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  • Problem in In-App purchase-consumable model

    - by kunal-dutta
    I have created a nonconsumable in app purchase item and now I want to create a consumable in-app purchase by which a user to buy it every time he uses it,and also I want to create a subscription model In-App purchase. Everything works as expected except when I buy the item more than one time, iPhone pop ups a message saying "You've already purchased the item. Do You want to buy it again?". Is It possible to disable this dialog and proceed to the actual purchase?And what will have to change in following code with different model:- in InApp purchase manager.m: @implementation InAppPurchaseManager //@synthesize purchasableObjects; //@synthesize storeObserver; @synthesize proUpgradeProduct; @synthesize productsRequest; //BOOL featureAPurchased; //BOOL featureBPurchased; //static InAppPurchaseManager* _sharedStoreManager; // self (void)dealloc { //[_sharedStoreManager release]; //[storeObserver release]; [super dealloc]; } (void)requestProUpgradeProductData { NSSet *productIdentifiers = [NSSet setWithObject:@"com.vigyaapan.iWorkOut1" ]; productsRequest = [[SKProductsRequest alloc] initWithProductIdentifiers:productIdentifiers]; productsRequest.delegate = self; [productsRequest start]; // we will release the request object in the delegate callback } pragma mark - pragma mark SKProductsRequestDelegate methods (void)productsRequest:(SKProductsRequest *)request didReceiveResponse:(SKProductsResponse *)response { //NSArray *products = response.products; //proUpgradeProduct = [products count] == 1 ? [[products firstObject] retain]: nil; if (proUpgradeProduct) { NSLog(@"Product title: %@", proUpgradeProduct.localizedTitle); NSLog(@"Product description: %@", proUpgradeProduct.localizedDescription); NSLog(@"Product price: %@", proUpgradeProduct.price); NSLog(@"Product id:%@", proUpgradeProduct.productIdentifier); } /*for (NSString invalidProductId in response.invalidProductIdentifiers) { NSLog(@"Invalid product id: %@" , invalidProductId); }/ //finally release the reqest we alloc/init’ed in requestProUpgradeProductData [productsRequest release]; [[NSNotificationCenter defaultCenter] postNotificationName:kInAppPurchaseManagerProductsFetchedNotification object:self userInfo:nil]; } pragma - pragma Public methods /* call this method once on startup*/ (void)loadStore { /* restarts any purchases if they were interrupted last time the app was open*/ [[SKPaymentQueue defaultQueue] addTransactionObserver:self]; /* get the product description (defined in early sections)*/ [self requestProUpgradeProductData]; } /* call this before making a purchase*/ (BOOL)canMakePurchases { return [SKPaymentQueue canMakePayments]; } /* kick off the upgrade transaction*/ (void)purchaseProUpgrade { SKPayment *payment = [SKPayment paymentWithProductIdentifier:@"9820091347"]; [[SKPaymentQueue defaultQueue] addPayment:payment]; } pragma - pragma Purchase helpers /* saves a record of the transaction by storing the receipt to disk*/ (void)recordTransaction:(SKPaymentTransaction )transaction { if ([transaction.payment.productIdentifier isEqualToString:kInAppPurchaseProUpgradeProductId]) { / save the transaction receipt to disk*/ [[NSUserDefaults standardUserDefaults] setValue:transaction.transactionReceipt forKey:@"proUpgradeTransactionReceipt" ]; [[NSUserDefaults standardUserDefaults] synchronize]; } } /* enable pro features*/ (void)provideContent:(NSString )productId { if ([productId isEqualToString:kInAppPurchaseProUpgradeProductId]) { / enable the pro features*/ [[NSUserDefaults standardUserDefaults] setBool:YES forKey:@"isProUpgradePurchased" ]; [[NSUserDefaults standardUserDefaults] synchronize]; } } (void)finishTransaction:(SKPaymentTransaction )transaction wasSuccessful:(BOOL)wasSuccessful { // / remove the transaction from the payment queue.*/ [[SKPaymentQueue defaultQueue] finishTransaction:transaction]; NSDictionary *userInfo = [NSDictionary dictionaryWithObjectsAndKeys:transaction, @"transaction" , nil]; if (wasSuccessful) { /* send out a notification that we’ve finished the transaction*/ [[NSNotificationCenter defaultCenter]postNotificationName:kInAppPurchaseManagerTransactionSucceededNotification object:self userInfo:userInfo]; } else { /* send out a notification for the failed transaction*/ [[NSNotificationCenter defaultCenter] postNotificationName:kInAppPurchaseManagerTransactionFailedNotification object:self userInfo:userInfo]; } } (void)completeTransaction:(SKPaymentTransaction *)transaction { [self recordTransaction:transaction]; [self provideContent:transaction.payment.productIdentifier]; [self finishTransaction:transaction wasSuccessful:YES]; } (void)restoreTransaction:(SKPaymentTransaction *)transaction { [self recordTransaction:transaction.originalTransaction]; [self provideContent:transaction.originalTransaction.payment.productIdentifier]; [self finishTransaction:transaction wasSuccessful:YES]; } (void)failedTransaction:(SKPaymentTransaction )transaction { if (transaction.error.code != SKErrorPaymentCancelled) { / error!/ [self finishTransaction:transaction wasSuccessful:NO]; } else { / this is fine, the user just cancelled, so don’t notify*/ [[SKPaymentQueue defaultQueue] finishTransaction:transaction]; } } (void)paymentQueue:(SKPaymentQueue *)queue updatedTransactions:(NSArray *)transactions { for (SKPaymentTransaction *transaction in transactions) { switch (transaction.transactionState) { case SKPaymentTransactionStatePurchased: [self completeTransaction:transaction]; break; case SKPaymentTransactionStateFailed: [self failedTransaction:transaction]; break; case SKPaymentTransactionStateRestored: [self restoreTransaction:transaction]; break; default: break; } } } @end in SKProduct.m:- @implementation SKProduct (LocalizedPrice) - (NSString *)localizedPrice { NSNumberFormatter *numberFormatter = [[NSNumberFormatter alloc] init]; [numberFormatter setFormatterBehavior:NSNumberFormatterBehavior10_4]; [numberFormatter setNumberStyle:NSNumberFormatterCurrencyStyle]; [numberFormatter setLocale:self.priceLocale]; NSString *formattedString = [numberFormatter stringFromNumber:self.price]; [numberFormatter release]; return formattedString; }

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  • NHibernate: How to save list in the database?

    - by Anry
    I have a table Order, Transaction, Payment. Class Order has the properties: public virtual Guid Id { get; set; } public virtual DateTime Created { get; set; } ... I added properties: public virtual IList<Transaction> Transactions { get; set; } public virtual IList<Payment> Payments { get; set; } These properties contain a record of tables [Transaction] and [Payment]. How to keep these lists in the database?

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  • WCF Transaction Scope SQL insert table lock

    - by lihnid
    Hi All, I have two services talking to two different Data-stores (i.e SQL). I am using transactionscope: eg: using(TransactionScope scope = new TransactionScope()) { service1.InsertUser(user);//Insert to SQL Service 1 table User service2.SavePayment(payment);//Save payment SQL Service 2 table payment scope.Complete(); } Service1 is locking the table (User) until the transaction is completed making subsequent transactions with that table sequential. Is there a way to overcome the lock, so can have more than one concurrent calls to the SQL service1 table while the above code is executing? I would appreciate any input. Thanks in Advance. Lihnid

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  • NHibernate: Mapping collections of value types

    - by Anry
    I have a table Order, Transaction, Payment. Class Order has the properties: public virtual Guid Id { get; set; } public virtual DateTime Created { get; set; } ... I added properties: public virtual IList<Transaction> Transactions { get; set; } public virtual IList<Payment> Payments { get; set; } These properties contain a record of tables [Transaction] and [Payment]. How to keep these lists in the database?

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  • NHibernate: Mapping IList property

    - by Anry
    I have a table Order, Transaction, Payment. Class Order has the properties: public virtual Guid Id { get; set; } public virtual DateTime Created { get; set; } ... I added properties: public virtual IList<Transaction> Transactions { get; set; } public virtual IList<Payment> Payments { get; set; } These properties contain a record of tables [Transaction] and [Payment]. How to keep these lists in the database?

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  • How to display image when click the select option using jquery, css

    - by bob
    How to show an image while we select the option below. Example : - <select name="payment"> <option value="Paypal">Paypal</option> <option value="Bank">Bank</option> </select> <div id="payment"><img src="paypal.gif' alt="paypal' /></div> If we select paypal on div id="payment" will show the logo paypal and if bank will show bank logo. Can be done with jquery? let me know.

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  • Paypal recuring IPN signals

    - by user1548981
    When creating Paypal recurring payments i don't receive any notifications from IPN that the recurring payments were actually made. I do receive the notifications that recurring profiles are created, that regular payments are made, that profile is canceled and so on. But no notifications when Paypal make the recurring payment. The file that process the ipn notification works fine and i think is bug free.It also send me an email every time he got something from Paypal(with row POST data) so i don't think the problem is here. Does Paypal send these notifications.If i set a daily recurring payment i should get a daily notification that payment was made? From what i read in documentation i should get these signals but.. Thanks

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  • Filter by virtual column?

    - by user329957
    I have the following database structure : [Order] OrderId Total [Payment] OrderId Amount Every Order can have X payment rows. I want to get only the list of orders where the sum of all the payments are < than the order Total. I have the following SQL but I will return all the orders paid and unpaid. SELECT o.OrderId, o.UserId, o.Total, o.DateCreated, COALESCE(SUM(p.Amount),0) AS Paid FROM [Order] o LEFT JOIN Payment p ON p.OrderId = o.OrderId GROUP BY o.OrderId, o.Total, o.UserId, o.DateCreated I have tried to add Where (Paid < o.Total) but it does not work, any idea? BTM I'm using SQL CE 3.5

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  • conceptually different entities with a few similar properties should be stored in one table or more?

    - by Haghpanah
    Assume A and B are conceptually different entities that have a few similar properties and of course their own specific properties. In database design, should I put those two entities in one big aggregated table or two respectively designed tables. For instance, I have two types of payment; Online-payment and Manual-payment with following definition, TABLE [OnlinePayments] ( [ID] [uniqueidentifier], [UserID] [uniqueidentifier], [TrackingCode] [nvarchar](32), [ReferingCode] [nvarchar](32), [BankingAccID] [uniqueidentifier], [Status] [int], [Amount] [money], [Comments] [nvarchar](768), [CreatedAt] [datetime], [ShopingCartID] [uniqueidentifier], ) And TABLE [ManualPayments] ( [ID] [uniqueidentifier], [UserID] [uniqueidentifier], [BankingAccID] [uniqueidentifier], [BankingOrgID] [uniqueidentifier], [BranchName] [nvarchar](64), [BranchCode] [nvarchar](16), [Amount] [money], [SlipNumber] [nvarchar](64), [SlipImage] [image], [PaidAt] [datetime], [Comments] [nvarchar](768), [CreatedAt] [datetime], [IsApproved] [bit], [ApprovedByID] [uniqueidentifier], ) One of my friends told me that creating two distinct tables for such similar entities is not a well design method and they should be put in one single table for the sake of performance and ease of data manipulations. I’m now wondering what to do? What is the best practice in such a case?

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  • javascript popup window with correct data

    - by Christian
    I want this code below open in a popup window. How do I do? html- <td align="right"><a onclick="confirmSubmit();" target="paywin" class="button"><span><?php echo $button_continue; ?></span></a></td> Java - var newwin = null; function confirmSubmit() { $.ajax({ type: 'GET', url: 'index.php?route=payment/dibs/confirm', success: function() { $('#checkout-form').submit(); } }); } //--></script> I tried something like this: var newwin = null; function confirmSubmit() { $.ajax({ type: 'GET', url: 'index.php?route=payment/dibs/confirm', success: window.onload = function() { $('#checkout-form').submit(); } }); window.open('http://www.melacs.com/index.php?route=payment/dibs/confirm') } //--></script>

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  • get first parent of iframe javascript

    - by baaroz
    I have a iframe inside test.aspx,when the user click on a pay button inside the Iframe,the iframe redirct to check.aspx that has same iframe if payment was success on first time, then window.parent.location.href==test.aspx if payment was failed the iframe redirect again to check.aspx,so now the window.parent.location.href==check.aspx while the payement was failed the the iframe keep redirect to check.aspx and the parent location keep changing ,so for example if the client failed 3 time,inside check.aspx I need to do window.parent.parent.parent.location.href to get test.aspx redirect. when the user payment was success ,then I want to redirect the test.aspx but I can't know how much child iframe window he has! I need something like window.parent[0].location.href=success.aspx,so I will be able to redirect the first father window. Thanks for any Help Baaroz

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  • Help in restructuring a project

    - by mrblah
    I have a commerce application, asp.net mvc. I want it to be extensible in the sense others can create other payment providers, as long as they adhere to the interfaces. /blah.core /blah.web /blah.Authorize.net (Implementation of a payment provider using interfaces Ipaymentconfig and paymentdata class) Now the problem is this: /blah.core - PaymentData /blah.core.interfaces - IPaymentConfig where Payment Data looks like: using blah.core; public class PaymentData { public Order Order {get;set;} } IPayment data contains classes from blah.core like the Order class. Now I want to use the actual Authorize.net implementation, so when I tried to reference it in the blah.core project I got a circular dependency error. How could I solve this problem? Many have said to break out the interfaces into their own project, but the problem is PaymentData references entities that are found in blah.core also, so there doesn't seem to be a way around this (in my head anyhow). How can I redesign this?

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  • Site Review: MortgageCalculator.org - Forms Evaluation

    This site allows users to enter basic loan information into a form and when the user clicks the submit button the information is used to calculate a loan summary which includes: monthly payment, total interest paid, and the last payment date. This site uses server side validation and replaces any value not within a normal range with the calculator default for the form field. In addition, they also use server side code to calculate the items on the loan summary which is then displayed to the user. I personally think that by adding client side validation, it would improve the users experience because it would ensure that the data being submitted is within an acceptable norm and if the data entered was not within this range then it would allow the user to adjust the data.

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  • T-SQL Tuesday #21 - Crap!

    - by Most Valuable Yak (Rob Volk)
    Adam Machanic's (blog | twitter) ever popular T-SQL Tuesday series is being held on Wednesday this time, and the topic is… SHIT CRAP. No, not fecal material.  But crap code.  Crap SQL.  Crap ideas that you thought were good at the time, or were forced to do due (doo-doo?) to lack of time. The challenge for me is to look back on my SQL Server career and find something that WASN'T crap.  Well, there's a lot that wasn't, but for some reason I don't remember those that well.  So the additional challenge is to pick one particular turd that I really wish I hadn't squeezed out.  Let's see if this outline fits the bill: An ETL process on text files; That had to interface between SQL Server and an AS/400 system; That didn't use SSIS (should have) or BizTalk (ummm, no) but command-line scripting, using Unix utilities(!) via: xp_cmdshell; That had to email reports and financial data, some of it sensitive Yep, the stench smell is coming back to me now, as if it was yesterday… As to why SSIS and BizTalk were not options, basically I didn't know either of them well enough to get the job done (and I still don't).  I also had a strict deadline of 3 days, in addition to all the other responsibilities I had, so no time to learn them.  And seeing how screwed up the rest of the process was: Payment files from multiple vendors in multiple formats; Sent via FTP, PGP encrypted email, or some other wizardry; Manually opened/downloaded and saved to a particular set of folders (couldn't change this); Once processed, had to be placed BACK in the same folders with the original archived; x2 divisions that had to run separately; Plus an additional vendor file in another format on a completely different schedule; So that they could be MANUALLY uploaded into the AS/400 system (couldn't change this either, even if it was technically possible) I didn't feel so bad about the solution I came up with, which was naturally: Copy the payment files to the local SQL Server drives, using xp_cmdshell Run batch files (via xp_cmdshell) to parse the different formats using sed, a Unix utility (this was before Powershell) Use other Unix utilities (join, split, grep, wc) to process parsed files and generate metadata (size, date, checksum, line count) Run sqlcmd to execute a stored procedure that passed the parsed file names so it would bulk load the data to do a comparison bcp the compared data out to ANOTHER text file so that I could grep that data out of the original file Run another stored procedure to import the matched data into SQL Server so it could process the payments, including file metadata Process payment batches and log which division and vendor they belong to Email the payment details to the finance group (since it was too hard for them to run a web report with the same data…which they ran anyway to compare the emailed file against…which always matched, surprisingly) Email another report showing unmatched payments so they could manually void them…about 3 months afterward All in "Excel" format, using xp_sendmail (SQL 2000 system) Copy the unmatched data back to the original folder locations, making sure to match the file format exactly (if you've ever worked with ACH files, you'll understand why this sucked) If you're one of the 10 people who have read my blog before, you know that I love the DOS "for" command.  Like passionately.  Like fairy-tale love.  So my batch files were riddled with for loops, nested within other for loops, that called other batch files containing for loops.  I think there was one section that had 4 or 5 nested for commands.  It was wrong, disturbed, and completely un-maintainable by anyone, even myself.  Months, even a year, after I left the company I got calls from someone who had to make a minor change to it, and they called me to talk them out of spraying the office with an AK-47 after looking at this code.  (for you Star Trek TOS fans) The funniest part of this, well, one of the funniest, is that I made the deadline…sort of, I was only a day late…and the DAMN THING WORKED practically unchanged for 3 years.  Most of the problems came from the manual parts of the overall process, like forgetting to decrypt the files, or missing/late files, or saved to the wrong folders.  I'm definitely not trying to toot my own horn here, because this was truly one of the dumbest, crappiest solutions I ever came up with.  Fortunately as far as I know it's no longer in use and someone has written a proper replacement.  Today I would knuckle down and do it in SSIS or Powershell, even if it took me weeks to get it right. The real lesson from this crap code is to make things MAINTAINABLE and UNDERSTANDABLE.  sed scripting regular expressions doesn't fit that criteria in any way.  If you ever find yourself under pressure to do something fast at all costs, DON'T DO IT.  Stop and consider long-term maintainability, not just for yourself but for others on your team.  If you can't explain the basic approach in under 5 minutes, it ultimately won't succeed.  And while you may love to leave all that crap behind, it may follow you anyway, and you'll step in it again.   P.S. - if you're wondering about all the manual stuff that couldn't be changed, it was because the entire process had gone through Six Sigma, and was deemed the best possible way.  Phew!  Talk about stink!

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  • Guidance on building an au pair-to-family networking site.

    - by Philip Kidd
    I'm building a website for an au pair agency business that will connect au pairs to families around Europe. I know nothing about website building, HTML etc. so I'm using a wysiwyg editer (weebly). How I would like the site to function: Families upload their information into profiles Au pairs do the same families can view a limited part of an au pairs' profile until they pay a deposit After deposit is payed, all au pairs' profile information becomes open to families Families can order au pairs and confirm their order with another payment payment must be made before 'order' is confirmed By 'order' I mean full communications become open between the family and the au pair they have 'ordered' as well as travel information being sent to another agency the site needs to be linked with a bank account (e.g paypal) and another agency, who will look after the flight bookings etc. A website already exists for this business however it just contains information on the business and application forms - if the site becomes fully automated it will relieve a lot of strain on administration in the office (dealing with applications, travel information etc.)

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  • WebCenter Customer Spotlight: Los Angeles Department of Water and Power

    - by me
    Author: Peter Reiser - Social Business Evangelist, Oracle WebCenter  Solution Summary Los Angeles Department of Water and Power (LADWP) is the largest public utility company in the United States with over 1.6 million customers. LADWP provides water and power for millions of residential & commercial customers in Southern California. The goal of the project was to implement a newly designed web portal to increase customer self-service while reducing transactions via IVR and automate many of the paper based processes to web based workflows for their 1.6 million customers. LADWP implemented a Self Service Portal using Oracle WebCenter Portal & Oracle WebCenter Content and Oracle SOA Suite for the integration of their complex back-end systems infrastructure. The new portal has received extremely positive feedback from not only the customers and users of the portal, but also other utilities. At Oracle OpenWorld 2012, LADWP won the prestigious WebCenter innovation award for their innovative solution. Company OverviewLos Angeles Department of Water and Power (LADWP) is the largest public utility company in the United States with over 1.6 million customers. LADWP provides water and power for millions of residential & commercial customers in Southern California. LADWP also bills most of these customers for sanitation services provided by another department in the city of Los Angeles.  Business ChallengesThe goal of the project was to implement a newly designed web portal that is easy to navigate from a web browser and mobile devices, as well as be the platform for surfacing internet and intranet applications at LADWP. The primary objective of the new portal was to increase customer self-service while reducing the transactions via IVR and walk-up and to automate many of the paper based processes to web based workflows for customers. This includes automation of Self Service implemented through My Account (Bill Pay, Payment History, Bill History, Usage analysis, Service Request Management) Financial Assistance Programs Customer Rebate Programs Turn Off/Turn On/Transfer of Services Outage Reporting eNotification (SMS, email) Solution DeployedLADWP implemented a Self Service Portal using Oracle WebCenter Portal & Oracle WebCenter Content. Using Oracle SOA Suite they integrated various back-end systems including Oracle Siebel CRM IBM Mainframe based CIS FILENET for document management EBP Eletronic Bill Payment System HP Imprint System for BillXML data Other systems including outage reporting systems, SMS service, etc. The new portal’s features include: Complete Graphical redesign based on best practices in UI Design for high usability Customer Self Service implemented through MyAccount (Bill Pay, Payment History, Bill History, Usage Analysis, Service Request Management) Financial Assistance Programs (CRM, WebCenter) Customer Rebate Programs (CRM, WebCenter) Turn On/Off/Transfer of services (Commercial & Residential) Outage Reporting eNotification (SMS, email) Multilingual (English & Spanish) – using WebCenter multi-language support Section 508 (ADA) Compliant Search – Using WebCenter SES (Secured Enterprise Search) Distributed Authorship in WebCenter Content Mobile Access (any Mobile Browser) Business ResultsThe new portal has received extremely positive feedback from not only customers and users of the portal, but also other utilities. At Oracle OpenWorld 2012, LADWP won the prestigious WebCenter innovation award for their innovative solution. Additional Information LADWP OpenWorld presentation Oracle WebCenter Portal Oracle WebCenter Content Oracle SOA Suite

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  • How to safely collect bank account from website?

    - by Alexandru Trandafir Catalin
    I want to collect bank account information from my customers on my website. I'd like to do that trough a form, then I will download it to a PC, print it, and then delete it from the website. Or eventually, send it somewhere external right after the user submitted the form so it never gets stored on the website. The goal is to recieve the payment information without having to ask the customer to print, fill manually, and send it over fax. And accomplish this without having to use an external payment gateway. Thank you, Alex.

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  • Mobile Money

    A cellphone-based cash transfer system has changed the way Kenyans handle their finances Business - Financial services - Kenya - Money Transfers - Other Payment Systems

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  • Shopping cart for service providers?

    - by uos??
    From my limited exposure, it seems to me that most shopping cart/eCommerce platforms are specifically for products-based retailers. On several occasions now, I've been asked about ecommerce solutions for service providers. That is, it's basically just a single product with payment but no shipping, and highly configurable "product". Any recommendations for a cost-efficient solution (high feature coverage) for such a web platform? Requirements: .NET No/suppressed product catalog A service customization selection form Payment (probably PayPal with accountless credit card processing) Guest purchases (no site account required) Email confirmation Customer service -facing control panel It's hard to search for such a product because I get "web service based ecommerce software" and so on clouding up the results.

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  • Issues signing up for Windows Azure free trial and pay as you go service

    - by Robert Greiner
    I get the following error when trying to sign up for the Azure 90-day free trial: We can't authorize the payment method. Please make sure the information is correct, or use another payment method. If you continue to get this message, please contact your financial institution. I've tried three different cards, two credit and one debit. Those cards are issued from two different banks. I've also tried the cards on two separate accounts. Someone from my work also confirmed that he could not sign up for the free trial either. Has anyone else had this problem? I haven't really seen much help searching Google and the support staff doesn't seem interested in helping people sign up for free accounts.

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  • Searching for an online shop accessible via API

    - by Simon A. Eugster
    I need an online shop with a custom interface (customizing items with Ajax, with a preview included). Writing it myself does not make too much sense (implementing all the payment options etc.), so I would like to use an existing online shop (OpenSource). I would like to build my own UI which, for example, tells the shop to add an item to its cart -- i.e. without using the online shop's native UI. More precisely, it should be an online gallery where the user can directly order an image if he likes it. The final checkout/payment page can be native again. Is there a shop system that supports this? Or is it still faster to write it on my own? Or are there better options?

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  • Windows Store now open to lots more developers (120 markets!)

    - by Michael B. McLaughlin
    See the post here: http://blogs.msdn.com/b/windowsstore/archive/2012/09/11/windows-store-now-open-to-all-developers.aspx . This includes individual accounts now so if you tried signing up before and got a message about it only covering company accounts, you can sign up now. Don’t forget to verify your account and setup your payment and tax information. Also, if you are an MSDN subscriber you should be able to get a code from the MSDN site that will give you a free year (saving $49 US) but you will still need to submit some form of payment (e.g. credit or debit card) for verification purposes and so that they can automatically rebill you at the end of the subscription year (unless you’ve cancelled your account for some reason, of course). Go forth and register and make awesome games and apps for me to buy and play and use!

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  • Help Convert Your Pipeline Opportunities Into Wins

    - by swalker
    Are you looking for an extra advantage to help convert your pipeline opportunities into wins?  The Buy Now, Pay Less for Oracle Hardware & Software  and the Oracle Database Appliance (ODA) Low Entry Payment offer simplified payment plans, with low promotional rates which represent the most affordable way for your accounts to acquire the systems they need now. With payments you grow your deals by selling into future years' budgets; and you mitigate your credit and collections risk - Oracle pays you on behalf of your customer, while your customer makes payments over time. Payments deliver the following benefits: Uncover hidden obstacles and shorten sales-cycles Access the financial decision maker Offer an alternate line of credit Differentiate or match your competition Offer an alternate line of credit to preserve scarce capital Don't wait for a request for financing from your account. Quote your business with these promotions proactively, before any requests. For more information on Oracle Financing for partners visit us at OPN or email [email protected]

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  • Determining if a visitor left your server

    - by Jeepstone
    We have an Apache server running a PHP website. The site is an e-commerce shop. We currently use Barclays as the payment provider but are seeing a lot of customers drop out at the point at which we transfer them to the payment gateway (hosted with Barclays) I can see specific instances in the shop where orders have been created but not paid/failed but I need to ascertain if the user has definitely left our server (or just failed to reach Barclays). Is there anything in any of the server/access logs that states when a user transferred to a different domain?

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