I need to write a VBA code which will read the CSV files from a folder by opening the CSV files , then copy the contents of csv file into another EXCEL template already present in the same xls template.
The XLS template has tabs named like "UAT2D" and i want the csv file data to paste in the particular xls tab which is blank initially. But what is happening my code open the required CSV , copy the data and insert the CSV into the xls template by creating the new tab. see the code A below
I have a list of invoice #'s on a sheet named "Temp Sheet".
I have a VBA macro that created a new tab for each entry and named it the invoice #. So basically the vba code created a new tab ( based on the number of invoice #'s on my list ), and named each tab an invoice number. So if I had a list of 10 invoice #'s, named S1-S10, the vba code created 10 tabs, named S-1, S-2,. S-3.....
Now to my question. I have a template sheet I want to copy from ( "Template" ), and select any sheet that starts with "S", and copy/paste this template to.
how to create a copy of my employee attendance template. Is there a way to create a copy of the template by entering an employee name in the "name" cell of the template and it automatically renames the sheet that employee name and also saves or recopies the template for use with the next employee?
I have a template sheet which i want to copy in to same workbook but want it to be renamed using a name which i fill in on a seperate sheet "articles". But I only want the template copied with the new name every time i fill in a new name in the sheet "articles". Also this procedure may not overwrite existing sheets.
So there is not a predipefined table in articles but rather it grows each time I need a new copy of template.
I have created a template with a Worksheet called "Certificate".
There is a userform that is opened on Auto_Open of this template and allows a file name and some other parameters to be input.
On pressing the OK button on this form, I want to do the following.
1. Create a new XLS workbook with the file name entered on the form (this includes the full Windows folder address).
2. Copy the Certificate workbook from the template across to this new file.
3. Close the original template (maybe closing needs to be done at the end??) and make the "Certifcate" worksheet in the new workbook the active worksheet.
4. Using the parameters entered on the userform, change the details in "Certificate" (this code is already written but not set up for the new workbook - currently it updates the template "Certificate" worksheet)
I'm unsure how to adapt the code to suit my needs.
I have an Excel workbook that is created a few times a month from a template. When I update it I run a macro that saves a values only copy with the current date. I'd like to copy non-blank rows (from row 8 down) into the first empty row in a master workbook that is saved on a network drive. The path to the master workbook is "B:8MPBGTrade Pre-AdviceBG Trade Confirm Master.xls"
picking things up. At the moment I am trying to create a macro using VBA to do the following in this exact order:
1. Delete Column A and B (once only) 2. Automatically pick up credit card number (In column A) 3. Copy all instances of this credit card number (and all data on same row) 4. Open a template I have set up 5. Paste the copied data onto a specific sheet on this template 6. Save as file name "xxxx - branch name - XXXX - DDMMMYY" 7. Repeat (loop?) this for all credit card numbers on the sheet.
There are approximately 90 credit cards, and I need a new workbook for each one to work on separately.
I will try to keep a version control of a template I develop on an ongoing basis. The version number I will try and use to provide an easy way to upgrade any file based on an older version of the template by simply copying values that reside in cells that I see on a list of named ranges into a file that is a copy of the new template.
1: I will use the version control suggested by Tom Ogilvy in http://www.excelforum.com/showthread.php?t=479156 And keep the version number in a property named "Version".
2: I have a hidden sheet named "config" in which i have a list of cells holding the names of all the ranges that must be copied. The list of named ranges is right below a cell named "Config_values_to_copy", so range("Config_values_to_copy").offset(1,0).value holds the name of a range (e.g. "Priority_Column") in which case there is a column off values there, that must be copied to a blank instance of a new template and placed in the same named range.
3: I will keep the newest version of the xls-file (template) - not as a xlt file, just xls for now somewhere - on the LAN in a specific folder and always have the name of the latest version being: "Risc and issue documentation Template, latest version.xls" (If possible I will manually include the version number into the file name instead, and make sure that there is only one file in the particular folder.) For this help let's just say that the folder is local "C:latest-version-template" I think that this can somehow be done based in parts on the answer Ron de Bruin gives to this topic http://www.excelforum.com/showthread.php?t=564858 - but I am not sure that it is all there...
4: When a user opens a workbook based on the template a control button named something like "check for new template version" should be accessible - alternatively I will hide the code and do this when the user opens the file.
5: Now here goes: The code must somehow check current version from step (1) against the version found in the folder with the latest-greatest version of this template. If the template available in that folder is newer than the template that this current file is based upon, then prompt the user if he wants to upgrade. If YES then I must somehow iterate throught the named ranges and copy all the values onto a copy of the new template and afterwards save this intelligently on the users harddrive.
I imagine using this kind of iteration to go through the named ranges - this code is altered a bit from elsewhere in the file:
i=1 While Len(Range("Config_values_to_copy").Offset(i, 0).Value) > 1 ' As long as I am in this loop, then I have values that must be copied to the new workbook. [new workbook!] Range(Range("Config_values_to_copy").Offset(i, 0).Value).Value = Range(Range("Config_values_to_copy").Offset(i, 0).Value).Value i = i + 1 Wend
Can I do this - how do I copy a version of the newer template and paste the values (by value) into the identical named ranges? Probably the line
I Have a number(30+) of excel files based off of one template. I have since updated the template, thus making the the old ones obsolete. Is there a way to update the older files to use the new template without having to copy and paste the addition's row by row column by column?
None of the additions to the template will change the placement of existing data, nor will it change the data itself. It will however add Values to cells that were previously empty.
We have a workbook that we create each month that has one worksheet per day of the month, labeled 12_01_2011, 12_02_2011, 12_13_2011...etc. The pages are an empty template with formulas and fields in place that we simply copy and paste the results of an SQL query into. Presently, we are copying the page manually several times over, and then manually renaming the pages with the new dates for the upcoming month.
So, here is my question. Macro that I might use that would:
1) Make a copy of the template for each day of the month.
2) Label each page in sequence with the dates for the upcoming month.
Here is what i want to do. # I have a workbook say 'Template', which has two columns: ColA -> Names , ColB -> Value, his acts as a template, i.e a budget. # Another workbook 'sample' which has similar ColA(may contain additional rows) and corresponding value in ColB.
Here is what i need::
I need to copy the contents of ColA and ColB of 'sample' wholse ColB valules are greater than ColB values of 'Template' for corresponding ColA values in both, into a new workbook. SO basically, template acts as a budget check for the sample workbook, and if any value in ColB goes above the budget in template, it will show up in the new workbook. I have attached both the workbooks. Basically the red highlighted cells in Sample are the ones i want in a new workbook.
I have what is probably a simple request to all the VBA experts out there, and simply want to take a template sheet in a workbook and copy it across to 100 sheets numbered/named 101 -200, and add the name of each sheet as a text reference, e.g. sheet name 101 will have a cell within the worksheet that refers to sheet 101.
I have attached a simplified spreadsheet which indicates what i'm trying to achieve.
1) I created a one-sheet template, and a new workbook from that sheet. When in that new workbook I go Insert>Sheet>Other and select the aforementioned one-sheet template, Excel crashes, or if not, it adds the new sheet, but then no longer saves the workbook and starts producing error messages (like: "An unexpected error has ocurred. AutoRecover has been disabled for this session of Excel.").
1a) Now, the complication is that this is working when I do a model operation with a generic template sheet. So I checked the template that I actually want to form sheets after, and Excel finds no errors, nor does it's name contain any unusual characters. What could Excel prevent from working with a template like this?
2) How do I edit a template? The only way I can find is to manually find the spot in finder, open, and save with the same name. But: if I do that, the documents basing on that template don't change accordingly. If they're intended not to, the whole template procedure makes no sense. I could then just as well copy a file. — I've been searching for tutorials on that, but google doesn't even return a single result on Excel "edit template". Therefor my very basic question here.
I've attached 2 test files, one is the database master file containing the projects (each row represents a project, unique reference number in column A) and the other is the blank template file i'm hoping to export data into and then save down with the naming convention "column A_column B.xlsx"
Kept the test files simple but would need to modify any code to apply to much larger database consisting of many more fields etc.
I have a template file for ordering trafolyte and steel plates. I have added macros to this template file. The existing macros do the following (shortly described):
Macro 1: clears order Macro 2: update order date + send a read only file to the supplier of plates + save a read only copy of the file into one of three folders acc to info in one of the cells.
It's the Macro 2 I want to edit.
I want to add a "function" which copy a selection of data.column A to N from row 12 to 548 but only the rows where there is a value in column A.
Row 1 to 11 includes standard order info and Macro buttons. Row 11 includes the heading for order data.
For everytime someone click on the Macro 2 button in the template file, I want the selection to be paste into the first "available" row in a "Total list" file.
The "Total list" file may have to be open (or a function to open, paste selection and then close the "Total list" file may be added)
File and Folder info:
To simplify suggestions, the following file and path info can be used (I can change to the correct later): Template file name: template_order.xlsm Template file location: \servershared emplate
Total list file name: total_list.xlsx Total list file location: \servershared otal
Selection info:
The template file exists of a "general order info area" A1:N10 The column heading for order data is located at A11:N11 The selection to be copied is A12:N550 - But only rows where column A includes data (not empty). (If the spesific order consists of 14 plates than there will be item no 1-14 in column A and I then I want to copy A12:N25 (row 25 will be item 14).
When I try to use record macro it looks like it only records what's happening in the template file - It doesn't record the pasting in the total list.
I am looking to create a macro that will create a new sheet when data is added on a summary sheet. Example.
1. Summary sheet called "Variations" contains columns that will contain the information needed for new sheet (Columns A to D)
2. When data is entered on "Variations" sheet: Column B, then macro automatically creates new sheet renamed to e.g. VO1 (Number used on "Variations" tab) and is a copy of "Master" tab.
3. Data entered in Column A to D on "Variations" tab is automatically entered onto new sheet created (e.g VO1). Shown is blue on attached file. Additional data is updated on "VO1" sheet and this then links back to "Variations" tab
We have huge restrictions on hours, and to avoid inputting, then revising the schedule into my companies scheduling module, then having to change it again when the boss looks it over, it's just confusing.
Anyway, I'll get to the point, I want to add the hours up in a row of cells for the week sunday through saturday. Like so:
1100-2100 | 1100-2100 | OFF | 1100-2100 etc... I want it to add these cells hours up and have the total end up in the 8th cell.
Is this possible? I am a new excel user, or at least, setting up my own sheet.
I am creating a large workbook using the same worksheet "form" over and over. How can I use a shortcut or someother method to add the form to a new sheet without having to copy and paste from the last sheet?
I have a workbook with several worksheets and numerous userforms, commandbuttons and macro's. I want to prevent people from saving over the workbook once they have used it, but allow save as using a different workbook name.
I tried saving the book as .xlt, but then when I reopen it and make material changes, it lets me save over it. I have't worked with templated before, is there something I am doing wrong?
I'm running a macro in a template and trying to save the results to a different folder. I want the file name to be blank in the Saveas Text box of the UI also. Unfortunatley my code is bugging out & I can't work out why.
I made a thread about this last week but I don't think I was very clear about what wanted so now I'm going to describe it more in detail. I work at a place that takes care of boats and also offers to store them during the winter. Now I have created a template which consists of one work order and one invoice so when a new customer arrives I open up my template and fill out the work order. But then when the customer comes back next year and wants something else done with his boat I need a new work order but in the same document. So I need to add another work order as a new sheet. The only way I can think of now is to copy an old work order and then paste it but that would take too long time to do every time and I would also have to change the width of all columns. So my question is: Is there some easier way to do this? Basically what I want is a quick way to add either a work order or an invoice as a new sheet. Link to my old thread: http://www.mrexcel.com/forum/showthread.php?t=430633
I recently deployed a single-page spreadsheet intended to be added to existing workbooks (it generates a hiearchical view of pricing in a WBS structure), and it includes some UDFs and subs.
I was hoping I could save it as a tempate, but when inserted as a template, it didn't bring along its code module. I ended up instructing someone to copy the sheet to the intended workbook, and had them open the VBE to drag the module over. There is surely a better way!
I would prefer not to train people to use add-ins or mess with Personal.xls.
Somehow I have changed a default setting that I cannot figure out how to change back. I have various templates setup in a "Forms" folder. Normally I go to My Documents, find the template file and double click on it, and the appropriate program (usually either Excel or Word) starts and opens a copy of the template as a document. What happens now is that the program starts and the template itself opens. I have tried going to My Documents and right clicking on the file and what appears to be happening is that the default (highlighted) option is "Open" instead of "New" which is what the default used to be. How do I change it back?--
I have been googling for a excel sheet, but just seem to find the right one. Then I found this great looking forum so I know someone here must beable to help me.
This is what I need:
I host an event twice a month I have cost that change every two weeks and would like a nice looking sheet that I can puch the numbers in to then it will tell me how much I need to charge each guest. I have cost that are always the same and other that are not. If this isnt clear here is an example...
I have a template (attached) that needs to be populated. It's objective is to determine the QUARTER and YTD based on MONTH. For example, there's a M shown for the month Jul, Q also shown for the month Jul (since current month is Jul, current quarter month is only Jul and not Jul, Aug & Sep), and all months up to the current month shows Y for the year row. The above is currently done manually. I need a formula that will fill in the Q and Y's automatically based on the M. Is it possible?
I have created a template that I use to determine interest calculations (it is based on simple daily interest, but monthly compounding and adjusts for any variations in interest rates during the month), and it seems to work fine so far.
However, I am trying to make it better and would like to eliminate as much manual input as possible. I have attached an example of the template to help explain what I would like to achieve
The Running Balance is dependant on column "J" - Interest for the Month. At the moment, I am manually adding up interest accumulated for the month, however if I add one cell too high or miss a cell when adding, it can lead to compounded problems further down. So in short I am looking for a method that would automatically calculate "interest for the month" by adding all the amounts in column "I" (Interest Daily) at month end for that month only (dates are entered in Column B)
In the attached template, grey areas indicate capital movements and/or interest rate changes that may occur during a month (ie movement in the month in question that affects the daily interest calculated)
I hope I've covered everything!
Any help in this regard comes most appreciated. If anything is unclear, I will do my best to explain what I am trying to achieve in greater detail.
i have 2 sheets, one is a database sort. and the other sheet is a template tat i had design. i have inserted a filter to the database sheet that i wan to extract info from my template (diff catergory). but shows nothing,
I am trying to save a chart as a template but when i apply it to another chart it doesn;t have all the original formatting i did. I doesn't retain the gradient fills on the series, the fact that i've changed one series to line on a col chart??