First of all, HI!
Second, I've been toying with access in the hopes that it will save me headaches, but I want to make sure it's within the scope of the program/if I should use something else.
Basically, I've been using an Excel generated report and have to manually filter/sum totals. I think I can use Access to auto-populate and filter the fields, but I'm not sure HOW.
Let's say there are four fields that I am concerned with in the spreadsheet. I've figured out how to only import them, but I'm struggling with how to display it. Fields would be something like: Name, Account#, Amount, Type.
I basically want to import the excel sheet, and show the information filterable by name. So like Name, worked on this Account for this Amount doing this Type.
I'm seeing how to do totals, how to generate a report, and how to import only the needed fields. But I'm struggling with how to tie it all together.
The excel spreadsheet shows me what each individual has done to an account per transaction and I need to pull the grand total for reconciling purposes, as well as to filter it by account/type in case there is a discrepancy. Is this possible or overkill? I'm not asking for a full step-by-step, but it feels like I've hit a roadblock and some pointers would be most appreciated.
Second, I've been toying with access in the hopes that it will save me headaches, but I want to make sure it's within the scope of the program/if I should use something else.
Basically, I've been using an Excel generated report and have to manually filter/sum totals. I think I can use Access to auto-populate and filter the fields, but I'm not sure HOW.
Let's say there are four fields that I am concerned with in the spreadsheet. I've figured out how to only import them, but I'm struggling with how to display it. Fields would be something like: Name, Account#, Amount, Type.
I basically want to import the excel sheet, and show the information filterable by name. So like Name, worked on this Account for this Amount doing this Type.
I'm seeing how to do totals, how to generate a report, and how to import only the needed fields. But I'm struggling with how to tie it all together.
The excel spreadsheet shows me what each individual has done to an account per transaction and I need to pull the grand total for reconciling purposes, as well as to filter it by account/type in case there is a discrepancy. Is this possible or overkill? I'm not asking for a full step-by-step, but it feels like I've hit a roadblock and some pointers would be most appreciated.