SULEYMANIYE COMMUNITY ASSOCIATION
Reports and Accounts
For The Year Ended
31 March 2023
Ch8rlty Numb•r. 1174551

SULEYMANIYE COMMUNITY ASSOCIATION
Index
Page
Charity Information
Trustees, Annual Report
Independent Examiner's Report
Stat8ment of Financial Activities
Balance Sheet
Notes to the Accounts
8-11

Company Information
Trustees
Emre Acar (Chair)
Ahm8t Sik
Hasan Caner
Erdal Doganguzel
Charity Number
1174551
Registered Office
214 Kingsland Road
LONDON
E2 8AX

Trustees, Annual Report
Objectives and Activities
Al To advance the 8ducation,' a) To advance the education of thé public in the
subjects of English Language and Life In the UK. b) To advance the education of
the pupils attending regional schools by providing and assisling in the provision of
supplementary education, platr and materials. c) To assist in such ways as the
charity trustees think fil any charity in England whose aims include advancing
education of persons under the age of 25 years by developing their mental,
physical and moral capabiltiies through leisure time aclivilies.
Bl To advance community development., a) To further or benefit the residents of
England, wilhoul dlstinction of sex, sexual 0ri8ntalion, race or of political, or other
opinions by assoclating together the said residents and the local aulhorllles,
voluntary and other organisations In a common effort to advance education and lo
provid8 facilllles in the interests of social welfare for recreation and leisure time
occupation with the objective of improvlng the conditions of life for thé residents.
Prior to 181h May 2020 the objectives of the charity were the following..
To advance the education of the public in particular but not exclusively by..
(1) The provislon of classes In Turklsh language, tradition and culture and
supp16mentary classes In Maths, Science and English language for
school age children; and
12} The provSsion of English languag8 classes for adults.
Achlevements and Performance
Volunteers are an importanl resource in community work. This year our Charity
has achleved to reach over 1,000 Turkish speakin9 people in London and
surrounding cities. Thls helped us increase our nurrber of volunteers who then
helped us organise and conduct more charitable and fund-raising activities than
last year. Volunteers are involved in most of our communlly activllles arKI we
have now over 30 people regularly giving their time.
Financlal Revlew
Despllé spending over £20,000 on fixed assets, we have successfully increasèd our
bank balance. Our regular Food Fetes have also been a financial success,
contributing positively to our overall performance
The tru$t••s declAro that they have approved the tru8t¢*8' report above.
Slgned on behalf of the charity.
uste
Signature{sl
Full name{s}
ém ¥LE é)ithL
Hfis
PosFtlon leg Se¢rotary,
Chair, gtcl
P-d£ IEG
Date
ia

Independent Examiner's Report
Responsibllitles and basis of report
I report to the trustees on my examination of the accounts of the above charity
("the Trust") for the year ended 3110312023.
As the charity's trustees, you are responsible for the preparation of the accounts in
accordan￿ with the requirements of the Charities Act 2011 {"Ihe Act").
I report in respect of my examination of the Trust's accounts carried out under
section 145 of the 2011 Act and in carrying out my examination, I have followed all the
applicable Directions given by Ihe Charity Commission under section 145(51{b) of the
Act.
Independent examiner's statement
The charity's gross income exceeded £250,000 and l am qualified to undertake the
examination by being a qualified member of the Association of Chartered Certified
Accountants.
I have completed my examination. I confirm that no material matters have come to my
attention in connection with the examination which gives me cause to believe that in,
any material respect..
.the accounting records were not kept in accordance with section 130 of the Charities
Act., or
.the accounts did not accord with the accounting records,. or
.the accounts did not comply with the applicable requirements concerning the form and
ontent of accounts set out in the Charities (Accounts and Reports) Regulations 2008
other than any requirement that the accounls give a 'true and falr, view which is not a
matter considered as parl of an independent examination.
I have no concerns and have come across no other matters in connection with the
examination lo which attention should be drawn in this report in order to enable a proper
understandlng of the accounts to be reached.
Slgned:
Date..
1611012024
Name:
Kubila
Oz
alas
Relevant professional
qualification(s) or body:
Association of Chartered Certified Accountants
Address:
Unil 11,An
el Yard
34 Snells Park
London. N18 2FD

Statement of Financial Activities for the period 0110412022 - 3110312023
Suleymaniye Community Associatlon Charity No. 1174SSI
Unrè8trlctod
funds
Restrictèd
Income fundg
Endowmont
fund¥
Recomm*nded categorles by activity
Prior y8ar
funds
Total fLEnd8
Income
F01
F02
F03
F04
F05
In¢ome Hnd endowmen¢¥ Irom:
Ch8ril*b acllvllk
236 002
236 002
225 396
Qurb8nl Incom6
Olh9r
Total
Expendlture
ExpBndlture on:
Ch&rilable ￿11￿11•$
323 727
323 727
225 396
281298
281298
201 928
Quibani Exp8nS
Ckherlrodlng actriitiès axpèn$•s
15,052
305151
15.052
305 151
Total
201 928
Nat movemgnt In funds
Recon¢lllatlon of
funds..
Tot81 funds bought lorward
32,517
51,093
32,517
9,049
Total funds c8rrtèd ftjrward

Balance Sheet as at 3110312023
Suleyrnaniye ComMunltyA$5(riHlion Ch8rlly No. 1174551
UN08tiiCted
fund8
Re51rlcted
Enilowment
funds
Total thls
y•8r
Yotal IHst
ye8r
Flxed assets
Tanglble a$s•t#
F02
F03
F04
35.894
F05
22,830
(Not• 31
Total Ilx•d ass&ts
35.894
Current assets
Debtors
Cash at bank and In halld
Total eurr•ntassg1s
9.887
Credltors.. 8mount$ falllng due wlthln one
year
Netcurrenl 8$$0ts1(Ilablll¢lesJ
rot41 assets 198$ ¢urr•ntll*bllltleB
Crodltors: amounts falllng dug 4ftor on•
year
rot&l not assets orllobllltles
Funds of the Charlty
61,093
61,09?
32,617
Unr*$trl¢t•d funds
51,093
51,093
32,517
Total funds
51,093
The company w&s •ntltlèd to ¢xemptlon from •udltutMlgr$477 of lho Companles Act 2006 r•l8llng to $m411
comp8nlos.
Tho meml)ers hav8 not roqulr•d the comp4ny to obtaln an •udll In aeeordonc• wl¢h s•c¢lon 476 olth•
Companle$ Aet 2006.
The dlrectors tt¢knowledg• thelrrosponslblllNes for wmplylng wlth thè requlrem•nr5 of ¢ho Companlès Act
wlth r•spect io accounllftg r•eord$ and th• pfftpar4llon of &c¢ounts.
Th958 accounts have b••n preparèd In a¢cordanGe wlth ¢h8 provlslon8 appll¢8ble to small ¢ompanle8 $ubJ•cl
¢0 the $mall companl¢s r•girnfr and In 8¢¢0rdance wl(h FRS102 SORP.
Slgned by one or l¥woliustaesld*e¢ior5 cn behalf of 811 Ihe
Iiusleesldlreclor8
Dale ol
pproval
JlmTnl
Print Name

Note 1
Basls of preparation
Thls sec¢lon should be completed by811 ch8ri110s.
1.1 Basis of accountlng and ass•ssmènt of going concern
These ac¢oun15 have been prep81ed und8r Ihe historical cosl convention wilh Items r8cognl88d ai tosi or Iransaeiion value
unless othe￿1$e slated in the relevanl nolelsl lo these acceunts.
The a¢¢outh$ have been prepared In ac¢ordan¢e with..
the Slalemenl of Recommended Praclice.. Accounting and Reporting by Charllios preparSng Iheli ac¢ounl$ in ac¢ordanGe wbth
tho Financial Rgportlng Standard appllcabl& In the UK 8nd Republk of118land IFRS 1021188u&d on 16 July 2014 and wmh the
Ch*rllSes Aol 2011.
The charlly constllutes a publ1¢ beneffl enllly a$ deflned by FRS 102."
1.2 Golng concorn
The trustees ¢onslder Ib)t Ihere ore no m8leilal un¢grtoInll￿ aboul IhgTrvst'$ 8billly lo continue
as a go*g conc•m.
1.3 Change of ac¢ountlng poll¢y
Th? 8ccount¥ pr8senl a IN& and lalr vlew and no changes have bogn Tnod8 lo lh8 acccuntlng wlicie$.
1.4 Chang08 to aecountlng e8tlmate
No ch8nge8 10 a¢￿￿nI1￿g esllm81trs have occutr6d in the reportlng perEod13.46 FRS102 SORPI.
1.6 Maierlal prlor y￿r orrors
No M8leilal pilor year 0￿01 have been tdenllfl8d sn the raportlig perlcrfJ13.47 FRS102 SORPI.

Note 2
Accounting policies
2.1 Income
Recognition of incom•
Thése ar8 included In the Sialemenl of Financial Actlvilies ISOFAI when..
the charity bècomes enlitled to the resour￿$.,
11 i¥ more likely than not that the Iruslees will recèive thè r8$ourc88',
the monetary value can be tnea5uied with 5uffi¢ient reliability,
Offsettlng
There has b8en no offsetting ofasaols and liabilltles, or Income and èxponsè¥, unle8s requlred or
permitted by the FRS 102 SORP or FRS 102.
Grants and donatlon
Grants and donat￿n$ are only induded in the SOFA whan the gener81 inrA)m8 recognition Crlterfa
artr mat15.10 to 5,12 FRS102 SORPI,
Incomè from Interest,
royaltles and divbd•nds
This15 Included in the gccounls when re￿IptI5 probable and the amunt recéivable can be
msa¥urod r¢liobly.
Income from memberghlp
$ub8¢rlptbon&
Mernber6hip subscriptlon8 recelved in tha nature of & glft are racogni¥ed lfi Ihnal¢on8 and
Legacies.
2.2 Exp6ndlture and Llabllltiè$
Llablllty recognltlon
Llabllilles are recognised where11 Is more Ilkdy than not that there Is a legal or conslrucllve
oblig8tion committing thè charity to pay out r$6our¢e8 8nd the amount ¢llhe obli98hon can be
measured ￿1th rea80natye cgrt8inty.
GovornJn¢e and 8UPPOrt
CO8t8
Support ¢0815 havg been 8llocaled be￿e9n govern8n￿ cost8 8nd olh¢r Bupport. Gpvemanr
COS￿ comprise all cost5 involvlng putllc acwunlabllily of th¢ ¢harlly and il¥ etsmpllanrR with
re9ul8llon 8nd good pr8¢11¢¢.
Cr•dltor•
The charlly ha8 credltors whiGh ar¢ m¢asurad al settkmenl amounts le88 any trade discounts
8o•lc flnanelal In8trum&nt8
The chaflty a¢¢ountJ lar ba*c financlal Instrument8 on Inlllal recognltkjn aB per paragraph 10.7
FRS102 SORP. Subsequent ￿asurement Is 88 P8r par8groph$ 11.17 to 11,19, FRS102 SORP.
2.3 Agsetg
Tangible fixed a$set8 for
Usè by charlty
These are capilpllsed if they can be u8ed for morè than ona year. and cost al1ga$t £3QQ
They are valued 31 cost.
Thè dapreciation rates and methods u88d 8r• disdosed in nolo 14.
Debtors lincludlng trade deblors loBns ￿ceIvable) a￿ rneasured on inillal recognition al
$elllement amount after any Ir8de discounts or •mounl adv8nced by the charity, Subsequently,
they are me8$ured at the cash or other con8ld8ration expected io be receNed.
Debtor$

Note 3
Tangible fixed assets
3.1 Cost or valuatlon
L8a8ehold
Improvemonts
Fixturos, f￿￿n9¥ 8nd
equlpmÈnt
V¥hi¢los
Total
At the boginnlng oltho
year
Additlon8
1,128
1,300
20,202
22,630
12,434
8,735
21,169
Rovalualion8
Disposals
Trgnsf8rs'
Al end ol Iha yaar
13,562
10,035
20,202
43,799
3.2 0•pr•clAtlon and impairments
W*Ba816
SL
SLorRB
SLorRB
SLorRB
'Rats
10%
25%
20%
At beginning ol the yaar
Disposals
Depreelatlon
1,3$6
2.509
4,040
7,905
lrnpalrm¢nl
Transfers.
Al end ol the year
1,3S6
2,509
4,040
7,905
3.3 Net book value
book value al the
beglnning ol th8 yèar
Net book valuè at the
gnd olthe year
1,128
1,300
20,202
22,630
12,206
7,526
16,162
36.894