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I have a database that contains a lot of bank deposits. I need to create a
new spreadsheet that will automatically add up the amounts of the deposits by the originating bank account #.For example Date From Acct. Amount 3/5 MS 23 500 7/8 SK 2 300 8/9 MS 23 200 I need to create a new spreadsheet that will be able to pick up the different acct transactions and combine them into one total and automatically update whenever I need to add a new transaction. The new spreadsheet should look like From Acct. Amount MS 23 700 SK 2 300 and then if I were to add a new transaction on 8/10 to MS acct. 23 for 500, the other spreadsheet would automatically update to 1200 without me having to do anything. Is this possible? Sorry for the long explanation. |
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