Request ..
i have a question...
i have two reports which are spooled from Oracle.they are exported t .xls files. i bring the two excel sheets in the same workbook.. then i need to pick up values from the two sheets (RM and PI) and plac them according to the transaction date accd to the date patter generated. the total quantities need to be picked from the two excel sheets fo that particular item.... how do i generate such a pattern ? any idea ? -- Message posted from http://www.ExcelForum.com |
Request ..
any one who has worked on such a report before...please help me..
-- Message posted from http://www.ExcelForum.com |
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