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i am trying to setup a checkbook balancing spreadsheet that automatically
changes the ending balance when i enter the deposit or withdrawl. the sequence is as follows: description date deposit withdrawl balance starting balance $100 credit card payment 1/1/06 $20 $80 payroll 1/2/06 $300 $380 any sugessions please. explain to me step by step what to do please. i am using microsoft office 2003 |