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  • Strategy for developing a multi function asp.net web application

    - by user247023
    I'm about to start a new project and want some advice on how to implement. I need a web application which contains a booking module for reserving timeslots, and a time management module which will enable employees to clock in / clock out. If I am writing an update to the time managment module, I don't want to disrupt the booking engine availability by releasing a new solution containing both modules. to make things more difficult, there is some shared functionality like common users, roles and security. Here's a suggestion I've gotten, which sounds a bit cruddy, but may be functional. Write a 'container' web application which consists of basically a frame, and authentication / security features. This then has links which, will load the 2 independantly built and released web applications into the frame. I can see that say, if I wanted to update the time management module, I would only need to build and release this separately, and the rest of the solution would be 'untouched' Any better alternatives?

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  • What's best Drupal deployment strategy?

    - by Horace Ho
    I am working on my first Drupal project on XAMPP in my MacBook. It's a prototype and receives positive feedback from my client. I am going to deploy the project on a Linux VPS two weeks later. Is there a better way than 're-do'ing everything on the server from scratch? install Drupal download modules (CCK, Views, Date, Calendar) create the Contents ... Thanks

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  • What database strategy to choose for a large web application

    - by Snoopy
    I have to rewrite a large database application, running on 32 servers. The hardware is up to date, each machine has two quad core Xeon and 32 GByte RAM. The database is multi-tenant, each customer has his own file, around 5 to 10 GByte each. I run around 50 databases on this hardware. The app is open to the web, so I have no control on the load. There are no really complex queries, so SQL is not required if there is a better solution. The databases get updated via FTP every day at midnight. The database is read-only. C# is my favourite language and I want to use ASP.NET MVC. I thought about the following options: Use two big SQL servers running SQL Server 2012 to serve the 32 servers with data. On the 32 servers running IIS hosting providing REST services. Denormalize the database and use Redis on each webserver. Use booksleeve as a Redis client. Use a combination of SQL Server and Redis Use SQL Server 2012 together with Hadoop Use Hadoop without SQL Server What is the best way for a read-only database, to get the best performance without loosing maintainability? Does Map-Reduce make sense at all in such a scenario? The reason for the rewrite is, the old app written in C++ with ISAM technology is too slow, the interfaces are old fashioned and not nice to use from an website, especially when using ajax. The app uses a relational datamodel with many tables, but it is possible to write one accerlerator table where all queries can be performed on, and all other information from the other tables are possible by a simple key lookup.

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  • Best indexing strategy for several varchar columns in Postgres

    - by Corey
    I have a table with 10 columns that need to be searchable (the table itself has about 20 columns). So the user will enter query criteria for at least one of the columns but possibly all ten. All non-empty criteria is then put into an AND condition Suppose the user provided non-empty criteria for column1 and column4 and column8 the query would be: select * from the_table where column1 like '%column1_query%' and column4 like '%column4_query%' and column8 like '%column8_query%' So my question is: am I better off creating 1 index with 10 columns? 10 indexes with 1 column each? Or do I need to find out what sets of columns are queried together frequently and create indexes for them (an index on cols 1,4 and 8 in the case above). If my understanding is correct a single index of 10 columns would only work effectively if all 10 columns are in the condition. Open to any suggestions here, additionally the rowcount of the table is only expected to be around 20-30K rows but I want to make sure any and all searches on the table are fast. Thanks!

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  • Could someone give me their two cents on this optimization strategy

    - by jimstandard
    Background: I am writing a matching script in python that will match records of a transaction in one database to names of customers in another database. The complexity is that names are not unique and can be represented multiple different ways from transaction to transaction. Rather than doing multiple queries on the database (which is pretty slow) would it be faster to get all of the records where the last name (which in this case we will say never changes) is "Smith" and then have all of those records loaded into memory as you go though each looking for matches for a specific "John Smith" using various data points. Would this be faster, is it feasible in python, and if so does anyone have any recommendations for how to do it?

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  • Strategy to rename the require_once function?

    - by openfrog
    Rather than just writing a new function called import() i'd like to know if there's a better solution. Otherwise require_once would be included in the scope of import() only, which is bad for any "global" variable there. My import() function would work differently than require_once, but serves the same purpose (enhanced usability).

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  • How to change Hibernate´s auto persistance strategy

    - by Kristofer Borgstrom
    I just noted that my hibernate entities are automatically persisted to the database (or at least to cache) before I call any save() or update() method. To me this is a pretty strange default behavior but ok, as long as I can disable it, it´s fine. The problem I have is I want to update my entity´s state (from 1 to 2) only if the entity in the database still has the state it had when I retrieved [1] (this is to eliminate concurrency issues when another server is updating this same object). For this reason I have created a custom NamedQuery that will only update the entity if state is 1. So here is some pseudo-code: //Get the entity Entity item = dao.getEntity(); item.getState(); //==1 //Update the entity item.setState(2); //Here is the problem, this effectively changes the state of my entity braking my query that verifies that state is still == 1. dao.customUpdate(item); //Returns 0 rows changes since state != 1. So, how do I make sure the setters don´t change the state in cache/db? Thanks, Kristofer

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  • Strategy for desugaring Haskell

    - by luqui
    I'm developing a virtual machine for purely functional programs, and I would like to be able to test and use the the wide variety of Haskell modules already available. The VM takes as input essentially terms in the untyped lambda calculus. I'm wondering what would be a good way to extract such a representation from modern Haskell modules (eg. with MPTC's, pattern guards, etc.). I did a little research and there doesn't seem to be a tool that does this already (I would be delighted to be mistaken), and that's okay. I'm looking for an approach. GHC Core seems too operationally focused, especially since one of the things the VM does is to change the evaluation order significantly. Are there any accessible intermediate representations that correspond more closely to the lambda calculus?

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  • Recommended migration strategy for C++ project in Visual Studio 6

    - by jacobsee
    For a large application written in C++ using Visual Studio 6, what is the best way to move into the modern era? I'd like to take an incremental approach where we slowly move portions of the code and write new features into C# for example and compile that into a library or dll that can be referenced from the legacy application. Is this possible and what is the best way to do it?

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  • Strategy for wiring up events?

    - by Jeffrey Cameron
    I'm using Ninject (1.5 ... soon to be 2) and I'm curious how other people use Ninject or other IoC containers to help wire up events to objects? It seems to me in my code that I'm doing it herky-jerky all over the place and would love some advice on how to clean it up a bit. What are people doing out there to manage this?

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  • Improve SQL strategy - denormalize in object-children-images case

    - by fesja
    Hi, I have a Tour object which has many Place objects. For the list of tours, I want to show some info of the tour, the number of places of the tour, and three Place's images. Right one my SQL queries are (i'm using Doctrine with Symfony on MySQL) get Tour get Tour 1 places get Tour 2 places get Tour 3 places ... get Tour n places If I have a three Tour list, it's not so bad; but I'm sure it can get bad if I do a 10-20 tour-list. So, thinking on how to improve the queries I've thought of several measures: Having a place count cache Storing the urls of three images on a new tour field. The problem with 2. is that if I change the image, I have to check all the tours to update that image for another one. What solution do you think is best to scale the system in a near future? Any other suggestion. thanks!

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  • Best strategy for HTML parcial rendering based on multiple dropdown values

    - by pv2008
    I have a View that renders something like this: "Item 1" and "Item 2" are <tr> elements from a table. After the user change "Value 1" or "Value 2" I would like to call a Controller and put the result (some HTML snippet) in the div marked as "Result of...". I have some vague notions of JQuery. I know how to bind to the onchage event of the Select element, and call the $.ajax() function, for example. But I wonder if this can be achieved in a more efficient way in ASP.NET MVC2.

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  • Simulate Golf Game Strategy

    - by Mitchel Sellers
    I am working on what at best could be considered a "primitive" golf game, where after a certain bit of randomness is introduced I need to play out a hole of golf. The hole is static and I am not concerned about the UI aspect as I just have to draw a line on a graphic of the hole after the ball has been hit showing where it traveled. I'm looking for input on thoughts of how to manage the "logic" side of the puzzle, below are some of my thoughts on the matter, input, suggestions, or references are greatly appreciated. Map out the hole into an array with a specific amount of precision, noting the type of surface: out of bounds, fairway, rough, green, sand, water, and most important the hole. Map out "regions" and if the ball is contained inside one of these regions setup parameters for "maximum" angle of departure. (For example the first part of the hole the shot must be between certain angles Using the current placement of the ball, and the region contained in #2, define a routine to randomly select the shooting angle, and power then move the ball, adjust the trajectory and move again. I know this isn't the "most elegant" solution, but in reality, we are looking for a quick and dirty solution, as I just have to do this a few times, set it and forget it afterward. From a languages perspective I'll be using ASP.NET and C# to get this done.

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  • DB Strategy for inserting into a high read table (Sql Server)

    - by Tom
    Looking for strategies for a very large table with data maintained for reporting and historical purposes, a very small subset of that data is used in daily operations. Background: We have Visitor and Visits tables which are continuously updated by our consumer facing site. These tables contain information on every visit and visitor, including bots and crawlers, direct traffic that does not result in a conversion, etc. Our back end site allows management of the visitor's (leads) from the front end site. Most of the management occurs on a small subset of our visitors (visitors that become leads). The vast majority of the data in our visitor and visit tables is maintained only for a much smaller subset of user activity (basically reporting type functionality). This is NOT an indexing problem, we have done all we can with indexing and keeping our indexes clean, small, and not fragmented. ps: We do not currently have the budget or expertise for a data warehouse. The problem: We would like the system to be more responsive to our end users when they are querying, for instance, the list of their assigned leads. Currently the query is against a huge data set of mostly irrelevant data. I am pondering a few ideas. One involves new tables and a fairly major re-architecture, I'm not asking for help on that. The other involves creating redundant data, (for instance a Visitor_Archive and a Visitor_Small table) where the larger visitor and visit tables exist for inserts and history/reporting, the smaller visitor1 table would exist for managing leads, sending lead an email, need leads phone number, need my list of leads, etc.. The reason I am reaching out is that I would love opinions on the best way to keep the Visitor_Archive and the Visitor_Small tables in sync... Replication? Can I use replication to replicate only data with a certain column value (FooID = x) Any other strategies?

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  • Strategy for using snapshots to back up Ubuntu Linux server?

    - by MountainX
    I need some backup advice for my home file server. Here are the mount points, volume groups, logical volumes and used/total space of all the volumes on my Ubuntu 8.10 home file server. / vgA/lvRoot [7.5G/50G] /tmp vgB/lvTmp [195M/30G] /var vgB/lvVar [780M/30G] swap vgB/lvSwap [16.00 GB] /media1 vgC/lvMedia1 [400G/975G] /media2 vgC/lvMedia2 [75G/295G] /boot partition (no volume group) [95M/200M] /video partition (no volume group) [450G/950G] /backups vgD/lvBackupTarget [800G/925G] /home vgE/lvHome [85G/200G] I have just added a 2.0 TB external USB drive that I would like to use to backup everything. (It will be a close fit to get it all on one 2.0 TB drive. I actually have a 2nd external USB drive if needed.) I'd like to backup "/", var, /media1, media2 and /home. I'll deal with /boot and /video separately since they are not logical volumes. For all the logical volumes I'm anticipating taking snapshots and then copying those snapshots to the 2.0 TB external USB drive. I have never done a task like that before. If I do that, I could use the tutorial I found here: http://www.howtoforge.com/linux_lvm_snapshots My questions are: What is the best overall strategy? Is it LVM snapshots, as I'm assuming? How should I prepare, subdivide and mount the 2.0 TB external USB drive? 2.a. Should I create one or more regular partitions or should I create a physical volume with one or more logical volumes? 2.b. Would it be advisable to extactly mirror the source pv/lv layout on the external drive, and if so, is this a good strategy? What's the best way to get the snapshots onto the external drive? dd? Even though this is a strategy question, feedback with actual commands is appreciated. I need step-by-step cookbook-style help because I don't do much server admin work. (Background: This is a home file server that I have rarely had to touch in about 2 years. It has done its job without much intervention. The really old PC that I used to back everything up recently failed, so I'm replacing that with the external USB drive(s) and I'd like to upgrade my backup strategy at the same time. Previously, I just copied stuff from /backups over to the other computer and that would not have made things very easy in a real restore situation. The /backups mount point contains backup copies of "most" of the important data on a file by file basis, but it does not contain copies of /boot, etc. BTW, the actual internal HDD that holds /backups is separate from the other storage devices.) EDIT: I'll propose a strategy... The idea came from a comment here: LVM mirroring VS RAID1 "LVM mirrors are for replication of a logical volume to a different physical volume. It's essentially meant to "move the data to a different disk". The mirror is then broken..." That would fit my requirements well. Here is an ideal situation: establish the LV mirror on the external drive break the link with the mirror create a (persistent) snapshot on the mirror after a week, resync the mirror with the original source and update the mirror break the link and create another snapshot on the mirror. Obviously, the mirror will be like a weekly full backup. And the snapshots on the mirror will represent earlier points in time. If this would work and if it would be time efficient, it would give a nice full & differential type backup on the external drive based on LVM. I have not heard of a strategy like this before. Will it work? Could it be scripted? Thoughts? EDIT 2: Creating Portable DiskSafes With LoopbackFS And LVM Snapshots This article seems intriguing: http://www.howtoforge.com/creating-portable-disksafes-with-loopbackfs-and-lvm-snapshots Unfortunately, I don't understand exactly how to map those ideas to the strategy I'm proposing above. I'm going to ask this last bit as a separate question. I will leave my original question in place because I still desire feedback on the overall best strategy. At this moment I'm assuming it is LVM mirroring in the style of "Creating Portable DiskSafes with LVM Snapshots" but that might be wrong.

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  • Presenting the &ldquo;Applications Strategy at Oracle Blog&rdquo;

    - by divya.malik
    We would like to introduce all our Complete CRM Blog readers to a newly launched blog, the Applications Strategy at Oracle Blog. This was just re-introduced by our  Group Vice President, John Burke.  While our focus here is on CRM, the Applications strategy blog will provide you with information on the state of the applications business, current business trends, information about Oracle’s applications products, and also how customers are using our products successfully. This blog is focused on providing you with a complete and balanced view of the total applications landscape. Here is John Burke, from Oracle Headquarters.  

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  • How Do You Know If Your Talent Management Strategy Is Creating Value?

    - by jay.richey
    Keeping up with the speed of business is no small task. Is your organization prepared to handle today's challenges and be able to cope with tomorrow's possible paradigm shift in talent management? Organizations today have constant and increasing pressures from shareholders, stock analysts, customers, and employees to execute better, faster, and cheaper, while continuing to increase value. Yesterday, the talent pool was shrinking, and HR organizations rushed to figure out where they would find future workers. Today workers are staying longer, and retirement plans are changing. Download this IHRIM article, "How Do You Know if Your Talent Management Strategy is Creating Value?" and learn how to: Align Talent Management and business goals Align Talent Management business and technology strategies Integrate Talent Management processes, systems, and data Develop a solid Talent Management Analytics strategy Understand the business value and benefits you can reap http://www.oracle.com/webapps/dialogue/dlgpage.jsp?p_ext=Y&p_dlg_id=8717145&src=6811167&Act=89

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  • Smartphones : la taille idéale des écrans passerait à plus de 4 pouces d'après Strategy Analytics, pour vous aussi ?

    Smartphones : la taille idéale des écrans passerait à plus de 4 pouces A condition que le téléphone conserve sa finesse, d'après Strategy Analytics : pour vous aussi ? D'après un sondage réalisé par le cabinet d'études et d'analyses Strategy Analytics auprès de consommateurs américains et britanniques, il s'avère que les écrans larges auraient plus la côte que les écrans plus petits. Plusieurs prototypes sans marque ont en effet été présentés aux consommateurs interrogés. Le choix de ces derniers s'est directement dirigé vers les terminaux intégrant un écran tactile grand format. « 90% des possesseurs de smartphones interrogés ont choisi un prototype de smartphone avec...

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  • Which design pattern is most appropriate?

    - by Anon
    Hello, I want to create a class that can use one of four algorithms (and the algorithm to use is only known at run-time). I was thinking that the Strategy design pattern sounds appropriate, but my problem is that each algorithm requires slightly different parameters. Would it be a bad design to use strategy, but pass in the relevant parameters into the constructor?. Here is an example (for simplicity, let's say there are only two possible algorithms) ... class Foo { private: // At run-time the correct algorithm is used, e.g. a = new Algorithm1(1); AlgorithmInterface* a; }; class AlgorithmInterface { public: virtual void DoSomething = 0; }; class Algorithm1 : public AlgorithmInterface { public: Algorithm1( int i ) : value(i) {} virtual void DoSomething(){ // Does something with int value }; int value; }; class Algorithm2 : public AlgorithmInterface { public: Algorithm2( bool b ) : value(b) {} virtual void DoSomething(){ // Do something with bool value }; bool value; };

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  • design an extendable database model

    - by wishi_
    Hi! Currently I'm doing a project whose specifications are unclear - well who doesn't. I wonder what's the best development strategy to design a DB, that's going to be extended sooner or later with additional tables and relations. I want to include "changeability". My main concern is that I want to apply design patterns (it's a university project) and I want to separate the constant factors from those, that change by choosing appropriate design patterns - in my case MVC and a set of sub-patterns at model level. When it comes to the DB however, I may have to resdesign my model in my MVC approach, because my domain model at a later stage my require a different set of classes representing the DB tables. I use Hibernate as an abstraction layer between DB and application. Would you start with a very minimal DB, just a few tables and relations? And what if I want an efficient DB, too? I wonder what strategies are applied in the real world. Stakeholder analysis for example isn't a sufficient planing solution when it comes to changing requirements. I think - at a DB level - my design pattern ends. So there's breach whose impact I'd like to minimize with a smart strategy.

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  • Does my use of the strategy pattern violate the fundamental MVC pattern in iOS?

    - by Goodsquirrel
    I'm about to use the 'strategy' pattern in my iOS app, but feel like my approach violates the somehow fundamental MVC pattern. My app is displaying visual "stories", and a Story consists (i.e. has @properties) of one Photo and one or more VisualEvent objects to represent e.g. animated circles or moving arrows on the photo. Each VisualEvent object therefore has a eventType @property, that might be e.g. kEventTypeCircle or kEventTypeArrow. All events have things in common, like a startTime @property, but differ in the way they are being drawn on the StoryPlayerView. Currently I'm trying to follow the MVC pattern and have a StoryPlayer object (my controller) that knows about both the model objects (like Story and all kinds of visual events) and the view object StoryPlayerView. To chose the right drawing code for each of the different visual event types, my StoryPlayer is using a switch statement. @implementation StoryPlayer // (...) - (void)showVisualEvent:(VisualEvent *)event onStoryPlayerView:storyPlayerView { switch (event.eventType) { case kEventTypeCircle: [self showCircleEvent:event onStoryPlayerView:storyPlayerView]; break; case kEventTypeArrow: [self showArrowDrawingEvent:event onStoryPlayerView:storyPlayerView]; break; // (...) } But switch statements for type checking are bad design, aren't they? According to Uncle Bob they lead to tight coupling and can and should almost always be replaced by polymorphism. Having read about the "Strategy"-Pattern in Head First Design Patterns, I felt this was a great way to get rid of my switch statement. So I changed the design like this: All specialized visual event types are now subclasses of an abstract VisualEvent class that has a showOnStoryPlayerView: method. @interface VisualEvent : NSObject - (void)showOnStoryPlayerView:(StoryPlayerView *)storyPlayerView; // abstract Each and every concrete subclass implements a concrete specialized version of this drawing behavior method. @implementation CircleVisualEvent - (void)showOnStoryPlayerView:(StoryPlayerView *)storyPlayerView { [storyPlayerView drawCircleAtPoint:self.position color:self.color lineWidth:self.lineWidth radius:self.radius]; } The StoryPlayer now simply calls the same method on all types of events. @implementation StoryPlayer - (void)showVisualEvent:(VisualEvent *)event onStoryPlayerView:storyPlayerView { [event showOnStoryPlayerView:storyPlayerView]; } The result seems to be great: I got rid of the switch statement, and if I ever have to add new types of VisualEvents in the future, I simply create new subclasses of VisualEvent. And I won't have to change anything in StoryPlayer. But of cause this approach violates the MVC pattern since now my model has to know about and depend on my view! Now my controller talks to my model and my model talks to the view calling methods on StoryPlayerView like drawCircleAtPoint:color:lineWidth:radius:. But this kind of calls should be controller code not model code, right?? Seems to me like I made things worse. I'm confused! Am I completely missing the point of the strategy pattern? Is there a better way to get rid of the switch statement without breaking model-view separation?

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  • What’s Your Tax Strategy? Automate the Tax Transfer Pricing Process!

    - by tobyehatch
    Does your business operate in multiple countries? Well, whether you like it or not, many local and international tax authorities inspect your tax strategy.  Legal, effective tax planning is perceived as a “moral” issue. CEOs are being asked to testify on their process of tax transfer pricing between multinational legal entities.  Marc Seewald, Senior Director of Product Management for EPM Applications specializing in all tax subjects and Product Manager for Oracle Hyperion Tax Provisioning, and Bart Stoehr, Senior Director of Product Strategy for Oracle Hyperion Profitability and Cost Management joined me for a discussion/podcast on this interesting subject.  So what exactly is “tax transfer pricing”? Marc defined it this way. “Tax transfer pricing is a profit allocation methodology required to be used by multinational corporations. Specifically, the ultimate goal of the transfer pricing is to ensure that the global multinational pays their fair share of income tax in each of their local markets. Specifically, it prevents companies from unfairly moving profit from ‘high tax’ countries to ‘low tax’ countries.” According to Marc, in today’s global economy, profitability can be significantly impacted by goods and services exchanged between the related divisions within a single multinational company.  To ensure that these cost allocations are done fairly, there are rules that govern the process. These rules ensure that intercompany allocations fairly represent the actual nature of the businesses activity- as if two divisions were unrelated - and provide a clear audit trail of how the costs have been allocated to prove that allocations fall within reasonable ranges.  What are the repercussions of improper tax transfer pricing? How important is it? Tax transfer pricing allocations can materially impact the amount of overall corporate income taxes paid by a company worldwide, in some cases by hundreds of millions of dollars!  Since so much tax revenue is at stake, revenue agencies like the IRS, and international regulatory bodies like the Organization for Economic Cooperation and Development (OECD) are pushing to reform and clarify reporting for tax transfer pricing. Most recently the OECD announced an “Action Plan for Base Erosion and Profit Shifting”. As Marc explained, the times are changing and companies need to be responsive to this issue. “It feels like every other week there is another company being accused of avoiding taxes,” said Marc. Most recently, Caterpillar was accused of avoiding billions of dollars in taxes. In the last couple of years, Apple, GE, Ikea, and Starbucks, have all been accused of tax avoidance. It’s imperative that companies like these have a clear and auditable tax transfer process that enables them to justify tax transfer pricing allocations and avoid steep penalties and bad publicity. Transparency and efficiency are what is needed when it comes to the tax transfer pricing process. Bart explained that tax transfer pricing is driving a deeper inspection of profit recognition specifically focused on the tax element of profit.  However, allocations needed to support tax profitability are nearly identical in process to allocations taking place in other parts of the finance organization. For example, the methods and processes necessary to arrive at tax profitability by legal entity are no different than those used to arrive at fully loaded profitability for a product line. In fact, there is a great opportunity for alignment across these two different functions.So it seems that tax transfer pricing should be reflected in profitability in general. Bart agreed and told us more about some of the critical sub-processes of an overall tax transfer pricing process within the Oracle solution for tax transfer pricing.  “First, there is a ton of data preparation, enrichment and pre-allocation data analysis that is managed in the Oracle Hyperion solution. This serves as the “data staging” to the next, critical sub-processes.  From here, we leverage the Oracle EPM platform’s ability to re-use dimensions and legal entity driver data and financial data with Oracle Hyperion Profitability and Cost Management (HPCM).  Within HPCM, we manage the driver data, define the legal entity to legal entity allocation rules (like cost plus), and have the option to test out multiple, simultaneous tax transfer pricing what-if scenarios.  Once processed, a tax expert can evaluate the effectiveness of any one scenario result versus another via a variance analysis configured with HPCM’s pre-packaged reporting capability known as Oracle Hyperion SmartView for Office.”   Further, Bart explained that the ability to visibly demonstrate how a cost or revenue has been allocated is really helpful and auditable.  “HPCM’s Traceability Maps are that visual representation of all allocation flows that have been executed and is the tax transfer analyst’s best friend in maintaining clear documentation for tax transfer pricing audits. Simply click and drill as you inspect the chain of allocation definitions and results. Once final, the post-allocated tax data can be compared to the GL to create invoices and journal entries for posting to your GL system of choice.  Of course, there is a framework for overall governance of the journal entries, allocation percentages, and reporting to include necessary approvals.” Lastly, Marc explained that the key value in using the Oracle Hyperion solution for tax transfer pricing is that it keeps everything in alignment in one single place. Specifically, Oracle Hyperion effectively becomes the single book of record for the GAAP, management, and the tax set of books. There are many benefits to having one source of the truth. These include EFFICIENCY, CONTROLS and TRANSPARENCY.So, what’s your tax strategy? Why not automate the tax transfer pricing process!To listen to the entire podcast, click here.To learn more about Oracle Hyperion Profitability and Cost Management (HPCM), click here.

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  • Design pattern for cost calculator app?

    - by Anders Svensson
    Hi, I have a problem that I’ve tried to get help for before, but I wasn’t able to solve it then, so I’m trying to simplify the problem now to see if I can get some more concrete help with this because it is driving me crazy… Basically, I have a working (more complex) version of this application, which is a project cost calculator. But because I am at the same time trying to learn to design my applications better, I would like some input on how I could improve this design. Basically the main thing I want is input on the conditionals that (here) appear repeated in two places. The suggestions I got before was to use the strategy pattern or factory pattern. I also know about the Martin Fowler book with the suggestion to Refactor conditional with polymorphism. I understand that principle in his simpler example. But how can I do either of these things here (if any would be suitable)? The way I see it, the calculation is dependent on a couple of conditions: 1. What kind of service is it, writing or analysis? 2. Is the project small, medium or large? (Please note that there may be other parameters as well, equally different, such as “are the products new or previously existing?” So such parameters should be possible to add, but I tried to keep the example simple with only two parameters to be able to get concrete help) So refactoring with polymorphism would imply creating a number of subclasses, which I already have for the first condition (type of service), and should I really create more subclasses for the second condition as well (size)? What would that become, AnalysisSmall, AnalysisMedium, AnalysisLarge, WritingSmall, etc…??? No, I know that’s not good, I just don’t see how to work with that pattern anyway else? I see the same problem basically for the suggestions of using the strategy pattern (and the factory pattern as I see it would just be a helper to achieve the polymorphism above). So please, if anyone has concrete suggestions as to how to design these classes the best way I would be really grateful! Please also consider whether I have chosen the objects correctly too, or if they need to be redesigned. (Responses like "you should consider the factory pattern" will obviously not be helpful... I've already been down that road and I'm stumped at precisely how in this case) Regards, Anders The code (very simplified, don’t mind the fact that I’m using strings instead of enums, not using a config file for data etc, that will be done as necessary in the real application once I get the hang of these design problems): public abstract class Service { protected Dictionary<string, int> _hours; protected const int SMALL = 2; protected const int MEDIUM = 8; public int NumberOfProducts { get; set; } public abstract int GetHours(); } public class Writing : Service { public Writing(int numberOfProducts) { NumberOfProducts = numberOfProducts; _hours = new Dictionary<string, int> { { "small", 125 }, { "medium", 100 }, { "large", 60 } }; } public override int GetHours() { if (NumberOfProducts <= SMALL) return _hours["small"] * NumberOfProducts; if (NumberOfProducts <= MEDIUM) return (_hours["small"] * SMALL) + (_hours["medium"] * (NumberOfProducts - SMALL)); return (_hours["small"] * SMALL) + (_hours["medium"] * (MEDIUM - SMALL)) + (_hours["large"] * (NumberOfProducts - MEDIUM)); } } public class Analysis : Service { public Analysis(int numberOfProducts) { NumberOfProducts = numberOfProducts; _hours = new Dictionary<string, int> { { "small", 56 }, { "medium", 104 }, { "large", 200 } }; } public override int GetHours() { if (NumberOfProducts <= SMALL) return _hours["small"]; if (NumberOfProducts <= MEDIUM) return _hours["medium"]; return _hours["large"]; } } public partial class Form1 : Form { public Form1() { InitializeComponent(); List<int> quantities = new List<int>(); for (int i = 0; i < 100; i++) { quantities.Add(i); } comboBoxNumberOfProducts.DataSource = quantities; } private void comboBoxNumberOfProducts_SelectedIndexChanged(object sender, EventArgs e) { Service writing = new Writing((int) comboBoxNumberOfProducts.SelectedItem); Service analysis = new Analysis((int) comboBoxNumberOfProducts.SelectedItem); labelWriterHours.Text = writing.GetHours().ToString(); labelAnalysisHours.Text = analysis.GetHours().ToString(); } }

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  • Are there any drawbacks to the Major.Minor.YMDD.Build version strategy?

    - by Chu
    I'm trying to come up with a good version strategy to fit our specific needs. We've proposed settling on this and I wanted to ask the question to see if anyone's experience would suggest avoiding this or altering it in any way. Here's our proposal: Versions are released in this format: MAJOR.MINOR.YMDD.BN. Here it is broken out: MAJOR & MINOR are typical; we'll increase MINOR when we feel code and new feature sets warrants it; once every few months most likely. MAJOR will increase ~yearly. YMDD: Y will be the last digit of the current year, so "1" for 2011, "2" for 2012, etc. A non-padded month will be used to keep the number smaller (9 instead of 09 for example). DD of course is the day, padded with a zero for days under 10. BN: BN is the build number and increases by one anytime we make a change to a branch of the code represented by the build, for example: If were to make a build today, our release would be version 5.0.1707.1. I release to QA today and 3 days from now QA finds that a change broke the save functionality on a page. Instead of me changing our current development code, I'd go back to the code that I used to create version 5.0.1707.1, make the fix there, then increase the BN portion of the version and would then re-release 5.0.1707.2 back to QA. In short, anytime a change is made to a branched version that isn't the active dev branch, we'd use the original version number and increase only the BN portion (even if the change happened 3 days, 3 weeks or 3 months from the initial release of that version). Anytime we make a new release from our Active dev branch, we'd come up with a new version based on the M/D of the release using the outlined strategy. We do this once every 2-3 weeks. Are there holes or pitfalls with this? If so, what are they? Thanks EDIT To clarify one point that I didn't get out very well - Oct/Nov/Dec will be two digits, it's only the year that won't be. So 9 for Sept, 10 for Oct, 11 for Nov, etc.

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