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  • How do I export charts from Excel as graphics

    - by user83266
    I've got a series of Excel spreadsheets, each with at least one page of data and one page of a chart created from the data. I need to capture ( not regenerate from the data ) the existing chart as a web friendly image. Is this possible via Java or .Net? I know the POI stuff (Java) won't do it (or so I'm told, haven't tried it myself).

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  • How to determine whether a spread-sheet cell contains a date, or a real number?

    - by Everyone
    When a cell in a spreadsheet contains a simple date (mm/dd/yyyy) the poi API flags the cell-type as 'numeric'. This is probably because spreadsheets ( IMO ) historically recognize only strings and real numbers. It is possible to hard-code the cell-index, and use it conditionally to call 'getDateCellValue'. But this feels like a hack. What other ways are there in the poi API to determine whether the content in a cell is a Date rather than a real number?

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  • Flex DataGrid with row number column

    - by philcruz
    I want to extend the DataGrid component so that there is a (read-only) column for the row number like you see in spreadsheets. I came across this article http://www.cflex.net/showFileDetails.cfm?ObjectID=735 but it depends on the data being unique for each row so that it can index into the array. If the data is not unique (like for an empty grid) it doesn't work. How can I implement that?

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  • transfer data from Excel to SQL Server

    - by Jason
    I have an Excel Spreadsheet that contains all my data that I need to put into an SQL Server database. I am fairly new o ASP.NET and have never had to export from Excel to SQL Server before. My Excel spreadsheets looks like this Trade Heading - ArtID - BusinessName - AdStyleCode - Address - Suburb In SQL Server I have created a table named "Listings" which is in this format intListingID - intCategoryID - BusinessName - ArtID - intAdCode -Address - Suburb What would be the best way to export the data from Excel and then import it into SQLServer 2005. Thanks...

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  • Any application to bind documents of different kind

    - by Codeslayer
    A situation that may be quite common in offices is: We communicate with clients over e-mails, exchange documents and spreadsheets with them. Is there any tool which will help me in binding all these outputs. Maybe I may get flamed on this as this is not exactly a programming question. But some inputs may certainly help me. Thanx

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  • Forming Xpath Query for total Google results

    - by user619879
    I've used this formula in Google Spreadsheets in the past to input the number of search results into a cell. The formula's not working anymore and I know I need to fix the xpath query. any ideas? Current formula: =importXML("http://www.google.com/search?num=100&q="&A2,"//p[@id='resultStats']/b[3]") Spreadsheet for public testing: https://spreadsheets8.google.com/ccc?key=tJzmFllp7Sk1lt23cXSVXFw&authkey=CM625OUO#gid=0

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  • Document Management System - Architectural Design Question

    - by Aspirant
    I need to design an in-house server-based system that will store hundreds of thousands of files (images, spreadsheets, text documents) with users accessing metadata as well as files remotely. What are my options? ASP.Net MVC or WinForms with WCF service? I am really stuck here because I am a newbie. Any advice will be appreciated. Thanks in advance.

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  • Five Key Strategies in Master Data Management

    - by david.butler(at)oracle.com
    Here is a very interesting Profit Magazine article on MDM: A recent customer survey reveals the deleterious effects of data fragmentation. by Trevor Naidoo, December 2010   Across industries and geographies, IT organizations have grown in complexity, whether due to mergers and acquisitions, or decentralized systems supporting functional or departmental requirements. With systems architected over time to support unique, one-off process needs, they are becoming costly to maintain, and the Internet has only further added to the complexity. Data fragmentation has become a key inhibitor in delivering flexible, user-friendly systems. The Oracle Insight team conducted a survey assessing customers' master data management (MDM) capabilities over the past two years to get a sense of where they are in terms of their capabilities. The responses, by 27 respondents from six different industries, reveal five key areas in which customers need to improve their data management in order to get better financial results. 1. Less than 15 percent of organizations surveyed understand the sources and quality of their master data, and have a roadmap to address missing data domains. Examples of the types of master data domains referred to are customer, supplier, product, financial and site. Many organizations have multiple sources of master data with varying degrees of data quality in each source -- customer data stored in the customer relationship management system is inconsistent with customer data stored in the order management system. Imagine not knowing how many places you stored your customer information, and whether a customer's address was the most up to date in each source. In fact, more than 55 percent of the respondents in the survey manage their data quality on an ad-hoc basis. It is important for organizations to document their inventory of data sources and then profile these data sources to ensure that there is a consistent definition of key data entities throughout the organization. Some questions to ask are: How do we define a customer? What is a product? How do we define a site? The goal is to strive for one common repository for master data that acts as a cross reference for all other sources and ensures consistent, high-quality master data throughout the organization. 2. Only 18 percent of respondents have an enterprise data management strategy to ensure that data is treated as an asset to the organization. Most respondents handle data at the department or functional level and do not have an enterprise view of their master data. The sales department may track all their interactions with customers as they move through the sales cycle, the service department is tracking their interactions with the same customers independently, and the finance department also has a different perspective on the same customer. The salesperson may not be aware that the customer she is trying to sell to is experiencing issues with existing products purchased, or that the customer is behind on previous invoices. The lack of a data strategy makes it difficult for business users to turn data into information via reports. Without the key building blocks in place, it is difficult to create key linkages between customer, product, site, supplier and financial data. These linkages make it possible to understand patterns. A well-defined data management strategy is aligned to the business strategy and helps create the governance needed to ensure that data stewardship is in place and data integrity is intact. 3. Almost 60 percent of respondents have no strategy to integrate data across operational applications. Many respondents have several disparate sources of data with no strategy to keep them in sync with each other. Even though there is no clear strategy to integrate the data (see #2 above), the data needs to be synced and cross-referenced to keep the business processes running. About 55 percent of respondents said they perform this integration on an ad hoc basis, and in many cases, it is done manually with the help of Microsoft Excel spreadsheets. For example, a salesperson needs a report on global sales for a specific product, but the product has different product numbers in different countries. Typically, an analyst will pull all the data into Excel, manually create a cross reference for that product, and then aggregate the sales. The exact same procedure has to be followed if the same report is needed the following month. A well-defined consolidation strategy will ensure that a central cross-reference is maintained with updates in any one application being propagated to all the other systems, so that data is synchronized and up to date. This can be done in real time or in batch mode using integration technology. 4. Approximately 50 percent of respondents spend manual efforts cleansing and normalizing data. Information stored in various systems usually follows different standards and formats, making it difficult to match the data. A customer's address can be stored in different ways using a variety of abbreviations -- for example, "av" or "ave" for avenue. Similarly, a product's attributes can be stored in a number of different ways; for example, a size attribute can be stored in inches and can also be entered as "'' ". These types of variations make it difficult to match up data from different sources. Today, most customers rely on manual, heroic efforts to match, cleanse, and de-duplicate data -- clearly not a scalable, sustainable model. To solve this challenge, organizations need the ability to standardize data for customers, products, sites, suppliers and financial accounts; however, less than 10 percent of respondents have technology in place to automatically resolve duplicates. It is no wonder, therefore, that we get communications about products we don't own, at addresses we don't reside, and using channels (like direct mail) we don't like. An all-too-common example of a potential challenge follows: Customers end up receiving duplicate communications, which not only impacts customer satisfaction, but also incurs additional mailing costs. Cleansing, normalizing, and standardizing data will help address most of these issues. 5. Only 10 percent of respondents have the ability to share data that was mastered in a master data hub. Close to 60 percent of respondents have efforts in place that profile, standardize and cleanse data manually, and the output of these efforts are stored in spreadsheets in various parts of the organization. This valuable information is not easily shared with the rest of the organization and, more importantly, this enriched information cannot be sent back to the source systems so that the data is fixed at the source. A key benefit of a master data management strategy is not only to clean the data, but to also share the data back to the source systems as well as other systems that need the information. Aside from the source systems, another key beneficiary of this data is the business intelligence system. Having clean master data as input to business intelligence systems provides more accurate and enhanced reporting.  Characteristics of Stellar MDM When deciding on the right master data management technology, organizations should look for solutions that have four main characteristics: enterprise-grade MDM performance complete technology that can be rapidly deployed and addresses multiple business issues end-to-end MDM process management with data quality monitoring and assurance pre-built MDM business relevant applications with data stores and workflows These master data management capabilities will aid in moving closer to a best-practice maturity level, delivering tremendous efficiencies and savings as well as revenue growth opportunities as a result of better understanding your customers.  Trevor Naidoo is a senior director in Industry Strategy and Insight at Oracle. 

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  • Microsoft Office document is "locked for editing by 'another user'"

    - by Chris
    A few of my users are in and out of various Excel 2007 spreadsheets all day. One of them reports that "50% of the time" she tries to open a spreadsheet from the file server, an information message comes up stating: foo.xlsx is locked for editing by 'another user'. Open "Read-Only" or click "Notify" to open read-only and receive notification when the document is no longer in use. Nine times out of ten the document is not open by another user. My users immediately try to open the same document again, and it works. I imagine this is caused by Excel leaving owner files on the server, but I do not know why. An added clue: When one of my users selects "Notify," a dialog pops up in a moment informing them the file is available for them to edit. Any guidance on how to solve this issue and make my users' days flow better?

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  • Automatically insert Cell References from one Sheet into other Sheet in OOO Calc

    - by user123456
    I have a spreadsheet in Open Office 3.0 Calc. The spreadsheets consist of the first sheet and an arbitrary number of additional sheets, each collecting data for a specific month. The Month sheets have an identical structure. The first sheet is supposed to provide an overview to the most important numbers in the month sheets. What I would like to do is this: Whenever I add a Month sheet, I want it to appear automatically in the Overview sheet with the structure given below. So, for each Month sheet, copy or reference some of the cells into the Overview sheet: {Referenced Sheet Name} | Fixed Header1 | Fixed Header2 | Fixed Header3 Fixed Label 1 | {CellRef 1} | {CellRef 2} | {CellRef 3} Fixed Label 2 | {CellRef 4} | {CellRef 5} | {CellRef 6} I know how do to this for just one sheet by hand, but I have no clue how to make OOO do this automatically for me. Is it possible at all? Any help appreciated. Thanks.

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  • windows 7 file explorer preview window and password protected word docs

    - by Carbonara
    When using the windows 7 explorer with the preview pane open you get a little preview of a file when you click on it. This includes Word and Excel spreadsheets etc. My problem is if the Word doc is password protected clicking on it in explorer automatically asks for the password to display its preview. It does this if you single or double clicking on it. You then get an empty Word instance running (which allows it to display the preview) and another instance of Word with your actual file and you're asked for the password twice in total. This is annoying and untidy. Is there a way of stopping the preview pane from wanting to display password protected documents and thus not asking for the password to display a preview?

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  • Automatically insert cell references from one sheet into other in Calc

    - by user123456
    I have spreadsheets in OpenOffice.org Calc that consist of the first sheet and an arbitrary number of additional sheets, each collecting data for a specific month. The Month sheets have an identical structure. The first sheet is supposed to provide an overview to the most important numbers in the month sheets. Whenever I add a Month sheet, I want it to appear automatically in the Overview sheet with the structure given below. So, for each Month sheet, copy or reference some of the cells into the Overview sheet: {Referenced Sheet Name} | Fixed Header1 | Fixed Header2 | Fixed Header3 Fixed Label 1 | {CellRef 1} | {CellRef 2} | {CellRef 3} Fixed Label 2 | {CellRef 4} | {CellRef 5} | {CellRef 6} I know how do to this for just one sheet by hand, but I have no clue how to make Calc do this automatically for me. Is it possible at all? Any help appreciated.

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  • SQL Server 2005 Agent running SSIS job can't find file path

    - by alimack
    Basically I'm trying to run a functioning SSIS job (created in BIDS) under the SQL Server Agent - it reads a set of Excel spreadsheets and dumps the results into a table. The problem I'm having is getting the SSA to read the file path, the relevant part of the error is: "0x80004005 Description: "'N:\Assets Property & Facilities Management\Monthly Absence.xls' is not a valid path. Make sure that the path name is spelled correctly and that you are connected to the server on which the file resides." I've tried using UNC paths (\servername\ share) but the BIDS rewrites the paths to standard file paths (c:\directory\filename), I've also tried a proxy which runs this step under an Admin account. I've also tried changing the path to UNC on the SSIS job on the server. Also I'm forcing it to use the 32 bit DTEXEC, so it's not that either Always get the same error, do I need to re-create the job from scratch?

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  • How to retain background colors when pasting between documents in Excel

    - by Iain Fraser
    I have a script that programatically generates excel spreadsheets - cleaning up ugly reports that are given to us from another organisation. For interests sake; I'm using PHPExcel to generate the "clean" reports. We get these reports every week for an event that happens every couple of months. The reports contain a list of attendees along with a group id that allows us to know that some attendees belong together. To help the event organisers out, I've taken the event ID and generated a unqiue color code (based on the hash of the event ID - truncated to 6 characters). This unique colour code is set as the background color of a cell in each row. This helps organisers quickly visually identify group members. Trouble is, when the organisers copy the rows from the weeks report into the master report (which contains all attendees, not just the ones that signed up this week) - all the colour-codes snap to the master template's color pallette. Thank you very much for your time All the best Iain

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  • Merging multiple versions of same excel spreadsheet

    - by GrinReaper
    So here's the situation: I have multiple versions of the same spreadsheet-- each one has the exact same row and column labels. The difference between any two given spreadsheets is that data in one spreadsheet shouldn't be in the other (but sometimes it might.) Is there anyway to merge all of them into a "master copy" (or just a blank version) of the spreadsheet? (basically, using the data from various versions of that worksheet to fill out the main one) Copy-pasting is extremely tedious, and doesn't allow me to copy blocks of rows IF the row numbering is non-contiguous. (For example, Rows 1, 2, 3, 6 are in a block, but row 4 and 5 just don't exist.) Ideas? Googling hasn't turned up anything that seemed directly relevant to this problem.

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  • Gateway NE56R & mouse swipe gesture...how to disable?

    - by Anders
    Can anyone tell me how to shut off the swipe gesture mechanism on my computer? It's driving me crazy. I cannot use a single application without having my computer screen minimize every time I move my hand over the mouse following a mouse-click, pointer movement, etc. Having to maximize my spreadsheets, documents, and applications so much is undercutting my productivity. How some software engineer/inventor imagined that this mouse/gesture swipe gimmick would be helpful to computer users is inconceivable to me. It is a massive annoyance. I've found instructions online for disabling this obnoxious feature, but all the instructions involve messing with my registry, which I don't want to do. I will be SO GRATEFUL to any techie who can tell me how to disable this horrible mouse swipe mechanism without having to alter my registry! I'm using a Gateway NE56R Notebook, Windows 7 operating system, and an Inland USB Mouse (model no. 37535). Thank you in advance!

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  • Hibernate a user account when switching to different account in Windows 7 Home Premium (64bit)

    - by Sukotto
    Is there any way to have Windows 7 hibernate Bob's account when switched to Mary's account and vice versa? I.e.: Bob is logged in Bob clicks Start shutdown switch user Bob's session is saved to disk Mary logs in Mary's session is restored as it was when Bob's turn started Both are heavy users (30+ chrome tabs open, multiple documents, multiple spreadsheets, music playing, etc) I would like to set up the system so that each gets the full use of the computer while still having all their open apps the way they left them. I suppose I could try setting up a VM for each, but I'd rather not add anything else to the mix here if I don't have to. This is Windows 7 Home Premium 64-bit running on a Lenovo G550 laptop

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  • Is there a macro to split the contents of an Excel spreadsheet into seperate spreadhseets?

    - by Sean Chadwick
    I know there are similar questions out there but I don't think they are quite the same. I have a excel spreadsheet with the following headings- First name -- Surname -- Host Trust -- Contact details -- etc -- etc It is a large spreadsheet. I have to send an email every week to host trusts to inform them of who will be working with them and it is a nightmare dividing this up manually. Is it possible to create a macro which will split this spreadsheet into several spreadsheets using the the data from the Host Trust column as the title of each spreadsheet?

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  • Excel 2011 for Mac VLOOKUP Date Issue

    - by Mitch
    I'm fairly proficient in using vlookups, but I'm having an issue vlooking up dates between two different spreadsheets. =VLOOKUP(B6,'[example.xlsx]Sheet1'!$B$1:$AA$260, 19, FALSE) My formula is retrieving a date fine, but the date is different when the cell is formatted for a date. Yet, when I change the formatting on each spreadsheet to display the date as a number, the number is the same (40115). The dates are displaying differently in each spreadsheet and I can't figure out why, they differ by about 3 years and 1 day (10/30/13 vs. 10/29/09). One was previously .xls, but I saved both a .xlsx. Thanks.

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  • multiple count Pivot table in Excel

    - by Sivakanesh
    Hi all, I'm trying to put togeter a pivot table from an Excel spreadsheet. The spreadsheets look similar to the following: DeptHead, Emp, Increment x, A, 2.5% x, B, y, C, 1.5% y, D, y, E, 2.0% I would like to make a pivot table that looks like the following; DeptHead, CountOfEmp, CountOfIncrement x, 2, 1 y, 3, 2 So it provides a count of total number of Emps and total number Increments for each DeptHead ignoring the blanks. I have tried to do this in many ways in Pivot table, but the two counts are only appearing in rows and not in columns as above. Is there any way to achieve this please? Thanks

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  • Refering to a Cell in a Different Workbook

    - by Anna
    I work between different spreadsheets, and I like to have one main workbook that links to certain cells in other workbooks. For example, I will do a statement of business activities workbook that has all the business expenses listed, and then I will have individual workbooks for each expense account. In the old excel, I would just put =(and then go to the workbook that i wanted, and then select the cell i wanted and then hit enter) and it would put the amount from that specific cell in my statement of business activities. When I try to do that in excel 2010, I put the equals sign in the cell, and then go to the other workbook and find the cell I want, and when I hit enter, it just moves down a line and nothing happens in the other workbook. How can I get this to work again, what do i need to do??

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