I am creating a tracking document for artists' accommodation as part of an arts festival and would like to automate part of my work flow. Whilst we use event management/scheduling software for confirmed bookings, it's nice to do all my working in Excel.
I would like to have a master sheet (sheet 1), with a full list of artists and their respective accommodation - that can then be sorted into individual sheets (sheet 2, 3 etc) based on the name of the accommodation. The automatic sorting would also capture the other pieces of information in the row.
This would allow for each different sheet to show a report on who is staying in each type of accommodation and would be rather handy!
I would recommend one or more PivotTables as a simpler solution. Here a PT and two clones are shown on your Master Sheet, but they could each be on their own sheet:
Accom is in Report Filter, Company is in Row Labels and PAX (as Sum) is in Σ Values. Once having clicked on PivotTable in Insert > Tables - PivotTable and having chosen you range ('Master Sheet'!$A$2:$C$7A2:C7) and Location just drag the fields from the big box to the little ones.
This is feasible using Excel, but I don't recommend it; it is creating a maintenance nightmare in the long run.
From the question I can't gather whether the data is available in some kind of event management software package; if so you can use that one as a data source. Or create an Access or SQL database with a few tables. After that, you can use one of the following options to make the necessary overviews and as many more as you think up during the project:
Use Excel with ODBC or web query to retrieve data aggregated and
sorted as you like. Make changes in the event management package
allowing others to see the same facts. Or do it in Access. When you
change one thing, it automatically propogates also into the Excel.
Similarly, you can use an Excel add-in such as Invantive
Control (caution I work at a supplier) to retrieve the data from
the database using SQL or a webservice, change it from within Excel and
then synchronize the changes back assuming you have write access.
A similar solution is available as SQL*XL. Probably there are others too.
If the solution must be Excel only, I would recommend using vertical/horizontal lookups with the Excel function vlookup / hlookup (Dutch: vert.zoeken, horiz.zoeken). These function perform reasonable with a small amount of data and performance can be improved by sorting. And they resemble SQL joins, so the database you get within Excel more easily conforms to the relational model.
I hope the event is successfull and the people enjoy it.
Related
I have a dozen spreadsheets with identical structure and formulas, essentially tables, only the data differ, say one spreadsheet per country.
For example there is a spreadsheet to manage the US employees, another for the UK employees, and another for the Canada employees.
They are exactly the same except that each will store a different set of employees.
The spreadsheets act both as a database to store data and a user-interface to interact with data.
Each change (updating or adding a formula, updating some drop-downs values, changing style...) has to be replicated in all the spreadsheets which is time consuming and error-prone.
As an example I could change the formula to compute the seniority of each employee by editing the 3 spreadsheets.
I was wondering if there was a reasonably simple way to avoid duplicating the common parts, only having different data.
I'd like to avoid a full-blown development with plenty of VBA code, a complete database, some user input forms... but if really necessary I can write some VBA and build some database to fill in the blanks if there is no out-of-the-box solution.
With a full-blown development I would do something like:
store all the employees in a single SQL database table
develop a single spreadsheet
when opening the spreadsheet ask the user to choose a country to only load the this country's employees
save the data changes to the database
If you're effectively talking about an efficient way to handle version control so that input sheets that have previously been distributed to users match a master template, then I'm afraid there is no out-of-the-box solution.
I use something along the lines of http://datapigtechnologies.com/blog/index.php/building-version-control-in-excel/ to force users to download the latest template should they be using an older one.
In addition, I also place a big note at the top to prompt users to download a new template each time, rather than recycle an old one, because if a user didn't enable macros the automatic download of the latest template won't kick in.
Note that the above screenshot shows a form that I've built in Excel's grid itself, using shudder merged cells. (i.e. It is not a userform)
If the templates need to preserve user-submitted data that isn't held centrally, then you're probably going to need to develop an add-in along the lines of what the authors do in the book Professional Excel Development.
I have to work with data CSV file. They look like this
sample
It represents products with options/cars etc. at the web-store.
It has a lot of columns with duplicated values and in my work in often need to copy some part of this data to another sheet, deduplicate it, edit and then paste it back by matching it for one of the columns that were untouched. More this purpose I'm using Ablebits Excel suit.
Is it possible by any excel function to automate this process or maybe there is some other software that could handle this? Something not so complicated as relational databases like Access, but something close to spreadsheet editor with relationships
I already tried Power Query in Excel and Power Bi, but they seem to be more analytics tools and not the data edit
2nd edition:
Data has a layer structure with duplicates.
Title1|Part number 1|Car1
Title1|Part number 1|Car2
Title2|Part number 2|Option1
Title2|Part number 3|Option2
I want to have opportunity to:
Edit values that duplicate without using "Replace All" or at least have more flexible "Find&Replace".
Extract columns with deduplicating them and saving a reference to the place they were taken. So if you edit some data there it was changed in the 1st place. For example, I have titles(a lot of titles) but need to edit it. Instead of copying it with some id to reference it I want to open it like they appears in filters, edit it, confirm and get it edited in all column
I would use Power Query (aka Get & Transform on the Data ribbon in Excel 2016). The only limitation I see with what you want to do is that Power Query will deliver a new Excel Table with the output of a Query - it can't update existing cells.
If you can get past that, Power Query is very flexible, easy to learn (WYSIWYG query editor), scales well and is integrated with other Microsoft products (as well as Power BI, there is integration with SQL Server Analysis Services in preview and hopefully SQL Server Integration Services one day).
I thought there would be a simple way of doing this, but unfortunately I have not come across one. My company has an Excel workbook with 12 sheets (1 for each month), into which I enter sales data as accounts are written. I reformatted each month's data into tables, thinking that this would provide an easy reference to gather the data into a pivot table that joins all the months and would be updated as I enter data; however, a pivot table based on multiple sets of data allows highly limited manipulation.
So what I want to do is create a new table that is automatically populated as I enter data in any of the 12 current tables, to combine them into a master listing. I have tried doing a query, but when I try to set up the data sources, it doesn't recognize my tables. I tried Power Query, but I couldn't get it to update the data as I updated the source. Consolidate also was not a useful feature, as it required all the data to be somehow calculated, and my columns need to simply be copied over, not summed or averaged.
As you can probably tell from my explanations and terminology, I'm no Excel expert. I don't know what VBA even is, let alone know how to use it, but I've seen it mentioned a lot, so I figure at some point in my life I should learn it.
Is there a formula or some other Excel 2010 feature that can automatically copy all of this data onto one running list, and keep it updating as I enter data in the source tables? It would have to run automatically.
I believe your end goal is to have a pivot table which consolidates data from each of the individual 12 sheets/tables and not really to have the intermediate "single running list which is an aggregation of all the 12 sheets".
If so, I suggest to create an Excel Pivot table directly based upon the 'Multiple consolidation ranges'.
To start, create a new spreadsheet and select a cell (say A3) and use the click sequence Alt+D+P, this will bring up the PivotTable and PivotChart Wizard, and proceed further using the third option - 'Mulitple consolidation ranges'.
I will have to refer you to the below site for a detailed step by step instructions on the above: http://www.contextures.com/xlPivot08.html
Please be aware that the Difficulty level for this solution is Medium, suggest you to bookmark the solution from maintainability reasons, in case you choose to implement it.
Coming from the corporate data warehousing solutions world I found Power Pivot to be surprisingly functional tool that could help to bring BI into small bussiness. In order to educate myself in this area I'm doing a small project for a friend who is a building contractor and asked me to help analyse his costs against different projects. The issue is that some data needs to be provided by user and here is where my narrow knowledge of Power Pivot is starting to show up.
My base data is coming from accounting system. I have access to company books via SQL Server connection, I can import Invoices, Clients, Suppliers, Accounts and all other entries. I made all
the connections and can present data in an easy way in a Pivot table which alone impressed my friend a lot. I was impressed myself how easy and straightforward it was compared to some reporting tools like Microstrategy or Business Objects which I use every day.
What is missing in the accounting system is Project information, say Client has 3 houses which my friend is working on, each of them should be treated as a separate project that we want to calculate profit on. Do do that I need some manual input such as assigning Project to Cost invoice add a category (Materials, Services) etc.
Initially I wanted to create a two lookup spreadsheets:
Projects where project name, valid from/to, etc. would be entered manually (or imported from CRM application in the future) and Client which would be selected from a dropdown list (ideally sourced directly from the power pivot Client table)
QUESTION 1: how to add a dropdown list of Clients coming from Power Pivot table?
Invoice relation table which would hold some data from power pivot Cost Invoice table (invoice number, supplier, date etc.) and then a dropdown list with projects (from the first spreadsheet) and cost type. Tricky part is that I would like invoice list to be refreshed automatically when new invoices are registered but I don't want to loose any data added manually against them!
QUESTION 2: how to design such spreadsheet to be populating new invoices automatically but maintaining data linked with it? I was thinking PivotTable with some data next to it but it seems like a very volatile solution, say invoices are sorted by invoice number (which is different system or each supplier) and a new one can show up in the middle of the table, then all projects that were manually added after would start pointing to the wrong invoices.
Last resort for me is to create an MS Access database for storing/updating lookups but then all the mess with creating ODBC connections etc. comes into play and in my opinion it's defeating the idea of neat PowerPivot Excel spreadsheet...
Any ideas are welcome!
in general you can design an excel table that holds manual input data and feed that table into PowerPivot (via linked table).
as for the drop down info based on database data i suggest using power query. this tool lets you connect to various sources, do some data wrangling and then output that data into excel. these outputs can then serve as data range for excel based drop downs.
take a look at Power Query e.g.here: https://support.office.com/en-in/article/Introduction-to-Microsoft-Power-Query-for-Excel-6e92e2f4-2079-4e1f-bad5-89f6269cd605 or here https://www.youtube.com/watch?v=LACjRvxl_2w.
My current employer (to remain nameless) has a collection of incredibly sophisticated Microsoft Excel 2003 worksheets (developed by contractors, also to remain nameless).
The employer is replacing the Excel-based solution with a SalesForce-based solution (developed by other contractors, likewise to remain unnamed). The SalesForce solution is also very complex using dozens of related objects and "Dynamic SOQL" to contain the data and formulas which previously was contained in the Excel-based solution.
The employer's problem, which has become my problem, is that the data from the Excel spreadsheets needs to be meticulously and tediously recreated in .CSV files so it can be imported into SalesForce.
While I've recently learned I can use CTRL-` to review formulas in Excel, this doesn't solve the problem that variables in Excel have cryptic names like $O$15. If I'm lucky, when I investigate $O$15, I'll find some metadata explaining if n cells up and/or some other data m cells to the left, and/or (in rare instances) there may be a comment on the cell.
Patterns within the Excel spreadsheets are very limited, rarely lasting more than 6 concurrent rows or columns and no two sheets which need to be imported have much similarity.
Documentation of all systems are very limited.
Without my revealing any confidential data, does anyone have any good ideas how I might optimize my workflow?
It's not clear exactly what you need to do: here are 3 possible scenarios, requiring increasing knowledge of Excel.
1. If all you want is to convert the Excel spreadsheets into CSV format then just save the worksheets as CSVs.
2. If you just want the data and not the formulae then it would be simple (using VBA) to output anything that isn't a formula (the cell.Formula won't start with =).
3. If you need to create a linkage excel-->csv-->existing Salesforce objects/SOQL then you will need to understand both the Excel Spreadsheets and the Salesforce objects/SOQL that have been created. This will be difficult unless you have good knowledge and experience of Excel and also understand what the salesforce App requires.
Brian, if you're still working on this, here's one way to approach the problem. I use this kind of process often for updating data between SFDC and marketing automation apps.
1) Analyze the formulae that you're re-creating in Salesforce.com to determine what base data fields you need (stuff that doesn't have to be calculated from something else.
2) Find those columns/rows in your spreadsheets and use Paste Special -> Values in a new spreadsheet to create an upload file with values instead of formulae that you need for each data area (leads, prospects, accounts, etc.)
3) If you have to associate the info with leads or contacts or accounts and you have already uploaded or created those records in Salesforce.com, be sure to export them with their ID numbers. That makes it easy to use the vlookup formula in Excel to match up fields that you need to add and then re-upload the data into Salesforce.
Like data cleaning, this can be a tedious process. But if you take it step by step it shouldn't be too hard. Good luck.