I am trying to Loop Through a Folder Of Excel Workbooks and get required Info from one of the workbooks, back to my Master File.
I thought of "VLOOKUP" but I am not shore if it will work over Approx. 60 workbooks? if there is an other or better approach, I am open to all Ideas.
So far I have code to Open my Master and declare the criteria for the VLOOKUP with the help from:
Re: Run A Macro On All Files In A Directory
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See also this page on how to loop through a folder
Loop Through Folder Of Excel Workbooks
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I am now able to open all Files in the sub directory, now I need to know how to approach my problem of looking for and getting the Info back to my Master File with approx. 5000 entrys to look for?
I have a column of numbers each have a 0. infront of them (example 0.2346 0.5698). I want to pull the number from the right until it hits the decimal sign. So for the two above the result would be 2346 and 5698
I've been using the following code to bring in individual cell values from one closed workbook to an active one. I would like to modify this is possible to bring in multiple cells at once and also pull them into a different worksheet in the active workbook. Basically, my command button is on Sheet1 but I'd like the data to pull into a cell on Sheet2.
Private Sub CommandButton1_Click() With Range("Q9") .Formula = "='C:Users[Workbook Name.xlsm]Worksheet Name'! N27" .Value = .Value End With
I have a workbook I created that is full of macros, graphs, and formulas. Five of the tabs in the workbook are where I will be putting my data. This workbook will also be used by others that don't even know what a macro is or does so I need to make this as simple as possible. How I get my data:
I have a website on my intranet where I have to login and then I have five templates that I run. I can have the results given to me either in HTML or in an excel spreadsheet. The excel results are very basic. Heading for each column and the data below. I have the report generated with blank columns since my page the data will go on has formulas. Thus far I have been copying all rows starting with row2 and doing a paste special (values, skip blanks). I had a macro in my personal.xls file to do this for me but most users will not know how to import it so I need a resolution that will be saved in the WB I send out.
I have a worksheet entitled 'Data'. In this worksheet there is a table consisting of 4 columns plus relevant data:
TABLE 1:
Project Benefit Type Delivered or Enabled Benefit
PJ1 Financial Delivered Saving of $4M over 24 months.
[code]....
I have been trying to create a formula that will enable me to pull data from the 'benefit' column(column D) so that the cell contents populate in a single cell in a table in a different worksheet.
TABLE 2:
Financial - Delivered Financial - Enabled Tech - Delivered Tech - Enabled Green - Delivered Green - Enabled
[code]....
So, as an example, I am hoping that a formula can be created which pulls the text from relevant cells in column D when criteria from columns A, B and C are met e.g. Tech benefits that are Delivered in PJ2 would populate cell E3 ('Tech -Enabled') in Table 2 with:
I'm looking for something that will be able to push or pull data from a workbook (named "Personen - test.xls" = persons) to an other workbook (named "Personen per maand.xls" = persons/month). In attached documents i tried to make clear (sorry, it's in dutch) what i would like to do. In English; the marked data in "Personen - test.xls" should automatically be shown in the marked area in "Personen per maand.xls". I think the biggest problem is the fact that "Personen per maand.xls" is a standard-document which should be filled -time after time- with many different data's from several "Personen - test.xls" documents. These documents are all named different, the data is always given in the same way. So in my opinion i should make something where i can tell excell which document to use and something i can tell where to put the data. But i really don't know how to do this...
I need a formula or a macro here, or something completely different. I have one spreadsheet that tracks all records that I produce. In one of the columns (F), I have indicated whether certain forms were issued with the record. This column can either contain an "x" or nothing at all. On a separate spreadsheet, I track and record the results from all these forms. I need something that will make the second spreadsheet (TrackTrend) automatically search column (F) on spreadsheet one (RecordTracking) and if "x" is found, return the information for columns (A-C) for that given line. If nothing is found, nothing should be returned.
I'm having some difficulty getting ISERROR to work in certain cells that pull data from other sheets in my workbook. I have had no trouble getting it to work in cells that do not take data from other sheets.
This formula: =IF(ISERROR(DATEDIF($E$2,D18,"d")),"-",(DATEDIF($E$2,D18,"d"))) is an example of how I successfully got the function to work. All is well with this.
However, on a different sheet using these two formula: ='Mike Anderson'!A68 and ='Mike Anderson'!J536:L536 I could not get the ISERROR formula to work.
Unfortunately, I'm enough of a novice using Excel, that I don't know if I'm doing something wrong with the formula or if it's just not designed to work with values from another sheet. This is how I was trying to make the formula work =IF(ISERROR('Mike Anderson'!J536:L536,"",'Mike Anderson'!J536:L536)). Doing so this way created an error in which the little Excel helper guy that pops up highlighted the quotes inside the formula.
The error message I'm trying to get to not display using the "" is just a #DIV/0 message that fills the cell until some data is entered into the sheet.
In workbook 2, I have sheets named for each day of the week. I would like to take the information from the previous three weeks for each corresponding day from workbook 1 and put the averaged data into another table with the data all formatted the same in workbook 2. This way, each week when I go into the aggregate file (workbook 2), I can look at the chart I'll create and see the average of the past three weeks transactions, total sales, and average sales for each hour of the business day and be able to staff accordingly (assuming the trend continues).
I want to pull data from closed workbook based on cell values of open workbook of column B and the source file name is on cell J1. Actually I save monthly files and opening balnce of current month should take vakues from previous month file.
Suppose current month is May 2008. Then Column Column D for May month shold take value from column G of April 2008. For simplicity the previous month’s name and thus source file name will be placed on cell J1.
The code should loop from column B of source file and current May 2008 file and should pull values for only those items which are in the current file in the Column B. Thus those products which are deleted or newly added item in the current item should not copied. Though for new item no name will be thre in the source file but for deleted items the item might be there in the source file but the code should ignore those value.
I'm working on a sheet trying to keep track on which client is working with which employee. The first sheet shows tracking for the year and each additional sheet is the month. Basically the Yearly sheet is there so I can quickly control+f "client name" and see which employee he or she is working with.
I attached a simple version of the workbook but basically it basically looks like this: Yearly sheet - Row 1 is the employees name, Row 2 is the month, and the rows after that are the clients name until it gets to the next month. January sheet - cell A1 says client, Cell B1 says employee. I'm inputing the clients in column A and the employee in column B and using this formula for the Yearly sheet (starting in row 3) =IF(January!$B2=Yearly!A$1,January!$A2,"")
This is working for what it's supposed to do, but it's not pretty and leaves a lot of of blank cells. Is there a simpler way of doing this?
I have several excel spreadsheets by which I would like to add together certain values in the column with the same columns of all the other excel spreadsheets. So basically, If one of the values are "SELF" , I would like to calculate how many times that value occurs in all the spreadsheets. Any easier way to organize the data to be able to do this also.
I have the job of producing a survey in Excel and collating the results anonymously, to help with this I'm looking for a chunk of code that will enable me to pull a specified range of data from all the files in a particular drive with a filename starting with a specified word and insert them all in to the same blank sheet.
I had a friend attempt to help me with this issue but he couldn't figure it out. He suggested that I tried asking around here.
Here is what I am trying to accomplish: (I am happy to email anybody the spreadsheet to help out with this description)
1. There are two spreadsheets. One spreadsheet with about 25 tabs (one for each store number) and one spreadsheet with one tab and about 1400 lines of information that is sorted by store number. To preface, this 1400 line spreadsheet can be 900 lines one month and 2500 another month, so it fluctuates.
2. From this spreadsheet sorted by store, I will highlight, cut and paste into the corresponding store tab on the first spreadsheet. Also, at any given month, the information fluctuates, it can be 15 lines for one store one month and another month it could be 5.
3. Once I am done cutting and pasting it all into each seperate tab, I have a 26th tab that I am looking to create a button that will then pull all that information into the 26th tab.
I know - first question is why would you want that? You already have all the information from that original spreadsheet. Well, in these store tabs, I have everything perfectly formatted a certain way and I only really cut and paste the information that I need from the 2nd spreadsheet.
I have a spreadsheet that my friend claims he got close to working it out.
Just to add, I would need this button to take into account that the information in each tab fluctuates and also that it is easy to add a tab if I add stores.
I have a spreadsheet with 12 tabs (one for each month of the year). What I need is a macro/function that on execution will pull all rows from each sheet that has the word "overdue" in cell E from E9 down. I need the whole row of data being taken into a new sheet.
So for example, in each sheet there could be the word overdue appearing in 30 out of 500 rows I need those complete rows (A to Y) being put into another sheet for ease. At the moment I am filtering each sheet and copying and pasting into a new sheet for each bloody sheet (LOOOONG way).
The worksheets are titled: Jan 14, Feb 14, March 14, April 14, June 14, July 14, Aug 14, Sept 14, Oct 14, Nov 14, Dec 14
So I am trying to pull data from multiple sheets. I've gone through the thread, but haven't found an answer yet (or didn't work hard enough). On Sheet1, yellow highlighted column, I am trying to look up the I.D. Code for 36 month residuals. As you can see, I have to use multiple conditions on different worksheets.
I have to use most of Sheet1 columns to find the answer. I just can't figure the formula out.
As part of report consolidation I need a Macro that can read through all the files in a particular location(Say a folder path) Pull the data for each unique products into separate sheet
In the example below : All the rows with "Chocolates to sheet 1" , Drink to Sheet 2 and so on Since the products in column 3 can vary the unique sheets need to be created at run time based on the source data
Data extract from sheet to sheet through column header values, i have set of data on sheet1,2..loop end of sheet
i want pull column data from multiple sheet column values into masterdata sheet depends upon column header values assigned in masterdata sheet.. my code works fine! but i want pull data if column header repeats more than one also
SO_NBR this is one heading in multiple sheets i cant pull col values not more than once under if SO_NBR repeats more than once.
[Code] .....
Find the attachment mentioned as expected result sheets is my requirement : HEADER_UPDATES_AIO_$.xls
I need a macro which collects data from two files and dumps it into a separate spreadsheet. I need it to prompt the user to select the two files, since the file names may change.
Once a user selects the files, the macro simply opens them, grabs the data (the data sits on a single sheet in each file) and pastes it into a file, and closes the 2 data files.
Attached is a master metrics deck, where data needs to be refreshed every week, from two different workbooks.
The catch is, the two parent workbooks would be new versions every week (data would be same format, and style within), but file name would change each week, for eg: for 1st workbook, 'XXX_Weekly_Week24.xlsx' to 'XXX_Weekly_Week25.xlsx' and so on.
for 2nd workbook, 'YYY_Weekly_Week24.xlsx' to 'YYY_Weekly_Week25.xlsx' and so on.
In the master metrics deck, a consolidated vew of some of data from workbook 1 and workbook 2 is presented for each week.
This master file would remain same, and only be refreshed each week (preferably with a button on its sheet "REFRESH!!")
Next, need to manually change cells C2:G2 each week to reflect week titles correctly.
For e.g.: week6 would show week 1 through week 5, but during week7, it needs to show week 2 to week 6. Only last five weeks of data any given time.
The first datarows of each set are conditionally formatted (they are compared with other rows in the set and need to reflect danger values, good values etc) (I have done that already).
I want to open an excel file whose name is a value in a spreadsheet, and then pull a value from the spreadsheet I queried into my existing workbook. Here is the syntax i have so far:
to note: I'm calling the workbook in which the macro is located testproject.xls, and I'm using [integer].xls as my list of files that the macro will query. Ultimately, this code will go in a loop.
The problem is, I want [3.xls] to carry the sale value as varCellvalue with .xls appended, and not be kept static at 3. I tried inserting & varCellvalue & ".xls" into the brackets, but with no luck. My only difficulty is getting [3.xls] to vary along with varCellvalue.
I am looking for a code that would copy the data from each worksheet in a given workbook and then paste to just one worksheet within a different workbook. The Sheet names are auto generated when I run this canned report but the naming structure is always the same...the first worksheet is named Repair Details and then the next sheet is named Repair Details_1, the next sheet is named Repair Details_2 and so on for every sheet in workbook. So I would like to copy all of the data(Headers to last cell) and then paste in a worksheet(ex: Master Repair Report.xlsx and the worksheet could be titled Master Repair Details) on a different workbook, then the next sheet would copy from the one under the header to the last record and paste to the same workbook. This process would repeat for every worksheet in the Repair Details Workbook and paste to Master Repair Details worksheet in the Master Repair Report workbook.
On one workbook I have "column A" that lists serial #'s, one serial number per cell. What I need is to be able to take all the non blank data from that column and copy it to another workbook with all those serial #'s in 1 cell numerically sorted and separated by commas.
I need a Macro which pulls the data from different sheets of excel (which is not formatted properly) to Main Sheet. Also some of the columns will not have the same names, so macro should handle this exception as well.
I want to be able to identify an Excel workbook in a cell, then have another cell pull the value from a specific cell in that workbook.
In the sample attached, I want the formula in cell C4 to pull the value in cell D35 from the workbook identified in cell C3. When I click within the brackets [C3] it asks me to choose a file name from my Explorer file list. "='[other_workbook.xlsx]Audit Information'!D35. I don't want to do that and want it to choose the file listed in cell C3.
I'm trying to pull some statistics from a workbook I've been sent and am having some trouble working out how to achieve this.
I have a small interface that allows the user to choose a possible answer (drop-down menu) from a questionnaire (Yes, No, Maybe)(cell: C6). On the interface the user also picks the question they wish to see the stats for (cell: C5)
The data I have been sent has been set up with the questions along in row A, and the answers below in each column (the answers run across row A from column G - AH).
So, what I'm basically after is a formula that first looks up the question specified in C5 (I've used HLOOKUP to pull some other data), and then counts how many times the Yes, No or Maybe answers appears in the column where the question data is held.
I have a folder that contains hundreds of excel workbooks. Each workbook has 20 or more sheets. All workbooks have the same look and design. All workbooks have macros that they use to function and the macro I want cannot interfere with their macros.
What I want to do is copy certain cell values (some numeric and some text) from several sheets from these workbooks and paste them into another workbook (a master workbook) that is essentially collecting these values into a table without having to open all these workbooks. For example, let’s say all of the workbooks are named with a numeric value starting with “one.xls” and that the sheets in these workbooks are named “a”, “b”, and so on. So, in the master workbook in cell “B2”, I want the name of the first workbook searched (“one.xls”); then in cell “C2”, I want the value from cell “J45” on sheet “b” of “one.xls”; in cell “D2”, the value from cell “B32” on sheet “b” of “one.xls”; in cell “E2”, the value from cell “K13” on sheet “e” of “one.xls”; in cell “F2”, the value from cell “R43” on sheet “k” of “one.xls”. The in cell “B3” of the master workbook, I want the same information as before except from “two.xls” instead of “one.xls”, and so on down to “three hundred.xls”.