Set Task's Work Complete Field using values in Excel sheet - excel

I'm using VBA to set each Work Complete field of a Project task using values from the Work Complete column in my Excel sheet.
When I set the Work Complete Field to 100 sometimes it sets the Project task's work complete to 0. This does not occur with any other value.
Here is my code:
For Each row In tasksDict.Keys
Dim t As task
' Get unique id in this row
UID = Range("A" & row)
workCompl = Val(Range("F" & row)) * 100
Debug.Print ("ID: " & UID & "Work complete: ") & workCompl ' This prints out the correct values
Set t = prj.tasks.uniqueID(UID) ' Get task by unique ID
If Not t.Summary Then
t.SetField FieldID:=188743713, Value:=workCompl ' Set task work complete
End If
Next row

Your code is not setting the work complete field to 100, it is multiplying the existing value in the column F by 100.
workCompl = Val(Range("F" & row)) * 100
Since you are using the above formula, you will get a 100 only when column F has a value of 1. If your objective is to set everything to 100 then use:
workCompl = 100
Hope this helps.
Edit1:
Can you try this instead of the if statement you have:
If Not t.Summary Then
projectField = FieldNameToFieldConstant("PercentComplete")
t.SetField FieldID:=projectField, Value:=workCompl ' Set task work complete
End If

Related

VBA Range.End(xlDown) stops at last visible row

I am doing a simple VBA script in Microsoft Excel which iterates a list of cars and a list of information about when the cars were refueled to provide an overview of how many kilometers each car is driving each month.
I make use of the Range.End property to calculate the number of rows with data and then loop through the indicies.
Set Data = Worksheets("Tankninger") ' Danish for refuellings
NumRows = Data.Range("A1", Data.Range("A1").End(xlDown)).Rows.Count
For x = 1 To NumRows
' Process data
Next
Everything seemed to be working fine, however I found that if someone applied a filter to e.g. the sheet with refuelling data - e.g. only showing data related to car A, then NumRows would be assigned the index of the last visible row.
Example: if the refuling sheet contains 100 records and the records related car A are located on row 50-60, then NumRows would be assigned the value 60 - resulting in my script ignoring the last 40 records.
Is there a way to make the Range.End property ignore any filter applied to sheet, or will I have to change the implementation to use a while-loop instead?
I ended up replacing the for-loop with a while-loop. This allowed me to access every cell regardless of any filtering applied to the sheets.
Set Data = Worksheets("Tankninger") ' Danish for refuellings
r = 2
While Not IsEmpty(Cars.Cells(r, 1).value)
' Process data
Wend
What you can do is add the following in your code to remove filters before you find the last row with data.
'Remove all filters
Worksheets("Sheet1").Activate
On Error Resume Next
ActiveSheet.ShowAllData

How can I lookup data from one column, when the value I'm referencing changes columns?

I want to do an INDEX-MATCH-like lookup between two documents, except my MATCH's index array doesn't stay in one column.
In Vague-English: I want a value from a known column that matches another value that may be found in any column.
Refer to the image below. Let's call everything to the left of the bold vertical line on column H doc1, and the right side will be doc2.
Doc2 has a column "Find This", which will be the INDEX's array. It is compared with "ID1" from doc1 (Note that the values in "Find This" will not be in the same order as column ID1, but it's easier to undertsand this way).
The "[Result]" column in doc2 will be the value from doc1's "Want This" column from the row that matches "FIND THIS" ...However, sometimes the value from "FIND THIS" is not in the "ID1" column, and is instead in "ID2","ID3", etc.
So, I'm trying to generate Col K from Col J. This would be like pressing Ctrl+F and searching for a value in Col J, then taking the value from Col D in that row and copying it to Col K.
I made identical values from a column the same color in the other doc to make it easier to visualize where they are coming from.
Note also that in column F of doc1, the same value from doc2's "Find This" can be found after some other text.
Also note that the column headers are only there as examples, the ID columns are not actually numbered.
I would simply hard-code the correct column to search from, but I'm not in control of doc1, and I'm worried that future versions may have new "ID" columns, with other's being removed.
I'd prefer this to be a solution in the form of a formula, but VB will do.
To generate column K based on given values of column J then you could use the following:
=INDEX(doc1!$D$2:$D$14,SUMPRODUCT((doc1!$B$2:$H$14=J2)*ROW(doc1!$B$2:$H$14))-1)
Copy that formula down as far as you need to go.
It basically only returns the row of the where a matching column J is found. we then find that row in the index of your D range to get your value in K.
Proof of concept:
UPDATE:
If you are working with non unique entities n column J. That is the value on its own can be found in multiple rows and columns. Consider using the following to return the Last row where there J value is found:
=INDEX(doc1!$D$2:$D$14,AGGREGATE(14,6,(doc1!$B$2:$H$14=J2)*ROW(doc1!$B$2:$H$14),1)-1)
UPDATE 2:
And to return the first row where what you are looking in column J is found use:
=INDEX($D$2:$D$14,AGGREGATE(15,6,1/($B$2:$H$14=J2)*ROW($B$2:$H$14)-1,1))
Thanks to Scott Craner for the hint on the minimum formula.
To determine if you have UNIQUE data from column J in your range B2:H14 you can enter this array formula. In order to enter an array formula you need to press CTRL+SHFT+ENTER at the same time and not just ENTER. You will know you have done it right when you see {} around your formula in the formula bar. You cannot at the {} manually.
=IF(MAX(COUNTIF($B$2:$H$14,J2:J14))>1,"DUPLICATES","UNIQUE")
UPDATE 3
AGGREGATE - A relatively new function to me but goes back to Excel 2010. Aggregate is 19 functions rolled into 1. It would be nice if they all worked the same way but they do not. I think it is functions numbered 14 and up that will perform the same way an array formula or a CSE formula if you prefer. The nice thing is you do not need to use CSE when entering or editing them. SUMPRODUCT is another example of a regular formula that performs array formula calculations.
The meat of this explanation I believe is what is happening inside of the AGGREGATE brackets. If you click on the link you will get an idea of what the first two arguments are. The first defines which function you are using, and the second tell AGGREGATE how to deal with Errors, hidden rows, and some other nested functions. That is the relatively easy part. What I believe you want to know is what is happening with this:
(doc1!$B$2:$H$14=J2)*ROW(doc1!$B$2:$H$14)
For illustrative purpose lets reduce this formula to something a little smaller in scale that does the same thing. I'll avoid starting in A1 as that can make life a little easier when counting since it the 1st row and first column. So by placing the example range outside of it you can see some more special considerations potentially.
What I want to know is what row each of the items list in Column C occurs in column B
| B | C
3 | DOG | PLATYPUS
4 | CAT | DOG
5 | PLATYPUS |
The full formula for our mini example would be:
{=($B$3:$B$5=C2)*ROW($B$3:$B$5)}
And we are going to look at the following as an array
=INDEX($B$3:$B$5,AGGREGATE(14,6,($B$3:$B$5=C2)*ROW($B$3:$B$5),1)-2)
So the first brackets is going to be a Boolean array as you noted. Every cell that is TRUE will TRUE until its forced into a math calculation. When that happens, True becomes 1 and False becomes 0.I that formula was entered as a CSE formula and place in D2, it would break down as follows:
FALSE X 3
FALSE X 4
TRUE X 5
The 3, 4 and 5 come from ROW() returning the value of the row number that it is dealing with at the time of the array math operation. Little trick, we could have had ROW(1:3). Just need to make sure the size of the array matches! This is not matrix math is just straight across multiplication. And since the Boolean is now experiencing a math operation we are now looking at:
0 X 3 = 0
0 X 4 = 0
1 X 5 = 5
So the array of {0,0,5} gets handed back to the aggregate for more processing. The important thing to note here is that it contains ONLY 0 and the individual row numbers where we had a match. So with the first aggregate formula, formula 14 was chosen which is the LARGE function. And we also told it to ignore errors, which in this particular case does not matter. So after providing the array to the aggregate function, there was a ,1) to finish off the aggregate function. The 1 tells the aggregate function that we want the 1st larges number when the array is sorted from smallest to largest. If that number was 2 it would be the 2nd largest number and so on. So the last row or the only row that something is found on is returned. So in our small example it would be 5.
But wait that 5 was buried inside another function called Index. and in our small example that INDEX formula would be:
=INDEX($B$3:$B$5,AGGREGATE(...)-2)
Well we know that the range is only 3 rows long, so asking for the 5th row, would have excel smacking you up side the head with an error because your index number is out of range. So in comes the header row correction of -1 in the original formula or -2 for the small example and what we really see for the small example is:
=INDEX($B$3:$B$5,5-2)
=INDEX($B$3:$B$5,3)
and here is a weird bit of info, That last one does not become PLATYPUS...it becomes the cell reference to =B5 which pulls PLATYPUS. But that little nuance is a story for another time.
Now in the comments Scott essentially told me to invert for the error to get the first row. And this is important step for the aggregate and it had me running in circles for awhile. So the full equation for the first row option in our mini example is
=INDEX($B$3:$B$5,AGGREGATE(15,6,1/($B$3:$B$5=C2)*ROW($B$3:$B$5),1)-2)
And what Scott Craner was actually suggesting which Skips one math step is:
=INDEX($B$3:$B$5,AGGREGATE(15,6,ROW($B$3:$B$5)/($B$3:$B$5=C2),1)-2)
However since I only realized this after writing this all up the explanation will continue with the first of these two equations
So the important thing to note here is the change from function 14 to function 15 which is SMALL. Think of it a finding the minimum. And this time that 6 plays a huge factor along with the 1/. So our array in the middle this time equates to:
1/FALSE X 3
1/FALSE X 4
1/TRUE X 5
Which then becomes:
1/0 X 3
1/0 X 4
1/1 X 5
Which then has excel slapping you up side the head again because you are trying to divide by 0:
#div/0 X 3
#div/0 X 4
1/1 X 5
But you were smart and you protected yourself from that slap upside the head when you told AGGREGATE to ignore error when you used 6 as the second argument/reference! Therefore what is above becomes:
{5}
Since we are performing a SMALL, and we passed ,1) as the closing part of the AGGREGATE, we have essentially said give me the minimum row number or the 1st smallest number of the resulting array when sorted in ascending order.
The rest plays out the same as it did for the LARGE AGGREGATE method. The pitfall I fell into originally is I did not use the 1/ to force an error. As a result, every time I tried getting the SMALL of the array I was getting 0 from all the false results.
SUMPRODUCT works in a very similar fashion, but only works when your result array in the middle only returns 1 non zero answer. The reason being is the last step of the SUMPRODUCT function is to all the individual elements of the resulting array. So if you only have 1 non zero, you get that non zero number. If you had two rows that matched for instance 12 and 31, then the SUMPRODUCT method would return 43 which is not any of the row numbers you wanted, where as aggregate large would have told you 31 and aggregate small would have told you 12.
Something like this maybe, starting in K2 and copied down:
=IFERROR(INDEX(D:D,MAX(IFERROR(MATCH(J2,B:B,0),-1),IFERROR(MATCH(J2,E:E,0),-1),IFERROR(MATCH(J2,G:G,0),-1),IFERROR(MATCH(J2,H:H,0),-1))),"")
If you want to keep the positions of the columns for the Match variable, consider creating generic range names for each column you want to check, like "Col1", "Col2", "Col3". Create a few more range names than you think you will need and reference them to =$B:$B, =$E:$E etc. Plug all range names into Match functions inside the Max() statement as above.
When columns are added or removed from the table, adjust the range name definitions to the columns you want to check.
For example, if you set up the formula with five Matches inside the Max(), and the table changes so you only want to check three columns, point three of the range names to the same column. The Max() will only return one result and one lookup, even if the same column is matched several times.
I came up with a vba solution if I understood correctly:
Sub DisplayActiveRange()
Dim sheetToSearch As Worksheet
Set sheetToSearch = Sheet2
Dim sheetToOutput As Worksheet
Set sheetToOutput = Sheet1
Dim search As Range
Dim output As Range
Dim searchCol As String
searchCol = "J"
Dim outputCol As String
outputCol = "K"
Dim valueCol As String
valueCol = "D"
Dim r As Range
Dim currentRow As Integer
currentRow = 1
Dim maxRow As Integer
maxRow = sheetToOutput.UsedRange.Rows.Count
For currentRow = 1 To maxRow
Set search = Range("J" & currentRow)
For Each r In sheetToSearch.UsedRange
If r.Value <> "" Then
If r.Value = search.Value Then
Set output = sheetToOutput.Range(outputCol & currentRow)
output.Value = sheetToSearch.Range(valueCol & currentRow).Value
currentRow = currentRow + 1
Set search = sheetToOutput.Range(searchCol & currentRow)
End If
End If
Next
Next currentRow
End Sub
There might be better ways of doing it, but this will give you what you want. We assume headers in both "source" and "destination" sheets. You will need to adapt the "Const" declarations according to how your sheets are named. Press Control & G in Excel to bring up the VBA window and copy and paste this code into "This Workbook" under the "VBA Project" group, then select "Run" from the menu:
Option Explicit
Private Const sourceSheet = "Source"
Private Const destSheet = "Destination"
Public Sub FindColumns()
Dim rowCount As Long
Dim foundValue As String
Sheets(destSheet).Select
rowCount = 1 'Assume a header row
Do While Range("J" & rowCount + 1).value <> ""
rowCount = rowCount + 1
foundValue = FncFindText(Range("J" & rowCount).value)
Sheets(destSheet).Select
Range("K" & rowCount).value = foundValue
Loop
End Sub
Private Function FncFindText(value As String) As String
Dim rowLoop As Long
Dim colLoop As Integer
Dim found As Boolean
Dim pos As Long
Sheets(sourceSheet).Select
rowLoop = 1
colLoop = 0
Do While Range(alphaCon(colLoop + 1) & rowLoop + 1).value <> "" And found = False
rowLoop = rowLoop + 1
Do While Range(alphaCon(colLoop + 1) & rowLoop).value <> "" And found = False
colLoop = colLoop + 1
pos = InStr(Range(alphaCon(colLoop) & rowLoop).value, value)
If pos > 0 Then
FncFindText = Mid(Range(alphaCon(colLoop) & rowLoop).value, pos, Len(value))
found = True
End If
Loop
colLoop = 0
Loop
End Function
Private Function alphaCon(aNumber As Integer) As String
Dim letterArray As String
Dim iterations As Integer
letterArray = "ABCDEFGHIJKLMNOPQRSTUVWXYZ"
If aNumber <= 26 Then
alphaCon = (Mid$(letterArray, aNumber, 1))
Else
If aNumber Mod 26 = 0 Then
iterations = Int(aNumber / 26)
alphaCon = (Mid$(letterArray, iterations - 1, 1)) & (Mid$(letterArray, 26, 1))
Else
'we deliberately round down using 'Int' as anything with decimal places is not a full iteration.
iterations = Int(aNumber / 26)
alphaCon = (Mid$(letterArray, iterations, 1)) & (Mid$(letterArray, (aNumber - (26 * iterations)), 1))
End If
End If
End Function

Returning multiple values using Vlookup in excel

I have an excel sheet set up to automatically calculate meetings per day by day of the week. I would like to write a formula to return all dates I have a meeting scheduled (comma separated preferably), but I am having some difficulty. Using Vlookup, I can only get it to return the first date.
For example, here is what my data looks like:
A B C
Initial Meetings Follow-up Meetings Date
1 1 7/29/2015
0 1 7/30/2015
1 1 7/31/2015
0 0 8/1/2015
0 0 8/2/2015
I would like to write a formula to return "7/29/2015, 7/31/2015" in one cell, and "7/29/2015, 7/30/2015, 7/31/2015" in another, but I seem to be stuck.
You can't do this with vLookup.
This can be done relatively easily in a VB script, but it would affect portability as many if not most users disable macros by default and in many cases users are prevented from using Macros because their company disables them and makes it policy that users should not use them.
If you are OK with Macros, you can put the following into a new module and then use =MultiVlookup(lookup_value,table_array, col_index_num) in the same way as you'd use vlookup and it should give you a comma separated list of multiple matches:
Public Function MultiVlookup(find_value, search_range, return_row)
Dim myval ' String to represent return value (comma-separated list)
Dim comma ' Bool to represent whether we need to prefix the next result with ", "
comma = False
'Debug.Print find_value.value, return_row
For Each rw In search_range.Rows ' Iterate through each row in the range
If rw.Cells(1, 1).value = find_value Then ' If we have found the lookup value...
If comma Then ' Add a comma if it's not the first value we're adding to the list
myval = myval + ", "
Else
comma = True
End If
myval = myval + Str(rw.Cells(1, return_row).value)
End If
Next
MultiVlookup = myval
End Function
This may not be the cleanest way of doing it, and it isn't a direct copy of vlookup (for instance it does not have a fourth "range lookup" argument as vlookup does), but it works for my test:
Finally my original suggestion (in case it helps others - it's not the exact solution to the question) was:
I've not tried it myself, but this link shows what I think you might be looking for.
Great code, but don't forget to add the following is you use Option Explicit:
Dim rw As Range
WHEELS

Turning an excel formula into a VBA function

I'm a bit new to trying to program and originally was just trying to improve a spreadsheet but it's gone beyond using a basic function in excel. I have a table that I am having a function look at to find a building number in the first column and then look at start and finish dates in two other respective columns to find out if it should populate specific blocks on a calendar worksheet. The problem occurs because the same building number may appear multiple times with different dates and I need to to find an entry that matches the correct dates.
I was able to create a working though complicated formula to find the first instance and learned I can add a nested if of that formula again in the false statement with a slight change. I can continue doing that but it becomes very large and cumbersome. I'm trying to find a way to make a function for the formula with a variable in it that would look at how many times the it has already been used so it keeps searching down the table for an answer that fits the parameters.
This is currently my formula:
=IFERROR(IF(AND(DATE('IF SHEET (2)'!$F$7,MATCH('IF SHEET (2)'!$C$2,'IF SHEET (2)'!$C$2:'IF SHEET (2)'!$N$2,0),'IF SHEET (2)'!C$4)>=VLOOKUP("2D11"&1,A2:F6,4,0),DATE('IF SHEET (2)'!$F$7,MATCH('IF SHEET (2)'!$C$2,'IF SHEET (2)'!$C$2:'IF SHEET (2)'!$N$2,0),'IF SHEET (2)'!C$4)<=VLOOKUP("2D11"&1,A2:F6,4,0)),IF(VLOOKUP("2D11"&1,A2:F6,3,0)="2D11",VLOOKUP("2D11"&1,A2:F6,6,FALSE)),"NO ANSWER"),"ERROR")
Where you see 2D11&1 is where I need the variable for 1 so it would be "number of times it's been used in the function +1" then I could just loop it so it would keep checking till it ran out of 2D11's or found one that matched. I haven't posted before and I'm doing this through a lot of trial and error so if you need more info please post and say so and I'll try to provide it.
So rather than have someone try to make sense of the rediculous formula I posted I though I would try to make it simpler by just stating what I need to accomplish and trying to see how to turn that into a VBA function. So I'm kinda looking at a few steps:
Matches first instance of building name in column A with
building name for the row of the output cell.
Is date connected with the output cell >= start date of first entry(which is user entered in column D).
Is date connected with the output cell <= end date of first entry(which is user entered in column E).
Enters Unit name(located in column F) for first instance of the building if Parts 1, 2, and 3 are all True.
If parts 1, 2, or 3 are False then loops to look at next instance of the building name down column 1.
Hopefully this makes things clearer than the formula so I'm able to get help as I'm still pretty stuck due to low knowledge of VBA.
Here is a simple solution...
Building_name = ???
Date = ???
Last_Row = Range("A65536").End(xlUp).Row
For i = 1 To Last_Row
if cells(i,1).value = Building_Name Then
if date >= cells(i,4).value Then
if date <= cells(i,5).value Then
first instance = cells(i,6).value
end if
end if
end if
next
you should add a test at the end to avoid the case where there is no first instance in the table
If I understand correctly, you have a Table T1 made of 3 columns: T1.building, T1.start date, T1.end date.
Then you have 3 parameters: P1=building, P2=start date, P3=end date.
You need to find the first entry in table T1 that "fits" within the input parameters dates, that is:
P1=T1.building
P2<=T1.start date
P3>=T1.end date
If so, you can define a custom function like this
Public Function MyLookup(Key As Variant, DateMin As Variant, DateMax As Variant, LookUpTable As Range, ResultColumn As Integer) As Range
Dim iIndx As Integer
Dim KeyValue As Variant
Dim Found As Boolean
On Error GoTo ErrHandler
Found = False
iIndx = 1
Do While (Not Found) And (iIndx <= LookUpTable.Rows.Count)
KeyValue = LookUpTable.Cells(iIndx, 1)
If (KeyValue = Key) And _
(DateMin <= LookUpTable.Cells(iIndx, 2)) And _
(DateMax >= LookUpTable.Cells(iIndx, 3)) Then
Set MyLookup = LookUpTable.Cells(iIndx, ResultColumn)
Found = True
End If
iIndx = iIndx + 1
Loop
Exit Function
ErrHandler:
MsgBox "Error in MyLookup: " & Err.Description
End Function
That may not be the most performant piece of code in the world, but I think it's explanatory.
You can download this working example

Excel: create sortable compound ID

All, I asked a question "Excel VBA: Sort, then Copy and Paste" and received two excellent answers. However, because I failed to provide sufficient user requirements, they won't work: I asked for a fix to the existing solution I created, instead of specifying the actual business need and seeing if anyone has a better way.
(sigh) Here goes:
My boss asked me to create a ss to log issues. He wants a compound ID that concatenates the "Assigned Date" with a number that indicates what number issue it is for that day only. A new day, the count must restart at 1. E.g.:
Assigned Issue Concatenated
Date & Count = ID
5/11/2011 & 1 = 5112011-1
5/11/2011 & 2 = 5112011-2
5/11/2011 & 3 = 5112011-3
5/12/2011 & 1 = 5122011-1
I solved this with a hidden column C that calculates =IF(D2<>D1,1,C1+1), thus calculating the Issue Count by incrementing the previous issue count if the assigned date in column D is the same as the previous date, and starting over at 1 when the date changes. Another column concatenates the assigned date and the issue count, and I have my issue ID.
Quick, easy, elegant, in, out, and done. Right? But when I delivered the ss, he pointed out that if you (that is, he) sorts any part of the spreadsheet, the issue ID goes out of sequence. Of course---each formula isn't referencing the previous date in sequence if the rows are sorted out of Assigned Date order.
My immediate thought, which prompted my previous question, was to first re-sort the Assigned Date order correctly, then copy and paste the value of the calculated Issue Count to lock it in, and thus preserve the concatenated ID.
The only other way I can see to do this (in VBA, natch) is to:
evaluate all the dates in the Assigned Date column
evaluate all the numbers in the Issue Count column
calculate the latest sequential Issue Count for an a new item assigned on a given Assigned Date
Assign that sequential Issue Count to the new item
It'd be nice to then place the cursor into the next cell that the user would ordinarily go to, which would be the one right adjacent to the just-entered Assigned Date; however, that isn't necessary
That would avoid the need to re-sort the physical ss. However, besides a hazy guess that this would involve VLOOKUP, I got nothing. I couldn't find anything through searching.
Can anyone help? Or suggest a place to go? Thanks!!!
Sounds like you just want to automate a Paste Special action. The following replaces the formulas in a1:a100 with their calculated values:
Set src = ActiveSheet.Range("a1:a100")
src.Copy
src.Select
Selection.PasteSpecial Paste:=xlPasteValues, _
Operation:=xlNone, _
SkipBlanks:=False, _
Transpose:=False
I think the formula =IF(D2<>D1,1,C1+1) could be improved as this relies on dates being in order. The following will preserve the count for any order that is sorted
Assume
ColA ColB ColC
Row1 Assigned_Date Issue Count Concatenate
Row2 05/11/2011 =COUNTIF($A$1:A2,A2) =TEXT(A2,"ddmmyyyy")&"-"&B2
Row3 05/11/2011 =COUNTIF($A$1:A3,A3) =TEXT(A3,"ddmmyyyy")&"-"&B3
Row4 05/12/2011 =COUNTIF($A$1:A4,A4) =TEXT(A4,"ddmmyyyy")&"-"&B4
Row5 05/11/2011 =COUNTIF($A$1:A5,A5) =TEXT(A5,"ddmmyyyy")&"-"&B5
Essentially enter B2 and C2 formulae and drag down. You might need to swap ddmmyyyy to mmddyyyy as we use dates first rather than months :)
Also, note the locking of the first part of the range only using $ - $A$1:Ax
This works perfectly for your current question but does not work if the Issue Count is assigned in time order per date.
How about using a procedure? Just click a button to add the next entry.
I've assumed that the entries will be given today's date and that the sheet layout is:
Rows: 1 = Title / 2 = left blank / 3 = Headings of the data block
Columns: A = Date / B = Issue Count / C = Combined ID / D etc = other data
Sub AddEntry()
Dim iDayRef As Long, iNumRows As Long, n As Long
With Range("A3")
iNumRows = .CurrentRegion.Rows.Count
For n = 2 To iNumRows
If .Cells(n, 1).Value = Date Then
If .Cells(n, 2).Value > iDayRef Then iDayRef = .Cells(n, 2).Value
End If
Next
.Cells(iNumRows + 1, 1).Value = Date
.Cells(iNumRows + 1, 2).Value = iDayRef + 1
.Cells(iNumRows + 1, 3).Value = Format(Date, "mm/dd/yyyy") & " - " & iDayRef + 1
.Cells(iNumRows + 1, 4).Select
End With
End Sub
And do you really need three columns for Date, Count, and Combined ID? If you went with a
yyyy/mm/dd - xx
ID format, one column could replace all three, and you could easily sort on it.

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