Attaching the excel (QOS- ARP- Applications.xlsx) - Formula I am trying in D27, "X" value is there in the row and the corresponding application (Header ) should be the return in D27.
I am trying to match headers of different files and copy data.If the one of the header is not matched then a new column with the non matching header should be created and the column has to be copied
Ex: file1.xlsx has AA BB CC as header file2.xlsx has AA BB DD EE as header file3.xlsx should contain AA BB CC DD EE i.e data from file1.xlsx and file2.xlsx
I have more than 300 files how can I copy all the files to one excel file by matching headers ?
I have a spreadsheet and I was wondering if there is a way to copy from a specific range in say A1:A5 in Sheet1 and paste into Sheet2 where the column matches cell A1 in Sheet1.
I am trying to do this in VBA and I was wondering if there is a way to do this.
I've been trying find an appropriate formula to extract the column header from a table in a different sheet if the row header and value in that table is known.
in the lookup table the row titles (column A) are product codes, column titles (row 2, D through AX) are business names and the table values are quantity.
In a different table I have product codes in column A and in column B i have the max number/quantity of products for that code. In column C i want to put the company name associated with the product and the number/quantity.
My task is to combine two large databases into one spreadsheet by extending the number of columns. The data from each database is 90% matching based on an identification number, however occasionally there are additional rows or unmatched identification numbers that need to be kept for analysis.
When this happens, there needs to be a blank row inserted to represent the missing data in the rest of the corresponding row.
I am having trouble finding a quick way to do this because I have approximately 12,000 rows (and columns up to DV when combined).
for example:
p1 data data data data p2 data data data data
[Code] .....
needs to become:
p1 data data data data
[Code] .....
I am guessing I will need a macro of sorts, So far I have made one column that tell me if the ID's are matching or not (1 or 0) and if they are not matching (0) I manually insert the rest of the row that is missing or make space for the duplicate data (which needs to remain).
programming 2 macros in a bank reconciliation sheet I am trying to create.
Basically the data consists of two sets: the ledger side and bank side. Both sides consists of multiple columns that include date, description and amount.
The following two situations can occur and which need to be covered with a macro.
Many to one matching When we make payments to say 100 different suppliers at once, the ledger side will show 100 lines with the different amounts. However on the bank side it will only show one line with a total amount for the transaction. As the description on the ledger side is the same for all transactions done at the same time, it should be possible to have a macro add these lines and compare the total with entries on the bank side. Once a matching amount has been found, the macro should place an ‘x’ next to all entries on the ledger and bank side, in order to show that these transactions have been reconciled.
Partial cell matching In this case we are only dealing with one line on both the ledger and bank side. The issue is that the description does not always perfectly match with one another. The ledger side might say ‘Brown Corp.’ and the bank side might say ‘Brown Corporation’. I want to come up with a macro that can recognize this partial match and still reconcile the lines by placing a ‘x’ to both the ledger and bank entry. The match however should be done with a combination of description, date and amount as several different bookings might be done for the same supplier in the same month.
I have two tables, Table1 one has only customer codes in it, and I have Table2 with plenty of customer codes and those customer name, surname, age, location...
And I want to match and copy each of those customer codes in Table 1 all the information which is on Table2
Table 1: 50025 50026 50086
Table 2: Considering that name, age and location is each in separate cell
I have a booklet I want to print from Excel 2000. I'm not seeing how to have the HEADER on page one only. The header is coming up on all pages. Is there a way to tell Excel to print the Header on page one only?
see attachment below for easier comprehension of what I need to be done. Note that I have around 20 subjects (2 in example) and about 15000 values per subject (5 per subject shown) Basically, I want matching rows to be aligned (see grey) and non-matching rows to be deleted, throughout the 20 or so subjects.
I have a cell (A1) that contains text. That text will match a single value in a reference list (i.e. range of cells e.g. Z1:Z26). When the match occurs (e.g. A1 = Z16), I want the format of the reference cell (fill color, text color) to apply to the cell of interest (A1). The reference cells are manually formatted.
I know that I could create a long list of conditional format formulas instead of using the reference, but it seems that there must be some way to tell excel: if the cell value contents are equivalent, the formatting should be as well.
I have a worksheet that contains a number of rows. [Thank you, Captain Obvious!] These rows are logically grouped to represent a series of "items", with each item having one or more rows (with a "header" row at the top). The rows for a particular item represent different types of information about that item, and therefore make use of different formulas based on the row type. Due to the relative complexity of the formulas in these rows, I am creating a series of row "templates" from which I can copy and paste every time I want to create a new item or add rows to an item. As such, I am trying to avoid direct cell references to different rows, as these would easily get messed up during cut and paste. Instead, I am trying to limit myself to various lookup functions (e.g. OFFSET, MATCH, etc...) that will work regardless of where a row is added.
In order to accomplish this I am using a "key" column to group all rows for a particular item together. Until now I have had to type in the key value for every row for a particular item. What I would like to do is to only have to type the key value in the header row, and have a formula populate the key value in all subsequent rows ... until a new header row is reached, at which point the new key value will be used. Take a look at the following example: ....
it was possible to have my header which is in row1 to printed at the top of every page without having to manually put it at the the top myself. this is for printing only as i have frozen panes to make sure its always visible when in spreadsheet
Is there any way in excel 2007 to define a standard header and footer on the first sheet and use the same header and footer for all the remaining sheets within the workbook (same font and style as in first page).
Since I have around 25 sheets within the workbook i cannot do formatting and copy paste all the time. This will save my time alot.
I would like to add the column header to each of the row item and price, we maintain masters in the matrix format, butthe application supports only the row item mapping with the customer and pricing. Attached excel file
I have a document I want to be able to choose to insert a logo in the header across an whole document if it is not going to be printed on letterhead. I want the document to be transportable to different users so I don't want to insert an image with a file address but rather copy it from a hidden sheet. Is it possible to do this? If not, is there a way to hide or unhide images in a header?
I'm looking to automate an excel file, I have some vba code that formats the file. I think I have one last item I'd like to add. I'm trying to setup the header via VBA code, which I've done via the record option. I was wondering if there was a way I could have the header show the date the file was run. So, if I run it today, then it would read 2/26/2009...then when opened next week, for example, it will still read the 2/26/2009 and not the date it was re-opened.
I have a code that copies Sheet1 and send it via email. Everything works fine, besides that I can't get the header copied in the file that is going to be sent. I am attaching a sample workbook.
So, I've created a pivot table and need to use one of my values in both the row and value fields. I haven't seen a way to easily do that so far. Is there something I'm missing or is this not possible with Excel (yet)?
I have created a worksheet with headers on each column each has different and used the =MIN function to find the lowest value. All good so far.... Now instead of returning the value I would like it to return the header text.
For Example.
Four columns Tom Paul Harry Bob
Tom has a value of 10 in the cell below.
Paul has a value of 5 in the cell below. and so on with Harry and Bob
Using the =MIN(A3:D3) I get the lowest value (in this case)5. I want to the returned value as Paul instead of 5.