Consolidating Multiple Worksheets :: Totals Exceed Limit For 2003
Sep 28, 2008
Row totals exceed the limit for Excel 2003, so I have split the data into different worksheets by year.
Problem is, now I can't create a useful pivot table, i.e. using 'multiple consolidation ranges' reduces the field list to "Row", "Column", and "Value".
I have 26 columns in each worksheet (all identical structures); some are multilevel factors, some are variables - and the way these relate to each other is unknown as this stage, so I literally cannot have the dimensions reduced in the way Excel proposes with multiple consolidation ranges.
I have an Excel file that is 590 MB and Excel is telling me that since there are over 1,048,576 rows in this file (which I understand is the row limit for Excel 2010), it will only open partially, up to that row amount.
Excel suggested I open up the file in Word, but that has been unsuccessful - Word gives me error messages and won't open the file. I've also tried converting the file to .rtf and .odt, but again, that doesn't work.
Is there any way to break this excel file down? I'm assuming that whoever created it could not have made the document more than 1,048,576 rows, if that is Excel's limit, but maybe I am wrong. The document is in date order from 2008 to 2011, but only 2008 will show, and I know the later years exist. It doesn't matter to me which program this file opens with, I just need the data.
I'm trying to consolidate inventory for my department. I have Part#s in (column E) of all the worksheets and the amount of the product in (column C). I need a formula that finds the specific part# (in column E) and adds up the total amounts (in column C) in another worksheet has the part#s and amounts in same column.
I am trying to consolidate multiple worksheets in one workbook into one master worksheet in the same workbook. Problem is though that the headings in the multiple worksheets are not excatly the same. Ie. some may have one or two additional headings (other than that they should be the same).
How can this be done or is this a manual process of headings alignment before any consolidation can be done?
I need to update my Workbook to do something more. I have a Workbook that contains multiple Worksheets that contain a list of items that need to be inspected with a schedule date. What I want to do is consolidate all the items that have not been inspected and put it on one Worksheet within the same Workbook. Unfortunately I can't attach my Workbook so you can see what I'm talking about. Each Worksheet has these five columns and every inspection still required to be conducted only has the CSEC, Schedule Inspection Date, and Remarks Columns filled out. I would like to scan all Worksheets to copy this data and consolidate it into a seperate Worksheet so I can print only one Worksheet as my report vice over fifty.
CSEC# | Scheduled Inspection Date | Date inspection was performed | Inspection Pass/Fail | Remarks
I have a workbook with many spreadsheet named Sheet1, Sheet2 and so on. Each sheet is filled completely upto 65536 rows. This data is being picked up from a CSV file. In this file there are sites with each site there is a assciated set of data. What happens is the data that extracts data does not differntiate between sites and when it reaches to the end of worksheet it splits the data into next sheet. So I am trying to create a macro to check each spreadsheet starting with the last sheet in the work book for example last sheet in the workbook is seven it should go to sheet6 and if there is a blank row after row 64000 it should cut all the rows and move them to sheet7. Then it should goto sheet5 and do the same and keep on doing it until it reaches sheet1.
I am both employed and self employed. so I have built a spreadsheet to keep track of expenses... but I hate having to scroll down to enter more and more expenses. So I have created multiple worksheets...
WORKSHEE 1 "INPUT" Expense Categories down COLUMN 1 Dollar Amounts down COLUMN 2 I would like to use this worksheet to just enter data from a receipt, then press enter and have this information transferred over to WORKSHEET 2 " TOTALS" on its own ROW. Once Enter is pressed, then enter in the same cells on WORKSHEET 1 "INPUT" for another receipt and once Enter is pressed, the data would transfer over to the next row on WORKSHEET 2 "TOTALS" and so on...
So if I want to see my totals... I just go to WORKSHEET 2 "TOTALS"
I have built WORKSHEET 2 "TOTALS" as follows ROW 1 is the SUM for each respective COLUMN Each COLUMN is its own CATEGORY from WORKSHEET 1 "INPUT" Each ROW would represent a new data entry. To be exact.....................
a macro to print a series of worksheets only when a certain cell (probably would have to be a named cell as lines may be added to some of the worksheets at some stage) in that worksheet exceeds zero.
With this spreadsheet i pull data straight from a database and place it in to 3 separate worksheets. The first worksheet which is the summary sheet then updates all the totals of certain occurrences. The above formula is the same format for all fields in the summary with a few variations. But they all have the following in common. They draw data from all 3 worksheets and total it all up, and each countifs looks at 3 different cells.
In terms of replacing it i have tried to use something like =SUMPRODUCT(--('Data Low'!AA2:AA5000="No")*('Data Low'!AB2:AB5000="0")*('Data Low'!AC2:AC5000="Non Corp")) but don't seem to be getting it right.
Intend creating a calculator that shows me how much a certain hotel room costs at different times (seasons) of the year, for example I have a One Bedroom Budget Apartment (list of room types is extensive), I also have three seasons, low, S Hols and Xmas, so I have a sheet created and inserted drop down boxes for the RoomType, Season, and Number of days, I now have to insert a formula that looks for the three variables and inserts the cost (I already have this info on a worksheet)
TotalCost RoomTypes Season Days
[Code].....
Also I am using Excel 2003 so no combo box option (that I can find anyway)
consolidate data from different workbooks into a single work book.
Each workbook contains one month payment information for employees.
i want to consolidate the the workbooks into one mastersheet such that i will have twelve columns (One for each month). On the consolidated sheet, i want each contributors monthly contribution displayed under the months to which the cointribution relates.
*find attached a dummy data illustrating the request*
i will like the results displayed as illustrated in the consolidate tab.
I have a clock machine report weekly which generates a spreadsheet very similar to the example attached.
The number of sheets can vary, the number of rows per employee can vary all of which makes me think that I can't use a formula to collate the data. how I can do this?
I have 4 worksheets where the structure is exactly the same except the figures differ
The worksheet have text and values in columns A to S. I need to write VBA code that will combine the data and show the descritions in a consolidated woorksheet.
I have several workbooks (around 15) in one folder which all contain the same worksheets but with different data. The worksheets all have the same columns. What I would like is a way to consolidate each of the worksheets of the workbooks into one new workbook by running the code whenever I want it.
In other words I have workbook 1 till 9 which all have worksheet 1 till 3. And I would like to consolidate them into a new workbook with sheet 1 till showing all of the data.
I have a 2 worksheets (IJOFTD3D(1) and IJOFTD3D(2)) that I need to filter using criteria in 2 columns and combine to one worksheet (GKA Data). These are not the only worksheets in the workbook.
Here is the criteria: Column A (sortcode) = GKA Column D (Cust_Code) does not begin with I
I am able to get the first worksheet into GKA Data, but I don't know how to get the second worksheet to append to the first using VBA. This is a daily report that I am trying to make as automated as possible.
Having trouble consolidating 3 worksheets into one worksheet, on these 3 worksheets they all have the same headings which go from A-R. I simply need to be able to run a formula or use some sort of method to incorporate all 3 lists into 1 master list. The only way i currently can do this is to create a vba script which simply copies say 500 rows from the first worksheet paste onto master spreadsheet then copy 500 rows in second worksheet and find next blank row and paste etc.
Is that the best way to do this or is there a better way?
I have an Excel 2003 spreadsheet. I cannot increase the row length beyond 548 pixels or 409.5. And similarly, there is one column that I cannot increase beyond 1788 pixels or 254.71 . Now, I can increase the size of rows via going to print preview and editing the margins, but it merely shrinks the size of the paper and I cannot re-expand it to fit.
I created a time sheet for employees which calculates the total wages each week. I copy the worksheet to create a new time sheet for each week. I want all subsequent time sheets (worksheets) after the first one to calculate the total wages to date by adding the total wages of the current sheet to the total on the previous sheet. If for example I am on Week 2, I know how to reference the wages cell from the previous week by using something like ='Week (1)'!M28, but when I copy the Week 2 sheet to create Week 3, the new sheet still references Week 1. I don't want to manually change the sheet number each week. How can I make it reference the previous week automatically?
Tried the consolidate feature, however not sure that it is what I am looking for.I am basically trying to condense several calendars ( one calendar per department in a company) into one Calendar..Each calendar has its own tab and looks exactly the same. (tab names: Clubhouse, spa, and final calendar... possibly more departments added later) Hard to explaing so I will attach the file. All I would like to do is combine all calendars into the "final calendar" and in time order if possible... example below
{Clubhouse Tab} A3 will have the time (10 am) , B3 will have the item "Meeting" {Clubhouse Tab} A4 will have the time (5 pm) , B4 will have the item "Dinner"
I have a folder that contains around 45 excel files, each of these files contain a tab called "corp val". (these files change name month to month e.g. Report June, Report July etc)
I am finding on a monthly basis i need to go into each of these excel files and copy the data from the "corp val" tab into a summarized spreadsheet - which i then use the data for various things.
Just wondered if there was a solution to this or will it always be difficult to copy and pasting all the data i need. I am not in anyway an advanced excel user, I am guessing this might be some form of macro in which case I am maybe better to keep doing it the way I was as I am not literate in macros.
I'll be as succinct as I can, and I'm sorry if this question has been answered already. I've had a look at past posts and can't seem to find anything.
My service has an Excel workbook of patient details. These details are separated across three sheets called 'Generic', 'Heart Failure' and 'Falls and Fracture Management'.
The columns in each sheet are the same. Every month I produce a single report of data from columns A, B, L, Q and R in each sheet.
I've been doing this by copying/pasting each of those columns from 'Generic' individually into a new sheet, then putting the same data from 'Heart Failure' underneath, etc., then manually deleting all rows that contain a blank in any cell.
Is it possible that VBA code can be written to do this? I don't know anything about codes; I know I could achieve the same effect with linking, but it seems that this would be unreliable.
I got a brilliant bit of code (which works perfectly) from Bill Jelens "Excel Gurus gone Wild" which loops through all worksheets in the activeworkbook and consolidates these worksheets into one pivot table, this example creates the pivot in a new workbook, what I would really like to do is add a new sheet and create the pivot in the active workbook where I am pulling the data from can anybody help me to modify the code?
I have not added the code yet to generate the pivot
Code below:
Option Explicit Sub bob()
Dim i As Long Dim arSQL() As String Dim objPivotCache As PivotCache Dim objRS As Object Dim wbkNew As Workbook Dim wks As Worksheet
With ActiveWorkbook ReDim arSQL(1 To .Worksheets.Count) For Each wks In .Worksheets Do Until wks.Name = ""..............
I am trying to compile a spreadsheet for my job that will find an average of all the break times and meal times that all the employees take. I have the employee list and their respective timeclock punches for the week, so I took that and found their meal and break times for each individual day, but I'm having trouble when it comes to consolidating and averaging the data. The first column lists the employees, but their names are repeated depending on how many times they punched the clock that week, and since not every punch was a meal or break, my time columns contain a lot of zeroes that aren't needed. I need a way to just average each employees' meal and break times.
I have situation which needs expert advice. I have about 22 Excel files of different branches with similar data. I have to link some calculated cells from each of these files into one file to show the consolidated data. There are about 18 calculated cells in each file, so linking each one is practically impossible.
I am building a model for consolidating a number of different companies (possible as many as 30). I have a worksheet for each company and then a consolidated worksheet. I can create a consolidated spreadsheet that just adds all the sheets up but I would like to be able to include or not include a sheet in the consolidate worksheet through a simple yes or no cell. I saw someone do this a few years ago with a mining company where each mine had its own page and you could activate / deactivate the mine for the consolidated (but the mine page itself would be unaffected) but I can't remember how they did it.
I've seen some examples here and I think I understand the consolidation function. However, my query has the added level of needing to consolidate each member:
I have a table of data that looks like this:
SURNAME NINO CODE NO OF UNITS
Smith AB123456C 8AIA 1986.4805
[Code] .........
There are a number of clients that have multiple investments that are shown by an alpha numeric code. I need to consolidate the number of units for each member in to one line. Ideally the output would look like this: