Sonder Restructuring Presentation Deck slide image

Sonder Restructuring Presentation Deck

Updated guidance & additional financial outlook We're pulling four levers to reach positive quarterly FCF within 2023 without additional fundraising and while preserving a robust cash cushion Sonder Free Cash Flow Q2 2022 Free Cash Flow Better than $(50)M' 2H 2022 Free Cash Flow Better than $(70)M Reach positive quarterly FCF within 2023 Revenue Q2 2022 Revenue growth More than 140% y/y Q2 2022 RevPAR Better than $160 FY 2022 Revenue growth +100% - 110% y/y (1) Before one-time restructuring costs. We expect to incur $3.5 million to $5.5 million in one-time restructuring costs, approximately 80% of which are expected to be paid out in Q2 2022 and approximately 20% of which are expected to be paid out in 2H 2022. 2 9
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