K
KPA
I have used a worksheet for client expense accounts for about six months.
When I updated data for the month of Jan, the formulas aren't running the
calculations to create the running balance... I have about 20 clients in one
workbook and 40 in another, and neither workbook is functioning. I can't
figure out what changed...
There are three columns to enter expenses and one for deposits, with a
running balance in the right column. I'd appreciate suggestions on how to
get back on track.
When I updated data for the month of Jan, the formulas aren't running the
calculations to create the running balance... I have about 20 clients in one
workbook and 40 in another, and neither workbook is functioning. I can't
figure out what changed...
There are three columns to enter expenses and one for deposits, with a
running balance in the right column. I'd appreciate suggestions on how to
get back on track.