I have a External Data Table, but I wanted to add a extra column to it for comments. I just need to be able to write down what I did with that particular order or things like that. I did make a column, but the problem is whenever I update the table the comments column fields stay static I mean they don't move with their row. So it ends up the comment belonging to a row is now on another row.
is there a way I can tell excel to move the cell with the record or something like that.
An external data web query points to a web site that offers a foreign exchange rate calculator. In my browser, I selected the specific currency pair I need and used the resulting url in the web query. The "New Web Query" pane resolves the url correctly and allows me to select the table data I want (the little yellow arrow turns to a green check mark). However, when I hit "Import" and select the target cell, the only data returned is the parameters from the url and an error msg (This web query returned no data...). How do I get the query to pass the parameters to the website correctly?
I have a workbook that need to call for external data (this is information from January till May) from another workbook to manage it. I get this external data as a Tabla_A that needs to be updated continually because the extenal workbooks is adding information constantly. However, now i have to incorporate a specific range of old information (information of December, 2013) before the external data in the same Table_A. This last information wont ever change and needs to be incorporated to analize de information from December till Now.
The problem is when I insert the December information as new arrows at the beginning of Table_A, later I update the table and this old data is remplaced automatic by the external Data range. For that reason, I'm wondering to know if there is some way to have one Table_A with a static range of arrows (december) and another range of arrows (January onwards) that is updatable.
I am using an Excel file (Raw.xlsx) to store my raw data, and take another Excel file (Pivot.xlsx) to make PivotTable from Raw.xlsx
When generating the PivotTable, every works fine. When click [Refresh] in the Raw.xlsx, whatever changes been made in the Raw.xlsx can "sync" to the Pivot.xlsx
However, once I save and reopen the Pivot.xlsx, I can't refresh the PivotTable anymore. I've tried changing Data Source, but it doesn't work.
I have a pivot table report connected to an external data source (OLAP cube).I want to automatically refresh the pivot table report everytime the OLAP cube data changes.
I know we can use Automatic refresh on open of workbook or time intervals after which to refresh .But i want the auto refresh to work even if the workbook is already open and there is no definite time interval after which the cube is likely to change.SO,by defining intervals for auto refresh i do not intend to waste time refreshing even if there is no change.
There are multiple pivot table reports and pivot charts connected to the same OLAP cube.
I am familiar how to perform the task of bringing in an access table into excel, then using a data validation filter to control the data set in Excel 2003.
I have a problem as I need to present data with different data sources. I'd like the calculations to be as "automatic" as possible. The data consists of countries and regions and their sales pipe. The pivot table doesn't give me all the data that I need to present so I need to add extra columns with calculations and data from other data sources.
The problem I meet is that the 'total row' within each group needs to be reflected in my columns as well (F:G) It works as long as the data I've imported has the same amount of States within each group of Contry but if the number of states differs with the newly imported data - my "manual" columns are wrong.
(A;B;C;D;E;F;G;H) Country;State; Red; Amber; Green; Quota; Total PV; Coverage;
I've created a Pivot table on the first 5 columns [Country; ...; Risk] (A:E)
The following columns are manually entered based on the pivot (F:H)
Quota (data source from another sheet) Total PV (a sum of Red; Amber; Green in the Pivot) Coverage (returns % of TotalPV/Quota)
For each group Quota and Total PV needs to summarize the above data within the group. I've 'hard coded it' today (SUM(F3:F5)) - F3:F5 can as well be F3:F8 or F3:F4 depending on the imported data. I have 8 different Countries (groups) with different amounts of States and 3 different sheets for each Region of countries so I need this summary to be automatic based on what group (Country) it belongs to. How can I make the calculation different so that it's dynamic as well as the Pivot table? Today it's not dynamic and it needs my 'hands on'.
I need to add data into a Table, i can currently add data to the last cell however it is not adding it in the table set,
I am using a userform to add the data into the next blank cells, however the data it entered is not added within the table but underneath it, here is my current code i am using
Its been ages since I used a pivot table and I cant remember much.
I did one last week - lets pretend on the range A1, B100.
Ive since added some extra info into the range and it now goes from A1, B110.
I go to my pivot table and hit "!" and it updates. How can I be certain its included everything from my range? Is there a way I can check the pivot table to see where the range is from?
Using =A7&","&B7 to add data from two columns into one, separated by a comma. What about multiple columns, still separated by a comma? See Example in attachment.
Is there a function to convert the data shown in table 1 to table 2 without rearranging the columns and rows? because i don't want to use TRANSPOSE. I want a function, somthing like SUMIF with OFFSET or INDEX and MATCH or any other function.
Each week I get new weekly data-metrics. I have a series of formulas that figure LAST 4 weeks average, LAST 8 weeks, etc etc. How do I drop in a new week of data and have my formulas adjust? For instance, my formula figures last 4 weeks average of May Wk 1, May Wk 2, May Wk3, May Wk4. Now it is June Wk1, so I want to figure (without changing any formula) May Wk 2, May Wk3, May Wk 4, June Wk 1.
I want to total cells that have data in them across a row. I have a name in Column A and then in Columns C-Z I have data. In Column B I want Excel to scan across cells C-Z and if a cell has data in it (it will be text) I want it to add one to the total in cell B. Would CountIF do this with text involved?
I have a table of data 300 rows long with protected formulas in adjacent columns and at the bottom of the column. Some of the data cells are blank but the non-blank cells are contiguous and start at the top of the range (see Before Example).
a macro that would allow users to insert a blank cell at any point in the data table without losing any of the other data or disrupting the formulas. In other words I want to move all the data from that point to the bottom of the range down by 1 row. A before and after example for a smaller 10 row data set is shown below.
Before
AB1data aformula 12data bformula 23data cformula 34data dformula 45data eformula 56data fformula 67 formula 78 formula 89 formula 910 formula 1011formula Aformula B
After
AB14data aformula 115data bformula 216data cformula 317data dformula 418data eformula 519 formula 620data fformula 721 formula 822 formula 923 formula 1024formula Aformula B
I have two columns D and E that contain dates and values. Column D has the dates and Column E contains the corresponding values.
I need a macro to take all of the dates in column D (it is pulled from a different macro so the length of the two columns varies every time but starts at D2) and paste the first value in W1, the second value in AE1 , and so on (every eight cells).
I need to do the exact same thing with Column E except start at Y1, then AG1, etc (still every eight cells).
I am receiving an error from the Microsoft Query wizard when I try and create a query of an xlsx or xlsm file. The error is "External table is not in the expected format."
Why this error is coming up and how I can correct the file so that I can write a query to pull info from a Named Range in the file.
I have written some code to duplicate the Microsoft query using ADODB but get the same error message when the Open connection line runs.
Is there a way to create a pivot from multiple external worksheets. I have the same format and field names in different folders on our network. I am proabably looking at reading from 5 different files. Is it an option to write a query with UNION ALL?
I am using pivotable with access queery as the source.
When I set it I cuse that external source browse tool, but it seems to only recognize the source if the dive is the same. When I go downstairs to try on a users computer there dirive letter(K is different than my (H and it does not work.
I have a pivot table created from a cube of data not within the file I am working in. I have created a macro that will update, but only for the specified timeframe. I have a separate worksheet within my file that will allow a manger to specify what timeframe he wants to see. Can I edit a macro to read from a source that is different than where the data is being pulled from?
I have a volumes sheet and based on two criteria (in columns) am trying to pull the corresponding value from the April Results Table. I have product type in C2 (this varies down the column) and depot numbers in D2. The table i am trying to match has depot numbers in column A2:A93, and Product type in Row 2 (B2:P2), where the two criteria are matched, i need it to return the corresponding figure. I have tried various combinations of Index and Vlookups but i cant get it to work!
I have a large table about 2000 rows x 2000 columns (small extract below) and i need to get all the non-blank data out of it into just 3 columns ignoring any blank cells. Column A is the customer account number and the other columns contain the prices for the part numbers as described in row 1.
a/c - part no 002000 S01000 S01020 S01040 S01060 S01080
[Code] .......
What I need to end up with is list of Account/Part No./Price like this...
A/C Part No. Price 00017391 S01020 7.2100017391 S01060 10.4500017391
[Code] .........
There will be about 70,000 lines from the table I have.
I cant seem to figure out why this sumproduct formula wwill not pick up the datatable on a separate tab. Data table is Column E to AA but it only goes to Column Y. If I try putting AA in - the formula returns the VALUE#. I thought it maybe the cell formatting but it does not seem to the problem.
When i tried to drop another field into data field, by default, the new data field will appear below the field which was already in there. However, i would like the new field showing in an new column - horizontally - rather than showing in a new row.
For example: Rather than the Pivot table appear like this:
I wish to hide some columns that contain data used to update a pivot table in another worksheet. What I want to know is though, will this affect the pivot table? I think that graphs in excel will normally ignore data in hidden cells, so I was wondering if it was the same with pivot tables.
I have a table in which the rows represent cities and the columns represent certain characteristics/ attributes a city can have. In the cells every city & attribute pair receives a "grade"
City EatingBeachSki Barcelona 210 Chamonix 002
I would like to transform this so that every row represents a city & attribute pair and includes its corresponding grade.(I want to do this in order to be able to add more information about city- attribute pairs rather than about cities only)
I am aware that I can use a pivot table to sort out all the pairs with a specific grade. and then I could paste this into a new table. But my data base (number of cities x number of attributes) is huge and I was wondering if there is no automatic process to make this transformation.
I have attached a spreadsheet of an example of a database with a pivot table and a desired report Can anyone give me a pivot tabe from my database that looks like my desired report.
I am willing to seperate the database into two seperate databases with different transaction types if necessary.
I have a lookup table which needs to be able to retrieve data from columns as well as rows and not sure if this is possible.
My data is set up with an ID number, financial year and data across the columns e.g
ID F/Y Apples Pears 9999 2004/5 5 4 9999 2005/6 7 8 9881 2003/4 5 3
My lookup table will have the ID number field which will be manually entered to lookup the information on the data sheet. e.g
ID 9999 FY Apples Pears 2004/5 5 4 2005/6 7 8
I can't work out a way to get excel to only give me the number of apples and pears for that year for that ID number. Not all ID numbers will have the same number of financial years so I may need to use VBA.
I need to create a vba macro which will sort data according to a code it is denominated by and then will apply specific values from a code key to the data. I really need to have some help with this as although my vba is getting a bit better this is definately beyond me.