Search Results

Search found 857 results on 35 pages for 'spreadsheet writeexcel'.

Page 12/35 | < Previous Page | 8 9 10 11 12 13 14 15 16 17 18 19  | Next Page >

  • export google search results to excel [closed]

    - by Om23
    I want to make a program/script that will be able to take the data from the excel spreadsheet in column A (for example, "team 123") and search Google and take the first 3 results from Google and put the data into the excel spreadsheet. I don't have that much experience in programming. So what language should I use? I know I have to use REST in the Google custom search API- how would I incorporate this? This might have been done before but all I've been able to find is scripts on how to export all the search results or the number of search results, not the first 3 search results. Thanks. If you know better tags for this post please let me know.

    Read the article

  • Correct MySQL username/password, but getting Access Denied error when run from script

    - by Nick
    I'm currently trying to run the following command from within a shell script. /usr/bin/mysql -u username -ppassword -h localhost database It works perfectly fine when executed manually, and not from within a script. When I try to execute a script that contains that command, I get the following error: ERROR 1045 (28000) at line 3: Access denied for user 'username'@'localhost' (using password: YES) I literally copied and pasted the working command into the script. Why the error? As a sidenote: the ultimate intent is to run the script with cron. EDIT: Here is a stripped down version of my script that I'm trying to run. You can ignore most of it up until the point where it connects to MySQL around line 19. #!/bin/sh #Run download script to download product data cd /home/dir/Scripts/Linux /bin/sh script1.sh #Run import script to import product data to MySQL cd /home/dir/Mysql /bin/sh script2.sh #Download inventory stats spreadsheet and rename it cd /home/dir /usr/bin/wget http://www.url.com/file1.txt mv file1.txt sheet1.csv #Remove existing export spreadsheet rm /tmp/sheet2.csv #Run MySQL queries in "here document" format /usr/bin/mysql -u username -ppassword -h localhost database << EOF --Drop old inventory stats table truncate table table_name1; --Load new inventory stats into table Load data local infile '/home/dir/sheet1.csv' into table table_name1 fields terminated by ',' optionally enclosed by '"' lines terminated by '\r\n'; --MySQL queries to combine product data and inventory stats here --Export combined data in spreadsheet format group by p.value into outfile '/tmp/sheet2.csv' fields terminated by ',' optionally enclosed by '"' lines terminated by '\r\n'; EOF EDIT 2: After some more testing, the issue is with the << EOF that is at the end of the command. This is there for the "here document". When removed, the command works fine. The problem is that I need << EOF there so that the MySQL queries will run.

    Read the article

  • iTunes copy just metadata (song and album ratings, playlists) from iPod

    - by Jared Updike
    I have an iPod touch that I synched with my Windows computer (iTunes 9.0 I think) until my harddrive failed and I lost my entire library. I rebuilt the library (songs) from a year old backup (and various other source for songs) but my playlists and ratings are of course a year old. My iPod itself has most of the playlists and ratings I care most about (favorite songs and albums, rated 4 and 5, for example). I have a catch 22 situation where I feel nervous that I haven't backed up my iPod in around 4 months (when my drive failed) so I'd like to back it up as soon as possible... but if I back it up I have to clear all the songs and playlists and copy them back, which I can't really do since I need to rebuild my playlists on my computer first (using the data only available on my iPod!) The question: is there a better way to READ the information off my iPod than doing it manually, song by song and album by album and playlist by playlist (XML, text dump, database, spreadsheet, anything). In other words, mostly I want the information (metadata like ratings and playlists, not songs) copied off the iPod so I can more quickly get my iTunes library ratings and playlists re-built (manually) so I can finally wipe the music and back up my apps, etc. Then I'd like to copy the music back immediately. The part I'd like to avoid is manually navigating everything on my iPod to read through all the playlists and ratings (50 GB, 6,000+ songs) as I re-enter all of that data by hand. I've done a few dozen albums and it's pretty time consuming having to tap around on the iPod. Reading from a spreadsheet (for example, or XML which I could write a script to get into spreadsheet form) would probably help tremendously, plus then I'd have a backup of that information somewhere besides just my iPod.

    Read the article

  • iTunes copy just metadata (song and album ratings, playlists) from iPod

    - by Jared Updike
    I have an iPod touch that I synched with my Windows computer (iTunes 9.0 I think) until my harddrive failed and I lost my entire library. I rebuilt the library (songs) from a year old backup (and various other source for songs) but my playlists and ratings are of course a year old. My iPod itself has most of the playlists and ratings I care most about (favorite songs and albums, rated 4 and 5, for example). I have a catch 22 situation where I feel nervous that I haven't backed up my iPod in around 4 months (when my drive failed) so I'd like to back it up as soon as possible... but if I back it up I have to clear all the songs and playlists and copy them back, which I can't really do since I need to rebuild my playlists on my computer first (using the data only available on my iPod!) The question: is there a better way to READ the information off my iPod than doing it manually, song by song and album by album and playlist by playlist (XML, text dump, database, spreadsheet, anything). In other words, mostly I want the information (metadata like ratings and playlists, not songs) copied off the iPod so I can more quickly get my iTunes library ratings and playlists re-built (manually) so I can finally wipe the music and back up my apps, etc. Then I'd like to copy the music back immediately. The part I'd like to avoid is manually navigating everything on my iPod to read through all the playlists and ratings (50 GB, 6,000+ songs) as I re-enter all of that data by hand. I've done a few dozen albums and it's pretty time consuming having to tap around on the iPod. Reading from a spreadsheet (for example, or XML which I could write a script to get into spreadsheet form) would probably help tremendously, plus then I'd have a backup of that information somewhere besides just my iPod.

    Read the article

  • Is there a way to have "default" or "placeholder" values in Excel?

    - by Iszi
    I've got a spreadsheet with cells that I want to be user-editable, but that I also want to have "default" or "placeholder" values in, whenever there is no user-entered data. There's a couple good use cases for this: Prevent formula errors, while providing reasonable assumptions when a user has not entered (or has deleted) their own value. I could use conditional formatting to alert the user to default values, so as to prevent their ignorance of them - they can then make an informed choice as to whether that value is still appropriate or not for the intended calculations. Give a short description of what is intended to be entered in the cell, without having to have a separate "instructions" segment or document. This would also eliminate the need for a nearby "Label" cell, in some cases where it's really not appropriate. To accomplish what I want, I need some formula, script, or other advanced spreadsheet option that will do the following: Show the default value in the cell before user enters data. Allow the default value to be found by any formulas referencing the cell, when there is no user-entered data in that cell. Allow the user to freely (naturally, exactly as they would do with any "normal" cell) overwrite the displayed value with their own value or formula, and have the user-entered data found by any formulas referencing the cell. When cell is blanked by deletion of user input, revert to default value. Is there a way to do this in Excel, or am I asking too much of a spreadsheet program here?

    Read the article

  • VBA Functions in Excel

    - by teeharpee
    I have an Excel spreadsheet. One of the columns in the spreadsheet contains the name of a pdf file; page number (name of file;5). I would like help with writing a VBA function so that when the user clicks in any of the cells in that column the name of the file and the page number are passed as variables and the pdf file opens to the page specified. Any help greatly appreciated.

    Read the article

  • Password Protected Excel File

    - by dhorn
    I have an excel spreadsheet that is password-protected. I need to open this spreadsheet and read the data from it. I've been attempting to use the POI API to no avail. A Java solution would be preferred but any ideas would be helpful. Edit: Yes, I have the password. Edit2: I am unable to open it with POI with the password, I am looking for an alternate solution.

    Read the article

  • Export value from Excel worksheet to Access record

    - by glinch
    Hi there, I have an excel spreadsheet that contains the primarky-key/id value for a record in a table in an access database. I would like to export specific data from certain cells in the spreadsheet to certain fields in the corresponding record in the table. Is this possible, any help would be greatly appreciated. Many thanks Noel

    Read the article

  • I know my Before Tax Pay and my After Tax Pay, how can I work out how much I get taxed?

    - by Pete
    I've been entering some data into an Excel spreadsheet to work out my monthly earnings, etc. and was wondering how I can I find out how much I'm getting taxed? Say this is my current spreadsheet: Hours Worked 37.5 39.5 37.5 30 Hourly Rate $25 $25 $25 $25 Before Tax 937.50 987.50 937.50 750.00 After Tax 260.00 276.00 260.00 ??? How can I use this known data to work out my After Tax pay for the 4th column? :/

    Read the article

  • Mutually exclusive Checkbox in Excel (Toggle)

    - by rach-90
    I have spreadsheet with 50+ checkboxes from the forms toolbar. In a few instances you can only check 1 checkbox from a group i.e you check one checkbox from checkbox 1 to checkbox 5. I'm trying to achieve this without any code if possible. Option button is not preferred since I want an uniformed spreadsheet. How can you group the checkbox1 to checkbox5 so that they become mutually exclusive for a group. Thank you

    Read the article

  • I need summarise months into years, how can i do that?

    - by Tay
    Hi i working a fairly large spreadsheet which is broken down into months. I want to put the yearly subtotals at the begining of the spreadsheet. So in cell A1 i want to add AA2-AL2, B1 i want to add AM2-AX2 and so on so forth. How can i do this whithout manually going to each set of values. Is there anyway i can put a formula in A1 which i can copy to B1,C1,D1,E1, which will pick up a set of 12 cells each (with no overlap)

    Read the article

  • Entering large amounts of text data in HTML form

    - by MakkyNZ
    Hi I have a web page that has a requirement to allow users to paste large amounts of text data from an Excel spreadsheet directly into the input controls of the page. Typically the user would be pasting anywhere between 150 to 300 spreadsheet cells that are all in one column. What are some good ways i could use to capture this data on the web page? thanks

    Read the article

  • How To - Guide to Importing Data from a MySQL Database to Excel using MySQL for Excel

    - by Javier Treviño
    Fetching data from a database to then get it into an Excel spreadsheet to do analysis, reporting, transforming, sharing, etc. is a very common task among users. There are several ways to extract data from a MySQL database to then import it to Excel; for example you can use the MySQL Connector/ODBC to configure an ODBC connection to a MySQL database, then in Excel use the Data Connection Wizard to select the database and table from which you want to extract data from, then specify what worksheet you want to put the data into.  Another way is to somehow dump a comma delimited text file with the data from a MySQL table (using the MySQL Command Line Client, MySQL Workbench, etc.) to then in Excel open the file using the Text Import Wizard to attempt to correctly split the data in columns. These methods are fine, but involve some degree of technical knowledge to make the magic happen and involve repeating several steps each time data needs to be imported from a MySQL table to an Excel spreadsheet. So, can this be done in an easier and faster way? With MySQL for Excel you can. MySQL for Excel features an Import MySQL Data action where you can import data from a MySQL Table, View or Stored Procedure literally with a few clicks within Excel.  Following is a quick guide describing how to import data using MySQL for Excel. This guide assumes you already have a working MySQL Server instance, Microsoft Office Excel 2007 or 2010 and MySQL for Excel installed. 1. Opening MySQL for Excel Being an Excel Add-In, MySQL for Excel is opened from within Excel, so to use it open Excel, go to the Data tab located in the Ribbon and click MySQL for Excel at the far right of the Ribbon. 2. Creating a MySQL Connection (may be optional) If you have MySQL Workbench installed you will automatically see the same connections that you can see in MySQL Workbench, so you can use any of those and there may be no need to create a new connection. If you want to create a new connection (which normally you will do only once), in the Welcome Panel click New Connection, which opens the Setup New Connection dialog. Here you only need to give your new connection a distinctive Connection Name, specify the Hostname (or IP address) where the MySQL Server instance is running on (if different than localhost), the Port to connect to and the Username for the login. If you wish to test if your setup is good to go, click Test Connection and an information dialog will pop-up stating if the connection is successful or errors were found. 3.Opening a connection to a MySQL Server To open a pre-configured connection to a MySQL Server you just need to double-click it, so the Connection Password dialog is displayed where you enter the password for the login. 4. Selecting a MySQL Schema After opening a connection to a MySQL Server, the Schema Selection Panel is shown, where you can select the Schema that contains the Tables, Views and Stored Procedures you want to work with. To do so, you just need to either double-click the desired Schema or select it and click Next >. 5. Importing data… All previous steps were really the basic minimum needed to drill-down to the DB Object Selection Panel  where you can see the Database Objects (grouped by type: Tables, Views and Procedures in that order) that you want to perform actions against; in the case of this guide, the action of importing data from them. a. From a MySQL Table To import from a Table you just need to select it from the list of Database Objects’ Tables group, after selecting it you will note actions below the list become available; then click Import MySQL Data. The Import Data dialog is displayed; you can see some basic information here like the name of the Excel worksheet the data will be imported to (in the window title), the Table Name, the total Row Count and a 10 row preview of the data meant for the user to see the columns that the table contains and to provide a way to select which columns to import. The Import Data dialog is designed with defaults in place so all data is imported (all rows and all columns) by just clicking Import; this is important to minimize the number of clicks needed to get the job done. After the import is performed you will have the data in the Excel worksheet formatted automatically. If you need to override the defaults in the Import Data dialog to change the columns selected for import or to change the number of imported rows you can easily do so before clicking Import. In the screenshot below the defaults are overridden to import only the first 3 columns and rows 10 – 60 (Limit to 50 Rows and Start with Row 10). If the number of rows to be imported exceeds the maximum number of rows Excel can hold in its worksheet, a warning will be displayed in the dialog, meaning the imported number of rows will be limited by that maximum number (65,535 rows if the worksheet is in Compatibility Mode).  In the screenshot below you can see the Table contains 80,559 rows, but only 65,534 rows will be imported since the first row is used for the column names if the Include Column Names as Headers checkbox is checked. b. From a MySQL View Similar to the way of importing from a Table, to import from a View you just need to select it from the list of Database Objects’ Views group, then click Import MySQL Data. The Import Data dialog is displayed; identically to the way everything looks when importing from a table, the dialog displays the View Name, the total Row Count and the data preview grid. Since Views are really a filtered way to display data from Tables, it is actually as if we are extracting data from a Table; so the Import Data dialog is actually identical for those 2 Database Objects. After the import is performed, the data in the Excel spreadsheet looks like the following screenshot. Note that you can override the defaults in the Import Data dialog in the same way described above for importing data from Tables. Also the Compatibility Mode warning will be displayed if data exceeds the maximum number of rows explained before. c. From a MySQL Procedure Too import from a Procedure you just need to select it from the list of Database Objects’ Procedures group (note you can see Procedures here but not Functions since these return a single value, so by design they are filtered out). After the selection is made, click Import MySQL Data. The Import Data dialog is displayed, but this time you can see it looks different to the one used for Tables and Views.  Given the nature of Store Procedures, they require first that values are supplied for its Parameters and also Procedures can return multiple Result Sets; so the Import Data dialog shows the Procedure Name and the Procedure Parameters in a grid where their values are input. After you supply the Parameter Values click Call. After calling the Procedure, the Result Sets returned by it are displayed at the bottom of the dialog; output parameters and the return value of the Procedure are appended as the last Result Set of the group. You can see each Result Set is displayed as a tab so you can see a preview of the returned data.  You can specify if you want to import the Selected Result Set (default), All Result Sets – Arranged Horizontally or All Result Sets – Arranged Vertically using the Import drop-down list; then click Import. After the import is performed, the data in the Excel spreadsheet looks like the following screenshot.  Note in this example all Result Sets were imported and arranged vertically. As you can see using MySQL for Excel importing data from a MySQL database becomes an easy task that requires very little technical knowledge, so it can be done by any type of user. Hope you enjoyed this guide! Remember that your feedback is very important for us, so drop us a message: MySQL on Windows (this) Blog - https://blogs.oracle.com/MySqlOnWindows/ Forum - http://forums.mysql.com/list.php?172 Facebook - http://www.facebook.com/mysql Cheers!

    Read the article

  • Using the RSSBus Salesforce Excel Add-In From Excel Macros (VBA)

    - by dataintegration
    The RSSBus Salesforce Excel Add-In makes it easy to retrieve and update data from Salesforce from within Microsoft Excel. In addition to the built-in wizards that make data manipulation possible without code, the full functionality of the RSSBus Excel Add-Ins is available programmatically with Excel Macros (VBA) and Excel Functions. This article shows how to write an Excel macro that can be used to perform bulk inserts into Salesforce. Although this article uses the Salesforce Excel Add-In as an example, the same process can be applied to any of the Excel Add-Ins available on our website. Step 1: Download and install the RSSBus Excel Add-In available on our website. Step 2: Open Excel and create place holder cells for the connection details that are needed from the macro. In this article, a spreadsheet will be created for batch inserts, and these cells will store the connection details, and will be used to report the job Id, the batch Id, and the batch status. Step 3: Switch to the Developer tab in Excel. Add a new button on the spreadsheet, and create a new macro associated with it. This macro will contain the code needed to insert a batch of rows into Salesforce. Step 4: Add a reference to the Excel Add-In by selecting Tools --> References --> RSSBus Excel Add-In. The macro functions of the Excel Add-In will be available once the reference has been added. The following code shows how to call a Stored Procedure. In this example, a job is created to insert Leads by calling the CreateJob stored procedure. CreateJob returns a jobId that can be used to upload a large number of Leads in one transaction. Note the use of cells B1, B2, B3, and B4 that were created in Step 2 to read the connection settings from the Excel SpreadSheet and to write out the status of the procedure. methodName = "CreateJob" module.SetProviderName ("Salesforce") nameArray = Array("ObjectName", "Action", "ConcurrencyMode") valueArray = Array("Lead", "insert", "Serial") user = Range("B1").value pass = Range("B2").value atoken = Range("B3").value If (Not user = "" And Not pass = "" And Not atoken = "") Then module.SetConnectionString ("User=" + user + ";Password=" + pass + ";Access Token=" + atoken + ";") If module.CallSP(methodName, nameArray, valueArray) Then Dim ColumnCount As Integer ColumnCount = module.GetColumnCount Dim idIndex As Integer For Count = 0 To ColumnCount - 1 Dim colName As String colName = module.GetColumnName(Count) If module.GetColumnName(Count) = "id" Then idIndex = Count End If Next While (Not module.EOF) Range("B4").value = module.GetValue(idIndex) module.MoveNext Wend Else MsgBox "The CreateJob query failed." End If Exit Sub Else MsgBox "Please specify the connection details." Exit Sub End If Error: MsgBox "ERROR: " & Err.Description Step 5: Add the code to your macro. If you use the code above, you can check the results at Salesforce.com. They can be seen at Administration Setup -> Monitoring -> Bulk Data Load Jobs. Download the attached sample file for a more complete demo. Distributing an Excel File With Macros An Excel file with macros is saved using the .xlms extension. The code for the macro remains in the Excel file, and you can distribute your Excel file to any machine where the RSSBus Salesforce Excel Add-In is already installed. Macro Sample File Please download the fully functional sample excel file that includes the code referenced here. You will also need the RSSBus Excel Add-In to make the connection. You can download a free trial here. Note: You may get an error message stating: "Can't find project or library." in Excel 2007, since this example is made using Excel 2010. To resolve this, navigate to Tools -> References and uncheck the "MISSING: RSSBus Excel Add-In", then scroll down and check the "RSSBus Excel Add-In" listed below it.

    Read the article

  • Oracle Tutor: Installing Is Not Implementing or Why CIO's should care about End User Adoption

    - by emily.chorba(at)oracle.com
    Eighteen months ago I showed Tutor and UPK Productive Day One overview to a CIO friend of mine. He works in a manufacturing business which had been recently purchased by a global conglomerate. He had a major implementation coming up, but said that the corporate team would be coming in to handle the project. I asked about their end user training approach, but it was unclear to him at the time. We were in touch over the course of the implementation project. The major activities were data conversion, how-to workshops, General Ledger realignment, and report definition. The message was "Here's how we do it at corporate, and here's how you are going to do it." In short, it was an application software installation. The corporate team had experience and confidence and the effort through go-live was smooth. Some weeks after cutover, problems with customer orders began to surface. Orders could not be fulfilled in a timely fashion. The problem got worse, and the corporate emergency team was called in. After many days of analysis, the issue was tracked down and resolved, but by then there were weeks of backorders, and their customer base was impacted in a significant way. It took three months of constant handholding of customers by the sales force for good will to be reestablished, and this itself diminished a new product sales push. I learned of these results in a recent conversation with the CIO. I asked him what the solution to the problem was, and he replied that it was twofold. The first component was a lack of understanding by customer service reps about how a particular data item in order entry was to be filled in, resulting in discrepant order data. The second component was that product planners were using this data, along with data from other sources, to fill in a spreadsheet based on the abandoned system. This spreadsheet was the primary input for planning data. The result of these two inaccuracies was that key parts were not being ordered to effectively meet demand and the lead time for finished goods was pushed out by weeks. I reminded him about the Productive Day One approach, and it's focus on methodology and tools for end user training. A more collaborative solution workshop would have identified proper applications use in the new environment. Using UPK to document correct transaction entry would have provided effective guidelines to the CSRs for data entry. Using Oracle Tutor to document the manual tasks would have eliminated the use of an out of date spreadsheet. As we talked this over, he said, "I wish I knew when I started what I know now." Effective end user adoption is the most critical and most overlooked success factor in applications implementations. When the switch is thrown at go-live, employees need to know how to use the new systems to do their jobs. Their jobs are made up of manual steps and systems steps which must be performed in the right order for the implementing organization to operate smoothly. Use Tutor to document the manual policies and procedures, use UPK to document the systems tasks, and develop this documentation in conjunction with a solution workshop. This is the path to develop effective end user training material for a smooth implementation. Learn More For more information about Tutor, visit Oracle.com or the Tutor Blog. Post your questions at the Tutor Forum. Chuck Jones, Product Manager, Oracle Tutor and BPM

    Read the article

  • OpenXML SDK: Make Excel recalculate formula

    - by chiccodoro
    I update some cells of an Excel spreadsheet through the Microsoft Office OpenXML SDK 2.0. Changing the values makes all cells containing formula that depend on the changed cells invalid. However, due to the cached values Excel does not recalculate the formular, even if the user clicks on "Calculate now". What is the best way to invalidate all dependent cells of the whole workbook through the SDK? So far, I've found the following code snippet at http://cdonner.com/introduction-to-microsofts-open-xml-format-sdk-20-with-a-focus-on-excel-documents.htm: public static void ClearAllValuesInSheet (SpreadsheetDocument spreadSheet, string sheetName) { WorksheetPart worksheetPart = GetWorksheetPartByName(spreadSheet, sheetName); foreach (Row row in worksheetPart.Worksheet. GetFirstChild().Elements()) { foreach (Cell cell in row.Elements()) { if (cell.CellFormula != null && cell.CellValue != null) { cell.CellValue.Remove(); } } } worksheetPart.Worksheet.Save(); } Besides the fact that this snippet does not compile for me, it has two limitations: It only invalidates a single sheet, although other sheets might contain dependent formula It does not take into account any dependencies. I am looking for a way that is efficient (in particular, only invalidates cells that depend on a certain cell's value), and takes all sheets into account. Update: In the meantime I have managed to make the code compile & run, and to remove the cached values on all sheets of the workbook. (See answers.) Still I am interested in better/alternative solutions, in particular how to only delete cached values of the cells that actually depend on the updated cell.

    Read the article

  • Import Excel 2007 into SQL 2000 using Classic ASP and ADO

    - by jeff
    I have the following code from a legacy app which currently reads from an excel 2003 spreadsheet on a server, but I need this to run from my machine which uses excel 2007. When I debug on my machine ADO does not seem to be reading the spreadsheet. I have checked all file paths etc. and location of spreadsheet that is all fine. I've heard that you cannot use the jet db engine for excel 2007 anymore? Can someone confirm this? What do I need to do to get this to work? Please help! set obj_conn = Server.CreateObject("ADODB.Connection") obj_conn.Open "Provider=Microsoft.Jet.OLEDB.4.0;" & _ "Data Source=" & Application("str_folder") & "CNS43.xls;" & _ "Extended Properties=""Excel 8.0;""" set obj_rs_cns43 = Server.CreateObject("ADODB.RecordSet") obj_rs_cns43.ActiveConnection = obj_conn obj_rs_cns43.CursorType = 3 obj_rs_cns43.LockType = 2 obj_rs_cns43.Source = "SELECT * FROM [CNS43$]" obj_rs_cns43.Open

    Read the article

  • MS-Excel Negative times

    - by oxinabox.ucc.asn.au
    I'm writing a spreadsheet for a shop manager. What it does is keep track of the number of hours a worker has worked. So you enter times for Monday-Sunday, and then an adjustment - e.g. if they work 40/40/40/32 hours for the month, then you would have an adjustment of -2/-2/-2/+6 to bring the worker to the 38 hour week that he's being paid for. Some (most) weeks may be adjusted for overtime. The spreadsheet then totals the hours. This spreadsheet is supposed to just be a self-calculating version of a paper form. It needs to match the paper form as it has to be substituted for the old form which is given to some other member of the company (pay clerk, I don't know; I'm not rebuilding their whole system, just replacing a form) I'm having trouble entering a negative time in the adj field - the field has a [h]:mm formatting. and when i enter a negative time (e.g. -2:00) it displays an error, saying "incorrectly formatted equation", with the suggestion that if I was entering a string then I should prefix with a apostrophe. How do I overcome this?

    Read the article

  • Unit Testing Error - The unit test adapter failed to connect to the data source or to read the data

    - by michael.lukatchik
    I'm using VSTS 2K8 and I've set up a Unit Test Project. In it, I have a test class with a method that does a simple assertion. I'm using an Excel 2007 spreadsheet as my data source. My test method looks like this: [DataSource("System.Data.Odbc", "Dsn=Excel Files;dbq=|DataDirectory|\\MyTestData.xlsx;defaultdir=C:\\TestData;driverid=1046;maxbuffersize=2048;pagetimeout=5", "Sheet1", DataAccessMethod.Sequential)] [DeploymentItem("MyTestData.xlsx")] [TestMethod()] public void State_Value_Is_Set() { string expected = "MD"; string actual = TestContext.DataRow["State"] as string; Assert.AreEqual(expected, actual); } As indicated in the method decoration attributes, my Excel spreadsheet is on my local C:/ Drive. In it, the sheet where all of my data is located is named "Sheet1". I've copied the Excel spreadsheet into my project and I've set its Build Action = "Content" and I've set its Copy to Output Directory = "Copy if Newer". When trying to run this simple unit test, I receive the following error: The unit test adapter failed to connect to the data source or to read the data. For more information on troubleshooting this error, see "Troubleshooting Data-Driven Unit Tests" (http://go.microsoft.com/fwlink/?LinkId=62412) in the MSDN Library. Error details: ERROR [42S02] [Microsoft][ODBC Excel Driver] The Microsoft Office Access database engine could not find the object 'Sheet1'. Make sure the object exists and that you spell its name and the path name correctly. I've verified that the sheet name is spelled correctly (i.e. Sheet1) and I've verified that my data sources are set correctly. Web searches haven't turned up much at all. And I'm totally stumped. All help or input is appreciated!!!!

    Read the article

  • What is a good approach to preloading data?

    - by Bob Horn
    Are there best practices out there for loading data into a database, to be used with a new installation of an application? For example, for application foo to run, it needs some basic data before it can even be started. I've used a couple options in the past: TSQL for every row that needs to be preloaded: IF NOT EXISTS (SELECT * FROM Master.Site WHERE Name = @SiteName) INSERT INTO [Master].[Site] ([EnterpriseID], [Name], [LastModifiedTime], [LastModifiedUser]) VALUES (@EnterpriseId, @SiteName, GETDATE(), @LastModifiedUser) Another option is a spreadsheet. Each tab represents a table, and data is entered into the spreadsheet as we realize we need it. Then, a program can read this spreadsheet and populate the DB. There are complicating factors, including the relationships between tables. So, it's not as simple as loading tables by themselves. For example, if we create Security.Member rows, then we want to add those members to Security.Role, we need a way of maintaining that relationship. Another factor is that not all databases will be missing this data. Some locations will already have most of the data, and others (that may be new locations around the world), will start from scratch. Any ideas are appreciated.

    Read the article

  • .ico icons not showing up on Windows

    - by Ali
    I followed the The Qt Resource System guide and the .ico icons appear on Linux. The icons are not showing up on Windows when I try to run the applicaton from Qt Creator. I suspect a plugin issue based on Qt/C++: Icons not showing up when program is run under windows O.S but I failed to figure out what to do from the guide How to Create Qt Plugins. Is it a plugin issue or why aren't the icons showing up on Windows? If it is a plugin issue: How do I tell my applicaton where to find the qico.dll? Details of the environment: Works on: Kubuntu 12.04 LTS, Qt Creator 2.4.1 and Qt 4.7.4 (64 bit) Fails on: Windows XP SP2 32 bit, Qt Creator 2.4.1 and Qt 4.7.4 (32 bit) Everyting is at its default (as installed out of the box), I did not mess with the settings. resources.qrc <!DOCTYPE RCC><RCC version="1.0"> <qresource> <file>images/spreadsheet.ico</file> </qresource> </RCC> Also tried with <qresource prefix="/">. From the applicaton.pro RESOURCES += \ resources.qrc OTHER_FILES += \ images/spreadsheet.ico In the corresponding source file QIcon(":/images/spreadsheet.ico") I repeat: it works on Linux.

    Read the article

  • XML File as Excel file.

    - by FrustratedWithFormsDesigner
    I have a number of reports that I run against my database that need to eventually go to the end-users as Excel spreadsheets. Initially, I was creating text reports, but the steps to convert the text to a spreadsheet were a bit cumbersome. There were too many steps to import text to the spreadsheet, and multi-line text rows were imported as individual rows in Excel (which was incorrect). Currently, I am generating simple XML saving the file with an ".xls" extension. This works better, but there is still the problem of Excel prompting the user with an XML import dialogue every time they open the file, and then having to save a new file if they add notes or change the layout to the file (which they almost certainly will be doing). Sample "xls" file: <?xml version="1.0" standalone="yes"?> <report_rows> <row> <NAME>Test Data</NAME> <COUNT>345</COUNT> </row> <!-- many more row elements... --> </report_rows> Is there any way to add markup to the file to hint to Excel how it should import and handle the file? Ideally, the end user should be able to open and save the file like any othe spreadsheet they create directly from Excel. Is this even possible? UPDATE: We are running Office 2003 here. UPDATE: The XML is generated from a sqlplus script, no option to use C#/.NET here.

    Read the article

  • Exemplars of large document-centric applications with COM/XPCOM/.NET interfaces.

    - by Warren P
    I am looking for exemplars (design examples) showing the use of interfaces (aka 'protocols' for you smalltalkers) to design a document management architecture in a large Word Processor, Spreadsheet, vector graphic or publishing package, or office-productivity (non-database) application with support for as many of the following as possible: any open source project, will be ideal, and language of implementation is unimportant since I am looking for design examples, however an object oriented language with support for "interfaces" is a must. I know at least a dozen languages, and I'm willing to study any application's source. use of "interface" could loosely be applied to either XPCOM or COM interfaces, or .NET interfaces, or even the use of pure-virtual (virtual+abstract) base-classes for OOP languages that lack the ability to declare an interface distinct from a class. I am mostly looking for a robust, thorough and flexible implementation for a document, IDocument, various document views (IDocumentView), and whatever operations make sense in that case. I am particular interested in cases where the product in question is a real-world product. For example, if anybody familiar with OpenOffice can tell me if the code contains a good sample design. I am looking for design documentation that outlines the design of the interfaces for such an application. So for example, if the openoffice spreadsheet has such an interface design, then that might be the best case, because it is a widely used real-world design, with millions of users, rather than a textbook example, which is minimal, and contrived. I know that the Mozilla platform uses XPCOM, and its design is heavily "interface" oriented, but I am looking more for a "word processor" or "spreadsheet" type of document design, rather than a web-browser. I am particularly interested in the interfaces used to access to data and meta-data such as markup (attributes like bold, and italics, and font size), and the ability to search and look up named entities within a document.

    Read the article

< Previous Page | 8 9 10 11 12 13 14 15 16 17 18 19  | Next Page >