REGisfERED CHARrrY NUMBER: 1199329
ESAND
S.D. Garner + Co Limitrd
92 Station lane
HornchuTch
IiM126LX

NT
NTS
FOR TH
31S
Report •f ¢ktTr•th
I to 3
Imdepe•dettt EtswkntT'I Ilyrt
Sta¢¢JDuJ¢ of FI￿nd*1 Attlwl
Bthkn￿¢ 51w
Not¢s ts the Flwalleknl Sl*to•e#ts
7 to 10
De¢alled Sl•te•ettt gf Flm•md•l Aetlvltle•
11 to 12

ICMC BEXLE
The trusttts present their wrt with the financial stalen￿￿ of the elwity for the year eThled 31st March 2024. The trusttts
have adopted the provÉsions of A¢wuntit18 and ReKKbrting by ChariLte5: Ststanent of Rewmmendgj Prxti¢e applicable to
charities preparÉn8 their acwunts in accordance with the Finartiai Rwting Stsndard applI￿k in the UK aThl Republi¢ of
Ireland {FRS 1021 l¢ffrMive l January 20191.
owEcrivES AND ACTIVITIFS
ObJ¢rtlvu **d
ICMG Bexley is 8 ¢lwity dedicat•J to servin8 lo￿1 Lty)munitie8 prirn8rily the Turkish ￿pUlatiOn. We focus on
educationol. ¢ultur41, ffli8iOUS 4nd so¢i81 deVelOp￿tht to in*grnfion and encourn8¢ active citizenship. We also
suppjrt vuin¢rable 8mUF6 thmu8h y)eid h￿1t￿lan ai4L resFrtMsiblc citizetthip.
The followin8 aetivitL¢S wrf¢c8Tried out durin8 the WKKI:
- W¢ekend classes for¢hildrM a8ed 7 to 13
. Trlps to historical sito landrn￿ and Mus￿￿ (￿youth f*￿117
. Youth ¢wnp5 in natw¢ for and
- EdutatiQTt4J pro8ram5 for athilts
- WorkJlJops for Adults on Positiv¢ P¥r¢ntin8 Tthique4 Child Deve]opmtnL *Ld PsydKJ]08i¢Jl W¢ll.Being
. SeminArs for Children Yoth on Fu¢w¢ Carffr Paths
- Creativ¢ cr￿ Workshop for Kids
- Frf￿y Prnyer S¢rvic¢s
- Weekly Gath¢rio8s for Woments Community Ev¢nts
- Ytjuth Prnj¥*l4 in¢ludin8 re8ulJr Fo￿bAll M•tdKs for I￿1 Youth
Publlc b¢nefft
The truste¢s h*v¢ ¢on8idw￿l the C7thtlty comrnimic￿￿ 8uidwn¢¢ on pybli¢ bM¢fiE indudin8 guldoD¢¢ 'publi
benefit'.runnin8 a chority IPB2)'. As 4 ch¥ity Mt 8re ask￿1 by th¢ Charity Comrni55ion to ¢onsider Hl)ether ow •rtiviti¢s
providt'wblit bet*fiL'
The Mana8ement Cc*nrnitte¢ (TN#eesl has o)nsidertd this mth, in acwrdan¢e i*ith the latest guidance. It belicve5 our
s¢rvi¢¢s do provide a public benefit at)d thercffft juAify our charitsbl¢ satys. W¢ ￿ve wMpli￿ with t1￿ duty in
sKtion17{5) of the 2011 Charities Aet to have du¢ re8¥rd to guidance published by the Chartty Con￿lS$10n and in planning
future activitiN.
Voluntee
Volunteer5 ar¢ 8 vÉtsl asset to ow L¥mmuntty inili&ive& 5ervice5. Th¢y play i key rol¢ in nwly all artivitie& and many
individuals ond famili¢5 generou51y dedic￿¢ theirtime to scrve &% volunteer5.

ICMC B
THE TRU
31ST M
ACHIEVEMENT AND PERFORMANCE
CbsritAble Aetlvltks
Over the p&st year. we hve m*le si8ntfi¥irt wogress in etib*￿ing conynunity #TKI providing educational
Op￿rnm]U¢5 for all ws.
Our week•)d xhool hws s￿£¢$$￿IlY suwK)rled arOW￿ 94 ¢hibdrtN enri¢hin8 their le4rnittg ¢xptrie4we through various
￿￿tIOnal &Yogrdms.
We have h05ted seminars for children and youth fo¢usa on firtUT¢ r¢re¢r paths ard a¢&demic d¢velopm¢nL equipping them
wilh valuable insights inw different professions and the skills rtyuired for succtts. Thes¢ inleradive Sessions encourage
students to explore their int¢r¢Ms and aspir&tions while uy8ir8 with 8uert spe4ku5 and wti¢ipatinB in handwn activitL¢5.
Ow youth initiative& in¢ludin8 regultr footbdl match* fo*r lewM￿ d¢v¢l¢)rn and healthy livin8, whil¢
alx) boostin8 s¢lf4onfidrntt and selfweste•n.
We have organized numerous eduoionai outin8S to historical Sit￿ MUsew￿ n•knw¢ ￿￿ry¢S. enrichin8 PQrticSp&n
understandln8 of our community's rich ¢ulttwal herits8e and inspirin8 curiosity.
For adul￿ we have provided edUc￿lOn and l•nsw dev¢lopr*rt irttwitiort. along with
semijws ON p8rentin8 skills and career guid8￿¢.
Our ¢r•ft wKJrk5hops hve also ￿e￿IlVity wTh)n8 owyoung Fwticipmts.
Through these initiatives w¢ have ￿ta￿d a thrivinB Ind wxytive thvIrot￿t that le4rnin& Mr114>eing, and
o)mmunity cohesion.
FINANCIAL REVIEW
Flm*ncl*l ￿0￿￿On
The sthtaneni of financhal Ktivilies intt)me of £1 IOJ68 12023: £1&9111 for the with net out8oin8 of
rwurces of £72.92112023: £15,588) resultin8 in ne¢ income of £37.447 {2023.. £3,323).
The twstees wnsider th¢ r¢xrv¢5 ￿ld are suffieient to &*ttinu¢ the tharities ￿1vIty in fvture ye4rs. Th¢ tru*s
activ¢ly review the major ri5k5 which the chAriry on i regylw t•Sis and hwe also exam1T￿d othet tsperntion￿ risk$
favd by the ¢l￿rity. The trustees confirm thai thry hve ethlIsh￿ syst¢m$ ￿ rnitigate the si8nifLLYnt risks.
The trustees ¢on$idtt the chvity w be a 8oin8
STRUCTURE, GOVERNANCE AND MANAGEMENT
GovernlDi dotywtnt
The eh&rity is a Charithble Incorwrnted (kganisation and wswed the commisgion on 16 June 2022.
Ow Govtrnin8 Do¢ument 1$ our McrTh)Tandum 2nd Arti¢la of A$5wÉation.
Refrnffitw¢Tht And *ppolDtme#t of •¢v lrnste
The Management Conjmitttt of the charity, ¥thich conyt5e5 all the trusteffj has the lo app)int ITUJtea at any time.
All trust¢¢s retire at the Annual Gen￿1 Meding and are eligible for reaele¢tiork
Deelilon m*klng
The chority truste￿ &rt res￿￿L11bI¢ %)r the c￿￿trOl •Jd of the d￿rIty. Th? truytee5 8ive their time ff¢¢ly
and receive tK) remuneration or other financial benefiL4. The MI￿¢¢$ mea rt8uJarty to Tevi•% proBr¢ss of the Ctwity and
ke any decisions in ￿]￿lOn to the aaivities provided by th¢ thwity.

ICM
RE
RT
STEES
AR
STRUCTURE. COVERNANCE AND MANAGEMENT
#nd trmlnlng of tnuttts
Follown8 appointsn¢nL new trustces wll bc intrimtuc￿ to their new role aThJ are req￿#•j ￿ f*niliari* themselves with
contents of th¢ trusts wnrritillion attd to thc p)licies and Trocethuu by the charity. Thcy are aE50 requested to read J
number of publi¢•tion$ from the Charity Commission to enswe tha¢ they are aware of the sw of their re5tKmsibilities
wjder the Charities ACL
The new trustres ￿11 work ¢xistinB Irwtee AssiAin8 on partKul•r #¢*ivitiu and proje¢ts run by the clwÉty. OtK
confideni they will then be giv¢n thetssk of le&din8 an ￿1vIty or prnjeA &4 t￿.
Th¢ trustees have a duty to identify •nd r¢vi¢w the risks to *thT¢h the thrity 15 ¢XEX)svJ and to ¢nsure •pprowiot¢ &￿trOl$
are in place to provide re4y)nJble assurarKe ￿81n￿ fraud and error.
Thr truste¢5 have Assessal the major risks the chwity is exBisal aThJ vt that sy$tems are in pla¢¢ to
miii8ate exwsur¢ to those risks. AFgropriate controls in pla(tlo rnitiBat¢ firwKial risks aThl overseen by tnJste¢s.
REFERENCE AND ADMINISTRATIVE DYfAILS
Rel1#•r￿ Ch•rlty iuThb¢r
1199329
Prl•dp*l *ddYo
Un5t 19 Rivcr5ide s￿)pPing Certh
I￿13 Town Squwr¢
Erith
Kent
DA8 IRE
Mr S Karas
Mr G Kussan
Mr L Cerrah
Mr E L Cdinkaya
Apwoyed by order of tht iK)ard of truA¢e5 ry129th Jarnwry 2025 and siwxd on its behalf by:
Mr S KaTasan- Trusttt

INE
Indép¢•dMt tumiaer's r•port to tt4s¢¢H of ICMC Bexlry
I report ts) the ¢harity trysLe¢s on my examitiation of the accounts of ICMG Bexley (the Tr￿￿) for the year ended
31st March 2024.
RespO￿lbA￿tIeJ ofreport
A$ the ¢lwity tru5tee5 of the Trust you are le for the prepmtion of the •¢o)unts in ac0)rd￿ with the
requirements of th¢ Charities Act 2011 {kn Act.).
I report respect of my ¢xomination of ihe Trusts a¢eounts ￿rIed INJI under Stttion 145 of the Ad and in CaTrying out my
exwnination I have followed ail &pplithl¢ Dirtsxions given C1wit)' Commission under Section 145{5Xbl of the Act.
I havc completed my examination. I confirm that ￿ ma￿1&1 hthv¢ ¢¥>rn¢ to rny tttention in COnt￿¢t10n with the
¢xaminhtion giving me cause to believ¢ in any Mthr]￿ rewL
accounting Ytcord% wet¢ wi kept in res￿ of the TnL# 43 rwired by Sectk)n 130of the Aei or
the occounLs (b not aco)rd with trvjse records.. or
the accounts do Th)t comply with th¢ applicabl¢ requiranthts o)r*erning the form and Con￿￿¢ of ace4)unts set out irt
the Charities IAc¢owits and Rep)Tts} Re8ulaDon$ 2008 other than any requirenw the &¢wunts live * true and
fair view which is not a matter eA>nsidaed as of In ¢xarnir4tion.
I have Th) COn¢XrnS 8TKI have ¢crfhe a¢rnss tb) other in COrKK￿ the exarnin*ion to attention should be
drawn irt this r¢FDrt in orderto enable a proper Un(￿￿￿]ng of the to b¢ re*b￿.
J4mal Arshad. FCCA
S.D. Grn + Co Limited
Chartered Certifie•J Acxountants
92 Station L4n¢
Horn¢hur¢h
Esgex
RM12 6LX
2￿h janu￿ 2025

MENTOF
AP4CIAL
DED
isr
CH 2024
Period
1616122
Yetr ended
3113124
UnrewiL*d
ffijnd
3113ll3
Totsl
INCOME AND ENDOWMENTS FROM
DoTwtions and leycies
IIOJ68
18.911
EXPENDITURE ON
Chxrtt•bk *etfvltl¢s
Chkrit4ble A￿1vite5
31.528
9306
41 J93
6J82
Tot*1
72,921
15.588
NET INCOME
37.447
3J23
RECONCILIATION OF FUNDS
Total funds brou8ht forward
3.323
TOTAL FUNDS CARRIED FORWARD
40.770
3J23
P￿5

BAIANCE SHEET
1ST MARCH 2024
2024
Unrestri¢ted
fijnd
2023
Total
FIXED ASSETS
Tangible ￿ets
38253
CURRENT A&8ETS
Debtors
Cash at bhnk
19.0
4223
19217
4223
CREDITOILS
Ankyunts failing due wthin or* yev
116.7th)1
19(M)}
NET CiJRRENT ASSETS
2J17
3.323
TOTAL ASSETS LESS CURRENr
LIABILITIES
40,770
3J23
NET ￿E15
40.770
3J23
FUNDS
UnT¢strict¢d Ilmd$
40.770
3.323
TOTAL FUNDS
40.770
3J23
The flnancial statem￿ty w¢r¢ a&yrov•l by ￿ B(wd of Trutys Wmt •ydKJriJed for isyx on 29th Januory 2025 were
SI￿￿ on its behalf by:
Mr S Kar&wi. Trurt¢e
PageAb

TO THE FINANCIAL
REND
ACCOUNTINC POLICIES
Is of pr¢p•rkng the IID*•d*l rt*ttmemts
Th¢ fitwi¢l￿ statements of the chariry. which is a wblie E¢nefit enttty under FRS 101 have tten prepared in
)rdance with the Chariii¢s SORP {FRS 102) 'Accounling and RqKJning by Charities.. Statement of
liecommefid¢d Pr&#i¢e applithle kn chaNti¢S Fff¢PaTing their accourts in accordatKe with t]* Fin4tt¢io1 R¢w)rtinB
Stand￿d applic&ble in the UK and R¢pybli¢ of IrelaThJ IFRS 1021 leffttyive l janu￿ 20191.. FinwKiai Rep)rting
Stsndard 102 The FitwJc1￿ Reporting Sthndard a￿11¢$ble in th¢ UK ond Republic of Ireland and the Charities Act
2011. Th¢ financlal statem￿lS have teen pr4w¢d wthrthe historica] costconventw)n.
In¢om¢
All ineomE is r¢cognised in the Statemem of Fin*LCi21 Arttvitiu oKe the charity entitlematt to th¢ fimd& it 15
prohble th¥t th¢ inwme will be receivul thd th¢ be Meas￿ reliabty.
Ewndltsre
Liabilities are rtwgttised #s ex￿[￿j11￿¢ as soon as there is a le8aJ LY eonAruthiv¢ obli8atiOfb committing the charity
io that expenditure. it is probabl¢ a transfer of economic benefits wryll ￿ requir•J in settlemern and the amount
of the obli8ation can b¢ reli8bly. Exwidtlure is accoun￿1 for on an ￿elU818 basi$ and h*$ been classifEed
under headings that a88￿￿¢ ￿1 cost relattd to the tategryy. Where coms be dir¢¢dy attributed to Iiwticular
h¢odin85 they have been dli)c&ttd to ¥¢ivives on a bftsis consiAent with the use of rejoy￿.
TIn￿ble tsed
tkpTe¢iation is provided at the followin8 annual rates In WTile off eath assetover Its estirM*d usethl life.
T*i*tlo
The ¢haTity is exanpt from thx on ity¢lJ4Tithbk rdiviti
Unr¢5tric¢¢d fvnds be uaed in AC￿rd￿￿ with the dwitable objective5 * the discretion of trustees.
Restric*d only p9rticular reAricttyJ pwp)ses ￿thin the objects of the thwity. R¢ytridion$
arise when specifled by th¢ dcrfh)r or when fijnds are raised for particultr re5trictd purrmxes.
Further ¢xplon*ion of the notw¢ pwp)se of each tknd b In¢1￿ in tlK to th¢ fin￿￿181 gts*mfflts.
Hlre p￿Te￿•s* •nd le*ilnt comm1t￿llts
R¢n¢8ls paid under operating It￿ are ehvpl to the Ststern¢n¢ ofFinwKid Activities on a straight line bui$ over
period of the It￿.
trtÈnu¢d...

ESTO THE
tIR•ed
TRUSTEES. REMUNERATION AND BENEFITS
There were nts trusteeg renKllwation or (dher benefts for the year 31st M•rch 2024 rM)r for th¢ P¢Tiod ¢ThJed
31st March 2023.
There were ￿ trustte¢ expws rAid for th¢ year en&d 31st March 2024 nor for the period ended
3151 March 2023.
COMPARATIVES FOR THE STATEME￿ OF FINANCIAL AcfiviTILS
Unrestrieted
fvnd
INCOME AND ENDOWMENTS FROM
Don8t10￿ and l¢Baci¢s
18.911
EXPENDITURE ON
Ch*rltsble •rtlvl¢S
Chari¢Abl¢ aclivites
9206
6,382
T•tsl
15.588
NET INCOME
3.323
TOTAL FUNDS CARRIED FORWARD
3.323
TANGIBLE FIXED ASSET5
Fixwjres
and
fittin85
Short
Totals
COST
Additions
35,649
12,978
48,627
DEPRECIATION
Char8e for year
7.130
3244
IOJ74
NET BOOK VALUE
At 31# Marth 2024
28.519
9,734
38,253
At 31st M8rth 2023
ntinued...

ICM
BEXL
ANCIAL STATEMENIS- tontkn
DED3
DEBTORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
2024
2023
118
CREDITOILS: AMOUNTS FALLING DUE WITHIN ONE YEAR
2024
2023
Trade crediwrs
Other creditors
14,0
2,7
16,7(Kl
MOVEMENT IN FUNDS
Net
At
3113124
At 114123
infiu
UnrtstTkl¢d hAdi
G¢n¢rai fimd
3.323
37.447
40.770
TOTAL FUNDS
3.323
37.447
40.770
N¢t n￿Vement in W in¢ludtd in the gknve 8r¢ u follo￿.
IrKomin8 R¢ww¢es
Movement
in fvt¥lJ
Unreglrkted f•*di
IIOJ68
(71921)
37.447
TOTAL FVNDS
110.368
(719211
37,447
Net
At
3113Q3
in fvnds
Unrtttrkted hmdi
Gencral fill
3J23
3,323
TOTAL FUNDS
3 J23
3,323

MGBE
ST
MEN
2024
MOVEMENT IN FUNDS- t•n¢lnvd
Comparntiv¢ net mv¢M￿t in in th)v¢ are as folloK:
Iwrni￿ R￿￿[￿$ Movement
ID fimd5
Unrestrkted
G¢nera] fi]nd
18.911
115.588)
3 J23
TOTAL FUNDS
18,911
{15.588>
3.323
RELATED PARTY DISCLOSURES
During the y¢4T the charity rwxtved 4150 frr)m Mr S Ktras￿ wfv) is a truth. Thi5 a voluntary thn*ion.
Page 10

D STATEM
NT
ANCIAL A
Isr fvlARCH 2024
Period
1(I6122
Year end
3 l]3124
3113123
INCOME AND ENDOWMENTS
Donetions
IIOJ68
18.911
Ttyt•l rew•rtd
I IOJ68
18.911
EXPENDITURE
Cb•rftAble *ttlvldu
Clwitsbl¢ Artivities
Subcontractors
19.9)9
5,616
2,413
6.891
1.610
705
28,028
9.206
(Xher
Short le&qdbJld
7.130
Support tosts
Wages
Other operatirtg l¢•s¢s
Rhtes and waler
Li8ht heat
Telephone
Postsge ftrtd S￿l0ftery
WebsSte ¢xp¢n¥#
1.51KI
15,546
5,482
9.737
187
164
162
28,707
5.482
Flwance
Merchant fees
418
ber
Profession•1 fees
2.526
G¥Jv¢mTree
Accountancy and legal fee5
Fix¢w¢s 8TMI fltdn85
2.868
3,244
6.112
Page 11

TATEMENT OW FINAN
EYEA
EN
ARCH 21)24
Period
1616122
Ye8r¢nded
3113124
3113123
71921
15.588
Nrt Ineorne
37.447
3J23
This page (kxs partof the sthnllory fitiaTKial statane
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