I have a spreadsheet which will be updated by many users and I would like a macro to run after the last cell in a table is completed that locks/protects that row from anyone changing it. Is this possible??
I would like a macro or event, etc to round an inputted time to the nearest 15 min increment upon exit of a cell.
For example, a user inputs a raw time into cell B5. Upon exit from B5 I would like the macro to round that time to the nearest 15 minutes and keep the time in cell B5. All of the cells in column B would need to have this capability.
1. How do I call teh macro upon exit from the cell
2. What is the code to grab that data from the cell in column B, round it to the nearest 15 minute increment and then put that value back into the same cell?
I would like to call upon a function until a certain criterion is fullfilled. Then, I would like to have the result returned to me and exit (all) open functions. For value1 = 1 and value2 = 10 I expect value1*value2 = 100. Instead, the routine returnz zero. What is the logical flaw in the code below.
Function testfunction(value1, value2) If value1 = value2 Then 'Calculating the difference testfunction = value1 * value2 Exit Function ElseIf value1 < value2 Then value1 = value1 + 1 Call testfunction(matrix1, matrix2) End If End Function
I have one column of data. there are currently ~10k rows, but this will increase over time. each row has either a single value (example: pepsi) or a comma separated value (google,samsung) with up to 6 commas. instead of the rows looking like this:
pepsi google,samsung coca-cola
I want them to look like this in one column (preferably via a formula):
pepsi google samsung coca-cola
I would like the above output to be a unique, alphabetized list.
write a script to match a cell value then copy and paste the matching row across two worksheets - "Master List" and "Demographics".
These two worksheets have the same cell values in Column A, the key difference is the Column A cell order in the second worksheet "Demographics". This Column A cell order is set arbitrarily by another system and will vary over time.
I would like to match the rows, then paste the three columns from the second worksheet into the first worksheet.
For example:
"Demographics" Worksheet Cell A2 = "Master List" Worksheet A45 - then copy cells A2, B2 and C2 and paste into A45, B45, C45 respectively.
"Demographics" Worksheet Cell A49 = "Master List" Worksheet A12 - then copy cells A49, B49 and C49 and paste into A12, B12, C12 respectively.
I have created a sample spreadsheet here; - List Schema.xlsx
I request you to write a code for me to fill the cell values as "Not Applicable" in Column "AZ", if the "B" Column cell values = "Justified", "Approved LSAR" & "Approved SDAR".
I have attached the work book of what I am trying to accomplish.
it should compare and see if product, model for same id is the same but brand is different and the quantity of one or more of those brands=0 then the result (In column F)should combine the brands. check the attached image for more details.
Cells B3 and B6 both have lists created through data validation.
If the value in B3 changes (by user selecting from the list), I'd like B6 to automatically change to "Select a take to retrieve" (which is the first choice in the B6 list.)
Likewise, if the value in B6 changes (by user selecting from the list), I'd like B3 to automatically change to "Select a version to take" (which is the first choice in the B3 list.)
See the attached excel table. I need the cell E4 to keep adding the values typed in the cell D4 on daily basis.The cumulative shouldn't be changed if there is no value in the cell D4. E4 should accumulate and keep the totals typed in D4...
Below is my code which isn't formatting the cells it's suppossed to. It looks like it isn't doing anything. I think the issue might be with the highlighted section of my code, but when I go to "Manage" my rules for conditional formatting, excel references the appropriate cell under the "Applies to" section. I am using relative cell references for for the majority of the rest of the code and this section follows a section that selects the correct cell for this conditional format.
I need to display a set of cells based on the value of two drop down cells i have. As I am not very good at english and worse at explinations, I'll try via screen shots...
I have two dropdowns (C4 and C6) that will indicate what table to use (Second sheet / screenshot). I want that "table" to display in the yellow box on the first page. To complicate matters, some options do not have a CLA option - those starting with X. As there are 24 different outcomes and each is 3x9 if/then statements just dont seem to cut it.
I need to write a condition in such a way that cell IF A1= "DBR","BPR","SLR","SKR" then change cell B1 to SPECIFIC COLOUR Each condition different colour. A1 values ("DBR","BPR","SLR","SKR") is a list of selectable values. if the condition is falls then B1 should be normal (white color cell) with 0 in it.
In the xls for each step I have 2 raws-planned and actual. Step planned duration is populated manually over the weeks.Before that row we have another reflecting the actual step status per week
I would like to find a way how cell reflecting the actual status of a step can be automatically populated (coulored) based on the colour/value of activities that are planned for that week and for that step.Activities are listed below the step and again have planned and actual row.
The rule should be : if for a week we have several activities all of them should be finished in order to have step stataus auto populated as green. If a single activity planned for that week is not done-then weekly step status should be red.
The activities for each step are grouped below the step. It seems that one of the difficult part in that request would be how formula will understand where starts and finishes the activities that belong to one step. To get that happen I placed a column showing step and another column where we activity.
I have the names of companies in one column, and the amount they owe in cells in the column beside them. I then have a second list of companies that is a subset of the first. Is there a formula that would place the amount they owe in teh corresponding cell adjacent to the compny in the second list? I've attached a sample workbook, Full Company List in column A, amount owing in B, trimmed down list in D and ideally I'd like the corresponding values in E.
I have a tracking sheet that is used to show where a specific project is within the lifecycle and would like to automatically set a summary value depending on the last data entry within a range of cells in a row and also set it to RAG status depending on the value.....
What I want to achieve: those cells have number 1 ( in column E) , adjacent cell values ( In Column D) are copied to G12 in the following format:: Mark,Lark ( i.e. cell value , cell value, etc)
is it possible ( with a command button) Sample attached
I am a financial administrator & every month I have down load 4 bank accts as CSV, import into xl & code (CACode) the amounts for our accountant. I have VBA that formats, adds headings & formula etc but I have a problem/s. In H col I place CAcode & I use a sumif formula in I col to sum all the amounts with that have the same CAcode. For simplicity sake I copy the sumif down & then sort H col ascendindingly (this is done by VBA). Now I am trying write a macro to clear the contents of the cell in I col
if eg h60 = h59 then I60 clearContents, Select h59 Else select H59 Do until H3 is selected
Psuedocode Select table (A2:I Xldown) Sort Table by CAcode (H Col) Set Range as H3:Xldown Select Last cell with CAcode (Xldown) in H col For every cell in Range (H3:Xldown) Use If/thenIf Last cell = 2nd Last cell (H Col) then Clear contents of I col (last row) select 2nd Last cell (H Col) Else 2nd Last cell (H Col)Next Cell
I have to use Xldown to select range as the range will be variable each month & for each bank acct. I need to clear contents of cell to verify that all the sub-totals of unique CAcodes of the CAcoded amounts = the totals Because I may have up to 120 rows X 3 bank accts I am slowly using vba to do my work.
Sub sort_And_delete_Sumif_amounts() Dim r As Range 'Select range to sort Range("A2:I98").Select 'Sort CAcode in H col ascendingly Selection.Sort Key1:=Range("H2"), Order1:=xlAscending, Header:=xlGuess, _ OrderCustom:=1, MatchCase:=False, Orientation:=xlTopToBottom, _ DataOption1:=xlSortNormal 'select range for comparisomn of CAcode Set r = Range("H3", Selection.End(xlDown))................
I'm having a column called "Body". Each cell in this column contains a huge amount of text. I want to select automatically certain values from that text and copy them into other cells. This image will explain what i mean:
I tried to work with the function MID but that doesn't work because the values don't have a fixed position. They don't start always at the same character number.
At work I have a spread sheet that I used to track material shortages by part number. So in column A of the spread sheet there is a list of part numbers that have shortages, column E contains a list of all sales orders that are affected by the shortage separated by a comma. I am trying to setup a query sheet where I input a sales order and get back a list of parts that are short for that sales order(basically reversing the original list to be by sales order instead of part number). The number of values in column E varies, sometimes a cell will have 1 value, sometimes 20+ and anywhere in between.
Example Sheet: A B C D E
123
012
234
789, 567
465
789
890
012
I'm already got a INDEX/MATCH that would show both shortages for sales order 012. But I can not figure out how to get the shortages for 789 or 567.
I want to tie the values of some cells on Sheet 2 to what's put in into corresponding cells on Sheet 1. Example
If Cell B3 on Sheet 1 has the string "B off" put in, Sheet 2 should automatically get "R1" in cell B12, "B off" in cell C12 and "ID123456" in cell D12. If cell B3 on Sheet 1 is empty, B12:D12 should be blank.
Here is a made up scenario which tries to emulate my query:
I have a spreadsheet with two tabs - one called Model and the other called Prod. In the Prod tab, I have the following text entered in single cell - A1
My name is I was born in I Live in
What I would like to do is add cell values from the Model tab at the end of each line. For example;
My name is JOE I was born in 1915 I Live in AUSTRALIA
I tried the following but it didn't work.
My name is Model!A1 I was born in Model!A2 I Live in Model!A3
I believe it didnt work was because the cell starts of with text rather than a formula
I have an excel sheet in which I have 3 columns, Column A is giving me a week number from date entered in Column B. Column A is a merged Cell. There are values in Column C.
I want to be able to sum cells of column C ( not entire Column, select few cells) who show 1 (representing Week number) against them in Column A. I have been trying to sort this out since Thursday and have had no success.