Registered Nimber. 07355735 ( EnglaTrd and Wales)
NAWRACY CULTURAL CENTRE
(LIMITED BY GUARANTEE)
Ch*rrty No: 1149256
AMENDED REPORT AND FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 DECEMBER 2(120

NAWRACY CULTURAL CENTRE (REGisfERED NUMBEIL. 07355735)
(LIMITED BY GUARAiwfEE)
INDEX TO THE FINANCIAL STATEMENTS
FOR.THE YEAR ENDED 31 DECEMBER 2020
Lwl and admlTris¢r*live Informatkn
Report of the Dlrethn and Trnsl¢e5
ladependent Ey*miuers' Rewtrrt
Ststement ofFln*llcl*l A¢¢lvltles
B4lance Shee¢
Nots8 to the Floan¢lal Ststsm¢•t*

NAWRACY CULTURAL CENTRAL (REGISTERED NUMBER: 0735573S)
LEGAL AND ADMINISTRATIVE INFORMATION
FOR THE YEAR ENDED 31 DECEMBER 2020
Incorp)ration
England & Wales
Charity number
1149256
Company number
7355735{England and Wales)
Directors
Mr FcrnwTr Sulcvani
Mr Ali Omar
Mr Gaffor Sadiq Omer
Mr Karwan Latif Ra
R¢gistered OtTice
The Mulberry Tree
5 Woodbridge Road
Ipswich. IP4 2EA
Trustees
Mr Feman Sulevani
Mr Ali Om
Mr Gaffor Sadiq Omer
Mr Karwan Latif R470
Independent Examiner Allenby Accountants
Chartered Accountants
35 Sweetcroft i￿ne
Hillingdon
UB109LE
BanketS
HSBC
24 St Ann's Square
Manchester M2 7HD
Page 1

NAWRACY cl￿TulL4L CENTRE (REGISTERED NtFMBEIL. Q7355735)
ILIMITED BY GVARANTE&)
REPORT OF THE DIRECTORS AND TRIISTEES
FOR THE YEAR ENDED 31 DECEMBER 2020
The tNsie¢s prtsdtt the￿ [¢5￿ the fmancia] Sts[em￿ts for 31a Decemiw 2020. whidL they eortfimi L¥Jmply
with curT¢ni siawtory requ][Ell￿ tl* rtquir¢n￿s ¢lwty5govenJin8 th￿jM￿l (its Arttcle of
Associ4tioThl and th¢ reqU￿etne1?tr0f SORP FRS IO2.
PAnelpg1 Aellvllks Polbcks awl ObJt¢dv
To &lvwJce and pr￿y￿ tr reli￿￿ ofts]￿ pJbli¢ bcnEfJL the ¢duu¢ion of the public in all &*peets ofthc
Kurdish languagq hI￿￿Y *trJ •JM¢¢ orw8[K￿k in throvEh njnning a suppl¢JJ>*w se1￿1 8nd
pY¢veni OT T¢li¢ve wvcrty ￿)ryYhl1e iti the worfd and Wpr0En￿¢ ftr the btnejli ofthe Lnhabitwtsof the provisi￿ of f￿1]I￿C$
fLYTetreation Dr other leiswe lime o¢cyW￿l ofindividllab who hav¢ n¢¢d ofsudj farJJilies by re￿n oftrtr y(KEth. IBe. infmnity OT
disability. fin*)ci￿ hMdship **d t¢(￿ty￿¢ ¢1rcwn￿￿ (¥ r￿theP￿￿i¢ ￿ Iwgc in fv urttEtsts of8Md welfaTe and with
thc obj¢th of wJprtivin8 their L*)ndiiiuYJ of life.
Subj¢d io¢vtyy day ¢urteni rCqUMr￿ all rotyLi¥ beld bank or(thTWty¢ Éti*Sted 8te availabk for£ltaril•bk purpose8 in
occorthce the objccts and poli¢itt ofthe tutwy * the di%rrti(￿ ofthe suth &$ OTganisin8 publi¢ social and
cducal￿nal ¢v¢nt& wtiinots ￿d8th￿ngs, &livffin8 lsJami¢ f(Y pylAi¢ benefits on wwkely b&4is,
fafftilylwp PiL*i¢S, cwin8S 4vhl dll>xw￿ ￿bI]e L%lthtiotM of Kurthsh +2thw¥l •rtd bknic fexivth th¢ yw.
Gov¢rnlv8 DoruNt#t
Ih¢ Clwi'ty 1$ i C(mP￿Y linttrd by 8uaranw¢8O%trttd by tts M¢rtkrn&Arn & ArtKleSofAsftt￿Irn. The liability of the mttnbers
i5 limi￿d 10 a sum nL* cx¢¢edin8 £10. iti tTr¢e￿ of Ms ￿.
Oryattis*ilohal Structh
The trustees rtsponsibl¢ f¢¥ the CLNrtro] and ofthe ChaTity. ThE 8i%t their lime fTeely and r¢ccive no
rununeT*iTh) or t*nefits. The Twusms fm bws to mlkc d¢tisi(xu ￿ ￿l¢Wth¢ ad¥vitiU of the
Chwity.
R¢vl¢w of FMiuYt D¢ve￿p￿t￿lI
The charity has ￿ntin￿d ¢0 Its regufllr￿iViti￿￿ indudir* (x8anisin8s0ci￿ ¢v¢nts,8atherin￿ and seminfjrs for the
Kurdith tommut)ity includin8 ¢ekbwJuth of tulttwal ￿ religicw festiv•ls in fitrthermg obJKts forpublic bMefii.The day.10.dJ)'
runnin8 ¢0s1s of the or80ni￿110n has be￿ k¢w absc4trte minim￿. All of Ihe *Thks of th¢ Ch8rii).ha￿ b¢ett und¢rt¥ken by Ili¢
Jsiees and othe¥ volun￿y$ ¢(8t.Incomin8 ye4rtow•rds re5tridrd aaiwty wer¢ w 8ood Chwty h
rw)rJed a totsi suyplus of£21,761 Ye*ert￿ 31 De<¢mbcr2020.
Durin8 the yeBf. trus¢e¢5 undertth majcrW￿k pnw rebxbiskn14ThJ S￿1 Ln totsl £15,301.
INTh¢n pi4tthkn8 (Vll xtiviiies th¢truJ*u ¢lMk8ide￿Ith¢ ChrriryCffibnissiffl¥ ￿ld0￿ce4￿ wblie btt*fiL
Rtsults
The results ￿ th¢ p¢riod Mt set our aj 5 To I l.
Dlyectors ¢ry¥¢VI
All dir¢£iors ofthe company wt a1soiru5l￿ of th tkniry I￿1 Ih¢r¢ *¢TK¥ ¢ts fotiow1￿WCre Iruste¢s of the compafty
durin8 the wtholt rm￿¢181 pcri(Kl-
Mr Ferman SuJev8Tri
Mr Ali Omar
Mr Gaffor Sadtq Omer
Mr Karwan LalifRa
P•38 2

FOR ThEYEAR ENDEDJI DECEMBD112020 (e••L)
Report•lTrwtw (eoDL)
Major Rtskg
tisks twlarty at thEir meetiD8s oDd have ￿t iilrntifiol w mo1)rrukn ts) clwttsbk o)waoyl¥,
Rupouibllltlm of Trust
Accept￿lAc&%￿lltsIlllg PMlitx}FRS 101
#dj fmaTJGial7¢trThltithw¢•trtruDd&iTViEwDfth¢ * Ufth•￿￿¥s oftheCh&lty ofthein¢omi
T¢mtyceJ and ￿11¢￿011 ofTUOUrn ofthe Ctiwiiy for t￿perIOd. En yepwing these Flnattclal StBiement¥, the
Tru$te¢s or¢ requiTtd *:
selert sultybkaLxxMmtywlkleg ond 4¥tythw
dis¢losa and explaittd tn th¢ fitwKial
the Charfty will coniinue in opuatioiL
the fvDMYC?aJ royitson ofthc cl￿]1￿]¢ wmr•Dy and kn eJ*ble than W ULw2reth• the fittatt¢ial
eompty with the CoTrp8DIesAL12￿6.thta￿ItI￿Acl2O5I afidtht Cknxty (Aewunts and Reporu)
ofthe thari&ble axlhrJKe for lakin8Ttwnable S14￿ forthe preven￿Oll ddrx"¢ion of fTJ))d )nd
oth¢t inE8ulariti¢&
¥lute￿¢￿I$.
Apprml
DllcuSpJnvJbr.

INDEPENDErrt EXAMINERS REIPORT
TO THE TRUSTELS OF
ILlm￿ED BY CUARAfiiTE)
*OftP•8e$5to 11.
that an awjii is not nWiT¢d for this year wJ(kr section 14412) of thB Clwities A¢t 2011 (the 2011 Act>
and Ind¢Fud¢￿ txami￿l￿n is n¢¢ded. li ks my r¢4wibility to..
. ¢xamine the awjunts sK¢ion 145 of 2011 A
". to fc+llow the ¢knryJ in th¢Crt¥*ral Dirediom glwi by thè CIMTity Commls5ion
under sedion 145{SXb) of the 2011 Act aThl
- fo th wt*ther wticul•r m&tt¢rs haK ¢ottK ts) w •lt¢ntio
My examinination eWrI￿ In wlth DIr¢¢t1￿ gi￿ by the Ch6rfty
Comrnission. An exam1r￿10￿ im¢lud# a r¢vi¢w ot the ¥couThtin8 by the cbority and
rnrArison of the ¥Munts ryu¢nled wlth Yxonl& It ￿90 in¢lth ¢on$id##ion of w unusual
)lems or (tiycjoswm irj seekiTrg exPl*￿10m you as mlstees ¢on¢ernlftg any yuth
matten. Tr Pr￿Ed￿l￿ )thdErtsktn do M wide 811 the ¢vldBnc¢ th•t would be Ttqulred in •) audiL
constq)J¢nlty no oplnion h 86ven Js io whetru tr¢ ateounts wsent & ITue and f*1￿ view ond the
keep accotsntirt8 reclxds in I￿rd￿￿e with Sett￿￿ 380 of the Compini# Act 2006 and
tion 130 of the Ch3rilies Aet 2011; and
Ir*PTewe wthlch ll￿01d with th¢ a¢¢owrtlng ffcord5 8TKI cl￿PIY wlth the a¢eAxuttioq
Ye4uiTtme)M ofth¢ 2011 Ad: h8w¢ not be￿ rner or
S￿A
SONIA CVPTA
ALLENBY ACCOUNTANTS
CharieredAtto¥nthts
35 Sweduoft Lpn¢
Hillin8don
UBIO 9LE
Datr &9
/.,/&oai

NAWRACY CUI.TtIRAI, CEKfRE (REGisfERED NiIMBER: 073551351
ILl4ItTED BY GITAK4TrUEEI
STATEm￿T OF FINANCIAL ACTP+qTIES
FOR TUE YEARE.*DED 31 DECEMBER 2020
RESTRICTED UNRLSTRicfED
Fi,FiDS
FVThDS
TOTAL FUNIVS
2020
TOTAL FVNDS
20
INCOME RESOURCES
Volunl*ry illcome:
Donations wfts
710
26.325
27,035
,213
710
26J2J
27WJ5
23313
RESOIIRCES EXPKNDED
ChwrftAbl• •Xp¢n￿..
Dittei Lhariiabl¢ ¢xp¢ndi¢uie
Mw)ug¢trtht admini*rnli¢ai
ofthe eharity
5274
5.274
4,437
Tot￿ resou￿￿ ¢¥p¢tyd¢d
5.274
74
N¢t Ix¢omlni Ttsour¢¢s before trallgf¢r
710
21,761
776
Tran￿ert bttwten fun
Other rt¢oKttl¥d Ind lou
Ne¢ movement In
710
21.051
21.761
18,776
Rtcontlll8ibon of fyndi
lunds bTOU8hi fonwd
$06.545
361
488130
Tothl urrkd forr4ard
21.412
328h67
71￿re wtle re¢wiS¢dsu￿j￿ ty d¢fiul fw20J9(thr lkn th￿in¢J￿1 iti thtswenxrt ofFmwJciaF Auivrrits
ThE on P•Be¥ 7 to I I f(￿ port of thc* fAKuI¥.
Py5

NAWIL4CY CULTURAL cEr￿RE (REGISTERED NiJMBER: 07355735)
(LIMITED BY GuARA￿EEl
BALANCE SHEET
AS AT 31 DECEMBER 21120
Notes
2020
2019
FIXED ASSETS
Tangible Assets
589,0
573,682
CURREpif ASSETS
C18h at bwjk and in hand
11,030
11,730
11.030
585.412
CREDITORS: Amoxnts f•lllAi d1• Within one yt*r.-
Crditors
{71.4(ts)
{78,505)
CREDITORS: amounts failin8 du¢aft¢r one year:.
Charitable
{71.41￿)
178,5051
IYET CURRENT ASSETSIILIABILITIESI
1611,376}
166,7751
TOTAL NET ASSETS
328.667
506.906
RF.PRF_SF.NTF.D BY
Totsl Fund%. Brought Forward
Net Rcsourccs In Year
506.906
21.761
488,830
18.076
RESERVES CARRIED FORWARD
528.667
506.906
Th¢ ¢h8riry is entsiled io ¢xempiion from 8udit under Section 477 of the Comp£nies A¢t 2006 for the year ¢nd¢d 31 D¢¢ember
2020.
The m¢mber5 hAve not requiT¢d the chArithbl¢ ¢ompan)" to obtwn an wditof 11$ financtal statements for theycar cnded 31 D¢¢ember
2020 in accordunce with Section 476 of the Companies A¢¢ 211￿.
The trustees {direc¢ors} a¢ktN)wl¢d8¢ ￿1r r¢sFonsibiliiies for..
(al cnsuFJng(hai thc wvjpwny kr¢ps rc¢{￿ whl¢h ¢omply wlth Jafj 387 ufth¢ Coiiipttnl¢J AL¢
{bl preparing financid stslcments which wve a and fair view of the of affairs of the chwiiable ¢omppny 0$ at th¢ ¢nd of
¢ath financial year and of its $urplus or dcficii for finall¢iaJ yegr in acwrd8n¢e with the requirements ofscciion 394 and 395
nd whi¢h otherwi$¢ ¢omply with r¢qLuremcrts of the Compattics Ad 2006 rel￿]ng to financial $iatement& BO far as appli¢abl¢
to the Charithbl¢ wmpany.
These fjnanciat Statemtnts havc been PTtpmJ in a¢conJance with the special provisions of Parf IS of the Comp8nie5 Act 2006
relating to small ¢haril8ble ¢omkMnies 're8lln¢' 8rMI in ￿cOrdanCe with the Financi￿ Rep)rting Siartdltrd for Smaller EntitLCS
(effective Aprtl 20081.
The financial statcm¢nts We￿ aPpr(j￿dbY the tr￿leeS of the Charity on 29/09/ 2021 and were SgF*dby:
BEHALF OF THE BOARD
TTitstee
The at(8d*d NO(￿ f¢m an intewj wt ofthtse xcoun
Pa8e 6

NAWRACY CULTURAL CEpffliE￿GlSTERED NUMBER: 07355735)
(LIMITED BY CUARANTEE)
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 DECEMBER 2020
ACCOUNTING POLICILS
Basis of pre￿ration of #eeounts
The financial $thi¢m¢nts have been prepared on the ac￿￿5 b&sis under the historical cost convention and irt
ordance with Financial Reporting Standard FRS 102, the Acwwiting and Reporting by Charities
Ststemeni of Re¢ommended Prdctice ISORP) 2005, The Charities (Accounts and Reports) Regulglions 2008,
the Accounting Stsndards and in ac¢ordane¢ with Charities Act 2011. SORP (FRS 102). The principal
frtounting policies adopted in the preparation of the fmancial ststements are as follows..
1.2 Golnff concern
The TnLstees consider that there are no matertal uncerknties about the tNsVs ability to ￿￿tIrtUe as a going ¢onc¢m.
IJ Eff¢¢t of FRS 102
No adjustments were required to ¢omp8Wtve $th¢￿ent of finan¢tal 4¢lTYity4nd rewv¢s. No restatement has
bten perroryn￿.
1.4 ID¢omlDg regources
Volunlttry Income
Income frorn donat10Tr5 and including capitsl 8ranl4 1$ included in incoming resources when the9e are
receivable, except a5 follow5..
When donors spe¢ify don￿￿On$ and grants 8tven to the charity must be used in firture accounting
periods. the incorne is deferred uniil those periods.
When donors impose conditions which have been to be fijlfilled before the ¢h8rÉty be¢omes eDlitl¢d
to use such income, the income is deftrred ond not included in incoming ￿Qu￿¢S until pre-
conditions for use have been m¢L
When donor5 $p#ify that donations and grants, including capital grants, are for particular restricted purposes,
which do not amount lo pre-¢ondiiions regardiftg entitlemeftts. irt¢ome 15 1ftclud￿ in in¢omin8 resources of
restricted ￿ndS when receivable.
1.5 Resources expended
Resources expended are i￿C￿ded tn the Ststement of Financial Activities on an accruals basis,
it)clysive of any VAT whi¢h ¢annot b¢ re¢ov¢red.Expd¢Ddiliir¢ Is ¢lassified under the principal
categories of Charitable and costs of generating fvnds rather than the types of expense in order to
provide more u5efyl Énfomation to U5er5 of the financial statemeDts.
Direct A5Si5tance- Expenditure on the direct objectives of the company.
Adrnini5tration- Expenditure on the administration of the Charity this inrlud¢s general fi￿ctIonS
such as generel nmnagemeni. admtllistration and accounttng Costs are allocated acniss the cthgories
of charitba]e expenditure. governance costs and the costs of generating fi￿d5.
Page 7

NAWRACY CULTURAL CENTRE(REGISTERED NUMBER: 07355735)
(LIMITED BY GUARANTEE)
NOTES TO THE FINANCIAL ￿ATEmENTs
FOR THE YEAR ENDED 31 DECEMBER 2020 (tonL.)
1.6 co￿￿nY Ststys
The company is limited by gurantrss and hence h&8 no 5hwe capitsl. The PUTpose of the charity is to ￿1Van¢t
the Culthral ¢duc*ioffj ond promote religiou5 a¢tivites.
1.7 Debtorg:
Debtors are measured at tsunwti￿ price and are r¢¢overable within one yw.
1.8 C*$h ¢qnlv*lents:
C&%h is representrA by cath in hand and deposits with the fin•ft¢ial institutions rwbAle without p￿￿ty ott ttotKÈ.
1.9 Fund StTUCture Polley
Restricted fvrtds can only be used for particulor PUTP)se5 within the objects of th¢ Clwity. end restridion
ari%s when specified by the donor or when funds are rniwj for particular r¢stricted purposes ihi$ year
Restricied funds constitute donations received from Community manb¢rs for the pur¢has¢ of18nd and
building less relaied eX￿nditure. all other funds are uftr¢strALx&I which can be used in ac￿rdantt wrth the
Charitbai objective5 Ut the discretion of the tru51¢es.
1.10 Credltors Ind Chari¢#bl¢ Loans:
Creditors and Charithbl¢ loans we measured at trnnwtion price.
1.1 I Property:
Laftd and building v&luH art showTh sepaT&tely ￿ both ore rectssttiwl at cosL
PTopeTty w&s purchased on 0210312018 with fteehold title.
Durin8 ihe year major T¢fvrbishmeni work wa5 ¢•rrie￿ out and is r¢¢o8nised at cost in balence sheeL
Land v8lu¢ does not depreciate. ATLd buildin8 is not depr¢¢iated yrf due to major refud)ishm¢nt work was undertakert to
maintain the property.Tru$tees expects very long usefiJl economic life of land and buildin8 tosether.
How¢v¢r. trustees will feview th¢ depreciation poli¢y every year consid¢rin8
the usage and wear tear and repair and renovation plans in place.
Note 6 shows the op¢rnin8 &nd closing WFn8 valu¢ of th¢ property.
Page 8

NAWRACY CULTURAL CENTRE
NOTES TO THE FINANCIAL STATEMENTS
YEAR ENDED 31 DECEMBER 202
2 Dirert ChArltsbl¢ Expendi¢ure
Res¢ricttyJ
FuDds
Unrtstrl¢t¢d
Funds
TOTAL
TOTAL
Cost of generattng voluntary income
3 ManoR¢mettt •ttd AdmlDl$tr*tlon ofthe Cb*rlty
Administraiion fees
Bank charges and interest
Accountancy fees
Premises Costs
Adv¢rtising & promotion
Professional fees
Sundry expenses
83
900
4278
70
1.500
3.507
4278
13
13
SJ74
5374
5,137
4 Taxatlon
The Companys aclivities charitsble in nawre and 8$ such the trustees believe no ¢harge to UK
Corporation tax arises because Éi IS ¢x¢mpt from Corporation tax (2020- Nil)
3 Ethploye
The charitsble company had no employees during the period other than the trustees. None of th¢ trustees
received any remuneraticffi or eXpeTh￿ reimburesed durin8 the period.
P￿9

NAWRACY CULTURAL CENTRE
NOTES TO THE FINANCIAL STATEME
YEAR ENDED 31 DECEMBER 21)20
TANGIBLE FIXED ASSETS
LAND
TOTAL
COST
Land value as at l January 2020
Building value as at 01 January 2020
Additions to the building * cost
328.993
244,689
15,361
328,993
244,689
15,361
Ai 3 1st December 2020
589,043
589,043
DEPRECIATION
At l January 2020
Charge for year
Eliminiation on disposal
At 3 1st December 2020
At 3 1st De¢ember 2020
589,043
589,043
At 31st December 2019
373.682
573.682
CREDITORS: amoullt falllng due wlthlfj ODe yur
202
019
Bartk ¢h8rges
Ac¢rua15 and other crediiors
2,400
800
Charitbal¢ Loans
69.000
77,000
71.406
77.806
CREDITORS: *mount f•lli#g due •fter ont year
2019
Charitba]e Loans
Page 10

NAWRACY CULTURAL CENTRE
NOTES TO THE FINANCIAL STATEME
YEAR ENDED 31 DECEMBER 2020
9 RECONCILIATION OF MOVEMENf IN FUNDS
(RESTRICTED AND uf4REsfRicfED FUNDS)
1120
Opening Unrestrictcd. Funds ai Olst January 2020
o￿ning restri¢*d' Funds at Olst JaTruary 2020
SurplusllDeficiil for the period
361
5(t6.545
21.761
2,886
485,944
18.076
Closing Total Funds at 313t Decemb¢r2020
528th67
5D6.906
10 SHARE CAPITAL
Th¢ ch8rithbl¢ company has rKJ sh&e wital and 1$ limited by guaTaDiee.
11 CONTROL
The charitable company is limityj by 8uorant¢e and is therefore ulittn*ty contmlled by the members as a body.
Pagell