REGISTERED COMPANY NUMBER: 07181964 (England and Wales)
REGISTERED CHAIUTY NUMBER: 1134948
REPORT OF THE TRUSTEES AI¥D
AUDJTED FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
FOR
THE GREAT DIXTER CHARITABLE TRUST
(A COMPANY LIMITED BY GUARANTEE)
GMP Audit Ltd
82 High Str¢¢l
Tenterden
Kent
TN30 6JG
'AEtX2PKGQ'
2211012025
COMPANIES HOUSE
A05
#128

THE GREAT DIXTER CHARIT ABLE TRUST
CONTENTS OF THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
Page
Reference and AdministrAtive Details
Report of the Trustees
2 10 13
Report of the Independent Audltor
14 10 16
Statement of Finanelal Aetivllles
17 to 18
Statemen¢ ofFinancial Position
19 to 20
Sl8temenl of Cash Flowi
21
Noles to the Statement of Cash Flows
22
Noles to the Financi81 St8tements
23 to 42
Detalled Statement of Flnanelal Actlvltles
43 to 45

THE GREAT DIXTER CHARIT ABLE TRUST
REFERENCE AND ADMINISTRATIVE DETAILS
FOR THE YEAR EIYDED 31 MARCH 2025
TRUSTEES
Mr G Dyer Chairnian
Mr T Cooper
Ms O Eller
Mr J French
MrCWHind
MrGFHKing
Mr J S W Massey
Ms H K Nonnan
Mr J P Wolton
Mr P Garbe
Ms J A F Cligman
Dr A J C Cooper
Mr J C Ringerr
REGISTERED OFFICE
Greai Dixter House and Gardens
Northiam
Rye
East Sussex
England
TN316PH
REGISTERED COMPANY
NUMBER
07181964 (England and Wales)
REGISTERED CHARITY
NUMBER
1134948
AUDITOR
GMP Audit Ltd
82 HiEh Street
Tenierden
Kent
TN30 6JG
COMPANY SECRETARY
Carol Joughin
Page I

THE GREAT DIXTER CHAR]T ABLE TRUST
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 MARCH 2025
CHAIRMAN'S REVIEW OF THE YEAR
The Truslees of Great Dixter Charithble Trust (GDCT) are please to present their report and financial sthlements for the
riscal year ending March 2025.
Trustees
The Trusiees of the GDCT are listed on page l.
0￿ECTIVEs AND ACTIVITIES
Objeetives and Attlvlties
The GDCT was creaied lo ensure the conservation of the Great Dixler Estate and public access to the House and
Gardens as developed and mainlained by the fainily of Christopher Lloyd for almost l 00 years.
As a regjistered charity created io manage and conserve Greai Dixter House and Gardens for the benefit of the publi
our charitable objeclives are..
to conserve, mainiain, and enrich ihe Garden (in accordance with the long honoured gardening spirit
tradition of Christopher Lloyd) for the benefit of the general public.
io conserve, maintain and restore the House (in accordance with the conservation principles and policies applicable
thereto as a Grade I listed and registered heritage prop¢rty), and wher¢ applicable Great Dixler in ils entirety for the
benefil of the general public.
to manage the woodlands, meadows and fields in a rnanner thai encourages (heir bio-diversity and serves the
objeclives above.
to advance education tn honiculrure and bio-diversity, in particular but noi exclusively by conserving, cataloguing,
maintaining and making accessible lo the public the extensive archival material in the House relating lo the House, Ihe
Garden and the Lloyd family for its hcrilage and historical value.
The Trustees have complied with the duty in se¢tion 4 of the 2006 Acl, having due re8ard lo the Charity Commission
Guidance on public benefit.
STRATEGIC REPORT
Achievemenl and performance
Ai the time of writing, il is someiimes appropriate noi io ignore developments following the completion of the fiscal
year under review, in our case the year ending 31 March 2025. The experience of the f)rsi few months of fiscal
202512026 is strikingly Sirong and Positive, particularly given the challenges of the previous few years. Some of the
commentary which follows reflects this. In large measure, Dixter is thriving. The good weather for gardening during the
last few months has certainly helped. More importantly. all of the essential operations through much of fiscal
202412025 have been increasingly effective and reflect considerable excellence and harniony.
In 2024125, visitor number$ were slightly down on the previous year due mainly lo poor weather conditions. We
welcomed 47,01 O visitors lo the Gardens and House (-1,171 on the previous year). During this financial year the focus
was placed on the development of a five-year strategy for Great Dixter and a plan for the restOTalion and maintenance
of the house and historic buildings on the estate.
Page 2

THE GREAT DIXTER CHARITABLE TRUST
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 MARCH 2025
STRATEGIC REPORT (continued)
Strategy for the Greal Dixter Chorltable Trust (GDCT)
Vision
To be a place lo inspire and enlighten. Bringing together horticulture, education, ecology and
history. Mission
For 2025 to 2028 is to allow generaiions to gain a deeper understanding of horticulture and nalure. by creating
and combining an exceptional environmeni for biodiversity rich. susiainabl¢ horticulture, benefiling people, nature and
society.
Trustees and staff have worked iogether to highlight and prioritise key areas of work io be addressed over the next five
years. Areas for improvemeni included the need to-
Appoint addilional support io assist with financial management within the Trust
Develop a Fundraising Straiegy for the next 5 years.
Inlroduce an appraisal process throughout ihe organisation
Introduce departmental plans to ensure the strategy is adopted ihroughoul the organisalion
Encourage the developmenl of a culture of evaluation across all departments
Continue lo develop new susiainabiliiy iniliaiives ensuring that we meet our carbon reduction targets as required.
Restoration, Repairs and Malntenance
While Ihe House and estate buildings provide a wonderful environment for ihe work undertaken at Great Dixler they
are in themselves a big responsibility for the team in ternis of time and money lo repair and prolecl them. With ¢he
appointment of a new Estates and Facilities Manager, great strides have been made to focus more on ihe need lo make
sympaihelic and timely repairs 10 Ihe buildings on the esthte. Any plans for repairs io a Grade I listed building are
fraughi with potenlial piifalls in iernis of geiiing agreement among experts for the COTTect approach lo tske, chooqing
the mosl appropriate materials and finally gelling approval for any plans from th¢ Conservation Department, The
process for each building needing repairs can tske many months.
A project has commenced io record all repairs and building work undertaken at Dixler going right back lo 1910. A
Quinquennial Survey of the house, the first of ils kind to be undertaken al Great Dixier, has begun and will be
completed later in 2025. and will provide a dethiled priority list for work lo be undertaken on the house. By developing
a planned programme of work we should be able to ensure proaclive maintenance of the eslale and reduce the long
period of wailing time which CU￿entlY hamper the work being undertaken. This financial year we have becn able to
replace roll¢n windows in the garden cottagt where the scholars and students live. We have also commenced work to
address damage 10 the roof which will be ¢ompleied in 2025.
Great care has been taken of the 16th century floor boards this year. An enornlous commitment of ¢leaning* waxing and
polishing the boards which Lutyens reclaimed from the Elizabethan additions to the house {which he removed) and are
laid throughout the house, has commenced and will be ¢ompleied later in 2025, Volunteers have assisied the House and
Contents Manager witli eve￿hIng from book checking and dusting 10 making new lablecloihs, blackouis for items in
risk of sun damage and cliecking of textiles.
The House and Legacy
Access lo ihe House is now part of a combined entrance ticket. We hope this will encourage more people to step in and
enjoy the exceptional house and ils contents. "Garden Greeters" the newest band of volunteers, share inforn)ation,
welcome people to the house, discuss the pot displays and create a warni welcome lo the property,
Guides in the House share the hisiory of Great Dixler with visitors and music has now returned lo the Parlour as the
piano is played on a regular basis.
New exhibitions had been made available throughout the open season. Topics have included: Daisy Lloyd's lace making
equipmenl and examples of her work, clothes belonging lo Daisy Lloyd, a display of items from the Alan Caiger-smith
Collection of poiiery held ai Great Dixier and a display showing ihe process of restoring the Yeoman's Hall.
Page 3

THE GREAT DIXTER CHARITABLE TRUST
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 MARCH 2025
The House and Legacy (continued)
The Lutyens Tours raised £3,427. Ninety-seven people allended ihe tours this year.
The House is also a living space and welcomes community groups io visit for meetings. Il is a place for discussion,
debaie and learning as well as being a historically important property.
Many horticulturists and ecologists Stay during the warnier months, and 75 guesis stayed over ihis financial year.
The Garden
The garden has ¢ontinued to thrive despite the wettest spring on record. The weather l¢d to the unprccedenie41 decision
to cancel the spring 2024 plant falr much 10 the disappointment of visitors and staff. An extra summer plani fair was
held which was enjoyed by all. The autumn 2024 plant fair went ahead as usual.
The Garden has continued to feature in articles written across the world and was listed in the New York Times as one of
the grealcsi gardens in the world. This type of publicity brings new Visito￿ lo the garden every year.
Each year the garden team hosi a volunteer weekend io allow people from across ihe country to have an experience of
gardenin8 the "Dixter way" In Spring 2025 approximately 68 people attended and we were delighted 10 provide an
opportunity like this for networking and l¢arnin8.
Education
GTeai DiAler coniinues to excel in teaching, inspiring and sharing our way of gardening. Our education work coniinues
lo offer meaningful and in some cases life-changing experiences to H wide ran8¢ of people from varied backgrounds.
Scholars and GArden Students
Great Dixter Slill continues lo lead Ihe way in the practical trainin8 of gardeners and now offers 6 year-long paid places
for trainee gardeners and nursery workers. The aim is lo work with the individual, and often training continues for
people beyond iheir initial scholarship year.
The Elizabeth Murray Scholarship is a new ￿$1 for 2024, which provides paid work and training for a person who has
previously siruggled wlth access 10 employment.
There is one 'floating space" which means short ierni placements can be accommodated. During 2024-5, 12 people
joined us for a monih's experience each.
Weekly work expertence has been provided for a student from a local College since September 2023.
Stud da
leetures
rden ¢ours
SAnds
Greal Dixler coniinues lo offer an inspiring educational programme for adults, which generales revenue for the Trust,
and helps to share our approach of gardening in harn)ony with Ihe natural world. These Courses are led by Fergus
Garrell and members of the gardening and nursery leams as well as select visiting tutors.
Some courses such as the Art and Crafi of Gardening lake place Ihrou8h the year and offer a seasonal view of the
garden work. Oihers such as Ihe study days are sland alone and aim lo provide an understanding of Great Dixler's
gardening methodology. Week -long symposia offer an in-depth, often hands-on experience of specific gardening
topics. Great Dixter has also continued to extend the offer around the theme of gardening for biodiversity and has tried
to promoie acces5ibilily to m05t courses by offering reduced- price bursary places, as well as an online symposium for
those unable 10 allend in person.
Page 4

THE GREAT DIXTER CHARITABLE TRUST
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 MARCH 2025
Chrsto
her Llo
d Bursar
The Christopher Lloyd Bursary is generously funded by donations from Nurseries attending the plant fairs and is
iniended lo provide small grants for travel or training for young or developing gardeners. £4,477.69 of grants were
warded to I I people in 2024-2025.
Faellilles
Spnn8 2024 saw the rejuvenalion of the pond dipping platforni and area funded by the Fieldfenn Trust.
Famll Edueatlon
Garden Explorers is a group for carers and preschool children thking place bi-weekly. Families attending take part in a
wide variety of activities aimed al connecting them with the seasons, biodiversity and gardening. These have included
seed sowing and planting, bulb planting, pond dipping and using sweepnets to invesligaie invertebrates, arts and crafts,
Cooking and stories relating to plants and wildlife and foresl school activities.
Addilional aciivities for older children thke place during the school holidays.
School V5sils
In July 2024 in response lo a downtum in ￿h0O1$ visiting a new ￿h0o]S, brochure was produced and distributed to
schools within easy reach of the garden. As part of the programme free visits are now offered 10 any pupils in receipt of
a Pupil Premium (free school meals). 5 schools visited in the autumn and spring bringing 117 children including
schools based in sonie of the more deprived areas of Hastings. 30 of these children receive free school meals.
Since January 2025, Great Dixler have been running weekly forest school sessions for our local primary school, based
in Northiam.
Home Education
In January 2025 (following a pilot session in the summer of 2024) an offer for the Home Education community (people
who educaie their children al home) was launched. These are monlhly sessions which include seasonal activities linked
10 growing and the garden (including a visit lo the garden) and foresl school oclivilies in the woods.
Page 7

THE GREAT DIXTER CHARITABLE TRUST
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 MARCH 2025
The Nursery
Income from Nursery sales was up by 40/0 compared lo last year. The Nursery employs trddilional techniques and grows
approximately 900/0 of the plants for sale. The a￿ grown in Dixter compost and are given minimal proteclion. This
produces strong young plants which are mostly sold in 9¢m pots. Selling small plants is a deliberate decision as these
will often do belter when transplanted into gardens than larger plants, and are more sustainable in ternis of composl use
and pots to recycle.
Better use has been made of the existing space in the nursery and new areas have been developed for growing on the
plants before sale. Trials of new varieties takes place in large pots in the nursery and in the lop stock beds in the garden.
Over l 00 new plant varieties have been grown ihis year.
The team have been producing hand pollin8led seed strains of hellebores and the firsl 8en¢ralion have now flower¢d
and we look forward 10 watching this project develop further.
Daliah Propagation is now sthrted earlier that before meaning that cullings produce larger plants in lime for sale. These
have been very popular.
Biodlverslty
Improving biodiversily remains central lo all areas of Greal Dixlerfs work. From Ihe habitat piles which aTe increasing
in number across the estate to the care taken to manage the gardens wiihoul resorting lo pesiicides or methods that
could harni Ihe wildlife thai we have.
The big change in practice in 2024 was the addilion of a number of Galloway cattle 10 conservalion graze Great Park.
This allowed thc sward lo be improved and invasive species such as thistles lo be managed. The aim is lo improve the
structure of Ihe land lo allow the recovery of ancienl species and many new species of plants and inse¢ls 10 thrive and lo
provide resources that will bring in more wildlife to the estate. Regular assessment of these areas continues.
Sustainability features heavily in the new strategy and all departmenls will be asked to identify areas for improvement
over the Coming year. We have changed energy and insurance providers this year 10 improve our sustainabilily
redenlials.
Frlends and Fundralslng
Income from ihc Friends of Greal Dixier continues to be vitally important to allow us to continue lo meet our Charitable
Objectives. The Friends membership, donations, and income from grants and gift aid has amounted to £972,131. This is
so apprecialed and valued by all who work here.
The Loggig and Shop
Loggia sales brought in £298,721, an increase of 70/ from last year. Further adaptalions were madc lo the structurc of
the loggia and the equipmenl was improved in an attempt to assist staff deal wilh Ihe many visitors, to what is a small
outlet, on the eslale.
Shop sales brought in £217,786. an 80/0 increase on last year. At the end of Ihe financial year the shop undenvent a
refurbishment, and new lines were added with more planned for the next financial year. The Ereenwood benches n)ade
on the eslale using Dixler wood have been extremely popular Ihis year and sold well as have the hurdle5.
Page 8

THE CREAT DIXTER CHARITABLE TRUST
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 MARCH 2025
Potential development of Improved Fatilities for the Loggia and Shop
A delailed feasibility study has been undertaken and inilial designs developed by Grimshaw Architects to consider the
possibility of creating more indoor space in a Loggia and shop for Visltors. Trnslees will forni a decision in 2025
whether this is a project they wish to undertake and if so al what scale. This is a big decision for those irusled with the
future sustainability of Great Dixier and the impact on the estate needs to be considered alongside the projected cost and
potential benefil to visitors and staff.
Volunteers
Volunteers conlinuc to help the organisation thrive. Over 70 volunleers supported the work of Great Dixter in this
financial year. In February 2025 we were delighted to welcome almost 64 vlsiiing volunleerslstudents for the annual
garden volunieer weekend. Volunteers join us in almosi all areas of our work from the regular volunteers in the garden,
some who have been with us for many years. to ihe volunteers on the Estate Team, those helping with care of the
conlents of the house, assisting with Garden Explorers and al the Friends evenls and Plant Fairs. A big thank you goes
out io them all.
Communlty
Something that has always sei Great Dixler apart is the 8enuine welcome that is exlended to ihe many thousand of
people we encounler through ihe yelr.
When considering Ihe benefit Greal Dixter provides for the Communily il extends far beyond what is generally
understood by the lerni. Community to Great Dixler includes the forn)er friends of Christopher Lloyd, horticultyrisls
from across the world and s￿dentS of horticulture both past and present. It refers to be numerous people who come
from across Ihe coun(ry lo help us Tun Ihe plani fairs, il is Ihe nurserymen and women who attend. 11 is the people in ihe
village and surrounding area who we employ, who volunteer for us, who are our suppliers. It is the keen amateur
gardeners who visit over and over again from across the UK and beyond, it is the small horticultural societies across the
ountry lo whom Fergus lectures. It is the people who are trying lo replicate whal we do in their own cities. towns,
villages and gardens. li is also anyone in Ihis field who we iry lo help. It is the folk from the men's shed groups who join
us to learn 10 make hurdles. li is the tremendous group of people who are our Friends aiid donors. Where we use Ihe
expression Ihe"Dixter Family" others would perhaps use the word community."
Investment Powers
The charter of the GDCT auihorises the Trustees to make and hold investments using the general funds of the GDCT.
Financial review
Tothl income in the fiscal year 2024125 was £2,644,144 (£2,220,563 in 2023124). The total nel surplus for the year was
£220.448 (£80,453 in 2023124) the surplus on the unrestricted general fund 2024125 was £193,952 and ihis was
transfe￿ed lo the new Major Repairs Fund {£3,543 in 2023124 transferred lo Christo's Fund).
Income relating to operaling aclivilies, including admissions amounted lo £1,646,557 in 2024125 (£1,536,866 2023124).
There was expenditure relating to Irdding aciivities of £880,530 (£788,841 in 2023124) resuliing in operating surplus
inclusive of admissions income of £766,027 (£748,025 in 2023124).
Investments generated £26,923 (£22,441 in 2023124).
The total reserves held by the charily at ihe year-end amounied to £8,920,661 of this amounl £5,212,831 was restricted.
Thanks are due lo the very hard work and accountability of staff and our public and private financtal support.
The Trust's principal funding sources remain splil between ils operaiing income derived from lis Charitable Aclivilies,
which means ils admission to the House and Gardens and its Trading Aclivilies belng ihe Shop, ]XJggia and Garden
Nursery sales, logeihcr with Educational courses and its income from charitable donations, grants and legacies.
Page 9

THE GREAT DIXTER CHAR]TABLE TRUST
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 MARCH 2025
STRATEGIC REPORT
Future plans
Now that the strategy is completed, we will slart the harder work of implementing the prioriltes across all departments
and wilh all staff.
As m¢ntiontd earlier in ihi5 report providing our visitors with a waTm space to Cal and drink is currently a challenge and
becoming more so with the current unpredictsble weather patterns. We will continue 10 explore options to allow us to
provide indoor seating and improve facilities for the future.
We will coniinue to follow a planned progrnmme of repairs of the buildings across the estate.
STRUCTURE, GOVERNANCE AND MANAGEMENT
Governance
Th¢ Great Dixter Charitable Trust is a company limiled by guarantee governed by ils Memorandum and Articles of
Association dated 9th March 201 O, JI is registered as a charity with the Charity Commission.
Appointment of Irustees
TNsiees are elecied in accordance with the direciive as sei out in ihe Articles of Association.
The Trust currenily has a total of 13 Trnstees. All Truslees are mindful of Iheir responsibilities regarding the
appointmenl and training of new Trustees. Presently, the need for new Trustees is discussed amongst exjsiing Trusiees
with, when a need is agreed, polential candidates bein8 identified through existing nctworks or by external
dvertisement. The Succession Planning Sub-committee 5UPPOrtS this work.
Ttustees are elected in accordance with the directive as sel oul in the Anicles of Association.
Shortlisled candidates are inierviewed, and the successful candidates undergo a comprehensive induction where they
meet key members of Ihe Trust and are introduced to all aspects of the Trust's work. Each new Trustee is provided wilh
a summary of the responsibilities of a new Trustee.
Organisation
The GDCT is managed by the trustees and & staff led by Fergus Garretl, CEO and Head Gardener.
During the fiscal year ended 31 March 2025, the Trustees met regularly, including an annual general meeting for the
2023 fiscal year in early July 2024. Those meetings addressed, among other Ihings, a running agenda dealing with
business operations, financial niallers, conservation plans. committee reports. health and safety consideraiions and other
risk management mallers, together with v¢ry allcnlive monitoring of our activities and revenues. Operalionallyj Fergus
Ga￿ttl (the CEO) continues lo achieve very high-qualily effectiveness with respect io Ihe rnanagemenl. I, as Chair of
the Trustees, am in regular communicaiion wilh Fergus and the oiher Trustees. A Scheme of Delegation sets oui th¢
extent 10 which Trustees have delegated responsibilities 10 its commiltees and to the Chief Executive Officer.
A number of commiiiees and various working groups of the GDCT Continue lo make significant
contributions. They include the following:
l. A House Commillee which regularly reviews and analyses the condilion and circumstances of the House and the
collections therein and the development of practices and policies with respect to public visitalion.
2. The Finance and Management Committee which meets monthly and is responsible for the review of accounts and
financial results of the of the GDCT, addresses operational issues and develops budgets-
3. The Futures Committee which has been fornied to explore improved long tern) funding options for Greai Dixter.
4. The Retail Committee which advises the Board on matters relating ￿ Ihe shop and the loggia.
5. A succession Planning sub-committ￿ addresses key issues relating to good governance.
Page 10

THE GREAT DIXTER CHARITABLE TRUST
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 MARCH 2025
STRUCTURE, GOVERNANCE AND MANAGEMENT
Risk managemenl
A Risk Regisier is maintained and the Trustees a¢lively review the major risks which GDCT faces on a r¢gular basis.
Reserves Policy
GDCT'S accounts include both restricted and unrestricted resetves. A substanlial proportion of both categories of
reserves are capiialised, representing asseis of GDCT which cannot or would nol nornially be realised. The reserves
policies are primarily Concern￿ with the uncapilalised, unreslricled reserves of GDCT. which are available to meet the
liabilities of Ihe charity incurred in the normal course of its aclivilies and in exceplional or unforeseen circumstances. In
relation to such reserves, the trustees have adopied the following policies.
a) A reserve of al least £1 00,000 shall be maintained to meet an unforeseen ernergency or other unexpe¢ted event. This
amount is a￿1Ved al after consideTing risks and how niuch might be needed for such contFngen¢ies- this Involves
judgemeni of events that may occur and their likelihood.
b) A reserve of al leasi IOO/D of the expenditure budget for the CUTrent year shall be mainlaincd lo meel unexpected and
unforescen operationhl expenditure.
c) An addilional reserve to increase the reserves lo al least six months of operational expenditure shall be maintained to
provide against uncertainty over future income. Potential significant loss of income Could result from a downturn in
economic activity or an increase in fuel costs resulting in fewer lourisls, a major disaster in the area, bad weather,
pollution incident, or loss of reputation etc. Maintaining such a reserve will allow time for GDCT io develop new
sources of income or to cul-back on expenditure.
d) Further reserves may from lime 10 lime be created to provide for planned expenditure on idenlified projecls which
cannol be fully funded out of current year income or restricted reserves where appropriale.
e) Should the GDCT'S cash flow forecasts indicate a shortfall, additional reserves shall, if necessary, be maintained to
cover such shortfall.
Investment Pollcy
Investmenl aims and objeclives
The primary investment objective for GDCT 1$ 10 invest a portion of its general funds in order to help fund its chariiable
objects. The Trustees, aims are.. first, to gencraie 40/0 growth in capital over the long tern], ahead of inflation as
measured by CPI, and secondly to generat¢ an investment return on surplus working capital.
Altitude lo risk:
The Trustees have considered the Itvel of risk they are willing to tske and seek io accept a level of risk no greater than
is necessary to achieve their invesirneni aims
Liquidity consideralioT]s:
Funds required lo meet short lern) budgeted expenditure, plus a contingency for unexpected expenditure, shall be kept
on CU￿ent account or in call or short-lerni deposit accounts wtth GDCT'S bankers or other insti￿110nS approved by the
trustees. Funds nol so required may be invested with a view lo obtaining a grealcr return over the niedium lo long tem].
Funds representin8 al least the minimum level of uncapilalis¢d, unreslricled reserves for the til￿¢ being, delerniined
under GDTS reserves policies, should be held on current account, Call or short'_lerni deposit, or in other investmenls
which, in the opinion of ihe trustees, provide sufficient security and liquidity lo be realised al short notice, if required,
so far as possible without cosi or penalty.
Investment of Restricted and Designated Funds
Similar principles apply lo the inveslmenl of restricted and general funds. having reEard to lemis on which such funds
are held, the purposes for which they are held and th¢ length of lime funds are likely to be held before ihey are spent,
Pagell

THE GREAT DJXTER CHARITABLE TRUST
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 MARCH 2025
STRUCTURE, GOVERNANCE AND MANAGEMENT
Ethical considerations:
Investments shall be selected which are in tune with the ethos of Great Dixter. The COIF Investment Fund
incorporaies environmenial, social and governance considerations inio the investhient strategy.
Governance:
Decisions regarding investments are made by the Finance and Managemenl Committee and approved by the Trust
Board.
How will success be measured?
Perforniance of investments will be revicwed on a quarterly basis.
Remuneration Polley
The tTUSI is commiiied to paying staff a fair salary that is competitive within the charity sector locally, proportionaie to
the complexity of each role and in line wilh the charitable objectives. The Trust meets all national pay standards and
provides all stsff wilh ai least ihe Naiional Living Wase. The Trustees, with recommendations from the Finance
Committee, govern overall remuneralion packages and approval any annual perceniage increase. The remunerdlion of
sthff who are key management personnel is ¢onsAdered annual by the CEO.
Charity Code of Governance
The Trust uses the Charity Code of Govcrnance lo infonn its work and decision-making.
STATEMENT OF TRUSTEES, RESPONSIBILITIES
Law applicable 10 charities in England and Wales requires the trustees lo prepare financial statements for each financial
year which give a true and fair view of the charity's activities during the year and of ils financial position ai the end of
the year. In preparing Ihose finanoial statements the trustees are required to:
seleci suilable accounting policies and apply them consistently
make jud8emenls and eslimales that are reasonable and prudent
stale whether applicable accounting siandards and statements of recommended practice have been followed,
subjeci 10 any departures disclosed and explained in the financial statements
prepare the financial statements on a 80ing concern basis unless it is inappropriate lo assume that the charity will
ontinue in operation
In so far as the trustees are aware..
There 15 no relevant audit inforniation of which the charitable company's auditors are unaware- and ihe Irusiees have
taken all steps Ihal they ought lo have taken to make th¢ms¢lv¢s aware of any r¢l¢vant audit Anfornialion and io
establish thai the auditors are aware of thai infomialion.
The trustees are responsible for keeping accounting records which disclose wilh reasonable accuracy ai any time ihe
financial position of the charily and enable them to ensure thai the financial siaiemenis comply with the Charities Acl
1993. They are also responsible for safe- guarding the assets of the charity and hence for iaking reasonable Sleps for the
prevention of and detection of fraud and other irregularities.
Page 12

THE GREAT DIXTER CHARITABLE TRUST
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 MARCH 2025
Report of the trustees, inco
directors, on.......11./? .
rating a Str￿egi¢ report, approved by order of the board of trustees. as the company
zl............... and signed on the board's behalf by..
MrGDyer-
Page 13

REPORT OF THE INDEPENDENT AUDITOR TO THE MEMBERS OF
THE GREAT DIXTER CHARITABLE TRUST
Opinion
We have audiied the financial sialements of The Great Dixter Charitable Trust (the 'charitsble company,) for the year
ended 31 March 2025 which comprise the Statement of Financial Activities, the Statement of Financial Position, the
Statemenl of Cash Flows and noies io the financial statements, including a summary of significani accounting policies.
The financial reporting framework that has been applied in their prepardtion is applicable law and United Kingdom
Accounting Standards (United Kingdom Generally Accepted Accounting Practice), including Financial Reporting
Standard 102 'The Financial Reporting Siandard applicable in Ihe UK and Republic of Ireland,.
In our opinion the financial statements..
give a true and fair view of the siale of the charilable company's affairs as ai 31 March 2025 and of ils incoming
TesouTces and applicaiion of resources, including ils income and expenditUTe, for Ihe year then ended.
have been properly prepared in accordance with United Kingdom Generally Accep(ed Accounllng Practice,
including Financial Reporting Standard 102 Yhe Financial Reporting Standard applicable in the UK and Republic of
Ireland," and
have been prepared in accordance with the requirements of the Companies Act 2006.
Basis for opinion
We conducted our audit in accordance wilh International Siandards on Auditing (UK) (ISAS (UK)) and applicable law.
Our responsibililics under Ihose standards are further des¢rAbed in the Auditor responsibilities for the audil of the
finaneial statements seciion of our report. We are independeni of the Charitable company in accordance with the
ethical requirements thai are relevanl lo our audit of the fmancial statements in the UK, including the FRC'S Elhical
Slandard, and we have fulfilled our other ethical responsibilities in accordance with these requirements. We believe
thal the audit evidence we have obtained is sufficient and appropriate to provide a basis for our opinion.
Conclusions relating to going concern
In auditing the financial statements, we have concluded that the irustees, use of the going concern basis of accounting in
the preparation of the financial siaiements is appropriaie.
Based on the work we have perforn)ed, we have not identified any material uncertainties relating lo events or conditions
thai, individually or colleciively, may ¢asl significant doubi on Ihe charitable company's ability 10 colliinue as a goin8
concern for a period of al leasl Iw¢lv¢ monihs from when the fjnancial statements are aulhorised for issue.
Our responsibilities and the responsibililies of the trustees with respect io going ¢oncern are described in the relcvanl
sections of this report.
Other information
The trustees are responsible for the other infomalion. The other inforniation comprises Ihe inforniaiion included in the
Annual Report, oiher than the financial statements and our Report of Ihe Independent Auditor thereon.
Our opinion on the financial statemenis does not cover the other infomiation and, excepl lo the exlenl othenvise
explicilly slated in our report, we do not express any forni of assurance conclusion Ihereon.
In connection wilh our audit of the financial statements, our responsibility is to read the other inforniation and, in doing
so, consider whether the other infom]alion is materially inconsistent with ihe financial slaiements or our knowledge
obtained in the audit or otherwise appears to be materially misstated. If we identify such material inconsisiencies or
apparent material misstatements, w¢ are required lo d¢l¢miine whether this gives rise lo a material misstatemenl in the
financial statements themselves. If, based on the work we have perfornicd, we Conclude that there is a material
misstatement of this other inforniation, we are required lo report thai fact. We have nothing io report in Ihis regard.
Opinion$ on other matters prescrlbed by the Companles Act 2006
In our opinion, based on the work undertaken in the course of the audit:
the infornialion given in the Report of the Trustees for the financial year for which the financial statements are
prepared is consislenl with the flnancial stalemenls. and
the Report of the Twstees has been prepared in accordance with applicable legal requirements.
Page 14

REPORT OF THE INDEPENDENT AUDITOR TO THE MEMBERS OF
THE CREAT DIXTER CHAIUT ABLE TRUST
Matters on which Ive are required to report by exception
In the light of the knowledge and understsnding of the Charitable company and its environment obiain¢d in the course
of the audil, we have noi identified material misslalements in the Report of the Trustees.
We have nothing to report in respect of the following matters where the Companies Aci 2006 requires us lo report lo
you if, in our opinion..
dequale accounling records have not been kepl or returns adequate for our audii have noi been received fTom
branches noi visiied by us- or
the financial statemenis are not in agreement with the accounting records and returns. or
certain disclosures of tNslees' remunernlion specified by law are not made- or
we have not received all the infomiatlon and explanations we require for our audit.
Responslb11511e$ of trustees
As explained more fully in the Statement of Trustees, Responsibilities, the trustees (who are also the directors of the
charilable company for the purposes of company law) are responsible for ihe preparation of the financial statements and
for being salisfied thai Ihcy give a Inje and fair view, and for such internal control as ihe trustees delennine is necessary
lo enable the preparation of fmancial siaiements thai are free from malerial misstatemeni, whether due lo fraud or error.
In preparing the financial statements, the trusiees are responsible for assessing the charitable company's ability 10
conlinue as a going concern, disclosing, as applicable, matters relaled 10 going concern and using the going concern
basis of accounling unless the trustees eiiher intend to liquidate the charitable company or to rease operations, or have
no realistic aliernalive but to do so.
Our responsibiiiiles for the audlt of the financlal statements
Our objectives are lo obtain reasonable as5uran¢e about wheiher the financial slalemenls as a whole are free from
malerial misslalemenl, whether due lo fraud or error, and to issue a Report of the Independent Auditor that ineludes our
opinion. Reasonable assurance is a high level of assurance. bul is not a guarantee that an audil conducted in
accordance with ISAS (UK) will always detect a material misstaiemeni when li cxisis. Misstatemenls can arise from
fraud or error and are considered maierial if, individually or in the aggregale, they could reasonably be expected ¢0
influence the economic decisions of users thken on the basis of these financial statements.
I￿egUlaritIes, including fraud, are insiances of non-compliance with laws and regulations. We design procedures in line
with our responsibilities, outlined above, lo detect material misslalements in respect of irregularities. including fraud.
The eAlenl lo which our procedures are capable of delecling irregularilics, including fraud is detailed below-.
Discussion with management which included consideralion of known or suspected instances of non-compliance
wilh laws and regulations and fraud
Reviewing, evaluating and testing systems and controls lo assess their effectiveness lo preveni and detetted
irregularities
Identifying, reviewing and testing journal enlries
Challenging assumptions and judgements made by managemenl in respecl of significant accounting estimates
Reviewing minutes of board meetings for known or suspected instances of non-compliance willi laws and regulations
and fraud
There are inherent limitations in the audit procedures described above and the further removed non-compliance with
laws and regulalions is from that events and transactions reflecied in the fmancial slalemenls, the Ics5 likely we would
become aware of tl. Also, the risk of not dele¢ling a matertal misstaiemenl due 10 fraud is higher than the risk of not
detecting one due lo error. as fraud may involve deliberale concealmeni by, for example, forgery or intentional
misrepresentations, or through collusion.
A further description of our responsibilities for ihe audit of the financial Slalemenls is located on the Financial
Reporting Council's website at www.frc.org.uklaudiloTsresponsibilities. This descriplion forn]s part of ow Report of the
Independent Audilor.
Page 15

REPORT OF THE INDEPEIYDENT AUDITOR TO THE MEMBERS OF
THE GREAT DIXTER CHARITABLE TRUST
Use of our report
This report is made solely to the charitable company's members, as a body, in accordance with Chapter 3 of Part 16 of
the Companies Aot 2006. Our audit work has been undertaken so ihal we might state 10 the charitable company's
members those mallers we are required to SLqie io them in an auditoes report and for no other purpose. To the fullesi
extent perniitied by law, we do not accepl or assume responsibility lo anyone other than the charitable company and the
charitsble company's members as a body, for our audit work, for this rq)ort, or for the opinions we have fornied.
Daniel Sallows FCA (Senior Siatutory Auditor)
for and on behalf of GMP Audit Ltd
82 High Street
Tenlerden
Kent
TN30 6JG
Dale..
l ...Q.G&.b.4r.... 20 2 S
Pag¢ 16

THE CREAT DIXTER CHARIT ABLE TRUST
STATEMENT OF FINANCIAL ACTIVITIES
{INCORPORATING AN INCOME AND EXPENDITURE ACCOUNT)
FOR THE YEAR ENDED 31 MARCH 2025
2025
Total
funds
2024
Total
funds
UDres¢rictedRestricttd
funds
funds
Notes
INCOME AND ENDOWMENTS FROM
Donations and legacies
715,227
6,J22
721,349
442,624
Charitable aetivities
Admissions income
S07,57S
507,575
449,860
Projects
226JlS
226J15
131,102
Charitable activities
23,000
23,000
87,528
Olhcr trading activities
Investhient income
Other income
I,J38,982
25,944
1,138,982
26,923
1,087.006
22,441
979
Total
2 410 728
233 416
2 220 $63
EXPENDITURE ON
Raising funds
Oiher Trading Aclivilies
Raising Donaiions And Legacies
876,751
3,779
880,530
788,841
937,262
3,779
941,041
842,289
Charitable actlvities
Projects
161,771
161,771
377,991
Charitable activities
1,274,529
10,087
,284,616
920,174
Governance
Total
2 239 822
175637
2 415 459
2 166601
Net gainsl(losses) on invcstments
NET INCOME
162,669
57,779
220,448
80,453
RECONCILIATION OF FUNDS
Total funds brought forward
3,545,161
5,155,052
8,700,213
8,619,760
The notes forni part of these financial statements
Page 17

THE GREAT DIXTER CHARITABLE TRUST
STATEMENT OF FINANCIAL ACTIVITIES
(INCORPORATING AN INCOME AND EXPENDITURE ACCOUNT)
FOR THE YEAR ENDED 31 MARCH 2025
2025
Total
funds
2024
Tolal
funds
UnreslrlcledRestrleted
funds
funds
Notes
TOTAL FUIYDS CARRIED FORWARD
3 707 830
5 212 831
8 920 661
8 700 213
The notes forn] part of these financial statements
Page 18

THE GREA T DIXTER CHARJTABLE TRUST
STA TEMENT OF FINANCJAL POSITION
31 MARCH 2025
202S
2024
Notes
FIXED ASSETS
Tangible assels
Heritage assets
Investments
17
18
19
398,69]
7,008,008
418 204
403.564
7,008.008
228 526
7,824,903
7,640,098
CURRENT ASSETS
Stocks
Debtors.. amounts falling due within one year
Cash at bank and in hand
20
21
151,577
33,167
1 172 224
148,266
3,389
1 181890
1,356,968
1,333,545
CREDITORS
Amounts falling due within one year
22
{261,210)
{273.430)
NET CURRENT ASSETS
109S 758
060115
TOTAL ASSETS LESS CURRENT
LIABILITIES
8,920,661
8,700,213
NET ASSETS
8 920 661
8700213
The notes fomi part of these financial statements
Page 19
continued...

THE GREAT DIXTER CHAIUTABLE TRUST
STATEMENT OF FINANCIAL POSITION- continued
31 MARCH 2025
2025
2024
Notes
24
FUNDS
Unrestricted funds..
Genernl fijnd
Capitalised Funds
Christo's Fund
Angel Fund
Arcadia Fund
Veg Wages Fund
FG 25 Year Fund
Project 2023 Appeal
Major Repairs
loo,000
2,505.902
342,418
411J53
83 J33
467
47,765
22,640
193 952
i 00,000
2,505,902
346.621
415.258
83,333
769
4i.740
49.538
3 707 830
3 545 161
Re5tricled funds:
Meadow Project Fund
Gardeners Fund
Christopher Lloyd Travel Bursary
Christopher Lloyd Scholarship
US Scholarship Fund
Bio Diversity Fund
Richard & Brenda Young Fund
Projects Fund
Caiger-smith Collection Fund- Capitalised
Borun Scholarship Fund
Capitalised Funds
1,900
6,617
11,783
2,446
13,088
30,004
2J52
297,585
48,000
21,021
4 776 935
,655
6,355
15,061
,468
13,688
31.197
2.852
383,591
48,000
21,021
4630 164
5 212 831
5 155052
TOTAL FUNDS
8 920 661
8 700213
The finan ial statements were approved by the Board of Trustees and authorised for issue on
and were signed on its behalf by..
st
Mr J French - Trustee
The notes form part of these financial statements
Page 20

THE GREAT DJXTER CHARITABLE TRUST
STATEMENT OF CASH FLOWS
FOR THE YEAR ENDED 31 MARCH 2025
2025
2024
Noles
Cash noivs from operating aetivities
Cash generdted from operations
197 051
161,723
Nei cash provided by operdting activities
197 051
161723
Cash flows from investing activitie$
Purchase of tsngible fixed a55ets
PuT¢hase of herithge assets
Purchase of fixed assel investments
Sale of tangible f￿ed assets
Sale of fixed asset investments
Interest Income
(13,793)
(28,993)
(10,178)
(ioo,000)
(200,000)
4,991
2,085
Nel cash used in investing aciivilies
206 7J7)
116 731)
Change sn egsh and eash equlvalents In
the reportlng perlod
Cash and cash equlvalents ai the
beglnnlng of the reportlng perlod
(9,666)
44,992
1181890
1 136898
Cash and Cash equivalenls at the end of
the reportlng period
1172 224
1 181890
The notes forni part of these financial statements
Page21

THE GREAT DixfER CHARIT ABLE TRUST
NOTES TO THE STATEMENT OF CASH FLOWS
FOR THE YEAR ENDED 31 MARCH 2025
RECONCILIATION OF NET INCOME TO NET CASH FLOW FROM OPERATJNG
ACTIVITIES
2025
2024
Nel income for the reporting perlod (as per the Statement of Flnancial
Activities)
Adjustments for:
Depreciation charges
LOsSe￿(gain) on investh)ents
Profil on disposal of fixed assels
Interest income
Increase in stocks
(Increaseyde¢rease in debiors
(Decreasc)/increase in creditors
220,448
80,453
15,054
8,237
(1,379)
25,186
(26,491)
(22,440)
(4,092)
67,985
(3,31])
(29.778)
12 220)
Net cash provided by operations
J97 051
161723
ANALYSIS OF CHANCES IN IYET FUNDS
At 1.4.24
Cash flow
At 31.3.25
Net cash
Cash al bank and in hand
J 181890
1172 224
l J8J 890
J J72 224
Total
1181890
J 172 224
The notes fomi part of these financial slatemenls
Page 22

THE GREAT DIXTER CHARIT ABLE TRUST
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
ACCOUNTINC POLICIES
BASIS OF PREPARING THE FINANCIAL STATEMENTS
The financial statements have been prepared in accordanoe with Accounting and Reporting by Charilie5'.
Statement of Recommended Praclice applicable to charilies preparing their accounls in accordance wilh the
Financial Reponing Standard applicable in the UK and Republic of Ireland FRS 102 which bccame effcclive on
I st January 2015, and the Companies Act 2006.
The Great Dixter trust meets the definition of a public benefil entity under FRS 102. Assets and liabilities are
inilially recogni5ed at historical cost or transaction value unless otherwise stated in the relevani accounting
policy note.
The Great Dixler Charitable Trusi is a charitable company limited by guarantee and incorporated in England and
Wales. In the event of the charity being wound up. The liabillty in respect of Ihe guarantee is limited to £1 per
member of the charity. The address of the regisiered office is given in the charity infonnation appended to these
financial s¢a¢emenlS.
INCOME
All income, including capital or revenue grants, is re¢ognised when the charity has enlillement to the funds and
any perfomjance conditions have been mel, il is probable thai the income will be received and the amount can
be measured reliably.
Income received in advance of a symposium or study lecture is defeThed until the criteria for income recognition
are met, see note 18.
For legaries, enliilemeni is Ihe earlier of the charity being notified of an impending distribution or the legacy
being received. Ai ihis point income is recognised. On occasion legacies will be notified lo the charity however
il is not possible lo measure the amount expected 10 be distributed. On these occasions, the legacy is treated as a
coniingent assei and disclosed.
EXPEIYDITURE AND IRRECOVERABLE VAT
Liabilities are recognised a5 expenditure as soon as there is a legal or constructive obligation comrnilling the
charity lo Ihat expenditure, it is probable tliai & transfer of economic benefits will be required in seiilemenl and
the amounl of the obligation Can be measured reliably. Expenditure is accounted for on an accruals basis and has
been classified under headings that aggregate all cost related lo the category. Where costs cannot be directly
atlribuied 10 particular h¢adings Ihey have been allocai¢d to activili¢s on a basis consist¢nl with the use of
resources.
The Charity is registered for VAT and all figures are nel of VAT where applicable. Irrecoverable VAT is
charged as a cost against the activity for which the expenditure was incurred.
ALLOCATION OF SUPPORT COSTS
Support cosis are those functions ihal assist ihe work of Ihe chariiy bul do not directly undertake charitable
acliviiies, Support cosis include back office costs, finance, personnel, payroll and governance cosis which
support the Trusts activities. These costs have been allocated between business Costs, governance and
fundraising.
TANGIBLE FIXED ASSETS
The Great Dixter estate is situated in East Sussex, occupying 72 acres of countryside.
Page 23
¢onlinued...

THE GREAT DtXTER CHAIUT ABLE TRUST
NOTES TO THE FINANCIAL STATEMENTS - continued
FOR THE YEAR ENDED 31 MARCH 2025
ACCOUNTING POLICIES - continued
TANGIBLE FIXED ASSETS
The main House dales back to the mid-15th century but il was restored and enlarged by the rebuilding of a 16th
cenNry yeoman's house dismaniled and moved in 1910. together with the Lutyens's designed extension added
during 1910-12. The house is complimented by its fornier farni buildings, including the Oasthouse, Great Barn
and North Barn. These three buildings, together with lesser ones, provide a backdrop to the gardens that altraei
visitors from all over the UK and around the world.
The house and gardens are open to the public from April to October and an admission enty fee is charged.
Regular educational and Iraining activities are provided and visitors can enjoy regular guided lours of the house
and lis Collection.
Wiihin the house, there are house contents, mainly incorporating furniture and works of art which are also
intended for public viewing.
Grcal Dixier House and Gardens, iogether with House Contents are considered as Heritage Assets.
These are used by the trust in its operations and are therefore acKounted for as operational assets in occordance
with Sec 34 of FRSIO2.
Tangible Fixed Assets are slated as cosl less accumulated deprecialion.
Deprecialion is calculated $0 as lo write off the cost of an assel, less its esiimated residual value over (he useful
economic life of thai assei as follows..
Plani & Machinery
Moior Vehicles
Infornialion Technology
Greenhouses
15 /tr reducing balance basis
250/0 reducing balance basis
straighi line over 4 years
straight line over 10 years
The house and conlenls are deemcd to have indeleTminate lives and the Trustees do nol therefore consider it
appropriate lo charge deprecialion.
The grecnhouses were originally purchased for £53,237 and depre¢i8led over 10 years using the slraighi line
method and there is no remaining useful life.
HEIUTAGE ASSETS MANAGEMENT POLICY
Christopher Lloyd, who died in 2006, established the Great Dixler Charitable Trust in 2004 to lake charge afier
his death of managing, enhancing, developing and maintaining the long-tem) heriiagc of Greal Dixler. The TNSI
is committed to mainlaining ihe house, gardens and buildings as a centre for innovative horticulture and
planlsmanship. li is the Trust's policy to mainlain the house and maintenance costs arc charged lo the Income
and Expenditure account when incurred. Heriiage Lottery Funding was received towards renovation of the north
face of ihe house, the purchase of Dixler Farn) and the consolidation of tl)e House and Barn buildings. Costs
relaling to the renovalion have been capitalised.
STOCKS
Stock is included ai the lower of cost or nel realisable value
TAXATION
The charity is exempt from con)oration tax on its ¢haritable activities.
Page 24
continued...

THE GREAT DIXTER CHAIUTABLE TRUST
NOTES TO THE FINANCIAL STATEMENTS - eonllnued
FOR THE YEAR ENDED 31 MARCH 2025
ACCOUNTING POLICIES - continued
FUND ACCOUNTING
Unrestricted funds are available to spend on activities that further any of the purposes of charity. Designated
funds are unrestricted funds of the charity which the trusiees have decided al their discretion lo sel aside for a
particular purpose. Restrictd funds are donations which the donor has spccified are to be solely used for
particular areas of the Trust's work or projects being undertaken by the Trust
FOREIGN CURRENCIES
Assets and liabilities in forei8n currencies are translated inio sterling ai the rates of exchange ruling at the
statement of financial posillon date. Transactions in forelgn Cu￿encieS are translated into sierling ai the ra￿ of
exchange Nling ai the dale of transaction. Exchange dtfferences are taken into account in arriving at the
operdlin8 result.
PENSIONS
The charity operates a defined contribution pension scheme. Any conlribulions payable to the scheme are
charged to Ihe SOFA in the period to which they relate.
OTHER ACCOUNTING POLICIES
INTEREST RECEIVABLE
Inlerest on funds held on deposit is included when receivable ond the amount can be measured reliably by the
charity. this is nonnally on noiification of the intercsl paid or payable by the bank.
INVESTMENTS
The charity have invested funds not needed as working capital in COIF to protect the amount from depreciaiion
and also generaie a return on the charity funds. The investment is slaied al fair value.
DEBTORS
Trade and other debiors are recognised at the s¢iilemenl amount due after any Irade discount offered.
Prepayments are valued al the amount prepaid nel of any trade discounts due.
CASH AT BANK AND IN HAND
Cash al bank and cash in hand includes cash and short-terni bank accounts.
CREDITORS AND PROVISIONS
Credilors and provisions are recognised where the charity has a present obligation resulting from a past event
that will probably result in the Iransfer of funds lo a third party and the amount due lo settle the obligation can
be measured or estimated reliably. Creditors and provisions are nornially re¢o8nised al their seiilemenl amount
after allowing for any trade discounts du¢.
LEGAL STATUS OF THE TRUST
The Ttusi is a charitable company Iimiled by guarantee and has no share capital. In the evenl of windin8 up the
members are liable to make a contribution not exceeding £1 per member.
Page 25
continued...

THE GREAT DIXTER CHARITABLE TRUST
NOTES TO THE FINANCIAL ST ATEMENTS - continued
FOR THE YEAR ENDED 31 MARCH 2025
DONATIONS AND LEGACIES
2025
Total
funds
2024
Total
funds
Unrestrieted
funds
Restricted
funds
Donations and legacies
Gifi aid
673J16
6,122
679.438
396,019
7JS 227
721
442 624
OTHER TRADING ACTIVITIES
2025
Total
funds
2024
Total
funds
Unrestricted
funds
Restri¢led
fund$
Nursery income
Merchandise income
Loggia income
Other business income
Rental
Royalties
213,985
217,786
298,721
384,541
20,687
213,985
2J 7,786
298,721
384,541
20,687
206,049
201,894
280,405
376,206
17,006
1138 982
1138 982
1087 006
INVESTMEi¥T INCOME
2025
Total
fund5
2024
Total
funds
Unre$tri¢¢ed
funds
Restricted
funds
Interest
979
Page 26
continued...

THE GREAT DIXTER CHARJTABLE TRUST
NOTES TO THE Flly ANCIAL STATEMENTS - eontinued
FOR THE YEAR ENDED 31 MARCH 2025
INCOME FROM CHARITABLE ACTIVITIES
2025
Total
a¢tivitie$
2024
Total
a¢liviti¢$
Admissions
income
Charitable
actiyilies
Projeets
Admissions income
ProjeGIS
S07,575
507,575
249
449,860
218 630
226 315
507 575
226
756 890
668 490
OTHER INCOME
2025
Total
funds
2024
Total
fund$
Unrestrltted
funds
Restrlcted
funds
Other income
OTHER TRADJNG ACTIVITIES
2025
Totil
funds
2024
Total
funds
Unrestrieled
funds
Restrleted
funds
Staff costs
Nursery costs of sale
Merchandise c051S of sale
Loggia cosis of sale
Direci costs of oiher activity
Volunteer expenses
Training
Light, heat and water
Insurance
Health insurance
Telephone and internei
Postage and 51alionery
Compuler cosis
Motor expenses
Travel expenses
Subscriptions
Accountancy
Legal and professional
Bank charges and interest
Card Iransaclion fees
Sundry expenses
Health and safety
Deprecialton
255,029
60,2J3
92,117
159,613
103,425
lJ41
J83
66,581
9,441
3,996
6,842
9,576
29,419
6,444
3,209
677
8,480
27,631
2,742
12,238
3,496
4,142
255,029
60,233
92,117
159,613
103,425
lJ41
183
66,581
9,441
3.996
6.842
9,576
29,419
6,444
3,209
677
8,480
27,631
2,742
12,238
3,496
4,142
208,489
49,196
98,496
122,299
107,996
1,371
309
51,618
11,396
3,662
5.258
9.885
46,950
4,189
.162
,168
9.120
11,606
,731
14,084
,255
2,415
Carried forward
878,130
3,779
881,909
788,841
Page 27
ontinued...

THE GREAT DIXTER CHARITABLE TRUST
NOTES TO THE FINANCIAL STATEMENTS- continued
FOR THE YEAR ENDED 31 MARCH 2025
OTHER TRADING ACTIVITIES - continued
2025
Total
funds
2024
Total
funds
Unrestrlcted
funds
Restricted
funds
Brought forward
Loss on sale of assets
878,130
3,779
881,909
788,841
876 751
880 530
788 841
RAISING DONATIONS AND LEGACIES
2025
TolAI
funds
2024
Total
funds
Unrestr5cted
funds
Restrleled
funds
Staff costs
CHARITABLE ACTIVITIES COSTS
Direet
Costs (See
note JO)
Support
costs (see
nole 11)
Totals
PrOj￿IS
161,771
161,771
Charitable aclivilies
1,284,616
1,284,616
Governance
1474 418
Page 28
continued...

THE GREAT DIXTER CHAIUTABLE TRUST
NOTES TO THE FINANCIAL STATEMENTS - continued
FOR THE YEAR ENDED 31 MARCH 2025
Jo.
DtRECT COSTS OF CHARITABLE ACTIVITIES
2025
2024
Staff costs
Repairs and renewals
Cleaning and laundry
Volunteer expenses
Food and hospitality
Project cosiings
Conservation
Fundraising
Bank Charges
Card transaction fees
Light, heal and water
Rates
Advertising
Health and safety
Insurance
962,101
155,917
3,105
6,008
JO,033
217.742
5,245
14,233
1,703
12,238
866,257
105,751
2,556
7,729
5.344
219.468
2,103
11.138
2,403
14,084
i!
12,549
11,141
13,560
4,142
13.509
7.840
16,989
2,415
1298 165
SUPPORT COSTS
Governance
costs
Governance
Support cosis, included in the above, are as follows..
GOVERNANCE COSTS
2025
2024
Total
ctivities
Governance
Audiiors, remuneration
Bank charges
Trustee Jnsurance
Wages and salaries
6,250
558
2,212
5.673
426
2,212
Page 29
continued...

THE GREAT DIXTER CHARITABLE TRUST
NOTES TO THE FINANCIAL STATEMENTS- continued
FOR THE YEAR ENDED 31 MARCH 2025
12.
NET INCOMEI(EXPENDITURE)
The surplus of income over expenditure is staled after charging:
2025
2024
Depreciation of tangible fixed assets owned by the charity
Audit fees
14.729
6,250
25,186
13.
TRUSTEES, REMUNERATION AND BENEFITS
The ¢harily trustees wer¢ not paid or received any other benefils from employmenl with the Trusi in ihe year
(2024- nil).
TRUSTEES, EXPENSES
The trustees were not reimbursed expcnses during the year (2024: Nil)
KEY MANACEMENT PERSONNEL REMUNERATION AND EXPEIYSES
One employee received iotal employee benefils (excluding pension contribulions) of more than £60,000.
2025
,186,080
131,752
23,428
103,321
2024
979,127
149,982
30,554
85,630
Salaries
Key Managemen( Personnel
Employer Pension
Social securily and other tax
444 581
245 293
14.
STAFF NUMBERS
The average monthly head couni was 74 staff (2024.. 63 staffj and the average number of full lime equivalent
employees, including casual and part-tim¢ staff during the year w¢r¢ as follows..
2025
62
2024
51
Business activities
Fundraising
Governance
65
54
Page 30
Continued...

THE GREAT DIXTER CHARJTABLE TRUST
NOTES TO THE FINAIYCIAL ST ATEMENTS- tonlinued
FOR THE YEAR ENDED 31 MARCH 2025
15.
COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES
UnrestrictedRestrieted
funds
funds
Total
funds
INCOME AND ENDOWMENTS FROM
Donations and legacies
414,169
28,455
442,624
Charitable activities
Admissions income
449,860
449,860
Projects
131,102
131.102
Charitable activilies
87,528
87,528
Other trading activities
Investmenl income
Other income
1,087,006
22,440
1,087,006
22,441
Total
2 061005
159 558
2 220 563
EXPENDITURE ON
Raising funds
Other Trading Aciiviiies
Raising Donations And Legacies
776,447
12,394
788,841
829,895
12,394
842,289
Charitable actlviti¢$
Projects
219,347
158,644
377,991
Charitsble activities
897,093
23,081
920,174
Governance
Total
972 482
194 119
2 166601
Net gains on investments
NET INCOMEI(EXPENDITURE)
115,014
(34,561)
80,453
RECONCILIATJON OF FUNDS
Total funds brought forward
3,430,147
5,189,613
8,619,760
Pag¢31
continued...

THE GREAT DIXTER CHARITABLE TRUST
NOTES TO THE FINANCIAL STATEMENTS - eontinued
FOR THE YEAR ENDED 31 MARCH 2025
15.
COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES - tontinued
UnrestrictedRestri¢ted
funds
funds
Total
funds
TOTAL FUNDS CARRIED FORWARD
3 545 161
5 155052
8.700,213
16.
FUNDS
Unrestricted Funds
Christo's Fund: A fvnd allocated by the trustees lo even oul the variations caused by the vagaries of the weather
and other nornial events crealed from surpluses in the good years.
Angel Fund.. Gifts from generous benefaclors allocaled to special projects by the trustees.
Arcadia Fund.. Funds donated annually to suppon biodiversity and education projects for Ihe year ahead.
Veg wages Fund.. Donations allocated to support apprentices and additional help in the vegetable garden.
FG 25 Year Fund: Donations allocated 10 prOJ￿tS close to Chief Cxcculive's heart as a result of his 25 years of
service.
Capilalised fund.. Funds donated for the capiial element of projects.
Project 2023 Appeal: Unreslricled funds for any requirement.
Major repairs: Large repairs lo house and estate.
Restricted Funds
Meadow Project Fund- Donations given specifically for meadow work
Gardeners Fund.. Donations given specifically toward the gardeners
Christopher Lloyd Travel Bursary . Funds given for studeni travel and S￿dent projects
Christopher Lloyd scholarship.. Funds reserved specifjcally for the UK Chrisiopher Lloyd scholarship
US Scholarship Fund.. Funds reserved specifically for Ihe North American Christopher Lloyd scholar
Biodiversity Fund.. Funds given specifically towards biodiversiiy projects
Richard and Brenda Young Fund.. Fund donated by neighbours specifically to go towards ihe house
Projects Fund: Various project funds including Silk Route Projcci
Caiger Smith Collection Fund: Pottery colleciion donaied io be on show in the house
Borun Scholarship Fund.. Donation by Dr Raymond Borun in memory of his late wife for a student scholarship
Capilalised funds . Funds. donated for the capital element of specific projects.
Page 32
continued...

THE GREAT DIXTER CHARITABLE TRUST
NOTES TO THE FINANCJAL STATEMENTS - conlinued
FOR THE YEAR ENDED 31 MARCH 2025
17.
TANGJBLE FIXED ASSETS
Freehold
property
Plant and
maehinery
Motor
vehicles
Information
Technology
Totals
Cost
Ai l April 2024
Additions
Disposals
320,978
195,584
12,086
19,515
200
85,754
1,507
621,831
13,793
Ai 31 March 2025
320 978
202 670
630 624
Depreclatlon
Al l April 2024
Charge for year
Eliminated on disposal
118,937
13,310
14,884
J,208
84,446
536
2J8,267
J5.054
Ai 31 March 2025
J30 859
231933
Net book value
Ai 31 March 2025
320 978
398 691
Al 31 March 2024
320 978
18.
HERJTAGE ASSETS
Total
Markel value
Ai l April 2024 and 31 March 2025
7 061246
Provlslons
At l April 2024 and 31 March 2025
Nel book value
At 31 March 2025
7 008 008
At 31 March 2024
7 008 008
2025
2024
10,177
2023
53,765
2022
40,462
2021
31,320
Cost of acquisition
Impaim)enl recognised
Heritage assets held are The Greai Dixier house and gardens which date back io the 15th Cen￿ry, the contents of
the house include furnilure dating back to the 17th century. Dixler farn) coniains a number of hisloric buildings
converted by the Trnst to provide educalion facilities for students
Valuatlon
A 25160th proportion of the house was acquired from the Estate of the late Christopher Lloyd al probate value.
The remaining balance of 35160th is recorded at cost being the amount paid in 200912010.
A subsequent valualion of this share was undertaken to support the above values.
Page 33
continued...

THE GREAT DIXTER CHAIUTABLE TRUST
NOTES TO THE FINANCIAL STATEMENTS - continued
FOR THE YEAR ENDED 31 MARCH 202S
J8.
HERITAGE ASSETS- eontlnued
Legal Charge
The Trustees of the Naiional Heritage Memorial Fund hold a legal charge over the Greai Dixier House, Land &
Buildings.
19.
FIXED ASSET INVESTMENTS
Lisled
Investments
Market value
At l April 2024
Additions
Revaluations
228,526
200,000
10 322)
At 31 March 2025
Net book value
Al 31 March 2025
At 31 March 2024
228 526
There were no investment assets outside the UK.
Cosi or valuaiion ai 31 March 2025 is represented by..
ListÈd
Investments
Valuation in 2023
Valuation in 2024
Valuaiion in 2025
Cosl
2,035
26,491
(10,322)
400 000
4J8 204
20.
STOCKS
2025
2024
Merchandise
Loggia
Nursery
66,074
4.911
71,267
15] 577
148 266
Page 34
continued...

THE GREAT DIXTER CHARITABLE TRUST
NOTES TO THE FIIYANCIAL STATEMENTS - continued
FOR THE YEAR ENDED 31 MARCH 2025
21.
DEBTORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
2025
2024
Other debiors
VAT
Prepayments and accrued income
2,509
10,023
2,226
22.
CREDITORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
2025
2024
Trade Creditors
PAYEtNIC Control
Pcnsion Control
VAT
Accruals and deferred income
Accrued expenses
27,538
551
4,439
38,978
505
4,400
6,539
210,013
2JSJJ7
J3
261210
273 430
Income has been deferred as il relaies 10 money received during Ihe financial year for mailers oCcu￿1ng after Ihe
year cnd. These maller5 includ¢ educational days, Zoom syinp05iums, in person symposiums and donalions for
Centenary friends that relate lo a number of years. During Ihe year the total money received that has been
deferred amounied lo £167,151 (2024-. £112,675). Of ihe deferred income brought forward, £54,476 has been
released to income during this financial year.
23.
ANALYSIS OF NET ASSETS BETWEEN FUNDS
2025
Total
funds
2024
Total
funds
UnrestrictedR¢stricted
funds
funds
Fixed assets
Investm¢nlS
Current assets
Current liabilities
2,581,765
418,204
969,071
261210)
4,824,934
7,406,699
418,204
Ja56,968
7,411,572
228,526
,333,545
387,897
3 707 830
5 212 831
8 920 661
8700213
Page 35
ontinued...

THE GREAT DIXTER CHARITABLE TRUST
NOTES TO THE FINANCIAL STATEMENTS - eontinued
FOR THE YEAR ENDED 31 MARCH 2025
24.
MOVEMENT IN FUNDS
Net
movement
in funds
Transfers
between
funds
At
31.3.25
At 1.4.24
Unregtrl¢¢ed funds
General fund
Capitalised Funds
Christo's Fund
Angel Fund
Arcadia Fund
Veg Wages Fund
FG 25 Year Fund
Projeci 2023 Appeal
Major Repairs
loo,000
2,505,902
346,62]
415,258
83,333
769
43,740
49,538
193,952
{193,952)
loo,000
2,505,902
342,418
411,353
83,333
467
47,765
22.640
193 952
(4,203)
(3,90S)
(302)
4,025
(26,898)
193 952
3,545,161
162,669
3,707,830
Restricted funds
Meadow Project Fund
Gardeners Fund
Chrislopher Lloyd Travel Bursary
Christopher Lloyd Scholarship
US Scholarship Fund
Bio Diversity Fund
Richard & Brenda Young Fund
Projects Fund
Caiger-smiih Collection Fund -
Capitslised
Borun Scholarship Fund
Capilalised Funds
1,655
6,3S5
15,061
1,468
13,688
31,197
2,852
383,591
245
262
(3,278)
978
1,900
6,617
11,783
2,446
13,688
30,004
2,852
297,585
(1,193)
64,544
(150,550)
48,000
21,021
4 630 164
48,000
21,021
4 776 935
J50550
5 155 052
5 212 831
TOTAL FUNDS
8 700 213
220 448
8 920 661
Page 36
continued...

THE GREAT DIXTER CHAIUT ABLE TRUST
NOTES TO THE FINANCIAL STATEMENTS - continued
FOR THE YEAR ENDED 31 MARCH 2025
24.
MOVEMENT IN FUNDS - COD¢inued
Net movement in funds, included in the above are as follows:
Ineoming
resourees
Resourees
expended
Galns and
losses
Movement
in funds
Unrestrieted funds
General fund
Christo's Fund
Angel Fund
Veg Wages Fund.
FG 25 Year Fund
Project 2023 Appeal
2,387,085
123
(2,193,133)
193,9S2
(4,203)
(3,905)
(302)
4,025
26 898)
(4J26)
{3,9111
515
22,999
(817)
(18,974)
26 898)
2,410,728
(2,239,822)
(8,237)
162,669
Restricted funds
Meadow Project Fund
Gardeners Fund
Chrisiopher Lloyd Travel Bursary
Chrisiopher Lloyd Scholarship
Bio Diversity Fund
Projects Fund
Capitslised Funds
245
262
3,465
978
2,151
226J15
245
262
(3,278)
978
{1,193)
64,544
(6,743)
(3,344)
(J61,771)
233 416
175 637
TOTAL FUNDS
2 644 144
2415459) 237)
220 448
Pag¢ 37
continued...

THE GREAT DIXTER CHARITABLE TRUST
NOTES TO THE FINANCIAL STATEMENTS - continued
FOR THE YEAR ENDED 31 MARCH 2025
24.
MOVEMENT IN FUNDS- continued
Comparatives for movement in funds
Net
movement
In fund5
Transfers
between
funds
At
31.3.24
At 1.4.23
Unrestrlcted funds
Genernl fund
Capitalised Funds
Chrisio's Fund
Angel Fund
Arcadia Fund
Veg Wages Fund
FG 25 Year Fund
Projecl 2023 Appeal
100.000
2,505,902
329,265
381,042
83,333
330
30,275
3,543
{3,543)
100,000
2,505.902
346,621
415,258
83,333
769
43,740
13,813
34,216
3,543
439
13,465
3,430,147
15,014
3,545,161
Restrlcted funds
Meadow Projeci Fund
Gardeners Fund
Chrisiopher Lloyd Travel Bursary
Christopher Lloyd Scholarship
US Scholarship Fund
Bio Diversity Fund
Richard & Brenda Young Fund
Proj￿1$ Fund
Caigcr-smith Colleciion Fund -
Capiialised
Borun Scholarship Fund
Capitalised Funds
1,069
5,635
14,197
568
13,688
28,891
2,852
421,661
586
720
864
900
1,655
6,355
15.061
1,468
13,688
31,197
2,852
383,591
2,306
(38,070)
48,000
21,021
4 632031
48,OLN)
21,021
4 630 164
5 189613
34 561)
5 155 052
TOTAL FUNDS
8 619 760
8 700 213
Page 38
continued...

THE GREA T DIXTER CHARITABLE TRUST
NOTES TO THE FJNANCIAL STATEMENTS- eontinued
FOR THE YEAR ENDED 31 MARCH 2025
24.
MOVEMENT IN FUNDS- continued
Comparaiive net movement in funds, included in the above are as follows:
Incoming
resources
Resources
expended
Gains and
losses
Movement
in funds
Unrestrieted funds
General fund
Chri510'5 Fund
Angel Fund
Veg Wages Fund
FG 25 Year Fund
Project 2023 Appeal
,951,103
13,813
7,725
836
31,880
(1,947,560)
3,543
13,813
34,216
439
13,465
26,491
(397)
(18,415)
2,061,005
(1,972,482)
26,491
15,014
Restrleted funds
Meadow Project Fund
Gardeners Fund
Chrislopher Lloyd Travel Bursary
ChTisiopher Lloyd Scholarship
Bio Diversity Fund
Projects Fund
Capithlised Funds
650
720
6,230
900
19,957
(64)
586
720
864
900
2,306
(38,070)
(5,366)
(17,651)
(169,171)
159 558
194 119
TOTAL FUNDS
2 220 563
2 166 601)
Page 39
ntinued...

THE GREAT DIXTER CHAIUTABLE TRUST
NOTES TO THE FINANCIAL STATEMENTS- Continued
FOR THE YEAR ENDED 31 MARCH 2025
24.
MOVEMENT IN FUNDS - continued
A currenl year 12 months and prior year 12 months ¢ombined position is as follows:
Net
movement
in funds
Transfers
between
funds
At
31.3.25
At 1.4.23
Unrestricted funds
General fund
Capilalised Funds
Christo's Fund
Angel Fund
Arcadia Fund
Veg Wages Fund
FG 25 Year Fund
Projeci 2023 Appeal
Major Repairs
i 00,000
2,505,902
329,265
381,042
83,333
330
30,275
197,495
(197,495)
i 00,000
2,505,902
342,418
411,353
83,333
467
47,765
22,640
193 952
9,610
30,311
3,543
137
17,490
22,640
193 952
3,430,147
277,683
3,707,830
Restricted funds
Meadow Project Fund
Gardeners Fund
Chrisiopher Lloyd Travel Bursary
Chnslopher Lloyd Scholarship
US Scholarship Fund
Bio Diversily Fund
Richard & Brenda Young Fund
Projects Fund
Caiger-smith Collection Fund-
Capitalised
Borun Scholarship Fund
Capitalised Funds
1,069
5,635
14,197
568
13,688
28,891
2.852
421,661
831
982
(2,414)
1,878
1,900
6,617
11,783
2,446
13,688
30,004
2,852
297,585
26,474
(150,550)
48,000
21.021
4 632 031
48,000
21,021
4 776 935
150 550
5 189613
5212831
TOTAL FUJYDS
8 619 760
300 901
8 920 661
Page 40
ontinued...

THE GREAT DIXTER CHAIUTABLE TRUST
NOTES TO THE FtNANCIAL STA TEMENTS - eontlnued
FOR THE YEAR ENDED 31 MARCH 2025
24.
MOVEMENT IN FUNDS - continued
A current year 12 monihs and prior year 12 months combined net movement in funds, included in the above are
as follows;
Incoming
resourees
Resources
expended
Galns and
losses
Movement
in fund5
Unrestricted funds
General fund
Chn'sto's Fund
Angel Fund
Veg Wages Fund
FG 25 Year Fund
Project 2023 Appeal
4,338,188
13,936
7,731
1,351
54,879
(4,140,693)
197,495
9,610
30,311
137
17,490
(4,326)
22,580
(1,214)
(37,389)
33 008)
4,471,733
(4,212,304)
18,254
277,683
Restricted funds
Meadow Proje¢l Fund
Gardeners Fund
Chnsiopher Lloyd Travel Bursary
Christopher Lloyd Scholarship
Bio Diversity Fund
Projecls Fund
Capiialised Funds
895
982
9,695
1,878
22,108
357,416
(64)
831
982
(2,414)
1,878
1,113
26,474
{12,109)
(20,995>
(330,942)
392 974
369 756
TOTAL FUNDS
4 864 707
4 582 060)
300901
25.
RELATED PARTY DISCLOSURES
The North American Friends of Great Dixier (NAFGD) is a chariiy sel up in the USA whose purpose is to
support and promote the a¢livilies of GDCT in North America. GDCT and NAFGD have trustees in common.
During (he course of the year GDCT received funds lotslling $276,290 (2024.. $220,220) to support their
activities.
26.
CORPORATION TAXATION
As a chariiy, The Great Dixter Charitable Trnst is exempt from lax on income and gains falling within seciion
505 of the Taxes Act 1988 or s¢clion 252 of the Taxation of Char8eable Gains Aci 1992 10 the extent that
these are applied to its charitable objects. No tax charges have arisen in the year.
Page41
continued...

THE GREAT DIXTER CHAIUTABLE TRUST
NOTES TO THE FINANCIAL STATEMENTS - eontinued
FOR THE YEAR ENDED 31 MARCH 2025
27.
CONTINGENT ASSET
During the year ending 2017, Ihe Trust has benefitted from a legacy which also included a futtjre benefil from a
213rd inieresl in a property that is currently held in trust for a life tenant. The probate value of the property was
eslimaled at £500,000 during 2017.
Page 42

THE GREAT DIXTER CHARITABLE TRUST
DETAILED STATEMENT OF FJNANCIAL ACTJVITJES
FOR THE YEAR ENDED 31 MARCH 2025
2025
Total
fund$
2024
Total
funds
Unrestrlcled
funds
Restrlcled
funds
INCOME AND ENDOWMENTS
Donations and legaeies
Donalions and legacies
Gift aid
673,316
6,122
679,438
396,019
715,227
6,122
721,349
442,624
Other trading activities
Nursery income
Merchandise income
Loggia income
Other business income
Rental
Royalties
213,985
217,786
298,721
384,541
20,687
213,985
217,786
298,721
384,$41
20,687
206,049
201,894
280,405
376,206
17,006
1,138,982
J,138,982
1,087,006
Investment income
Interest
25,944
979
26,923
22,441
Charitable a¢tivities
Admissions income
Projects
507,$7S
507,575
249
226 3J5 ￿15
449,860
218630
530,575
226JlS
756,890
668,490
Other Income
Oiher income
Total Incoming resources
2,4JO,728
233,4J6
2,644,J44
2.220,563
EXPENDITURE
Olher Tradlng Actlvltles
Wages
Pensions
Nursery costs ofsale
M¢rchandise costs of sale
Loggia costs of sale
Direcl Cosis of other activity
Carried forward
221,601
33,428
60,233
92.117
159,613
103,425
670,417
221,601
33,428
60,233
92,117
159,613
103,425
670,417
177,935
30,554
49,196
98,496
122.299
107,996
586,476
This page do¢s not form part of the statutory financial statements
Page 43

THE GREAT DIXTER CHAIUTABLE TRUST
DET AILED ST ATEMENT OF FINANCIAL ACTIVJTIES
FOR THE YEAR ENDED 31 MARCH 2025
2025
Tolal
fund$
2024
Total
funds
Unrestricted
funds
Reslrleted
funds
oiher Trading Actlvities
Brought forward
Volunteer expenses
Trdining
Lighi, heal and water
InsuTanGe
Health insurance
Telephone and internel
Postage and slationery
Compulcr costs
Motor expenses
Travel expenses
Subscriptions
Accountancy
Legal and professional
Bank charges and interest
Card iransaclion fees
Sundry expenses
Health and safety
Plant and machinery
Motor vehicles
Computer equipment
Loss on sale of iangible fjxed asseis
070,417
lJ41
J83
66,581
9,441
3,996
6,842
9,576
29,419
6,444
3,209
677
8,480
27,631
2,742
12,238
3,496
4,]42
9,531
1,208
536
670,417
lJ41
183
66,58]
9,441
3,996
6,842
9,576
29,419
6,444
3,209
677
8,480
27,631
2,742
12,238
3,496
4,142
13,310
1,208
S36
586,476
1,371
309
51,618
11,396
3,662
5,258
9,885
46,950
4,189
,162
1,168
9,120
11,606
1,731
14,084
1,255
2,415
13,526
1,544
10,116
3,779
876,751
3,779
880,530
788,841
Raislng Donations And L¢gacles
Wages and salaries
60,51J
60,511
53,448
Charltable actlvltles
Wages
Repairs and renewals
Cleaning and laundry
Voluntcer expenses
Food and hospitality
Project Coslings
Conservation
Fundraising
Bank charges
Card transaclion fees
LiEhi, heat and water
Rales
Advertising
Carried fomrd
962,101
155,917
3,J05
0,008
10,033
45,884
5,245
14,233
1,703
12,238
12,549
11,141
13,560
1,253,717
962,101
155,917
3,105
O,Of18
10,033
217,742
5,245
14,233
1,703
12,238
12,549
11,]41
13,S60
1,425,575
866.257
105,751
2,556
7,729
5,344
219,468
2,103
11,138
2.403
14.084
13,509
7,840
16,989
1,275,171
J7J,858
171,858
This page does not fonn part ofthe slatulory fjnancial stalemenls
Page 44

THE GREAT DIXTER CHAIUTABLE TRUST
DETAILED STATEMENT OF FINANCIAL ACTIVITIES
FOR THE YEAR ENDED 31 MARCH 2025
2025
Total
funds
2024
Total
funds
Unrestricted
funds
Restricted
lunds
Charltable attlvllles
Brought forward
Health and safety
Insurance
1,253,717
4,142
171,858
1,425,575
4,142
,275,171
2,415
1,274,529
17J,858
1,446,387
,298,165
Support costs
Governan¢e ¢osts
Auditors, remuneration
Bank charges
Trustee Insurance
Wages and salaries
6,250
558
2,212
6,2SO
558
2,212
5,675
426
2.212
Tothl resources expended
2 239 822
175 637
2 4J5459
2 166601
Nei Income before £aln$ and lo$se$
170,906
57,779
228,685
53,962
Realised reeognised gains and losses
Realised gainsl(losses) on fixed assei
investments
Net income
162 669
This page does noi fonn part of the statutory financial staiements
Page 45