I just downloaded an income/expense template from Zillow to manage my rental properties. The template works great but it's only set up for 5 houses and I need more columns as I own more than 5. In the attached template the houses are listed by property codes and that is the column that I need to add to.
I have a calendar-template that contains entries - little text-chunks - and i also have a excel-sheet that contains 365 texts - those have to get imported into the Calendar-template. - see the attached files for more infos. Play around with the calendar-template.
Note: the attached data contain the following
a. the calendar-template (attachment a) b. the excel-sheet - with the 365 text-chunks that have to get imported into the template (attachment b)
What is aimed - i want to have a weekly calendar for my own usage
To see what we already have - take the calendar-template.
You see the calendar-template contains the fully-fledged view of the second week in 2014.
If you jump to the filed A 2 in the calendar-template (attachment a) - here you see the date - actually the 2014-01-06 You can play around and see that the greek verses are already included for the whole year. If you choose any date of the year - the greek verses in the template already are added.
What is missing - are the additional text-chunks that are represented in the excel sheet.(b)
note. i have colored the fields in the calendar-template and the excel sheet with corresponding colors so we can see - which fileds have to get filled with which text-chunks of the excel-sheet. Additionally the calendar-template contains the fully-fledged view of the second week in 2014.
Question. can we do a automated version?
Attached files: a. _calendar_2014_week_2_demo_excel_version - this is the calendar template b. _words_2014_365_days_excel_version - this is the additional text sheet that contains the 365 text chunks - slogans
I'm trying to make a macro in Excel 2003 to create x amount of named worksheets that are a copy of a different worksheet.
1. I have a main worksheet that will have a number manually entered into a cell (lets say A1); 2. I have a 'template' worksheet; 3. I'll assign the macro to a button on the main worksheet
If I enter '10' into cell A1 of the main worksheet, I'd like to click the button and have Excel create 10 copies of the template worksheet. These new worksheets should all share the same name with a number after them (ex: banana 1, banana 2..... banana 10).
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 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.
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.
Using VBA... I have Column N (eFIUnitRebate) which I want to swap with Column M (FFUnitPcnt)
Now with Column M as eFIUnitRebate and N as FFUnitPcnt I want to create an extra column (adjUnitCost) where Column N is and push FFUnitPcnt to become column O, etc.
Here is how the whole process should work: Swap M and N Insert new Column in N Insert new Column in P Insert new Column in Q Insert new column in R
There is more information on the sheet after these columns so for all column inserts it needs to push whatever was there over.
So the layout is as follows: J K L M N O P Q R
Units UnitCost UnitRebate
[Code] .....
These columns are thousands long, so I would like the formulas for them to be applied to the whole column as well.
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.
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 wish to have a column of values. It will be dates. There will be a value in each cell (hours worked by employee) I want to know only the total hours for the last 30 calendar days. I still need to see previous values, but I just want to total the last 30
I'm trying to automate the calculation of my prepayment schedule. The linked image http://img402.imageshack.us/img402/2...mentqueryp.jpg shows the basic layout of how it will look. The yellow cells are going to be the only input cells but i'm unsure what formula will achieve the desired result i'm looking for across the remainder of the spreadsheet. Essentially I need the formula to look at the period (start and end dates) the invoice covers and apportion it correctly. The apportionment isn't a straight equal division per month though as it has to be calculated according to what element of the expenditure hasn't been realised yet.
For example in the car park rent line the figure of £8,000 in July is derived from the fact that that is how much hasn't effectively been incurred yet as it relates to the remainder of the invoiced period (Aug - Mar) and is calculated as 8/12 x £12000.
I hope you understand what i'm requesting, if not, let me know and i'll try to provide a better explanation.
What's the fastest way to display the sum of each column in one row. Here's a picture of what I want to do: http://www.filefreak.com/ppublic/33833/excel%20help.bmp now I want the sum of each column to be displayed in for example row 10. I have tried manually clicking "autosum" (sp?) but that will take a lot of time as I have about 400 more of these.
I would now like to as remove the first column and add another column a and b. A would say "Service From Date" and column B would say "Service To Date" In addition I would like to add a column between "5202 Meals Provided" and "5221 S.A. Facility Lodging" a column that reads "7025 Number of Days Care" and that tallies like the rest of them.
I am new to the Macro editing of Excel. I have a list in the first tab that I would like to click yes or no (how to set up a checkbox) and the appropriate column will pop up in the next tab with appropriate header. I would like it to be where the column will pop up in the correct order, so even if one is clicked in the middle, it knows where to put it.
I d like to ask for a vba code that adds two columns starting from d5 and e5 for several worksheets called multi1,multi2,multi3,........The d column contains only numbers, the e column contains number and letters (product descriptions)
I have a data worksheet, which contains about 20,000 lines of journal entry info. There is a separate column for debit and credit, not one "amount" column. On another worksheet, I am aggregating the data to review the impact for this series of journal entries over a time period (12 months). Thus, my pivottable contains "Accounts" in the "ROW" and "Period" in the "COLUMN" sections of the PivotTable Layout. The "Debit" and "Credit" fields are then summed in the "DATA" portion of the PivotTable.
My issue revolves around getting the actual impact for each account for each time period. Essentially, I need an extra column inserted between each time period that sums the debits and credits for that period. Do I need a macro for this (not any experience with macros)? My file is way to big to share, so let me know if a pared-down sample would work.
I have a column of data that may or may not have a formula in them. The cells are formatted in Accounting, w/o the leading $ sign. (i.e. 133.57) The value zero shows up as a hyphen or dash.
The issue is the format of the cell. In that attached worksheet, i inserted two formulas in cell b6 and b7. Both formulas are exactly the same, but the formatting is different. One is in the accounting format, but the other is in general. When I run the code, only the general formatted cell gets found.
My real worksheet is in the accounting formatted code, so I don't want to change my worksheet's numbers into a general format. How I can find the zero value thats in an accounting format?
Below is a strip down version of the code.
VB: Sub test()[COLOR=#333333] [/COLOR] Dim rLookInADR As Range Dim foundcell As Range Set rLookInADR = Range("b1:b380") Set foundcell = rLookInADR.Find(what:=0, LookIn:=xlValues, lookat:=xlWhole) MsgBox (foundcell.Row) End Sub [COLOR=#333333][/COLOR]
IF B1 has a possible value ranging from 1 - 5, and IF the value in E1 is equal or great than 2,5,10,10,15 BUT 2,5,10,10,15 need to match to specific ranges set in B1 1=2, 2=5, ,3=10 ,4=10 ,5=15 THEN IF TRUE "WITHIN" IF FALSE "NEEDS UPDATE"
Got help earlier with this formula: =IF(AND(B1=1,E1<=5),"WITHIN","NEEDS UPDATE") :D Worked Great! This was my attempt at expand that formula:
I am using Excel 2003. I am attempting to use the Accounting format with numbers that should not have any decimal places (although what is entered might have a decimal place). The numbers line up fine on the right, however, the dollar signs on the left are not lining up. It looks something like:
I would like to master the dreaded array formulas. Any Excel based accounting consolidation tool or other consolidation tool out there that I could adapt to consolidate group accounts on a monthly basis.
I am trying to create this macro for my accounting journal What I want to happen is that in my sheet1 if the 1st cell in column a is "CASH" then the whole row should be copied and pasted in sheet 2. i want this to happen from the first cell in a column until the very last data in column a which means i am not certain up to what row number it will have data since this is a journal with uncertain number of transactions.
I have the macro shown below, which I found in a 2003 issue of the journal of accountancy - and it works great. However, it only works on a data set that begins in cell A1. I want to incorporate it into a spreadsheet I have where my data set begins in cell E15 and goes down from there(column E will be the only column that this macro will need to run on and I need it to work on a data set that will vary in length). This macro performs a Benford analysis, which analyzes the first and second number of a data set.
Dim Arrayone(0 To 9) As Integer Dim Arraytwo(0 To 9) As Integer Dim Arraythree(0 To 9) As Integer Dim Arrayfour(0 To 9) As Integer Dim Arrayfive(0 To 9) As Integer Dim Arraysix(0 To 9) As Integer Dim Arrayseven(0 To 9) As Integer Dim Arrayeight(0 To 9) As Integer Dim Arraynine(0 To 9) As Integer Dim Arrayzero(0 To 9) As Integer Dim Arraytwotest(10 To 99) As Integer
Dim x, I
Dim Row As Long, Col As Long, Step As Long, Colcells