I have been asked if I can create a solution to take data from an accounts sheet where 2 columns of data are used to record dates and values and then make a master summary of each account into a separate sheet.
Shown below is an extract of the Main Accnt sheet, and then a copy of what is requried as an end result, there are more accounts to consider in the real sheet. but will be 2 columns only and an account identifier
Attached is five months of dummy sales data for eight products. My objective is to filter this data with date ranges (using Column A in Data sheet), and have the corresponding pie slices (shown in Pie Chart Sheet) be the summation of the Products grouped by their designated letter. Currently, the result I am getting is 6 pie slices for "Product A" and this is wrong. I want to see "Product A" show up only once in the LEGEND and only as one aggregated pie slice. The same holds true for the rest of the Product Letters.
I want to avoid using Pivot Tables. My objective is to keep my layout clean and simple. I would like to know if anyone out there could help me figure out a formula that will automatically catagorize all of the resulting filtered data by the Product Letter they share. Once the formula categorizes or groups together all of the resulting filtered data by Product Letter, I would like the formula to calculate a summation for each Product Letter category. After the formula finishes the summation task I would like the formula to feed these results to a Pie Chart. The resulting chart I would like to see will show individual pie slices for each Product Letter resulting from the date range filtering operation performed on Column A. The resulting letters can be anywhere from "A" to "H". My goal is to only have one individual pie slice representing each of the Product Letters resulting from a Date range filter. I thought such a task would be as easy as baking a pie, but it's turned out to be beyond my Excel skills.
All detail data begins in Row 6 in the detail spreadsheet.
In the Summary spreadsheet, it appears to make a difference where my calcs are located in order for my COUNTIF's to work correctly. As long as I keep my summary calc (to total the number of work orders in the detail) in Row 2 of the Summary, it works fine...but if EITHER I move my calc down a row OR if my detail drops down a row because a row was added above (where I have just header info), my summary totals change?!?! I don't understand.
Here are two examples of the calcs I'm using in the summary:
=COUNTIF(WO_Num,">0") =COUNTIF(GM_X,"X")
Can someone tell me what is going on? What I'm doing wrong?
I have a program running on my computer called Orbits.
What Orbits does is monitor a race track, and via a transponder in each race car, when a race car crosses the start/finish line Orbits will record that infomation.
The orbits program continually feeds data out the port 50000.
I can start hyper-terminal (yes the free one that comes with windows) and create a link the the computer running orbits. I use IP and port (Ex. 10.0.0.1 and port 50000).
As the race is going on I can see the data in hyperterminal: Below is a sample.
I am running a contest for my office and the theme is 'nascar'. Anyway - we'd like to chart the contestants using a racetrack. Is this possible in Excel or any other MS Office tool?
Basically I'd like to show the placement of ten contestants on a circular racetrack. It would be updated weekly.
I had a member make the MACRO in the attached spreadsheet some time ago, when i run it on the spreadsheet a runtime mismatch error occurs. I cant find the mismatch.
1: two colums of data for each car (lap distance covered and speed). Now each driver is going to decide to brake at different points. 2: i have coner data (eg corner 1 is at 150meters to 200 meters, corner 2 is at etc) 3. I am trying to create something that will do the following.
determine the lap distance at which the driver is braking (the point where speed decreases). I would like to do this for each corner and each driver. I am struggling to find a way of determining how to read the "lap distance" value when the corresponding "speed" value stops increasing and actually starts to decrease. This is the point at which the driver is braking
Where C4 is 'Qualifying time', C5 is 'Starting fuel', C2 is 'Lap number' and C3 is 'Fuel consumption'. I also plan to make the 0.3 a changeable variable.
I'm not fussed as to whether or not this is a realistic function that would work in a real race, it's only hypothetical. However I would like to have a function that would give me the over all race time at any given lap, not just the lap time for it.
excel 2010. This workbook has 4 worksheet(Process Engineer,OSBL,OSA,Lab Operator) I want to know what is the best excel formula/function to summary this 4 worksheet.
Example:I want a formula/function to summary all the statement from 4 worksheets and total number of answer "1" per statement from 4 worksheet.
Sample Statement below
"Demonstrate Interpersonal (People-to-People-) Skills" Question:What is the formula if above statement contains this statement in 4 worksheet?As i checked the total is 4 then What is the formula to get all total answered ICC on this statement from 4 worksheet?
For instance, in travels.xls a table in the 'data' sheet lists destinations versus people and the data of travel.
What i'd like is to assign a macro that would have a breakdown of the number of travels per destination that month. Where there is no travel that month, that destination is omitted.
I can work out how to use SUMPRODUCT to produce the number of trips per destination within that month, but stuck as to how to get it to display it using a macro.
Should I use a loop to loop through all destinations, copy that information to the separate sheet and then another loop to delete destinations with zero trips?
I have a spreadsheet, whereby I have a list of items that grows regularly, but also have a brief summary of items, however I would like the summary to float, so that it always appears on screen, and I don't have to hunt for it on the spreadsheet.
Sheet: Summary = All rows of Masterdata WHERE Product quantity Is Not Null (<>0) starting from row 5 in the summary sheet. note that if a value in quantity has been reset in the Masterdata, the Summary has to be updated. I do not want to use an advanced filter because the whole workbook needs to act like a portable template for various users which once in a while gets updated using external connection with a ms access database. ( Import of access report). I have no idea whether a copy function or customized pivottable (does not works because too much data), ... would do the trick.
I have a very large table that I want to be able to summarize neatly and columns that have zeros for a specific person, so its easier to input data later.
I have 9 sheets of sales data, some with over 50,000 records. I need a way to present this information in another worksheet so I can bring up just the data based on individual brands. I understand a pivot table is needed however I cannot see how to gather data from multiple worksheets.
For example:
I need to look at all the different sales for Product A, which appears in multiple worksheets. Product A is broken down to store-level, with records for number of sales in each store, one record for units and one for value (for the same store and product). Is there a way I can get the data for all of Product A in one worksheet so I can then easily add the totals across all stores by both units and value?
E.g. Store 1 - Product A - 10 units Store 1 - Product A - £20 Store 2 - Product A - 7 units Store 2 - Product A - £14
A) Is this even possible to do in Excel? I've seen similar ideas in foums, Excel help, etc., but they are all limited to worksheets within a single workbook.
B) My front half logic will work if I can do the back half. But if that's not possible, is there another way to accomplish this?
What I want to do is create a summary sheet which looks like an organisational chart with boxes and lines of hiarachy, and When I choose Week 1 it selects the Team Leader(s) who are working in week 1 and puts them in the correct box in the org chart, then the Mechanical techs and puts them in a different box etc. So when I change the week number and want to know who will be in post in week 5 for example it puts the correct names in the correct boxes.
I have a workbook in which a userform pops up which I use as an assessment form on my fitters. It goes through a series of questions on then when the submit button is clicked a sheet is added to the workbook which is named with the fitter's name and the current date - all this works fine...... what I now need to do is to create a summary page which will include basic information from each sheet in the workbook, bearing in mind that new sheets are constantly being added to the workbook.
1. Count of Unique Print Customers 2.Total of Print Revenue 3.Count of Unique Online Customers 4.Total of Online Revenue 5.Count of Customers advertising in both Print and Online 6.Total Online and Print Revenue
I have a report of 1200 plans (approx 2000 rows). Attached is just a small example of data that comes from the report. There are 3 plans in column B (Plan X, Y, Z). I want one row of data for each plan with the plan roles and Employee ID filling those roles listed horizontally instead of vertically. It is only the roles and Employee IDs filling the roles that cause the data to be more than one row. In this example, I’d want only 3 rows of data (one for each plan). I want to include all data shown for each plan but want it on one row per plan. Possible roles are Plan Owner, Plan Steward (there can be up to 10 stewards per plan), Plan SPOC, BU SPOC, Compliance Director, and Officer.
I have a summary tab in which I am trying to sum data based on specific variables from 30 other tabs in the worksheet
- In the summary tab, I have months (one year worth) over the top row and consultant names in the first column - Each other tab represents a project - I want for consultant 1 in summary tab, to have: For january, the sum of dollars spent in january in each project (so across all tabs) Same for february to december.
I have attached an exemple Note that the consultant names will always have the same syntax but will not necessarily be in the same cell in each tab.
I have daily Open, High, Low, Close stock prices. Separately, I need the same data but in weekly format, so:
1. The weekly open is the open of the first working day. 2. The weekly high is the highest of each of the daily highs. 3. The weekly low is the lowest of each of the daily lows. 4. The weekly close is the close of the last working day.
I've a table and in the first column titled 'VALUES' (A1) I've entered values ranging from 1 to 100 (A2:A10). In the second column titled 'STATUS' (B1), 'closed' or 'NA' is entered (B2:B10). Now I need to find how many cells are there in the table with 'closed' status in the range 0-25, 26-50, 51-75 and 76-100.
VALUES STATUS 34 Closed 56 NA 44 Closed 98 Closed 18 NA 82 NA 23 Closed 40 NA 63 Closed 71 Closed
I think VLookup is what I need to use, but am unfamiliar with how to use it. The attached file will explain a little more about what I would like to do. I have an inventory summary from 2007 and 2008. Each year has its own sheet. Each record has two fields that need to match on the summary sheet. If the two fields match, the summary sheet should return a total in the third field. It's more clearly explained in the file itself.
I'm looking to create a summary sheet of all data consolidated to one tab.
On the attached workbook, I want to pull all of the data from the monthly tabs and consolidate it all to the 2012 Totals tab.
How to only pull the nonblank rows, and ignore the headers.
I would like to be able to avoid using a macro for this, if at all possible. I would like for the summary to update dynamically whenever new data is added to any of the monthly tabs.