Printing Multiple Worksheets As A Single Print Job |
Printing Multiple Worksheets As A Single Print Job - Excel |
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Please help!
Best,
Marcus
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Code:
Private Sub btn1_Click() UserForm1.PrintForm End Sub
This prints out the userform as I would like, however it autoprints to the default printer and doesn't allow any printing options so I can't select to "print to one page". So as of now it is only printing out half my form and cutting off the rest.
Any suggestions?
I hope you have an ansewer.
I have 50 rows that I want to group. Rows 1-10 should be a group, 11-20 are a group, etc. The problem is, when I group 1-10 and then group 11-20 seperately, excel automatically makes 1-20 a single group and removes the individual groups that I wanted.
Any ideas?
Thanks in advance!
Currently, I import the file into one worksheet and cut/paste the rows manually into new worksheets/tabs. The files are very large, sometimes exceeding the 65,536 row limit, which I could avoid if the data was split out coming in.
Any help anyone could provide would be WONDERFUL. Thanks!
pretty straight forward to set a single validation so that a message is
displayed when incorrect data is entered. However, adding another validation
seems to delete the old one. Thanks in advance.
Make sense? I'm a bit confused myself. Maybe just a list of basic workbook-switching techniques or commands would be useful.
- Michael
I'm trying to write a macro which prints to PDF and saves the file name as the contents of a cell. I've been looking through all the posts currently on this forum to get something working. I'm using the following code -
Sub PrintPDF()
Filename = "C:\Documents and Settings\samb\My Documents\" & ActiveSheet.Range("Z1").Value
SendKeys Filename & "{ENTER}", False
ActiveWindow.SelectedSheets.PrintOut Copies:=1, ActivePrinter:= _
"Adobe PDF:", Collate:=True
End Sub
The macro prints to PDF, but then it stops at the Save As stage, where I have to manually enter the name of the file and click Save. I want the macro to automatically name the file with the contents of cell Z1. I then want it to then automatically press enter. Any ideas where I'm going wrong? Any help would be much appreciated!
I want to combine data from several worksheets into one worksheet.
For example, I have data in Sheet1 (Columns A,B,C), data in Sheet2 (Columns A,B,C), data in Sheet3 (Columns A,B,C) all with varying amounts of rows. (All the rows contain text data).
I need to combine all of the data from the 3 sheets into a single sheet, Sheet4 (Columns A,B,C), eliminating the empty rows.
I've been looking into this for a while, and can't find anything that really helps. Anyone got any pointers of what to look into?
Any help will be beautiful.
Cheers
If that number is less than -100, I want it to show as blank.
Any help?
Right now, I'm trying to accomplish this by making a conditional format...meaning when my cell equals less than -100 I make the cell color and font the same (so it looks blank, but its not). When I print it, it still shows the negative value.
Thanks.
between Excel workbooks. They can copy and paste between worksheets. When
you highlight the section to copy and then go to the new workbook both the
paste
and paste special are "grayed out". This is true whether you right-click the
mouse, go to the edit menu, or use control keys. This occurs with any data
type and the most simple workbooks. I have seen some suggestions here but
none have worked for this particular problem. I have reset the menus and
renamed the .xlb files and neither helps. You can open the clipboard and the
paste will work, but there is no paste special option. Any help would be
greatly appreciated. Thanks!
From the Excel main menu:
<data><group and outline><settings>
Uncheck: Summary rows below detail
Does that help?
***********
Regards,
Ron
XL2002, WinXP
"JMSprout" wrote:
> When you highlight rows, go to Data, then Group or Outline, then Group, it
> creates a nice plus/minus expand/collapse box for that group, only when the
> group is expanded the button to collapse it is at the bottom row of the
> group. Is there a way to get this button located at the top row of the group?
I am trying to calculate our On Time Delivery. I want this as a simple percentage of jobs. I have got this running in the following way:
Column M - Estimated Delivery dates
Column N - Actual Delivery dates
Column O - =IF(SUM(M2-N2)>0,1,0)
Then I have calculated On Time Delivery as: =SUM((SUM(O2:O252))/(COUNTA(N2:N252)))
This seems to work fine. My problem is, if we enter a date in Estimated without a corresponding Actual date, the formula for Column O fills out anyway and improves our On Time Delivery Percentage. How can I set this up so that the formula doesn't calculate if there is no data in Column N?
Any help much appreciated
Thanks,
James
ex .. columm A & B & C is one group
columm D & E & F is a second group
etc ..
now I would like to add a name to the group in stead of an "+" I would like
to use a name .. does anybody know how to do it or is this a wishfull
thinking?
G.
I need the necessity do delete a sequence of sheets in my workbook.
If I use this code:
With ActiveWorkbook
If .Worksheets.Count >= 5 Then
For n = 5 To .Worksheets.Count
Worksheets(n).Delete
Next n
End If
End With
I receive a confirmation message box with this message:
"Data may exist in the sheet(s) selected for deletion. To permanently delete the data, press Delete" [DELETE] [CANCEL]
I wish to delete all sheets without receiving any message.
Is it possible?
Many thanks in advance for your kind support.
Regards,
Giovanni
We all know we can change the source of a link of the workbook by clicking Edit>Links>Source>change source but that will change the source of all workbook formulas which are linked to a certain file, what about if i need to change the source of a single sheet? is this possible?
I appreciate your support.Thank you !
so I thought I would try again.
Does anyone know of an Excel template--or a small stand-alone
program--that will calculate the interest/principal breakdown when
payments are varied in amount and frequency? Free or low-cost, please.
I need one that will work on my Mac/Office 2004. I will need to print
out periodic reports.
Here is the way the previous poster described it:
"Excel template: Loan Amortization for random/irregular payments,
figures days
between payment dates.
I have a loan with a variable beginning balance and irregular payments
with
annual large payment. (based on collections)
Would like to enter payment and date.
then Excel would figure days since last payment, interest amount,
principal
amount, Ending Principal balance.
And total interest paid, total pricipal paid
If I change the starting principal, excel would recalculate all
entries."
Thanks very much.