This tutorial shows how to automate IP portfolio summary in Google Sheets with a small, auditable Apps Script instead of a fragile chain of copied formulas.
The workflow is designed for legal operations teams that already keep asset type data in a Sheet and need a reliable portfolio count column for reporting or follow-up work.
The script reads the IP Portfolio tab, maps headers by name, calculates each row, and writes the output in a single batch so the sheet remains responsive.
Everything is static in this page: one tutorial object, one Apps Script example, and one deployment checklist that can be copied into a bound Apps Script project.
Need this built? Hire a Google Apps Script developer →
Sheet / project setup
| Column | Purpose | Example |
|---|---|---|
| Asset Type | Primary row identity used by the automation | Sample asset type |
| Source fields | Inputs required to calculate portfolio count | Dates, amounts, statuses, or lookup keys |
| portfolio count | Script-owned output for IP portfolio summary | Portfolio Count |
| Status | Optional review state for exceptions | Ready, Needs review, Posted |
Model the IP portfolio summary fields
Start with one row per asset type in the IP Portfolio sheet. The script expects stable headers for the source fields and writes the calculated portfolio count back to a dedicated output column so formulas, pivots, and reviewers can separate source data from automation output.
- Keep asset type immutable after import.
- Store portfolio count as the system-owned column.
- Use ISO dates or real Sheet date values for trigger-safe comparisons.
Validate inputs before the trigger runs
For legal operations teams, bad source data usually costs more time than the Apps Script calculation. Add required-field validation on the columns referenced by this tutorial and filter blank rows before a scheduled run is enabled.
- Reject empty identifiers.
- Normalize currency and percentage columns as numbers.
- Add a Status column for rows that need manual review.
Calculate portfolio count deterministically
The example code keeps the IP portfolio summary rule inside the script instead of spreading it across hidden Sheet formulas. That makes each run reproducible, easier to review in version history, and safer when rows are inserted by imports or form submissions.
Write results in one batch
The script reads the full IP Portfolio range once, computes every row in memory, and writes one result matrix. This avoids slow row-by-row calls and keeps the tutorial suitable for hundreds or thousands of legal operations records.
Route exceptions to humans
Not every IP portfolio summary case should be auto-approved. Use explicit statuses such as Needs review, Pending documentation, Missing, or Alert legal owner so downstream users know whether the row is final or requires intervention.
Keep an audit trail
For production use, add Last Calculated At and Calculated By columns beside portfolio count. Those fields make it obvious when the Apps Script last touched a row and help reconcile Sheet output against source systems.
Choose the right trigger
Use an hourly trigger when IP portfolio summary depends on imported data, and an on-edit trigger only when users type rows directly. Time-driven triggers are easier to monitor because every run processes a complete snapshot of the IP Portfolio sheet.
Apps Script: IP portfolio summary for the IP Portfolio sheet
This example calculates portfolio count from named Sheet headers and writes the result back to the portfolio count column. Rename the headers to match your workbook before deploying the trigger.
function updateIpPortfolioSummary() {
var sheet = SpreadsheetApp.getActive().getSheetByName('IP Portfolio');
var values = sheet.getDataRange().getValues();
var headers = values.shift();
var assetTypeCol = headers.indexOf('Asset Type');
var jurisdictionCol = headers.indexOf('Jurisdiction');
var statusCol = headers.indexOf('Status');
var outputCol = headers.indexOf('portfolio count') + 1;
var counts = {};
var results = values.map(function(row, i) {
var key = row[assetTypeCol] + '|' + row[jurisdictionCol] + '|' + row[statusCol]; counts[key] = (counts[key] || 0) + 1; var score = counts[key];
return [score];
});
if (results.length) {
sheet.getRange(2, outputCol, results.length, 1).setValues(results);
}
}- Line 2: Targets the IP Portfolio tab so test data and production data stay separated.
- Line 4: Reads the header row once and resolves columns by name instead of hard-coded letters.
- Line 8: Applies the domain rule for IP portfolio summary; this is the part you customize for policy changes.
- Line 12: Writes all calculated values with one setValues call for speed and quota safety.
Deploy this example
- 01
Open Apps Script
In the bound spreadsheet: Extensions → Apps Script. For standalone projects, create one at script.google.com and link your Sheet by ID.
- 02
Paste and save
Add a .gs file, paste the code below, rename constants at the top (sheet names, column letters, API property keys), then save.
- 03
Authorize once
Run the main function from the editor. Accept OAuth scopes when prompted — triggers cannot run until authorization succeeds once.
- 04
Add the trigger
Triggers → Add trigger → choose the handler function and event (time-driven, on edit, or on form submit). Delete test triggers before production.
Production checklist for IP portfolio summary
- 1Confirm every required IP Portfolio header exists before enabling a trigger.
- 2Test the portfolio count output with normal, blank, and exception rows.
- 3Protect source columns that should not be overwritten by editors.
- 4Run once manually and compare a sample of rows against a hand calculation.
- 5Add a time-driven trigger only after the first authorized run succeeds.
Frequently asked questions
Yes. Use a time-driven trigger after the import finishes. The script reads the current IP Portfolio snapshot and rewrites only the portfolio count column.
Header lookup survives inserted columns and makes the script easier to review. If a required header is renamed, the failed lookup is easier to diagnose than a silent wrong-column write.
Return an explicit text status for rows that need a human decision, then filter or conditional-format those statuses in the Sheet.
The example uses one read and one write for the main range, which is the quota-friendly pattern. Very large sheets should archive closed rows or process only recently changed records.
Yes. Add alert logic after the results array is calculated, but send one summary message per run rather than one message per row.
Log run time, row count, exception count, and the active user or trigger account. For sensitive legal operations data, avoid logging raw personal or financial values.