Charlty number: 1156458
JANE AUSTEN'S
HOUSE
Jane Austen's House Museum
Trustees, annual report and Consolidated financlal statements
Forthe yearended 31 December 2024
Compass Accountants
Venture House
The Tannerles
East Street
Titchfield
Hampshlre
P0144AR

JANE AUSTEN'S HOUSE MUSEUM
Contents
Page
Legal and admlnlstrative information
Trustee5' annual report
Staterllent of Trustees, re5PDnslbilities
Auditorfs report lo the Trustee5
8-10
Consolidated Statement of flnancial activitie5
li
Consolidated Balance sheet
12
Charity Balance sheet
13
Consolidated Cash flow statement
14
Note5 to the fln8ncial statement5
15-23

JANE AUSTEN'S HOUSE MUSEUM
LeBal and admlnlstratlve Informatlon
Charlty number
1156458
Principal address
Jane Au5ten's Hovse
Winchester Road
a)aWEon
Alton
Hampshlre
GU34 ISD
Tiustees
Louisa Price (Chair appointed 4.12.241
Isabel HuEhes Ichalr iesSgned 4.12.241
Rebeccè Barden (resigned 19.6.241
Keith Plarrison
Geollrey Marsh
Isabella Mead
Annabel Partridge
Elizabeth Stott
Ayesha Wal3walkar Ire5igned 24.4.241
Anne YtsunE
Dlrector
Lizzie Dunford
Auditor5 & Accountants
Compass Accounlants Limited
Venture House
The TannErses
East Street
Titchfteld
Hampshire
P014 4AR
Bankers
CAF Bank Limited
25 Kings Hill Avenue
West MallinE
Kent
ME19 4JQ
National Westminster Bank PIC
105 High Street
Winchester
Hatnp5hire
S023 9AH
Page I

JANE AUSTEN'S HOUSE MUSEUM
Report of the trustees for the year ended 31" Decèmber 2024
The Trustees present their repoTt 3nd the Ilnanclal statements lor the year ended 315t Decembei 2024. The Trustee5
who served during the yeèr and up to the date ol this report are set page l. The Trustee5 have had due ￿gard
to the guidance Èssued by the Charity Commission on Public Benefit.
Structurei governance and management
The Charity 15 a Foundation Charltable Incorporated Organisation ICIOI and 15 goverTred by it5 Con5titulion. ThÈ CIO
was registered with the ChaiSty Commission on 31" March 2014 and wa5 dormant fiom thi5 date until ill July 2014
when it took over the actlvitles ol th@Jane Austen Memorial Trust. This tfansler w3s 3uthori5pd by a 5ectlon 105
Order Issued by the Charity Commission lor England and WalE5,
The Charity 15 not affilÉated to any other Charity.
Trustee Induction and Traini
There is no formal Induction and training for Tru5teES. However the existing Trustees inform a potential trustee about
tlie charity'5 mission before any aPPDitttrnent with a vtew to the potential Trustee helping to achieve the sei goals and
objecttves ol the charity. Five Tru5tee5' meetings are held in 3 year at which the Trustee5 can ralse and dlscuss
relevant Issue5.
anisatioThal Structure
The Trustee5, who Theet reBularSy throughout the year, are Yesponsible lor the overall directlon of rhe charlty.
Trustees are appolnted for an init181 term of three year5, any v3cancie5 being lille(I by the sÈlELIIuTi aiid appoinlment
of 5Ultable perstsns by the Truste&5. Day to day operations arE overseen by the Director, who leads a team ol paid staff
and volunteers,
lsk Mana
ement
The Trustees continuously seek to identlfy 01 review major risks to which the t￿laritY may be exposed on an ongoing
basis, documentin8 them a5 appropri6te in ihe Risk Reg£st@r. Once identified, systems and procedure5 for monltorln8
and mitigating risk5 are put into placE. ThE Risk Register is r￿l@we￿ formally and approved by Tru5tee5 annually.
Obleetives and actlvltles
JaDe Au5ten'5 House Is a Charitable IncoTporated Organisation ICIOI established to advance edvcation alld the study
of English liter8ture and specifically to advance the works of Jane Austen. These objective5 are achieved by rnallaging
thÈ DpÈn¢nB ol the house in Chawton, HaTnpshlre where Jane Austen lived from 1809 to shortly before her death in
1817 as a museum dedi£ated to her life and writin£ and by promotions at spe£lfic events relating to her work5. There
have been no changes in the policies adopted to achieve the charity's oblectives.
The CIO'S principal activities durin8 the period were those of the ktpkeep and rnaintenance of Jane Au5ten'5 House,
making il accessible to the public and to Inform aboui her life and work in furtherance of the educational oblectlve.
The Trustees gratef￿11¥ acknowledge the work of the volunteer iota *n hdping to ¥un the Museum.
Achlevements and performance
Overvlew
2024 was a year of celebiation, consolidation and preparation for Jane Austen's Mouse. It marked the 75 annlversary
of the museum openin8 to the public 1949 and saw the completion of the roof restoration project begun in 2021, as
well as the installation of a new permanent e%hlbStion celebratiagjane Austen's Art ol WTltinR, ThrouEhout the year,
the stall and tru5tee5 were also hard at work planning the ￿pcoMing year of celebration5 to mBrk the 250
atlniversary of Jane AusteTh'5 In 2025. 2024 also marked a return to pre-covld visitOT flgure5, and saw the museum run
at an operating surplu5 for the thlrd successive year, although the cost ol the roof restoration SBW an overall reduttion
n funds.
Page 2

JANE AUSTEN'S HOUSE MUSEUM
Report of the trustees for the year ended 31" December 2024
Our Impact and EngageTr)ent
Visitors lo Jane Austen's House..
Ir¥ 2024 Jane A115ten's Hoiise welcomed 39,123 regularvi51tor5,' a 4Y¢ increase on 2023 vlsltor numbers, and a return to
pre-covid visitor fi8ure512019.. 38.9821. Of these vlsltors. 14% came from within Hampshire, 58% from within the UK,
but outside Hampshire. and 28% carne from outslde the UK. The gross econtsmic Impac¢ ofjane Austen's House in
2024 was £1.260.340 Isource.. AIM £coTrornic Impact Toolkitl.
Formal learning-
The investment made in the House's formal leart>ing pro8ramme. SUPPOFted by a Reimagine Grant from the Art Fund
resulted in a significant increase in formal learning intera£tion5. With nearly 1.000 workshops and formal educaiion
interactions from a wide-range ol learning providers. and across pr*mary. secomdary and tertiary education. This (S 8
17ffA increase on 2023. and double pre-pandemic level5.
Informal Learning=
The House continued to offer a diverse range Of informal learnlng and en8agement opportunities, from online events
and Social media reels. to onsite workshops and tours. Onsite and online events welcomed 1,379 attendees, wlth
online events continuing to be veTy popular. especially the annuèl Virtual Jane Austen &irthday Party and monthly
virtual book clubs. The virtu31 tour ol the House. first launched Fn 2020 and funded by grants frotn the Art Fund and
South Downs National Park continue5 to be well used. with 5,700 actlve users over the year la 17Yo illcfease on 20231.
The House saw a 40% increase in social media followers across 2024. ending the year wilh a total o1195.7k followers
across Instagram. Facebook. TikTok, Twitter 8nd Threads. Through these platforms. the organisation reached a total of
3,381,500 people and had direct engagefflent wéth 553.000 user5.
One of the highlights of 2024 was the FTancls Austen Manuscript Tran5CliPtion project. In April 2024, to tnark the 250
birtliday of Jane Austen'5 brother Admiral Sir Franci5 Austen. we asked lor help to lead anLI transcribe the holograph
biography of his life that we acquired in 2023. Over 2,000 people responded1n the first 24 hours, and after many
Months of work receiving. collating and checklng the transcriptions, the lull manuscript will be published for the first
time in April 2025.
Collections and Curation
Exhibitions and displays.. 2024 saw the realisatlon of several exhibition5 that had been planned for several year5. The
highlight of the year was the opening ol the new permanent exhibition 'Jane Austen and the Art of Writingi
which
centres and (elebrates Austen's unique creative genius within the homEth3t 5heltEred it, alDng5ide. quite literHIIy
ShO￿asing lane Austen House's world-leadin8 collection of first edttions, letter5 and objects. The exhibition wa5
supported by individual donors, as well as the organisations rEseTves. TefftpDrary exhibit1005 iDcluded-Man51ield
Polk.. Courtftng Controversy" which ran from April to SeptembeT, and explored the nu3nce5 and darknes5e5 Df Au5ten'5
third novel. The exhibiiion was guest curated by Dr Timothy Moore, and also featured an artistic comm155ion by ait15t
Channelle Brown. The House m3rked Admiral Sir Fianci5 Austen's 250, birthd3y with the exhibition Trovels with Fronk
Ausien, which ran from April to July* and the 75 aTrnivef5ary of the House beins opell to the publlc with 75 Yetsis OA
JAH guest curated by PhD student Rachel Millar. The Family Room was rehung to better display the collection of
miniaiures, silliouettes and portralts, and 31so saw the installation ol a small temporaTy exhibitioTr focused on the bold
and brilllant women ol Au5ten's life.. Obstinutg Heodstrong Girl.
Acquisitions:
Jane Austen's House is grateful for the gift ol two drawiTr8s Tllade by Cassandra Austen In 1795 and 1805 from an
Au5len family descendent. They are a beautiful addition to the existing collectSon of C35sandr3 Austen drawings al
Jane Austen's House, and will help us to continue to tell the story ol Jane'5 talented slster. The siaff and trustees
would like lo thank Professor Janine Barchas for her support in this. The House also received a Kift ol a copy of The
Au5Een Papers, a vital re50uice for Austen material.
Maintenance and Conservatlort
The major project lor 2024 was the completion ol the lin81 phase ol the Roof Resroration Project. The work w3S
carfled out by Clarke RoolinE Southern Limited, and the architect was Giles Pritchard Architecture. Atter the re-roofillg
ol the main house over the winter of 202112022 IPhase 11. Ph3se 2 of the project S3W the restoration and re-roofing
ol the Courtyard Buildings (Shop, Alcove. offices, Bakehouse and toilets). Work started in February 2024. and the
restoration was complete Ekyjuly 2024, just in time to celebrate the House's 75th anniversary of opening to the public.
The project necessitated the moving of rhe Visitor Reception and Shopto the Historic Kitchen lor three months. and
the resilience and innovation of the staff and volunteer team during a tlme of disruption and change is something to
be celebrated. As with Phase I, we sold ¢iles from Ihe roof to help raise funds. The 200 ttles sold out in eleven houTS.
Page 3

JANE AUSTEN'S HOUSE MUSEUM
Report of the trustee5 for the ye3r ended 31" December 2024
and we are so grateful for the support and engagement of all those who donared to the Roof Restoratioll Project over
2024 and the previous four ye3r5. The House and the Courtyard Buildings are now watertight lor the next generations,
and with the addition of hemp Insulation and Èxtra 8Uttering, have extra protection for climate cliange.
Retall Development and Commercial Income
2024 was a n)ore challenging yÈar for commercial income. with a year on year drop tn retail spend per head for the
first time In four years. This was in part driven by external factors. and in part by the move from the d2diiated shop
space to the much smaller Historic Kitchen. driven by the iool restoration project. Thi5 rnove reduced space not just
for product lines, but also for shoppers themselves, and did have an impact on sale5 lor the first h311 Df tlie year.
Despite this, we continued to see very healthy sales. and 3 contribution of £55,55312023.. E73,8001 from our
SLibsidiary IAHM Trading Company, to the CIO, and a strong spend per head of £9.32 at year end. E-cornThierce
continued to grow, with an 58% increase on 2023 incorne, and our licenslng pBrtnershlps wlth Riley 81ake Designs.
Moorcroft Pottery. Harnilton Weston Wallpapers and The Harkness Rose Company continued to be successful,
together generating £2S,80812023.. £32,813).
Jane Austen 250
A key strand ol activitythroughout 2024 was planning for the 250 anniversary ol Jane Austen's birth in Decernber
2025. Thi5 milestone is the1&st of a serles ol Austen anniversarses that begar* in 2009 wtth the 20D' anniversary ol
Austen moving to Chawton, and has included the bicentenaries ol the public3tion ol each ol her novels, as well a5 that
of her death in 2017 la landmark year wliich saw a recorij number of 55,000 vi51torsl. The year represents a kev
opportunlly to raise the prollle ol the House, and to generate essential funds to support the IonE-terrn stability and
development of the or£anisarion. With the next Austen anniversary not until ?.075, Ihe tru5tee.s and Staff have. beet
planning for 2025 with care and consideration lor seveTBI ye.ars, 2024 ssw thp. fin3lisatian Trf programmlng strands,
exhibition5, retail product5 and partnerships. Prograrnming foi 2025 will feature 5 Tnini-festivèls, each focused around
one of Austen's novels, takillg place in Januaryj May, July, SepternbeT and December. The JBnuary, July and December
festivals 3re expansions ol existing, popular events, and all will le3ture a mlxture of talkg, experiences. performances
and workshops. The main exhibition of the year will be Au5tenmonla, celebratlng the 30 anniv@r53ry of four
transformational adaptlOll5 of Au5ten'5 work, all rele35ed in 1995. A spe¢lal ly)ok. A Jone Aijsten Year has been written
by Head of Collections Sophie Reynold5 and developed by the staff team, ancl will be publtshed exclusively lorthe
House in January 2025, before golng on general release in March 2025. An accompanying podca51, again written bv
Sophie Reynold5, and voiced by the staff team has been recorded lor release 2025.
Chalr of Trustees
December 2024 marked the retirement of our long-seTV5ng chalr of trustees Isabel Hushes. Isabel has been hugelv
influential in the development and profes5iofiali5ation ol the House over the p3St 15 year5 and 17as Served as chalr
since the transition to becoming a CIO in 2014. Her vi510n, Intellect, compassion and support has bÈEn invaluable to
everyone who ha5 had the pleasure of working with hEf both a5 trustees and siaff over th2l time period. and as
individuals and as an org3Nisation we are immensely grateful for all her efFoils ènd time over those years.
Isabel is succeeded 35 chair by Louisa PTice, whD has served as B trustee slntÈ 2022. 3nd brings to the role
considerable ¥nuseurn and governance experience. JAkl Is hugply ltstsking forw2rd to her leadership, and the next
Stages of the O￿a￿ls?110n'5 development.
Publlc Beneflt
The aim of the House is to..
Maintaln and keep open for the public Jane Au5ten's House at Chawton, Hampsh1rÈ
Maintain, secure. and conserve the collection of artefacts
Explain and educate about J3ne Austen's Ille, works and famlly
The Trustees confirm that they have referred to ihÈ public bonoflt guidance publlshed by the Charity Conirnission
when rev5ewing the Charity's aims and objectlves.
Flnanclal Revlew
Flnanclal OvervlÈw
In 2024 the Charity welcomed 39,123 visitors to the House12023.. 37,5471, thus exceedir¥g pre-covid visitor figures
12019.. 38,9821. Admissions income iTrcreased by 14% to £464,77712023: £408,845].
PaEe 4

JANE AUSTEN'S HOUSE MUSEUM
Report of the trustees for the year ended 31 December 2024
Donations and grants totalled £106,49712023.. £73.3781. Within this figure £5,41912023.. £6.9231 was recelved from
Jane Austen Sociely ol North America IJASNAI to support a designated fund for object conservation. The Courtyard
Buildirkg Fund received donation5 totallin8 £14,12112023- £2,311) towards the re-roofing works for phase 2 of the
Roof Restoration Project. Jane Au5ten's House is grateful to those people who considw our charity in their will. In
2024 the charily received legacies from one estate totallTrnE £10,000 ol unrestricted income, further n)onies from this
eslate will be received in 2025. Our permanent exhrbition Jane Austen and the Art ol Writing fund recelved £7,053
12023.. £2501 towards the 12-sided bespoke display case Show ca5ill8 our collectlOn5 of first editlons, letters and
objects.
RÈt3il sales, includin8 royalty income, totalled £390.50912023-. £389.7411. The Charitls trading subsldiaryJAHM
Trading Company Ltd gilt aided £5S.553 to the Charity12023.. £73,800) reflecting its Met profit lor the year.
Investment income. beillg monies held on Treasury Deposit ft>r an average of 3 months at a tlme totalled E18,483
12023.. EII,1421.
Charity expenditure totalled El.074.977.12023.. £762.9381. A larÈe part of thls increase in expendrture was due to
spend the Roof Restoration Project lor phase 2 of the re-roofing works totalli￿g £240,251.
Overall. the Charity incurred a net delicit of £63.181 across all funds12023.' surplus £150,176).
rlncl le Fundin
Sourc
The Charity relie5 on 8dmissions incomefrom visitors a5 well as events tncome together with surpluses generated
from retatl activity by its trading subsidlary.
Within desi
nated funds Jane's Fund, the Charitvs established public fundraising appea1, received donation5 totallin8
E8,23612023.. £9,290) this being lorthe geneial upkeep of the whole 51te including redecoration in the House. E8,183
was spent from the JASNA designated fund to Support the ongoinE conservatiofi and restOT&tion works at thp House
includin8 conserving several objects in the collection and conservation equiprnent. £8,106 was spent IrDm the Jane
Austen and the Art ol Writin8 fund on the development of a new, permanent exhibitloll space exploiin6 Au5ten's
creative proces5 and showcasiiig key objects from our collection. £233,871 wa5 Spent fiom the Courtyard Buildings
Restoration Fund ro complete the Roof Restoration Project of the outbuildinES. The Jane Austen AnTriveF5aries
Developnient Fund was establislied to coincide with the 250 anniversary ol Jane Au5ten'5 birth in 2025, É8,955 was
spenr from this fvnd for exhibitions in 2024 and expanding to 2025.
Within restricted funds Ihe multi-year Art Fund Reimagined Grant project W85 completed delwering the"Cfeativity
and Curriculuin.. engaging today's young people with Jane Austen's eternal themes project". £1,200 was received
from The Textile Society to fund the conservation towards Cassandra's handkerchief.
Aosorves
Trusrees have agreed to seek to maintain free reserves Ifunds not tied up in fixed assets, designated or ie5tiicted
funds) of cash equivalent to 6 months of budgeted expeTrditure. This c￿rientIY equate5 to approximately £370,000.
YheTrustees aim to dlrect any su¥plus tree reserves to the de5t8nated fund5 for buildin8 repairs, collectlons
development, feastbility work, acquisitioTrs and rn&tch funding lor major development p¥oje£t5.
In summary. the ie5erves position at 31 December 2024 wa5 a5 follows-
2024
2023
Restricted
Unrestricted
DesiEnated
Fixed assets
Free reserve5
1,200
4,068
160,440
2,191,183
437,200
371,131
2,159,043
318,962
Total
2.790,023
2,853,204
Page 5

JANE AUSTEN'S HOUSE MUSEUM
Report of the trustees for the year Ended 31. December 2024
The Trustees keep the risk register and reserves policy under regular review and would expect to revise these, where
nece$53ry, to rellect any further changes in the charitws operating environment.
FEJndraising standard5
Jane Austen's House carries oui fundraising to support its activlties in gener31 and for specific projects through direct
public appeals on sire and through its web51te aTrd soci31 media pages. Appliiations are 8150 made to appropriate
granr-making bodies. The House does not employ professional fundraisers or engage with commercsal partners lor
these purposes.
Auditors
The accounts have been audlted by Compass Accountants LSmlred. A rogolutlon to reappolnt the auditor wlll be put to
the members at the Anntial General Meetlng.
So far as theTrustees aFÉ awarÈ, thÈrÈ is no relevant 2udlt Information of which the charity's auditors are unaware.
Tru5tep5 h3ve laken all the steps nEce55ary to make themselves aware of any rolev2nt audlt Informatlon and to
establish that the chaflty's auditor5 3re aware of that InlormatS0n.
Louisa Price
chairof Trustees
Date..
201£"
Page 6

JANE AUSTEN'S HOUSE MUSEUM
Statement of trustee￿ re5pon5ibillties for the year ended 31, December 2024
The Trustees are responsible for preparing the Trustees, Annual Report and the linanclal statemetEts in acctsrdance with
applicable law and United Kingdom Accounting Standards (united Kingdom Genera15y Accepted Accountlng pr￿tIce).
Charity13w require5 theTrustees to prepare financial statements lor each financial year, which Eive a true and falr vlew
of the state of affairs of the charity and ot the incoming resources and application of resovrces, including the income
and expenditure, ol the charity for that period. In preparing these financial statements, the Trustees are requlred io..
select suitable accounting policies and theri apply them consistÈntlyp
observe the methDd5 and principles in the Charlties SORP FRS 102120191,.
make judgement5 and estimate5 that are ieasonable and prudent..
state whether applicable UK AccountlngStandard5 have been followed. subject to any materi31 departures
dlsclosed and explai￿ed In the financial staternents,.
prepare the flnaniial statements on the golng concerTr ba515 unless It is inappropriate to presume that the
charitable company wlll contlnue In operation.
The Trustees are responslble for keeplng prtsper acctsuntln8 record5 that disc105e with ieasonable accuiacy at any time
the financial posltion of ihe charlty and enable them to ensure that the financi31 statements comply with the Charilies
Act 2011, the Charity IAccouTrts and Reports) RegulatlOn5 2008 and the provisions of the trust deed. They ar2 also
responsible for saleguarding the assets ol the charity and hence for taking reasonable steps foi the prevention and
detection of fraud and olhei irreBularitles.
Louisa Price
Cha¢r ol Trustees
Date..
Page 7

JANE AUSTEN'S HOUSE MUSEUM
Independent Audltorfs Report to the Trustees of Jane Au5ten'5 House Museum
Oplnlon
We h8ve audited the financial statement5 01 JanE Austen's House Museum Ithe'parent charitv) and its subsidlary (the
'group'l for the year ended 31 De£ernber 2024 which comprise the Consolidated Statement ol Flnancial Activity, the
Consolldated Balance Sheet, the Cliarity Salancesheet, the Consolidated Cash Flowstatement and note5 to the lin3ncial
statements, including 8 5urnmary ol SiEnlficont accounting policies. The financial reporting frarnewDTk Eh31 h8s been
applied in their preparatlon Is applicable law and United Kingdom Accounting Standard5, Including Fin?ncial Reportine
Standard 102 The Financiul Reporting 5ttsndurd opplicoble in the UKand Republic of Irelundlunited Kingdom Generally
Accepted Accounting Practlcel.
In our opinion the financial statements..
Eive a true and fair view of the state of thegroup's and parent charity's affairs as at 31" December 2024, and of the
group's intoming resources and application ol resources, including its income and expenditure. for the Year then
@nded,.
have been properly prepared in accordan￿ with United Kingdon) Generally Accepted AccoLSntin8 Practice,. and
have been prepared in accordance with the requlrements ol the Charities Act 2011.
Ba515 for opinlon
We conducted our 3udlt in aicordance with International Standardg on Auditing IUKI115As IUKII 2nd appllcable law. Our
responsibilities under those standards are further described In the Auditorfs responsibilities for the audit ol the financlal
stBtements section ol our report. We are independent of the group and parent clidrSiy in attordance wilh the ethical
requlrements that are relevant to our audit of the financial statements the UK, including the FRC'S Ethical Standard,
and we have fulfillÈd our otherethical re5ponslbilitles in 3ccordHnce with these reouirÈments. We believ&thèt Iheavdit
evidence we have obtained is sufficlent and appropri8te ta provide a basis for our qualified opinion.
other matter
In the Pfevious Bcrovnting period th@Trustees took advantage of theexemption In ihe Charities Act 2011 notto prepare
consolid8ted accounts 35 thEg*oup, ol which Jane Austen's House Museum is the parent, Qualified as a sm811 group. An
audit Wa5 carried out Dn the charltls financial statement5. Therefore. whllst the charity comparativÈs were subject to
audit, the consolldated group comparatives were not subject to audlt.
Concluslons relallng to going concern
In auditing the financial st3tement5, we have concluded tliat the trusrees, use of the going concern basis ol accounting
in the preparation ol the financial statements is appropriate.
Dased on theworkwe have performed, we have not identified any material uncertainties relatin6 to event50rconditlons
that, individually or collectivelyi rn6V Cast significanr doubr on the group's or parent's ability to contitFue a5 a goin
concern for a peritsd of at least twelve months from when the linan£i315tatemeTrt5 are authori5ed lor Issue.
Our responsibilitles ond the responsibilities of the trustees with iespect to going concern are descflbed in the relevant
sections ol this report.
other Inlomiatlon
The other information compTises the information Included In the trustees annual report, oiher than the financlal
slatement5 and our auditor'5 repo¥t thereon. The trust@es are responsible lor the other information contained wlrhl
the annual report. Our opinion on the Ilnaniial sratements doe5 not cover the othei information and, except to the
extent otherwise eXpl￿1t1V stated In our report, we do not expres5 any form of assurance conclusion theretsn.
Our iesponsibility 15 to reBd the other Information and. in doing so, considerwhethertheother Inforn)ailon Is maierlallv
1￿COnSIstent with the flnancial statements or our knowledge obtalned ifi the audit or otherwlsÈ appears to b& materlally
misstated. If we identify su£h material inconsistencie5 or appzrent materlal mlsstatÈments, we are required to
determine whetherthere is a material misstatement in the linanclal statements or a maiorial mlsstatemeTrt of Ihe other
information. If, based on the work we have perlorrned, we Conclude that there Is a mater131 mlsstatement of thls other
Informatlon. we are required to report that fact.
Page 8

JANE AUSTEN'S HOUSE MUSEUM
Independent Audltor's Report to the Tru5tee5 of Jane Austen's House Museum
Matters on whlch we are required to report by exception
We have nothing to report this regard.
We have nothing to report in respect of the following matters in relation to which the Charitie5 (Accounts and Report51
Regulations 2008 require us to report to you if. in our opinion:
the information given in the financial statement5 is Inconsistent in any rnaterial respect with the trustees, report,.
or
sufficient accountlng records have not been kept; or
the f¢nanci81 statements are not in agreement with the accounting Tecords,. or
we have not received all the informatlon and explanations we require for our aL¢dit.
Responslbilltles of trustees
As explalned moro lully In thetrustees, Yesponstbilities statement set out on pzge 7. thetru5tee5are responslblefor the
preparatltsn of financ131 slatements which give a true and fail view, and for such internal tontrol as the trustees
determlne Is necess2ry to enable the preparation of financial statements that are free from mater131 mlsstatement,
whether due to fraud or error.
In preparing the financial statements, tlie trustees are responsible lor a5ses5inB the group and parent charity's ability
to continue as a going concern, disclosing, as applicable, rnatters related to going concem and using the golng concern
basis of accountine unless tho rrusiees either InteMd to liquldate the group or the parent charity or to cease operatlOn5,
or have no reallstlc alternatlve but io do so.
Audltorfs responslbllltle$ for the audlt of the flnanclal statemerhts
We have been appolnted as audltor under sectlon 144 of Ihe Charities Act 2011 and report In 8CCOTdan£e with
iegulations made undÈr sectlon 154 of thal Att.
Our objectives afe to obtain reasonable assurance about whether the financial 5tatement5 as a whole a￿ free from
material misstatement, whether due to Iraud or error, and to issue an auditor's report that include5 our opinion.
Rea%on)ble assurance Is a hiEh level of assuranco, bur is nor a guarantee that an audit conducted in accordance with
ISAS IUKI will always detect a material misstatement when it exists. Misstatements can arise from fraud or error and
arecongidèred materlal if, indlvidually or In theaBgregate. they could reasofiably beexpected toinlluencetheeconomic
(fecisions of users takeii on ihe tiasis of rhese financi31 statements.
Irregularities, including fraud, ale instances of non-compliance with laws a￿d Fegulations. We design proiedures In Ilne
wilh our responsibilities, outlined above, to delect material rnis5tatements ifj respect of irregularltles, Includln8 fravd.
The speclllc procedures lor this engagement and the extent to which these are capable of detectln6 ifFesul3ritie5,
ncluding frèud Is deialled below..
We gained an undeTStandin8 of the legal and regulatory framework applicable to the charity and the sector in
which it operate5 thTough di5CU5sion5 wlth management, sector research, and the application of relevant audit
knowledge and experience
We made enqulries of management around actual and potential litigation and claims
We made enquirie5 of management and relevant staff. and designed our audit procedures, including reviewing
financial statement dlsclosures and testing ol svpporting documentation, to assess compllance with applicable
laws and rÈBulations. We locussed on law5 ènd regulations which Could give iise to material mlsstateme#t Ihe
financtal statements including, but not limited to. the Charlties Act 2011, the Charitie5 SORP, and tlie Financl31
Reporting standard 102.
We identlfied the risk of material misstatement ol the financial 5tatemeTrts due to fraud and designed audit
proCed￿reS to respond to the rlsk. We peTIoTmed audit piocedures deslgned to address the risk ol fraud arlsing
rrom management override ol contro15, includingt but not Ilmlted to, testing of lourn81 entries and other
adlustnients. reviewing accounting estimate5 for evidence of bias, and evalvatln8 the business rationale ol
significant transactions outside the normal course ol business
Page 9

JANE AUSTEN'S HOUSE MUSEUM
Independent Auditorfs Report to the Trustees of Jane Austen's House Museum
Because ¢Jf the inherent limitations ol an audit. there is a risk that we will not detect all irregularities, including thD5e
leading to a material mi55tatement in the financial st8ternent5 or non-cornpliance wth ie8ul&tion. This risk increases
the morethat compliance with a lawor regulation Is removedfromthe events and transactions reflected in the financial
statement5, as we wi11 be le55 likelyto become 3ware ol Snstances ol non-compllance. The risk is also greater regardin8
irregulBrities occurring due to fraud rather than error, Bs fraud Snvolves Intentional concealment, f()r8ery, ¢ollusion,
ornis5ion or mlsfepresentation.
A lijrther desirlption olour responsibilities forthe audit ol the linancsal st8tementS 15 located om the Fin3ncial Reporting
Councll'5 website at.. www.frc.or8.uklaiiditorsresponsibilities. This description forms part of our auditor's report.
Vse of our report
Thls report is mad@ solely to the charity's tru5tee5. 35 a body. in accordance with Part 4 of the Charitle5 IAccoutSt9 and
Reportsl Regulations 20D8. Our audit work has been underlzkeR so that we might state to the charity's trustees those
matters we are required to state to them in an audltor's report and for other purpose. To the fullest eKtenE permitted
bylaw, we do not accept or assume restx)nslbility to anyone other than the charity ancl thecharity's trustees as a bodv,
foro
udit work,
ort, or for the opiaions we have formed.
omp
Accountant5 Limited,
Chartered Accountan15 and St4lutory Audltor
Venture House. The Tanneries
East Street, fitchlield
Hampshire. P014 4AR
Date.. 1nl Zozs
Composs Accountonts Linitredis eligible to oct os on ouditorAn terms of section 1212 of the Componftes Act 2005.
Page 10

JANE AUSTEN'S HOUSE MUSEUM
Consolldated Statement of financial activities (incorporating the income and expenditure accountl
Foy the year ended 31 December 2024
Unrestricted Restrlcied
funds
funds
2024 UnrestrÈcred Restrlcted
Total
funds
funds
2023
Total
Note5
Income from:
Donatlons and grants
t>onated assers
Admissions
Trading compar)y
Investment income
Other income
Museum & Gallerles
ExhibitÉon Tax Relief
84,100
io,(xJo
464,777
390,509
18,483
23,584
12,397
96,497
10,000
464.777
390,509
18,483
23,584
64,422
420
408,845
389,741
11,142
23,494
8,956
73,378
420
408,845
389,741
11,142
23,494
7,946
7,946
6,094
6,094
Total Income
999,399
12,397 1,OAI,796
904,158
8,956
913.114
Expendlture on..
Raising funds
Trading companv
Charitable ad5Vitles
14,207
329.146
723,412
14.207
329.146
731,624
15.664
309,803
413,484
15.664
309.803
437,471
8,212
23,987
Total expendlturè
1,066,765
8,212 1,074,977
738,951
23,987
762,938
Net income/leMpenditurel
167,3661
4,185
163,1811
165,207
115,0311 150,176
Transfer between funds
7.053
17,0531
5,120
15,1201
Net movement in fund5
160.3131
12,8681 163,1811
170.327
120.1511 150.176
Reconclllatlon of fund5',
Total funds brought lorward
2,849,136
4,068 2,853,204
2,678,809
24,219 2,703,028
Total funds carrled forward
2,788,823
1,200 2,790,023
2,849,136
4,068 2,853,204
The notes on pages 15 to 26 lorm an integral part of these financial statements
Pa8e 11

JANE AUSTEN'S HOUSE MUSEUM
Consolidated Balante Shèet
As at 31st DÈcember 2024
2024
2023
Notes
Fixed asset5
Tangible assets
Heritage a5SÉts
li
12
26,038
2,165,045
5,099
2,153,944
2.191,083
2,159.043
Current assets
Stock
Debtors
Cash at bank and in hand
14
15
81,396
42,999
543,242
45,850
29,754
650,610
667,637
726.214
Credltors.. amounts falllng
due wlthln one year
16
168,6971
132,0531
Net current assets
598,940
694,161
Total assets les5 current Ilabllltles
2,790,023
2,853,204
Funds
17
Restricted funds
19
1.2(X)
4,068
Designated funds
General unresrri£ted funds
160,440
2.628.383
371,131
2,478,005
Total unrestricted funds
18
2.788,823
2,849,136
Total fund5
2,790,023
2,853,204
The financsal staremenis were approved and authori5ed for issue by the Trustees and signed on their behalf by
Loulsa Pri
Chair of Trustees
Date:
,1,12
oi
The notes on pages 15 ta 25 form an Integral part of these finartclal statements
Page IZ

JANE AUSTEN'S HOUSE MUSEUM
Balance Sheet
As at 3tst December 2024
2024
2023
Notes
Fixed a55ets
Tangible assets
Herit3Be assets
Investrnents
li
12
13
26,038
2,165,045
loo
5,099
2,153,944
loo
2,191,183
2.159,143
Current assèts
Debtors
Cash at bank and in h3nd
15
133.754
538.237
147,840
647.286
671,991
795.126
C¥edltors.' amounts falllng
due within one year
16
173,1511
1101,0651
Nèt current assets
598,840
694,061
Total assets less current liabillties
2,790,023
2,851,204
Fund5
17
Restricted fvnds
19
1,200
4,068
Designated fund5
General vnrestritted funds
160,440
2.628,383
371.131
2.478.005
Total unrestricteij funds
18
2,788,823
2,849.136
Total funds
2,790.023
2,853,204
The financial statements were approved and authorised for issue by the Trustees and signed on thelf behalf by
Loulsa Prlce
Chalr of Trustees
Date:
202<
The note5 on pages 15 to 26 form an Integfal part of these Ilnanilal statements
Page 13

JANE ALISTEN'S HOUSE MUSEUM
Cash flow Statement
for the year ended 31 December 2024
2024
2023
Cash flows from operating activitie5'.
Nei cash provided byllused Inl operatlng activities
191,8OBI
122.333
Cash flows from Investlng activities:
Income from inve5ttnents
Purchase of tangible fixed assets
Purchase of heritage asset5
18,483
132,9421
11,ioil
11,142
12,7201
19,S461
Net cash used in InvesilnR activllles
115,560
11,1241
Change in cash and cash equlvalents In the reporting period
1107,3681
121.209
Cash and cash equivalents at l January 2024
650,610
529,401
Cash and cash equivalents at 31 December 2024
543,242
650,610
Net incomellexpenditurel for the reportSng perlod
Depreciation
L055 OtE disposal of assets
Income from Investments
Donated assets
Decro3sellincreasel In stock
Decre3sellincre8sel in debtors
IDe¢reasel/incrÈasÈ in tredittsrs
163,1811
12,003
150,176
3,459
132
111.1421
14201
17,4171
7,722
120.1771
118,4831
iio,0001
135.5461
113,2451
36,644
Net cash provlded by/lused In} operating activities
191.8081
122,333
Page 14

JANE AUSTEN'S HOUSE MUSEUM
Notes to the financial stBtements
for the year ended 31" December 2024
Accountlng pollcles
1.1. Charlty Informatlon
Jane Austen's House Museum is a Fovndation Charitable Incorporated Organlsatlon ICIOI regSstered in England &
Wales. The principal addie5s Is Jane Austen's House, Winchester Road, Chawton, Alion. Hampshire. GU34 15D.
Jane Austen's Flouse Museum meets the deflnlt1on ol a publlc benefit entlty under section 34 of FRS 102. Assets
and liabililies are initialty reCog￿lSed at historical cost or transaction value. unless otherwise stated in the relevant
3ccountlng pollcy.
The principal objectlves ol the charlty are detailed In the Trustees report.
1.2. Basls of atcountlng
The charity constltutes a public benefii eniliy as deflned by FRS 102. The financial sratemenis have been prepared
in accordance with AccouritlnK and Reptsrting by Charitles.. Statement of Recommended Practlce appllcable to
charities preparing their accounts in accordance with the Financial Reporting Standard applicable in the UK and
Republic of Ireland IFRS 1021 issued in Oitober 2019, thp Finan£ial REporting Standard applicablp in the United
Ktngdom and Republic of trrela￿d IFRS 1021. the CharitiesAct 2011, and UK GenerallyAccepted Accounting Practice.
The financial statetnents are presented I￿ 5terlill8 which 15 the functional curreTrry of the charity. Monetary
amounts in ihese financial statements are rounded to the llearest £.
Consolidated financial slatement5 have been prepared in respect of the charitable trust and Its Whol￿ owned
5ubsidiHryJ J A H M Tradins Cotnpany LiFnitEd. The Cons01id6ted Staternent of Financial Activitie5 iTrclude5 the
results of J A H M Trading Comp3ny Limited as single line items. The Con501idated Balance Sheet includes the net
assets of J A H M Trading CcFmp8rsy Limited on a line by line basis. This is a change from the previous year as
consolidated accounts were not required due to the Size of the group.
1.3. Going toncèrn
TheTrustees approved a detailed Income and expenditure budget for 2025 and, considerlng rhem
allordable, agreed that the accounts for 2024 should be prepawed on a goi¢iE concern basis.
The Senlor Management team and the Trustees revlew forecasts oll a regular basls throughout the year, glvlng
due consideration to risks & opportunitie5. This, allied to the stre￿8th ol the Balance Sheet and the availability ol
unrestriited reserves, includSnB thÈ mainlonance of a tash threshold designÈd to protett agalnst sudden, adverse
changes in our operating model. supports the decision to prepare these accounts on a going-concern basi5.
1.4. Charltable funds
Unrestricted funds areavallable for use at the discretion of the trustees in furtherance of their charitable objectlves
unless the funds have been des1gnated for other purposes.
Restricted fund5 are subject to specillc cond5tlons on their expenditure Imposed by the donor. The purposes and
uses of the restricted fund5 are Set out in the note5 tts the accounts.
De5(gnated ftAnds represent monies Set aside by Trustees to piovide for futt¥¥e acquisit10￿5 of Jane Austen
artefatts, rÈstor8tlon proje£ls and Ènhancement ol the museum facilities.
1.5. Incomlng resources
All inconTring resources are included in the Statement of f inancial Activilies when the charity is entitled to the
income and the amount can be qvantified with reasonable accvracy. The lollowing specific policles a¥e applied to
particular cate£ories of iniome:
Voluntary income is received by way of grants, donations and gifts ar)d is included in full in the Statement ol
Financial Actwities when reieivable.
Donated services and facilities are included at the value to the charity where this can be q￿a￿tifIed. The value of
5ervicES provided by volunteers has not been included.
Page 15

JANE AUSTEN'S HOUSE MUSEUM
Notes to the Ilnanclal statements
for the year ended 31" December 2024
Investrnent incorne is included when receivable.
Grat*ts. where related to performance and spÈcific deliverables, 3re accounted for as charlty earns the right to
tonsideraiiun by its perforniance.
legacies ale included when the Iharlty is advised by the personal representative ol an e5Eate that payment will be
made or property transferred and the arnount iTrvoSved can be quantified.
1.6. Resources expended
Expenditure 15 recogni£Èd on an accrual basis 35 a liability is incurred. ExpendiÈure includes any VAT which cannot
be fully recovered. 3nd ts reported separately 8s irrecoverable VAT.
Fundraising costs comprise the costs associated with attr3ctlng V151tOT5 tojane AustEn's House.
Charltable expenditure comprises those c05t5 iniurred by the Chatliy in the delivery of its activities 3nd services
lor its beneliciarie5. It includes both costs that can be allocated dir￿tlY to such activitie5 and those costs of an
indirect nature Treces5ary to support them.
Support C05t5 Include governance costs which are c05t5 associated with rne2tln8 the constitutional and statutory
requirements of the Charity and include the audit lees aAd Costs linkÈd to the strategic rnanagemenl of the Charity.
1.7. Tangible fixed assets and dèpreclatlon
Tangible fixed assets wlth a Cost or value greater than £500 and a useful life eKceeding Dne year are staled al c05t
les5 accumulated depieciation. Depreciation is provided at rates calculated to write oflthe cost less rÈsidual value
of each asset over its expected useful life, as follows:
Flxtures and fitting5
Computer equipment
5 years stralght Ilne
3 years st¥aight line
1.8. Heritage assets
Heiifage assÈis pr&domiTrantly rdate to the cost of the bulldin£, subsequent capital improvement5 and exhibit5
held in the museum. Herltage assets are recogni5ed ènd mp.3£ured at cost, or dÈÈmed cost. Herit88e 855et5
donated to the Fvluseum with a value in ex¢ess ol £500 are included ill the accounts on the basis of iiitern21
valuations est4m8ted by the relevant curatorlal staff and determined by their experience and judgement. Where
this information Is not available and Can￿0[ be obtained at a C05t coinmensurate wlth the benefits to users ol the
financial statements, the assets will noi be recognised in the Balance Sheet and the disclosure rÈqulrÈd by the
charities SORP will be made.
No depreciation Is provided on the freehold property and capital improvements as in the oplnltsn of the Trustees
the Currenl market value exceeds the combined value ol property and improvements.
Exhibit5 are Trot depreciated slnce they are maintained 8t their current conditioft by & continuing ¢onsÈrvailon
programme. The cost of conservation ol exhibits is reportÈd in tho Statement of Financial Activities in the year it
is Incuired.
1.9. Flxed a55et Investments
Fixed asset investments are initially measvrEd at 105t and 5ubseouÈntly measured at cost le55 any accurnulated
impairrnent IDsses. The investments are 35se55ed lorimpairment at each reportingdate and any impairmefit losses
or reversals of impairment losses are recognised immediately in net in£orne/le¥penditurel for the year.
A subsidiary is an entity controlled by the Charity. CoBtrol 15 the power to govern the financial and operating
policie5 01 the entity 50 3S to obialn benefits frtsm its activitie5.
1.10. Stock
Inventories arevalued at the lower ol cost and net reallsable value, after making due allowance for obsolete and
slow mov*ng items.
Page 16

JANE AUSTEN'S HOUSE MUSEUM
Notes to the flnanclal statements
for the year ended 31" December 2024
1.11. Cash and cash equlvalents
Cash and cash equivalents Include cash Sn hat)d and depos￿$ held at call with banks.
1.12. Financlal Instruments
The TFU5t has elected to apply the provisions ol Section 11 'Baslc Financlal Instritments. and Secrlon 12 '0ther
Financial Instrumenls Issues. of FR5102 to all of its financial Instruments.
Financial instruments are recognised when the Chèrlty bÈcorne5 PBrly to thE COlltiactu?I provisions of the
instrument.
Financial assets and liabllitles are offset, wlth the net amount5 presented in the financi31 statement5, when there
15 a legally enforceable right to set off the recogn*sed amounts and there is an intention to settle or? a net basis or
to rEali5e the d55et aB(1 settle the liability 5inTrultaneously.
Crltlcal accountlng estimates and judgements
In Ihe application of the Ch8rit¢s accouniin8 polic¢es, the trustees are required to make ludgements, esiim&te5
and assumptions about the cariying arnDunt of 355et5 and li3bilitie5 that are not ieadily apparent frorn other
sources. The estimates and associated assumptions are based on historical ÈxperiencÉ 2nd other lacttsrs that are
tonsidered to be relevant. Actual results may differ from these estimates.
e estimates and underlying assumptions are reviewed on an on8OlnB basls. Revisions to accountlng estimate5
afe recogni52d in the period in which the estimate is revised where the revision affect5 only tliat period, or in the
period of the revision and luturÈ pÈriods where tliÈ revision affects both EUTrent future periods.
Donatlon5
Unrestrltted Designated
funds
funds
Restiicted
funds
2024
Totsl
2023
Total
JASNA Fund
Jane's Fund
JA & Art of Writlng Fund
Ari Fund reimagined grant
Courtyard Buildings Fund
Contributions towards 8onh8ms purchase
Legacies
Gift aid
Sundry don3tions and grants
5.419
8.236
5.419
8.236
7,053
6,923
9,290
250
1.600
2.311
5.120
7,053
9,977
4,144
14,121
10,000
47,974
2.244
Jo,(x)o
47,974
3,694
43,997
3,887
250
1,200
60,218
10,000
23,882
12,397
96,497
10,000
73,378
420
Donated assets
70,218
23.882
12,397
106.497
73.798
For theyear ended 31" December 2023 the Charlty reieived restricied donations of E8,956, de558nated donations
of £16,538 and unrestricted donations of E48,304.
Investment income
Unreslrlcted
funds
2024
Total
Unrestricted
lunds
2023
Total
Bank Interest recelvable
18,483
18,483
11,142
11,142
Pa8e 17

JANE AUSTEN'S HOUSE MUSEUM
Notes to the financial statements
for the yeai ended 31" December 2024
Income and expendlture from tradlnE subsidiary
J A H M Tradlng Company Limited
Gener3te5 iniome from the Museum shop.
Summary of troding results
202d
2023
Turnover
Cost of sales
390.509
389,741
1178,9461
210.795
1136,9951
1185.8121
204,697
1149.1441
Gross profit
Administrative expenses
Net profit lor the year
Amount 8Sft-aided to the chaTIty
55,553
73,800
173,8001
155.5531
Retained prolli
The assets and liabi1Sties of the company were-
Assets
99,199
199,0991
81,022
180,9221
Funds
IOD
loo
Fundrassing
Unrestilcted
funds
2024 Llnre5tricted
Total
(unds
2022
Total
Advertising and publicitv
14.207
14,207
15.664
15.664
Charltable actSvitles
Unreslrlcted Deslgnated Reslrlctsd
funds
funds
fund5
2024 Unr25triited RÈstrlcted
Total
funds
funds
2023
Total
Stall costs
307,845
Project expense5
4.749
Conservation Of exhiblts
1.333
Governan£e & support costs 142,073
307,845
280.373
1,333
142.073
227,239
5,942
5.077
116,979
227.239
88,176
5,077
116,979
267,412
8.212
82.234
456,000
267,412
8,212
731,624
355,237
82.234
437.471
For the year ended 31" December 2023 the Charitws expenditure on charitable activities con515ted of £23,987
restricted funds, £58,247 desiÈnated fttnds and £355,237 unrestricted fund5.
Page 18

JANE AUSTEN'S HOUSE MUSEUWI
Notes to the financial statements
for the year ended 31" Decembèr 2024
Governancè and support costs
Unrestrlcted Restrlcted
funds
funds
20?￿ Unrestrlcted Resrrl¢ted
Total
funds
funds
2023
Total
Suppor¢ c05t5
Upkeep ol garden
Rates
Light alld heat
Computer and software
Telephone
Insurance
5,972
1,018
6,603
16,255
261
25,231
12,779
5,972
1,018
6,603
16,255
261
6,968
1,196
6,408
16,135
918
21,652
8,864
6,968
1.196
6,408
16,135
918
21,652
8,864
25,231
12,779
Repairs and maintenance
Retail terminal, transaction and
equipment C05t5
Depreciation of fixtures and fittings
Postage and packaglnE
Cleèning
Stall travel
Office 5tat¢onery
Fundraising and training eKpetJse5
Mixellaneous
B8nk interest and rh3rges
Staff and volunteer refreshments
Irrecoverable VAT
L055 on dispDS?l of fSxed 3s5ets
19,014
12,(K)3
136
8,868
3,334
1.451
1,981
241
1,742
805
16,280
19.014
12.003
136
8,868
3,334
1,451
1,981
241
1,742
15,870
3,459
64
7.337
3.654
899
1,658
410
1.749
15,870
3.459
7,337
3.654
B99
1,658
10
1,749
801
10,876
132
16,280
10,876
132
133,974
133,974
109,050
109,050
Unrestrlcted Restrlcted
funds
funds
2024 Unrestrlcted Restilcted
Total
funds
lunds
2023
To￿1
Govefnance cost5
Audit lees
3.700
2.583
654
1.162
3.70D
2,583
654
3,500
3,257
722
450
3,500
3,257
722
450
Account3ncy fees
PTolession31 fees
Travel and meeting costs
1,162
8,099
8,099
7,929
7.929
Net irtCDming resource5 for the Year
2024
2023
Net incomin8 resources is stated after cha¥BinB'.
Depreciation and other amounts written oll tangible l*xed assets
Auditors, rernuneration
Auditors, rernuneration from non-avdlt work
7,990
3,70
2,583
3,591
3,500
3,257
Page 19

JANEAUSTEN'S HOUSE MUSEUM
Notes to the financial statements
for the year ended 31, December 2024
10. Key management employee5
2024
2023
Emplayment cost5
Total wages &nd 5a1arles
Less rech8fged to J A H M Trading
Less recha¥ged to p¥oject5
370,982
310,641
1113,2131 1104,8271
11,9881
111,3271
255.781
194.487
26,110
19,706
23.037
io,iio
2,917
2,936
Soclal secur5ty costs
Pensson costs
Childtare vouchers
307,845
227,239
No employee received emoluments of more than EGO,00012023.. None). Total wages and salarles for 2D24 do not
include any one-off redundancy payments with termination benefit5 01 £Nil12023.. £NIII belng paid,
Key management personnd of JaneAusten's House 3retheSenior Management Team. The Members of thesenior
M8naEÈmentTeam are the Director, Head of Finance, Head of Commercial &Visitor Experience, Head of MaTketing
& Communlcarlons and Head ol Collectiofis, Interpretation & Engagement.
Remuneratlon lor the Senior Management Team for 2024 were £224.006.
Number of employees
The aveiage monthly numbers of employees during the year was 3$ follows:
2024
Number
2023
Number
Retail
Museum
io
18
17
No trusreÈ received remuneration during the year12023.. £NIII. 4 trustees were reimbursed for travel expenses
totalling E174 in the year12023.. £3701.
Page 20

JANEAUSTEN'S HOUSE MUSEUM
Notes to the flnanclal statements
for the year ended 31" December 2024
ii.
Tanglble fÉKed assets
Flxtures and Computer
tittln8s Equlpment
Total
Cost
At I" January 2024
Addltlons
Dlsposals
57,982
15.029
20,065
12.877
11,5861 112,3871
73.011
32.942
113,9731
At 3151 December 2024
76,461
15,519
91,980
Depyetiation
At I" January 2024
Charge for the ye3r
Eliminated *n respect ol disposals
54.219
13.693
6,829
5,174
11,5861 112,3871
67,912
12,003
112.9731
At 31, December 2024
59,462
6.480
65.942
Nèt book valuès
At 31" December 2024
16,999
9,039
26,038
At 31* December 2023
3,763
1,236
5,099
All tanglblefixed assets are held and used for dlrect charitable purpose5.
12.
Herltage assets
Freehold Improvements
property
to propeity
EKhlblts
Total
Cost
At I" January 2024
Additions
DisPOsa15
62,500
946,851
1,144.593
ii,ioi
2.153,944
ii,ioi
At 31 Decembw 2024
62,500
946,851
1,155,694
2,165,045
Depreciation
At I" January and 315t December 2024
Net book values
At 31" December 2024
62,500
946,851
1.155.694
2.165.045
At 31" t)e(ember 2023
62,500
946,851
1,144.593
2,153,944
The herit38e assets are of historic Importance and include £1.009,351 which relates to the cost of the building and
svbseqtsent capital improvements. The original building was built in the sevenieenih century and was the home of
JaneAu5ten. This building is open to the public. The remaining £1,155.694 ielates to exhibits which are confiected
to Jaiie Austen or her family whicli ihe Charity holds to exhibil in the museuin.
Page 21

IANEAUSTEN'S HOUSE MUSEUM
Note5 to the flnan¢lal statements
for the year ended 31, December 2024
Flve year summary of heritage asset transactlons
2024
2023
2022
2021
2020
Addition5
Improvements to property
Exhiblts
1,800
524,800
ii,ioi
9,966
177,25Q
Total additions
ii,ioi
9,966
526,600
177,250
05a15
Improvements to propertv
1,615
805
601
Total disposals
1,615
1,406
13.
Fixed asset irtvestmehts- Charlty
Subsldlary
ndertakings
shares
Total
Cost
At l January 2024 and
At 31 December 2024
i(K>
IOD
Investments represent of the Issued share capital in l A H M Trading Limited.
14.
Stocks
Gioup
2024
Charltv
2024
2023
2023
Go¢hds for resale
81,396
45,850
The CFverall increase in stock reflects the build up ol stor.k in advance oFwhat Is ÈxpÈctÈd to be a high volume of
trading activity in 2025, and followin8 a substantial holdinK ol the charity's new publication 'A Jane Austen'5
Year, celebrating 250 year5 of Jape Augten..
15.
Debtors
Group
2024
Charlty
2024
2023
2023
Grants receivable
Arntsunts owed by group undertakings
Other debtors
Prepaymenls and accrued income
3,574
2,151
48,000
9,674
73,929
3.574
48,000
6,094
9D.172
11,825
31,174
6,094
20,086
42,999
29,754
133.754
147.8LIO
Page 22

JANE AUSTEN'S HOUSE MUSEUM
Notes to the financial statement5
for the year ended 31" December 2024
16.
Creditors: amounts lalllng due wÉthin Ohe yèar
Group
2024
Charity
2024
2023
2023
Trade creditors
Othei taxe5 and social security
Amounts owing to subsidiary UndertakI￿g5
Other creditor5
Accruals and deferred income
18.392
13.969
3,535
9,867
8.912
3.535
76.135
483
12,000
23,696
483
14,066
50,30S
39.588
101,065
17.
Analysis of net a55ets between funds
Non-charitable
tradlng funds
Unrestricted Designated Restricted
funds
funds
funds
Total
funds
Fund balances at 31 December 2024 as represented by..
Tangible fixed assets
Heiitage assets
Inve5tment5
Current asset5
26.038
2,165.045
loo
510,351
173,1511
26,038
2,165,045
liuol
14,3541
4,454
160.440
1.200
667.637
168.6971
2,628,383
160,440
1,200
2,790,023
Non-charitable
trading lunds
URrestrlcted Designated Restricted
tund5
Funds
fund5
Total
I￿ndS
Fun(S balances at 31 December 2023 a5 represented bv-.
Tangible fixed assets
Her￿lage a55ets
InvestThentS
Currefjt as52t5
5,099
2,153,944
loo
374,927
156,0651
5.099
2.153.944
liool
123,9121
24,012
371,131
4,068
726,214
132,0531
2.478,005
371,131
4,068
2,853,204
Page 23

JANE AUSTEN'S HOUSE MUSEUM
Note5 to the finantlal statements
for the year ended 31, December 2024
18. UnrestrScted funds
At
151 January
At
31" Detember
2024
IncomlnB
resources
Outgoing
resources
2024
Transfer5
UnrÈsirlctÈd funds
2,478,005
646,371
1470.2071
125,7861
2,628,383
Designated funds..
IASNA Icoriservationl Fund
J3ne's Fund
LoTrg Term Maintenance Fund
Acquisition5 Fund
JA Anniversaries Developtnent Fuftd
JA & Art of Wrltln8 Fund
Courtyard Buildings Restoration Fund
Education Development Fund
Austen Variations Fund
Acce55 Fund
29,892
39.318
20,QQO
14,442
IS.￿0
24.166
228.313
5,419
8.?.3G
18,1831
17,9651
27.128
39.989
35,0
20,009
22,045
15,000
5,899
16.000
116,0601
13321
18,9551
18,1061
1233,8211
9,977
4,419
10.000
250
2.000
10,000
250
2,000
Designated funds..
371,131
23,882
1267,4121
32,839
160.440
Total charity unrestricted funds
Non-charitable tradin8 funds
Consolidatlon adjustment
2,849,136
670,253
390,509
161,3631
1737,6191
1390,5091
61,363
7,053
2,788,823
Unrestricted funds
2,478,005
999,399
11,066,765)
7.053
2.788,823
At
I, January
2023
At
3151 December
Incoming
resources
Out%olnE
re$our¢es
Transfers
2023
Un¥e5tricted funds
2.327.230
577,817
1370.9021
156,1401
2,478,005
DesiEnated funds..
JASNA (Conservationl Fund
Jane's Fund
Long Term MaSntenance Fund
Acquisitions Fund
JA Anniversaries Developrnent Fund
JA & Art ol Writing Fun
Shop Relurbi5hrnent Fund
Courtyard Buildln8s Restoration Fund
37,575
33,504
15,000
20,000
7.500
33.ODO
25,000
180,000
6,923
9,290
114,6061
13,4761
29,892
39,318
20,000
14.442
15,000
24,166
5.000
14,4261
7,500
11,1321
250
19,0841
123,1861
16,7621
11,8141
55,000
75
228,313
Deslgnared funds..
351,579
16.538
158,2461
61,260
371,131
Total Charity unrE5triilÉd lunds
Non-charitable trading funds
Con501idation adlustment
2,849.136
594.355
389,741
179,9381
1429,1481
1389,74Jl
79,938
5,120
2.849,136
2,678,809
904,158
1738,9511
5,120
2.849.136
Page 24

JANE AUSTEN'S HOUSE MUSEUM
Note5 to the financlal statements
for the yèay ended 31" December 2024
Deslgnated funds
JASNA
Conservation
Fund. This fund 15 to suptjort the ongoing conservation and restoratlon Works at the House.
Jane Fund. This fund is the Char¢ty's established public fundraising appe81.
Lon
TÈrm Maintendnce. Thi5 fund wa5 established in 2020 to SUPPOrtthe long-term conservation, restoration and
maintenantÈ of Janp. Austen's HoiJ5e. It 15 de.5igned to support larger scale projects and ensures that the
organlsation has the funds to enable e$5ential maintenance work.
uisitions Fund. This fund is to provide for future acquisitions ol JaneAuslen 8rtef8cts.
JAAnniversaries Develo
ment Fund. 7his fund was established to co-insidethe 250 anniversary oljane Au5ten's
birlh.
A & Art ol Writin
Fuftd. Thls fund was estobli5hed to develop a new, permanent exhibition space.
Edutational Develo
ment Fund, This fund w85 established in 2024 to support the development of and atcess to
the House's formal and inlorn)al learning programmes.
Access FuTrd. Thi5 fund was e5tabli5hed in 2024 to enable the Hotsse to implement the findlnzs of an Acce55 Audit
and to £trntinue to rÈmtsvÈ barriprs to acr.e.-55ing the 14ou5e, it5 collection5 and Jane Austen's life and works.
Court ard 8ulldln s Restoration Fund. This fund was established in 2022 to support the conservation and
resto¥ation of the Courtyard Buildings. The fund5 have b￿Tr used to restore the roofs. guttering and wa115, a5 well
as ro improve sustainability through the installalion of insulation. The balance will be used to restore the wood
work of the courtyard buildlngs atkd tD re5tor2 the interiorof the Bakehou5e.
Transfers to the genefal lund occur when the funds have been spenl on capital irems ss deslgnated.
19.
Re5trrtted funds
At
l Januarv
2024
At
31 December
2024
Incoming
re50urce5
Outgoing
resouices
Transfers
Art Fund Relma8ined Fund
Courtyard Building5 F￿Trd
JA & Art of Wilting Fun¢J
7he Textlle Society Fund
1.832
2,236
11,8321
16,3801
4,144
7,053
1.200
17,0531
1,2(X)
4,068
12.397
18.2121
17.0531
1,2(K)
At
l Januaiv
2023
Al
31 December
2023
In¢omlnz
resour<es
Out£olng
resources
Tiansfer5
Art Fund Reimagined Fvnil
Bonhams Lot Fund
CouTtyard Buildings Fund
24,219
1,600
5,120
2,236
123,9871
1,832
15,1201
2,236
24,219
8,956
123.9871
15,1201
4,068
RÈstrltted luDds
ThÈ Art Fund ReiTn3
ine Grant Fund represent5 grant5 awarded to fund 90% 01 the education Reimagine Project.
The Court ard Bulldln
s Fund repre5ent5 donatlDn5 received toward5 luading lor the re-roofing of the outbuilding
roofs.
The JA & Art f Writin
Fund represents donatlorys reieived toward5 funding a bespoke 12-sided display case for
the perrnanent Art ol Writing exhibition.
The Textlle Societ Funij represents grants awarded to help with the cost of conserving Ca55andra's handkerchief.
Transfers to the general fund occurwhen thefunds have been spent capital items as specified and there are no
remalning conditlons io satlsfy.
Page 25

JANE AUSTEN'S HOUSE MUSEUM
NiJte5 to the flnanclal statements
for the year ended 31" December 2024
21. Subsidiaries
Oetai15 of the Ch¥ritrfs subsldlaries at 3151 Deceinber 2024 are as follows..
Name of undertaklng
J A H M Trading
Company Limited
ReBlStered office Nature of buslne55
England & Wales Retail sales at Jane
Austen's House Museum
Cla55 of 5haTe5 held
Ordinary
% Held
22.
Related party transactions
Under the terms of a Service Agreement, the ch&rity Techarged thÈ Tradlng Company subsidiary relatitsg to
shared costs comprisin8 the followlng..
2024
2023
Managernent & Visiror Servlces stall
Till tran5aCtioTr charges
Alarrns & 5ecurliy
113,213
13.769
795
9(X)
2.732
409
1.700
104,827
12,985
618
874
Insurance
IT and telecoms
2.111
360
1,700
Rent
133,518
123A7S
23.
Flnancial instruments
The carrylng amounts of rhe charlty's financial instruments are as follows..
2024
2023
Finonclal ossets
Debt instrumÈnis measured at amortised cost..
Gr3ftts receivable Inote 151
- Amounts owed by group undertakings Inote 151
3,574
48.0(X)
51,574
48,000
A8.000
Finunciol liabllltles
Measured at amoriised cost
T¥ade creditors Inote IGI
- Amounts owing to subsidiary undertakiDgs (note 161
Other creditors (note 161
9,867
23,696
8.912
76.135
483
33.563
85,530
Page 26