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  • Subscription Management with Merchant Account via API

    - by Josh
    I'm researching gateways/vendors that provide the ability to create subscription based transitions for merchant accounts. In other words, I want to allow customers to signup for a subscription for a website service that charges once a month. Authorize.Net has an ARB (Automated Recurring Billing) Module. The cost is cheap, $10 a month for the service, with unlimited subscriptions, and they have an API that allows XML or SOAP access to create, update and cancel. The LARGE negative of the service is that it doesn't have elegant way to obtain the current status of a subscription. They can send a daily email with an attached CSV file, or someone can login into the site and review statuses – neither is an enterprise solution. The parent company "CyberSource" has a "Recurring Billing Service" which implies a more robust solution, including API access to subscription information. I’m currently waiting for a sales call back on costs related to the service. I also looked at PayPal's Recurring Billing Service, but that appears to require that users are redirected to the PayPal site to signup for the subscription -- again, not an an elegant solution. Does anyone know of any other vendors/gateways that offer subscription service, that meet the following criteria: Vendor/Gateway must host the credit card number and be PCI compliant Have an API that accessible via a Web Service, Post over HTTPS or SOAP Have an API that allows querying the status of subscriptions and/or the ability to query for activity since a certain date. Thanks in advance for your suggestions.

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  • Memory management / ownership question?

    - by fuzzygoat
    Do I have this right ... // Reactor.h @property(nonatomic, retain) NSMutableArray *reactorCore; // Reactor.m [self setReactorCore:[NSKeyedUnarchiver unarchiveObjectWithFile:[self dataFilePath]]]; ... -(void)dealloc { [reactorCore release]; [super dealloc]; } I am pretty sure I am doing this right (but just wanted to check). By my way of thinking NSKeyedUnarchiver returns an object it owns, I am then taking ownership via the @property, later I release reactorCore and all is good?

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  • Are there any good references coparing Software Development CM best practices to IT CM best practice

    - by dkackman
    I have spent my career on the software development side of things and in the latter part have become more and more involved in the realm of Software Configuration Management. Now I am moving into an IT group and need to ramp up on CM practices from that standpoint. Are there any good references (books, websites, blogs whatever) out there comparing Software CM practices to IT CM practices? Basically I'm in learning mode and am trying compare things I already know from the software development side to things on the IT side.

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  • Site Security/Access management for asp.net mvc application

    - by minal
    I am trying to find a good pattern to use for user access validation. Basically on a webforms application I had a framework which used user roles to define access, ie, users were assigned into roles, and "pages" were granted access to a page. I had a table in the database with all the pages listed in it. Pages could have child pages that got their access inherited from the parent. When defining access, I assigned the roles access to the pages. Users in the role then had access to the pages. It is fairly simple to manage as well. The way I implemented this was on a base class that every page inherited. On pageload/init I would check the page url and validate access and act appropriately. However I am now working on a MVC application and need to implement something similar, however I can't find a good way to make my previous solution work. Purely because I don't have static pages as url paths. Also I am not sure how best to approach this as I now have controllers rather then aspx pages. I have looked at the MVCSitemapprovider, but that does not work off a database, it needs a sitemap file. I need control of changing user persmissions on the fly. Any thoughts/suggestions/pointers would be greatly appreciated.

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  • ASP.NET MVC 2 Dynamic QueryString Management

    - by vikas anand
    Hello All, I am very new to ASP.NET MVC and currently, I am involved in developing a new application in ASP.NET MVC 2. I am having problem in managing a long querystring parameters that comes from dBase. For example, in any non-mvc app the following URL works well: http ://example.com/test.aspx?first_name=fname&last_name=lname&email_id=email&address1=add1&address2=add2&city=city&state=state&zip_code=zip and so on. The QueryString parameter can be determined on the fly (i.e. at run-time). Now for dynamic QueryString how routing will be done? Also for a simple URL, the URL will be as follows (in ASP.NET MVC): http ://example.com/test/id/category But for above mentioned dynamic & long QueryString how the URL will look like? Will all the QueryString parameters be separated through slash (/)? Thanks in advance for your help. Best Regards, Vikas Anand

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  • Getting Active Session counts with JMX (Java Management Extensions) API

    - by bLee
    I'm trying to use JMX API to get active session counts for a web application. Is it possible to use JMX API to get this kind of information? If yes, how reliable would it be? Any example code on how to get this done? I've been reading JMX tutorial and documentation, but they are giving me the overview of what the technology is. I just can't pinpoint to what I need, yet.

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  • Tasks carried out for a Software Project

    - by Sara
    Hi, We were asked to propose a web based system for a shop, for an assignment. As i'm a newbee for project management stuff find it quite difficult to come with Tasks for our Gantt chart. Can someone pls suggest a sample gantt or main tasks followed in developing such system Thanks

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  • KeePass justification

    - by Jeff Walker
    I work at a place that tries to take security seriously, but sadly, they often fail. Currently, one of the major ways they fail is password management. I personally have about 20 accounts (my personal user id on lots of machines). For shared "system" accounts, there are about 45 per environment; development, test, and production. I have access to 2 of those, so my personal total is somewhere around 115 accounts. Passwords have to be at least 15 characters with some extensive but standard complexity constraints, and have to be changed every 60 days or so (system accounts every year). They also should not be the same for different accounts, but that isn't enforced. Think DoD-type standards. There is no way to remember and keep up with this. It just isn't humanly possible, as far as I'm concerned. This might be a good justification of a centralized account management system, a la LDAP or ActiveDirectory, but that is a totally different battle. Currently the solution is an Excel spreadsheet. They use Excel to put a password on it, and then most people make a copy and remove the password. This makes my stomach turn. I use KeePass for this problem and it manages all of my account very well. I like the features like auto-typing, grouping, plugins, password generation, etc. It uses AES-256 encryption via the .Net framework, and while not FIPS compliant, it has a very good reputation. The only problem is that they are also very careful about using randomly downloaded software. So we have to justify every piece of software on our workstations. I have been told that they really don't want me to use this, be cause of the "sensitive nature" of storing passwords. sigh My justification has to be "VERY VERY strong". I have been tasked with writing a justification for KeePass, but as I am lazy, I would like any input that I can get from the community. What do you recommend? Is there something out there that is better or more respected than KeePass? Is there any security experts saying interesting things on this topic? Anything will help at this point. Thanks.

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  • Is there anything better then Microsoft Project?

    - by GuruAbyss
    I'll soon be knee deep into a very large project and I'm looking into project management software. I need users opinions on software based (no web based) solutions that are equal or better then MS Project. It can be open source or closed source. Thank you all in advanced for your insight and opinions!

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  • java simple JPanel management (see screenshot)

    - by Allen
    I have a JPanel that encapsulates two JPanels, one on top of the other. The first holds two JLabels which hold the playing cards. The second holds the player's text (name and score). However, when I remove the player's cards, the lower JPanel moves up to the top, which i would prefer that it not do. Is there a way to keep it in place regardless of whether the top JPanel is occupied or not? Thanks

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  • stock management of assemblys and its sub parts

    - by The Disintegrator
    I have to track the stock of individual parts and kits (assembly) and can't find a satisfactory way of doing this. Sample bogus and hyper simplified database: Table prod: prodID 1 prodName Flux capacitor prodCost 900 prodPrice 1350 (900*1.5) prodStock 3 - prodID 2 prodName Mr Fusion prodCost 300 prodPrice 600 (300*2) prodStock 2 - prodID 3 prodName Time travel kit prodCost 1650 (1350+300) prodPrice 2145 (1650*1.3) prodStock 2 Table rels relID 1 relSrc 1 (Flux capacitor) relType 4 (is a subpart of) relDst 3 (Time travel kit) - relID 2 relSrc 2 (Mr Fusion) relType 4 (is a subpart of) relDst 3 (Time travel kit) prodPrice: it's calculated based on the cost but not in a linear way. In this example for costs of 500 or less, the markup is a 200%. For costs of 500-1000 the markup is 150%. For costs of 1000+ the markup is 130% That's why the time travel kit is much cheaper than the individual parts prodStock: here is my problem. I can sell kits or the individual parts, So the stock of the kits is virtual. The problem when I buy: Some providers sell me the Time Travel kit as a whole (with one barcode) and some sells me the individual parts (with a different barcode) So when I load the stock I don't know how to impute it. The problem when I sell: If I only sell kits, calculate the stock would be easy: "I have 3 Flux capacitors and 2 Mr Fusions, so I have 2 Time travel kits and a Flux Capacitor" But I can sell Kits or individual parts. I have to track the stock of the individual parts and the possible kits at the same time (and I have to compensate for the sell price) Probably this is really simple, but I can't see a simple solution. Resuming: I have to find a way of tracking the stock and the database/program is the one who has to do it (I cant ask the clerk to correct the stock) I'm using php+MySql. But this is more a logical problem than a programing one

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  • Best practice stock management when payment of customer failed using SQL Server and ASP.NET

    - by Martijn B
    Hi there, I am currently building a webshop for my own where I want to increment the product-stock when the user fails to complete payment within 10 minutes after the customer placed the order. I want to gather information from this thread to make a design decision. I am using SQL Server 2008 and ASP.NET 3.5. Should I use a SQL Server Job who intervals check the orders which are not payed yet or are there better solutions to do this. Thanks in advance! Martijn

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  • Java Thread Management and Application Flow

    - by user119179
    I have a Java application that downloads information (Entities) from our server. I use a Download thread to download the data. The flow of the download process is as follows: Log in - The user entity is downloaded Based on the User Entity, download a 'Community' entities List and Display in drop down Based on Community drop down selection, Download and show 'Org Tree' in a JTree Based on Node selection, download Category entities and display in drop down Based on Category selection, download Sub Category entities and display in drop down Based on Sub Category selection download a large data set and save it The download occurs in a thread so the GUI does not 'freeze'. It also allows me to update a Progress Bar. I need help with managing this process. The main problem is when I download entity data I have to find a way to wait for the thread to finish before attempting to get the entity and move to the next step in the app flow. So far I have used a modal dialog to control flow. I start the thread, pop up a modal and then dispose of the modal when the thread is finished. The modal/thread are Observer/Observable the thread does a set changed when it is finished and the dialog disposes. Displaying a modal effectively stops the flow of the application so it can wait for the download to finish. I also tried just moving all the work flow to Observers. All relevant GUI in the process are Observers. Each update method waits for the download to finish and then calls the next piece of GUI which does its own downloading. So far I found these two methods produce code that is hard to follow. I would like to 'centralize' this work flow so other developers are not pulling out their hair when they try to follow it. My Question is: Do you have any suggestions/examples where a work flow such as this can be managed in a way that produces code that is easy to follow? I know 'easy' is a relative term and I know my both my options already work but I would like to get some ideas from other coders while I still have time to change it. Thank you very much.

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  • SUnreclaim size increasing in syc with a TCP-CLOSE_WAIT till application restart

    - by maver1k
    Recently found a behaviour where my application had a connection in TCP Close_wait state till the app was restarted (after about 5 hours). But during this period the SUnreclaim space was also increasing constantly and went down on restart. The application is runnning on a rhel5 os and Im not very familiar with the memory management system. Would appreciate if someone clould tell me what extactly is the Ureclaim space and why it is increasing in sync with the close_wait. Thanks.

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  • Stock management of assemblies and its sub parts

    - by The Disintegrator
    I have to track the stock of individual parts and kits (assemblies) and can't find a satisfactory way of doing this. Sample bogus and hyper simplified database: Table prod: prodID 1 prodName Flux capacitor prodCost 900 prodPrice 1350 (900*1.5) prodStock 3 - prodID 2 prodName Mr Fusion prodCost 300 prodPrice 600 (300*2) prodStock 2 - prodID 3 prodName Time travel kit prodCost 1650 (1350+300) prodPrice 2145 (1650*1.3) prodStock 2 Table rels relID 1 relSrc 1 (Flux capacitor) relType 4 (is a subpart of) relDst 3 (Time travel kit) - relID 2 relSrc 2 (Mr Fusion) relType 4 (is a subpart of) relDst 3 (Time travel kit) prodPrice: it's calculated based on the cost but not in a linear way. In this example for costs of 500 or less, the markup is a 200%. For costs of 500-1000 the markup is 150%. For costs of 1000+ the markup is 130% That's why the time travel kit is much cheaper than the individual parts prodStock: here is my problem. I can sell kits or the individual parts, So the stock of the kits is virtual. The problem when I buy: Some providers sell me the Time Travel kit as a whole (with one barcode) and some sells me the individual parts (with a different barcode) So when I load the stock I don't know how to impute it. The problem when I sell: If I only sell kits, calculate the stock would be easy: "I have 3 Flux capacitors and 2 Mr Fusions, so I have 2 Time travel kits and a Flux Capacitor" But I can sell Kits or individual parts. So, I have to track the stock of the individual parts and the possible kits at the same time (and I have to compensate for the sell price) Probably this is really simple, but I can't see a simple solution. Resuming: I have to find a way of tracking the stock and the database/program is the one who has to do it (I cant ask the clerk to correct the stock) I'm using php+MySql. But this is more a logical problem than a programing one

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  • Is there anything better than Microsoft Project? [closed]

    - by GuruAbyss
    Possible Duplicate: Project Planning Tools I'll soon be knee-deep into a very large project and I'm looking into project management software. I need users opinions on software based (no web based) solutions that are equal or better than MS Project. It can be open source or closed source. Thank you all in advanced for your insight and opinions!

    Read the article

  • Problems installing sql management studio express on win7-64

    - by P a u l
    Here's what happened: install sql express 2008 install sql 2008 sp1 download and install SSMSE x64. There is a popup re incompatibility with the OS, and the help takes you back to the sp1 download page. It won't install... in fact the install that comes up appears to be for sql server express and I see no mention of SSMSE anywhere in the tangle of dialogs. There appears to be no version of SSMSE for Win7-64 at this time. Do you know any way to fix this?

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  • management users with Zend_Auth and Zend_Session

    - by user1400
    I want to Zend_Auth and Zend_Session to save user sessions and logins information whats the easy and best way for implements following items: 1-Disallow multiple concurrent logins for the specific user 2-List all of all user currently logged in 3-Admin could logout of specific user or destroy specific session Is there any special ZF or PHP API or library that can do the above? thanks

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  • OpenGL/Carbon/Cocoa Memory Management Autorelease issue

    - by Stephen Furlani
    Hoooboy, I've got another doozy of a memory problem. I'm creating a Carbon (AGL) Window, in C++ and it's telling me that I'm autorelease-ing it without a pool in place. uh... what? I thought Carbon existed outside of the NSAutoreleasePool... When I call glEnable(GL_TEXTURE_2D) to do some stuff, it gives me a EXC_BAD_ACCESS warning - but if the AGL Window is never getting release'd, then shouldn't it exist? Setting set objc-non-blocking-mode at (gdb) doesn't make the problem go away. So I guess my question is WHAT IS UP WITH CARBON/COCOA/NSAutoreleasePool? And... are there any resources for Objective-C++? Because crap like this keeps happening to me. Thanks, -Stephen --- CODE --- Test Draw Function void Channel::frameDraw( const uint32_t frameID) { eq::Channel::frameDraw( frameID ); getWindow()->makeCurrent(false); glEnable(GL_TEXTURE_2D); // Throws Error Here } Make Current (Equalizer API from Eyescale) void Window::makeCurrent( const bool useCache ) const { if( useCache && getPipe()->isCurrent( this )) return; _osWindow->makeCurrent(); } void AGLWindow::makeCurrent() const { aglSetCurrentContext( _aglContext ); AGLWindowIF::makeCurrent(); if( _aglContext ) { EQ_GL_ERROR( "After aglSetCurrentContext" ); } } _aglContext is a valid memory location (i.e. not NULL) when I step through. -S!

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  • Managing MS SQL Server 2005/8 with third-party tools

    - by Craig
    I am trying to access a SQL Server database housed on a ISP. Normally one would simply install an express version of SQL server and use the Management Studio therein. Yeah, not me! Are there any third party tools that will allow me to manage my database? Lightweight ones would be the best but I'm not that picky. :)

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  • Stock management of assemblies and its sub parts (relations)

    - by The Disintegrator
    I have to track the stock of individual parts and kits (assemblies) and can't find a satisfactory way of doing this. Sample bogus and hyper simplified database: Table prod: prodID 1 prodName Flux capacitor prodCost 900 prodPrice 1350 (900*1.5) prodStock 3 - prodID 2 prodName Mr Fusion prodCost 300 prodPrice 600 (300*2) prodStock 2 - prodID 3 prodName Time travel kit prodCost 1650 (1350+300) prodPrice 2145 (1650*1.3) prodStock 2 Table rels relID 1 relSrc 1 (Flux capacitor) relType 4 (is a subpart of) relDst 3 (Time travel kit) - relID 2 relSrc 2 (Mr Fusion) relType 4 (is a subpart of) relDst 3 (Time travel kit) prodPrice: it's calculated based on the cost but not in a linear way. In this example for costs of 500 or less, the markup is a 200%. For costs of 500-1000 the markup is 150%. For costs of 1000+ the markup is 130% That's why the time travel kit is much cheaper than the individual parts prodStock: here is my problem. I can sell kits or the individual parts, So the stock of the kits is virtual. The problem when I buy: Some providers sell me the Time Travel kit as a whole (with one barcode) and some sells me the individual parts (with a different barcode) So when I load the stock I don't know how to impute it. The problem when I sell: If I only sell kits, calculate the stock would be easy: "I have 3 Flux capacitors and 2 Mr Fusions, so I have 2 Time travel kits and a Flux Capacitor" But I can sell Kits or individual parts. So, I have to track the stock of the individual parts and the possible kits at the same time (and I have to compensate for the sell price) Probably this is really simple, but I can't see a simple solution. Resuming: I have to find a way of tracking the stock and the database/program is the one who has to do it (I cant ask the clerk to correct the stock) I'm using php+MySql. But this is more a logical problem than a programing one

    Read the article

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