Creating New Worksheets Based On Information From The Master
Jun 14, 2007
I have a spreadsheet that I am trying to use as the 'master'. I want to break down this master by category (Column D) and label the worksheet by category (AA, Code, SQL...)
I need for the code to search the D1:D500 column and find "AA", "Code" or "SQL" and place the entire respective row on each respective worksheet. Then sort by colmn E. There are columns a:h that need moved to each sheet.
I need to be able to pull information from a "master database" into seperate worksheets. Here is my problem. When I use a vlookup and my identifer is say "office property" then the vlookup will only pull the first "office property" and not retrieve any of the remaining "office property" rows.
(EXCEL 2003)I have 6 worksheets for 6 separate ad reps that will be populated with customer info. To make my life simple I just want column A from each of the 6 worksheets to show up on a master sheet in column A. But what also needs to happen is if we add and delete customers that also needs to happen on the master. I understand the "=" and then pointing to a cell in another sheet and hitting enter. I got that to work but I just have soooo many cells to work with that would just be way too time consuming.
I am putting together a register of information and it is broken up over a number of sheets i.e. LOG1, LOG2 etc.
I have a master sheet in which I want information to automatically populate based on whether a certain column has the words yes or no.
Ie Column I in LOG1 or LOG2 etc can either be yes or no. Is there a way to populate the Master sheet only with the information of a row in which column I is yes?
I know it would have to be a formula in the master sheet which checks all the sheets and then somehow populates the master sheet downwards if anything is yes but then removes it once that yes becomes a no....
I am new to using Macros and have not had great progress building a macros to make my life easier.
What I am trying to do -In my main database tab 'FW Telecom' Use column A ( a set of numbers) to create a new tab based on that number, with a 'FW' infront IE ( column A shows 11, i want the tab to read FW 11) -I want to create one for every number in the column -Then I would like to copy my 'Template' tab to each new tab. -From there I would like to fill in the information in the new tabs from the main database tab 'FW telecom' -Since they will all be copies of the original template, i figure i can just get it to pull from the first column A and then fill in the info.
Not too much in theory going on here, just take my database and move the pertinent information to a user friendly look which I set up in 'template'
I have a workbook with many sheets, all of which derive information from the first sheet. On the first sheet, I enter values from say J1:J29. Each of these values is fed into one of the subsequent worksheets. I would like to have some code that would look at my range, determine which cells are used and print the corresponding worksheets. Write now I have a bunch of If statements that say
If Sheets("Worksheet").Range("j8") > 0 Then Sheets("698-ALY W1222").PrintOut End If
the problem is that it takes to long as each statement is evaluated and the print command sent.
The values in column J have names in column I and while the names do not exactly match the worksheets, a person could look at the name and match the correct sheet. For instance the name in column I that corresponds to the worksheet name 698-ALY W1222 is 698/ALY.
My workbook contains several worksheets each recording the results of equipment tests - one sheet for each piece of equipment. Rather than open each worksheet to check the date of the last test, other 'overview' worksheets pick up and display the last test date from each equipment record using the formula =MAX('sheetref'!A15:A500). Is there a better formula to do this?
Some items of equipment are tested at more than one frequency, ie Monthly, Yearly, etc. Therefore, the entry on row 15 of an equipment record may be column A 28/10/08 column D 'M' and row 16 column A 29/10/08 column D 'Y'. The above formula will only display the last test date, irrespective of frequency. There is a seperate overview sheet for each test frequency therefore, I need to modify the formula so that the date it copies from the equipment record worksheet to the overview worksheet is the date of the last test for the specified frequency.
MP1 CT CTfile1.csv CTfile2.csv CV CVfile1.csv CVfile2.csv FT FTfile1.csv FTfile2.csv
...etc - it keeps on going for more subfolders.
- Every subfolder has 2 different .csv files.
- Every file has the same structure. Relevant info: . column B - time string . column C - value
- The files are automatically genarated and report lots of single events (evaluated in Column C) that occurr in a specific time (dd/mm/yyyy hh:mm:ss specified in Column B)
- All files have the same number of lines.
- Line 2 in fileX refers to the same time as Line 2 in fileY; the same for all lines.
What I need is a Macro in a file "Master.xls" placed in folder MP1 to automatically:
1. open each file in the subfolders 2. copy the time string (column B) for A2 down - only needed for the first file 3. copy the relevant info (column C) - in every file 4. close all files
Result: I have a "Master" file with the relevant info of all the others, preceeded by a time string from where I can work (pivot table, graph, etc.). The files can have from 5.000 to 30.000 lines, depending on the day.
transfer data from several sheets to a master data sheet. The problem I am having now is there are couple blank cells. My code just ignore the blank cells on the master data sheet and paste next to the last cell with content. For example I attached a test excel. with my code. I want to leave the blank cell as it is to keep the same product in one row. below is my code.
VB: Sub Copypaste() ' ' Macro8 Macro For Each ws In Worksheets
I will be adding a weekly report to each sheet, which will have varying rows within it, but always the same column headers.
I want a master sheet that will automatically pull all the rows of data through from each sheet, create a new row if needed but merge rows with the same data name and combine the figures.
i'm have a master spreadsheet of contact details and categories. i want to be able to pull contact information onto other sheets within the same workbook, based on category. example attached.
I have 9 identicle spreadsheets, one for each user on a shared workbook. I want to create one master table linked to the 9 spreadsheets which will automatically update including when new records are added. With this in place I can then create a pivot table
So, I'm setting up an accounting book. There's a master sheet that needs to pull from the other sheets that are made. The problem is, with each new sheet that is made, I have to update the formulas on the master. I would like that if I made a new sheet, the master would automatically pull from it.
Example:
Master pulls renter fee info from May 3rd, May 7th
I create sheet (May 15th)
Master pulls renter info from May 3rd, May 7th, May 15th
Is it possible to VLookUp Data between multiple workbooks (12 different workbooks to be exact) in one master sheet?
I would like the master sheet to find the empty data for the item number. Basically, how can I automatically populate the empty data for each item number in the master sheet. Every item will be different. The 12 workbooks are invoices throughout the year (Jan, Feb, Mar, Apr, etc) and these workbooks have the data needed to fill the master sheet. How is this possible? Or is it not?
Master sheet.xlsx -Contains item number -Purchase Date -Sell Date -Purchase Price -Sell Price -Profit Price
The 12 workbooks are the 12 months out of the year, which are invoices.
- Contain the data needed in the master sheet such as sell date, sold price, and profit.
The reason I would like to keep the 12 invoices as workbooks instead of worksheets in 1 big file, is due to the high capacity of item numbers each monthly invoice would have. For example (approximately 500 items in each workbook)
I have for hours and weeks, actually months, But I haven't found any sources on the internet, although I have seen the VLook Up how to's on youtube between 2 workbooks, but not the 12 I would like.
What I have is a master file that needs to pull info from other sources (a simple copy and paste) those files are called Inventory_xxxx.xlsm . Inside the master file, there are cells with the number of the inventory.
What i need is a way to tell excel to check what number is in the cell, open the files with that number, get the info from the files and paste it back in the master file... and the part that i consider the trickiest, a way to loop it.
For example, lets say i have 2248 in cell A10, it should open Inventory_2248.xlsm copy the contents from cell N4, O4, P4, Q4, R4 and S4(Inventory File) into N10,R10,S10,T10 and U10 (Master file) respectively then in A11, there could be a 2250 so it should open the 2250 file get the info, paste it and so on.....
Now I don't even know if this is do-able or just impossible, been fiddling with various codes to no avail.
If a certain email comes into a mailbox with certain parameters eg subject and from criteria is met. Then extract the data from the email attachment (daily order) and add it to a master sheet containing all orders.
I'm a relatively competent VBA user to a macro recorder and basic editing of custom code level but fall short with writing custom code and don't have much used or proven code I can copy from.
Problem: I'd like to automate a process whereby consolidating certain information within many data files (possibly up to 500) into a single tab within a master file.
At the moment there are only a few data files which are manually consolidated by way of manual links but going forward it will increase significantly, hence the need to automate.
I need to consolidate the following 5 cells from each data file A1, A2, A5, A7, A8 (vertical) into a single row within the master file across 5 columns (horizontal), i.e. each data file will populate 1 row in the master file, one below the other. If there are 500 data files there will be 500 rows of data in the master file.
The data files will be saved in a central location on our server and the master file will sit outside this folder, possibly in a subfolder.
Something which would be handy is a link in the master file to each data file, i.e. if I click on a data row in the master file it would jump to the source data file.
I am trying to create a master list in a new sheet based on the data contained in 4 separate tabs. The data is Username, Display Name, Company. Unfortunately some users have accounts in 2 of the companies (with the same username) and I need these to default to Company A.
The output need to be username, Display Name, Company.
1) Data - the students are listed in Column A, math scores in Column B, reading scores in Column C and science scores in Column D. The grades of 300 students are entered in this sheet.
Student Math Reading Science
Jimmy 75 84 100
[code].....
2) Report Card template - This is the report card that needs to be generated for each student. It's pulling the student name and grades from the Data worksheet.
Student Name =Data!$A2
Math =Data!$B2
Reading =Data!$C2
Science =Data!$D2
How do I create worksheets (report cards) for additional students? I have 300 students in the school. I need the next worksheet to reference Data!$A3. I know how to cut and paste the report card template and then edit =Data!A2 to be =Data!A3 to create a report card for Sally. How do I create the 300 report cards I need?
I've been teaching for 13 years. I can create a report card for each student in my class and edit each worksheet individually for each student. Now I've been asked to do this for the whole school and I don't know how to create the other 299 sheets I need.
I have a macro that transfers (copy/paste) information from one master file to several other individual files. The macro works, but I would like to enhance it by have it spit out errors in the process as follows: if cell A42 on file VP1.xls is not equal to Cell C35 on file Masterfile.xls then make cell E2 ERROR and fomat E2 bold-red, otherwise do nothing. The macro should continue regardless, I just want it to spot errors. I think this is pretty simple is just a matter of inserting an IF formula in the macro which is something i don't know how to do yet.
I am working on creating a medical master database. I have a master sheet with a huge number of columns. I have a couple of guys working with me, and they have their own sheets in the workbook.
So here is what I would like to do: anytime one of the guys enters data into his respective worksheet, I want the data to be copied over to the master sheet in a new entry.
The columns among the worksheets are different, and I would like the data to automatically sort in the appropriate column on the master sheet when it is copied.
I have attached a copy of the workbook.
I have included an example of what I would like to see. For example, if Charles puts in an entry in his worksheet, a new entry is created on the master sheet with the information from Charles' sheet sorted in the appropriate columns.
I have an excel file as attached. I have two departments Digital and Industrial. Under this I have done a drop down option for different quarter for different projects.
When I open my excel file I just want to see the Quarter column under Digital but when I double click on Digital all other columns appear.
Second this is it possible to create a master filter or sorting for Quarter above the table so that if I select Q1 in it it will displays all the project and corresponding values in both Digital and Industrial.
This challenge may be better handled in Access or a true database but the person making the request only uses Excel.
1. Create a form that will accept names, dates, and grades.
2. Store the information on a separate worksheet so that it's being accumulated and reports can be ran from it.
I'm aware of Excel's automatic form but it doesn't allow for validation.
Example: some score ranges are 0-5 others are 0-15. We can't allow for a 12 to be put in where the max is 5.
I know how to do the validation. The big challenge now is telling Excel: I've completed entering this record. Now clear, and start a new record on the next row?
I have a userform that searches a data base for an address an pulls up the corresponding information. I was wondering if there was a way to get it so that if I put 1234 5th Street when it puts the information into the data base it would separate it into two cells so 1234 would be in one section and 5th street would be in another.
I have a wb containing several sheets that the field supervisors use to fill out for ordering material. Each sheet contains different types of material. The problem is that, if they only need one particular item from each type (sheet), they have to print 7 or 8 sheets just for those 7 or 8 items. I want to create a sheet that will list everything they are ordering in one compact, neat area, so they only have to print one sheet.
The set up of the sheets goes like this. There's a column containing the name of all the items. Next to each item is a place they can specify how many of that item they want. They leave it blank if they don't want any. That's it. Really quite simple.
So now, I need this new sheet to find all the cells that a quantity was entered on the other sheets, and list that and the description of the item wanted, along with what type of material it is. I have figured out one way of doing it, but it would take a crap load of hidden IF formulas, and I know there has to be a simpler way. I'm open to all suggestions - whether it's vb codes or formulas, it doesn't matter to me.
I need to create a macro to copy the data from time sheets of different employees into the Master sheet. ie., each employee's time sheet details in to a separate sheet. If any employee fails to provide his/her time sheet details. a mail must be sent to the respective employees regarding the Time sheet submission. I am providing the sample data of my files too.
Intentionally TS_Employee5.xlsx timesheet isn't provided. In which case, I have to send a mail to the respective employee, in order to remind him about the time sheet.
I have a file with 10 tabs (worksheets) and i would like all the information on each sheet (it's all in exactly he same format, same headings, etc) to automatically feed itself onto a "MASTER" tab. sure i could cut and paste it, but here's the tricky part. as the separate tabs are changed (deletions, additions, edits), i want the MASTER sheet to automatically update with newest information. am i asking for too much from Excel? (I think not, as I've become a firm believer that Excel can do anything - except the laundry!)...
The title says it all - every month i have 60 or so workbooks i would like to add to a master worksheet for that month - each tab name being the name of the worksheet. I also have 60 or so mht copies of the same workbooks i would like to add to a different workbook.
The workbooks are titled K11_120106, K11_120206, K11_120306 ....
I'm trying to do is create a macro that will autopopulate information from a source sheet. What I have is a different route sheet for 25 or so technicians within my company on one worksheet.
I want to be able to have a source sheet that I can change daily and have it autopopulate the information needed into the appropriate cells/sheets from this one source sheet.
I am pretty sure there is a way to do this, but I'm not familiar enough with creating macros to do this myself, although if I had an example of one cell and a simple explanation of how to fit this to the information needed I think I could do this on my own.
I have four worksheets and they are named: P (the master spreadsheet), and then A, G, and S (which, combined, should contain all the values on P). These spreadsheets are identically formatted. Column A in each spreadsheet has a Name, and column B has a quantity associated with that name. There are no column titles or headers.
Basically, I need to ensure A, G and S role up into P.
I'd like to create a macro that will identify instances where Column A (the Name) on the master spreadsheet has a match with Column A (the name) on any other spreadsheet. Then when there is a match, I want to reconcile Columns A (the names) and B (the quantities) on the master spreadsheet against its corresponding values on the other spreadsheets. In my ideal scenario, a new worksheet would be created showing:
Column A: Contains the values from Spreadsheet P, Column A
Column B: Contains the value from Spreadsheet P, Column B
Column C: Blank
Column D: Contains any matching value to Spreadsheet P, Column A, but otherwise states "No Match"
Column E: Lists the corresponding value to Column D, but otherwise states "No Match"
Column F: Equals Column B minus Column E, but otherwise states "No Match"
I've tried applying examples from other threads but they are so customized/specific to people's individual needs that I've been unable to make them work for my more simplistic example above.