How To Find Results From A Table Given Conditions Selected In Separate Cells
Mar 12, 2014
I have to prepare sheet 2-sales for my job and I cannot find the way to fill the price and sales results depending from the three other inputs required of the table.I belive we will need the functions addif, match, & others but still can't make it. Another tag when there is no result it needs to show "No existe producto".
I'm trying to use a formula in conditional formatting to highlight a cell red if the cell contains a 0 but the date shown in another cell has passed. I want to copy the formatting throughout a column but I don't want the cell to highlight if there is no date in the other cell concerned.
I would like to be able to bring these results into an output, but without other members of the other team members results been seen by other memebrs of the team
Two columns contain data (cash amount) which should be the same. If there is a difference, I need to show a minus value in a different cell and a plus value in another cell.
My data is pulled in as a table from QuickBooks, so its many rows consisting of many column entries per row. The columns are laid out like:
DUEDATE, VENDOR, ISPAID, PONUMBER, AMOUNT
I currently have a SUMIFS formula that works well for searching the table and finding PO's that are not paid, for a specific vendor, on a day today or before, and it ads the amounts together and returns the sum opf the amounts for me.
Now, what I would also like to do is to have it return the PO numbers as a concatenated text string all into one cell. So, it shoudl find all the rows where the due date is today or before, the PO has not been paid, and the vendor is a specific vendor, and then concatenate all of the PO numbers into one cell of my choosing.
This sounds just like the SUMIFS function, however, the SUMIFS function adds the values and places the sum in the cell of my choosing. For this, I would like the values found (which are text values) to be concatenated into one cell.
I would like a formula that will take the info from 2 cells (not adjacent to each other or in the same row) and then look these up in a table giving the answer in the 3rd column somewhere else on the worksheet.
Im using a table so I can sort diffrent catagories and I'm trying to put other functions to the right of the table I noticed as I change the sort on the table is moves the information outside the table as well is there a way to seperate that information or do I just need to move it above my table?
From a supplier I will get a spreadsheet including the the following Information which I need to convert into an url including trailing slash (/) for an online store.
Column A = Value of Main Cartegory (e.g. Holidays) Column B = Value of Subcategory_1 (e.g. Christmas Decor) Column C = Value of Subcategory_2 (e.g. Candle Holders)
Those raw data are without any trailing slashes. Now I want to create a column e.g. Column D (product_url) which should be a summary of column A thru C but if there is only a Value for Main Category there should be no trailing slash, if there is a Value for Main Category and a Value for Subcategory_1: no trailing slash after Subcategory_1 but trailing slash between Main Category and Subcategory_1.
The result should look like this: Holidays (Main category) Holidays/Christmas Decor (Main category & Subcategory_1) Holidays/Christmas Decor/Candleholders (Main category & Subcategory_1 & Subcategory_2)
Is it possible to create something like that in Excel at all since all values will only be text and the trailing slash is actually functional for Excel calculations but in this case it would have to be treated as "text".
I've written a macro which searches the sheet for a value, when it finds the value it does something, then I want it to keep looping until it's done.
The issue is that Excel's find does not search first to last. Once it gets to the last, and you search next, it goes back to the beginning and finds the first cell.
In order to break out of the loop, I figured I should store the first cell found in a variable and then check inside my loop to see if I have got looped back to the beginning. If I got back to the first cell found, then I exit my loop and I'm done.
However, my code doesn't work. It exits the loop after a couple of iterations.
Sub Macro5() ' ' Macro2 Macro ' If WorksheetFunction.CountIf(Cells, "TEST") = 0 Then MsgBox ("Not Found") Exit Sub End If
I am trying to code a macro that will search through a selected range of cells for key letters, for instance this cell may contain any combination of B, C, Te, Tc, RH, or LH. I would preferably like to search with capitalization being a factor but it is not a deal breaker. Below is a sample of what i have if the cell has a B, C it works for B but ignores the C i need it t o recognize both.
Code: If InStr(1, ActiveCell.Text, "B") Then Range("O" + CStr(ActiveCell.Row)).Select With Selection.Interior .Pattern = xlSolid .PatternColorIndex = xlAutomatic .color = 65535 .TintAndShade = 0 .PatternTintAndShade = 0
I am trying to use conditional formatting in Excel 2003 to indicate when certain tasks are overdue (by highlighting the cell in red). My problem is that I have multiple criteria. If my line item is a "priority" item, it is considered aged if not resolved after 2 days; if the line item is "routine", the item is not considered aged until after two weeks (14 days). My goal is:
1) I would like the "status" cell in column D (which says "open" or "closed") to turn red if the item is aged.
2) Aging depends on the "priority" status in column A .......
I'm using the following code to delete select rows one at a time. I need the last row in the range to remain therefore I prevented the user from deleting the row one up from the row that contains "Total Hours" (which is always in Column B). The code works great as long at the user clicks into a cell in column B. If the user clicks into a cell in column A, C, D, E, F, G, H, or I then the code allows the user to delete the last row.
I believe I need to search entire rows to determine if the row contains "Total Hours" .
I have in column A a list of investment fund names. In columns B to D is respectively for each fund its Market Value, the Rate of Return and the Rank (1, 2, 3 or 4). I am trying to create a formula that will calculate the market value-weighted rate of return for each ranking.
For example, the 3 funds that rank first have market value weights of 10%, 12% and 13%, and rates of return of 1%, -3% and 5%. The total market-value weighted return for the top-ranked funds would therefore be 0.39% (i.e. 0.10*0.01-0.12*0.03+0.13*0.05)
The formula would first need to look in the ranking column to identify those funds with a particular rank (column D), then calculate their weights by dividing their market value by the total market value of all funds (column B), and finally multiplying these weights by the rate of return (column C), before summing the results to say, for example, that the total market-value weighted return for the top-ranked funds is 0.39%
I have a worksheet which contains all the details of the medical equipment in the county that i'm responsible for.
This worksheet posesses amongst others; two columns titled location and sublocation.
I need a technique which will allow me to select a location from a dropdown list, select a sublocation again from a list and for these two conditions to then populate a list containing data such as asset code and description of all the items in the location and sublocation (possibly a little like an advanced filter, but only for the selected conditions)
This list will then be used to provide an engineers report on equipment holdings at various locations. I'm open to any ideas fellas.
I have a table with list of equipments and asset number assigned as primary key, I wanted to have a history movement of these equipments but my idea is somehow not logical and very primitive to update every time 2 excel sheets:
I have an excel workbook, and in that workbook, i have one worksheet with multiple tables. Any sample code wherein i can save in a seperate excel file the range that i selected?? because the tables in the worksheet are in different ranges and i would like to save just a part of that table in a separate excel file..
How do I populate a new userform from an entry selected in the listbox. The listbox only lists one item from the original table but I'd like to populate the new userform with related information from the same row.
I'd then like to save this information to a new sheet and store the original information on another sheet leaving the first sheet a table of information yet to be updated.
The attached workbook should make things clearer. The update button is the one in question.
I have a work sheet which includes a column of numbers representing certain daily events. I am building a user defined function to analyse the trend in the numbers by assisigning values from -2, -1, 0, 1, 2 based on comparison of two days.
Below is the function I built but it is not working, it is resulting in zero values in most conditions. I have attached the sheet which includes the numbers and the function.
I would like to highlight cells is two conditions are met:Cell = 0Offset(0,-1)>0I tried the conditional format wizard and entered a formula: =IF(AND($J2=0,$I2>0)) But I keep receiving formual errors, which I understand, because it appears to be incomplete formula. But I am not sure what else I need to add to the formula in the conditional format wizard
I’ve created a worksheet containing many drop down lists that form an inventory of household effects. Once selected, I’d like to be able to view/print the selected options and quantities separately on one A4 page.
I don’t want the separately viewed/ printed page to contain anything other than the selected options. The problem I’m having is to arrange this new page as a contiguous list.
I have made a pivot table and I dlike to identify with a macro the documents with net value over 1000. Then extract these values next to the respective sales documents in an are near the pivot table somewhere. The fields are called Document and Sum of Net value. Of course the pivot is very variable one time it has 3000 records and another 5000.
I'm trying to make a by month spreadsheet that has all twelve month ranges starting in for a3. in a3 it would have the start date and in a4 it would have the end date. I'm trying to locate all of the dates between those two dates and pull in the profit ammounts from another sheet, the results would be in row 5. I would also like to pull in the loss amounts and have them in row 6. All corresponding with the date range in rows 3 and 4.
I'm trying to separate text from numbers into two separate cells...
Essentially, I would like the users to copy and paste data into Column A, as seen below. Then, hopefully by formula separate the text characters into Column B and the numbers into Column C.
Input: Output 1: Output 2:
Col A Col B Col C Wells 123 Wells 123 Wells 1234 Wells 1234 Wells Fargo 123 Wells Fargo 123 Wells Fargo 1234 Wells Fargo 1234 Wells Fargo Inc 123 Wells Fargo Inc 123 Wells Fargo Inc 1234 Wells Fargo Inc 1234
Ideally, I would like to do this with a formula...
sheet 1 contains student data, name dob, actual age, raw score and an empty column standardized score
sheet 2 contains a conversion table, using the actual age from sheet one you locate the age in the top row of table in sheet 2, and using the raw score from sheet 1 you locate the matching raw score from the first column of the table in sheet 2, going down and acrosss until you meet this gives you a standardised score
i want the standardized column in sheet one to fill by using a formula which looks at the table in sheet two locates the two values and returns the result.
I did a data table yesterday and it worked. I tried again today and the results are incorrect. They are coming out as a constant (the same result as the original formula). Has anyone had this happen before and figured out how to fix? My spreadsheet is fairly complex. Does the data table formula need to refer to the "base" cells? For example, if the formula refers to cell F15, but in F15 the formula is +C15, does my data table formula need to use C15?
I am using this code to hide or unhide rows of text on another sheet:
VB: Sub ProcessSheet1ChangeOnCellJ7(ByVal Target As Range)
Dim sAddress As String Dim sValue As String
'Get the address of the cell that changed without '$' signs sAddress = Target.Address(False, False)
[Code]....
When the "Not Pursuing" list box option is selected (in cell "J7" or "J8" in Sheet 1) I need to add (or over-write) "Not Pursuing" to the range of cells in column "B" (in the "Tasks" sheet), but only for that particular Goal, meaning a limited range of cells in column "B". If the "Pursuing - Show All Tasks" option is selected for a Goal then these same cells need to be blank so that the appropriate person can enter their name into the cell.
The purpose for adding "Not Pursuing" automatically to these yellow highlighted cells is that it will facilitate filtering of tasks by individual in the "Tasks" sheet..
Again I have tried several times to upload a sample file and am unable to, which I know makes it more difficult to solve. (Is there some common mistake people make? I know it's an allowed format and is very small in file size....)
Code solution can be entered directly beneath:
VB: If Target.Value = "Not Pursuing" Then ActiveWorkbook.Sheets("Tasks").Rows("29:29").EntireRow.Hidden = False ActiveWorkbook.Sheets("Tasks").Rows("30:48").EntireRow.Hidden = True
I am pretty new to VBA and have been wrecking my brain and reading just about every Thread there is on this and still can't figure out why I am not getting the code to work.
I am trying to get data from Column "Sale Price", stored in Table "MasterInventory" on worksheet "Master Inventory" to populate a textbox in a UserForm by means of Vlookup.
Upon running the code below I'm getting Value Error 1004, and during Debug when I hover over "MasterInventory" it shows "MasterInventory=Empty"
Also Im trying to figure out how to do it so I can call the "userform" up from any worksheet and add the entries in the table on worksheet (Jan, Feb, Mar, etc.) for the month depicted in the TextBox "Date" on the Userform
The code looks like this:
Private Sub CBx_PROD_AfterUpdate() 'lookup value in Col F [Sale Price] based on Product (Col A [Description] in Table [MasterInventory]) With TB_SP If OB_Y.Value = True Then Me.TB_SP.Value = Application.WorksheetFunction.VLookup(CBx_PROD.Value, MasterInventory, 6, False).Value End If If CBx_PROD.Value = "" Then Exit Sub End If End With End Sub
I have a table that is 94 columns *12 rows each cell has a different number I need to find a way to duplicate the table but with the numbers in each of the cells doubled.