Formula Look That Pulls/puts The Right Number In E19 And F19 Respectively
Jul 23, 2009How would the formula look that pulls/puts the right number in E19 and F19 respectively, taking input from the list above?
View 2 RepliesHow would the formula look that pulls/puts the right number in E19 and F19 respectively, taking input from the list above?
View 2 RepliesColumn A = persons name
Column B = number of hours
Column C = trade
Column D = shift (as in day, night or weekend)
Column E = I would like the formula that looks at the trade and time and then puts the correct rate.
I have a little table on the site with trades/times and rates. IF and IF THEN do something
I took a screenshot to show: [URL] ..........
I did post a problem where I have a number like 123456 and I need to have Excel change it so that it puts a comma before the last two digits .. like so: 1234,56
I got a reply where I got the solution to use 0","00 and this works in Excel (using the custom format)
The only problem is that although the number changes in the cell to 1234,56 it doesn´t do so in the FX window and thus when I use the number to multiply it is actually 123456 instead of 1234,56 like it want it to be.
see the attached spreadsheet including the data. In Column AA I have created a formula that looks at Column B, and pulls each unique value from that column. add to this formula, or propose a new one, that pulls unique values into column AA if at least one of the rows has an "Actual Finalization Date" in column D that is in 2014?
View 1 Replies View RelatedI have a macro that takes the column of data from D on Sheet 1, pastes it into A on Sheet 3, gets rid of duplicates and then, in B1, combines all the numbers from A into a comma-separated string. The only problem is that it puts a comma at the beginning of the string. Is there something I can do to make that first comma not be there?
View 5 Replies View Relatedsee the below link...
http://www.mrexcel.com/forum/showthread.php?t=350701. So far this is the closest I got, but it only pulls the values for 01 Nov. =NDEX(NS_Tally!W1082:W1360,MATCH($J$32,NS_Tally!V1082:V1360,0))
I've got a working macro that pulls a Userform. Everything works correctly but I'd like to have the form displayed on the far right instead of center screen. I've tried all the options on the form properties list to no avail.
Private Sub Workbook_Open()
ActiveWindow.WindowState = xlMaximized
Worksheets(1).Select
Range("A1").Select
UserForm_1.Show
End Sub
I am trying to create a spreadsheet for all the different Myers Briggs personality types. I want to pull down on a menu say ISFJ and in the next column will produce how to communicate to a person who has an ISFJ personality.
View 9 Replies View RelatedI am trying to put together multiple userforms that perform separate tasks. I have been using code found on this forum, and it's helped out a lot, but i'm still having trouble on one of the userforms. the one that i'm having the biggest trouble with called frmEditData. What it is designed to do is pull data from different fields and display them in the textboxes on the different sheets. then, the user has the option of updating those tabs and saving the changes. For the life of me, i cannot get the data to change. it always reverts back to the original information in the cells.
i have to say again that I don't really know how to read the code too well just yet, and i've been copying code that appears to work on other sheets, but it might not necessarily work here. I have attached a rough copy of what i've been working on.
Is it possible to get Vlookup to pull the format of text across to the new cell?
For example, if the source data is bold, can you get it to show up as bold in the new cell? Or worse, if there are multiple formats in the original cell (like some text is bold, some is red font etc.) can that be pulled across through Vlookup?
I am trying to create a drop down box that pulls its selection from another sheet in the workbook and I'm not sure how to go about doing it. I figure VBA must have some way of doing it but I am not sure how the coding would go. I've attached a very basic example of what I am trying to accomplish.
Drop Down Box Ex..xlsm
I have a VBScript that pulls SNMP data from some devices. It uses two external EXE's called "SNMPGET.EXE" & "SNMPWALK.EXE". When the script runs, it pulls specific information from our SNMP devices (in this case, I am pulling temperature values from Netboz Devices). The script looks like this :
View 2 Replies View Relatedi have created a Vlookup that pulls data from another work sheet, it all works fine apart from this one thing....
On a work sheet i have a lot of hyperlinks that work fine, but as soon as they get pulled over using a Vlookup, the name of the hyperlink comes accross for example "link 1" but you can not click on it to take you to the link like you can on the original one.
I have a crosstab query in Access that groups by month and year. In Excel 2003, I have a query that pulls in the crosstab query.
At the time, I couldn't just pull in the Access table. For the other Access tables and queries, I could go to Data >> Import External Data >> Import Data >> select the database as a source >> select the table name.
However, to get the crosstab query, I had to go to Data >> Import External Data >> New Database Query >> MS Access Data Source* >> browse to my database >> select the crosstab query name >> select the data I wanted.
Since I wanted all the data, there did not seem to be a difference. But now that new dates are being added to the database, there *is* a problem. When I wrote the query, I only included the months available -- up to June 08. Now that there is data in July 08, that month exists as a heading in the crosstab, but Excel's query doesn't know to pull it! I have to manually edit the query to add the new month.
So my question is... is there a way to do this automatically? I have two crosstabs in five different spreadsheets, making a total of ten manual updates I have to remember to do each month.
I'm creating a master spreadsheet and I want it to pull live data from other spreadsheets depending on a variable.
I've a cell that has a variable date. I've files saved that have this variable attached to it in the name format: 'filename variable'.
I want to pull data, hopefully live, from workbooks based on this variable.
For example, I have files: generic 01212014, generic 01222014, generic 01232014.
The date is stored in the master workbook say in A1 that I can manipulate by entering a different date to pull data from a different workbook.
='[generic 01212014.xlsm]Database'!$L$3
='[generic 01222014.xlsm]Database'!$L$3
='[generic 01232014.xlsm]Database'!$L$3
There has to be away to make the bolded portions of the file name variable, right?
I am having problems with the function vlookup. I attached an excel file of my problem. It seems to pull the correct lookup, then it pulls the wrong data until a correct one occurs. My excel attachment should make more since of my problem. It will also pull data that is invalid. For example, the name "S5" is not a in my original data so it should not be able to find that?? Sorry, this is hard to explain - let me know if the file is not clear enough.
View 3 Replies View RelatedI need to create a new query that pulls data from a 2007 Access database into Excel 2007. When I invoke the 'From Microsoft Query' option after 'Data/From Other Sources', and then select 'MS Access Database*', the only file type presented is '*.mdb' . However, I need to pull from an '*.accdb' file type. I have both Office 2003 and Office 2007 installed.
View 8 Replies View RelatedI have a script that pulls my stock prices every minute and update an excel page I've created...basically an excel stock portfolio...the problem I'm running into is when a stock is unchanged...instead of being $0.00 it returns "unch"...as you can imagine this throws my calculations into chaos...I have the following formula but it doesn't seem to be working =IF(J18<0,R18*J18,(IF(J18>0,R18*J18,0)))
Basically J18 is the returned change in stock price...R18 is the number of shares held...how can I get it to view "unch" as $0.00?
New user with basic knowledge faced with a multi-part challenge.
I have a list of 10 items (multiple words) in a drop down
Based on what is selected in the drop-down, I am trying to figure out the best way for it to pull the corresponding text paragraph. This would then be concatenated with a numerical value inputed b the user in another cell. The final output would be displayed in a final cell.
I have figured out how to concatenate between one cell and the other cell with the paragraph but I am at a loss for how to make it more dynamic in the sense that the drop down selection drives the paragraph being selected and then taking the value in cell A1 to concatenate within that paragraph and outputting the final text to be copied out from excel.
I tried looking at posts for dependent data verification and I felt like I was on the right track but hit a wall.
Excel 2003
Our spreadsheet pulls values from a column when a month is inserted in a certain cell:
OCT is typed in B2 and in the column below it, from B10 down to B286, data (numbers) are pulled from the October column K10 through K286 using =IF($B$2="Oct",K10,IF(and so on for each month). IF Nov is typed in B2 then the same happens except data is pulled from the November column, L. The monthly columns from K through V are tied to and updated
from other sheets. As you can see the problem is that nested functions allow only 7 and I need 12, one for each month. I have looked at the VLOOPUP and the HLOOKUP but our data is not set up that way (tables) since they need to be exact numbers pulled from the monthly columns that are tied to other sheets.
OCT (B2)
OCT NOV DEC
Complaint 3 (B10) 3
6
Inspection 10 (B11)
10 2
NOV 11 (etc)
11 5
Door Notice 1 and
so on
Recheck 32
Citation 2
Work Order0
Demolition 0
I need a formula for the highlighted yellow area that pulls and sums from a reference table. Not a traditional Vlookup because the reference within the report can appear in multiple columns within multiple rows.
ReportABCDEF1AccountJanFebMarApr2Overtime(L7)Overtime300 300 300 300 3
Salaries(L8)Salaries1,170 1,170 1,170 1,170
Expected ResultsReference PageABCDEF1
Account 1Account 2JanFebMarApr2
Additional PayOvertime(L7)1251251251253
Additional PayOvertime(L7)1751751751754
Salaries(L8)Ex Staff2252252252255Salaries(L8)
Ex Staff3253253253256Salaries(L8)Ex Staff4104104104107Salaries(L8)
NE Saff1101101101108Salaries(L8)NE Saff100100100100
I've got this code that pulls data from multiple files into one table. the file name is in the top row, and each file's title, and two different sums display below that. Then it is supposed to loop through and display each task and the start and end date for that task within each file. After that the first loop brings it to the next column and file. The primary loop works fine, but the inner loop only seems to run once, as I get only the first result for each file. All I can figure is that maybe my row numbers aren't resetting like they're supposed to, or I'm completely overlooking something, which is likely, as VBA is by no means my forte.
Sub Worksheet_Calculate()
Dim sBook As String
On Error Resume Next
Application.EnableEvents = False
Col = 8
' Sets start column
Do
sBook = Cells(2, Col)
' References file name
TaskRow = 6 ........................
The weather data I receive from a web query pulls data in oddly. For example, some days it pulls the weather for today into cell A1, and the forecasts for the following 3 days are in A4, A9, then A19. The cells in between are blank, and the problem is that it pulls it in randomly otherwise I could just have the cells reference it (ex. some days it pulls it into A2, A8, etc) What I need to do is arrange it, in order, without the blank rows, but I want to do this without deleting the rows.
View 4 Replies View RelatedI have an Excel spreadsheet with a query to an Access table. The query pulls data from 2 columns in a table and pastes it to the spreadsheet. I am trying to update the VBA a little on one sheet and now I get the attached error whenever the code tries to run in Excel. Here is the code with the offending portion separated at the top.
View 2 Replies View RelatedI need a formula that will calucalte the monthly total based on the following conditions:
Col A = Yearly Cost
Col B = The number of the month when the costs are starting (1=Jan etc)
Col C = The duration or the number of months for which the costs are to spread
Col D is Year 2013 with the months across columns D-O. Row 1 above those columns shows the month's corresponding number.
Right now I have =IF($B3<=D$1,$A3/$C3,0) however if my start month is 1 and my duration is 5, I need the costs to stop after May. I've attached a sample file. Calculate based on start month and duration.xlsx
I'm making a Excel 2013 spreadsheet that has formula in a column that auto enters a number 1-40 when something is entered to the left of that cell. There are 300 rows in the spreadsheet. I would like to make a drop down list in a column cell to the right that would delete that number in that cell from the drop down list. For example cell C1 has 39, that 39 then is deleted from the drop down list. C2 has 22 in it, click on the drop down list cell and it shows 1-40 less 39 and 22.
View 11 Replies View RelatedDesignated Cell = 7
1 10 .034
15 25 .072
35 45 .089
Output Cell = ???
I am trying to find a formula for the output cell. Suppose the designated cell = 7 due to formulas above it. So that number is always given but can change. I then need a formula for the ouput cell that says if the designated cell is greater than or equal to 1, and less than 10, then the output cell should equal .034. So suppose the designated cell = 18.2. Then I would want the output cell to be .072 since it is greater than or equal to 15, and less than 25. The template I am using has 23 rows of numbers like above. I didn't know how to do it for 23 rows though. If/Then doesn't work because it is 23 statements long (well over the seven limit) and the vlookup only works when the cell is equal to a number and not a range.
I have a two identical worksheets in the same workbook with two tabs (Search, Database). The Search worksheet contains a search engine at the top which searches by column, and pulls rows from the Database tab, which match the search queries. However, the rows that are pulled up in the Search tab cannot be edited as they are all MATCH formulas. Only the rows in the Database worksheet can be edited.
This can be quite problematic if I am searching a row to edit it. Although the search engine is convenient enough and faster than filtering (as I have over 20 columns), when the row comes up, I cannot edit it. I have to go to the Database sheet and filter through until I find that row, and THEN edit it. What I require is that when I search for something and the matching rows get pulled up, I want to be able to click a button which will take me to those rows in the Database sheet.
I'm trying to use the formula vlookup, but running into trouble. I'd like to use =VLOOKUP(3000&A1,E:F,2,0) but this isn't working correctly because it doesn't recognize "3000&A1" as a number? Is there a way to do this? This will be used in a VBA code, so I prefer the solution in VBA, but either way is fine. See attached for more info.
View 4 Replies View RelatedIs it possible to write a formula that skips x number of cells and have the formula autoincrement as usual. For an examples lets say I want to skip 3 cells and I have entered in the cells listed:
A1= "1"
A2= "2"
A3= "3"
Then I type in the simple formula in the cell
B1= "=A1"
and then drag down but it skips 3 cells so then
B5= "=A2"
B9= "=A3"
If it didn't skip then
B1= "=A1"
B2= "=A2"
B3= "=A3"
this is just an example as I will be writing more complex formulas and need some thing that I can write into the formula so that it skips.
Something similar to this B1 "=A1(skip3cells)"