

error or defect or reperform the Service within a reasonable amount of time
after Buyer notifies Seller of such breach or Seller becomes aware of such
breach, Seller shall reimburse Buyer for its reasonable out-of-pocket expenses
needed to obtain correction of the error or defect or reperformance of the
Service from a third party, which reimbursement shall be made within thirty (30)
days after receipt from Buyer of reasonably sufficient supporting documentation
of such expenses; provided, that Seller's liability for reimbursement of Buyer's
out-of-pocket expenses for any such correction or reperformance shall not exceed
the fees due and owing for the applicable Service over the immediately preceding
three full calendar months and paid to Seller and shall in any event remain
subject to Section 6.2. If (i) such a breach by Seller is the direct result of
its gross negligence or willful misconduct, or (ii) Seller breaches this
Agreement in a manner other than that described in the first sentence of this
Section 6.1, then, subject to Section 6.2, in each case, the liability of Seller
with respect to this Agreement or anything done in connection with this
Agreement (including the performance or breach of this Agreement) or with
respect to the provision or use of any Service provided under this Agreement,
whether in contract, tort or otherwise, shall not exceed the fees (excluding
third-party expenses) actually previously paid to Seller by Buyer in respect of
the Service from which any such liability arises. The basket in Section
8.2(g)(i) of the Asset Purchase Agreement shall not apply to claims hereunder,
but the limitation in Section 8.2(g)(ii) of the Asset Purchase Agreement shall
apply to claims made hereunder and payments made by Seller for breaches
hereunder pursuant to Section 8.2 of the Asset Purchase Agreement shall count
towards the aggregate cap in Section 8.2(g)(ii) of the Asset Purchase Agreement.
Notwithstanding anything to the contrary contained herein, Seller shall not be
liable to Buyer by reason of either the taking of any portion of any Location by
condemnation by eminent domain or for the unavailability of any portion of and
Location by reason of destruction, fire or other casualty. In addition, Seller
shall not be liable by reason of a failure of any landlord to satisfy any of its
obligations under any lease. Seller will undertake reasonable efforts to enforce
the terms of the lease but has no obligation to expend material funds or to
commence or pursue litigation.

                  6.2      Limitation of Liability

                  Seller's aggregate liability under this Agreement for damages
for all claims (including, but not limited to, claims arising under Section 8.2
of the Asset Purchase Agreement related to this Agreement) in the aggregate in a
calendar year arising out of Seller's performance or non-performance under this
Agreement or otherwise, whether in contract, tort or otherwise, shall be limited
to an amount not to exceed an amount equal to the fees (excluding third party
expenses) actually due to Seller hereunder for the 9 month period immediately
preceding the performance or non-performance to which the claim is attributable
and paid to Seller. The limitations and exclusions herein represent the Parties'
agreement for allocation of risk hereunder and apply to all causes of action or
claims in the aggregate, including: breach of contract; breach of warranty;
negligence, strict liability, misrepresentations, claims for failure to exercise
due care in the performance of the Services hereunder, and other torts; and any
statutory claims or cause of action based on the violation of any statute,
whether asserted by a governmental entity or private person.

                                       14

<PAGE>

                  6.3      Indemnity

                  Indemnification hereunder shall be handled as set forth in
Article 8 of the Asset Purchase Agreement, subject at all times to the
limitations set forth herein.

         7.       Term; Termination

                  7.1    Term; Termination

                  (a)    The Term of this Agreement shall be from 12:01 a.m. on
the Closing Date until 11:59 p.m. on the last day of the month that is on or
closest to the first anniversary of the Closing Date (the "Term"). The
obligation of Buyer to make a payment for any Services previously rendered shall
not be affected by the expiration of the Term and shall continue until full
payment is made.

                  (b)    Buyer may terminate (A) any Service (other than Real
Estate Required Services) or all Real Estate Required Services for all
Transferred Employees and (B) all Real Estate Required Services for a particular
Location, in each case without cost or penalty, upon at least sixty (60) days'
prior written notice to Seller; provided, however, that (i) Buyer may not
terminate the Real Estate Required Services for a Location unless and until
Buyer completely vacates such Location; (ii) Buyer may terminate a Service only
as of the last day of a month; and (iii) no Service which appears in the
left-hand column entitled "Service" of Schedule K hereto may be discontinued or
terminated at any Location (a "Discontinued Service") unless each of the
Services appearing on the line opposite such Discontinued Service in the
right-hand column entitled "Required Bundle" of Schedule K is also discontinued
or terminated at such Location, as the case may be. Such termination will be
without prejudice to Buyer's obligation to pay the cost of such Services as
provided herein at the same rate as prior to such notice of termination until
such service is terminated.

                  (c)    Upon the termination of a Service with respect to which
Seller holds books, records or files, including current and archived copies of
computer files, owned by Buyer and used by Seller in connection with the
provision of such Service to Buyer, Seller will return all of such books,
records or files as soon as reasonably practicable, but in no event more than
thirty (30) days, after such termination. Buyer shall bear Seller's costs and
expenses associated with the return of such documents. At its expense, Seller
may make a copy of such books, records or files for its legal files.

                  7.2    Rights of Termination

                  This Agreement is subject to termination as follows:

                  (a)    upon expiration of the Term;

                  (b)    upon the mutual consent of the Parties;

                  (c)    by either Party upon the bankruptcy or insolvency of
                         the other Party;

                                       15

<PAGE>

         (d) by Seller if any payment due from Buyer hereunder (which amount
Buyer has not previously disputed in writing) becomes more than two (2) months
past due; or

         (e) by Seller if required by any law, regulation or order applicable to
Seller upon notice to Buyer as soon as reasonably practicable after Seller
learns of such law, regulation or order.

         7.3 Amounts Due on Termination

         In the event of a termination of this Agreement, Seller shall be
entitled to all outstanding amounts due from Buyer on account of provision of
Services up to the date of termination.

         7.4 Effect of Termination

         Sections 3.7, 3.8, 3.9, 3.10 and 4.2 and Articles 6, 7 and 8 shall
survive any termination of this Agreement.

    8.   Miscellaneous

         8.1 Incorporation by Reference

         Those provisions of Article 10 of the Asset Purchase Agreement
pertaining expressly to the Collateral Documents are incorporated herein by
reference.

         8.2 Confidentiality; Security; Title to Data

         (a) Except as required by law, each Party agrees to maintain as
confidential and not to disclose to any third party any and all Confidential
Information of the other Party, except that Seller may disclose such
Confidential Information for the purpose of providing Services pursuant to this
Agreement to any third parties that provide such Services; provided, that any
such third party shall have agreed to be bound by this Section 8.2. However,
nothing herein will be deemed to prevent the receiving Party from disclosing any
Confidential Information received hereunder pursuant to any applicable law,
regulation or court order or, in the case of Seller, any professional rule or
standard; provided, further, that such receiving Party will immediately notify
the disclosing Party of such required disclosure and shall use its reasonable
commercial efforts to minimize or prevent such disclosure to the maximum extent
allowed under any such applicable law, regulation, court order or professional
rule or standard.

         (b) For so long as Buyer occupies a Location under this Agreement,
Buyer and Seller shall comply with the confidentiality policies and procedures
set forth in Schedule L hereto with respect to such Location.

         (c) Buyer acknowledges that it will acquire no right, title or interest
(including any license rights or rights of use) in any firmware or software
owned by Seller, and the licenses therefor to which Seller is a party, by reason
of Seller's provision of the Services hereunder. Buyer also acknowledges that,
while it may continue to have access to databases existing on or accessible
through the computer systems of Seller, Buyer will acquire no right, title or
interest

                                       16

<PAGE>

(including any license rights or rights of use) to any such databases, except to
the extent expressly licensed by Seller to Buyer. Buyer acknowledges that the
information contained in all such databases, including information regarding
clients of Seller, shall be treated as Confidential Information of Seller
hereunder. Without limitation of the foregoing, Buyer shall comply with the
confidentiality policy set forth in Schedule L attached hereto for so long as
Buyer occupies any Location.

                  (d)   Seller acknowledges that it will acquire no right, title
or interest (including any license rights or rights of use) in any firmware or
software owned by Buyer, and the licenses therefor for which Buyer is a party,
by reason of Seller's use or access thereto in connection with the provision of
the Services provided hereunder. Seller also acknowledges that it will acquire
no right, title or interest (including any license rights or rights of use) to
any databases existing on or accessible through the computer systems of Buyer,
except to the extent expressly licensed by Buyer to Seller. Seller acknowledges
that the information contained in all such databases, including information
regarding clients of Buyer, shall be treated as Confidential Information of
Buyer hereunder.

                  8.3   Independent Contractor

                  Seller shall perform the Services as an independent contractor
and this Agreement is not intended to create, nor shall it in any way be
interpreted to create, a joint venture, partnership or any other similar
relationship between Seller and Buyer. The employees of Buyer who, from time to
time, may occupy the Locations, shall not be considered to be employees of
Seller for any purpose whatsoever. This Agreement shall not be construed as
constituting Seller as agent for Buyer for any purpose whatsoever. Each Party
shall conduct its businesses at its own risk and expense and for its own account
and neither Party is granted any right or authority to create any obligations on
behalf or in the name of the other or to bind the other in any manner
whatsoever.

                  8.4   License

                  This Agreement is a license only and shall not be considered
to be a lease between the Seller and Buyer for any purpose whatsoever.

                  [REMAINDER OF PAGE INTENTIONALLY LEFT BLANK]

                                       17

<PAGE>

         IN WITNESS WHEREOF, each Party has caused this Agreement to be duly
executed on its behalf by its duly authorized officers as of the date first
written above.

                                PRICEWATERHOUSECOOPERS LLP

                                By:  /s/ Colin McKay
                                   ---------------------------------
                                   Name:  Colin McKay
                                   Title: Principal

                                  FTI CONSULTING, INC.

                                By:  /s/  Theodore I. Pincus
                                   ---------------------------------
                                   Name:  Theodore I. Pincus
                                   Title: Executive Vice President and Chief
                                          Financial Officer

                                       18

<PAGE>

                                                                       EXHIBIT B

                   TRANSITIONAL EMPLOYEES LEASING ARRANGEMENT

         _ In accordance with the provisions of this Exhibit B, Seller hereby
agrees to lease to Buyer the following employees: Joachim Englert; Maryam Ghazi;
Carl R. Jenkins; and Bobby Rajan (the "Leased Employees") during the Leasing
Period (as defined herein).

         1. Definitions. Initially capitalized terms used and not otherwise
defined herein shall have their respective meanings as set forth in the Asset
Purchase Agreement.

         2. Use of Employees. During the term of this Exhibit set forth in
Section 8 hereof, Seller shall provide Buyer with the exclusive use of the
Leased Employees to perform such tasks as Buyer may direct. Notwithstanding the
foregoing, the duties and job responsibilities of each Leased Employee shall be
consistent with such Leased Employee's responsibilities and position immediately
prior to the Closing, as assigned by, and subject to the sole supervision of,
Buyer, subject to any applicable employment agreements and except as modified
pursuant to express direction from Buyer. Buyer shall have the sole and
exclusive responsibility to supervise and direct all activities of the Leased
Employees. Seller shall instruct each Leased Employee to take direction from
Buyer. Seller agrees and covenants that, during the Leasing Period, Seller shall
not direct the job-related activities of the Leased Employees; provided,
however, that the Leased Employees shall remain subject to Seller's generally
applicable employment-related policies. Subject to the provisions of the next
sentence, during the Leasing Period, Seller will not permanently reassign,
promote or relocate any Leased Employee, or terminate the employment of any
Leased Employee other than for cause, without the prior consent of Buyer. Seller
has no obligation and is not responsible for replacing any Leased Employees who
resign, retire or otherwise leave the employ of Seller during the Leasing
Period, or for ensuring that any other person is available to provide the
services provided by such Leased Employees. Seller shall promptly notify Buyer
of the resignation, retirement or termination of any Leased Employee's
employment during the Leasing Period. Seller makes no representation or warranty
(express, implied or by operation of law) regarding the performance, competence,
skill or knowledge of any Leased Employee or the quality of the service to be
provided by any Leased Employee, except that Seller represents that the Leased
Employees were employed by Seller in connection with the Business Recovery
Services prior to the date of this Exhibit. Buyer shall be responsible for
complying with all safety, health and work-related laws, regulations and rules
with respect to the Leased Employees during the Leasing Period.

         3. Wages and Benefits. During the Leasing Period, the Leased Employees
shall remain at all times employees of Seller. Seller shall continue to provide
wages or salary and benefit plans and arrangements to each Leased Employee
identical to that provided by Seller immediately prior to the Closing Date,
except for changes made in the ordinary course of its business with respect to
its employees generally. Without limiting the foregoing, but subject to the
compliance by Buyer with its payment obligations set forth in Section 4, Seller
shall be responsible for (i) paying the base salaries of the Leased Employees
along with any bonuses to which such Leased Employees may be entitled or to
which Buyer otherwise agrees, (ii) the costs of the Leased Employees'
participation in the retirement and other employee benefit plans

                                       B-1

<PAGE>

sponsored by Seller (including without limitation the Retirement Benefit
Accumulation Plan for Employees of PricewaterhouseCoopers LLP and the Savings
Plan for Employees of PricewaterhouseCoopers LLP), (iii) workers' compensation
coverage of the Leased Employees, (iv) vacation and leave pay for the Leased
Employees, (v) the employer's portion of any health, life, disability or other
insurance provided as a part of Seller's employee benefit plans in effect during
the Leasing Period and in which the Leased Employees participate, (vi) all
employee taxes (including Social Security, Medicare and unemployment taxes) and
tax withholdings, and (vii) all payroll processing, payroll deduction, tax
withholding and tax reporting services, employee benefit administration, claims
processing, personnel administration, and all such related human resources
services with respect to the Leased Employees.

         4.    Payment.

         (a)   In consideration of Seller providing the Leased Employees to
Buyer, Buyer shall make the following payments to Seller

               (i)   Buyer shall pay to Seller, on the Closing Date, a payment
equal to all of Seller's costs relating to the salary and benefit costs for the
Leased Employees for the Leasing Period, including without limitation salary,
bonus, benefits, vacation and leave time, unemployment insurance, workers'
compensation, taxes benefits and insurance payable to or incurred with respect
to Leased Employees during the Leasing Period, as calculated based on a
methodology as reasonably determined by Seller in its discretion to ensure
complete reimbursement of all such costs allocable to the Leased Employees. For
all other costs associated with the Leased Employees, the Leased Employees shall
be taken into account in the Cost Drivers used to charge Buyer for the costs to
provide the Services under the Transition Services Agreement from the Closing
Date.

               (ii)  Buyer shall pay to Seller, within 30 days after receipt of
an invoice from Seller, any reasonable business-related out-of-pocket expenses
incurred by Seller in connection with the Leased Employees or the provision of
services under this Exhibit.

               (iii) Buyer shall pay to Seller, within 30 days after receipt of
an invoice from Seller, any amounts expended by Seller for bonuses or other
payments paid to Leased Employees pursuant to any program established at Buyer's
direction to induce Leased Employees to maintain their employment with Seller
during all or part of the Leasing Period.

         (b) All amounts due to Seller hereunder shall be paid in U.S. dollars
and remitted, by wire transfer of immediately available funds, to such account
as Seller may from time to time designate in writing. If Buyer fails to remit
any payment by the date on which such is due hereunder, Buyer shall pay interest
to Seller on the overdue amount calculated on the basis of the per annum London
Interbank Offered Rate plus 1%, pro rated for each day that such amount is
overdue, beginning with (and including) the day on which such amount is due.
Buyer shall not withhold any undisputed amounts due to Seller under this
Exhibit. Any disputed amounts under this Exhibit that may be pending between the
parties (any required adjustment as a result of any such dispute to be made on
subsequent invoices from Seller) may be withheld, so long as (i) Buyer delivers
a written statement to Seller on or before the due date of such payment,
describing the basis of the dispute and the amount being withheld and (ii) such
statement is

                                       B-2

<PAGE>

signed by an authorized representative of Buyer who represents that the amount
in dispute has been determined after due investigation of the facts and in good
faith. The parties shall resolve any such disputed amounts in accordance with
Section 7.

         5.  Records. Seller shall maintain records regarding the Leased
Employees in the same manner that it keeps records for itself with respect to
its other employees. During and following the Leasing Period, Seller shall make
available to Buyer all data, information and other materials within its control
that relate to the performance of the services by the Leased Employees during
the Leasing Period.

         6.  Indemnification.

         (a) Notwithstanding any other provision of this Exhibit, effective as
of the date of this Exhibit, Buyer shall be responsible for all liabilities and
other amounts with respect to the Leased Employees for which it is responsible
pursuant to Section 5.4(d) of the Asset Purchase Agreement, as if such Leased
Employees had become employees of Buyer on and as of the Closing Date. Buyer
shall indemnify, hold harmless, and defend Seller and its Affiliates and their
respective successors, partners, principals, members, employees, officers,
directors and agents (collectively, the "Seller Indemnitees") from and against,
and agrees promptly to defend any Seller Indemnitee from and reimburse any
Seller Indemnitee for, any and all losses, claims, expenses (including the costs
of investigation and defense and reasonable attorneys' fees), damages,
liabilities, obligations and judgments (whether or not resulting from claims
made by third parties) which any Seller Indemnitee may at any time suffer or
incur, or become subject to, as a result of or in connection with (i) any
liabilities with respect to Leased Employees that are Buyer's responsibility
pursuant to the Asset Purchase Agreement, (ii) any acts or omissions of any
Leased Employees during the Leasing Period (including without limitation any
violation of any local, state or federal law), (iii) any acts or omissions by
Buyer, an Affiliate of Buyer or any person acting pursuant to the direction or
control of Buyer with respect to the Leased Employees during the Leasing Period,
(iv) the employment of the Leased Employees during the Leasing Period, (v) the
participation of the Leased Employees in Seller's benefit plans, and (vi) the
services Seller is providing under this Exhibit. Buyer's obligations in this
Section shall survive the termination or expiration of this Exhibit.

         (b) Seller shall have no liability to Buyer and Buyer shall have no
liability to Seller under this Exhibit except as provided in Section 4, this
Section 6 or as otherwise specifically provided under this Exhibit.

         7.  Dispute Resolution. Any controversy, claim, or dispute between or
among the parties and /or their respective Affiliates arising out of or related
to this Exhibit, or the breach, termination or validity thereof (a "Dispute")
shall be resolved as provided in this Section.

         (a) In the event of a Dispute, the parties shall first attempt to
resolve the Dispute by negotiating in good faith. Any Dispute that has not been
resolved by negotiation within thirty (30) days of written notice of the
existence of the Dispute may be referred by either party to a panel consisting
of a senior executive from each party, and each party shall nominate its member
of such panel within five (5) days of such a reference.

                                       B-3

<PAGE>

         (b) Any Dispute that is not resolved by the panel of senior executives
within thirty (30) days of the reference of the Dispute to such panel shall at
the option of any party be finally resolved by binding arbitration in accordance
with the Rules for Non-Administered Arbitration of the CPR Institute for Dispute
Resolution (the "CPR Rules"), and judgment upon the award rendered by the
arbitrator(s) may be entered in any court having jurisdiction thereof. Any such
arbitration shall be conducted under the United States Arbitration Act in New
York, New York.

         (c) Any Dispute shall be referred to three arbitrators, named in
accordance with the CPR Rules.

         (d) Any party may, without inconsistency with this agreement to
arbitrate, seek from a court any interim or provisional relief that may be
necessary to protect the rights or property of that party pending the
arbitrators' decision of the merits of the Dispute.

         (e) The parties acknowledge that breach by either party of any of the
confidentiality provisions of this Exhibit would not be fully compensable by
money damages and that the arbitrators may award injunctive or other equitable
relief with respect to any such breach.

         (f) Notwithstanding the existence of any Dispute between the parties,
(i) Seller shall not discontinue the provision of the Leased Employees, unless
it has been determined in an arbitration procedure hereunder that Buyer is in
material default of any of its obligations hereunder, or termination of this
Exhibit is permitted by Section 9 and (ii) if any such Dispute relates to a
payment due hereunder from Buyer, Buyer shall pay as required under this Exhibit
any amounts due hereunder that are not in dispute.

         (g) The costs of any arbitration under this Section, including the
arbitrators' fees and expenses, shall be borne equally by the parties. Each
party shall bear its own expenses and attorneys fees.

         8.  Term. Subject to the right of Seller to terminate this Exhibit
pursuant to Section 9 hereof, the term of this Exhibit (the "Leasing Period")
shall commence on the Closing Date and shall terminate at the end of the day on
September 30, 2002.

         9.  Buyer Default. If Buyer fails to pay any amounts due by it
hereunder within fifteen (15) days after receipt from Seller of a notice of such
failure (a "notice of default"), Seller may terminate this Exhibit; provided,
however, that Seller shall not have the right to terminate this Exhibit for
non-payment unless the amounts subject to notices of default under this Section
9 exceeds US$50,000. Upon any such termination by Seller, all obligations of
Seller hereunder shall cease immediately, and Seller shall have no liability
under this Exhibit or otherwise as a result of such termination or ceasing to
provide the Leased Employees thereafter, and all obligations of Buyer hereunder
arising through the date of such termination to pay any amounts due to Seller
shall continue until paid in full.

                                       B-4

<PAGE>

                                Table of Contents

<TABLE>
<S>                                                                                 <C>
SCHEDULE A:  BASIC SERVICES ....................................................    2
Infrastructure .................................................................    2
US Informational Technology (US IT) ............................................    3

SCHEDULE B:  ADDITIONAL SERVICES ...............................................    9
US Information Technology (US IT) ..............................................    9

SCHEDULE C:  BUYER RESPONSIBILITIES ............................................   15
Infrastructure .................................................................   15
US Information Technology (US IT) ..............................................   16

SCHEDULE D:  PRICING BASED ON CURRENT YEAR COST ESTIMATES AND ASSUMPTIONS
REGARDING BUSINESS COST DRIVERS ................................................   17

SCHEDULE E:  ASSUMPTIONS .......................................................   18

SCHEDULE F:  REAL ESTATE SHARED FACILITIES .....................................   19

SCHEDULE G:  CERTAIN EXCLUDED SERVICES FOR BUYER RELOCATED EMPLOYEES ...........   20

SCHEDULE H:  TSA DATABASES .....................................................   21

SCHEDULE I:  PASS-THROUGH COSTS ................................................   22

SCHEDULE J:  REAL ESTATE REQUIRED SERVICES .....................................   24

SCHEDULE K:  SERVICE BUNDLING SCHEDULE .........................................   25

SCHEDULE L:  POLICY TO MAINTAIN CLIENT CONFIDENTIALITY AT PWC SHARED
FACILITIES .....................................................................   26
</TABLE>

                                       1

<PAGE>

                           Schedule A: Basic Services

 Infrastructure

--------------------------------------------------------------------------------
     Service                                        Description
--------------------------------------------------------------------------------
 Operations Services
 (Shared Facilities only)
--------------------------------------------------------------------------------
 Facility Management Operations          .  Facilities management and
                                            maintenance, minor repairs,
                                            alterations, redecorating, storage
                                            requirements, local landlord
                                            relations, office moves,
                                            relocations, management of porters
                                            and guards, and minor capital
                                            acquisitions including printers and
                                            fax equipment.

--------------------------------------------------------------------------------
 Service Centers/Concierge               .  Assistance with mailing, printing,
                                            filing/retrieving, faxing copying
                                            and stocking supplies as requested
                                            by BUYER.

--------------------------------------------------------------------------------
 Records Management                      .  Filing systems, retrieving,
                                            destruction of records, and both
                                            on-site and remote storage.

--------------------------------------------------------------------------------
 Mail, Express Couriers, and             .  Outbound/inbound processing of
 Messengers                                 packages, letters and parcels.

--------------------------------------------------------------------------------
 Reprographics                           .  Management of print shop function
                                            and stand alone copiers, which
                                            includes reprographics and bindery
                                            services. Also includes acquisition
                                            of copier equipment, maintenance and
                                            repairs.
--------------------------------------------------------------------------------
 Switch Board/Receptionist               .  Answer incoming calls to main PwC
                                            building number

                                         .  Supply general office information

                                         .  Greet visitors
--------------------------------------------------------------------------------
 Supplies                                .  Includes but not limited to paper,
                                            files, pencils, pens, printer ink
                                            cartridges, staplers, binders,
                                            stationery and canteen related
                                            supplies.
--------------------------------------------------------------------------------
 National Services
 (Shared Facilities only)
--------------------------------------------------------------------------------
 Space Cost Management:                  .  Manage occupancy agreement with
                                            BUYER

 Manage Real Estate projects             .  Manage space portfolio

                                         .  Administer leases - payables,
                                            landlord relations, occupancy cost
                                            reporting
--------------------------------------------------------------------------------
 Security                                .  Manage Security policies to protect
                                            assets: People, information - work
                                            with Information and Security
                                            Technology Group; Physical assets -
                                            laptop computers.

                                         .  Conduct physical review of space:
                                            Determine appropriate security level
                                            (1-5); Prepare bid specifications;
                                            Install (for Shared Facilities
                                            office space only). appropriate mix
                                            of card access, alarms, CCTV

--------------------------------------------------------------------------------

--------------------------------------------------------------------------------
 Occupancy
 (Shared Facilities only)
--------------------------------------------------------------------------------
 Occupancy                               Occupancy services include:
                                         .  Rent
                                         .  Depreciation/Amortization
                                         .  Rental of office equipment
                                         .  Office relocation & alterations
                                         .  Maintenance & Repairs-Office
                                            Equipment
                                         .  Utilities

--------------------------------------------------------------------------------

                                       2

<PAGE>

US Informational Technology (US IT)

--------------------------------------------------------------------------------
     Service                                         Description
COMPUTING SERVICES
--------------------------------------------------------------------------------
Distributed Infrastructure Services    Distributed Infrastructure Services (DIS)
(Shared Facilities only)               includes the installation, management,
                                       support and administration of the network
                                       and telecommunications cabling
                                       infrastructure, local area network and
                                       local area file and print services within
                                       PwC facilities. In addition, DIS includes
                                       the management and administration of
                                       authentication services, file and print
                                       user IDs and IP networks.

                                       Key Features/Functions:
                                       . Manage and support Local Area Networks
                                         (LANs) in PwC offices

                                       . Provide and install hardware, maintain,
                                         monitor and administer the ongoing
                                         operations of the LAN

                                       . Manage and track inventory for the
                                         distribution, disposition and disposal
                                         of technology assets for LAN/WAN,
                                         videoconferencing and Uninterruptible
                                         Power Systems (UPS) equipment

                                       . Manage and support local file and print
                                         sharing in PwC offices

                                       . Provide and install hardware, maintain,
                                         monitor and administer the ongoing
                                         operations of the file and print
                                         services

                                       . Refresh server operating systems, tools
                                         and platform hardware as required to
                                         stay current

                                       . Manage and track inventory for the
                                         distribution, disposition and disposal
                                         of technology assets for file and print
                                         server equipment, including software
                                         licensing

                                       . Manage storage, capacity and
                                         performance of PwC-standard file and
                                         print servers

                                       . Manage and report disk space usage and
                                         remove non-business related files from
                                         servers

                                       . Provide account administration and
                                         maintenance for file and print
                                         infrastructure, including creation,
                                         deletion and migration

                                       . Provide user account authentication and
                                         security for file and print services to
                                         prevent unauthorized access, within
                                         stated security guidelines

                                       . Deploy and maintain all approved
                                         Buyer-specific shared software
                                         applications on PwC- standard, US
                                         IT-managed file and print servers

                                       . Install network printers, create print
                                         queues and maintain standard naming and
                                         driver revisions

                                       . Perform twice-yearly security audits on
                                         all file and print and local area
                                         network environments

                                       . Manage and maintain server-based virus
                                         protection

                                       . Manage break/fix services for
                                         PwC-standard file and print servers

                                       . Provide server data backup and recovery
                                         services

                                       . Provide temperature controlled server
                                         room facilities with UPS power for file
                                         and print servers

                                       . Provide computer name resolution
                                         services via internal DNS and WINS

                                       . Provide automated IP address assignment
                                         in customer offices via DHCP

                                       . Provide UPS to support maximized uptime
                                         of LAN/WAN, computer room systems, PBX
                                         and voicemail

                                       . Conduct power plant audits to meet
                                         National Electrical Code and other
                                         standards

                                       . Develop, maintain and enforce standard
                                         platforms and infrastructure for
                                         Distributed Infrastructure

                                       . Install and maintain cable plant and
                                         manage its warranties, for limited
                                         initiatives

                                       . Manage shared, office-based print
                                         queues
--------------------------------------------------------------------------------

                                       3

<PAGE>

--------------------------------------------------------------------------------
Messaging and Groupware Services               This service delivers deployment,
                                               management, administration and
                                               hosting of Lotus Notes messaging
                                               and groupware. Also included are
                                               e -mail, replication services,
                                               administration and maintenance
                                               for address books, ID creation,
                                               and statistic collection.

                                               Key Feaures/Functions:
                                               . Provide disk space per Notes
                                                 mail account

                                               . Manage and track inventory for
                                                 the distribution, disposition
                                                 and disposal of technology
                                                 assets for Notes mail and
                                                 groupware servers

                                               . Manage break/fix services for
                                                 Notes mail and groupware
                                                 servers

                                               . Provide support for groupware
                                                 applications

                                               . Deliver Notes messaging to PwC
                                                 standards for security and
                                                 disaster recovery

                                               . Issue and manage Notes mail
                                                 accounts

                                               . Maintain the PwC's Notes mail
                                                 directory

                                               . Provide security for messaging
                                                 systems to prevent unauthorized
                                                 access, within stated PwC
                                                 guidelines

                                               . Manage storage, capacity and
                                                 performance of Lotus Notes
                                                 infrastructure

                                               . Refresh server operating
                                                 systems, messaging software and
                                                 platform hardware as required
                                                 to stay current

                                               . Provide standard GUID
                                                 management and authentication
                                                 services

                                               . Provide directory services

                                               . Provide replication services to
                                                 all servers

                                               . Support Buyer-branded Notes
                                                 domains, certificate hierarchy
                                                 and mail routing as requested

                                               . Provide secure mail routing and
                                                 replication to PwC's clients
                                                 using Notes

                                               . Monitor utilization statistics
                                                 for the groupware
                                                 infrastructure

                                               . Provide quality assurance
                                                 reviews for Notes database
                                                 applications

                                               . Administer broadcast e-mail
                                                 system

                                               Global Services:

                                               . Provide Internet mail routing
                                                 and virus blocking services

                                               . Provide international Notes
                                                 mail routing and replication
--------------------------------------------------------------------------------
PC Deployment and Management                   The PC Deployment and Management
                                               service provides deployment,
                                               management, and administration of
                                               a standard suite of desktop
                                               tools. This suite of tools is
                                               deployed on an agreed-upon PC
                                               platform and an agreed-upon PC
                                               hardware refresh program for
                                               staff who are located in a PwC
                                               facility and receive PwC support.
                                               An exception request /approval
                                               process is provided and supported
                                               when customer needs dictate
                                               hardware replacement before the
                                               PC hardware program interval
                                               expires. The standard suite of
                                               tools is the productivity suite,
                                               anti-virus, security, operating
                                               system and an agreed-upon,
                                               customized set of applications.

                                               Key Features/Functions:

                                               . Deliver, support and maintain a
                                                 PwC-customized suite of
                                                 applications on an PwC-
                                                 standard hardware platform and
                                                 PwC-standard image

                                               . Refresh operating system,
                                                 standard software suite and
                                                 system images as required to
                                                 stay current

                                               . Analyze PC supply and demand
                                                 and provide forecasting
                                                 recommendations

                                               . Provide hardware maintenance
                                                 support services for leased
                                                 portfolio and perform on-site
                                                 repairs as necessary, including
                                                 hot swaps, or the coordination
                                                 of third-party depot repait as
                                                 prescribed by the purchased
                                                 warranty level.

                                               . Establish user policies,
                                                 requirements and standard
                                                 operating procedures

                                               . Provide controlled requisition,
                                                 procurement and installation of
                                                 buyer approved desktop
                                                 accessories, peripherals, and
                                                 software

                                               . Manage warranty and repair
                                                 services with vendors

                                               . Create and maintain PwC custom
                                                 PC hardware catalogue with
                                                 approved PwC pricing and
                                                 details

                                               . Maintain on-site parts
                                                 inventory as necessary

                                               . Electronic distribution of
                                                 applications and updates

                                               . Distribute critical software
                                                 updates electronically,
                                                 typically virus signature file
                                                 updates, via remote access
                                                 network login "pushes" within
                                                 bandwidth constraints

                                               . Distribute critical software
                                                 updates electronically or via
                                                 distributed CD-ROM when
                                                 required

                                               . Manage the PwC's electronic
                                                 software distribution system

                                               . Make available ESD scripts
                                                 developed by customer and
                                                 tailored for standard PC
                                                 configurations via the PwC's
                                                 ESD solution
--------------------------------------------------------------------------------

                                       4

<PAGE>

--------------------------------------------------------------------------------
                                             . Develop core PC architecture,
                                               integrating customer requirements

                                             . Maintain current virus definition
                                               tables and make them available
                                               via ESD and/or network login
                                               script "pushes"

                                             . Maintain current device drivers
                                               and PC BIOS levels, i.e.,
                                               standard modem, printer and
                                               network drivers

                                             . Maintain and report software
                                               license information for products
                                               used by the Buyer, limited to
                                               applications delivered via ESD

                                             . Manage and maintain shared,
                                               office-based print queues

                                             . Provide asset management systems
                                               with systemic links to General
                                               Ledger, Accounts Payable, Human
                                               Resources and Help Desk to ensure
                                               effective management of portfolio

                                             . Monitor new hire and termination
                                               processes to ensure compliance
                                               with PC Deployment and Management
                                               procedures

                                             . Audit electronic shipping notices
                                               with the supplier against
                                               original order

                                             . Electronically validate proof-of-
                                               delivery of orders to PwC
                                               locations

                                             . Support electronic receiving
                                               process for confirmation of
                                               equipment receipt and error
                                               handling

                                             . Manage lease inception process
                                               with lessors

                                             . Support PwC standard image
                                               loading and personalization for
                                               Buyer as necessary

                                             . Reconcile monthly leasing
                                               invoices with asset management
                                               system and disputes with lessors
                                               including rent, taxes, shipping,
                                               returns and damages.

                                             . Provide Buyer chargeback and
                                               lessor payment details to
                                               Accounts Payable

                                             . Assign assets and refresh records
                                               to reflect current Buyer
                                               accounting structure

                                             . Coordinate timely PC delivery for
                                               new hires, maintenance swaps or
                                               lease replacements

                                             . Transfer data as necessary for
                                               replacement equipment

                                             . Maintain asset contract, purchase
                                               and physical location information

                                             . Coordinate casualty buyout
                                               transactions with the Buyer

                                             . Remove after-market upgrades,
                                               inspect, pack and ship
                                               end-of-life assets to the lessor

                                             . Provide compliance mechanism to
                                               monitor compliance with Global
                                               Site Licenses

                                             . Perform electronic discovery of
                                               PC assets and reconcile to asset
                                               management system
--------------------------------------------------------------------------------
NETWORK AND
TELECOMMUNICATIONS SERVICES
--------------------------------------------------------------------------------
Internet Services                            Internet Services provide access to
                                             Internet resources required to
                                             support business operations and to
                                             serve clients for web browsing,
                                             streaming video and file transfers.

                                             Key Features/Functions:

                                             . Provide Internet access and
                                               infrastructure to support Web
                                               browsing, streaming video and
                                               file transfers

                                             . Provide, manage, implement and
                                               operate the infrastructure,
                                               including load balancing,
                                               firewall protection, routers,
                                               caching and content blocking for
                                               Internet connectivity

                                             . Manage capacity, performance and
                                               availability of Internet services

                                             . Refresh server operating systems,
                                               tools and platform hardware as
                                               required to stay current

                                             . Provide security for Internet
                                               services based on the PwC's
                                               policies and standards, working
                                               with Risk Management to prevent
                                               unauthorized access

                                             . Provide administrative support
                                               for content blocking under the
                                               direction of Risk Management

                                             . Provide disaster recovery support

                                             . Manage vendor relationships and
                                               contracts

                                             . Provide 24x7x365 monitoring and
                                               problem resolution along with
                                               Level One through Level Three
                                               support (Level One = monitor and
                                               response support, Level Two =
                                               operational support, Level Three
                                               = design support)

                                             . Manage on Internet availability
                                               and usage

                                             . Support the PwC-standard Internet
                                               browser platform
--------------------------------------------------------------------------------
Remote Access Services                       Remote Access Services provides the
                                             ability to obtain access to PwC IT
                                             services, infrastructure and
                                             network from a non-PwC location.
                                             These locations can include home
                                             office, client sites, hotel and
                                             other locations. Physical
                                             connectivity is via dial-up, ISDN,
                                             cable modem or DSL. Currently only
                                             dial-up and ISDN are supported in
                                             the US.

                                             Key Features/Functions:
                                             . Provide authentication service
                                               for both user ID/password and
                                               user ID/password/token challenge
                                               authentication for establishing
                                               remote access sessions
--------------------------------------------------------------------------------

                                       5

<PAGE>

--------------------------------------------------------------------------------
                                             . Provide IP access to the PwC
                                               network from outside of a PwC
                                               office

                                             . Provide PC client software,
                                               including dialer, desktop
                                               software to process token
                                               challenges and dial local phone
                                               numbers

                                             . Manage Internet Service Provider
                                               and dial provider vendors,
                                               including contracts, dial numbers
                                               and POP management

                                             . Provide soft token
                                               administration, generation,
                                               archive and escrow services

                                             . Provide disaster recovery support
                                               consistent with PwC practices

                                             . Manage vendor relationships and
                                               contracts

                                             . Refresh server operating systems,
                                               tools and platform hardware as
                                               required to stay current

                                             . Provide 24x7x365 monitoring and
                                               problem resolution along with
                                               Level One through Level Three
                                               support (Level One = monitor and
                                               response support, Level Two =
                                               operational support, Level Three
                                               = design support)

                                             . Provide direct Internet Web
                                               access via dial-in

                                             . Plan, design and implement the
                                               PwC's Virtual Private Network
                                               (VPN) solution

                                             . Provide VPN access via the
                                               Internet for all PwC IP-based
                                               applications to which the
                                               necessary security has been
                                               granted
--------------------------------------------------------------------------------
Voice Communications Services                Ongoing voice communications
(Shared Facilities only)                     services are provided by the PwC's
                                             infrastructure organization. Design
                                             and development of voice and
                                             conferencing standards as provided
                                             by IT are outlined below. Design,
                                             engineering and installation
                                             management as provided by IT are
                                             delivered as part of the planning
                                             and implementation of new PwC
                                             offices.

                                             . Develop and design voice and
                                               conferencing standards

                                             . Refresh equipment, software and
                                               firmware as required to stay
                                               current

                                             . Operate and report on the voice
                                               interchange system

                                             . Develop and design conferencing
                                               standards

                                             . Provide, maintain and support
                                               24/7 access to the telephone and
                                               voicemail networks and services

                                             . Coordinate ordering,
                                               installation, programming and
                                               testing of lines and circuits
                                               with vendors for voice network

                                             . Order "toll-free" numbers

                                             . Monitor voice network usage and
                                               identify and fix problems and
                                               outages

                                             . Analyze call traffic to ensure
                                               maximum utilization of network
                                               facilities

                                             . Perform daily moves and changes
                                               to the telephone systems

                                             . Process new hires, transfers and
                                               separations in all systems and
                                               databases

                                             . Provide or coordinate repairs on
                                               telephone sets and systems

                                             . Determine scope of, and
                                               coordinate internal relocations

                                             . Order new or replacement
                                               equipment such as telephone sets,
                                               circuit packs and polycoms

                                             . Coordinate asset management of
                                               existing voice and conferencing
                                               inventories for redeployment as
                                               necessary

                                             . Perform scheduled maintenance
                                               backups of telephone systems

                                             . Maintain Call Detail Recording
                                               (CDR) equipment and database and
                                               provide consumption information

                                             . Create and analyze CDR reports
                                               for traffic and trunk utilization

                                             . Record and distribute national
                                               voicemail broadcast messages

                                             . Set up and troubleshoot video
                                               conference sessions

                                             . Provide advanced troubleshooting
                                               and support for complex customer
                                               problem incidents

                                             . Refresh equipment, software and
                                               firmware as required to stay
                                               current
--------------------------------------------------------------------------------
Wide Area Network Services                   Wide Area Network (WAN) Services
                                             deliver connectivity between PwC
                                             offices, the PwC Data Center and
                                             the global Wide Area Network to
                                             support business-related
                                             applications reliably move data.
                                             For production WAN links, a mixture
                                             of technologies is used, including
                                             frame relay, point-to-point and
                                             ATM.

                                             Key Features/Functions

                                             . Provide planning, design and
                                               deployment functions for WAN
                                               services including hardware
--------------------------------------------------------------------------------

                                       6

<PAGE>

--------------------------------------------------------------------------------
                                       and software

                                  .    Refresh hardware, software and firmware
                                       for routers and other equipment as
                                       required to stay current

                                  .    Provide 24x7x365 monitoring and problem
                                       resolution along with Level One through
                                       Level Three support (Level One = monitor
                                       and response support, Level Two =
                                       operational support, Level Three =
                                       design support)

                                  .    Manage vendor relationships and
                                       contracts

                                  .    Provide, maintain and support access to
                                       the WAN via established minimum
                                       bandwidth facilities from specific PwC
                                       offices

                                  .    Monitor capacity and performance
                                       including application specific traffic
                                       profiles to allow tuning

                                  .    Acquire all IT network and
                                       telecommunications devices and services

                                  .    Provide low bandwidth ISDN backup
                                       circuits for sites with a single WAN
                                       link, to provide reduced capacity
                                       connectivity in the event of a failure
                                       on the main link

                                  .    Upgrade IOS for WAN hardware as required
                                       to stay current

                                  .    Bill verification

--------------------------------------------------------------------------------
SUPPORT SERVICES
--------------------------------------------------------------------------------
Distributed Support Services      The distributed support service is provided
(Shared Facilities only)          for a standard suite of desktop tools and
                                  includes US IT Service Center walk-up window
                                  assistance and dispatched deskside
                                  assistance. These services include all second
                                  level support escalations from the first
                                  level help desk. It also includes general
                                  support services associated with the
                                  delivery, deployment, management, deskside
                                  support and administration of the standard
                                  suite of desktop tools for the buyer's staff.
                                  Typical delivery of these services involves
                                  the problem diagnosis, resolution
                                  determination and implementation of the
                                  solution for desktop and infrastructure
                                  issues.

                                  Key Features/Functions:
                                  .    Coordinate the repair of failed or
                                       broken PC hardware

                                  .    Incident logging, tracking,
                                       categorization, assessment,
                                       troubleshooting, resolution, dispatch,
                                       escalation and closure in the incident
                                       management system

                                  .    Manage shared, office-based print queues

                                  .    On-site and timely replacement of
                                       customer PCs according to established
                                       guidelines where the customer has funded
                                       a hot spares pool

                                  .    Resolve network connectivity issues in
                                       the PwC infrastructure

                                  .    Resolve desktop hardware issues for
                                       PwC-standard PC hardware

                                  .    Resolve desktop software issues for
                                       PwC-standard applications

                                  .    Provide notification of problems and
                                       service outages to customers

                                  .    Perform password resets

                                  .    Provide informal ad-hoc orientation and
                                       update training on core applications

                                  .    Assist customers with data backup
                                       solutions, including network backups and
                                       external device backups

                                  .    Provide and set up network mini-hub
                                       equipment where available in training
                                       and conference rooms

                                  .    Provide and maintain network diagrams
                                       and instructions for conference and
                                       training rooms

                                  .    Coordinate data recovery on customer
                                       hard drives

                                  .    Provide complete hardware and software
                                       diagnostic repair facilities and
                                       full-service walk-up centers in all
                                       large core offices

                                  .    Provide moves, adds and changes of PC and
                                       printer equipment

--------------------------------------------------------------------------------
Help Desk Services                Help Desk Services provide customers with
                                  cohesive options for technology support. Help
                                  Desk Services connect the customer with the
                                  service provider most likely to resolve the
                                  issue during the initial contact. Two support
                                  options are offered:
                                       .  Telephone support
                                       .  Dispatch to user-located support

                                  Key Features/Functions
                                  .    Provide common point-of-entry for
                                       support and service requests

                                  .    Provide solutions for how -to questions,
                                       service requests and problems
                                       encountered during use of the PwC's
                                       network, PCs and approved PC/Server
                                       based software applications and systems

                                  .    Provide Remote Control software to
                                       achieve phone-based resolution and avoid
                                       dispatch to field support
--------------------------------------------------------------------------------

                                        7

<PAGE>

--------------------------------------------------------------------------------
                                   .    Manage incident logging, tracking,
                                        categorization, assessment,
                                        troubleshooting, resolution, dispatch or
                                        escalation and closure of all support
                                        requests

                                   .    Create, review and address Service
                                        Exception Reports from within Peregrine
                                        ServiceCenter to document deficiencies
                                        in service delivery

                                   .    Provide 24 x 7 telephone-based
                                        technology support for core
                                        applications, with routing to
                                        appropriate service providers - both
                                        within and outside of US IT

                                   .    Provide GUID and Notes account
                                        administration/ID-password resets

                                   .    Author, edit, format, publish, update
                                        and maintain PwC proprietary content and
                                        solutions documents for all major
                                        supported products

                                   .    Host PwC's primary internal
                                        telephone-based support channel
                                        (877-GTS-HELP); The 877- GTS-HELP menu
                                        offers a single point-of-entry for
                                        telephone support, designed to optimize
                                        customers' likelihood of having their
                                        issues resolved on first contact

                                   .    Provide and manage all telephony
                                        hardware and infrastructure associated
                                        with (877-GTS- HELP), including AT&T
                                        network-based IVR, ACD, 800 service and
                                        management reporting; As stated above,
                                        this telephony supports Buyer-owned help
                                        desks that provide business application
                                        support

                                   .    Provide telephony technology upgrades
                                        and new technology roll-outs, as
                                        required

                                   .    Identify, recommend and implement system
                                        enhancements and process improvements to
                                        increase productivity or reduce total
                                        cost of ownership

                                   .    Manage incident logging, tracking,
                                        categorization, assessment,
                                        troubleshooting, resolution, dispatch or
                                        escalation and closure of all support
                                        requests

                                   .    Resolve in-scope problems within
                                        timeframes established according to
                                        business impact consistent with PwC
                                        policies and practices

                                   .    Disaster recovery provided via an
                                        alternative site capable of taking calls
                                        as promptly as practicable consistent
                                        with PwC policies and practices

                                   .    Out of scope problems resolved on
                                        best-effort basis

--------------------------------------------------------------------------------
PROJECT SERVICES
--------------------------------------------------------------------------------
Office Moves                       Office Moves encompass the creation of a
                                   complete technology infrastructure
                                   environment, from design and planning of
                                   electrical and telecommunications cabling
                                   infrastructure through the managed deployment
                                   of all active components including PBX,
                                   voicemail, hotelling, file and print
                                   services, LAN/WAN and UPS systems components.
                                   Applies to PwC initiated office moves only.

                                   Key Features/Functions
                                   .    Build and implement all new and enhanced
                                        network infrastructures associated with
                                        new offices, office moves and office
                                        restacks; Refresh components as required

                                   .    Manage ordering of all voice, data and
                                        video circuits associated with project

                                   .    Plan and implement telecommunications
                                        and network infrastructure (planning for
                                        servers, cabling, routers, hubs,
                                        switches and associated protocols)

                                   .    Coordinate change management

                                   .    Coordinate turn-up of centralized
                                        monitoring of all network, UPS and
                                        environmental systems components

                                   .    Perform needs assessment to fully
                                        understand customer IT needs in new
                                        workspace

                                   .    Liaise with architects and TRES to
                                        create plans for IT rooms (including
                                        rack layout, equipment elevations,
                                        backup power, capabilities, air
                                        conditioning, security, jacks diagrams
                                        and associated facilities)

                                   .    Plan and implement hoteling and
                                        videoconference systems

                                   .    Plan and manage installation of the
                                        telephone system and voice mail system
                                        in conjunction with PwC resources and
                                        outside vendors

                                   .    Implement architecture, policies,
                                        hardware standards and operating system
                                        standards spanning the UNIX, Windows NT,
                                        Netware and legacy OS environments

                                   .    Redesign and test LAN file and print
                                        queues for new workspace

                                   .    Disconnect, reconnect, configure and
                                        install servers, customer's computers,
                                        printers and peripherals; Test all
                                        computer equipment and cabling

                                   .    Manage initial installation and
                                        configuration of video conferencing
                                        system

                                   .    Test all computer, network, hoteling,
                                        phone equipment and cabling

                                   .    Assist End User Services staff after
                                        relocation, documenting problem areas
                                        and providing prompt problem resolution

                                   .    Document the new or revised technology
                                        infrastructure environment

                                   .    Ensure all assets are bar coded and
                                        logged into the asset management
                                        database

                                   .    Provide upgrades to video conferencing
                                        system
--------------------------------------------------------------------------------

                                        8

<PAGE>

                         Schedule B: Additional Services

As the relationship with BUYER proceeds, we expect that there may be additional
requests for services. We have been specific as to the services we will provide
in the "Basic Services" section. Unless specifically identified in the Basic
Services section (Schedule A hereof), requests for services, reports, etc., will
be considered non-basic and not included in our estimate of fees, though we will
consider providing these services subject to an agreed upon scope and fee
arrangement with BUYER that is agreed to pursuant to the provisions of Section
2.2. Examples of non-basic services, which may not be evident in the Basic
Services section, are listed below:

US Information Technology (US IT)

Additional Services

--------------------------------------------------------------------------------
       Service                                          Description
--------------------------------------------------------------------------------
 COMPUTING SERVICES
--------------------------------------------------------------------------------
 Distributed Infrastructure Services          Distributed Infrastructure
                                              Services (DIS) includes the
                                              installation, management, support
                                              and administration of the network
                                              and telecommunications cabling
                                              infrastructure, local area network
                                              and local area file and print
                                              services within PwC facilities. In
                                              addition, DIS includes the
                                              management and administration of
                                              authentication services, file and
                                              print user IDs and IP networks.

                                              Premium Service:

                                              . Provide hardware for
                                                customer-managed file servers

                                              . Provide support for file and
                                                print servers that are not
                                                compliant with published PwC
                                                standards

                                              . Perform data recovery services
                                                for servers that the customer
                                                self-manages

                                              . Develop, maintain and support
                                                PwC-wide tools such as RTR,
                                                Rightfax and LDAP
--------------------------------------------------------------------------------
Messaging and Groupware Services
                                              This service delivers deployment,
                                              management, administration and
                                              hosting of Lotus Notes messaging
                                              and groupware. Also included are
                                              e-mail, replication services,
                                              administration and maintenance for
                                              address books, ID creation, and
                                              statistic collection.

                                              Premium Service:

                                              . Provide support for additional
                                                groupware servers

                                              . Provide e-mail and groupware
                                                functions to non-employees

                                              . Provide, maintain and administer
                                                integration of Fax and Notes

                                              . Develop and administer Notes
                                                applications (see Custom
                                                Application Development service)

                                              Service Not Offered:

                                              . Management or support services
                                                for groupware servers
                                                administered by non-US IT
                                                entities

                                              . Rebranding of Internet mail

                                              . Recertification of Notes IDs and
                                                rebranding of Notes domain.

                                              . Instant messaging facilities

                                              . Microsoft Exchange-based mail
                                                services
--------------------------------------------------------------------------------
PC Deployment and Management                  The PC Deployment and Management
                                              service provides deployment,
                                              management, and administration of
                                              a standard suite of desktop tools.
                                              This suite of tools is deployed on
                                              an agreed-upon PC platform and an
                                              agreed-upon PC hardware refresh
                                              program. An exception
                                              request/approval process is
                                              provided and supported when
                                              customer needs dictate hardware
                                              replacement before the PC hardware
                                              program interval expires. The
                                              standard suite of tools is the
--------------------------------------------------------------------------------

                                       9

<PAGE>

                                              productivity suite, anti-virus,
                                              security, operating system and an
                                              agreed-upon, customized set of
                                              applications.

                                              Premium Service:

                                              . Develop ESD scripts for
                                                non-standard applications on a
                                                time available basis

                                              . Maintain non-standard
                                                configuration

                                              . License management for
                                                non-standard software
--------------------------------------------------------------------------------
NETWORK AND TELECOMMUNICATIONS SERVICES
--------------------------------------------------------------------------------
Internet Services                             Internet Services provide access
                                              to Internet resources required to
                                              support business operations and to
                                              serve clients for web browsing,
                                              streaming video and file
                                              transfers.

                                              Premium Service:

                                              . Firewall management for extranet
                                                connections, including
                                                administration and reporting.

                                              . Consulting support for
                                                application External
                                                vulnerability testing for
                                                hosting. internally hosted
                                                applications and firewalls.
--------------------------------------------------------------------------------
Remote Access Services                        Remote Access Services provides
                                              the ability to obtain access to
                                              PwC IT services, infrastructure
                                              and network from a non-PwC
                                              location. These locations can
                                              include home office, client sites,
                                              hotel and other locations.
                                              Physical connectivity is via
                                              dial-up, ISDN, cable modem or DSL.
                                              Currently only dial-up and ISDN
                                              are supported in the US.

                                              Premium Service:

                                              . Provide connectivity from
                                                engagement sites. See Engagement
                                                Site Services.

                                              . Provide access via cable modem
                                                and DSL from home offices and
                                                hotels
--------------------------------------------------------------------------------
Voice Communications Services                 Ongoing voice communications
                                              services are provided by the PwC's
                                              infrastructure organization.
                                              Design and development of voice
                                              and conferencing standards as
                                              provided by IT are outlined below.
                                              Design, engineering and
                                              installation management as
                                              provided by IT are delivered as
                                              part of the planning and
                                              implementation of new offices.

                                              Premium Service:

                                              . Program and document complex
                                                call vector arrangements and
                                                call center designs

                                              . Order advanced routing services

                                              . Maintain customer call centers
                                                on an ongoing basis

                                              . Monitor on-site video calls
                                                outside of normal setup and
                                                troubleshooting

                                              . Coordinate ordering of services
                                                or circuits (DSL, POTS,
                                                toll-free) for customer labs

                                              . Coordinate ordering and
                                                installation of circuits to PwC
                                                client sites

                                              . Provide consultative services on
                                                special customer or client
                                                projects

                                              . Coordinate outsourcing of
                                                expedited requests for moves,
                                                adds and changes

                                              . Create customized ad hoc reports

                                              . Set up customer labs at PwC
                                                locations

                                              Service Not Provided:

                                              . Order or install lines for
                                                employee homes

                                              . Install individual internet DSL
                                                or broadband lines

                                              . Order wireless phones or
                                                services for employees

                                              . Set up and maintain duplicate
                                                voicemail boxes

                                              . Maintain unchanged phone numbers
                                                for customers who move to a
                                                different PwC
--------------------------------------------------------------------------------
                                       10

<PAGE>

--------------------------------------------------------------------------------
                                      site

                                  Order, install or maintain non-firm standard
                                  equipment
--------------------------------------------------------------------------------
Wide Area Network Services        Wide Area Network (WAN) Services deliver
                                  connectivity between PwC offices, the PwC Data
                                  Center and the global Wide Area Network to
                                  support business- related applications
                                  reliably move data. For production WAN links,
                                  a mixture of technologies is used, including
                                  frame relay, point-to-point and ATM.

                                  Premium Service:

                                  .   Provide connectivity to engagement sites
                                      and external See enterprises. Engagement
                                      Site Services section.

                                  Service Not Provided:

                                  .   Provide service for additional IPX, DECNet
                                      and AppleTalk applications
--------------------------------------------------------------------------------
SUPPORT SERVICES
--------------------------------------------------------------------------------
Distributed Support Services      The distributed support service is provided
                                  for a standard suite of desktop tools and
                                  includes US IT Service Center walk-up window
                                  assistance and dispatched deskside assistance.
                                  These services include all second level
                                  support escalations from the first level help
                                  desk. It also includes general support
                                  services associated with the delivery,
                                  deployment, management, deskside support and
                                  administration of the standard suite of
                                  desktop tools for PwC staff. Typical delivery
                                  of these services involves the problem
                                  diagnosis, resolution determination and
                                  implementation of the solution for desktop and
                                  infrastructure issues.

                                  Premium Service:

                                  .   Perform PC hardware or software upgrades
                                      outside of the normal asset management
                                      turnover and planned software migration
                                      schedule

                                  .   Provide off-site problem assessment at
                                      client engagements, except in situations
                                      where the on-site customer population
                                      justifies such; These situations may be
                                      subject to a request for a client charge
                                      code for time and travel A flat expenses;
                                      fee will be charged based on per hour time
                                      rounded up to the nearest hour including
                                      travel time from the nearest office.

                                  .   Provide support for hoteling applications
                                      operated by customer (US IT will assist on
                                      a time available basis and will serve as
                                      backup if possible)

                                  .   Upgrade PC operating system as requested
                                      by customer to be compatible with their
                                      clients' systems

                                  .   Install non-standard equipment

                                  .   Install non-standard software for which
                                      there is no approved ESD When script.
                                      exceptions are negotiated, the ongoing
                                      management of or legal responsibility for
                                      software licensing is not included

                                  .   Provide long-term data file archiving,
                                      request and maintenance services on
                                      customer PCs

                                  .   Perform data transfer services, outside
                                      the process of updating or exchanging a
                                      user-assigned PC

                                  .   Perform data recovery services for PCs

                                  .   Perform PDA support

                                  .   Provide video conferencing support

                                  Service Not Offered:

                                  .   Printer hardware maintenance outside of
                                      print queue administration and
                                      connectivity troubleshooting. This is
                                      provided by Office Services.

                                  .   Provide support for non-PwC PC equipment
                                      at employees' homes

                                  .   Provide support for high-speed internet
                                      connections at employees' homes (e.g.,
                                      cable or DSL modem)

--------------------------------------------------------------------------------
Education Services                Education Services develops and delivers 24x7
                                  e-learning and on-demand learning resources.
                                  Analysis, content and context development
                                  comprise these services.

                                  Premium Service:

                                  .   Consult and develop e-learning or
                                      self-service learning resources for Buyer-
--------------------------------------------------------------------------------

                                       11

<PAGE>

--------------------------------------------------------------------------------
                                      specific applications or requirements

                                  .   Create interactive online and
                                      computer-based training (CBT) courses for
                                      firmwide and Buyer-specific applications
                                      using HTML, FLASH, JavaScript, Authorware,
                                      Dreamweaver and RoboHELP

                                  .   Author, develop and manage the Technology
                                      Education Web portal using Dreamweaver,
                                      FLASH, Fireworks and other third-party
                                      assessment applications

                                  .   Deliver technology education for standard
                                      desktop applications used in a customized
                                      environment, e.g., custom Excel course
                                      using customer macros

                                  .   Analyze, negotiate, manage and promote
                                      third-party computer-based training vendor
                                      offerings in conjunction with US IT and
                                      Learning & Education representatives

                                  .   Deliver PwC-specific technology education
                                      at customer events at the request and
                                      funding of the sponsor

                                  .   Deliver Buyer-specific application
                                      technology education, e.g., for FAS
                                      DocumentPower, TLS Engage and ABAS
                                      TeamAsset

                                  .   Deliver technology education for
                                      customer's clients

                                  .   Consult, develop and maintain content for
                                      PwC's Day Two New Hire orientation,

                                  Service Not Offered:

                                  .   Schedule and track training course sign-up
                                      and attendance. This service is performed
                                      by PwC Learning and Education.

                                  .   Procure rooms or facilities for training
                                      purposes

                                  .   Procure or manage hardware for training
                                      purposes
--------------------------------------------------------------------------------
Help Desk Services                    Help Desk Services provide  customers with
                                      cohesive options for technology support.
                                      Help Desk Services connect the customer
                                      with the service provider most likely to
                                      resolve the issue during the initial
                                      contact. Two support options are offered:

                                      .   Telephone support

                                      .   Dispatch to user-located support

                                  Premium Service:

                                  .   Support unbudgeted or out-of-scope systems
                                      and/or applications. Cost for this service
                                      includes start-up fees and ongoing service
                                      costs. Start-up fees cover implementation
                                      and training costs, and are charged on a
                                      time and materials basis. Actual service
                                      cost is priced on a standard fee basis or
                                      on a usage based per- incident pricing
                                      schedule, with minimum volume guarantees,
                                      depending on the support requirements as
                                      mutually defined

                                  .   Host customer use of Peregrine
                                      ServiceCenter for problem tracking and
                                      management
--------------------------------------------------------------------------------
APPLICATION DEVELOPMENT SERVICES
--------------------------------------------------------------------------------
Custom Application Development    Custom Application Development provides
                                  solutions for Buyer, Industry and Business
                                  Unit customers as well as external clients.
                                  All Custom Application Development services
                                  are provided on a time and materials basis.

                                  Premium Service:
                                  .   Develop written proposals defining scope,
                                      potential solutions, benefits, timelines,
                                      costs, support requirements, and service
                                      level agreements

                                  .   Develop and support PC and browser based
                                      software solutions that can be deployed on
                                      a global or national scale, including web
                                      development and enablement

                                  .   Develop and support software solutions for
                                      Palm and Windows CE based Mobile Devices

                                  .   Provide end-to-end project management of
                                      the system development life cycle

                                  .   Develop custom interfaces to and between
                                      enterprise core systems

                                  .   Develop custom applications for internal
                                      business units

                                  .   Migrate Notes R4 to R5 databases and
                                      agents

                                  .   Migrate Notes R4 to R5 databases to the
                                      web
--------------------------------------------------------------------------------

                                       12

<PAGE>

--------------------------------------------------------------------------------
                             .    Conduct feasibility studies

                             .    Provide technical guidance and consulting to
                                  customer development groups, including best
                                  practices, design templates, Lotus Script
                                  analysis, and agent signing

                             .    Evaluate new software development tools

                             .    Perform technical reviews of externally
                                  developed applications

                             .    Provide graphics arts design including web
                                  interface design, gif animation, and logo
                                  creation

                             .    Provide commercial development expertise in:

                                       .  Lotus Notes / Domino, Java,
                                          JavaScript, LotusScript, HTML, XML,
                                          XSL

                                       .  Visual Interdev, MS Active Server
                                          Pages, Java Server Pages, MQSeries,
                                          ColdFusion, Websphere, ISyndicate Java

                                       .  FrontPage, Flash, PhotoShop,
                                          Illustrator, Dreamweaver, Homesite, MS
                                          Image Composer, Pagemaker, GoLive

                                       .  C/C++, VBScript, Visual Basic,
                                          including multi-tier applications
                                          (using MTS COM/DCOM) and communicating
                                          with PBX switches, Internet
                                          Information Server (IIS) and related
                                          distributed and web technologies
                                          (DHTML, MTS, COM/COM+)

                                       .  SQL Server, Oracle, Informix, Sybase,
                                          DB2, OLE

                                       .  Fortran, Perl, REXX, Crystal Reports,
                                          Unix shell scripts, Data Integration
                                          using Replic Action

                                       .  CPIC (APPC)

                                       .  Development for Palm-based Mobile
                                          Devices using CodeWarrior and
                                          AppForge, Windows CE-based Mobile
                                          Devices, development using Flex
                                          (Motorola proprietary paging platform)

                                       .  MS Office integration with Notes and
                                          other applications

--------------------------------------------------------------------------------
PROJECT SERVICES
--------------------------------------------------------------------------------
Application Deployment       Deployment of new applications and significant
                             updates to applications, such as Team Asset,
                             Comperio, Shockwave, Project 2000, and TLS
                             Superforms.

                             Premium Service:

                             .    Provide written proposal defining scope,
                                  potential solution, benefits, implementation
                                  timeline, cost, support requirements and
                                  agreements

                             .    Distribute software electronically and via CD

                             .    Integrate new application with PwC
                                  infrastructure

                             .    Schedule rollouts, taking customer schedules
                                  into consideration

                             .    Manage risk

                             .    Perform integration testing

                             .    Manage pilot of new update or application

                             .    Create and publish support documentation and
                                  procedures

                             .    Create and publish testing, pilot and
                                  deployment communications

                             .    Assemble project team

                             .    Provide coordination and communication with
                                  Buyer technology representatives

                             .    Provide end-to-end project management using
                                  standard methodology

                             .    Manage and report on IT project portfolio
--------------------------------------------------------------------------------
Client Site Connections      Client Site Connections provide a variety of
                             broadband connectivity options to enhance
                             engagement functionality. Services include, but are
                             not limited to, assistance for VPN usage from
                             client networks, installation of traditional
                             private
--------------------------------------------------------------------------------

                                       13

<PAGE>

--------------------------------------------------------------------------------
                             circuits secured with firewalls, cable modem or DSL
                             links used with VPN and small networks, and site
                             -to-site VPN connections utilizing the IP Secure
                             protocol. All Client Site Services are provided on
                             a time and materials basis.

                             Premium Service:

                             .  Provide written proposal defining scope,
                                potential solution, benefits, timeline for
                                implementation, cost of work, on-going support
                                requirements and on-going support agreements

                             .  Manage implementation of agreed solutions for
                                client site connections to the PwC WAN

                             .  Provide due diligence to determine feasible US
                                IT-sanctioned connectivity solutions to the wide
                                area network. Travel expenses may require
                                charges to the engagement

                             Service Not Provided:

                             .  Any connection denied by Risk Management
--------------------------------------------------------------------------------
Office Moves                 Office Moves encompass the creation of a complete
                             technology infrastructure environment, from design
                             and planning of electrical and telecommunications
                             cabling infrastructure through the managed
                             deployment of all active components including PBX,
                             voicemail, hotelling, file and print services,
                             LAN/WAN and UPS systems components.

                             Premium Service:

                             .  Provide enhanced technology infrastructure
                                environments above PwC standards. Priced per
                                enhancement with associated justification
                                provided by Buyer.

                             .  Plan and implement Buyer technology labs

                             .  Provide additional UPS battery backup or
                                facility generator above PwC standards

                             .  Design and co-ordinate implementation of call
                                Centers
--------------------------------------------------------------------------------

                                       14

<PAGE>

                       Schedule C: Buyer Responsibilities

Infrastructure

BUYER Responsibilities

    . Buyer will provide monthly projections of staff in Shared Facilities
    . Buyer will maintain open, frequent and timely communication with Security
      Department regarding all security incidents and issues related to shared
      space
    . Buyer will ensure communication to Buyer employees regarding what services
      PwC will provide in Shared Facilities

                                       15

<PAGE>

US Information Technology (US IT)

BUYER Responsibilities

     . Buyer will provide a representative authorized to provide
       customer-specific input and direction on IT requirements including input
       on infrastructure requirements and capacity planning
     . Buyer will provide asset management return information
     . Buyer will communicate openly and frequently with US IT relationship
       managers and service managers
     . Buyer will promote and enforce PwC IT standards
     . Buyer to determine if approval process is necessary for PC Accessories,
       spare parts or Premium Distributed Support Services.

                                       16

<PAGE>

            Schedule D: Pricing Based on Current Year Cost Estimates
                and Assumptions Regarding Business Cost Drivers

<TABLE>
<CAPTION>
                                                                         -----------------------
                                                                         FY03 Budget                  (000's)
------------------------------------------------------------------------------------------------  ---------------
   Services                                                                 FY03 Pricing              FY03 SLA
                                                                            Methodology               (Annual)
------------------------------------------------------------------------------------------------  ---------------
<S>                                                                      <C>                       <C>
   INFRASTRUCTURE/Ops

   Operations Services (Shared Facilities)
          Facility Management Operations                                 % Shared Sq ftg                  393
          Service Centers/Concierge                                      % Shared Sq ftg                  125
          Records Management                                             % Shared Sq ft - Used            239
          Mail, Express Couriers, and Messengers                         % Shared Sq ftg                  264
          Reprographics                                                  % Shared Sq ftg                  492
          Switchboard/Receptionists                                      % Shared Sq ftg                  152
          Supplies                                                       % Shared Sq ftg                  501

   National Services (Shared Facilities)
          Manage Real Estate Projects                                    % Shared Sq ftg                  146
          Security                                                       % HC                              27

   Total                                                                                                2,339
------------------------------------------------------------------------------------------------  ---------------
   US INFORMATION TECHNOLOGY (US IT)

   Computing Services
     Distributed Infrastructure Services                                 % Shared Sq ftg                  200
     Distributed Infrastructure Services - Office Moves                  % Sq Ft by Location              252
     Messaging and Groupware Services - Shared                           % Subscribers                    110
     PC Deployment and Management                                        % PCs                            279

   Network and Telecommunication Services
     Internet Services                                                   % Total Sq Ft                     55
     Remote Access                                                       % Hours                           27
     Wide Area Network Services                                          % Total Sq F                     365
                                                                         % Shared Sq Ft by
     Voice & Conferencing                                                Location                         832

   Support Services
     Distributed Support Services                                        % Incidents                      380
     Help Desk                                                           % Incidents                      181

   Total                                                                                                2,681
------------------------------------------------------------------------------------------------  ---------------
   OCCUPANCY
      Shared Facility Occupancy Costs                                    Sq Ftg - Shared                4,573

================================================================================================  ===============
   TOTAL                                                                                                9,593
------------------------------------------------------------------------------------------------  ---------------
</TABLE>

NOTES: Used % of LoS headcount * LoS budgeted
allocation for Usage based drivers

                                       17

<PAGE>

                             Schedule E: Assumptions

The following assumptions are the basis for certain of the terms and provisions
of this Agreement between PwC and Buyer.

<TABLE>
<S>                                                                  <C>
General
-------
Cost driver data for the Business is assumed to be the following:
 .   Headcount                                                          449
 .   Sq. ft. - Shared Facilities only                                99,860 sq ft
 .   Sq. ft. - Shared and stand alone                                99,860 sq ft
 .   % of LoS budget (Subscribers, Servers, Hours, Incidents)         34.62%  Real Estate Occupancy
                                                                              ---------------------
</TABLE>

..    Leases for locations currently shared with PwC will be honored for the term
     of the TSA agreement

..    Businesses to be charged for space committed, including
     offices/workstations, commonly used space, dedicated special use space,
     circulation and rentable/usable mark-ups in leases and any excess space
     within their committed space.

..    Common space that is used by the businesses resident in an office will be
     broken down into two categories: (1) SBA ("Shared by All") which will be
     prorated to all resident businesses and (2) SBF ("Shared by Floor") which
     will be prorated to the businesses on a specific floor.

     .    Examples of SBA space include: Main reception, cafeteria/lunch areas,
          central file room, mail/reproduction center, VCN area for word
          processing/reporting/graphics, US IT voice/data and IT support rooms,
          mother's room, admin services and internal stairs.

     .    Examples of SFA include: Small conference room, satellite coffee/copy
          centers, service centers and US IT IDF closets.

..    Businesses will not be charged for common space they do not use - for
     example, the dedicated space of another business. Dedicated space of this
     type includes: ABAS OSRM lab, TLS processing lab, TLS library, FAS war
     room, business-specific file/storage rooms, business-specific satellite
     reception, and business-specific HR/Marketing/Graphics space.

                                       18

<PAGE>

                    Schedule F: Real Estate Shared Facilities

<TABLE>
<CAPTION>
------------------------------------------------------------------------------------------------------------------

            Office                                              TSA                     Landlord
                                  Expiration                 Measured
                                    Date        Office RSF    Space (1)
==================================================================================================================
<S>                              <C>            <C>          <C>           <C>

10 Tenth Street
Atlanta, GA 30309                10/31/12         97,633       5,458       TCB #11 LLC
One Post Office Square
Boston, MA 02109                  4/30/05        155,178       4,950       One Post Office Sq Assoc c/o EOP

214 North Tryon St
Charlotte, NC 28255

                                  2/28/14         70,299       2,114       Bank of America
One North Wacker Dr
Chicago, IL 60606                10/31/13        230,066       8,934       One North Wacker Drive Venture, LLC
200 Public Square
Cleveland, OH 44114              12/31/06         50,354       1,507       EOP - BP Tower LLC
2001 Ross Ave
Dallas, TX 75201                 12/31/06        180,155      12,245       C-W #11 Limited Partnership
1670 Broadway
Denver, CO 80202                  2/28/11         55,006       3,857       Aetna Life Insurance
1201 Louisiana
Houston, TX 77022                12/31/08        165,716       5,135       RSCPF 1201 Louisiana Place
400 Hope St
Los Angeles, CA 90071             6/30/03        120,151      15,852       400 South Hope Street Assoc
1177 Ave Of The Americas
New York, NY 10036               12/31/09        513,740      24,574       KG & AA Corporation
2001 Market St
Philadelphia, PA 19103            7/31/14        214,260       2,510       New York Central Lines LLC
1850 North Central Ave
Phoenix, AZ 85004                11/31/09         25,421       2,600       FP Arizona, Inc.
600 Grant St
Pittsburgh, PA 15230 Assoc       12/31/08         74,058         673       600 Grant Street

199 Fremont
San Francisco, CA 94105           8/31/10        142,125       5,146       199 Fremont L.P.

1900 K Street
Washington, DC 20036              9/30/06         48,475       4,304       NOP, Hines AAF-1900 K ST.

Totals

                                               2,142,637      99,860
                                               ---------      ------

------------------------------------------------------------------------------------------------------------------
</TABLE>

(1) TSA measured space is calculated as a share of LoS measured space based on
headcount as a percentage of LoS headcount.

                                       19

<PAGE>

Schedule G: Certain Excluded Services for Buyer Relocated Employees

INFRASTRUCTURE

Facility Management Operations
Service Centers/Concierge
Records Management
Switchboard/Receptionist
Mail, Express Couriers, and Messengers
Reprographics
Supplies
Security
Space Cost Management

US INFORMATION TECHNOLOGY (US IT)

Voice Communication Services

                                       20

<PAGE>

                           Schedule H: TSA Databases*

--------------------------------------------------------------------------------
                         NARS (Name and Request System)
                             1. Notes Admin Request
                              2. NARS Configuration
                          3. Database Deployment Index
                         4. NARS Certifier Configuration
                            5. Notes User ID Archive
                             6. Notes ID Repository
                         7. Notes System Admin Requests
                             8. Non-Authorized Users
                                 9. Audit Trail
--------------------------------------------------------------------------------
                                 Monthly Reports
--------------------------------------------------------------------------------
                                 Unapplied Cash
--------------------------------------------------------------------------------
                              FAS AR - Collections
--------------------------------------------------------------------------------
                          FAS US Fin Report Repository
--------------------------------------------------------------------------------
                         Mail template. (fasmail50.ntf)
--------------------------------------------------------------------------------
       BRS Database Deployment Request database. (gts\ftibrsdbdeploy.nsf)
--------------------------------------------------------------------------------
          Tracker Substitue databases. (to be provided by Scott Parry)
--------------------------------------------------------------------------------
                               BRS Firm Directory
--------------------------------------------------------------------------------
                         Mail Automation (attendant.nsf)
--------------------------------------------------------------------------------
                            DB Listing (dblistng.nsf)
--------------------------------------------------------------------------------
                     EMEA Global Address Book (GNABEMEA.nsf)
--------------------------------------------------------------------------------
                    AMER Global Address Book (GNABAMER.nsf)
--------------------------------------------------------------------------------
          ASIAPAC Global Address Book (GNABAPAC.nsf)
--------------------------------------------------------------------------------
                        NARS Audit Trail. (audadmin.nsf)
--------------------------------------------------------------------------------
                       ACL/Updater v2.0 (acluctrl.ntf, acluctrl.nsf)
--------------------------------------------------------------------------------
                  BRS Notes User ID Archive (admin\idrepy.nsf)
--------------------------------------------------------------------------------
                       Non-Authorized Users (admin\notauth.nsf)
--------------------------------------------------------------------------------
          BRS NARS Certifier Configuration (admin\certcfg.nsf)
--------------------------------------------------------------------------------
                       NARS Configuration (admin\nars.nsf)
--------------------------------------------------------------------------------
        BRS US Notes Admin Request (admin\notesadm.nsf)
--------------------------------------------------------------------------------
               NARS Audit Trail (audadmin.ntf and audadmin.nsf)
--------------------------------------------------------------------------------
                      Administration Requests (admin4.nsf)
--------------------------------------------------------------------------------
     NARS Database Repostiory (dbrposit.nsf and dbbrposity.ntf)
--------------------------------------------------------------------------------
                     Database Deployment Index (deploy.nsf)
--------------------------------------------------------------------------------
             Statistics and Events (events4.nsf and events4.nsf)
--------------------------------------------------------------------------------
                            Patrol4.3 (patrol41.nsf)
--------------------------------------------------------------------------------
               BRS Notes System Admin Request (usysadm.nsf)
--------------------------------------------------------------------------------
                       FTIBRS Agent (mail\ftibrsagent.nsf)
--------------------------------------------------------------------------------

* If during the term of this Agreement Buyer needs information with respect to
Seller's business relationships prior to the Closing Date for purposes of any
bankruptcy or court appointed engagement of the Business that has been taken
over by Buyer then Seller shall use reasonable efforts to provide such
information as requested by Buyer if disclosure thereof is required for any
court filing related to such engagement prior to the Closing Date.

                                       21

<PAGE>

<TABLE>
<CAPTION>
                                          Schedule I: Pass-Through Costs

------------------------------------------------------------------------------------------------------------------
SLA Function         Service            Pass Through Item                       Typical Vendor(s)*
------------------------------------------------------------------------------------------------------------------
<S>                 <C>                <C>                         <C>
Infrastructure      Occupancy          Parking (Partner and        400 South Hope Street Associates - LA, AAA
                                       Staff)                      Parking - Atlanta, Adams Mark Hotel - Denver,
                                                                   Allright Central Parking System - Dallas,
                                                                   Ampco System Parking - LA, St Louis, and
                                                                   Dallas, Central Parking System - Houston,
                                                                   Grand Central Square LP - LA, Hurt Plaza
                                                                   Parking Garage - Atlanta, Standard Parking,
                                                                   Inc - Denver and LA, Star Parking - Dallas,
                                                                   Suntrust Bank - Atlanta, TCC DFW Ltd - Dallas,
                                                                   Trammell Crow Center Garage - Dallas, 1100
                                                                   Louisiana Ltd Partnership - Houston, Aetna
                                                                   Life Ins Co, BP Tower Self Park - Cleveland,
                                                                   Central Parking System - Washington DC and
                                                                   Philadelphia, City Park - San Francisco,
                                                                   Shorenstein Co - SF, Standard Parking Inc -
                                                                   Boston, Cleveland, CPS Parking - Seattle, One
                                                                   North Wacker Services - Chicago
------------------------------------------------------------------------------------------------------------------
                    Reprographics      Outside Copying               Alfred Mossner (Chicago), Color Group Inc,
                                                                   Crystal Press (Washington), Gallery Collection,
                                                                     Gonluco, Ikon Office Solutions, ITC Graphic
                                                                    Services, James Palmer and Daughter, Kinkos,
                                                                     Pitney Bowes Mgt Services, Presentech, Sir
                                                                                    Speedy
------------------------------------------------------------------------------------------------------------------
                    Mail, Express      Mail, Express Couriers      DHL, Federal Express, UPS, Airborne Express-
                    Couriers and       and Messengers               national accounts, Citipost - Chicago, Action
                    Messengers                                     Messenger Service, Jet Messenger, Citysprint -
                                                                     Denver, Comet Messenger- Chicago, Courier
                                                                    Express- Atlanta, Courier Net - Atlanta, Dash
                                                                      Courier Service, Deadline Express- Chicago,
                                                                      Dial Four Delivery - Charlotte, Elliott Bay
                                                                    Messenger- Seattle, Excel Delivery Service -
                                                                   Houston, George Aprile & Sons- NY, Lasership
                                                                       Inc- Washington DC area, Metro Package
                                                                    Delivery- Boston, Quicksilver Express, RR
                                                                    Donnelley - NY, Rush More Delivery Service,
                                                                     United Express Messenger- LA, Urbanfetch
                                                                    Express - NY, Velocity Express, Western
                                                                    Messenger Service- SF, Wingtip Couriers-
                                                                                     Dallas
------------------------------------------------------------------------------------------------------------------
                                       Postage                     US Postal Service, Postage by Phone
------------------------------------------------------------------------------------------------------------------
                    Supplies           Office supplies                          Corporate Express
------------------------------------------------------------------------------------------------------------------
                    Records            Off-site record storage     Iron Mountain, Atlantic Records Mgt
                    Management         retrieval
------------------------------------------------------------------------------------------------------------------
US IT               Voice              Telecom leasing, PBX,       AT&T, AT&T Teleconference Services, Avaya
                    Communications     telephones, telephone          Communication, Ameritech, Southwest
                                       equipment, telecom          BellFiberlink Communications Corporation,
                                       services                      Infonxx, Inc., Lucent Technologies, MCI
                                                                   Worldcom, Skytel Corporation, Sprint, Verizon,
                                                                        Worldcom, CMS Communcations, Local
                                                                               Telephone Carriers
------------------------------------------------------------------------------------------------------------------
                    PC Deployment and  PC leases,                  Compaq Financial Services, IBM, McCollister's
                    Mgt                Maintenance,                Moving & Storage, Comdisco, Inc, Dell Financial
                                       Transportation                               Services
------------------------------------------------------------------------------------------------------------------
                    PC Deployment and  Core software licenses      Veritas (, Microsoft, McAfee, Adobe, Lotus,
                    Management         and maintenance             Real, Winzip Computing, Inc., Network
------------------------------------------------------------------------------------------------------------------
</TABLE>

                                                22

<PAGE>

<TABLE>
------------------------------------------------------------------------------------------------------------------------------------
<S>         <C>                           <C>                             <C>
                                                                          Associates, Corporate Disk Company
------------------------------------------------------------------------------------------------------------------------------------
            PC Deployment and             LoS-specific software           ASAP Software Express, Inc.
            Management                    licenses and
                                          maintenance
------------------------------------------------------------------------------------------------------------------------------------
            Remote Access                 VPN                                        AT&T, Fiberlink
------------------------------------------------------------------------------------------------------------------------------------
            Distributed Support           Tech supplies and core              Bindview Corporation, Cable Express
            Service & Help Desk           software licenses and                 Corporation, Cisco Systems, Inc.,
            Services                      maintenance                         Communication Pathways, Compaq Capital
                                                                           Corporation, Computing Concepts, Inc., Insight,
                                                                                  Metropolis Computers, OnTrack,
-----------------------------------------------------------------------------------------------------------------------------------
            Other non-                    Misc. techology-related         DiaSoft Corporation (rental system & db Mgmt),
            categorized or LoS-           payables including SW
            specific payables             licenses, equipment,
                                          services, rentals and
                                          staffing.
------------------------------------------------------------------------------------------------------------------------------------
</TABLE>

* The vendors listed represent typical suppliers of the referenced items over
the past year. This list is subject to change based upon actual purchases going
forward.

                                       23

<PAGE>

                    Schedule J: Real Estate Required Services

INFRASTRUCTURE

Facility Management Operations (for shared facilities)
Service Centers/Concierge (for shared facilities)
Records Management (for shared facilities)
Switchboard/Receptionist(for shared facilities)
Mail, Express Couriers, and Messengers (for shared facilities)
Reprographics (for shared facilities)
Supplies (for shared facilities)
Security (for shared facilities)
Occupancy (for shared facilities)

US INFORMATION TECHNOLOGY (US IT)

Distributed Support Services (DSS)

Voice Communication Services

                                       24

<PAGE>

                      Schedule K: Service Bundling Schedule

<TABLE>
<CAPTION>
   Service                                                         Required Bundle
   -------                                                         ---------------
   <S>                                                             <C>
   Computing Services
    Application Hosting Services - Shared (AHS)                    EAD
    Application Hosting Services - Customer Specific (AHS)         EAD
    Distributed Infrastructure Services (DIS)                      AHS,WAN, MGS, PCDM, IS, RAS, DSS, HD, EAD
    Distributed Infrastructure Services - Office Moves (985)(DIS)  AHS,WAN, MGS, PCDM, IS, RAS, DSS, HD, EAD
    Messaging & Groupware Services - Shared (MGS)                  AHS, EAD, IS, RAS
    Messaging & Groupware Services - Customer  Specific (MGS)      AHS, EAD, IS, RAS
    PC Deployment and Management (PCDM)                            AHS, DIS, MGS, WAN, IS, RAS, DSS, HD, EAD

   Network and Telecommunication Services
    Internet Services (IS)                                         RAS
    Remote Access Services (RAS)                                   None
    Wide Area Network Services (WAN)                               AHS, DIS, MGS, PCDM, IS, RAS, DSS, HD, EAD

   Support Services
    Distributed Support Services                                   AHS, DIS, MGS, PCDM, IS, RAS, WAN, HD, EAD
    Help Desk Services (HD)                                        AHS, DIS, MGS, PCDM, IS, RAS, DSS, WAN, EAD

   Application Development Services
   Enterprise Application Development (EAD)                        AHS
</TABLE>

                                       25

<PAGE>

 Schedule L: Policy to Maintain Client Confidentiality at PwC Shared Facilities

BUYER, or its permitted assigns, takes seriously its obligation to preserve the
confidentiality of non-public client information. The acquisition of the BRS
business will be no exception. BUYER intends to establish firewalls for the BRS
business as outlined below.

BUYER understands that the SEC has raised concerns about the lack of physical
separation at PwC premises that BRS will share with other PwC businesses during
the transitional period.

Following are the steps BUYER in cooperation with PwC will take to insure the
confidentiality of BRS client information (it being understood that PwC will use
reasonable efforts to facilitate BUYER's compliance with the following):

   1)  Physical separation

       .       The BRS employees have been clustered in an area of space within
          PwC facilities and not inter-dispersed with PwC employee workstations.

       .       Each BRS workspace will be tagged with a nameplate identifying it
          as BUYER workspace.

       .       BRS and PwC will work together to ensure that the PwC employees
          nearest to the BRS employees are not consultants engaged in similar
          activities.

       .       Floor plans making clear that two separate businesses share the
          area and clearly identifying the BRS space will be posted at shared
          reception areas at PwC facilities.

       .       Shared reception areas will include BUYER signage making clear
          that two separate business share the area.

       .       In the event conference rooms are shared with PwC, they will be
          clearly marked. Reminders will be posted to ensure confidential
          information is not left behind. In addition, all outside visitors will
          be escorted by BRS employees directly to the conference room.

       .       BUYER will use reasonable efforts, to the extent practicable, to
          arrange to have client meetings occur outside of the BRS business
          offices for so long as PwC and BUYER continue to share space in a
          particular location.

   2)  Locks and keys

       .    Non-public information in hard-copy form will be kept in a secure
            file, marked "confidential".

       .    BRS employees will place all confidential information under lock and
          key when they are not at their workspace for extended time periods
          (long meetings, lunch time, before leaving for the day).

       .    Offices will have doors with locks; workstations will have desks or
          file cabinets that lock.

       .    BUYER shall equip, at BUYER's expense including installation
          thereof, any doors that do not have locks, or which have locks that
          are not operational, as of the Closing Date, with locks that provide
          the level of security which is customary in the geographic area, to
          the premises.

   3)  Electronic information

       .  BUYER's network and associated computer services will be fire walled
          from that of PwC, to the extent that a BUYER employee will not have
          access to PwC traffic and vice-versa.

       .  BUYER computers will have locking features and password protection
          features.

       .  Passwords shall be regularly changed and not shared with other
          employees.

                                       26

<PAGE>

     .    Electronic data on diskettes shall be stored in secure, locked storage
          compartments, desk drawers or file cabinets.

     .    When printing a document, the employee (or delegate) shall pick up the
          document in a reasonably prompt manner.

     .    BUYER will have dedicated fax machines such that PwC faxes will not be
          sent or received over BUYER fax machines (or vice versa).

     .    Fax machines and printers dedicated to BUYER will be located in secure
          areas of BRS.

4)   Policies and procedures

     .    All nonpublic information relating to a client that is obtained on a
          confidential basis by BRS employees must be kept confidential.

     .    Until and unless such information is made public, BRS employees may
          disclose that information only to other BRS employees involved in the
          client engagement and the information is to only be used for purposes
          of the engagement.

     .    "No discussion" policies in public areas will be adopted (open common
          areas, hallways, lunch rooms, open cubicles, or elevators).

     .    Phones will be answered "BUYER" or in the person's name.

5)   Training and communication

     .    These policies will be distributed to all BRS employees sharing
          facilities.

     .    Reminders will be distributed periodically.

     .    Additional training and communication will be performed where
          required.

6)   Review compliance

     .    Each office will have a BUYER designee to monitor compliance with the
          politics.

     .    BUYER employees will also be required to comply with the BUYER's
          confidentiality policies and procedures, and the BUYER's Code of
          Conduct.

     .    Failure to comply will be sufficient cause for (but will not require
          in all cases) disciplinary action, including termination of employment
          and possible legal action.

In conclusion, BUYER believes these steps will ensure that non-public client
information remains confidential.

                                       27

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