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[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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Salary Bracket Returns Employees Corresponding Contribution For Philhealth



Hi everyone! i've got a pretty mindboggling task ahead of me and i want to ask for your help.


I have this table which has employees names with basic pay and contribution.
I was tasked to create a excel sheet where in if the employees basic pay is input, the corresponding contribution for the employee will show depending on which salary bracket he/she is on.

Im not allowed to know what my workmates salaries are since im just an associate, so i just have to leave em blank and wait for my manager to input their salary.

please help me. im running out of ideas. please see attached file for the workbook

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!)

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Dear All,
I have around 250 Employees Payroll and i am preparing the Payslip in Excell manully. I have all the Salary details in Sheet1 and in Sheet2 is Payslip. I request all of you to please help me so that i can take the printout of all the employees in sheet1 by at a time. Now im entering one by one employees code and then taking the prinout..
Please provide me with any Formulas as micros are disable in my Computer.....

Waiting for an early reply.......


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'm trying to come up with a solution to calculate the man hours and days worked over multiple sheets.

I have a file that has 8 sheets. the first seven sheets are the days of the week and the 8th sheet is where I want to calculate the hours.

The days of the week consists of "Name" "Date" Hours"

The 8th sheet consists of "Name", "Days of the week in their own column (7 columns in total)", "Total Hours" and "Total Days Worked"

Now... each day is always a different group and what I'm hoping for is to create a formula that can grab each name with their hours and throw them into the 8th sheet. So when the end of the week is done I have all the Employees weekly hours and days worked all finished.

I hope this makes sense. This file is to track about 100 employees that are on a rotational work schedule.

I have attached a sample file.

Thanks in advance for your help.


Hello everyone.

This is marc, i have one doubt in my mind. that was how to create automated attendance sheet with login name. i.e. there are 25 employees working in particular corporate sector. but HR or time keeper doesn't know who are present and absent. so if it is possible to create a login sheet which directly pop up the attendance in another sheet for the current date for particular employee. please help me. Thank you in advance,

...Marc


I have a spreadsheet set up with an employees information, including the start date. After each year that the employee is working, he gets bumped up on the pay scale. For this reason, I only need to know how many years the employee has been working, rounded down to the nearest year.

This is what I have so far (hire date is in column B):

=((TODAY()-B4)/365)&" YEARS"

This function gives me a number with many decimal places.

I tried:

=ROUNDDOWN((TODAY()-B4)/365),0)&" YEARS"

It tells me I have too few arguments. Please help!


From limited experience I know that excel calculates dates via serial numbers.

I have formulas to add a number of days to a cell containing an entered date and display the resulting new date (ie. 03/01/2011 (c34)+11 = 03/12/2011)

I am seeking to leave resulting formula cell blank until a date is entered in the input cell. Currently when the input cell is empty the formula cell obviously displays 1/11/1900 using the above example.

What conditional format would achieve leaving the formula cell blank until date data in entered into the source cell?

Hopefully a simpler question for your experience level than mine.


Hey there,

I have been tasked with introducing userforms into an excel sheet and tbh I'm quite amazed that excel has this capability of adding userforms to excel sheets.

Anyway, I have 2 columns of data in an excel sheet and I wish to add this to a userform so that the userform displays the 2 columns beside each other with headings, like a table. The user should then be able to select a particular row and insert it into the specified cell.

I would also like the user to select a row on the table and then be able to bring up another table depending on the row selected...basically so that the user can draw deeper into the information that they require.

I have an example excel sheet where I have 2 sheets. One sheet is the user entry sheet called User Entry Screen. the next sheet is the tables sheet where my tables are held. Once the user selects the cell shown in the example sheet, it should then bring up the user form. the user then, depending on which item clicked, then gets shown the next window with a table and info on it. then user should then be able to select an item and the cells on the user entry screen would then get populated.

Personally I think this is a really tricky challenge and any help with doing this would be extremely appreciated.

I'll post up further comments as I am trying to work my way through it!

Thanks,

Jag


I automating a task at work that will save some time. Seems simple enough but for some reason the code I have to cause IE to wait unil ready doesnt seem to work in all cases.

Im using :

'wait until the page loads
Do While ie.Busy Or ie.readyState READYSTATE_COMPLETE
DoEvents
Loop

This doesnt seem to work well enough, since actions are occuring that should NOT occur until the browser is ready.

Any other ideas as to how to make IE wait until the page is completely ready? I wondered about possibly checking the .innerHTML to verify that a unique page element is present.


Thanks,

Scott


Hi everyone,

I found an excellent macro this morning that allows the user to filter a pivot table based on the value found in a specific cell. This cell essentially acts as a search bar, allowing the user to type in what they are looking for rather than select it from a drop-down list.

The macro works perfectly for my purposes except in one regard: I can no longer perform a "show all" filter. If I leave the "search bar" cell blank, the pivot table shows nothing. I'm sure that there is an easy fix for this but I'm still learning the basics of how to write and use macros. How can I change the code so that when I leave the cell blank, the pivot table shows all? The search bar cell is D2.

Thanks for your time!


Hello,

I have a number of different files that I often need to run a macro on. In order for me to do it on the 75-100 files I have at any given time, I need to open one, run the macro, close and save, then open the next one.

Is it possible to write a macro that will start with the first file in a folder, open it and update links, run a macro, save and close, and open the next file in the folder until it has open all the files in the folder.

I have experience with creating macros that reference different workbooks, but not sure how to go about opening files with different filenames (without referencing the exact filename).

I'd like to be able to have basic code for opening, saving and closing, opening next file, saving and closing, etc. and input the macro I'd need to run in each file in the appropriate location. Is this possible? Any help is greatly appreciated!!

Thanks,
Jason


I am trying to correct a formula for a productivity worksheet in excel. The idea is that we would have the ability to input the number of hours worked each day and the number of direct hours (working with clients) per day. Then take the daily percentages and add them then devide them to determine the final productivity percentage for the week. Additionally not everyone works a full week so I would need it to only divide the percentages of the days that were completed. Any suggestions? or does anybody know a formula that would accomplish this already? I am good with basic excel and was able to identify a flaw in the current productivity sheet.


In my pivot table I have a lot of cells without any data. The report looks like garbage with all the (BLANK) sohowing up in the report.

I've tried condtional formatting where if the cells = (BLANK) it woulf format them as white -did not work

I tried the pivot table options and clicking on the box "for empty cells show" and set it to 0 then empty but that did not work.


any Ideas???

Thanks




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.

Hello,

I'm trying to set up a basic formula to clear out unwanted cells. Basically, if the cell is not equal a number, I'd like it to be cleared of any information. I would rather not use a space, because I have text that is overlapping between cells and would like it to be legible.

Here's the basic formula:

=if(A1>0, A1, ???)

Any help would be great. Thanks!


Hi, I'm trying to get some macros to combine data from two open workbooks, and I can't figure out the commands to switch from the active workbook to the other open workbook and back. I'm new to VBA and just learning the ropes. All I can figure out is how to switch to another workbook with an exact name. If I record the macro to go to a recent file, for example Window > 1 (filename), the code that I get in VBA is Windows("filename").Activate. This doesn't translate to when I have two different workbooks with different filenames open.

Make sense? I'm a bit confused myself. Maybe just a list of basic workbook-switching techniques or commands would be useful.

- Michael


I'm trying to format a worksheet to show how many days overdue certain tasks are, and running into a couple of issues. The sheet is set up with Due Dates in Column A, Days Overdue in Column B, and Date Completed in Column C. My first thought was just to use as simple a formula as possible in Column B =Today()-A2. This worked alright for tasks that already had Due Dates assigned, but if Column A was blank I'd get a high number in Column B. I also realized that tasks will continue to show as overdue even after I enter the completed-on date in Column C. Is there a relatively simple way to tackle this formula? Thanks in advance for suggestions. (I've attached an example with the column headings I want to use.)


I have and excel sheet that was a contact list apparently exported wrong and has the names and addresses all together in each cell in about 350 rows in column A, they are all in this format

john doe email address here

for some reason the email address in brackets won't show up here but each email address is in brackets

I need to get the name in one column and the email address without the brackets into another, any ideas?


I have a workbook that I have unprotected (all - workbook & worksheets). However, I have a sheet that I know is there (because I created it) but I cannot unhide. I know it is there because in the Name Manager, it points to it. Any idea how I can unhide it?


Also, I cannot move the Pivot Table from the new Worksheet it is created in, to my existing Worksheet.

I am running Excel 2011 for Mac.

I have a Worksheet with a small amount of data, and when I click the Pivot Table button it automatically creates the Pivot Table in a new Worksheet. The Pivot Table data is fine, but I want it to display alongside the source data.
I've tried using the Move Pivot Table option and choosing to Create Pivot Table in Existing Worksheet and choosing a source cell alongside my current data, but nothing appears. Also, I checked in Edit menu and found that the Pivot Table appears to have not even been created/moved because there is no option to undo it.

Appreciate any help, let me know if you have any further questions.

Hunter


Hi,

This is a very basic question, but i have been struggling for hours, so I must ask.

I I trying to simply fill a combobox on a userform from a named range on a sheet, I want to populate the combobox as soon as the userform starts. (I launch the userform from a button on the sheet) Where must I place the code? and will this code work?
Code:

Sub Button1_Click()
Set UserForm1.combobox1.List = Sheets("Sheet1").Range("MyRange")
UserForm1.Show
End Sub


I am very new to vba, so please excuse my ignorance,
any help would be greatly appreciated

regards
jim