Hello -
I'm having issues figuring out how to complete my workflow. See attached workflow and source data files as an example.
My workflow is currently taking a trial balance exported from our ERP system and we are reformatting and exporting the data into separate tabs within the output file based on:
The output file is currently exporting as expected. The issue that I am having is that our ERP system is generating the trial balance (Test TB sheet 1 is the original unedited source data) with a separate line for balances as of 2019 and 2020 - I'm trying to update my workflow so that a single CoCode Acct# balance would only take up a single line and have a balance in the 2019 and 2020 column. For example, row 2 shows the 2019 balance for Co Code 1000, Acct # 111110 of $2,150.07 and row 3 shows the 2020 balance for Co Code 1000, Acct # 111110 of $1,453.94 - I'd like to essentially combine these rows via a vlookup type function so that the Co Code 1000, Acct # 111110 would report both the 2019 and 2020 balance in a single row.
Solved! Go to Solution.
Hi @bradaba
You can just a summarize to combine both fields since the data is able to be grouped by other columns. See below:
And then with the rest of the workflow, you can continue with what you have as you said it is working to what you need to work.
Please let us know if you have any questions about this solution.
Please assign a solution to the post if your questions were answered. It really helps us.
Pedro.
@bradaba
Appended some processing after your workflow and hope its what you need.
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