REGISTERED COMPANY NUMBER: 10571468 (Engla1￿ and Wales)
REG￿ERED CHARITY NUMBER: 1196048
SONORO
(A COMPANY LIMrrED BY GUARANfEE)
REPORT OF The TRusfEES AND
FINANCIAL STATEMENTS
FOR ThE IEAR ENDED 31 MARCH 2025
Hart*y FO￿ LLP
Chartered Accwntants
4th Floor Tuition H
27-37 St Georye's Road
Wirnbledon
London
SW19 4EU

SONORO
CONTENTS OF THE FINANCIAL STATEMEpfrs
FOR THE YEAR ENDED 31 MARCH 2025
Report ofthe Trurte•s
I to 4
Independent R¢ptyt
St•t•mert of FIna￿l•l A¢lfvltl¢8
Balanc• Slwt
Nots•to th• Fln•n¢l•l Statsments
8 to 12

SONORO (REG￿ERED NUMBEIL. 10571468)
REPORT OF THE TRu￿EEs
FOR TrIE YEAR ENDED 31 MARCH 2025
tr￿ who a￿ alxj dirffthtys of the charty for the purFrJse5 of the Cornpanles Art 2005, pwnt ￿lT repcrt wrth the
finanual statements of the charity the year ended 31 March 2025, The tru&ees have ￿jopted the kY0vI￿)[s of ACctxjn￿rrfj and
Re￿rtIng by Ctsrfties.. Statement of ReCCffl￿nthl pradj￿ applK3ble to charities p￿parIng accounts in aCCorda￿e wth
the Finthal Reportlng kndard aprA￿ab￿ In the UK and Republ￿ cl IreLand IFRS 1021 leffth l January 20191.
Ths ￿port serves as b)th the Trustees Amual Report èrnl the t*"rectorg Re￿rt uTrJer company law the Companvs flnancl
operats"rrfJ F￿￿￿j l Aprll 2024 to 31 March 2025. For Ihe purposes of fil￿9 with Compan￿5 NO￿ and the Chaiity
Ccfflmisskjn, the fin￿0a7 staternents for tre Conyany are apFeTh1ed to thls repvrt.
Tnjstees that the Tru*ees Anrxjal Rep)rt and tl* thxkited flnancial ststements comply with statutory
qlmre￿￿nts wrrenyy in fo￿, with t1￿ Cha￿ty'S thyn 9Dver￿Th￿ docun￿nt aTrJ In accordan￿ with finartHI ￿￿tir￿d
stsndards {FRS 102) aFWtable in the UL
OBjEc￿vEs AND ACTivrfiES
Objectives
al To advance the e￿l￿ Understa￿￿ng apprecia￿0￿ of the publt In music In ￿la1 and thcwal must In p3rt*ular
the public beneft through ￿ holding of public correrts and event5 in whlch tRople gather Lo participate In nNJSiC and ty means
of ￿oadCa&1ng, pro￿￿1ng dLstributlng Ilternture or such other means as the trU￿S thlnk fil,.
bl To yonmxe the alucathn Ilnclwjlry s￿[al and phystcal tr)InlrrfJl of people of all aye9 but Tr)tably il)ose uTrJer the aje cf 25
vears through musSc In such ways as tlr charty trustees think fit.,
c) To profft)te le)ming for pleasure by FeOe those not In full tlme errybyment through conb'Ned de¥ekyment ol
thelr IndMdual capabllltks, CoMFet￿e5, skils ut)Jerstandlr#J In mU￿C In general arn1 choral mU￿C in particular,,
dl To prorTrXe research for the wblt berEfft In all a9￿cts of must &Jucation and to wb115h tre useful re￿ts relaung to that
subject.
&gnlflunt •cilvStl•s
At the heart of knoro, and eypresslng lis prfme ethjs, Is chamber ch￿r, whlch has attracted attention for its warm tone, rlch
blend of tokwts and wbranry in perforrnance. Its siroers are drnwn from the pxjl ol the county5 fwst prCI￿onal chyal
r31wt, who are alK> Independent solotsts In thelr own rlght.
The cholvs unmlthkabty r*h aTrJ full sO￿d has been realised eath slrvjer to be [￿e to use all cl thelr vc*, matched
ilh careful t1￿1ng, (JeaUry warmth and resonaKe. 'knoro' in italian mans s¢Thyous, voths that are rfch and lull. an
Scnoro INes up to that Thame as a clK)k Y41th a dlsUncLlve perfeLIty ￿er￿jed sound.
The prlncipal ad1V￿￿5 deSCrfb￿ In the 5ethon Athlevement Ind PerfOrnian￿ beth highI￿jht the ob*ctfves of the
charfty a￿ beirrfJ MÈ¢ this year In the areas of adVar￿n4 the apprecIatic￿ of c￿￿al muslc In 5UPPOrt of events run by
other UK CharIt￿S.
Publlc b•nefit
In phnniThJ th a￿￿tieS cl the tharfty the tfustres have had regard for the Charty Cornmisyon's gukdartt on publt benenL

SONORO (REGISTERED NUMBER: 10571468)
REPORT OF THE TRusfEES
FOR THE YEAR ENDED 31 MARQI 2025
ACHIEVEMEIITS AND PEIiFORMANCE
Arti¥itie5
OTO has al￿adY earred a rewtstKJn as a b(Aly that prod￿e5 a distlnrt and full sovrKI by lettiThJ it5 Ingets make full w of
their Indwidual vcices, whlLs1 re9Jlting in a blended resonan￿. Independent profeS￿On& slngers are attracted to this OPWrtunty
and new ones continue to appty to be added to knoro's approved I￿ cl parthers. There are $4ngers as Femwnent member5
of the choli. Each proFct and ￿ent is res￿jrCed fr(m a list of professional singers that has been drawn up followiThJ audibons
h the Arttstic Thr&tLYS on a regular tsa￿"S.
It Is thls thOracterf￿C that is orE rf the rea￿[￿ comFkrysers1Ske to work wth the Artisuc Director5 and faoltste the oppjrtunities
for recordings, leavlng the Art15tic Direttors to seled the most appropriate slngers frorn Sonoro's Ilst. Earfy In the year sow the
lease ol the recording of muslc by Bflti%h c¢mposer Stephen ￿9SOn Ifunded by the Stephen Dodgson Trust) in Collabora￿0￿
th SOMM Recordings. Thrf0M￿￿ wf(h wl cornrnitmenl thmughouY' (BBC Muslc Magaanel wyl tonaty Imma¢ulale and
technlcalfy astoundlng..
Thls year also sjw a return to the St Ma9nus Intematbnal Fesuval In CTkty aAI, ow more, It alkY￿*d the cyportunty for
S￿Or0 to loin local ￿ngers, workirs with them on vocal technlquE, and then pa￿cipatI￿j in well-attended FerforMar￿5 as part
of the fethal covering both Lgrye *r>rks and sdectbn5 frorn Sonoro's Choral Irwiratk•n5 projects.
part of ts core edL￿￿)n obRLtre, 9￿Or0 hosted workthop5 - r(Kusing on choral eonductlryji the other on chc¢71
slnglng. The Conductlrg Ma5ter¢loss worked wlth e￿ht pa￿ljPants to hkJNight a￿a5 of development and Impro¥ernent in how
to inter* gjccessfulty wilh a clY)Ir ty dear communka￿on through the effident m￿lerr￿n¢ cl haThJs and ams, as well a5 other
visual technlques. Lt also inclLvJ&J vcKal production adv1￿ from one of SO￿r0,5 51ngers w￿) iolned colleagues to be
dlrected by the partldpants. AdditB)nally, pTovS*on was al￿ made for Snterestsa pa￿e$ to corne obwve thls for their cmn
educauon. The secoTrJ workshop e￿ltsIed $I￿er5 to wtyk together wth Sowo srvjers ￿hear￿TrJ Brahms, Eln DeutsC￿5
Requiem al￿ hcm io ImprcNe y)und with vocal tethn*ue adjustment&
C￿e again, Sonoro Invited to pjrtidpate and the Ynglro In the a)ritynas carol cortert lor the charity Supporkn'rrfj
Wounded Veterans In ￿ntral thlon, attend8J by many Wel￿kr￿n names in the eniertainment It has teen asked to
Tewm for CMstrna5 2025.
Regretfully the secoTrJ year, Swo not abk io contIn￿ ts ¢lJse assjcktlon aTrJ colhbwauon M&tsn Must
Foun¢atN)n that alk)wed r( to vI￿t prlmary 5cfv)D15 in the London BOr￿h of Merton a5 Part of Sonoro's educat#Jnal outreath
prole¢ Sound CcnstrLKtlon. PreViou￿Y this highly succesrful kyolect W been Sup￿)rtej by a grant from the National Lottery
Cornmunlty FurMI dlstrSbuted by Merton GNlng. It would appear thal M&ton Gl%An9 has deadeij to reallocate mst of Its fundlr¥J
ay fvom supp￿￿rg education In m￿lC. It 15 very unfortunate that this apFears to te a growing trend anthgst scxne fundlng
sour￿5.
k)￿er, SoTh)ro dbj comp*te the year by aThl kvfoming In an eXcd￿nt ￿de-by-Shje colla￿ra￿On wth the London
Youth CIN)Ir and It5 Chamber Cholr. Scffioro wc*ked tLv4e￿r wth LYC as45tlng durlThJ rehearsals and then shartd
the fftnlro performance tha¢ agaln, Induded Items frorn the ch￿al In5pITatyons prokcts. If Is hopLIJ that thls
collaboration can be malntslngj and repeated In the fu￿￿e, e￿wIng iornorrov15 rthrt+al &dult gwers to explore thelr Vc￿5
futher- the very heart of Sonort)'5 ethos.
FINANCIAL REVIEW
Financial posI￿on
A summary of the finandal pjaibn ofthe tharlty15 provided on the balan￿ whlch forrns a p•t of these ac¢wnts.
Reserves poll
chartty has no empW. Any wcle59Dnals engaged are on an ￿ l*x prolExt by project basis The charity tkEreFc*e
alms to hok1 sLffic￿Thl reserve5 to enable It to meet its fw)arKial obllgations a5 tkw fall due over a three-mnth Ferknl, a durnfjon
co[￿ldered sufficient to olbw for a controlled dOSu￿ (I the company. th)uld St tse requlred.
STRucfuRE, GOVERNAIKE AND MANAGEMENT
Governing d(xument
tharity Is constibAed as a u)rnpany lirnlted ty guarantee, as thflnL*Y by the Companies Art 2006, aTrJ Its gmynlng dcrJJrnent
is its MemotBndum Artths of A￿13b'cr adopted ty a Special resolutlon on 21* SeptemÈer 2021 and fded with the Charfty
Commisslon.
R¢cTuftment and appolntmert of new trustees
tr￿tee5 have the power to appoirt additiorot trwtees, raknng Into considerouon any 5FeC￿lIst ￿lIS or aptiude that a
pC￿e￿oI tnjstee may posse55 that tenefft or WK1￿ the exFerti5e kn￿l￿￿e area cl t￿ trustees.

SONORO (REGISTERED NUMBER: 10571468)
REPORT OF THE TRusfEES
FOR THE YEAR ENDED 31 MARCH 2025
stRUCTURE, GOVER14APXE AND MANAGEMEP
Decision making
Trustee5 meeL regukirty to Qfflpany's OFeratrn, plan5 and finandal tstU5 as stated and prOp￿d by
OPErations team, led by the ArtLstic DitECtors, to whth the day-to4ay management of the Company is de￿gated.
No TtustEe re￿11￿ any ftes, reft￿neratI)n, ￿a￿al Ixr*fft or te[￿-In-￿￿1 for holdlng the role of Tnthe and can cdy ckikn
the reirnbu￿rnent for any a￿l￿sed expenses inojrred subptt to ts tem)s defined in Company* ArtKks.
REFEREPKE ANO ADMIt41STRATIVE DEfAI
Ragigtered Company number
10571468 IEnglaThJ and wa￿$)
R•glstered ChDrlty numb•r
1196048
R¢glstsr•d offlce
4th Tuitson House
27137 St George's Rced
Wlmb*thJn
London
SW19 4EU
Prln¢lp•l addr•
18 Barthokjmew Ckxe
Haslemere
Surrey
27 IEN
Pelyr HKkson {Chalr)
Phlroz Dalal
Neil Dennis
MeknÈ Hancox
ElizaEkth Neale
Hekn W1115
Indepondont Examlner
Hart* Fowker LLP
artered 1£C￿jntsnts
4th H(￿￿ TultK)n House
27-37 st Ge￿e'S Ro&
Wimb*don
London
SW19 4EU
TRUSTEES RESPONSIBILTrY srATEMENT
TIE tru&ees (who are a￿0 the direttors of SoTh)ro for the wrFQSes of corrwany lawl are resro)5ible f(w weparirvJ the Rep¢Jt of
the Trustees the nnancial ststemenrs in accordarn￿ a￿lCable Urnted Kingdw Accr4JntiNJ StaTrJards {Unlted
Kirydom Genernly kcepted A(Loun￿TrJ pr￿￿.￿).

SONORO {REGisfERED NUMBER: 10571468)
REPORT OF THE TRu￿EEs
FOR THE YEAR ENDED 31 MARCH 2025
TRUSTees' RESPONSIBIUTY STATEMENf. continu•d
Company Law requires the trustees to wepare firkinclal stsiernents f(* each flnanckil year. UThJer tlk* bw, the truthes hove
elected to ptEpare ￿ fina￿al stateTrert5 in ￿rdarKe with Unted Gen￿al￿ Acceptej Pa0￿r￿j PrKiKe {Unlted
KiNJ￿M thnting stantta￿S appltable lawl.
Uth e￿Wa￿V L]w the trtjtss must not approve the financlal 5tateft*nts unless tw a￿ satl&SoJ they glve a true and fa*
view of the state of affaits of the charitatle cornpay aThJ of ￿ irthnlng resour￿ and application of resrAffts, Ind￿11￿4 the
Incon* and experk1iture, of the thjritatle cotr4)any for trwt ￿rK)y. In weparirwJ those fknancial ￿￿ternents, the trustees are
required to
lect suitable acc¢1￿￿ng pc4￿￿$ and then apply thern c(%￿￿ently1
observe the methots and pri￿pIeS In the Charibe5 ￿Rp,.
rnake iudgernents estimates that are reaKnablE and pnJJenL
prepare the flnanaal golrrfj cortem ba￿S unless 11 Is ￿￿7pprop￿ate to pre9Jme that charltatle o)mpary
WIII LDnUnue in tr4J51rw.
trltstees a￿ respK)n￿t1e for kewng proper x¢w￿l¥j r￿ordS whlth dlxb5e w￿h wsonable accurxy at any bTrE the
flna￿al posltion of the charitable company and to enable them to ensure that the flnarKial statements cornply ￿th the
Compan￿5 Att 2006. They are al￿ resp￿sIble 4fegvardlng the awts cl the charthÈ* uxnpany aTrJ heKe f￿ taking
reasonats￿ steps fcrf the P￿ention and detecti￿ cl fraud and ot￿r irregularitles
Approved by order of b>a￿ cl trustee5 on 16 January 2026 Igned cfi ts belkiw by:
Peter Hlckson- Trustee

INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF
SONORO
Independent&xaminer's rnport to the trustees of Sonty• {*he Company,)
l to the charity trLStee5 cfi rny eXaMina￿n cl the accounts of the CoM￿n¥ for yearended 31 March 2025.
RW91bllltles and ba4$of r•pwt
As thartvs trustees of Q)mpany {aThJ also ts ¢J're¢tors f￿ the purp(tses of company law) a￿ ￿SpOn￿b￿ fc* the
Preparat1￿ cl the ac(Dunts In Kcordarn￿ wlth requirements Oft￿ c[￿npan￿5 Att 21￿61't￿ 2006 ACY).
HawThJ ￿sfIed nrySe￿ that the Kcounts d t1￿ c￿panY a￿ wulred to be a￿tted undtr Part 16 d the 2006 Att aThJ are
eliglble for lThJependent examlnailon, I report In resFett of my examination of y¢xJr chartys acctjjnts as carrted (Njt unts
145 of the Charitie5 Att 20111'the 2011 Att'}. In out my examination I have folb)wed ihe DirectDns gfven
Comrni55k>n under SethC￿ 145{51 Ibl d the 2011 ALt.
Independent examlner'$ statement
I have cornpleted my examinab¢y). I conTrm thèi no have come to ffly atten￿On In (C￿￿2(￿n th the eyAmlnats"on
gmng rne cause to believe".
accounting r￿￿d$ were kept In of ts Company as requlred by Sethon 386 of the 2C(6 or
couts do nct accord with those records; ¢r
a(thJnts tth) comply with the attwntlng req￿Tern1ts ol Secfjon 396 of the 2CI)6 ALI othr th3n any requlrernent
that the accounts glve a tnje and fair view which is not a matter consldered as part of an indepcndert exam1natic￿.,
the accounts have not been p￿pared in aceordance ￿th the Meth￿￿5 w￿[pIeS of the Statement of RecOmmer￿d
Practke for KcounJng and reportlng by tharits.es lapplKable to charitie5 prepartrfj thelr acc(xJnts In accordan￿ wf(h the
Flnandal Re￿rtIng Standard appl*ab￿ h the UK Rwiblt d Lreland (FRS 1021).
I have no corKerrns and have corre mss no other matters In conneth￿ wllh the exomlnaUcffl to which aitenfjon be
drawn In thLs report In order to enabk a proper understaTrJSng of the atcounts to be ￿?ched.
Joftath
n Askew
Hartley Fowkr LLP
Cnartered A￿ntsnts
4th Tultlon House
27-37 St Georoe'5 Road
Wlmb*dc
London
SW19 4EU
Date..

SONORO
STATEMENT OF FINANCIAL AcrivrriES
(INCORPORATING AN INCOME AND EXPENDITURE ACCOUNT)
FOR THE YEAR ENDED 31 MARCH 2025
2025
Tctsl
ftjnds
2024
Total
fvnds
Urrestritled
fuTrJ
R&rthd
funds
Note5
INCOME AND ENDOWMEf￿s FROM
Grants aThJ donab.
46,94D
578
47,518
51017
Charftable activitiei
Chartsbk ￿lIA￿e5
41,771
41,771
18,467
T¢)tsl
88,711
578
89,289
70,484
EXPENDMIRE ON
Charitsbl¢ ortlvlti•J
Charitable ￿tl￿tIeS
84,373
&1,413
72,512
NET INCOMEI(EXPEMDrruRE)
4,338
538
(2,028)
RECONCIUATIQN OF PJNDS
Totsl funds broutht forward
1,027
2,887
3,914
5,942
T(YfAL FUP4DS CARRIED FORWARD
5,365
3,425
8,790
3,914
The notÉs form pyrt (A tw financial swements

SONORO (REGIsfERED NUMBER: 10571468)
BALANCE SHEET
31 MARCH 2025
2U25
Totsl
fund5
2024
Totsl
fu￿15
fu
fvnds
Notes
FIXED ASSETS
Tangib￿ assets
910
910
970
CURRENT ASSE
719
12,050
719
15,475
1,071
8,481
Cash at bank
3,425
12,769
3,425
16,194
9,552
CREDrrciis
Aftv)unts faliw ￿thIn one year
(83141
18,3141
(6,608)
NEf CURRENT ASSEf5
4,45S
3,425
TOTAL ASSETS LESS CURRENT LIABILtriEs
5?65
3,425
8,790
3,914
5,365
3.425
8,790
3,914
FUNDS
Ufftstrfrted lunds
rictsd funds
5,365
3,425
1,027
TOTAL FUNDS
8,790
3,914
The ctrorltab￿ cunpany Is endtled to frorn a￿lf( urbjer Sectkin 477 of the Cornpan*s PLt 2006 for the year eTr*d
31 March 2025.
The ftwnÈers have Mt requlred company to obtsln an audit of Its flnarKlal statements the year end& 31 March ¥)25 In
aCthan￿ Sectlon 476 of the Companies Act 20Cfi.
trustees ￿knOW*d* tr*ir rewngblllues for
engjrtng that the charltsble coryany k￿p5 pLcounYng ￿rdS thai cornp￿ *lth Sectlon5 386 387 of the Companles
Act 2006 aThJ
preparirrfj finanoal staternents which gfve a tr￿ arKI falr of the ol affalr5 of the tharitabk ¢ompany as al the
eN1 of each flnanoal year and of its surplus ¢y deffclt ftr each financ¥31 year in accc*d3nce the raj￿[ements of
SEttions 394 and 395 aThJ whth ot￿Mise compty ￿th ￿q(￿reMents of the Act 2006 relatiTrJ to fir*ncbal
ststernents, ￿ far as appllcabk to ihe chatfjtable compary.
These flnanclal ststements have preFer￿ In accordarKe wth the applkobk to charlable conwan*s sJb￿t to
tke 5rnall companles ￿gIrrE.
finandal statemnts were appr￿1 by the Bowd of Tru*ees and authori￿ fc* Issue on 16 ￿Uary 2026 aTrJ here s￿￿1
on ts behalf by:
(a)
{bl
The wte5 fom) part of the* finanoal statements

SONORO
NOTES TO THE FINANCIAL sfATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
AccouNfiNG POUCIES
easis of weparlng the financial statemerts
The finarKial ststements cl the charital￿e company, wkith Ls a publK tenefii entyty uttr*r FRS 102, have been pKepared
In ￿￿rdance with the charl￿eS SORP IFRS 1021 'Accountin9 and Repor￿ng ty C￿ritIeS.. Ststunent cl RmllmeTrJed
Prart*e apFAicable to chartb.es p￿ParI￿ thelr ￿c￿nts in aCc(Xda￿e wth the Firkirrial ReFofjng Standard app1kab￿ in
the UK and Republk of ]￿larKI {FRS 1021 leffectNe l jan￿ary 20191,, financial RetK)rting Stsndard 102 Financial
Rem'ng Stsndard appllcable in thE UK and Reputlr rf ￿land, arwj the Companles Act 2006. The finanaal &atements
have been prepared undw the hlstorlcal cost wnventbn.
Incom
All income Is ￿gnised In the Stat￿￿nt of ￿Trantial Acti￿.eS orte the charlty has enuuement to the funds, It Is
probab￿ that the irKorne wlll recelved and ttr* amount can be nwsured ￿Ilabty.
Expendltyre
ab111t￿5 a￿ rec03n￿ed as eXFernlltU￿ as soon as there is a ￿gaI or con5trucifve cbl¢atrcffj comrnittlng the charlty to
that expendlture, It is probable that a transfer of econornic beneris wlll be requlred In sdUement and the arrthnt ol
oNKJaUon can be measured rellably. Expendlbjre 15 accounted for on an accru415 basis and ha5 ￿en cksgfied urKJer
headirgs thal aggregate all co& related to the catewry. wtr￿e costs cannot be dlrecity thbuted lo pa￿CUlar headin&4
tly have been all￿￿ to attmtks on a bals wn51stent wf(h ￿ u* of ￿5￿￿5.
T•nglble flx•d a*s•ts
Deprec￿￿￿ 15 p￿ded at the fdkjwirwj annual rate5 in order to ￿ off eath asset over Its esilm&èJ u*lul Ilfe.
Plènt maCh￿ery
2S% on cost
Taxatlon
tharty Is exernpt from corpyatlon tsx on ts clkirltable aCt￿￿e5.
Fund Kcounting
Unrestricted lunds can te used Sn wlth th)rltab￿ oblectlves at the d*retlon of ts trLt5tees.
Rethted fuTrJ5 can orty be us8J fcr rtiitthL3r restrfcted purposes within the Ob￿Cts of the tharity. ResLTttloThs arlse
when srtofied or when funds are rnised for partlalar resirkted purp￿%
Further explanatw cl the nature and pur￿ of each fund15 Inchka In ￿ ￿leS to the flnandal #atements.
SUPPORT cosrs
Flnan
costs
Totals
Charttsble xtlv6tks
598
4,863
5,461

SONORO
NOTES TO THE FINANCIAL sfATEMErirs- ¢ontlnued
FOR THE YEAR ENDED 31 MARCH 2025
SVPPORT COSTS. contlnued
S4Jport CLbts, IncI￿ley in the ab)ve, are as fdhyws:
Flnance
2025
Chartab
a￿￿ts"e5
2024
Total
"wties
Bank charyes
392
Governanc• m•ts
2025
Cjkirltab
athI￿e5
2024
Trtal
es
AccountanLV fees
Other pn)f&onol th)ryes
3,227
1,636
3,3
780
4,863
4,CQO
NEf INCOMEI(EXPENDITURE)
Nrt S￿￿￿(expert￿le) Is clkirgI￿(Cred￿ng).'
2025
2024
Depreci)tSon . owr*d assets
Computer software amortls3th)n
409
636
TRusfEES' REMUNERATION AND BENEFITS
TrEre were m tru5tees' remuneration or ottrtr tenefits for year ended 31 M)rch 2025 nor for year eThJed
31 Marth 2024.
Ye We￿ no tw*eeg exFenses ptld forthe year ended 31 March 2025 Tr)r year eThJed 31 Marth 2024,
COMPARATIVES FOR THE sfATEMENT OF FINANCtALACTI￿IES
UnrestrfLtrd
lund
Rethrted
fund5
Totsl
fu
It4COME AND fNDOWMENTS FROM
Grants donali)n5
48,531
3,4B6
52x117
Charftable ¥thiti
Chantsbk athviues
IS,622
2,845
18,467
Trtal
64,153
6,331
70,484
EXPENDITURE ON
Charltable actlvitie•
charltsb￿ actyvitie5
67?80
5,132
72,512
NEf IlKOMEI(EXPENDtWRE)
13,227)
1,199
(2,0281

SONORO
NOTES TO THE FINANCIAL sfATEMENTS- ¢Mtlnued
FOR THE YEAR ENDED 31 MARCH 2025
COMPARATIVES FOR TME sfATEMENT OF FIMAIICIALACTI￿E$. cortlnued
Unrethcfrd
fu
ricted
lunds
Totsl
RECONCILIATION OF FUNDS
T¢Jtal fvnts brDught forward
4,254
1,6
5,942
TOTAL FUNDS CARRIED FORWARD
1,027
2,887
3,914
SOFIWARE cosrs
Computer
At l Aprfl 2024 aTrJ 31 Marth 2025
2,635
AMQRTISATION
At I ApTII 2024 ar￿ 31 March 2025
2,635
14Ef BOOK VALVE
At 31 March 2025
At 31 March 2024
TANGIBLE FIXED ASSErs
Plant aTr
machlnery
cosr
At l April 2024
4,195
349
At 31 March 2025
DEPRECIATION
At l Aprfl 2024
Charge for year
3.225
At 31 March 2025
3,634
NET BOOK VALUE
At 31 Math 2025
910
At 31 March 2024
970
-1

SONORO
NOTES TO THE FINANCIAL ￿ATEMENTs- C<bntinued
FOR THE YEAR EMDED 31 MARCH 2025
DE8TORS: AMOUF￿5 FALUNG DUE WtfHIN ONE YEAR
2025
2024
Trade detkn
Other debtors
Prepayn*nts
633
431
719
1,071
CREDTf¢)RS: AMOUNTS FALUNG DUE WTTrIIN 014E YEAR
2025
2024
Bank loans and cNvdr3fts (see note 10)
Trade crEditors
kcrucd expenses
334
4,108
3,872
3,308
3,300
8,314
6,608
io.
An ￿)￿515 of the ￿lUrty of I￿nS L5 g￿n bekny..
2025
2024
urts fallln9 wthln one year ￿ dThnd'.
Bank overdrafts
334
ii.
MOVEMENT IN FUNDS
Net
Veft￿nt
In fwd5
II4R4
3113R5
Unyertrlcted fund•
General luNI
1,027
4,338
5,365
R•rtr5Ltsd fund•
horal IrfjplratiMs
538
3,425
TOTAL FUNDS
3,914
4,876
Net rnfftment In fuTrJ5, IndLkled In the al￿￿e are as fd1¢)￿..
Irthrniffj
Resources
eyrKled
Movfftrt
In funds
Unrnstrkt¢d fvnds
Ge￿al fund
88,711
184,3731
4,338
Re5trltt•d fun
Chyal ￿n￿1rat￿nS
578
140)
538
TOTAL FUNDS
89,293
(84,413}
4,876

SONORO
NOTES TO THE FINANCIAL STATEMENTS- contlnued
FOR THE YEAR ENDED 31 MARCH 2025
ii.
MOWEMENf IN FU14DS- continuod
Comparjubw for Mov•nort In funds
Net
At
3113124
At 114123
In fuTrJ5
Vnregtricted fvNIJ
Ge￿al fu
4,254
(3,227)
1,027
Rertrktsd fund
Merton GNlng
C￿1 Insplratlons
29
1,659
1,199
2,858
1,199
2,887
TOTAL FUNDS
5,942
(2,028)
3,914
CiJMpara￿ve net nwemert In fur￿& Ind￿led In the aLthie a￿ ￿ lollow5.'
Ir(omkng
rexjurces
experKJed
In fund5
Unr••trlrt•d funds
Genwal fund
64,153
(67,3￿>
13,2271
R•Jtrlctod fund•
CIKJral In5ptraUMs
6,331
{5,132)
1,199
TOTAL FUNDS
70,484
(72,512)
12,0281
12.
RELATED PARTY DISCLOSURES
no rdated party tran￿L0)n5 Icf the year en(*d 31 Marth 2025.
-12-