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Excel VBA Course
[80% Discount] Excel VBA Course - From Beginner to Expert

200+ Video Lessons
50+ Hours of Video
200+ Excel Guides

Become a master of VBA and Macros in Excel and learn how to automate all of your tasks in Excel with this online course. (No VBA experience required.)

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Resource (staff) Supply And Demand

We are embarking on a large program of project work that has 15 separate streams of activity. We need an excel based supply and demand model to assist with resource management. Can anyone supply a model for me to use? (example attached that does not give me the over arching view that I am looking for)


Excel VBA Course
Excel VBA Course - From Beginner to Expert

200+ Video Lessons 50+ Hours of Instruction 200+ Excel Guides

Become a master of VBA and Macros in Excel and learn how to automate all of your tasks in Excel with this online course. (No VBA experience required.)

(80% Discount Ends Soon!)

View Course




Similar Topics







Hi Excel experts,
I am working on a worksheet, and would like to have an entire row transferred to another worksheet based upon a certain cell's value.

Having searched through the many solved threads on this site, I attempted to customize some of the code to my worksheet. Not being proficient in Macro/VBA, I failed. I figured I would ask for help, and see if anyone can provide what I am looking for.

Basically, I am attempting to construct a "work in process" file, and would like all completed work to be deleted from the work in process sheet, and transferred to a sheet that contains a running list of all work completed.

Attached is an example of what I am working on. I would like Column Q (Status) to determine if a row can be moved to a sheet that contains the list of all work completed, and eliminated from the original sheet. Once Status is updated to "Complete", it would be helpful to be able to run a macro/click a button that would perform the transfer.

Can anyone assist?

Thanks!


Newbie here and I don't know where to start... I'm trying to set up a macro to when data is pasted to a TEMPLATE worksheet tab it will automatically copy and paste data to another sheet based on the month value.
For example:
If data contains 06/01/2011 in cell A1, then data needs to be pasted to "Jun" worksheet within the same workbook.

Can someone assist or can give some direction? Thank you


Arcangelo from Italy asks: How can I write an Excel VBA macro to save the current Excel file with a filename derived from cell A1?
This macro is amazingly straight-forward:

Public Sub SaveAsA1()
ThisFile = Range("A1").Value
ActiveWorkbook.SaveAs Filename:=ThisFile
End Sub
I'm totally lost on this "amazingly straight-forward" macro!!!! Could someone help if I tell you the SAVE location? It's T:\COMMISSIONING\IJT\TIMELOG project\Staff#1. I'm just not certain what value I'm replacing in the Macro above.

Any help appreciated..



I have a problem sometimes. I will click on a cell to add information.
The cell turns blue and then wherever I move, it highlights those to.
No matter where I go on the page. If I Alt-Tab and work in another
program on my computer, that excel page keeps highlighting wherever
I move even in those other programs (I know this sounds confusing).
When I return to excel thousands and thousands of cells are blue.


The biggest problem is that the highlighting won't turn off, no matter
what. I can't select anything from the tool bars, do any work on the sheet or close the program.
I can close it only with the task manager but when I open it again,
the cursor is still stuck in the highlighting mode and won't perform any
other functions.

Do you think this is a problem with my computer, the excel program? I have changed my mouse and this didn't help.
Is there some shortcut to turn off this highlight feature other than restarting
my computer. Which is the only current way I can get rid of it.

Thanks for any advice,


A previous poster explained what I also need; there were no responses,
so I thought I would try again.

Does anyone know of an Excel template--or a small stand-alone
program--that will calculate the interest/principal breakdown when
payments are varied in amount and frequency? Free or low-cost, please.
I need one that will work on my Mac/Office 2004. I will need to print
out periodic reports.

Here is the way the previous poster described it:
"Excel template: Loan Amortization for random/irregular payments,
figures days
between payment dates.
I have a loan with a variable beginning balance and irregular payments
with
annual large payment. (based on collections)
Would like to enter payment and date.
then Excel would figure days since last payment, interest amount,
principal
amount, Ending Principal balance.
And total interest paid, total pricipal paid
If I change the starting principal, excel would recalculate all
entries."

Thanks very much.




Very new in this board. If I post this question in the wrong forum please bear with me.
There is about 20 staffs in our department and I have made a spreadsheet with 12 tabs for each month of the year Jan-Dec. If each staff have 15 days annual leave each year and how can I make a formular that can automatically calculate the balance of annual leave and entered in the tabs of the following months. For example if staff A used 5 days in Jan how can the balance of 10days be entered in the tabs from Feb-Dec. If he use another 5 days in July the remain balance of 5 days be automatically entered in the tab from Aug to Dec. Likewise if staff A took 2 days sick leave in Jan, and 2 days in Mar how can this sick days be automatically sum up in the months after. I am doing this manually at the moment and it is very time consuming and also very easy to make mistake.
Thanks and sorry for this long questions


I have a large spreadsheet in Excel 2007. I am converting it to a .csv file to import in to another program. I need to delete all commas from all data.

When I try to replace all commas (with nothing or with another character), I get the error message "The formula you typed contains an error."

I have tried various formats (text, general, etc.) and various file types (.xls,.xlsx, .csv) and still get the same error.


I have a spreadsheet with simple (addition/subtraction) formulas. The file is quite large and the formulas are too. All of a sudden, the formulas stopped working except when I double click in the cell containing the actual formula. For example, if I enter "2" in each cell, A2 and B2, cell B3 should reflect "4" because there is a formula in cell B3 which totals cells A2 and B2. Only by double clicking on cell B3 will the program actually calculate. I'm totally perplexed and so is my IT contact. Anyone?


I have attached a schedule for shift allowance calculation. The conditions for payment are as follows:

3 & 4 shifts = 15% Basic
2 shifts = 10% Basic
If on leave for 21 working days or more, no shift allowance
If on leave for less than 21 working days and on 3 or 4 shifts, shift allowance prorated as (Basic*15%)/21*(diff. btw 21 and no of days leave observed)

If on leave for less than 21 working days and on 2 shifts, shift allowance prorated as (Basic*10%)/21*(diff. btw 21 and no of days leave observed)


The formular I used in the attached worked but the only problem is that I had to sort by no. of shifts and adjust the formular first. I need A formular that does not require sorting. I tried to combine IF, AND, OR formulae but I got error. Please assist me sort this out. Thanks a bunch.


I have a Workbook with 2 sheets, the first one is the data entry and the second one contains all the calculations and confidential info.
I have one staff member that does the data entry but I don't want them to see the 2nd sheet. I know I can hide the sheet then protect the entire workbook which does work, but is there an easier way so that the second person doesn't have to keep hiding/unhiding the 2nd sheet?
It would be perfect if when you tried to click on Sheet2, it asked for a password.
Cheers
Jase




I am creating a basic accounting spreadsheet and I ask for assistance to automate data entry posts. I would like to have entries that are entered in the general journal automatically post to the corresponding ledger accounts. The entries need to remain in chronological order. Relative cell referencing will not work because the rows in the ledgers will not correlate to the rows in the journal because the journal but the entries in the ledger need to input on the next available row in that ledger account. Additionally, as the number of entries increase, can the ledger accounts add a new row?

Attached is a very simple example with three transactions. I have included an end state view in the ledger accounts tab.

Hi,

I am looking to change how an active cell is viewed. For instance when you are looking at your spreadsheet you can see the active cell has a thin black border around it. I would like to change the border to a thicker one and change the color to blue or red. I am trying to make it easier to the eye so when you are working on a large spreadsheet it is immediatly apparent where you are to avoid squinting.

If anyone can help me please let me know.

I'm trying to separate bars inside a bar chart into separate groups. Adjust the gap applies to all bars. How will I be able to achieve what I need? Please help and thanks


Hi folks,

Hoping someone can help me quickly as I'm pulling my hair out and have a deadline getting too close.

Been trailing the net and this board but can't work out how to do a simple variance.

How do I work out the difference between two numbers - including negatives.

If the numbers are all positive, it's fine as it's simply a case of A - B = C which is your difference. However, that doesn't work if B is negative.

I need a formula that would give the following:

First Number / Second Number / Difference
1 / 5 / 4
1 / -5 / -6
-1 / 5 / 6
-1 / -5 / -4
-5 / -1 / 4

Hopefully there's a simple function I've been missing.

Thanks in advance, R


If you change Excel to Full Screen View and your taskbar is always on top (as
it normally is), the bottom of the spreadsheet is hidden behind the taskbar.
Does anyone know how to get around this without hiding the taskbar? I have
found that if I drag the taskbar to the bottom and then back up again, the
Excel window resizes itself correctly and the bottom of the spreadsheet is
visible again. Problem is, I want to do this from VBA! Can anyone help
please???



I have a textbox in my userform where anything typed in the box is entered into cell A2 in my worksheet. However, multiple lines of text are not properly displayed in my worksheet. I have enabled MultiLine and EnterKeyBehaviour in the properties window of the textbox so I can type multiple lines in my textbox. The problem is that when I press the button to enter the text from my txtbox to cell A2, the cell doesn't actually display the text in separate lines. It just places a square symbol in the place that enter should have been pressed and the text should have been split into separate lines.

How can I get the separate lines of text in my textbox to be properly displayed in a cell? Thanks for your help in advance..


I recently moved into a new office and I am using a brand new computer on our network. When trying to edit an existing file, I'm not able to select a single cell and type. After clicking on a cell, if I move the mouse at all (even without pressing the left button) it just continues highlighting cells no matter where I move the mouse. I am also not able to click on the tool bars at all. I have to actually Ctrl-Alt_del to get out of the program. I'm sure this is something simple, but I don't know that much about this program. Any help would be greatly appreciated.


We have a large (4,000+ rows) excel worksheet from a prior employee that I
would like to be able to use, but it is password protected and no one has the
password. Is there a way to copy or save it as a different file that will
not copy the password protection? It would save me a couple days of work if
it is possible.
Thanks



Hello,

Firstly i haven't used excel to a great extent since my college days. So i'm having to re-learn 99.9% of everything i once new...

I am volunteering for a non profit organization and trying to create a reservation system for the rooms that they have - kind of like hotel software, but in excel (i did a similiar thing in college but for plane seats)

Please find it attached.

What i need it to do:

Copy all of the info from the main page to the guest lit (a new row each time).

From the guest list to the Gannt chart - i did a few tutorials on dynamic gantt charts using conditional formatting but cannot get them to work when based on data on a different worksheet.

Finaly is there a way to check for availabilty on any given date?

if just someone could point me in the right direction, i would be appreciate it so much words can't express!!!

Best Regards,

Jamie

P.S for the calender drop down on the main page, i'm using 'microsoft time & date picker 6.0)

http://www.2shared.com/file/6521961/...ibsV05b32.html - pop ups on this site

http://www.easy-share.com/1906519167/RibsV0.5b3.2.xlsm - same file, better website

I have searched and read all the help files. I find the properties of
an object, I see how I can "lock", "size and move with cells" or "not
move with cells". No matter what I select, the object moves off the
screen, when the user, scrolls to the right of the spreadsheet.

Is there a way to lock the position, let's say , in the upper right
corner and have it stay there?

This would be quite useful for an EXIT button, that I have created,
that will close the program without saving (it's a read-only file.)

Thanks to all the wonderful people here that have been so helpful and
give us their valuable insight and time.

Jo