I have a Excel Table that will be sorted/identified by the first column of every row. In the Table, there are numerous columns calculating values for each unique item across the row. This will be a large inventory table. The calculations will adjust based on a unit value of 1, and if the unit value is changed calculations go through the rows
I want to accomplish several things:
1) Pull data to another portion of the sheet based on,
a) Selecting a unique item that comes from a drop down list based on unique item identifier in the table
b) pull values related to the unique item and put in cells near the drop down list (I tried an =if function but did not have any luck
=IF(G1=ZillaRac[Item Name],ZillaRac[MSRP],"MSRP Not Calculated") but it resulted in #value!
2) If possible by selecting my unique identifier, insert a unit multiplier that would go into the Excel Table and adjust the values calculated in the table to be brought back up to the cells in part 1.
I need some VBA code that puts in formulas to pull data in various columns within row 2 of another worksheet.
The formulas need to be entered below some other data, which is populated from another prior macro.
The below code works well but as the prior macro can populate a different number of rows on different days, the Row count then also changes and doesn't always refer to row 2 of 'HLDRT before' tab.
Is there a way I can tell the above code to always use row 2 from the 'HLDRT before' sheet, while keeping the column number lookups the same?
I think there is a way to do it by removing the [] signs but I can't get it to work. I also then need the macro to copy these down so I'm not sure if using $ will cause problems?
I have 90+ rows of data that I want to transfer into a table format on another worksheet. At present I have laboriously been copying and pasting from one to the other but am losing the will to live:
Id like to create a macro to do this for me. Is it a matter of recording the macro to replicate as I copy and paste or is there a better way....I have dabbled with a pivot table but cannot get it to do what I want.
Here is the code from a recorded macro that does one person/row of data but I dont know how to make this automatic for all rows of data (see below):
My Table has a data validation list in one row of a table. And different formulas in different rows.
The Table is expanded only into columns. Which means, there will be no new rows...only columns will be added.
If we enter text into the header cell in a new column, the whole new column gets formatted, but the list and formulas do not auto fill into new columns.
Of course an easy way is to copy and paste a column...but is there a way to auto fill lists and formulas into columns of the table? Similar to how the rows get autofilled?
I threw together some sample data, just to test things out. It's very basic, one table of "Customers" and another table with the 50 US State's and their corresponding abbreviations. In the "Customers" table, there is a column of state abbreviations, and in the "States" table there is a column of state abbreviations as well. I have a relationship set up between these two in PowerPivot.
Each "Customer" in the "Customers" table has a unique "User ID". In some states, there are multiple "Customers" (User ID's).
When I try to pull a PowerPivot Table off of these tables, it's showing me all the states as being associated with every user ID. It looks correct if I just pull in the "States" column and the "User ID" column from the "Customers" table...
image1.jpg
But as soon as I drag in the "Full State Name" column from the "States" table, it screws up the PowerPivot Table and shows all the state names being related to the state abbreviations, and all the User ID's as being related to all the states. (This isn't the full image of the table, only part of it, since the full image would be too large).
image2.jpg
I'm used to doing everything with VLOOKUP's, and seldom used PivotTables at all in the past. But it was my understanding that these new PowerPivots would eliminate much of the need for VLOOKUP's.
I am tired of doing the same amount of repetitive work, I would like to know if it is possible to acheive a "template" where I just drop a database pull and it negotiates where the data should fall.
When I pull data, I have the following values I need -
Part number Date - which is by day, I need grouped by Monday - Sunday to seperate amounts ordered by week. Branch plant - East and West Order Quanity which is placed by day QOH - Quanity of parts I have on hand
I need the days grouped by weeks, 7 days by date equal 1 week. I need summing part number amounts due within that 7 days into one total.
I would need 4 columns 1) Demand due 2) Supply due 3) QOH 4)Difference
I need each branch to have their own sheet, for a total of 4 sheets... Supply and Demand for both plants.
What it boils down to is I need to know what the demand is per week, and the supply I have to meet that demand, broken down like the attached sheet.
Seems my sheet is too large due to the amount of data for the site, but here is the link to the LARGE File...
All I am doing is counting text values in a table.
The table has 3 main columns(which are relevant to this thread anyway).
Shift - Area - Status
The example I have attached shows examples of DCOUNTA, SUMPRODUCT and a Pivot Table.
I have read many threads stating that the best one to use is Pivot Table followed by DCOUNTA followed by SUMPRODUCT.
The most effective for me seems to be SUMPRODUCT (although this does slow excel down dramatically when you use a lot of these formulas). As do Array Formulas
The Pivot Table does not update on its own, therefore constantly needs to be refreshed. (I could use code to do this)
The DCOUNTA seems to be the least effective at doing what I want (unless I am doing something wrong)
In the attached example can the DCOUNTA be used more efficiently as I don't like the fact that I am duplicating rows to apply the criteria for a different shift. e.g
Area 1 - Late Shift - Banned Area 1 - Early Shift - Banned
I want my table to be as follows (as the SUMPRODUCT shows)
AREA - Early Shift - Late Shift - Night Shift - Area Total Area 1 Area 2 Area 3 Area 4 Area 5
I'm trying to automate creating certain keyword combinations I need, based off of the values I input into reference cells in columns A - E; the goal is to compile a list of keywords which I will then use to track my rankings in search engines.
I'm looking to only output 500 keywords, so some of the cells in columns A, B, C & E will not contain data (column D will always have a primary Geo-target listed). This results in some of the concatenate formulas I've created outputting partial data (i.e. if there is no data in cell A10, and cell D2 contains the word "Knoxville", then cell I10 will output the data, "Knoxville "). How can I setup conditioning formatting or a formula so that these auto-generated cells appear blank if one of the reference cells has no data within it?The reason why I need the above to work is because I want to setup a formula that automatically counts the # of keyword combinations created by the data entered into any of the reference cells. With the partial combinations being listed, it skews my data. Which leads me to my next question: what is the best formula for counting the # of cells containing a full keyword combination from any of the cells listed in columns G - O (minus the data in the header cells; i.e. G1, H1, etc...)?Lastly, is there a formula I could use that would then aggregate all of the full keyword combinations within the "Complete Keyword List" column (column P)?
Using Excel 2010. I'm writing a macro that sets up a workbook to be used for estimating at the beginning of a project. In the code I need to create multiple tables (formerly known as "lists") in the workbook. Then later in the code I need to refer back to those newly created tables. Currently, the code that creates the table is part of a loop that creates the table on many different worksheets. The problem of course, is that I have to name the Table, and then it won't create a table of the same name on the next sheet. Then, later in the code, I need to make adjustments to the table that was just created before looping to the next sheet.
Is there a way to create a table without giving it a constant name? Or by giving it a name that builds off of other info in the sheet? For example, I would be good with the naming the table after the sheet name: "Sheet1_Table" or such.
Code: Sub Auto_Open() ' Dim sht As Worksheet If Range("A1") = 1 Then
I have a sheet in my workbook with at least 180 small tables, there may be more. I woulds like to be able to change total formulas for all tables at once to show either year-to- date or total year.
For example: If we have only progressed through the second period of the year, I would like to choose something to indicate period 2. At other time I may want to know the total year whether the periods are completed or not.
I have a column of numbers each have a 0. infront of them (example 0.2346 0.5698). I want to pull the number from the right until it hits the decimal sign. So for the two above the result would be 2346 and 5698
I want to use a Pivot table to filter data to show just the studies that contain patients from the 'South' area?
As per example below I want to be able to see all the patients in all areas but only for studies that have patients from the south. I put together an array formula that works well for small tables but is too much with one one my sheets that contains 200,000 rows.
I have a spreadsheet that is updated weekly -- but every week new info is added that needs a user to input corresponding info. I use a vlookup function to link to another spreadsheet that populates the info from previous weeks and the info that is missing shows up as #N/A...
First I was using a msgbox function to get the info:
HTML Code:
For Each b In myrange If Application.IsNA(b.Value) Then Employee = b.Offset(0, -2).Value SSID = InputBox("Please enter ID# for " & Employee & " :", "New Employee Found") b.Value = SSID End If Next b
But it can be up to 30 different new employees... and that is time consuming.
I would like to make it more user friendly by creating ONE userform that displays all of the employees as labels -- has a text box in which to put the ID # -- and then has a drop down box to choose the type of employee (2 options). I want all of that info to go back to the reference spreadsheet so it will be saved for following weeks, and then redo the vlookup to get the info into the new weekly spreadsheet (I can do that part)....
HTML Code:
Private Sub CloseButton_Click() Unload UserForm1 End Sub
Looking for a formula to accomplish the following:
I'm trying to populate cell A31 on a worksheet titled "VolumeTotals" with the data in Cell E23 from a worksheet titled "CurrentCustomers" if the merged cells F3-F22 on worksheet "CurrentCustomers" are equal to the word "Contract".
I have an excel workbook with 2 worksheets. One worksheet shows the MASTER LIST of COMPLETE Customer Names (e.g. ABB Supplies Incorporated). The other worksheet has information on customers but the customer names typed in are incomplete (e.g. ABC Supplies). I need a macro that would look do a comparison of the customer names in the 2nd worksheet to the Master List worksheet and pull the data (complete name, address, etc.) for those that would match (partial match since company name is 2nd worksheet is usually incomplete).
I have one excel 2010 workbook with 5 work sheets, each work sheet contains a list with first/last name(one column) and the company name, some have a 3rd column with their email address in each sheet represents each year starting at 2008 thru to 2013 i have to find out if the people that attended an event in 2008 also attended it in 2009/10/11/12/13 and if they didnt, put their name and company name onto a blank worksheet within the same workbook without using a macro, how can i do this?
I want to pull data from another sheet, however there are multiple listings of each and I want to pull the data to another sheet for each line. I maybe easier if I try and show below:
Col. ACol. BCol. C Smith101 Jones512 Green65 Black1214 Smith 3612 Jones1512 Dual25 Green1225
I want to pull this data for each name in Col. A in to another sheet. I've tried "IF", "Vlookup" and a couple of others, it just seems to be hitting the first option and pulling the data but not the ones below.
So if I selected Green on the second tab it brings through the "6" and "5", but not informtion from the listing from Green below. So I wiould like to list all the Green's, and the applicable data.
Is there a way to use Data Validation that will pull data from a source list and also be able to type in additional data or just new data in same cell?
I have a Pivot Table, with lots of data in, what I want to be able to do is on a separate sheet pull out the data from the first column(A), and then average out the figures from Columns(B-E).
When this has been done on the sheet (with the average data) in the next column, I then want to use Column(F) (from Pivot Table), and do a simple sum to work out 5% of the difference if it is greater than ZERO between Average Column and Column(F) (from pivot Table) Column(F) must be higher than the average in order to work out the 5%.
I've been playing around with VLOOPUP, MATCH, SUMPRODUCT... But I can't seem to get this one right..
See the attached Excel file..
I think it should be fairly explanatory.. I want to use the dates in SUMMARY sheet, to pull out the data in the DATA TABLE sheet. The numbers in Column A on the DATA TABLE sheet, is first date in each month, and the numbers represent the day of the month.. .
Let's assume, starting at A1, that i have table (8c x 30r) and lets assume that in each of the columns i have 5 cells filled in with data at random. What is the best way for me to produce a list of the data in each of the columns without having to go in and delete out all the blanks myself? I.e. i want to reproduce the table but without any of the cells which do not have any data in.
I have been trying to find a way to consolidate data in two tables, but can't seem to locate a good response. I have been toying with EXACT, VLOOKUP, HLOOKUP, MATCH, and SUMPRODUCT, but none seem to work for my issue.
Two Files - Call them acrendo.xlsx and office.xlsx
Both have a single sheet and contain first name, last name, and date columns. Office also has other information that I'm trying to merge into the corresponding row of acrendo.
Basically, I am trying to take the combined first name, last name, and date column from a row in acrendo as a single record, look for an exact match in office, and if it finds one, return the corresponding values in Coumns D, E, F back to acrendo. Someone suggested using the following sumproduct formula:
This always returns a value of 0, even if there is data in the matching row to be copied over.
One small complicating matter is that there may be duplicate entries in office (i.e. one row in acrendo may match to four rows in office). I can cleanse that if necessary, or preferably, if multiple matches are found, it would simply insert the additional rows into the acrendo file.
Also, is there a way to go through the acrendo file and check for duplicate records and delete them (e.g. if there is the same last name, first name, and date, delete the duplicates).
Can't do this manually as I have acrendo has almost 18,000 rows and office has almost 10,000 rows.
I am trying to merge data from 2 tables into a master sheet. Column goes like this 1 = customer ID, 2 = allocated number, 3 = age
The first table has around 2000 entries and 2nd table has about 1000, and they both contain some overlapping entries. I wonder if there is a simple way to go around this rather than manually looking at each individual entries as I will be more tables to fit in later on.
I have recently discovered the "data table" tool on Excel and have found it to be extremely useful for sensitivity analysis. The Excel help describes how one can create 1 and 2 variable data tables. Now I would like to create a data table using three variables, however. (I would like to vary three different variables and see what effect they have on one formula.) Is this possible with Excel? Can pivot tables be used this way?
I need to check data from two tables(A and B). They are supposed to match each other and my job is to check if there's error in it. Each row contains several criteria, and all criteria need to be matched. I need to give a report on the info that
1) contains in table A but not in B 2) contains in table B but not in A 3) contains in A and B but some of these criteria do not match..
I have basic knowledge of VBA. Forget to say, they are in different order. And even after sorted, the name may still unmatch with each other, so can not use formular like "=Sheet1!A1=Sheet2!A1"
I don't know if this will require a macro or maybe a function of excel, but I have a large listing about 1000 row in spreadsheet. Each row correspond to a unique customer. But I will have to extract only the customer that I am looking for, which is about 30 of the 1000. The cell A1 is the customer # which will be use as reference, so I have about 30 customer # to pull out from that listing. Which will be the greatest method to do so?
Example: A1 44334 ERIK JOHNSON 60$ A2 34555 KARIM EDWARD 50$ A3 32555 EDWARD CHRIS 65$ A4 55666 STEPH LAWRAW 45$ ... I want to pull 44334 and 55666 the whole row.
I am trying to get the starting point for this new sheet going but I am not able to formulate the required code. I will explain what I want to do
In the attached sheet, I have three tabs
Over 20K Under 20K PartNumList
This is what I want to do...In PartNumList tab if Annual Rev (Col O) is less than 20K then value in Col (A) i.e Part Number should be copied and pasted in Under20K tab... it has to pasted in either B18, B24,B30,B36, if B18 is populated then B24 if that too is populated then B36 and so on..
I want to do that same for Over 20K but if I have a starting point for Under 20K I can work on it offline too..
I need to pull some data from one sheet into another. Here is an example of what I am trying to do if anybody know hows to do this? I need a formula that will look in sheet 1 look at the idnumber, match it with the idnumber in sheet 2 ande fill in the serial.
sheet1 idnumber serial number 12345 66181 12346 66182 12347 66183
sheet2 idnumber serial number 12345 insert serial number here 12346 12347
I want to create a macro that will automatically pull data from the web by simply pressing a macro button. I assume that this would be an easy task if the data is from a website with a specific URL such as [URL]
However, there are times when someone must enter data into the web to pull a specific report that does not have a unique URL. Is there anyway to create data fields in excel that would allow an individual to type in specific information (name, report period, etc.), and then press a macro button that would go out to the web, enter the information automatically, and export it as an excel file. I realize that this is probably substatially more difficult than my first question.