I have a sheet with a list of cost values and I need to be able to total each set. Each set begins with the word "COST" and ends with empty cells. Some sets have no values, just the word "COST"
There are currently about 500 cost sets, from row 1 thru row 2194.
Here is an example of what Id like to accomplish:
Because I have about 50 columns, I don't want to use Text to Columns. Is there a formula or macro I could use? It doesn't have to be as clean like I layed it out (in regards to the column title) but I just to really separate the two numbers into two cells.
I have column of cells containing entries such as V1, V3 and V7. I'm trying (and failing) to come up with a formula to separate the numbers from the letters and add them together: V1, V3 and V7 would together give 11.
I can use the MID worksheet function to separate my numbers from my letters on a row-by-row basis, but I can't work out how to do the whole thing in one fell swoop. =SUM(MID(A1:A10,2,2)) doesn't work, for example.
I have the following syntax in B1: "1,2,3,5,6". and I need VBA to take the very last number out of that list, and increase by four in single steps. For example: before the code: "1,2,3,5,6" and then after it "1,2,3,5,6,7,8,9." The code must be flexible, though, because it will be running within another Macro, and it must work whether the last number in the list is 1 digit ("...4,5,8"), 2 digit ("...34,35,36") or 3 digit ("...111, 113, 114"). Those three examples would be changed into "...4,5,8, 9, 10, 11" "...34,35,36, 37, 38, 39" "...111, 113, 114, 115, 116, 117".
Need Macro (code) to copy specific cells from a sheet into a new sheet in a desired format. I have an excel file which has data set in 20 rows. Each row has multiple fields. At the end of each data set there is a blank row. I want to capture specific data fields for each data set (e.g. Name, Bank no. etc) and put it into the respective heading. This process needs to be repeated for all the data sets.
A sample sheet is attached for better explanation. Sheet 1 has the raw data and sheet 2 has the required output. The no. of data sets shows in sheet 1 is just a sample. In actual it would be a large no. of such data sets.
Is there a function that will count a column of numbers where that will eliminate counting empty cells based on a certain date that will also capture any numbers that is added after refreshing the table from Access? I have attached a spreadsheet for an example. I need to count on the number in column V that equals 13 for the date of 12/22/09.
i have a list of customer codes each seperated by a space. In the column next to them i have a percentage. (see attached file before tab). I would like to be able to split the cell of customer codes and transpose them so that there is one cell per customer code with the appropriate % applied (please see attached file after example tab).
At the minute a manual process is completed of sorting in length order, using the text to column function then copy paste and transpose, then copy the % in. Its quite manual process, is there an easier way?
For example the cell contains 1,M2,M7,M1,M8:2,M15,M9,M4,M5:3,M3,M6,M14,M11,M12:4,M10,M13 and I need to create M1, M2 , M3 ..etc columns and attach the coresponding number to each one of them. For instance M2,M7,M1,M8will get 1 and so forth and so on. I was acutally thinking using the Notepad to replace the , with a TAB space and paste them back in to my data set and create some IF statements. On the other hand running VBA scrip would make it even easier. However I would preffer to use a function (that I am not 100% familiar with) and leave the VBA scrip out of the question for the moment.
I have a listbox populated with a number followed by description. How do I write code to extract the number and description to different cells. Listbox example: "1234ES - Project Description". Now I want "1234ES" in one cell and "Project Description" in cell left of number.
I have a column with Cells that will sat True or False, the amount of rows will be different every time, I need to work out what the total percentage of True cells compared to the total number of cells. How would this be achieved.
I have pricelists tables with 300 and more rows and about 50 columns. Three letter codes in first column cells are in strings separated by separator (,), I need to split this strings so that each three letter code would be in its own cell in first column, at same time all other cells in same row as original string data should be copied to rows near appropriate 3 letter codes. In attached xls file I have made small example how data looks before and how it should look after applying macro. Table should not move to other place on worksheet or on new worksheet, in attached example I moved it just to show what kind of form result should have.
to run a macro that enters a new row after each set of currencies (which have been sorted). I now need to enter a total balance cell within this empty row which calculates the total amount for each currency.
I need to do this using the SUMIF function below: SUMIF($J$3:$J$300,"L/C",$I$3:$I$300)-SUMIF($J$3:$J$300,"L/D",$I$3:$I$300)
the above basically lets me calculate the total but as no - and + signs were input it does this by recognising the 'dr' and 'cr' in the column next to the amount.
I have a sheet composed of daily sales. Within this sheet I have averages and totals automatically calculated for each week. I would like to set up a cell that keeps a running total of sales for the entire year as they are entered. I can set up the formulas for each week grouping and they work fine, but I can't seem to get it right for the entire sheet. Here are the formulas:
=sum(b2:g27) =sum(j2:o27)
These formulas work fine by themselves, but when trying to write one formula to calculate the total for both cell ranges I keep getting errors. I just want one formula to calculate the running annual sales as they are entered. I know I'm missing something simple here, but I don't know what it is.
My balance column is formulated for 60 rows. I am currently on row 23. The balance is repeated down the entire sheet range I have set. How do I keep the balance from showing next to an empty row without losing the formula?
The spreadsheet I am working in has $ which I need to total. The information, or rows, can vary from day to day so there is no static place to have a cell with an @sum. Management wants me to add a pretty line that says
'Total' in one cell and the $ next to it. I have about 30 sheets with columns to total. Yuck, takes forever.
How do all of you total if you don't know the last row? At the top?
I thought it might work to put an @Sum in the last row of the spreadsheet, in the column
I need to total, and having a VB code to delete empty rows. That would be automatic.
I receive a large spread sheet weekly, one or the column contains comma separated values (CSV), I need to separate those values 1 per cell. Maximum CSV is 5; I would need to get the output to 5 cells next to them, Example,
1) 4 values contains in each row based on the values from those cells the max value will display.
2) if more than 2 cells have empty,NR or NA text means the entire row has to delete.
3) if 2 or more that means 3 cells having values the empty cell,NR or NA cell will place value with the condition of macro that is 75% of other values which is maximum among them.
I am trying to determine the total hours of downtime accumulated when there are 2 or more machines down during the same time period. To do this, I need to be able to determine if at any point there are 2 or more pieces of equipment down at the same time, and if this is true, how many hours were overlapped. The attached spreadsheet shows how the data is presented.
I have a long range of cells (U3:AX3), all of which are empty save one. Is there a way to search through the range of cells, and return the contents of the one cell that contains text?
I would do this with a series of nested IF statements if there weren't more than 30 of them!
Is it possible to make a cell "really" blank/empty based on an If statement? For instance:
=if(a1>10,a1,"")
Has a value_if_false of "". But Excel interprets this a bit differently than a cell that never had anything typed into it.
So if you have a column full of this formula copied down, and hit <control+down arrow>, you will go straight to the bottom and skip over all rows. Whereas if you have a column with values and empty cells alternating and hit <control+down arrow>, you will only skip the empty cells and go to the next value. Excel treats the conditionally empty cells as if they have a value, when it comes to this type of navigation. This holds even if you copy and paste "Values" for the cells over the formulas.
Is there any way to tell Excel to make the cells truly empty?
How I can look up non empty cells as shown in the below tables by use of a formula (I guess shifting data to the left without any empty cells between the data)?