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  • DevConnections Slides and Samples Posted

    - by Rick Strahl
    I’ve posted the slides and samples to my DevConnections Sessions for anyone interested. I had a lot of fun with my sessions this time around mainly because the sessions picked were a little off the beaten track (well, the handlers/modules and e-commerce sessions anyway). For those of you that attended I hope you found the sessions useful. For the rest of you – you can check out the slides and samples if you like. Here’s what was covered: Introduction to jQuery with ASP.NET This session covered mostly the client side of jQuery demonstrated on a small sample page with a variety of incrementally built up examples of selection and page manipulation. This session also introduces some of the basics of AJAX communication talking to ASP.NET. When I do this session it never turns out exactly the same way and this time around the examples were on the more basic side and purely done with hands on demonstrations rather than walk throughs of more complex examples. Alas this session always feels like it needs another half an hour to get through the full sortiment of functionality. The slides and samples cover a wider variety of topics and there are many examples that demonstrate more advanced operations like interacting with WCF REST services, using client templating and building rich client only windowed interfaces. Download Low Level ASP.NET: Handlers and Modules This session was a look at the ASP.NET pipeline and it discusses some of the ASP.NET base architecture and key components from HttpRuntime on up through the various modules and handlers that make up the ASP.NET/IIS pipeline. This session is fun as there are a number of cool examples that demonstrate the power and flexibility of ASP.NET, but some of the examples were external and interfacing with other technologies so they’re not actually included in the downloadable samples. However, there are still a few cool ones in there – there’s an image resizing handler, an image overlay module that stamps images with Sample if loaded from a certain folder, an OpenID authentication module (which failed during the demo due to the crappy internet connection at DevConnections this year :-}), Response filtering using a generic filter stream component, a generic error handler and a few others. The slides cover a lot of the ASP.NET pipeline flow and various HttpRuntime components. Download Electronic Payment Processing in ASP.NET Applications This session covered the business end and integration of electronic credit card processing and PayPal. A good part of this session deals with what’s involved in payment processing, getting signed up and who you have to deal with for your merchant account. We then took a look at integration of credit card processing via some generic components provided with the session that allow processing using a unified class interface with specific implementations for several of the most common gateway providers including Authorize.NET, PayFlowPro, LinkPoint, BluePay etc. We also briefly looked at PayPal Classic implementation which provides a quick and cheap if not quite as professional mechanism for taking payments online. The samples provide the Credit Card processing wrappers for the various gateway providers as well as a PayPal helper class to generate the PayPal redirect urls as well as helper code for dealing with IPN callbacks. Download Hope some of you will find the material useful. Enjoy.© Rick Strahl, West Wind Technologies, 2005-2010Posted in ASP.NET  

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  • Cutting Subscriber Churn with Media Intelligence

    - by Oracle M&E
    There's lots of talk in media and entertainment companies about using "big data".  But it's often hard to see through the hype and understand how big data brings benefits in the real world.  How about being able to predict with 92% accuracy which subscribers intend to cancel their subscription - and put in place a renewal strategy to dramatically reduce that churn?  That's what Belgian media company De Persgroep has achieved with Oracle's Media Intelligence solution.  "One of the areas in which we're able to achieve beautiful results using big data is the churn prediction," De Persgroep's CIO Luc Verbist explains in a new Oracle video.  "Based on all the data that we collect on websites and all your behavior, payment behavior and so on, we're able to make a prediction model, which, with an accuracy of 92 percent, is able to predict that you probably won't renew your newspaper, anymore. So our approach to renewal is completely different to the people in that segment than towards the other people. And this has brought us a lot of value and a lot of customers who didn't stop their newspaper where else they would have done so." De Persgroep is using Oracle's Big Data Appliance, along with software from Oracle partner NGDATA to build up a detailed "DNA profile" of each individual customer, based on every interaction, in real time.  This means that any change in behavior - a drop in content consumption, a late subscription payment, a negative social media comment - is captured.  Applying advanced data modeling techniques automatically converts those raw interactions into data with real business meaning - like that customer's risk of churning. The very same data profile - comprising hundreds if individual dimensions - can simultaneously drive targeted marketing campaigns - informing audience about new content that's most relevant and encouraging them to subscribe.  It can power content recommendations and personalization right in the content sites and apps. And it can link directly into digital advertising networks via platforms like Oracle's BlueKai data management platform (DMP), to drive increased advertising CPMs. Using Oracle's Media Intelligence solution enables this across De Persgroep's business - comprising eight newspapers and 25 magazines published in Belgium and The Netherlands, and digital properties including websites with 6m daily unique visitors, along with TV and radio stations. "The company strategy is in fact a customer-centric strategy, so we want to get a 360-view about our customers, about our prospects. And the big data project helped us to achieve that goal," says Verbist. Using Oracle's Big Data Appliance to underpin the solution created huge savings.   "The selection of the Big Data Appliance was quite easy.  It was very quick to install, very easy to install, as well. And it was far cheaper than building our own Hadoop cluster. So it was in fact a non-brainer," Verbist explains. Applying Media Intelligence approach has yielded incredible results for De Persgroep, including: Improved products - with a new understanding of how readers are consuming print and digital content across the day Improved customer segmentation - driving a 6X improvement in customer prospecting and acquisition when contacting a specific segment Having the project up and running in three months And that has led to competitive benefits for De Persgroep, as Luc Verbist explains: "one of the results we saw since we started using big data is that we're able to increase the gap between we as the market leader, and the second [by] more than 20 percent."

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  • WebCenter Innovation Award Winners

    - by Michael Snow
    Of course, here on our WebCenter blog – we’d like to highlight and brag about our great WebCenter winners. The 2012 WebCenter Innovation Award Winners University of Louisville Location: Louisville, KY, USA Industry: Higher Education Fusion Middleware Products: WebCenter Portal, WebCenter Content, JDeveloper, WebLogic, Oracle BI, Oracle IdM University of Louisville is a state supported research university Statewide Informatics Network to improve public health The University of Louisville has implemented WebCenter as part of the LOUI (Louisville Informatics Institute) Initiative, a Statewide Informatics Network, which will improve public healthcare and lower cost through the use of novel technology and next generation analytics, decision support and innovative outcomes-based payment systems. ---------- News Limited Country/Region: Australia Industry: News/Media FMW Products: WebCenter Sites Single platform running websites for 50% of Australia's newspapers News Corp is running half of Australia's newspaper websites on this shared platform powered by Oracle WebCenter Sites and have overtaken their nearest competitors and are now leading in terms of monthly page impressions. At peak they have over 250 editors on the system publishing in real-time.Sites include: www.newsspace.com.au, www.news.com.au, www.theaustralian.com.au and many others ------ Life Technologies Corp. Country/Region: Carlsbad, CA, USAIndustry: Life SciencesFMW Products: WebCenter Portal, SOA Suite Life Technologies Corp. is a global biotechnology tools company dedicated to improving the human condition with innovative life science products. They were awarded an innovation award for their solution utilizing WebCenter Portal for remotely monitoring & repairing biotech instruments. They deployed WebCenter as a portal that accesses Life Technologies cloud based service monitoring system where all customer deployed instruments can be remotely monitored and proactively repaired.  The portal provides alerts from these cloud based monitoring services directly to the customer and to Life Technologies Field Engineers.  The Portal provides insight into the instruments and services customers purchased for the purpose of analyzing and anticipating future customer needs and creating targeted sales and service programs. ----- China Mobile Jiangsu China Mobile Jiangsu is one of the biggest subsidiaries of China Mobile. It has over 25,000 employees and 40 million mobile subscribers. Country/Region: Jiangsu, China Industry: Telecommunications FMW Products: WebCenter Portal, WebCenter Content, JDeveloper, SOA Suite, IdM They were awarded an Innovation Award for their new employee platform powered by WebCenter Portal is designed to serve their 25,000+ employees and help them drive collaboration & productivity. JSMCC (Chian Mobile Jiangsu) Employee Enterprise Portal and Collaboration Platform. It is one of the China Mobile’s most important IT innovation projects. The new platform is designed to serve for JSMCC’s 25000+ employees and to help them improve the working efficiency, changing their traditional working mode to social ways, encouraging employees on business collaboration and innovation. The solution is built on top of Oracle WebCenter Portal Framework and WebCenter Spaces while also leveraging Weblogic Server, UCM, OID, OAM, SES, IRM and Oracle Database 11g. By providing rich collaboration services, knowledge management services, sensitive document protection services, unified user identity management services, unified information search services and personalized information integration capabilities, the working efficiency of JSMCC employees has been greatly improved. Main Functionality : Information portal, office automation integration, personal space, group space, team collaboration with web2.0 services, unified search engine for multiple data sources, document management and protection. SSO for multiple platforms. -------- LADWP – Los Angeles Department for Water and Power Los Angeles Department of Water and Power (LADWP) is the largest public utility company in 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 city department. Country/Region: US – Los Angeles, CA Industry: Public Utility FMW Products: WebCenter Portal, WebCenter Content, JDeveloper, SOA Suite, IdM The new infrastructure consists of: Oracle WebCenter Portal including mobile portal Oracle WebCenter Content for Content Management and Digital Asset Management (DAM) Oracle OAM (IDM, OVD, OAM) integrated with AD for enterprise identity management Oracle Siebel for CRM Oracle DB Oracle SOA Suite for integration of various subsystems and back end systems  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)

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  • My architecture has a problem with views that required information from different objects. How can I solve this?

    - by Oscar
    I am building an architecture like this: These are my SW layers ______________ | | | Views | |______________| ______________ | | |Business Logic| |______________| ______________ | | | Repository | |______________| My views are going to generate my HTML to be sent to the user Business logic is where all the business logics are Repository is a layer to access the DB My idea is that the repository uses entities (that are basically the representation of the tables, in order to perform DB queries. The layers communicate between themselves using Business Objects, that are objects that represent the real-world-object itself. They can contain business rules and methods. The views build/use DTOs, they are basically objects that have the information required to be shown on the screen. They expect also this kind of object on actions and, before calling the business logic, they create BO. First question: what is your overall feeling about this architecture? I've used similar architecture for some projects and I always got this problem: If my view has this list to show : Student1, age, course, Date Enrolled, Already paid? It has information from different BO. How do you think one should build the structure? These were the alternatives I could think of: The view layer could call the methods to get the student, then the course it studies, then the payment information. This would cause a lot of DB accesses and my view would have the knowledge about how to act to generate this information. This just seems wrong for me. I could have an "adapter object", that has the required information (a class that would have a properties Student, Course and Payment). But I would required one adapter object for each similar case, this may get very bad for big projects. I still don't like them. Would you have ideas? How would you change the architecture to avoid this kind of problems? @Rory: I read the CQRS and I don't think this suits my needs. As taken from a link references in your link Before describing the details of CQRS we need to understand the two main driving forces behind it: collaboration and staleness That means: many different actors using the same object (collaboration) and once data has been shown to a user, that same data may have been changed by another actor – it is stale (staleness). My problem is that I want to show to the user information from different BO, so I would need to receive them from the service layer. How can my service layer assemble and deliver this information? Edit to @AndrewM: Yes, you understood it correctly, the original idea was to have the view layer to build the BOs, but you have a very nice point about the creation of the BO inside the business layers. Assuming I follow your advice and move the creation logic inside the business layer, my business layer interface would contain the DTOs, for instance public void foo(MyDTO object) But as far as I understand, the DTO is tightly coupled to each view, so it would not be reusable by a second view. In order to use it, the second view would need to build a specific DTO from a specific view or I would have to duplicate the code in the business layer. Is this correct or am I missing something?

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  • PayPal IPN Response

    - by Gorkem Tolan
    I am having a problem with PayPal IPN response. After payment is made by the customer, PayPal IPN returns this URL: www.mywebsite.com?orderid=32&tx=2AC67201DL3533325&st=Pending&amt=2.50&cc=USD&cm=&item_number=32 There are a couple of issues Post-back field names are undefined or missing. Thus I can get the INVALID message. I am not sure if my website does not read POST variables. When I looked at IPN history, it shows that each IPN has been sent with the complete url. Payment status keeps coming Pending. Does this issue cause the first issue? Thank you for your responses in advance. Here is the code: Dim strSandbox As String, strLive As String Dim req As HttpWebRequest strSandbox = "http://www.sandbox.paypal.com/cgi-bin/webscr/" strLive = "https://www.paypal.com/cgi-bin/webscr" req = CType(WebRequest.Create(strSandbox), HttpWebRequest) 'Set values for the request back req.Method = "POST" req.ContentType = "application/x-www-form-urlencoded" Dim param() As Byte param = Request.BinaryRead(HttpContext.Current.Request.ContentLength) Dim strRequest As String strRequest = Encoding.ASCII.GetString(param) strRequest = strRequest & "&cmd=_notify-validate" req.ContentLength = strRequest.Length 'Response.Write(strRequest) 'Send the request to PayPal and get the response Dim streamOut As StreamWriter streamOut = New StreamWriter(req.GetRequestStream(), System.Text.Encoding.ASCII) streamOut.Write(strRequest) streamOut.Close() Dim streamIn As StreamReader streamIn = New StreamReader(req.GetResponse().GetResponseStream()) Dim strResponse As String strResponse = streamIn.ReadToEnd() Response.Write(strResponse) streamIn.Close() If (strResponse = "VERIFIED") Then Response.Redirect("thankyou.aspx") ElseIf (strResponse = "INVALID") Then End If

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  • How to build n-layered web architecture with PHP?

    - by Alex
    I have a description and design of a website and I need to redesign it to allow for new requirements. The website's purpose is the offering of government's contracts and bidding opportunities for different businesses.I'm dealing with the 3-tier architecture PHP website comprising of the user-interface tier(client's web browser),business logic layer(Apache web server with PHP engine in it and a couple of applications running within a web server as well) and a database layer(local mysql database). Now,i need to redesign it to su???rt distributed n-tier architecture and specify how I would go about it.After long hours of research i came to this solution: business logic should be separated into presentation and purely business logic tier to allow for n-layer architecture(user-interface,presentation tier,b.logic and data tier).I have decided to use ??? just for the presentation(since the original existing website is in PHP) and use it within apache web server.In the business logic i want to use J2?? implementation technology instead of implementing it in PHP(i.e using Zend app.server and smarty template) cz J2EE can provide much more essential container services which are essential for business logic,its robustness,maintainability and different critical business operations which will be carried out by the g?v?rnment's website.So,particularly,i want to use J??ss app.server with ?J? business objects in it which would provide all the b.logic in java and would interact with the database and so forth.In order to connect PHP on a web server with java on app.server i'm gonna use PHP/Java bridge API (or maybe Quercus or SOAP is better?).Finally,i have my data tier with mysql which will communicate with b.logic via JD??.Payment system application in ???.server is gonna use S??? to talk with credit card company. From your professional point of view,does it sound like a good way of redesigning the original website to allow for n-tier architecture considering the specifics of the website and the criticality of its operations?(payment system is included in it)or u would personally prefer to use PHP business objects for business logic as well instead of J2EE?If you have any wiser recommendation or some alternative,please let me know what is right or wrong in my current solution. H??? to hear your professional advice very s??n (I'm new to the area of web development) Thanks in advance

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  • Is there a way to optimize this mysql query...?

    - by SpikETidE
    Hi Everyone... Say, I got these two tables.... Table 1 : Hotels hotel_id hotel_name 1 abc 2 xyz 3 efg Table 2 : Payments payment_id payment_date hotel_id total_amt comission p1 23-03-2010 1 100 10 p2 23-03-2010 2 50 5 p3 23-03-2010 2 200 25 p4 23-03-2010 1 40 2 Now, I need to get the following details from the two tables Given a particular date (say, 23-03-2010), the sum of the total_amt for each of the hotel for which a payment has been made on that particular date. All the rows that has the date 23-03-2010 ordered according to the hotel name A sample output is as follows... +------------+------------+------------+---------------+ | hotel_name | date | total_amt | commission | +------------+------------+------------+---------------+ | * abc | 23-03-2010 | 140 | 12 | +------------+------------+------------+---------------+ |+-----------+------------+------------+--------------+| || paymt_id | date | total_amt | commission || |+-----------+------------+------------+--------------+| || p1 | 23-03-2010 | 100 | 10 || |+-----------+------------+------------+--------------+| || p4 | 23-03-2010 | 40 | 2 || |+-----------+------------+------------+--------------+| +------------+------------+------------+---------------+ | * xyz | 23-03-2010 | 250 | 30 | +------------+------------+------------+---------------+ |+-----------+------------+------------+--------------+| || paymt_id | date | total_amt | commission || |+-----------+------------+------------+--------------+| || p2 | 23-03-2010 | 50 | 5 || |+-----------+------------+------------+--------------+| || p3 | 23-03-2010 | 200 | 25 || |+-----------+------------+------------+--------------+| +------------------------------------------------------+ Above the sample of the table that has to be printed... The idea is first to show the consolidated detail of each hotel, and when the '*' next to the hotel name is clicked the breakdown of the payment details will become visible... But that can be done by some jquery..!!! The table itself can be generated with php... Right now i am using two separate queries : One to get the sum of the amount and commission grouped by the hotel name. The next is to get the individual row for each entry having that date in the table. This is, of course, because grouping the records for calculating sum() returns only one row for each of the hotel with the sum of the amounts... Is there a way to combine these two queries into a single one and do the operation in a more optimized way...?? Hope i am being clear.. Thanks for your time and replies...

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  • using paypals html api is safe?

    - by ajsie
    im trying out paypals html api where you specify price, item_name, customer information and so on in the html: <form action="https://www.paypal.com/cgi-bin/webscr" method="post" id="payPalForm"> <input type="hidden" name="cmd" value="_cart" /> <input type="hidden" name="upload" value="1" /> <input type="hidden" name="no_note" value="1" /> <input type="hidden" name="business" value="[email protected]" /> <input type="hidden" name="currency_code" value="SEK" /> <input type="hidden" name="return" value="http://freelanceswitch.com/payment-complete/" /> <input type="hidden" name="tax_rate" value="25" /> <input type="hidden" name="item_name_1" value="Apple Macpro" /> <input type="hidden" name="item_number_1" value="01 - Product 1" /> <input type="hidden" name="amount_1" value="25000" /> <input type="hidden" name="item_name_2" value="Apple Macbook" /> <input type="hidden" name="item_number_2" value="02 - Product 2" /> <input type="hidden" name="amount_2" value="12500" /> <input type="hidden" name="item_name_3" value="Apple Macbook Air" /> <input type="hidden" name="item_number_3" value="03 - Product 3" /> <input type="hidden" name="amount_3" value="12500" /> <input type="submit" name="Submit" value="Submit" /> </form> when the user clicks submit it takes him/her to paypals payment page. but doesn't this mean that a hacker could change the order by manipulating the html code? i can´t figure out how paypal prevents this security problem.

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  • How do I define a Calculated Measure in MDX based on a Dimension Attribute?

    - by ShaneD
    I would like to create a calculated measure that sums up only a specific subset of records in my fact table based on a dimension attribute. Given: Dimension Date LedgerLineItem {Charge, Payment, Write-Off, Copay, Credit} Measures LedgerAmount Relationships * LedgerLineItem is a degenerate dimension of FactLedger If I break down LedgerAmount by LedgerLineItem.Type I can easily see how much is charged, paid, credit, etc, but when I do not break it down by LedgerLineItem.Type I cannot easily add the credit, paid, credit, etc into a pivot table. I would like to create separate calculated measures that sum only specific type (or multiple types) of ledger facts. An example of the desired output would be: | Year | Charged | Total Paid | Amount - Ledger | | 2008 | $1000 | $600 | -$400 | | 2009 | $2000 | $1500 | -$500 | | Total | $3000 | $2100 | -$900 | I have tried to create the calculated measure a couple of ways and each one works in some circumstances but not in others. Now before anyone says do this in ETL, I have already done it in ETL and it works just fine. What I am trying to do as part of learning to understand MDX better is to figure out how to duplicate what I have done in the ETL in MDX as so far I am unable to do that. Here are two attempts I have made and the problems with them. This works only when ledger type is in the pivot table. It returns the correct amount of the ledger entries (although in this case it is identical to [amount - ledger] but when I try to remove type and just get the sum of all ledger entries it returns unknown. CASE WHEN ([Ledger].[Type].currentMember = [Ledger].[Type].&[Credit]) OR ([Ledger].[Type].currentMember = [Ledger].[Type].&[Paid]) OR ([Ledger].[Type].currentMember = [Ledger].[Type].&[Held Money: Copay]) THEN [Measures].[Amount - ledger] ELSE 0 END This works only when ledger type is not in the pivot table. It always returns the total payment amount, which is incorrect when I am slicing by type as I would only expect to see the credit portion under credit, the paid portion, under paid, $0 under charge, etc. sum({([Ledger].[Type].&[Credit]), ([Ledger].[Type].&[Paid]), ([Ledger].[Type].&[Held Money: Copay])}, [Measures].[Amount - ledger]) Is there any way to make this return the correct numbers regardless of whether Ledger.Type is included in my pivot table or not?

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  • PayPal express checkout on the shopping cart

    - by Noam Smadja
    i wish to achieve: so in my shopping cart page i set session("Payment_Amount") = total and downloaded both asp files the wizard told me. expresschecout.asp and paypalfunctions.asp. and added the API credentials to the corect place. and i add the form from their wizard: <form action='expresscheckout.asp' METHOD='POST'> <input type='image' name='submit' src='https://www.paypal.com/en_US/i/btn/btn_xpressCheckout.gif' border='0' align='top' alt='Check out with PayPal'/> </form> But when i go to my shopping cart and press on the paypal submit button i am taken to expressheckout.asp but the page stays whit, saying Done in the status bar. how can i debug that? :/ EDIT ADDED MY CODE, ASP: <!-- #include file ="paypalfunctions.asp" --> <% ' ================================== ' PayPal Express Checkout Module ' ================================== On Error Resume Next '------------------------------------ ' The paymentAmount is the total value of ' the shopping cart, that was set ' earlier in a session variable ' by the shopping cart page '------------------------------------ paymentAmount = Session("Payment_Amount") '------------------------------------ ' The currencyCodeType and paymentType ' are set to the selections made on the Integration Assistant '------------------------------------ currencyCodeType = "USD" paymentType = "Sale" '------------------------------------ ' The returnURL is the location where buyers return to when a ' payment has been succesfully authorized. ' ' This is set to the value entered on the Integration Assistant '------------------------------------ returnURL = "http://www.noamsm.co.il/index.asp" '------------------------------------ ' The cancelURL is the location buyers are sent to when they click the ' return to XXXX site where XXX is the merhcant store name ' during payment review on PayPal ' ' This is set to the value entered on the Integration Assistant '------------------------------------ cancelURL = "http://www.noamsm.co.il/index.asp" '------------------------------------ ' Calls the SetExpressCheckout API call ' ' The CallShortcutExpressCheckout function is defined in the file PayPalFunctions.asp, ' it is included at the top of this file. '------------------------------------------------- Set resArray = CallShortcutExpressCheckout (paymentAmount, currencyCodeType, paymentType, returnURL, cancelURL) ack = UCase(resArray("ACK")) If ack="SUCCESS" Then ' Redirect to paypal.com ReDirectURL( resArray("TOKEN") ) Else 'Display a user friendly Error on the page using any of the following error information returned by PayPal ErrorCode = URLDecode( resArray("L_ERRORCODE0")) ErrorShortMsg = URLDecode( resArray("L_SHORTMESSAGE0")) ErrorLongMsg = URLDecode( resArray("L_LONGMESSAGE0")) ErrorSeverityCode = URLDecode( resArray("L_SEVERITYCODE0")) End If %> i am guessing i am getting one of the errors from the bottom but cant find where to see thm..

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  • Is there any other efficient way to use table variable instead of using temporary table

    - by varta shrimali
    we are writing script to display banners on a web page where we are using temporary table in mysql procedure. Is there any other efficient way to use table variable instead of using temporary table we are using following code: -- banner location CURSOR -- DECLARE banner_location_cursor CURSOR FOR select bm.id as masterId, bm.section as masterName, bs.id as locationId, bs.sectionName as locationName from banner_master as bm inner join banner_section as bs on bm.id=bs.masterId where bm.section=sCode ; -- DECLARE banner CURSORS DECLARE banner_cursor CURSOR FOR SELECT bd.id as bannerId, bd.sectionId, bd.bannerName, bd.websiteURL, bd.paymentType, bd.status, bd.startDate, bd.endDate, bd.bannerDisplayed, bs.id, bs.sectionName from banner_detail as bd inner join banner_section as bs on bs.id=bd.sectionId where bs.id= location_id and bd.status='A' and (dates between cast(bd.startDate as DATE) and cast(bd.endDate as DATE)) order by rand(), bd.bannerDisplayed asc limit 1 ; DECLARE CONTINUE HANDLER FOR NOT FOUND SET no_more_rows = 1; SET dates = (select curdate()); -- RESULTS TABLE WHICH WILL BE RETURNED -- CREATE temporary TABLE test ( b_id INT, s_id INT, b_name varchar(128), w_url varchar(128), p_type varchar(128), st char(1), s_date datetime, e_date datetime, b_display int, sec_id int, s_name varchar(128) ); -- OPEN banner location CURSOR OPEN banner_location_cursor; the_loop: LOOP FETCH banner_location_cursor INTO master_id, master_name, location_id, location_name; IF no_more_rows THEN CLOSE banner_location_cursor; leave the_loop; END IF; OPEN banner_cursor; -- select FOUND_ROWS(); the_loop2: LOOP FETCH banner_cursor INTO banner_id, section_id, banner_name, website_url, payment, status, start_date, end_date, banner_displayed, sec_id, section_name; IF no_more_rows THEN set no_more_rows = 0; CLOSE banner_cursor; leave the_loop2; END IF; INSERT INTO test ( b_id, s_id, b_name , w_url, p_type, st, s_date, e_date, b_display, sec_id, s_name ) VALUES ( banner_id, section_id, banner_name, website_url, payment, status, start_date, end_date, banner_displayed, sec_id, section_name ); UPDATE banner_detail set bannerDisplayed = (banner_displayed+1) where id = banner_id; END LOOP the_loop2; END LOOP the_loop; -- RETURN result SELECT * FROM test; -- DROP RESULTS TABLE DROP TABLE test; END

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  • PayPal IPN "FAIL"

    - by Rob
    Hey all... I'm trying to figure out how to use PayPal's IPN and I've run into a wall. I want a buyer to be forwarded to a success page after making a purchase, and I want that page to show the details of their transaction. I choose IPN instead of the PDT because I also want to do some other behind the scenes stuff with their data. Anyway, here's the code I'm using -- I'm testing in sandbox mode -- but it returns "FAIL" every time. $req = 'cmd=_notify-validate'; foreach ($_POST as $key => $value) { $value = urlencode(stripslashes($value)); $req .= "&$key=$value"; } // post back to PayPal system to validate $header = "POST /cgi-bin/webscr HTTP/1.0\r\n"; $header .= "Content-Type: application/x-www-form-urlencoded\r\n"; $header .= "Content-Length: " . strlen($req) . "\r\n\r\n"; $fp = fsockopen ('www.sandbox.paypal.com', 80, $errno, $errstr, 30); if (!$fp) { // HTTP ERROR } else { fputs ($fp, $header . $req); while (!feof($fp)) { $res = fgets ($fp, 1024); if (strcmp ($res, "VERIFIED") == 0) { // PAYMENT VALIDATED & VERIFIED! echo "Validated!"; } else if (strcmp ($res, "INVALID") == 0) { // PAYMENT INVALID & INVESTIGATE MANUALY! echo "Invalid!"; } } fclose ($fp); }

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  • PHP .htaccess issue, specific/dynamic keywords

    - by Kunal
    Here goes my .htaccess file's content. Options +FollowSymLinks RewriteEngine On RewriteRule ^online-products$ products.php?type=online RewriteRule ^land-products$ products.php?type=land RewriteRule ^payment-methods$ payment-methods.php RewriteRule ^withdrawal-methods$ withdrawal-methods.php RewriteRule ^deposit-methods$ deposit-methods.php RewriteRule ^product-bonuses$ product-bonuses.php RewriteRule ^law-and-regulations$ law-and-regulations.php RewriteRule ^product-news$ product-news.php RewriteRule ^product-games$ product-games.php RewriteRule ^no-products$ no-products.php RewriteRule ^page-not-found$ notfound.php RewriteCond %{SCRIPT_FILENAME} !-f RewriteCond %{SCRIPT_FILENAME} !-d RewriteRule ^casinos/(.*)$ product.php?id=$1 RewriteCond %{SCRIPT_FILENAME} !-f RewriteCond %{SCRIPT_FILENAME} !-d RewriteRule ^(.*)$ cms.php?link=$1 ErrorDocument 404 /notfound.php What I am trying to achive here is that the first set of rules apply to some specific keywords which should redirect to specific hard coded pages. But anything else parat from those keywords should redirect to cms.php as a parameter as you can see. But the problem is that every keyword is getting redirected to cms.php. Whereas I want any other keyword apart from which are already hard coded in .htaccess file should go cms.php. Not just every keyword. Example: www.sitename.com/online-products -> www.sitename.com/products.php?type=online www.sitename.com/about-the-website -> www.sitename.com/cms.php?id=about-the-website www.sitename.com/product-news -> www.sitename.com/product-news.php Also another issue I am facing is I can not use any keyword with space. Like "online-products" is fine, but I can't use "online products". Please help me out with your expert knowledge. Many thanks in advance for your kind help. Appreciate it.

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  • What's the most efficient query?

    - by Aaron Carlino
    I have a table named Projects that has the following relationships: has many Contributions has many Payments In my result set, I need the following aggregate values: Number of unique contributors (DonorID on the Contribution table) Total contributed (SUM of Amount on Contribution table) Total paid (SUM of PaymentAmount on Payment table) Because there are so many aggregate functions and multiple joins, it gets messy do use standard aggregate functions the the GROUP BY clause. I also need the ability to sort and filter these fields. So I've come up with two options: Using subqueries: SELECT Project.ID AS PROJECT_ID, (SELECT SUM(PaymentAmount) FROM Payment WHERE ProjectID = PROJECT_ID) AS TotalPaidBack, (SELECT COUNT(DISTINCT DonorID) FROM Contribution WHERE RecipientID = PROJECT_ID) AS ContributorCount, (SELECT SUM(Amount) FROM Contribution WHERE RecipientID = PROJECT_ID) AS TotalReceived FROM Project; Using a temporary table: DROP TABLE IF EXISTS Project_Temp; CREATE TEMPORARY TABLE Project_Temp (project_id INT NOT NULL, total_payments INT, total_donors INT, total_received INT, PRIMARY KEY(project_id)) ENGINE=MEMORY; INSERT INTO Project_Temp (project_id,total_payments) SELECT `Project`.ID, IFNULL(SUM(PaymentAmount),0) FROM `Project` LEFT JOIN `Payment` ON ProjectID = `Project`.ID GROUP BY 1; INSERT INTO Project_Temp (project_id,total_donors,total_received) SELECT `Project`.ID, IFNULL(COUNT(DISTINCT DonorID),0), IFNULL(SUM(Amount),0) FROM `Project` LEFT JOIN `Contribution` ON RecipientID = `Project`.ID GROUP BY 1 ON DUPLICATE KEY UPDATE total_donors = VALUES(total_donors), total_received = VALUES(total_received); SELECT * FROM Project_Temp; Tests for both are pretty comparable, in the 0.7 - 0.8 seconds range with 1,000 rows. But I'm really concerned about scalability, and I don't want to have to re-engineer everything as my tables grow. What's the best approach?

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  • PAYPAL IPN Response Problem

    - by Gorkem Tolan
    I am having a problem with Paypal IPN response. After payment is made by the customer, paypal ipn returns this url www.mywebsite.com?orderid=32&tx=2AC67201DL3533325&st=Pending&amt=2.50&cc=USD&cm=&item_number=32 There are a couple of issues 1- Postback field names are undefined or missing. Thus I can get the INVALID message. I am not sure if my website does not read POST variables. When I looked at IPN history, it shows that each IPN has been sent with the complete url. 2- Payment status keeps coming Pending. Does this issue cause the first issue? Thank you for your responses in advance. Here is the code: Dim strSandbox As String, strLive As String Dim req As HttpWebRequest strSandbox = "http://www.sandbox.paypal.com/cgi-bin/webscr/" strLive = "https://www.paypal.com/cgi-bin/webscr" req = CType(WebRequest.Create(strSandbox), HttpWebRequest) 'Set values for the request back req.Method = "POST" req.ContentType = "application/x-www-form-urlencoded" Dim param() As Byte param = Request.BinaryRead(HttpContext.Current.Request.ContentLength) Dim strRequest As String strRequest = Encoding.ASCII.GetString(param) strRequest = strRequest & "&cmd=_notify-validate" req.ContentLength = strRequest.Length 'Response.Write(strRequest) 'Send the request to PayPal and get the response Dim streamOut As StreamWriter streamOut = New StreamWriter(req.GetRequestStream(), System.Text.Encoding.ASCII) streamOut.Write(strRequest) streamOut.Close() Dim streamIn As StreamReader streamIn = New StreamReader(req.GetResponse().GetResponseStream()) Dim strResponse As String strResponse = streamIn.ReadToEnd() Response.Write(strResponse) streamIn.Close() If (strResponse = "VERIFIED") Then Response.Redirect("thankyou.aspx") ElseIf (strResponse = "INVALID") Then End If

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  • paypal sadbox IPN

    - by Phil Jackson
    Morning all. I am trying to test a SIMPLE php script to deal with the IPN response from paypal sandbox. <?php // read the post from PayPal system and add 'cmd' $req = 'cmd=_notify-validate'; foreach ($post as $key => $value) { $value = urlencode(stripslashes($value)); $req .= "&$key=$value"; } // post back to PayPal system to validate $header = "POST /cgi-bin/webscr HTTP/1.0\r\n"; $header .= "Content-Type: application/x-www-form-urlencoded\r\n"; $header .= "Content-Length: " . strlen($req) . "\r\n\r\n"; $fp = fsockopen ('ssl://www.sandbox.paypal.com/', 443, $errno, $errstr, 30); if ( !$fp ) { // HTTP ERROR $fp = fopen('thinbg.txt', 'a'); fwrite($fp, "false !fp - " . implode(" ", $post) ); fclose($fp); } else { fputs ($fp, $header . $req); while (!feof($fp)) { $res = fgets ($fp, 1024); if (strcmp ($res, "VERIFIED") == 0) { // PAYMENT VALIDATED & VERIFIED! $fp2 = fopen('thinbg.txt', 'a'); fwrite($fp2, "true - " . implode(" ", $post) ); fclose($fp2); } else if (strcmp ($res, "INVALID") == 0) { // PAYMENT INVALID & INVESTIGATE MANUALY! $fp2 = fopen('thinbg.txt', 'a'); fwrite($fp2, "false - " . implode(" ", $post) ); fclose($fp2); } } fclose ($fp); } ?> When I click on "send IPN" in the test ac"IPN successfully sent". when I look at the file that I created to check the vars it begins with "false !fp" yet still displays all the vars. Can anyone see whats happening and how I go about fixing. Regards, Phil

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  • How can you make a PHP application require a key to work?

    - by jasondavis
    About 4 years ago I used a php product called amember pro, it is a membership script which has plugins for lie 30 different payment processors, it was an easy way to set up an automated membership site where users would pay a payment and get access to a certain area. The script used ioncube http://www.ioncube.com/sa_encoder.php to prevent non-paying users from using the script, it requered that you register the domain that the script would be used on, you were then given a key to enter into the file that would make the system/script work. Now I am wanting to know how to do such a task, I know ioncube encoder just makes it hard to see the code, in the script I mention, they would just have a small section at the tp of 1 of the included pages that was encrypted and without that part of the code it would break and in addition if the owner of the script did not put you domain in the list and give you a valid key it would not work, also if you tried to use the script on a different domain it would not work. I realize that somewhere in the encrypted code that is must of sent you key to there server and checked that it was valid for the domain name it is on, or possibly it did not even do that, maybe the key would just verify that it matched the domain the script was on, that more likely what it did. Here is where the real question is, How would you make a script require the portion that is encrypted? If I made a script and had a small encrypted part at the top, it would seem a user would be able to easily just remove the encrypted part and figure out what the non encrypted part is doing and fix it to work. Any ideas?

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  • Optimizing an embedded SELECT query in mySQL

    - by Crazy Serb
    Ok, here's a query that I am running right now on a table that has 45,000 records and is 65MB in size... and is just about to get bigger and bigger (so I gotta think of the future performance as well here): SELECT count(payment_id) as signup_count, sum(amount) as signup_amount FROM payments p WHERE tm_completed BETWEEN '2009-05-01' AND '2009-05-30' AND completed > 0 AND tm_completed IS NOT NULL AND member_id NOT IN (SELECT p2.member_id FROM payments p2 WHERE p2.completed=1 AND p2.tm_completed < '2009-05-01' AND p2.tm_completed IS NOT NULL GROUP BY p2.member_id) And as you might or might not imagine - it chokes the mysql server to a standstill... What it does is - it simply pulls the number of new users who signed up, have at least one "completed" payment, tm_completed is not empty (as it is only populated for completed payments), and (the embedded Select) that member has never had a "completed" payment before - meaning he's a new member (just because the system does rebills and whatnot, and this is the only way to sort of differentiate between an existing member who just got rebilled and a new member who got billed for the first time). Now, is there any possible way to optimize this query to use less resources or something, and to stop taking my mysql resources down on their knees...? Am I missing any info to clarify this any further? Let me know... EDIT: Here are the indexes already on that table: PRIMARY PRIMARY 46757 payment_id member_id INDEX 23378 member_id payer_id INDEX 11689 payer_id coupon_id INDEX 1 coupon_id tm_added INDEX 46757 tm_added, product_id tm_completed INDEX 46757 tm_completed, product_id

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  • Using NULLs in matchup table

    - by TomWilsonFL
    I am working on the accounting portion of a reservation system (think limo company). In the system there are multiple objects that can either be paid or submit a payment. I am tracking all of these "transactions" in three tables called: tx, tx_cc, and tx_ch. tx generates a new tx_id (for transaction ID) and keeps the information about amount, validity, etc. Tx_cc and tx_ch keep the information about the credit card or check used, respectively, which link to other tables (credit_card and bank_account among others). This seems fairly normalized to me, no? Now here is my problem: The payment transaction can take place for a myriad of reasons. Either a reservation is being paid for, a travel agent that booked a reservation is being paid, a driver is being paid, etc. This results in multiple tables, one for each of the entities: agent_tx, driver_tx, reservation_tx, etc. They look like this: CREATE TABLE IF NOT EXISTS `driver_tx` ( `tx_id` int(10) unsigned zerofill NOT NULL, `driver_id` int(11) NOT NULL, `reservation_id` int(11) default NULL, `reservation_item_id` int(11) default NULL, PRIMARY KEY (`tx_id`) ) ENGINE=InnoDB DEFAULT CHARSET=utf8; Now this transaction is for a driver, but could be applied to an individual item on the reservation or the entire reservation overall. Therefore I demand either reservation_id OR reservation_item_id to be null. In the future there may be other things which a driver is paid for, which I would also add to this table, defaulting to null. What is the rule on this? Opinion? Obviously I could break this out into MANY three column tables, but the amount of OUTER JOINing needed seems outrageous. Your input is appreciated. Peace, Tom

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  • Trouble creating a SQL query

    - by JoBu1324
    I've been thinking about how to compose this SQL query for a while now, but after thinking about it for a few hours I thought I'd ask the SO community to see if they have any ideas. Here is a mock up of the relevant portion of the tables: contracts id date ar (yes/no) term payments contract_id payment_date The object of the query is to determine, per month, how many payments we expect, vs how many payments we received. conditions for expecting a payment Expected payments begin on contracts.term months after contracts.date, if contracts.ar is "yes". Payments continue to be expected until the month after the first missed payment. There is one other complication to this: payments might be late, but they need to show up as if they were paid on the date expected. The data is all there, but I've been having trouble wrapping my head around the SQL query. I am not an SQL guru - I merely have a decent amount of experience handling simpler queries. I'd like to avoid filtering the results in code, if possible - but without your help that may be what I have to do. Expected Output Month Expected Payments Received Payments January 500 450 February 498 478 March 234 211 April 987 789 ... SQL Fiddle I've created an SQL Fiddle: http://sqlfiddle.com/#!2/a2c3f/2

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  • c++ exercise question

    - by Djecua
    in need of help on a C++ program that will help a deli owner help her customers.Prompt the user for the number of bagels.if then calculate the customers payment two ways. first it finds the price of the smallest multiple of 13 bagels that is closet to the customer's order. it then calculates the price of the customer's order so that the customer's payment is the smallest amount possible with the customer getting the exact number of bagels ordered. if the first method is the smallest amount the program outputs the number of bagels the customer will receive along with the dollar amount owed and the dollar amount saved. otherwise just print the number of bagels received the dollar amount owed $ 3.80 for a dozen bagels (13 bagels) half a dozen(6 bagels) sing bagel cost $.50 owner of the deli is a honest merchant, customers always get the best price on an order, even if they get more bagels than ordered, for example a customer that orders 10 bagels would pay $ 4.60 (2.60 for a half dozen bagels plus $2.00 for 4 single bagels.merchant gives her customer 13 bagels saving the customer $0.80 If someone can example to me how would i design to give customer extra bagels and how to calculate cost.

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  • Load page for validation but do not display it to user in ASP.NET

    - by Kevin
    We have a site requiring users pay $2 to view the details of a record. We occasionally get complaints because we send them to the payment page, and once they pay it turns out the record isn't valid, or it was lost, or the data couldn't be generated. So we want to add in a check to ensure the page constructs properly before the user is required to pay for it. However, we don't want the user to have access to the page until they pay for it. Is there anything in ASP.NET 3.5 or just general web design that would allow something like this? The data on the record is real time and computed on a backend server before sent to the client. Occasionally this computation fails for whatever reason. Our alternative is to call all of the loading methods and validate the data, then redirect them to the payment page. The problem is A) this will be a relatively involved process rewriting all of these methods to return validation information, and B) it still doesn't guarentee us the page will load properly. Any thoughts?

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  • Select multi-select form from array

    - by Budove
    Here's the issue. I have a database column called pymnt_meth_pref, which contains a comma separated string of payment methods chosen from a multiselect form. <td>Payment Methods Used:<br /> <input type="checkbox" name="pyment_meth_pref[]" value="Cash">I can pay with cash.<br /> <input type="checkbox" name="pyment_meth_pref[]" value="Check">I can pay by check.<br /> <input type="checkbox" name="pyment_meth_pref[]" value="Credit Card">I can pay by credit card.<br /> <input type="checkbox" name="pyment_meth_pref[]" value="Paypal">I can pay with Paypal.<br /> </td> This array is posted to a variable and turned into a comma separated string if (isset($_POST['pyment_meth_pref'])) $pymntmethpref = implode(", ", $_POST['pyment_meth_pref']); if (isset($_POST['pyment_meth_acc'])) $pymntmethacc = implode(", ", $_POST['pyment_meth_acc']); This is then inserted into the database as a comma separated string. What I would like to do, is take this string and apply the values to the original form when the user goes back to the form as 'pre-selected' checkboxes, indicated that the user has already selected those values previously, and keeping those values in the database if they choose to edit any other information in the form. I'm assuming this would need to be done with javascript but if there is a way to do it with PHP I'd rather do it that way.

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  • Handling primary key duplicates in a data warehouse load

    - by Meff
    I'm currently building an ETL system to load a data warehouse from a transactional system. The grain of my fact table is the transaction level. In order to ensure I don't load duplicate rows I've put a primary key on the fact table, which is the transaction ID. I've encountered a problem with transactions being reversed - In the transactional database this is done via a status, which I pick up and I can work out if the transaction is being done, or rolled back so I can load a reversal row in the warehouse. However, the reversal row will have the same transaction ID and so I get a primary key violation. I've solved this for now by negating the primary key, so transaction ID 1 would be a payment, and transaction ID -1 (In the warehouse only) would be the reversal. I have considered an alternative of generating a BIT column, where 0 is normal and 1 is reversal, then making the PK the transaction ID and the BIT column. My question is, is this a good practice, and has anyone else encountered anything like this? For reference, this is a payment processing system, so values will not be modified, so there will only ever be transactions and reversals.

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  • Get Url Parameters In Django

    - by picomon
    I want to get current transaction id in url. it should be like this www.example.com/final_result/53432e1dd34b3 . I wrote the below codes, but after successful payment, I'm redirected to Page 404. (www.example.com/final_result//) Views.py @csrf_exempt def pay_notif(request, v_transaction_id): if request.method=='POST': v_transaction_id=request.POST.get('transaction_id') endpoint='https://testpay.com/?v_transaction_id={0}&type=json' req=endpoint.format(v_transaction_id) last_result=urlopen(req).read() if 'Approved' in last_result: session=Pay.objects.filter(session=request.session.session_key).latest('id') else: return HttpResponse(status=204) return render_to_response('final.html',{'session':session},context_instance=RequestContext(request)) Urls.py url(r'^final_result/(?P<v_transaction_id>[-A-Za-z0-9_]+)/$', 'digiapp.views.pay_notif', name="pay_notif"), Template: <input type='hidden' name='v_merchant_id' value='{{newpayy.v_merchant_id}}' /> <input type='hidden' name='item_1' value='{{ newpayy.esell.up_name }}' /> <input type='hidden' name='description_1' value='{{ newpayy.esell.up_description }}' /> <input type='hidden' name='price_1' value='{{ newpayy.esell.up_price }}' /> #page to be redirected to after successful payment <input type='hidden' name='success_url' value='http://127.0.0.1:8000/final_result/{{newpayy.v_transaction_id}}/' /> How can I go about this?

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