i'm building a spreadsheet where there is a list where users will input work shifts (those shift can be, for example, "M", "N", "T", "Me", "Ne", "Te"). i use two different columns to retrieve (using vlookup) values for M, N, T and Me, Ne, Te shifts. those values are in two different tables (one table for M, N, T shifts and another one for Me, Ne, Te)
for the M, N, T shifts column i use:
VLOOKUP(A1;$values.$A$1:$D$3;IF(WEEKDAY(G3)=1;4;IF(WEEKDAY(G3)=7;3;2)))
for the Me, Ne, Te shifts column i have:
IF(ISNA(VLOOKUP(A1;$values.$A$67:$D$69;IF(WEEKDAY(G3)=1;4;IF(WEEKDAY(G3)=7;3;2));0));0;VLOOKUP(A1;$values.$A$67:$D$69;IF(WEEKDAY(G3)=1;4;IF(WEEKDAY(G3)=7;3;2));0))
this seems to works fine, but only for one shift per day. the problem is that workers may work more than one shift per day. is there a simple way of, in one column, vlooking up the values for every M, N, T shift, every day ignoring any Me, Ne, Te and the opposite in the other column?
I have a spreadsheet with two tables in it. Table 1 contains some data consisting of two columns both populated with data (where 1 = a, 2 = b, 3 = c and so on) and table 2 consists of two columns one column contains data and initially (numbers) column two is blank. Now I need a VLOOKUP that will look at the second column (red letters in the example) in table one, and where the same value (number) appears in table 2 populate the corresponding letter. I do not wish to use filters as the table is extremely large. I have attached an example
I have tried to put together three simple formulas for a very simple problem. I wanted to string together three vlookup formulas which were as follows;
The first lookup would work but as soon as I added another it would result in #n/a. I tried adding the suffix "false" after column no. but that did not work.
On the second lookup I did mix text and numbers e.g the first row in the column had a "G" in it and the rest were numbered 1-10. The second two vlookups were on a seperate sheet but in the same workbook.
I have checked the named ranges and they work fine when done individually but it seems to be the combining which messes things up.
I have a few tables on a worksheet, and to search these tables i am using a VLOOKUP, however i want to be able to search for other than just the one field! but still pull up all of the data. If i were to do the same tables in access i would be able to query all fields and then recieve an output of those that match, is there any way to do this in excel
Note I am only into basic VB. Other question i have is, on a VLOOKUP you only return the one record, is there anyway of searching a table of data and returning all records that hold that value in a specific field, like applying a filter to them. or am i just being extrememly dumb and missing something simple?
Okay, so I have this project for my accounting computer applications class. I'm making it so much arder on myself than what it probably should be. But anyways, this project is a four year plan spreadsheet for the business/accounting division of the school. Inside the spreadsheet is a page that has 15 different tables, representing 5 years with 3 semesters each, fall spring and summer. On the requirements for the major chosen, I would like it to automatically recognize if the class has been placed in the semesters tables and recognize all of the information needed. The only problem is, a single vlookup only allows one table per cell but I need all 15.
I've heard of using the if statement along with these but I've only heard of it being done with a few tables and not 15, and I don't understand how exactly that works anyways.
I am wondering if there is a way of performing Vlookup across several tables? I have tried to create a formula myself based on lookup and nested vlookups, but am getting all tanlged up, especially as I need an If isna formula in there so that if there isn't a result, it displays a 0 rather than a #N/A.
See the attached. I do compeltely understand that it would be so much easier if all the data on the commission worksheet was in a simple 3 column table, but it has to be split as it is creating 3 tables. exactly what formula needs to go in cell D7 on the rates worksheet that I can drag down, which will check for those initials across all 3 tables? (The initials will only appear once on the table on the commission worksheet.
I have a spreadsheet that records the date, specific sporting activities and cash award for participation in a round robin sporting event that was held over 52 weekends. I'm trying to lookup the cash award value of each event the person participated in by using a date range within the vlookup formula.
Each participant has their own spreadsheet which they are able to access via server, and each spreadsheet looks a bit like this:
-Column A contains the date of an event in which the person participated -Column B contains a category number related to the type of event eg marathon = 12, hurdles = 15, relay = 18 etc. This info is manual input -Column C contains the amount the person will be awarded by simply participating in the event. This is a lookup value and varies depending on the date the person participated, so I'm trying to incorporate date ranges and 'if' formulas into the vlookup
I'm from Australia so my dates might be backwards...
Spreadsheet:
A B C 1 02/01/13 15 (supposed to be $10)
The formula should read a bit like this:
if (date at A1 is within date range 1st Jan 2013 and 31st March 2013, lookup B1 in table 1 column 2), if (date at A1 is within 1st Apr 2013 and 30th Jun 2013, lookup B1 in table 2 column 2)...etc for each quarter
i want to compare between these two table based on the condition writen in RED. IF there is a mismatch i want to highlight the values in the first table.
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...
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 Vlookup which I want to modify so that it can become dynamic as the table array part of the vlookup will change.
So the basic vlookup is as follows: =VLOOKUP($R$3,ATTRIBUTION_FACTSET!$M$60:$P$73,2,0) but the data I am looking for wont always be in the range M60:P73.
So I tried to make it dynamic by doing the following: =VLOOKUP($R$3,INDIRECT("ATTRIBUTION_FACTSET"&"!M"&U1&":P"&V1),2,FALSE) The idea being that U1 and V1 would be numbers that can change so in this case U1 would equal 60 and V1 would equal 73
This vlookup is giving me #N/A and no matter how I modify it I cannot get it to work.
I have a sheet using VLookup to find EMail and Web addresses. I can get the address to show up but not as an active URL address. Is it possible to have the address "active" so I can click on it and activate the EMail or Web Site?
I'm trying to do a Vlookup on a file that gets automatically downloaded to the computer from a website. The data is in lots of different data sets, like so:
Loans to countries Mar Apr May Jun
Loans to banks Mar Apr May Jun
Every month a new row of data gets added to each table, meaning the start and end cells of the array also shift each time.
I’m trying to develop a workbook which holds monthly data on loan information. It tracks the interest and balance on the loan. I want the first page to have a table displaying the interest payments for every individual tab. When I was brainstorming the idea, I was considering a sort of Vlookup function to find the tab the account is on and then a further function, possibly another vlookup which connects the month to that month’s interest payment. Can anyone help me figure this out?
The attached spreadsheet is obviously simplified, there are well over 30 tabs. But I would like it to, ideally, search the account number column, search the workbook for that account number, and then when on that page use the month at the top of the first page and retrieve the interest payment and put it back in the cell. It’d also be great if the formula can be transferred between workbooks. I’m not sure if that makes sense; basically if I were to copy that worksheet into the next months book, I would like that the formula read those tabs instead of becoming obsolete due to references from the first workbook.
I have data in a pivottable which I want to compare with another table. The lastcolumn+1 of the pivottable needs to get data from another table. I have this for an example:
I have a spreadsheet (Need Data.xls) that needs to be filled out with a couple columns of data.
This data lays within 338 spreadsheets which have many items and may only have 2, or 3, or 50 that belong on my Need Data.xls spreadsheet.
I have a tab in Need Data.xls named "DIR" which has a list of 336 excel files that need to vlookup'd into.(not a separate file) They're all setup with this format:
I am trying to merge two different databases in the next week. The problem I am running into is the name from 1 database isn't always the same on the other database.
I want to merge Database 1 with Database 2 and create a relationship with them both by using the database 2 internal #. As you can see in my table database 1 has similar names to database 2 but they are not exact. I want to match these names and have the formula on match tell me what the database 2 internal # is. I have also uploaded a sample excel doc with a note in B2.
database1 Herb Chambers Ford of Braintree Herb Chambers Honda of Seekonk Dimmitt St. Petersburg Database 2 matched internal # Database 2 Herb Chambers Ford of Braintree (Dave Dinger Ford) Herb Chambers Honda Of Seekonk (7-FI) Dew Cadillac (Dimmitt of St. Petersburg) Database 2 internal # 15360 15301 25413
I have one .xls file that contains an inventory list of all the products that I want.
Unfortunately this .xls file does not contain the prices for these items. I have another .xls file that contains SKU numbers and the prices related to those SKU numbers.
Is there a way to run every single SKU in the first file against the second file and, when a match is found, take the entry in the price column of the second file and place it in the first file so that my first .xls file contains all my products with prices?
- Table 1 has ~1,600 records (name of game, meta score, user score) - Table 2 has ~3,000 records (name of game, genre, publisher)
I want:
- Table X has ~1,600 records (name of game, meta score, user score, genre, publisher)
Basically, I want to take the genre and publish columns from Table 2, and add it to Table 1. However, I want to ignore the extra ~1,400 games that Table 2 has.
I'm nearly a complete noob when it comes to excel. Noob to the point where I don't even know what this thing is called, so I don't even know how to search for it properly! I know something can be done since there is a common column between the two (name of game).
Edit: Also, I think it'd be easier if I were able to attach my excel spreadsheets but I don't even know how to do that
I have a table with dates that have bonuses associated with them, some times the bonues change, so i have another table with the date the bonus is effective and then the range of bonuses based on the sales of the month....
Code: ________________________________________________________________________ points from / points to / note defined / points pupil got / his note ------------------------------------------------------------------------------------------------------------------------------ 0 10 4 33 # 11 20 3 16 # 21 30 2 25 # 31 40 1 07 # -------------------------------------------------------------------------------------------------------------------------------
Column 5 (his note) must be calculated looking at value on column 4 (points pupil got) and finding it on the intervals given by columns 1 and 2 (points from/to), and finally ascribing the value from column 3 (note defined).
I have a worksheet with data in named tables on several sheets. Each of these tables has a column called "filter" (this is not always the same column number between sheets). The values in this column are either 0 or 1, depending on if that particular row is relevant under the book's current selections.
I'm trying to figure out the code that will take a table and filter it to show only the rows which have a 1 under the "filter" column.
I have validation tables in a few cells. I've unlocked them and password protected the sheet so that they couldn't be changed other than what is in the list.
What's happening is that the list is there, but the cell is also allowing an entry that is not in the drop down.
How can I protect the cell to only allow the validation list?
i entered an item (ie, Aircard5740, cost = $99.99). This specific item must be compared from the 1st table (type of phone) with 7 different columns where does it fall the same. Once found, another item will be entered, (ie, America's Choice 450, cost = $59.99) and again will be compared to the 2nd table (commission) with 7 different columns, (while still based from the 1st item), and from this 2nd table, there's the commission amount be taken. what formula can i type to get the commission from the 2nd table?
I have 2 tables in excel that i need to merge into one, Table 1 has 10 colmns and Table 2 has 7. Both tables have as column 1 a heading of Material, this is the column i need to compare as table 1 does not contain a material description field, but table 2 does, the bold headings are the key ones, but other column information is required. I have attached a sample ss to show what i am trying to do.
Table 1 Col Headings Material MTyp MS R Clt L/O Created on Created by