Company Registration Number- 06629991
The Charity Registratlon Number is '.
1148974
Bozca-Der Charity
Report and Accounts
30 June 2025

Bozca-Der Charity
Report and accounts for the year ended 30 June 2025
Contents
Page
Charity Informatlon
Trustee8' Annual Report
Statèment of director$. re8ponsibllities
Independènt AccountanV8 Raport
Funds Stztements'.-
ststemenl ol Financial Activitie5
Movemenls in funds
Revenue Funds
Income and Expendilurè account
Summary offunds
12
14
14
15
15
14
Balaneè sheet
Notes to the accounts
17
18

Bozca-Der Charlty
Company R8gistralion Number. C￿629991
Trustees, Annual Report for the year ended 30 June 2025
The Trustees present their Report Aceounls for the y¢ar endèd 30 June 2025. which also comprisas the
Dlreciors, Report required by the Companies Act 2006.
Reference and administrative details
The charlty name.
The legal nBme ofthe ch8rrty 18',_ Boz¢a-Der Charity
The charity's are8s operation and UK charitable registration.
The charily is registered in England & Wgles with the Chality Commission in En9land & Wale8 ICCEWI wlh
charity number 1148974
Lègal structurè of th• charlty
The charily is wnstituted as a company limited by guaranleo. registèred under the Comp8niès Acts . The
govèrning document of the charity is the Memorandum and Articles of AssocÉalion establishing the company
unde¥ company legislation.
By operation of law 815. trustees aré directors undèr the Companie$ Act 2006 and all directors aTe trustees
under Charities legislation and have iesponsibilities, as such. under both company 8nd charity legislation.
The ITU8tee6 are all individual8.

Bozca-Der Charity
Comp8ny Registration Number- 06629991
Trustees, Annual Report for the year ended 30 June 2025
The prlncipal operatlng addre5$. telephone numbèr. •mail ond wfrb addrèssès of th8 charity are:.
Old Library Building
Compton Cr85cenl, London
N17 7LD
Em811 ddTess :. bozcadercharity@gmail.com
The registered Offi￿ of the charity for Companies AGI purposes is 8 Clock House Parade, North
Circular Road, London N13 68G
Thg Trustees In offl¢e on the date th• report was approved w•re-.
Dr Ali Dogan
Cemal Turk
Auslafa Kara
The followlng per80ns 8grved as Tru¥tees durlng the year ended 30 Juno 2025 :_
The Irustees who served as a trustee in the feporting period wera as shown akjove, and Ihere were n
d)8nges dkjring the year, except as shown above. or in the period between the year end atld the approval of
the accounts.
At the Annual General Meeting all trustees are eligible for reappointment.
All the trustees are also members of the charity.
Objects and actlvities of the charity
The purposes of the charlty as set out in Its governing document.
ObJe¢tfves:
.To provide or assist in the provision of facilities in the interests of social welfare for recreation or
other leisure time for the occupation of youths in Tottenham and the surrounding areas, with the
object of improving their conditions of life.
.To facilitate and promote classes in variou5 subje¢ls, use of venue for the benefit of the public in
Tottenham and the neighborhood with a view to the preservation of public order where there is a
propensity for vandalism, nuisance, racial abuse or breach of peace,
.To develop the capacity and Skills of members of the community in particular women and parents,
in such a way that they are better able to identify 2nd help meet their needs concerning children,
health, education and sense of community in order that they may participate more fully in s￿iety.

Bozca-Der Charity
Company Registration Number- 06629991
Trustses. Annual Report for the year ended 30 June 2025
The main activities undertaken in relation to those purposes during the year.
.To provide facilities for the community to use, in particular youngsters, ladies and the elderly.,
.To offer a variety of activities and classes for our members.,
.To make available information and advi￿ from people outside the Charity such as such as
doctors, teachers, psychologist ID educate and help people,, and
.To raise funds lo support the Charity and its work.
The main activities undertaken during the year to further the charitys purpose for
the public benefiÉ
The Charity aims lo benefit the local community, especially children, young people, the elderly and
people of a particular ethnic or racial origin.
q. Introduction
Duriny this reporting period, the Management Committee organised and participated in a wide
Tange of activities aimed at strengthening community engagement. promoting cultural values,
supporting education, and improving the wellbeing of our members. The association continued to
provide opportunities for social interaction. learning, and collaboration with local authorities and
community organisations.
2. Community Engagement and Soclal Actlvitigs
.Firsl traditional breakfast event organized by the management committee
.Re9ular traditional breakfast gatherings for members
.Katffler"Traditional Turkish Pie. b￿akfast event for the community
.Family breakfast events allended by members and guests
.Community picnic bringing together familles and members
.New Year celebration event
.Women's so¢ial evenings to enGourage participation and engagement
3. Educatlonal and Development Activitles
.Continualion of free Turkish language and Mathematics ¢18sses
.Continualion of free ESOL (English for Speakers of Other L8ngLbages) courses
.Career fair organized for community members
.Book launch event for Ali Poyraz's book'Kesintisiz Direnis,

Bozca-Der Charlty
Company Regislr8lion Number- 06e29991
Trustees, Annual Report for the year ended 30 June 2025
4. Hgalth Awarene$$ and Communlty Wellbelng
.Heallh information session by Haringey GP Federation representatives
.Metropolitan Police presentation about prolecling young people from drug-relaled dangers
.NHS represenlalives providing health information and health screenings
.Health information session delivered by MedPlus do¢tors
.Cervical screening awareness session
.Informalion session about hy￿rbaric oxygen therapy
.Infoimation session on pension rights for women aged 65 and over
5. Community Partnerships and Institutional Engagom¢nt
.Visil by Mayor Ahmed Mahbub lo the association
.Participation in the Mayor of Harin9ey's inauguration ceremony
.Allendance at the Haringey Mayor's charity dinner
.Meetings organised with regional and village associations
.General membership meeting held for members
•lnformalion sessions delivered by representatives from Edmonton Family Centrè
6. Cultural and Commemorative Events
.Participation in the Alevi Festival
.AttendanGe at the Windrush Day commemoration organised by Haringey Council
.Participalion In the Bosnian Genocide remembrance ceremony al Haringey Council
.Participalion in Meichant Navy Day organised by Haringey Council
.Organisation of a Deniz Gezmis commemoration event
7. Trlps and Social Excurslons
.Colswolds village trip organised for members
.Bath trip organised for women members
8. Conclu$lon
ThroLJghoul the reporting period, the association successfully organised a wide vaiiely of actwitles
aimed al slrenglhening community bonds, supporting education, PTomoting heallh awareness, and
maintaining strong relationships with local institutions. The Management Committee remains
commilled to continuing these efforts and expanding programs that benefit members and the wider
community.
The contribution of volunteers during the year.
The contribution of volunteers ig unaccountable as they have worked very hard using their free
time lo achieve the Charity's objectives. The Charity has a board of Truslees. a Board of members,
an Audit Committee and a Discipline Committee, all of whom are volunteers.

Bozca-Det Charity
Company Registration Number- 06629991
Trustees, Annual Report for the year ended 30 June 2025
Grant making policles and how these contributèd to the achievement of the
charity's aims and objectives during the ypar.
The Charity has offered and given grants lo various people in Turkey to help them gel through their
illness such as canc6r.
The maln achiovemenls and performance of thè charity durlng the year.
The Charity has organised many activities with limited resources and achieved most of its goals.
The activities are listed in the above sections this year also which added activities and seminars.
Fundraising actlvities during the year.
The largest event is the general annua5 evenl, gEtd il has not gone through. However, all supporter8 w￿e
there lo contribute more donations lo chaTity.
The difference the charitys performance during the year has made to the
beneficiaries of the charity and to wider society.
Charity helped people lo have more education on health and other matters.
structur81 governance and management of the Gharity
Th• methods used to recruit and appoint new charlty trustees.
The trustees are recruited from volunteers. They are selected during the Annual General Meeting
and expected lo have good eye on the Charity activities and financial affairs and are highly
respected in the community.

Bozca-Der Charity
Company Registration Number- 06629991
Trustees. Annual Report for the year ended 30 June 2025
The policies and procedures for the induction and training of trustees.
There is no formal procedure for the training of Trustees. We endeavor lo keep up to dale on
Charity Commission legislation.
The charity's organisatlonal structuro.
The org8nis#llonal structure of eharily as follows..
3 X Trustees (Elected in AGMI
13 X Board of Members (Elected in AGMI
(They then elect a Chairman, Vice Chairman, Financial Controller, Public Relations, Youth Team.
etc. Hence they manage all of the affairs on voluntary basis. There are also S reserve members
who become board of member if one of them not able lo carry on for any reason81
3 X Audit Committee {Elected in AGMI
(Theii role Ès lo review the accounts each month to ensure all revenue and expenses recorded
correctly and also lo ensure all activities pgrformed in correct manner)
2 X Discipline Committee (Elected in AGM)
(Their role is to go through procedures if anyone is reported to the Discipline committee and
ensure everyone involved in Charity works as outlined)
The Board of members main duty is lo control and run the Charity. They are responsible for the
day to day running of the Charily and emptoy anyone required to work.
The trustees. bankers and advisors
Bank8rs
Bardays Bank Ple- TOTTENHAM 2
Leicgstershiré, LE87 2BB,
Solicitors
Cetllal Turk- Lotxlon Sdicilors
Unit 3, Fountayne Busin¢ss Cenlre,
Broad Lane. Tottenham. London N1 S 4AG
Accountants
United Accountancy & Co Ltd , 8 Clock House Parad8, North Circylar Road.
London N13 66G

Bozca-Der Charlty
Company Regislfation Number- 06629991
Trustee8' Annual Report for the year ended 30 June 2025
Financial review
The charitys financial position at the end of the year ended 30 June 2025
The financial position of the charity at 30 June 2025 and Comparatives for the prior period, as more
fully detailed in the accounts, can be summarised as follows'.-
2024
2025
Net Income I (net 50851
24,774
1,160
Unrestricted Révenue Funds available for Ihe
general pUrp￿se3 ol the charity
28,915
53.689
Total Funds
53,689
28.915
Flnancial review of the posltion at the reporting date, 30 June 2025 .
The trustees consider the financial performance by the charity during the year to have been
satisfactory. Our principle funding sources are regular fund raising activities and the donations
made by members.
There has been some delicit in the accounts and we are trying hard to avoid this in future.
We do not have an investment policy. All our income, with the exception of a small cash flow, is
reinvested in the charity. The money kept in the current account and available all the limes. but we
have loaned some to an individual this year with an agreed interest lo receive.
Specific changes in fixed assets are detailed in the notes to the awounls.

Bozca-Der Charlty
Company Règistration Number- 06629991
Trustees, Annual Report for the year ended 30 Jun6 2025
Policies on reseNes.
The Trustees consider that the present level of free resetves is adequate to support the
continuation of the Charity's main aims and objectives.
As al 30th June 2025, cumulated unrestricted reserves were reported at £53,689 (2024 - £28.915).
Reserves are retained lo use more on yOLtlh activities and provide more services to develop them
for later life.
The Charity holds no reslricled funds.
Availability and adequacy of assets of each of the funds
The board Df trustees are satisfied that the charity's assets in each fund are available and
adequate lo fulfil ils obligations in respecl of each fund.
Risks and uncortalntie$ facing the Charlty
The charily is open to the usual financial risks of any organisalion, and the charity has introduced
controls to minimise these risks. In addition, the accounts are regularly reviewed by the Audit
Committee.
A major risk is that there are irisufficient donations received and funds raised to finance the
Charity's work, Steps have been made lo mitigate this llsk by making plans lo increase the number
of donating members.

Bozca-Der Charity
Company Regislr8lion Numbor- 06629991
Trustees. Annual Report for the year ended 30 June 2025
Plans For the Future
Summary of plans for the tutui& and the trustees, p¢rspectN• of the future dirèction of the ch8rSty.
Now we are in a larger bullding, we plan to increase the number of activities for young people by
providing more classes in different subjects and offering music classes.
We plan lo increase the number of members who donate money to the Charity and also provide
more activities for older generations. This will continue in the coming years. We are planning to
have some funds to give grants to university students in the coming years and spent some funds to
help elderly people further.
Our expenditure plans for the future are as follows,
.Generale more funds to support local youth by giving them more sources to support them in their
high educations,
.Encourage more yourkg people to use our building and services, our target people are going to be
at the age of 20 10 30 years old.
.Try lo keep more of statistical information by using new sofvaie that is being developed for
charity,
.Encourage more of family values and lo bTing families more often t￿ether lo have more of
activities,
.Collection of Gift Aid funds from Govemment by enrolling more people to gift aid scheme.
There is no Chief Executive Office or other senior staff members in the Charity. This is due to
Charity being run by member of boards on voluntary basis. We have a secretsry who is working
part time and we keep on training her to help committee members.
Employment of disabled persons
Bozca41er Charity operales under the Equal Opportunities Policy. We presen1￿ emptoy only two part liffle
wort(er¥. All other Staff work on a voluntary basis.
Details of The Independent Examiner
Robert Woolloy FCGA, CTA
Chartered Certified ActountaNI
Crown House
York Road
Shiptonlhorp
Y043 3PF

Bozca-Der Charity
Company Registrai¢Dn Number- 06629991
Trustees, Annual Report for the year ended 30 June 2025
Statement of the Directors. and Trustees. Rèsponsibllities
The charitls Iruslees are responsible for the preparation of the accounts in aGcordance wlth the
terms of the Companies Act 2006, the Charitse5 Act 2011 and the Charities IAc¢ounts and
Reports) Regulations 2008. Notwilhslanding the explicit requirement in the extant statutory
regulalions,the Charities (Accounts and Reports) Regulations 2008, to prepare the financial
statements in accordance with the SORP 2005, in view of the fact that the SORP 2005 has been
withdrawn, the Trustee5 deteTmined lo interpret this responsibility as requiring them lo follow
current best practice and prèpare the accounts according to the FRS 102 SORP (Stalemenl ol
Recommended Practice for Ac¢ounling and Reporting by Charities) 2015, las amended by the
Bulletin issued in February 20161, {The SORPI,
In particular, the Companies Act 2006 and charity law require the Board of Trustees lo prepare
linancial statemen15 for each financial year which give a ITue and fair view of the state of affairs of
the charity as al the end of the financial year and of the surplus or defi'cit of the ¢harity. In preparing
those financial statements the Board is reqUI￿d to '.
- to prepare the accounts in accordan¢e with United Kingdom Generally Accepted
Accounting Practice (United Kingdom Accounting Standards and applicable lawl.
select suitable accounting policies and apply them consistently..
make judgements and eslimales that are reasonable 8nd prudent..
prepare the financial statements on the going concern basis unless it is inappiopiiale
to presume that the charity will continue in business.,
slate whether applicable accounting standards and statements of
recommended practice have been followed. subject lo any material
departures disclosed and èxplained in the financial slatemenls.
The law requifes that the trustees must not approve the accounts unless they are satisfied that
they give a true and fair view of the stale of affairs of the charity and of the surplus or deficit of the
charity for the year.
The Trustees are also responsible for maintsining adequate accounting records whi¢h disclose
with reasor¢able accuracy at any lime Ihe financial position of the charity and which are sufticienl to
show and explain the charity's transactions and enable them lo ensure that the financial
statements comply with the Companies Act 2006 and comply with regulations made under the
Charities Act. They are also responsible for safeguarding the assets of the Charity and hence for
taking reasonable steps for the prevention and detection of fraud and other irregularitie8.
The Trustees are also responsible for the contents ol the Trustees, report. and Ihe slalutory responsibility of
the Independenl Examiner in relation to the Trustees, report is limilod lo exarninino the report and en8uiing
that , on the face of the report, there are no material inconsislencies wilh th6 ftgures disdosed in Ihe financ¢al
slatemenls.
10

Box¢a-DÈr Charlty
Company R6glst(ation N￿ber- 086299B1
Trustees, Annual Report for the year ended 30 June 2025
Method of preparatlon of accounts - Small company provlslons
The Ilnanei81 slatoments aTe 801 out on pages 1419 28.
The Ilnanclal statements have bèan prepared implemÉn15ng the FRS 102 SORP Islalemenl ol
Recommendgd Pracltce for Accovnllng and Reportlng by Ch8rSllesl 2015, las 8mended by th6
Bullelln issu8d in February 2016), (The SORPI, and in accordance with the Flnancial Reporllng
Standard 102, lefleclive 1st JanuAry 20161
Thgse flhanclel 81alem&nts have been preparèd in accordance wllh Ihe provlsion8 in Part 15 01 the
Companles Act 20(￿. applicable lo companla$ subleclto the small companles wlme.
Thlts roPOrtWA$ approved by1￿ board oftrust89s on 20 Mar¢h 2026.
CEIAAL TURK
DtrectoraNJ Trustee

Bozca-Der Charity
Report of the Independent Examiner to the Trustees of Iho charitable company on the accounts
forthe year ended 30 June 2025
I report to the Trustees on tny examination ol the financial siatements of the charitable comp8ny on pages 14 to 28
for the year ended 30 Jttne 2025 which have b88n p￿Pared in accordance with the Chaiities Act 2011 (the Aotl
and w4th the Finaneial Reporting St£ndard 102, (effective 1st January 20161 as modified by FRS 102 SORP
IStat8ment ol Recommended Practice lor Accounb"ng aThY RepDrting by Chariti8512015, las amendèd by the
Bulletin issued in F8bruary 20161, (The SORPI. published by the Charity Comtnission in England & Wal*s
ICCEWI , and under the historical cost convention atvj the accounting policies set out on paoe 18.
R8spe¢tlve r•spon8lbilitle8 of the Trust￿6 #nd tho Ind8pendgnt Examlnèr and the bosls of th& roport
As dE￿rIbed on pag8 9, you. thE charitable wnpanl8 Tiustees, who are the Directors ofthe Company lor
the purposes of Company law, ale iesponsible for the prepafation of thè finanual statements in accordan￿ with
the Companies Aci 2006. th8 Charities Act 2011 and all other appl￿ble law aNd with United Kingdom Gènerally
Accgpted Awounting Practi￿. applicab￿ to small8r Èntities, 8nd for bÈing salsli8d that thg IlnancAal sk8tements
give a Iru8 and lair view.
The Trustees consider that the audit requirement ol Section 144111 of the Charit￿5 Act 2011 (the A¢tl does not
apply, and that ihere 18 no requirement in the m8rn0randum and 8rtid6s of the charily loi the Conducting ol an
audit, 2nd that the accounts do not r8quire an audit in accordance wth Part 16 of th8 Companies Act 2006 and
thal no membei or membÉrs have iequestèd an audit pursuant tts seCt￿n 476 01 the Companies Act 2006. As a
consequenc8. th& TrustBèS ha￿ eleot8cS thal thè financial statem8nt5 be subj$d to Ind8p$￿￿t examÉnalion.
Having sats"sFied rnysdl that the financial 8tatèment$ are not required to be audited under any Isgal provision, or
Other￿lS9, and are eligible ftii indepeNleTht examination, rt is my responsibility to".-
al examlne the financial 5tstsmenls of Ihe charily ur¥Jer Sect1￿ 145 01 the Act",
bl follow the applicable prO￿d￿[8s in th9 Directions given by the Charity Comrnission under section 14515llbl of
the Act.
Ba$ls of Independent Examlnerfs Statem•nt and scope of work undertaken
I report in respect Of my examination of tho charity's financial statements carried out under $145 of the Aet. In
carrying out my examination, I hav8 followed all the applicable Dir8dions given by the Charity Commission under
section 14515llbl ol the Act setting out the duties of an independènt exarninèr in relation to the eonducling of an
IndepeTrdent examination. An Indepgndent exaFninalion indudes a review ol the accounting iècords kept by (he
charitabl2 company and of the accounting systèms employed by thÈ charitable company and a comparison of the
linanaal sl3tetnenls prosented with those reEords_ It also includes co¢)sideralion ol any unusual items or
disclosures in the finanaal statements, and seeking explanations from you, as Trustees, concerning such matters.
Th8 purpose of the examination is to establish as lar 8$ possiblg that there hAve been ntr breach85 of charity
legislation and that, on a tesl basis of èviden¢8 ielevant ￿ the amounts and disclosures madè, the fyn8a￿al
statements cornply wilh IhÉ SORP
The pl￿￿ureS undertaken do not provide all the ovidaneè that would be requirèd in an audit, and inlormalion
supplied by the Trust885 in the Gouise of th6 examinalion is not subjeded to audit tests or enquiri8s and does not
cover 811 the mallers that an auditor would consvJe¥ in arriving at an opinion. The planning and conduct ol an audit
goes beyond the limit&d assuran￿ thal an independ8nt examination can provKIè
Consequently, I do not expr&5s an audit opinioA on the view given by th8 financial $latements, and In partieular, I
8xp￿S no opinion as to whelh8r the financial gtaternents give a true and lair view ol th8 affairs ol the charity, and
my report is limit8d to the matters set out in the statement below.
12

Bozca-Der Charity
I planned and performed my examination so as to salisly myself that Ihe otr4"èctives of the in¢Jependent examination
arè achi*ived and before fi'nalisitw the report l obtained written 8ssurances from the Trustses of all material
m31ters.
Indepandent Examlner's Statement, Report and Oplnion
Subject to the lunitabons upon the scope of rny work as detsit8d above, I havè completed my &xamin8tion' and can
confsrm Ihat".-
The accounts of this chariiabl8 company ara not iequlred to be audited under Part 16 01 the Companles Act 2W6',
This is a reptsrt in r8spect of an examination Carr￿d out under 145 01 the Act and in accordance thrections
given by the Charity Commission under section 145(5llbl of the Act which may be applicabl&'.
affld that EID material matters have corn8 lo my attention in conneGtk)n with ihe examination givÈng me Causè to
beliève that in any material rsspect.-
a¢cDunting record5 were not kept in respect ot th6 Charity as requI￿d by Section 386 of thè Ccffipan￿s Ad 20(
and Section 130 01 Th6 Charitles Ad 2011..
th8 linarKial statemonis do not accord with those iecords", or
Ihe finanThal statement5 do not cOM￿Y with the applicable iequiremsnts concerning the form and conlgnt ol
aeeouNls set out in section 396 of the Companigs Act 2006 othei than any requiremant that the account5 give a
'true and fairf view, which Is not a matter considered as part of an indep8ndent examinatlon.,
have not b8Èn prepared in accordance with the methods arKI principl6s sel out in the FRS 102 SORP
{statement ol Recommend￿ practi￿ for Accounting an<J Reporting by Chariti&sl 2015, {as a￿nded by the
Bul￿tEn issu8d in February 20161, (Th6 SORPI.
1 have no concèrns and have come acrDSS no other matters in connection with thè ox¥rtination to which attention
should bg drawn in this 18POrt in order to enable a proper underst8nding of the financial statements lo be reached.
Slgnèd'.-
Robert Wooll
y FCCA. CTA- Independ8nt Examiner
Chartered Certified Accountant
Crown House
York Road
Shiptonlhorpe
Y043 3PE
Thls rgport was slgned on 20 March 2026
13

Bozca-Der Charlty - Statement of Flnancial Activilies for the year ended 30 June 2025
Statement of Financial A¢tivities (including the Income and Expenditure Account for
the year ended 30 June 2025, as required by the Companies Act 2006)
SORP
Ref
Gurre•t y￿r
Unrestrlctéd
Fund8
Cuirent
Re8trl¢tsd
Funds
Curront yaay
Tolal Funds
Prlor Ybar
Yotal Funds
2025
2025
2025
2024
IncomÈ from:
t)onations & Legacies
Charitable activities
Olh8f tiadinG activities
Investments
A1
A2
A3
A4
172.495
80,058
172,49S
80,OS8
137,429
75,502
55
55
84
Totol Income
262.608
252.608
213,016
Expenditure on:
Charitable adivities
82
227,834
227,834
211,855
Total •xpendlture
227.834
227,834
211.866
Net Income for the year
24,774
24,774
1.160
Nèt Income after transfeT8
A-B.C
24,774
24,774
1,160
Net movement In funds
24,774
24,774
1,160
Reconclllatlon ot funds:.
Total funds brought forward
28,915
28,915
27,756
Total fund8 carrbed loN&rd
63,689
53,689
28,Pl6
The'SORP Ref indicated above is the classification of income set out in the formal SORP documents. As
rèquired by paragraph 4.60 of the SORP, the brought forward and carried forward funds abov8 have been agreed
lo the Salance Sheet.
A separate Statement ofTotal ReGognised Gains and Lossès Is not required a5 this statement incl￿$ a15
rÈcogTrised gain5 and losses.
All the prior yeartransa¢tion8 were unre51ricted Items. and no further analy8is is required.
All activities derive from continuing Dperalions
The notes attached on pages 18 to 28 form an Intsgyal part of these accounts.
14

Boz¢a-Der Charity - Statement of Flnancial Aclivitles for the year ended 30 June 2026
Bozca-Der Charlty - Resources applied in the year ended 30 June 2025 towards fixed
assets for Charity use:.
2024
2026
Funds generated in the year as detailed in the SOFA
Resources applied on functional fiyed assets
24.774
12,7801
1,180
Net resources avallable to fund charitable actlvltles
21,994
1.160
The r850ur¢ès applled on flxed 8$80ts for charlty use represent the cost of addltlons.
Tho notes attached on pages 18 to 28 form an Intsgral part of these accounts.
Movements In revenue and capltal funds for the year ended 30 June 2025
Revanue accumulated funds
Unrestrlcted Re¥trlcted
Funds
Funds
2026
2026
Total
Funds
2025
Last year
Total Funds
2024
A¢curTrulated funds brO￿ght forward
Re(¥)gnised gain8 and losses
28,915
24.774
28,915
24.774
27,756
1,160
53,689
53.6B9
28,915
Clo$lng revenue fuiids
63,689
53,689
28,916
Summary of funds
Unrestrlcted Restriet•d
and
Funds
Dèslgnatsd fisnd$
202S
Totsl
Futtd8
Lotst Yéar
Total Fynd
2025
2026
2024
R8V8nue accumulated funds
53.889
63,689
28.915
The notgs attached on pages 18 to 28 form an integral part of these accounts.
15

Bozca-Der Charlty - Statement of Financlal Actlvities for the year ended 30 June 2026
Boz¢a-Der Charlty
Income and Expenditure Account forthe year ended 30 June 2025 as required by the
Companies Act 2006
2026
2024
Income
Income from operations
252,553
212.931
Investment Incom&
Intere81 ieceivablg
84
GTO65 Income in the year b&foTe gxceptlonal Item
252,808
213,015
Grogs Incom¢ In the year Includlng excgptlonal Items
262,608
213,016
Expendltu
Charitable expenditure, exduding d8pre¢iation and amortisation
DepfeciatlDn and amortl8a110n
Governance costs
Interest payable
Realised losses on disposals ol soclal investments ￿5¢h are programmE fElated
225,784
1,320
730
210.200
95S
700
Total expendltLtre In the year
227,834
211,855
Not Income bofore tax In the financi*l year
24,774
1,160
Tax on surplus on otdlnary 80ttvilies
Net in¢ome after tax in the financial year
24,774
1,160
Retained surplus for the year
24,774
1,160
All activities derive from continuing operations
In Secordan￿ with the provisions ol the Companies Ael 2006, the heading5 and $ubheading5 used ift the Income
and Expendituie account have been adapted to rellect the speryal nature of the charity's acllvlties.
The notes attachEd on pages 18 10 28 form an Intpgral part of those accounts.
16

BOzca￿al Chailly . Balan¢è Sheet a8 al 30 June 2025
SORP
Nole Raf
2026
2024
Flxèd sB$ets
T8nglUe a$sels
3.820
10 A2
5,280
uvventassets
Debtors
Cash at bank WKI In haod
11 82
B4
1,070
57.437
1,915
33.4?2
Total currontgÈsets
56.507
35,407
Cibdltor8'. amounts lalllng du8wlthln
ono ypar
12 C1
10,312
Notcurrenta5$¢ts
48,409
26,915
Totol DÈtats$8t8 01 thè charlly
63,669
Tof01 nfrta85et8 01thg ¢hartly ar8 fundgd by funds of tho Qhdrfty, ￿ lollow.."
Unregtrlcted Fund8
Uatestdcted Fwds
17 03
53.689
28,91S
Yotsl charltyfundl
53,6Bg
Tha'SORP R8f Indlcated above Is Ihe clasgSfjc8tion ol Balsn¢8 Sh8elllems ès 8Et out In the formal SORP
documents. As required by pAragra￿ 4.60 of Ihe SORP. thB brought forwald and Cgirled foM2rd funds abts
hav8 been attieed io SOFA,.
dlreclors am s8tisfied that the cca))P8ny Is gnlilled to ex8mpllon frèm the Te(wlretnenl to oblHkn an 8LKkt
nd￿ section 477 01 ihe Compan￿5 Act 2008.
Th8 mernb8rs h8V8 nol requlred the eompgny to obtaln an Audllln ac¢>)rd8nca vAlh Secllon 476 ot ihe A¢L
Tho dlreGlors acknowiedoe 1helrr8sponslbllili6s lor ¢miplylng Wth thÈ requirements ofthe c￿pan*SACt
2006 wth reFpe¢i ID O¢COUJtlng recDrd$ and the preparaiion of 8ccvuDt8.
The charlty is subject io gn Ind&pend8nt Examlnallon under ¢harity legislalon and Ihe retKJrt of Ihe
Independent Exomlngr Is tsn pagé 12
Tha ￿n￿[S￿￿1 statemonts hov8 bean prep8r0d ITh 8c<y)ydanGe wlh In Part 16 ofthe Compwles Act
2tN)6, appli¢8ble lo companl8s $ublect io th8 8m811 companl&s reglmg.
28,915
MA
TNStee
Approved bythe board of trustBes on 2Q Mwch 2026
Th? nokès #ttachgd on p&y&8 18 tè 28 form an Inlègral part ol th¢$e ateounts.
TURK
17

Bozca-Dar Charity
Notes to the Accounts for the year ended 30 June 2026
1 Accounting policles
Pollcies relating to the produclloii of the accouftts.
8asis of preparatlon and accountlng conventlon
The accounts have been prepa￿d on the accruals basis. under the histori¢81 c05t convention, and in accordan￿ wth
the Financial Reporting Standard 102. leffeclive 1st January 20161 and'FRS 102 SORP Istalement ol Recommended
Practi￿ for Accounting and Reportin9 by Charitiesl 2015,188 amended by the Bulletin issued in February 20161, (The
SORPI. published by the Gharity Commission in England & Wales ICCEWI , effective January 2016, and in
ac¢ordance wth all applicable law in thè chaiity's jurisdiction of registration, except that the charity has prepared the
financial 5tatement8 in accordance wilh Ihe FRS 102 SORP (Statement ol Recomrnended Practice for AGCOUnting and
Reporting by Charitie812015, la5 amend8d by the Bulletin issued in February 20161, IThe SORPI, in preference lo the
P￿vIouS SORP. the SORP 2005, which has been wthdrawn, noiwithstanding the fact that the extant statutory
18gulation5. the Charities (Accounts and Reports) Regulations 2008 ￿ler explicitly to the SORP 2005. This ha5 been
done to accord with current best prac1r￿.
Public Benefit
The charity is a public b8nefit entity
Policies relating fo categories of Income and Income rgcognitlon.
Naturè of income
Gross in¢ome represen15 the value, not of value added lax and di5¢0unt8, of goods provkled to customers and work
(xiried ¢JJt in resped ol services piovided to CU8tomers.
Categorlè8 of Incomo
InGome is categoriseé as income ffom èxchange IransaGtions I￿ntract incomel 8t￿ income from non-exGhange
transactions Igiftsl. investsrénl inoome and olher income.
Income from exchange tran8a¢tlon8 is r8ceived by the charity for go(NJ8 or 8ervi¢es supplied under ￿ntract or where
entitlement is subject to lullilling pèrformance relaled conditions. The income the charity receives 18 approximat81y equal
in value to the goods or service5 supplied by the charity lo Ihe puicha$er.
In¢ome from a nonoxchange iran$aclitsn is wh8ie the charity r8ceive8 value from Ihe donorwilhoul providing eqval
value in exchange, and includes donations of money, goods and servi¢8s freely given %*ithout giving equal value in
exchatwe.
Income recognltion
The Charity m8inlalns a general unrestrKted fund whi¢h represellt5 funds which are expendable at the discretion of the
Iru5tees in ffurtheran￿ of the ot4'EGts ol the charity. Such funds may be held in order to finance both wotking capital and
capit81 investment.
Membershlp subscriptions
The income and 8ny a$8oaaled Gift Aid or other tax rafund from a membership 8ubscriplion rewved by the ch8rily in
the rnatu￿ of a gift. is accounted lor on the same basis as a donation.
The income from a rnembership subscriptlon received by the charity where the subsCript￿n pur¢ha5es the rKJht to
services or benefits IS fecognised as income from charita￿e activities.
18

Boz¢a-Der Charlty
Notes to the Accounts for the year ended 30 June 2025
Pollcies relating to expendlture on goods and servlces pmvided to the charity.
Recognltion of Ilabllltle5 and expendlture
Liabilities are recognised on the accruals basis in accordance with normal accounting principles, modified where
e¢essary in accordan￿ with the guidants given in the SORP.
Allocating costs to 8cllvltiès
Dire￿ cos18 that are Specifically related tts an activity are allo¢8ted to thal aclivlly. Shated diTect costs and support costs
are apportioned between activities.
The basis IDr apportionment. which is consisien11y applied, and proportionate to the circumslgnces, is-_
Staffing - on the basis of time spent in connection with any particlslar adivity.
staffing on a per Capita ba8is, based on th8 number ol of people employed wth*n any partiular 8Ctivity.
Premises rebated c05ts- on the proportlon of fioor ar&a occupied by a particular activity.
Non ¥peclflc support ¢08t8- on the ba$1$ of the usage of resour￿$, in terms of time taken. cap¥ity used, request
made or other measures
Poll¢ies relating to assgts. liabilitles and provlsions and other mattèrs.
Tanglble flxedassgts
Tangible fixed assets are measured gt their original cost value, or subsequent ￿valUation. or if donated, as described
above. Cost Val￿ indudes all costs expended in bringing the assèt into its Intenéed working conditsDn.
Depreci8tion bas been provided al the following rate8 In order lo wile off the assets lo their 8nti¢ipaled residua1 valLse ovf
estimated useful INes.
Plant and machinery
20 Wo redsjcing balance
Debtor$
Debtors arè measured at their recoverable amounts al the balance sheet date.
Creditors and provislons
Creditors are re￿gnIsed at the amount ol liability al the Balance Sheet tJa¢e that is likely lo crystallise.
Flnan¢ial Instruments Includlng ¢ash and bank balance8
Gash held by Ihe charily is intr1uded at the amount actually held and Counted al Ihe year elld. Bank balances, whether in
credit or ovÈrdrawn. are shown at th8 amounts proparfy reconciled to the bank statements.
Leaslng and hire pvrehase contracts and commltments
Rentals paid uNEer operating kases are ¢h&rged lo income on a slraight line basi8 over the lease terffl.
Pen$lon8 . d¥fEned contribution s¢hemos
The charity operates a defined CDlltribution pensiort scherne. Contrlbutions are charged lo profit and loss account
as they become pay8ble in accoréants with the rule3 of the scheme.
Fund Accountlng
Unreslri¢ted funds are available lor use at the discreTrtion of thè trustee5 In furtheranc8 of the geaeral obJe¢tlV88 of the ch8
All fixed assets are deemed to be purchased from unrestrided funds and therefore no fixed asset lurKls arè applicable.
19

Bozca-Der Charlty
Notes to the Accounts for the year ended 30 June 2025
2 Llablllty to taxatlon
The Trustees Consider that the charity satisfies the lesls set out in Para9raph I Schedule 8 of the Finathts Act 2010 for
UK corporation lax purposes. Accofdingly, the cha￿tY is potentially exempt Irorn tsxalion in resped of income or capitsl
gains received within ¢atÉgories covered by Chapter 3 part 11 of the Corporation Tax Act 2010 or Section 256 01 the
Taxation of Chargeable Gains Act 1992, to the extent that such income or gains are applied exclusively on the speufiG
charitable objeds ol the Gharily and for no other purpose. Value Added Tax 15 not recoverable by the Gharily, and is
Iherefore inciudod in the relevant ¢D5ts in the Stalernenl of Financial AclivitiB5.
3 Wlnding up or dlssolutlon of the charlty
If upon winding or dis801ution of the charity there remain any ass8ls, after Ihe satisfactlon of a11 debis and liabilit￿s,
the assets reprtseiiled by the amjmulated 8h811 be Iran$ferred to some other tharita￿e txxly or bcxlies having
similar 0￿ect$ lo the ¢haiily.
4 Signlfl¢ance of flnancial Instruments to the charity's positlon
There are no significant irnplications ol financial instruments to the eharills finan￿31 posilK)n.
S Net surplus before tsx in th8 flnancial y8ar
2025
2024
Nel surplus before tax in the finanoal year is Stated after charging".-
955
tlepreclation of owned fixed assets
Pensson costs
1,320
2025
2024
6 Interest payable
Bank interest payable
7 Staff costs and emoluments
2024
Salary costs
2026
Gross Salaries èxcluding trustees and key managemenl personnel
Employ8rf8 operating costs ol defined contribution pen8lOn 5Gheme8
5,484
Total salarl05, wayes and related ¢o$t$
5,484
Numbsrs of full tlmo employees or full Ilme eqUIval￿t$
2026
Z024
The average number of total stsff employed in thE yearwas
The éstimated 8qulvaknt NUM￿ror full tlme staff deployed In dllferontactlvl¢les In the y8arw85.-.
Engaged on Charitabk activitie$
Tho estlfflated full lim8 equlvèl•nt nufflb9Kolèllstaff èmploy8das abov
Neitherthe trustees nor any persons ¢onne¢ted with them have received any remuneiation frotn the charity or any
rèlated entily. either in th8 currenl or p¥lor year.
No 8rnpknyee5 ￿¢￿1Ved emduments lexGluding pension Gostsl in ex¢ess of 260.000 per annum.
20

Bozca-Der Charlty
Notes to the A¢¢ounts for the year ended 30 June 2025
8 Defined contrlbutlon penslon schemes
The ch8rily operates 8 defined contribution pension scheme on behalf of its employees.
9 Remuneratlon ?nd payments to TrLbStee$ and pgrsons connected wlth them
No trustees or persons connected wlth them received any remuneiation from th8 charity. or any related entity.
10 Tanglblg flxod assets
Plant &
Ma¢hlnery
Total
Cost
Al 1 July 2024
Additions
47.105
2,780
47,105
2.780
At 30 June 2025
49,885
49,886
Depreclatlon
At l July 2024
Charge for the year
43.285
1,320
43,285
1,320
At 30 June 2025
44,605
44,806
Net book value
At 30 June 2025
S,280
6,280
At 30 Jun8 2024
3,820
3,820
11 Debtors
2026
2024
Gift Axl Refunds due frorn HMRC
OlheT débtors
1,070
1,915
12 Credltors: amounts falling due wlthln one year
2025
2024
Trad8 creditors
ArKrua15
PAYE, NIC VAT and olher taxes
other creditors
6.363
3,735
6,607
3,705
10,098
10,312
13 Pension commltments
2026
2024
Pension ¢ommiin)ents under defined ben8frtldefined contributs.on scherneg
thin one year
250
250
21

Bozca-Der Charlty
Noles to the Accounts for the year ended 30 Juwie 2025
14 Flnancial commitmonts under opvrallng lea59S
2025
2024
At the year end the charlty had annual commlts))ents und8r non-canGellab
operatlng leases as sgt out b81ow'.
Operating leases which expire..
in over five years
82,500
82,5(K>
15 Income and Expenditure account summary
2026
2024
At 1 July 2024
Surplus I IL0551 for the year
28.915
24,774
27,755
1,160
At 30 Junè 2026
53,689
28,915
16 Particulars of how particular funds are reprèsented by assets and Ilabilltles
Total
Fun￿$
At 30 June 2025
Unre8trlot
funds
Doslgnatèd
funds
Retstrlctèd
fU￿￿S
T8ngible Fixed Assets
Currenl A5sels
Curr8nt Liabililie5
5,280
58.507
110.0981
5,2BD
6B￿07
110.0981
At 1 July 2024
Unrg¥ttl¢t4d
008lgnat8d
d8
Ro8triBtÉd
lund$
Total
Futhds
Tangible Fixed Asset8
Cuirent A5sels
Current Liabtlitles
3,820
35.407
110,3121
3.820
36,407
110.3121
17 Change In total funds over the year as shown In Note 16, analysed by Indlvidual funds
F￿ndS brought Movement In
foTh¥ard l¥om
fuRds In 2025
2024
Fund& carilgd
forward to
2026
Trafisf8fg
b8twe&n
lunds In 2026
Soo Nots 18
Unrostrkted and dèslgnated funds...
Unrestricted Revefiue Funds
28.915
24,774
63.689
Total unrestricted and deslgnated funds
63,689
Total charlty funds
28,915
24,774
63,689
22

Bozca-Der Charity
Notes to the Accounts for the year ended 30 June 2025
18 Analysls of movements In funds over the year as shown In Note 17
Other
Galns &
Losses
2026
In¢om8
Expendlture
Movoment
In funds
2026
2025
2026
Unrestrictèd and dèslgnated fund5:.
Unresiricled Revenue Funds
19 The purposes for whlch the funds as detailed In not8 17 are held by the charlty arè'.-
Unrestrktedand d8signat*d funds...
252.608
227.8341
24,774
These funds a￿ held for lh¢ meetlng the objedives ol the charity. and to
provide re5eN85 for futu￿ activitiÈs, and . subject to charily legi81ation,
are free Irotn all reslii¢tions on their us¢.
Unrestricted Revenue Fund5
20 Ultlmatg controlllng porty and Related Party Transactlon$
The charity ts under the c(ntrol of 118 legal members.
Therè were Tro related party transaclions in the year.
23

Bozca-Der Charfjty
Detailed analy$l8 of Income and expendlture for tho year eniled 30 June 2025 a5 requlred by thtr SORP
2015
rni$ analysls Is Class$ifi￿bY conv8ntlonaJ nominal dÈscrlptlons and not byacllvlty.
21 Donatlon8 and L6Ba¢le8
Cuir•Dt y•ar
UnroBtrtGtqd
Fvnds
2026
VFr•DlyBar
¢16sirtci¢d
Funds
2025
PilorY8ar
Toi81 Fund$
70ts1 Funda
202$
2014
Oonations and 9llts Irom Indlvlduals
Donations- Charily Box
Oonatlon$- Funeral ce￿￿OnY < £1,000
tbnallons- Geneial < £1.000
Gift Aid Relundablè from HMRC
Gr8n15- PuUiBVol¢o
GraTrlS- General
3.858
S.050
28,532
1.070
3,858
S.050
28.532
1.070
Y,208
18,362
3,744
9,360
36.520
18.362
Totsi doDg*lons glFts froth indlvlduaTs
64,080
64,Q80
51.539
Revenue gi•hts & donhllons Irom noti publlc bodle
Hasan Sah1n
ETP UK Ltd
Engin ImtnobileGMBH
Eyup Kalay
Susan Pdul
Algan Ziya
Muslala Kara
Mek¥ntl Korogl
Unil8d A(£OL￿13nCy& Go
Yeier M
Gemini Ablos
Nisa Stores LoeAIIy
IKA EpD$ Ltd
Golden sa￿8
H & M FOCMJ Lid
Yusfr Drinks
Medinill HealthrAre
relliThWu5eyiTh Ho
SuleymanlErsoy OogBn
Bellona LèvAsha
Stuart & Co
LLld
Me¥*x Ltd
Denis Window
RouIO8 E8ta18 Lld
8owling & Co s￿￿t￿s
Suleyman Tcyl
Cém KaLIy¢i
Newfflark Ltd
Extra cash & cairy
Lld
>E1,000
1000
1000
1,000
I,ooo
1,6
2,000
2.580
1,170
1,000
4,000
1.0(k)
1.WQ
.OOD
1.310
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
I.￿0
I.￿0
i.wo
1,000
1.000
1.000
1.000
1.000
1.000
1.000
1.000
1,000
1.OOQ
2,000
t,000
1,000
1,000
1.000
4.wo
4.ODO
1.MO
1.WO
1.500
1.￿0
1.WO
I,DDO
1,000
1,SOO
1,OOD
1,ODD
1,000
1,000
29,500
Érsan & Co solc41ois
YusLrfTuFk
Tol•l prlvth sectorrevenuè grants
29,51
15,13Q
Mpmbgts, Svb$¢rlptlonG aB donat4ons
7S,916
78,91S
Total Don4Uon5 and Lega¢l¢s
A1
171495
172,495
24

Bozca.D8r Charlty
D8talled angly51s of Income and &xpendlturo lor thg y*ar ended 30 June 2025 as requlred by Ihe SORP
2015
25 Expendltur6 on charltable a¢tlvltle8 . DSr•ct 8pÈndlng
C￿rrg￿tY0Or
Cuir*llt ygar
Totsl Fundg
lorysat
Tothi Fund
Rèstrfcii
Funds
2025
2025
2025
2024
Gros$ wages 8¢)d salaries- tharitable activities
Defined eoniribuiioll p6nsion costs - ¢harilable
3.È
3.890
C05t of Teachiw CLgsses
2,480
3.100
Total dlrect spe*dltrvJ
B2a
6,370
6.370
3.100
26 Éxpendlture on charltable actlvitle$- Charltable tradlng
¢urrqnty¢ar
Unr•ytrfctèd
Fund$
2025
euwrentyèar
TDtsI Funda
Pik>rYo1¢
T￿41 FuDd6
Rg&tilc*gd
Fund
201$
202B
2D24
CantÈen and Related Exp8n8es
Costs of ¢oa¢hing and purchases
Trips arrange(l. cosls
30,252
30,252
23,139
31.646
31.646
31.452
4,33S
4,335
2,910
Total chaiiiabk tradlng cosis
e2b
66,233
66.223
57.501
27 Exp8ndlturo on Gharitable actlvlties. Grant fundlng of artivitle$
CuN•nty•Ar
Currontyoar
R&strlctod
Fund6
2026
IreThtY￿r
Tot•1 Funds
PrftsrY•ar
Total FuDds
Fund
2020
2$
2424
Donatv)ns m3de duriJ)g year
1.980
2.500
Totsi granlmaklng costs
82¢
1.980
1,gBQ
2.fjQO

Bozca.Der Charity
Dei8lled afjaly518 of Incom8 and expondltur8 for the year ended 30 JuTrÈ 2026 a8 requlTed Iw the SORP
2015
29 Other Exp8ndilur•- Govwnance ¢osts
Yrwtygar
Unro*¢rfciéd
Funds
2025
Cu¢reMwr
RvS*rfci8d
Fuild•
2026
C￿rrO￿t
Total Fund
prtorYé4r
FotAI Fund$
2025
202é
Ind8F6fKSen¢ Examine¢s f8eS
730
730
70D
Total Goyernance co¥ts
730
730
700
30 Total Charitoble expenditure
¢urrentyear
Unrgstrlcied
Funds
2025
cU￿0￿ty¢4f
Curr*ntyqai
Total F￿n￿5
PrforY•ar
rotal Fund*
2025
2026
2024
Total dlr6cl spÈnding
Total Bharilable trading oosts
Total granlm8klrtg costs
Tolal syppori costs
Total Gov8rnance cos18
B2a
6,370
86,233
1.980
1$2.521
730
6.370
66,233
1,980
162,5ZI
730
3.100
$7.801
2,500
148.054
B2b
B2¢
B2d
82¢
Tolal charii•blo&xpendlture
B2
227,834
227.8J4
211,865