Sep 05 2023 04:20 PM
Hello, I am trying to keep track of someone's finance. Issue: she deals with multiple banks, and for each bank, has several accounts, and each account has different attributes. I want to run reports on these attributes, over years (how much in liquidity vs stock, how much per bank, etc.). I can create the accounts on one tab (account, bank and attributes) and amount updates on another tab (account, amount, date) but I am stumped when it comes to reports as the info is on two tabs. At the same time, I would like to avoid having to enter the full bank info for every transaction row. Other than multiple vlookup and pivot reports, I am stumped.
Sep 06 2023 02:24 AM
SolutionSep 06 2023 05:53 AM
Sep 06 2023 02:24 AM
Solution