Docusign Envdope ID.. 582DcBc>EE14416E.81DA-8AAB&4ACD4￿2
Charity registration number 1187484 (England and Wal￿>
Company reglstrntlon nUM￿r 11989947
SOUND ROOMS LTD
ANNLIAL REPORT ANO LINAUOITED FINANCIALSTATEMENTS
FOR THE YEAR ENDED 31 AUGUST 2024

Docusign Envdope ID.. 582DcBc>EE14416E.81DA-8AAB&4ACD4￿2
SOUND ROOMS LTD
LEGAL AND ADMINISTRATIVE INFORMATION
Dlrèetors
MrCECade
Mr P ChNers
MrA Comben
Secretary
MrSCDanc
Chority number IEngland and Wales)
1187484
Company numb•r
11989947
R•glster•d offlc•
Kintyre House
70 High Street
Fareham
Hampshire
Uniled Kingdom
P016 76B
Ind•pend•nt •xamln•r
Alliott Wngham Limited
Kintyre House
70 High st￿et
Fa￿haM
Hampshire
P016 7B8

Docusign Envdope ID.. 582DcBc>EE14416E.81DA-8AAB&4ACD4￿2
SOUND ROOMS LTD
CONTENTS
Page
Directors. report
Independent examiners report
Statement of financjal activities
Balance sheet
Notes lo the fin8n¢ial stslemenls

Docusign Envdope ID.. 582DcBc>EE14416E.81DA-8AAB&4ACD4￿2
SOUND ROOMS LTD
DIRECTORS, REPORT (INCLUDING DIRECTORS, REPORT
FOR THE YEAR ENDED 31 AUGUST 2024
The directors present their annual report and financial ststements for the year ended 31 August 2024.
The financial statements have been prepared in accordanc£ with the accountsng poliaes set out in note 1 to the
financial staternents and compty with the chanty's governing document daled 21 January 2021, the Companies Act
2006 and Awounting and Reporting by Charities.. Statement of Recommended Practice applicable to charities
preparing their accounts in accordance with th8 Fin8nixal Reporting Standaid Applicable in the UK and Republic of
Ireland IFRS 1021" (effective 1 January 20191.
Oblectlves and actlvltles
PubliG benefit
The directors have paid due regard lo guidance issued by the Charity Commission in derAding what activities the
charity should undertake.
Activilies
Sound Rooms provides inclusive music education and Iraining to chiklren. young people and adults across 8Tighlon
and beyond. Young people. especialfy those with SEND. face many barriers to playing rnusic rnainty due to a lack of
opportunrties to develop their music skills. Sound Rooms is a unique and excrting development which will tackle
these barriers by driving a slep ch8n9e in music education.
Aehl•vém•nts and ￿rf0mlan¢•
SignifiG8nt 8Gtivities 8nd 8chi8vernenls againsl objectives
Flnanclal r•vl•w
Reserves poli¢y
It is the policy of the charity that unrestricled funds which have nol been designated for a specific use should be
maintained at a level equivalent to beh¥een three and SIX month's expendl1u￿. The directors consider that reserves
al this level will ensure that. in the event ol a significant drop in funding. Ihey will be able to continue Ihe charity's
current aetivities while ¢onsider81ion is given to w8y$ in vthi¢h addrtional fvnds may be raised. This level of ￿Se￿o$
has been maintained throughout Ihe year.
Structure, gov•mane• and manag•m•nt
The charity is a company limited by guarantee.
The diredors who $erv&d during lh& year and up lo the date of S￿natUre ofthe finanu81 $lal&menls w¥r¥.'
MrCECade
Mr P Chivers
MrA Comben
R8Cftlltment antl &ppoinEment oltftASt8ès
None of Ihe directors has any beneficial interest in the company. All of the d1￿CtorS are members ol the company
and guarantee to conlribule £1 in the event of a winding up.
The company's current poliry conceming the payrnent of tiade credilors is to follow the CBI'$ Prompt P8y&r5 Cod&
leopiès arè 8vai18blÈ from thè CBI, Centre Point, 103 Nèw Oxford Streèt. London WC1A 1 DU}.
The company's current policy Con￿MIng the payment of trade credrtors is to..
settle the terms of payment with suppliers when ag￿eIng the tenns of each transaction,.
ensure thal suppliers are made aware of the tenn5 of payment by indvsion of Ihe relevant temis in contracts..
and
pay in accordance with the companvs contractual and other legal obligations.

Docusign Envdope ID.. 582DcBc>EE14416E.81DA-8AAB&4ACD4￿2
SOUND ROOMS LTD
DIRECTORS, REPORT (INCLUDING DIRECTORS, REPORTI {CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2024
The directors, report W8s approved by the Board of Ditectors.
MrCECade
Dlr•etor
31-05-2025
Date..

Docusign Envdope ID.. 582DcBc>EE14416E.81DA-8AAB&4ACD4￿2
SOUND ROOMS LTD
INDEPENDENT EXAMINER'S REPORT
TO THE DIRECTORS OF SOUND ROOMS LTD
I report to the directors on my examinalth) of the finanoal statements of Sound Rooms Lld (the chartyl for the year
ended 31 August 2024.
Responsibilities and basis of report
As the directors of the charity land also its directors for the purposes of company lawl, you are responsible for the
preparation of the financial statements in accordan￿ with the requirements ol the CoMpan￿S Act 2006.
Having satisfied myself that the financial statements of Ihe charity are not required to be audrted under Part 16 of
the Cornpanies Act 2006 and are eligible lor independent examination. I report in respect of my examination of the
harity's financial stslemenls carried oul under section 145 of the Charibes Act 2011. In carrying out my examination
I h8vÈ followed thè Directions givèn by thè Charity CommissK>n undèr sèction 14515llbl of the Charities Act 2011.
Independènt •xamIn•￿8 statement
I have completed my examination. I confirm that no matters have ¢omtr io my atteniion in ￿rtneCtion with th
xamination giving me ¢ause lo believe thal in any malerial ￿Sp&￿'.
accounting records were not kept in respect of the charity as required by section 388 01 the Companie5 Act
2006.
the financial statements do not accord with Ihose records., or
the fin8n¢i81 slalernenls do noi ¢ornpty with Ihe a¢counling requirements of section 396 01 the Companie$ Act
2006 other than any requirement Ihal the financial $tslem¢nl$ give a Iwe and fair vi¢w, whith is not a matter
considered as part ol an indepen¢Jent examination.. or
the financial staternents have not been prepared in accordance wrth ihe methods and prinriples of the
Slalernenl of Recommended Pr8di¢tr for a¢¢ounling and reporting by ¢h8rrtie$ applicable lo charities
preparing their financial statements in 8¢cordan¢& wlh the Finan¢ial R¥porting Slan¢Jard opplicgble in th¥ VK
and Republic ol Ireland IFRS 1021.
I have no concerns and have come across no other matters in connection with the examination to which attention
should be drawn in this report in order lo enable a proper understanding of the financial statements to be reached.
Alllott Wlngham Llrnlted
Kintyre House
70 High Street
Fareham
Hampshire
P016788 27-05-2025
Date..

Docusign Envdope ID.. 582DcBc>EE14416E.81DA-8AAB&4ACD4￿2
SOUND ROOMS LTD
STATEMENT OF FINANCIAL ACTIVITIES
INCLUDING INCOME AND EXPENDITURE ACCOUNT
FOR THE YEAR ENDED 31 AUGUST 2024
Unrestrtcted
fund#
2024
Unrestrlcted
funds
2023
Not•s
Income from:
Charitablè 8Ctivitiès
45,290
50,158
Total Ineom•
45,290
50,158
Expendlture on..
Charitable expenditure
30,414
27,714
Totsl •xp•ndltuM
30,414
27,714
N•t Incom• and mov•m•nt In fund8
14,876
22,444
Reconclllatlon ol funds:
Fund b8lan¢e$ a11 Sepl¥mber 2023
30,449
8,005
Fund balanc•• at 31 Augu8t 2024
45,325
30,449
Th¥ $talemenl of finan¢i81 a¢tivib&s indudes 011 gains and losses re¢ognis*d in the y¢ar. All in¢om& an¢J expenditu
darlve from continuing activitiès.

Docusign Envdope ID.. 582DcBc>EE14416E.81DA-8AAB&4ACD4￿2
SOUND ROOMS LTD
BALANCE SHEET
AS AT31 AUGUST2024
2024
2023
Notes
Currènt ass•ts
Cash at bank and in hand
70.317
43.266
Crèdltors.. arnounts falllng du• vAthln
onè yèar
124.992)
112.8171
Nèt eurr•nt a8sets
45,325
30,449
Thè funds of thè charlty
Unrestricted funds
45.325
30.449
45.325
30,449
The company is entitled to the exemption Irom the audrt requ1￿Ment fAJntained in section 477 of the Companies Act
2006, for the year ended 31 August 2024.
The directors acknowledge their responsi￿.1￿10¥ lor comptying wilh the wuiremtrnts of Ihtr Companie$ Ad 2006
vAth respect to accounting rècords and thè prèparation of finanual statemènts.
The members have not required the company lo obtain an audit of its finanaal statements for the year in question in
accordance with section 476.
These financial 5talements have been prepared in arA))Tdance with the provision6 applicable to companies subject
lo the small companies regime.
31-05-2025
The flnan¢lal stateménts waro approvèd by the directors on .........................
MrCECade
Dir•etor
Company registration number 11989947 IEngland and Wales)

Docusign Envdope ID.. 582DcBc>EE14416E.81DA-8AAB&4ACD4￿2
SOUND ROOMS LTD
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 AUGUST 2024
Aecountlng pollel•s
Charfty Snforniatlon
Sound Rooms Ltd is a pnvate company limited by guarantee incorporated in England and Wdles. The
registered office is Kintyre House, 70 High Street. Fareham. Hampshire, P016 7BB, United Kingdom.
1.1 Accounting convention
The financial statements have beèn prepared in accordancè vAth thè charity's goveming documènt, thè
Companies Act 2006, FRS 102 "The Finanaal Reporting Standard applicable in the UK and Republic of
Ireland I"FRS 102.1 and the Charities SORP "Accounting and Reporting by Charities.. Statement of
Recommended Practice applicable to charit￿S preparing Iheir accounts in accordance with the Financial
Reporting Standard applicable in the UK and Republic ol Ireland IFRS 1021. leffeclive 1 January 20191. The
charity is 8 Public Benefit Entity as defined by FRS 102.
The charity has taken advantage of the provision$ in the SORP for charities not to prepare a Statement of
Cash Flows.
The financial statements are prepared in steding. which is the funcb'onal oJThenry of the charity. Monetary
arnounts in these financial statements are rounded lo the nearest £.
The financial statements he￿ been prepared under Ihe historical cosl convention. The principal accounting
poli¢i¢s adopied ar¢ s&1 out below.
1.2 Golng conc•m
At the lime of approving the finènci81 st8lemenls. the direclors have a re•sonable expectation that the charity
has adequate r&sour¢e$ io Continue in Opera￿0￿81 existence for the fo￿Seèablè luture. Thus the dir&¢lors
¢onlinu¥ lo adopt th$ 90ing ¢on¢sm basb$ of a¢￿Un￿n9 in prgparing Ihg finanual $tat&m$nls.
1.3 Charltable funds
Unrestricted funds are availab18 for use at the discretion of the d1￿CLorS in lurtherance of their charitable
objectives.
Restricted funds are subject to specffic condil¥)ns by donors or grantors as to how Ihey may be used. The
purposes and uses of the restricied lunds are set out in the notes to the finanaal statements.
Endowment lunds are subject to specthc condrtions by donors that the capital must be maintained by the
chanty.
1.4 Incom•
Income is recognised when the charity is legalty enlilled to it after any perfomiance conditions have been rnet.
the arnount5 can be rneasured reliabty. and rt 15 probable thal income will be received.
Cash donations are recognised on receipt. Other donations a￿ recognised once the charty has been nots'fied
of the donation. unless perforniance conditions require deferral of the amount. Income tax recoverable in
relation to donations receNed under GfftAKI or deeds of covenant is re(￿nised 8t Ihe time of the don8tion.
Legacies are recognised on receipt or olhewse il the charity has been nolified of an irnpending distribution.
the amount is known. and receipt is expected. If the amount is not known. the legacy is treated as a
contingent asset.

Docusign Envdope ID.. 582DcBc>EE14416E.81DA-8AAB&4ACD4￿2
SOUND ROOMS LTD
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2024
Accounting policies
(Continuedl
1.5 Exp•ndltur•
Eypenditure is recognised once Ihere is a legal or constructive obligation to Iransfer economic benefit to a
third paty. r( is probable that a transfer of e￿nOMiC benefits will be iequired in settlement, and the amount of
the obligation can be rneasured reli8bty.
Expenditure is dassified by athvty. The costs of each adivrty are made up of the total of direct costs and
shared costs. including support costs involved in undertaking each acbvity. Direcl costs attributable to a single
activity are allocated directy to that activity. Shared costs which contribute to more than one activity and
support costs which are not attributable to a single activity are apportioned befvleen those activitie5 on a basis
consistent with the use of resources. Central staff costs are allocated on the basis of time spent. and
depreciation charges are alk)raleiJ on the portion of the assel's us&.
1.6 Ca8h and cash equlvalents
Cash and cash equivalents Include cash In hand, deposrts held at call with banks. other short-term liquid
investments wlh original maturities of th￿e months or less, and bank overdrafts. Bank overdrafts are shown
wrthin borrowngs in current liabilities.
8•$1¢ fln•ncl•l •$$ets
Basic finanaal assets. which indude debtors and cash and bank balances. are initially measured at
transaction price including transaction costs and are subsequentty carried al amortised cost using the effective
interest method unles5 the arrangemenl constilules a financing transaction. where the transaction is
measured at the presenl value ol Ihe I￿￿re receip15 di5counled 8t a market rate of in¢erest. Financial assets
¢18ssified 8$ receivable within one year are not amortised.
B•sle flnanclal Ilabllltl•s
Basic financial liabilities. induding credrtors and bank loans are inrtially recognised at transaction price unless
the arrangement conslilules a fin8ncing Irans8Ction. where the debt inslwmenl is measured 81 the present
value ol the luture payments discounted at a market ratè of interèst. Finanaal Iiabilititss classifièd as payable
whhln one year are not amortised.
Debt instruments are subsequentty carried at amortised cosl. using the effective interest rate method.
Trade creditors are obligations lo pay lor goods or services thal have been acquired in the orllinary course of
operations from suppliers. Amtsunts payable are d4s5ified as Curtent li8bilitie$ if payment is due wthin one
y68r or lèss. If not. they are presented as non-current liabilities. Tr8de credittsrs 8r8 iecognisèd inrtially at
transacth)n price and subsequentty measured at anw)rtised cost using the effectsve interest method.
D•rncognidon of financlal Ilabiliti•s
Financial liabilities ar8 dele￿nIsed vthèn th& charity's Contractual obligation$ Èxpiie or a￿ di$¢hargÉd or
cancelled.
1.7 Employee beneffts
The cost of any unused holiday 8ntrflernent is re¢ognised in th8 petiod in vthith th8 employee's setv¢e$ arg
received.
Termination beneffts are recognised immediatety as an expense when the charity is demonstrably committed
to terminate the employment of an employee or to provide temiinalion benefits.

Docusign Envdope ID.. 582DcBc>EE14416E.81DA-8AAB&4ACD4￿2
SOUND ROOMS LTD
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2024
Ineom• from eharltable aetlvltl•s
Unf•st￿tte￿
funds
2024
Unrèstrletad
funds
2023
Income
Sale ol good$
45,290
50,158
Expendlture on charltsble actlvltl•8
Charltable
Charftabl?
Expendlture Expendlture
2024
2023
DSrect costs
Cl¥aning
Computer
Insurance
Telephone
Sundry
A¢counlan¢y
Power. Light & Heat
Legal & Professional lees
Printing, Postage & StaI￿nary
14,415
498
2,841
72
13
775
12,(KJO
13,571
450
2,342
78
13
525
9,748
24
30.414
27,714
Analy$l$ by fvnd
Unrestricted funds
30,414
27,714
Dlr•ctorn
None ol the directors lor any persons connected wrth them) received any remuneration or benefrts from the
charity during the year.
Employeès
The average monthty number of employees during the yearwas=
2024
Number
2023
Number
There were no employees whose annual remuneration was more than £80.IXJO.

Docusign Envdope ID.. 582DcBc>EE14416E.81DA-8AAB&4ACD4￿2
SOUND ROOMS LTD
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2024
Taxatlon
The chanty is exempt from taxation on its activities because all its income is appl￿d for charitable purposes.
Loans and overdrafts
2024
2023
DSrectors' loans
592
592
Payablè within one yeor
592
592
Credltor8'. arnounts falllng due wlthln one year
2024
2023
Borrowlngs
Accruals and deferred income
S92
24.400
592
12,225
24.992
12,817
Unrestrlcted funds
The unrestri¢led fvnds ol the ¢haTity ¢omprise the unexpentled b818n¢es of don8lTon$ and grants which are
not subject lo specific conditions by donors and 9rantofs a$ to how they may be used. These in¢lude
designated funds which have been set a￿de out ol unrestricted funds by Ihe trustees for specific purposes.
At1
September
2023
Incomlng
resourceo
Resources At 31 August
expended
2024
General funds
30.449
45.290
130.4141
45,32S
Prevlous year:
At1
September
2022
Incomlng
resourceg
Regources At 31 August
expended
2023
Gener81 fvnds
8.005
50.158
127.7141
30.449
10 Related party transactlons
There were no di5closable related party Iransadions during the year12023- none).