I'm opening a non-excel file in excel and it formats it into a series of rows/columns. The problem I have is that it doesn't consolidate all related data in the same row, for each new column of data it breaks into a separate row. I'd like to easily roll it all up into a single row.
I've attached a sample file to illustrate. The "Original" sheet is what I'm starting with and the "Final" sheet is what I hope to condense the data into.
Using an existing database with nonfixed boundaries I am creating a new one with uniform boundaries. The simple spreadsheet I will use in this comment isn't what the database actually looks like but represents what I am trying to achieve.
Here I have the old data, organised into sections that have the same assigned number. (Note: the assigned number may be the same as the previous cell). I wish to change it into this structure:
StartFinish# 020 2040 4060 6080 80100
It will be organised by the start and finish instead of by the assigned number. Instead I would like the number to reflect the lowest assigned number that occupies a part of that area.Is it possible to create a forumla which would achieve this?
I have a database spreadsheet where it shows, the date and time a sale was made in 2 different columns, one for date, one for time (in Epoch format). What I need to do is convert this date/time to PST vs. the EST it's defaulted to.
I want to accomplish something like this but slightly different:
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I have the same issue but a bit more complex. In my case I have an additional amount of columns (let's say dimensions). So for the example given (sales per month) I would add two columns for 4 different regions and 5 machine types (just examples).
The output (that would serve as pivot tabel input) would then have to be a 4 x 5 x 12 x 4 = 960 row database table.
I have tried to accomplish it by customizing the given code but that provedto be beyond my powers ;o)
and some 3rd party software [url]and [url] but non of them is doing what I'm looking for.
The code I'm looking for ideally would count the number of columns and unique records per column and construct the database table from that. So I am looking for flexibility in the number of dimensions also...
I have a pretty vast database which I populated through VBA from a certain number of worksheets. I now need to create a table which shows min, max and average for each location given x, y or z condition. So far I only approached it by creating a secondary table with each range address and then using INDIRECT, but this would require extra work on the database (insert a function to sort out locations alphabetically and within each Range.Location sort out by conditions (note. A, B and C are not in alphabetic order)) and is also very ugly.
I have a spreadsheet with 15,000 rows x 15 more columns, i would like to find out the number of delivery for each single order.
The database similar as below :-
Order No. Delivery Date Product 12345678 01.01.2009 TV 12345678 01.01.2009 DVD PLAYER 12344568 02.01.2009 TV 14567892 03.01.2009 RADIO 14567892 04.01.2009 RADIO 14567892 31.12.2008 BLUE RAY 15465879 06.01.2009 MP3
1)what excel function should I use in order to find out the number of delivery since there are so many duplicate records in the database.
Is there any lock/security option in excel sheets, suppose we make some table/list and after entering one data when the cursor goes to second raw, the previous raw data automatically lock. the user cannot edit or delete that record.
I've posted an example workbook that has sheet1 as how the data comes and sheet2 as what I need it to look like (through some kind of automatic process). I really don't have a clue as to how to get this done, and I'm guessing some VBA is going to be required.
I am wanting to manage my inventory and need to convert spread sheets with tables specifying style, size color to lists with skus specifying style, size color. please see attached spread sheet with one sheet with table and second sheet with list.
I want to build a pivot table on database that is not centralize in one place.
every month the new data is insert in a new sheet (of course with the same fields names) But the wizard, refuse to build a pivot table from data that is not concentrated in one place. (My intention is not the option: "Multiple Consolidation Ranges".)
Call center stats: I have a SQL database which is LIVE. I would like to create a live report on excel from this database. (update my excel table automatically)
I have an excel spreadsheet in which I must sort the data by program and then activity code. From that I need to know the number of consumers by activity code and their total units. I must then graph this by program. I have been debating on whether to use an excel pivot table, break the data in to multiple spreasheets to then graph it or shoud I upload the file into access.
My boss sends me emails with people's information, which I then reformat to put in invoices in word, save as PDF, record in excel, and send out with an email from Outlook. I would love to find an easier way. I'm wondering about putting the info in an excel table so that I can then use a mail merge to create an invoice with the address--unless it turns out to be more work than to format each one (I'm newish to Excel).
The info I get is listed in the following way:
First Name: Mia Last Name: Kant Email Address: mika@gmail.com Country: Afghanistan
[code]....
I need to use some but not all of the info, but if I could get it to format into a table, I assume I could then pick and choose.
I would like not to have to update the source data for the pivot table in my database. I've read that you can solve this by using a Dynamic Named Range and using that as the source for the pivot table. That way the pivot table will expand as new data is added to the database. The formula I used to create the DNR is:
i have a excel file which has a formatted pivot table which displays customers by country in row A 2 down to 36 with approx 36 customers in the values field i have volumes by alarms and tickets along the column labels it shows the previous 7 days with date and then the alarms and tickets in each row. My problem is i am trying to find the code or location where i can change the only bring back 7 days data to another value. i have searched all connection properties and definitions. I know there is a value somewhere that allows you to change this number to say from 7 days to 30 days. If you click on the column labels for date it shows the dates back 3+ years but it still if i tick more than 7 days only show 7 in the table.I have image if needed
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 sheet with products down the side, and dates across the top. Numbers will be entered at an intersection between dates and products to represent quantity. Whenever there is a non-blank value for the quantity, I need to copy the products, dates, and quantity into a traditional database format. I have attached the original data format I get from suppliers on when they will deliver, and then show a separate tab for "Desired Result"
I am trying to convert the data I have to matrix format. I have attached a sample of the data in the file I have attached. The data is in the worksheet "Original" and the matrix format that I am trying to convert is in the "Transformed" worksheet. Can someone please help me with the VBA code for going from "Original" to "Transformed"?
I'm working on a spreadsheet which will sum values from two source worksheets based on the month and year in certain columns. I put together a summary worksheet and was able to successfully pull the data I wanted. So my next step was to convert the Summary data into a table (because I prefer the aesthetic value of the "greenbar" effect in Excel tables). But as soon as I converted the cells to a table, the formulas returned nothing.
After playing around with it, I determined that the problem seems to be the fact that I use the year criteria as a cell reference (that way, I can later change the year in one cell and update all the dependent formula). I've got "2013" in Cell A1 in General format, and all the formulas use a YEAR=$A$1 criterion. I found out that if I changed the formulas to YEAR=2013 instead of using the cell reference, I got the desired result again. But I cannot quite understand why changing the data into a table would alter the way Excel interprets the formula (plus, I still want to be able to change the year by updating one single cell).
I have a spreadsheet of measurements which i need to convert. In short, all of the numbers must be multiplied by 2.54. I can follow how to do 1 number at a time, but the sheer number of calculations makes this highly inefficient. I think my problem lies in settng up the formula properly. I am working with an iBookG4 with an excel program 11.2.3.
I have a portfolio of 23 funds and I need to calculate IRR for each one every month.
The problem is that I have dispersed information for each fund.
For instance in sheet CashCallsBD I have a table with the funds cash calls. This table has a first column with the Fund Name then other column with the cash call date, another column with the cash call value. This table may have other columns. One fund may have several cash calls.
In sheet DividendosBD there is a table with some columns that refer to cash distribution movements. The main columns relevant for this case are Fund Name, Date and finally Cash Distribution (signed in red in the attached document)
And then my problem: In order to calculate IRR for each fund I need to create a table (for each fund) that merges and sorts the information of CashCallsBD, Dividendos BD and present market value for each fund and then apply the XIRR function. For each fund this sorted table would have at least 2 columns (date and values).
From a table like the one here, how can I generate a list (without spaces) of all the names only? Perhaps filtering by "Mr","Miss","Dr" or something? The result I'm after would be a column on a new sheet that ran:
Mr James Mrs Milly Dr McAllister Miss Aujard Mr Barker Mrs Stanley
I am currently trying to create a database of products for my company. For each product I would like to include an image associated with it. I then want to have on another sheet a place where the user will click an error and be able to cycle through the products. As tehy cycle the associated image will pop up.
What I need to understand is after importing the image into excel, how do I associate that image to a cell so I can reference it in another sheet of the database. I am not concerned with how large the database will get, my pictures are quite small.
I'm trying to lookup a database named database and return a time in column A, based on criteria in cells a1 and b1 on another sheet, A1 would contain a number and B1 would contain a day from mon-fri
eg of Database A B C D E F G 10:00 5000 Mon Tues
11:00 5000 Wed Thur Fri
and so on
if a1= 5000 & b1=Wed how can I return 11:00
I have tried index and match =index(a:a,match(a1&b1,b:b&e:e,0))
I've used a countifs, but I'm having trouble doing a sum in a similar way. I have 2 databases and I will try to explain below. I need the to sum the values of database 1 if the second database is >= 20. So the value I would expect on this example would be 900. I would also like to be able to highlight which ones are elliminated. Such as coloring the text red.
I am attaching a worksheet which shows what I would like to see. I am having difficulty writing the formula. The database I have is a list of forex trades. Each trade is made at a specific time, and involves a specific currency pair (such as EURUSD). I want to summarize the trades in a table which sums up a week's trades for each pair. (see worksheet).