Morning guys
I decided to build myself a finance spreadsheet to help keep track of my money and goals
I have a list of transactions in a Table from my current account with running total for each transaction. I then added an "Account Type" column with a drop down list to choose either "Current" or "Savings" this is where I am stuck. How can I get my running total to "realise" there are 2 different accounts now and they should be treated separately rather than using both accounts for the running total
Any help would be greatly appreciated
Thanks
Jonny
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