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  • Ext JS Tab Panel - Dynamic Tabs - Tab Exists Not Working

    - by Joey Ezekiel
    Hi Would appreciate if somebody could help me on this. I have a Tree Panel whose nodes when clicked load a tab into a tab panel. The tabs are loading alright, but my problem is duplication. I need to check if a tab exists before adding it to the tab panel. I cant seem to have this resolved and it is eating my brains. This is pretty simple and I have checked stackoverflow and the EXT JS Forums for solutions but they dont seem to work for me or I'm being blind. This is my code for the tree: var opstree = new Ext.tree.TreePanel({ renderTo: 'opstree', border:false, width: 250, height: 'auto', useArrows: false, animate: true, autoScroll: true, dataUrl: 'libs/tree-data.json', root: { nodeType: 'async', text: 'Tool Actions' }, listeners: { render: function() { this.getRootNode().expand(); } } }) opstree.on('click', function(n){ var sn = this.selModel.selNode || {}; // selNode is null on initial selection renderPage(n.id); }); function renderPage(tabId) { var TabPanel = Ext.getCmp('content-tab-panel'); var tab = TabPanel.getItem(tabId); //Ext.MessageBox.alert('TabGet',tab); if(tab){ TabPanel.setActiveTab(tabId); } else{ TabPanel.add({ title: tabId, html: 'Tab Body ' + (tabId) + '', closable:true }).show(); TabPanel.doLayout(); } } }); and this is the code for the Tab Panel new Ext.TabPanel({ id:'content-tab-panel', region: 'center', deferredRender: false, enableTabScroll:true, activeTab: 0, items: [{ contentEl: 'about', title: 'About the Billing Ops Application', closable: true, autoScroll: true, margins: '0 0 0 0' },{ contentEl: 'welcomescreen', title: 'PBRT Application Home', closable: false, autoScroll: true, margins: '0 0 0 0' }] }) Can somebody please help?

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  • Apk Expansion Files - Application Licensing - Developer account - NOT_LICENSED response

    - by mUncescu
    I am trying to use the APK Expansion Files extension for Android. I have uploaded the APK to the server along with the extension files. If the application was previously published i get a response from the server saying NOT_LICENSED: The code I use is: APKExpansionPolicy aep = new APKExpansionPolicy(mContext, new AESObfuscator(getSALT(), mContext.getPackageName(), deviceId)); aep.resetPolicy(); LicenseChecker checker = new LicenseChecker(mContext, aep, getPublicKey(); checker.checkAccess(new LicenseCheckerCallback() { @Override public void allow(int reason) { @Override public void dontAllow(int reason) { try { switch (reason) { case Policy.NOT_LICENSED: mNotification.onDownloadStateChanged(IDownloaderClient.STATE_FAILED_UNLICENSED); break; case Policy.RETRY: mNotification.onDownloadStateChanged(IDownloaderClient.STATE_FAILED_FETCHING_URL); break; } } finally { setServiceRunning(false); } } @Override public void applicationError(int errorCode) { try { mNotification.onDownloadStateChanged(IDownloaderClient.STATE_FAILED_FETCHING_URL); } finally { setServiceRunning(false); } } }); So if the application wasn't previously published the Allow method is called. If the application was previously published and now it isn't the dontAllow method is called. I have tried: http://developer.android.com/guide/google/play/licensing/setting-up.html#test-response Here it says that if you use a developer or test account on your test device you can set a specific response, I use LICENSED as response and still get NOT_LINCESED. Resetting the phone, clearing google play store cache, application data. Changing the versioncode number in different combinations still doesn't work. Edit: In case someone else was facing this problem I received an mail from the google support team We are aware that newly created accounts for testing in-app billing and Google licensing server (LVL) return errors, and are working on resolving this problem. Please stay tuned. In the meantime, you can use any accounts created prior to August 1st, 2012, for testing. So it seems to be a problem with their server, if I use the main developer thread everything works fine.

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  • How to prevent duplicate records being inserted with SqlBulkCopy when there is no primary key

    - by kscott
    I receive a daily XML file that contains thousands of records, each being a business transaction that I need to store in an internal database for use in reporting and billing. I was under the impression that each day's file contained only unique records, but have discovered that my definition of unique is not exactly the same as the provider's. The current application that imports this data is a C#.Net 3.5 console application, it does so using SqlBulkCopy into a MS SQL Server 2008 database table where the columns exactly match the structure of the XML records. Each record has just over 100 fields, and there is no natural key in the data, or rather the fields I can come up with making sense as a composite key end up also having to allow nulls. Currently the table has several indexes, but no primary key. Basically the entire row needs to be unique. If one field is different, it is valid enough to be inserted. I looked at creating an MD5 hash of the entire row, inserting that into the database and using a constraint to prevent SqlBulkCopy from inserting the row,but I don't see how to get the MD5 Hash into the BulkCopy operation and I'm not sure if the whole operation would fail and roll back if any one record failed, or if it would continue. The file contains a very large number of records, going row by row in the XML, querying the database for a record that matches all fields, and then deciding to insert is really the only way I can see being able to do this. I was just hoping not to have to rewrite the application entirely, and the bulk copy operation is so much faster. Does anyone know of a way to use SqlBulkCopy while preventing duplicate rows, without a primary key? Or any suggestion for a different way to do this?

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  • Why is OracleDataAdapter.Fill() Very Slow?

    - by John Gietzen
    I am using a pretty complex query to retrieve some data out of one of our billing databases. I'm running in to an issue where the query seems to complete fairly quickly when executed with SQL Developer, but does not seem to ever finish when using the OracleDataAdapter.Fill() method. I'm only trying to read about 1000 rows, and the query completes in SQL Developer in about 20 seconds. What could be causing such drastic differences in performance? I have tons of other queries that run quickly using the same function. Here is the code I'm using to execute the query: using Oracle.DataAccess.Client; ... public DataTable ExecuteExternalQuery(string connectionString, string providerName, string queryText) { DbConnection connection = null; DbCommand selectCommand = null; DbDataAdapter adapter = null; switch (providerName) { case "System.Data.OracleClient": case "Oracle.DataAccess.Client": connection = new OracleConnection(connectionString); selectCommand = connection.CreateCommand(); adapter = new OracleDataAdapter((OracleCommand)selectCommand); break; ... } DataTable table = null; try { connection.Open(); selectCommand.CommandText = queryText; selectCommand.CommandTimeout = 300000; selectCommand.CommandType = CommandType.Text; table = new DataTable("result"); table.Locale = CultureInfo.CurrentCulture; adapter.Fill(table); } finally { adapter.Dispose(); if (connection.State != ConnectionState.Closed) { connection.Close(); } } return table; } And here is the general outline of the SQL I'm using: with trouble_calls as ( select work_order_number, account_number, date_entered from work_orders where date_entered >= sysdate - (15 + 31) -- Use the index to limit the number of rows scanned and wo_status not in ('Cancelled') and wo_type = 'Trouble Call' ) select account_number, work_order_number, date_entered from trouble_calls wo where wo.icoms_date >= sysdate - 15 and ( select count(*) from trouble_calls repeat where wo.account_number = repeat.account_number and wo.work_order_number <> repeat.work_order_number and wo.date_entered - repeat.date_entered between 0 and 30 ) >= 1

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  • Contact-to-hire from the perspective of the headhunter agency?

    - by jamieb
    I operate a small IT consulting firm. One of my clients has expressed an interest in having an ASP.Net programmer on-site at their location for a six-month contract, with an option to hire. I've never really operated my company as a body shop (renting out talent for the long term) and an unfamiliar with how to price my quote. Assume I were to bring on a new developer as a 1099'ed contractor and then contract that person out to my client for the duration of the project. If I'm billing my client $X per hour for this developer's time, what should I be compensating this developer? $X/2 per hour? What's the typical ratio? If the client decides to hire this person at the end of the contract, what should I be compensated? Is it a flat finders fee, or maybe a function of the developer's annual salary? Would there be any advantage to actually hiring the person as a 1040'd employee rather than a 1099 contractor even if I can't offer him benefits? I know other body shops (like Robert Half) do this and never understood why.

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  • ADODB Connection String: Workgroup Information file is Missing?

    - by Mohgeroth
    I have a few data sources in access that I need to connect to programatically to do things with behind the scenes and keep visibility away from users. Said datasource has a password 'pass' as I'm going to call it here. Using this connection method I get an error attempting to use the open method Dim conn as ADODB.Connection Set ROBBERS.conn = New ADODB.Connection conn.open "Provider=Microsoft.Jet.OLEDB.4.0;" _ & "Data Source=\\pep-home\projects\billing\autobilling\DPBilling2.mdb;" _ & "Jet OLEDB:Database Password=pass;", "admin", "pass" "Cannot start your application. The workgroup information file is missing or opened exclusively by another user." Due to planning to move into 2007, we are not using nor have ever used a workgroup identification file through access. The database password on the data source was set through the Set Databa Password which had to be done on an exclusive open. Ive spent a good while changing around my connection options, where to put the passwords etc and either cannot find the right format, or (why I'm asking here) I think there may be some other unknown that I must setup to do this. Anyone out there got some useful information?

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  • nHibernate strategies in a web farm

    - by Pete Nelson
    Our current project at work is a new MVC web site that will use a WCF service primarily to access a 3rd party billing system via a web service as well as a small SQL database for user personalization. The WCF service uses nHibernate for the SQL database. We'd like to implement some sort of web farm for load balancing as well as failover and maintenance. I'm trying to decide the best way to handle nHibernate's caching and database concurrency if there are multiple WCF services running. Some scenarios I've been thinking about... 1) Multiple IIS servers, one WCF server. With this setup, the WCF server would be a single point of failure, but there would be no issues with nHibernate caching or database concurrency. 2) Multiple IIS servers, each with it's own WCF service. This removes a single point of failure, but now nHibernate on one machine would not know about database changes done by another machine. Some solutions to number 2 would be to use an IStatelessSession so we're not doing any caching and nHibernate is always fetching directly from the database. This might be the most feasible as our personalization database has very few objects in it. I'm also considering a 2nd-level cache such as memcached or Velocity, but it may be overkill for this system. I'm putting this out there to see if anyone has experience doing this sort of architecture and to get some ideas for a solution. Thanks!

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  • jQuery autopopulate select drop down from JSON issues

    - by Jonathon Joyce
    I have an issue regarding to auto populating a select dropdown from jQuery/JSON data which is return from a ColdFusion CFC, the code is below: $(function(){ $("#licences-add").dialog({autoOpen:false,modal:true,title:'Add Licences',height:250,width:380}); }); function openAddLicence(intInstanceID,szName,szDatasourceName){ $.getJSON('/ASPAdmin/billing/handler.cfc?method=ListLicenceTypes&queryformat=column',{szInstanceDatasource:szDatasourceName}, function(data){ $.each(data,function(){ $('<option></option>').val(data.DATA.UUIDLICENCETYPE).text(data.DATA.SZLICENCETYPE).appendTo('#uuidLicenceType'); }); }); $("#intInstanceID").attr('value', intInstanceID); $('span#szInstanceName').text(szName); $("#licences-add").dialog('open');}; The json returned is: {"ROWCOUNT":1,"COLUMNS":["UUIDLICENCETYPE","SZLICENCETYPE"],"DATA":{"UUIDLICENCETYPE":["480CE560-BCD3-C7AC-AF50B3C71BBCC473"],"SZLICENCETYPE":["Standard"]}} However i get the following error: $("").val(this.UUIDLICENCETYPE).text is not a function Any ideas? HTML: <tr> <td><label for="uuidLicenceType" title="Select the licence type (required).">Licence Type</label> <span class="req">*</span></td> <td> <select name="uuidLicenceType" id="uuidLicenceType" class="bmSelect"> <option value=""></option> </select> </td> </tr>

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  • Limiting choices from an intermediary ManyToMany junction table in Django

    - by Matthew Rankin
    Background I've created three Django models—Inventory, SalesOrder, and Invoice—to model items in inventory, sales orders for those items, and invoices for a particular sales order. Each sales order can have multiple items, so I've used an intermediary junction table—SalesOrderItems—using the through argument for the ManyToManyField. Also, partial billing of a sales orders is allowed, so I've created a ForeignKey in the Invoice model related to the SalesOrder model, so that a particular sales order can have multiple invoices. Here's where I deviate from what I've normally seen. Instead of relating the Invoice model to the Item model via a ManyToManyField, I've related the Invoice model to the SalesOrderItem intermediary junction table through the intermediary junction table InvoiceItem. I've done this because it better models reality—our invoices are tied to sales orders and can only include items that are tied to that sales order as opposed to any item in inventory. I will admit that it does seem strange having the intermediary junction table of a ManyToManyField related to the intermediary junction table of another ManyToManyField. Question How can I limit the choices available for the invoice_items in the Invoice model to just the sales_order_items of the SalesOrder model for that particular Invoice? (I tried using limit_choices_to= {'sales_order': self.invoice.sales_order}) as part of the item = models.ForeignKey(SalesOrderItem) in the InvoiceItem model, but that didn't work. Am I correct in thinking that limiting the choices for the invoice_items should be handled in the model instead of in a form? Code class Item(models.Model): item_num = models.SlugField(unique=True) default_price = models.DecimalField(max_digits=10, decimal_places=2, blank=True, null=True) class SalesOrderItem(models.Model): item = models.ForeignKey(Item) sales_order = models.ForeignKey('SalesOrder') unit_price = models.DecimalField(max_digits=10, decimal_places=2) quantity = models.DecimalField(max_digits=10, decimal_places=4) class SalesOrder(models.Model): customer = models.ForeignKey(Party) so_num = models.SlugField(max_length=40, unique=True) sales_order_items = models.ManyToManyField(Item, through=SalesOrderItem) class InvoiceItem(models.Model): item = models.ForeignKey(SalesOrderItem) invoice = models.ForeignKey('Invoice') unit_price = models.DecimalField(max_digits=10, decimal_places=2) quantity = models.DecimalField(max_digits=10, decimal_places=4) class Invoice(models.Model): invoice_num = models.SlugField(max_length=25) sales_order = models.ForeignKey(SalesOrder) invoice_items = models.ManyToManyField(SalesOrderItem, through='InvoiceItem')

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  • Convert text files to excel files using python

    - by Rahim Jaafar
    I am working on INFORMIX 4GL programs. That programs produce output text files.This is an example of the output: Lot No|Purchaser name|Billing|Payment|Deposit|Balance| J1006|JAUHARI BIN HAMIDI|5285.05|4923.25|0.00|361.80| J1007|LEE, CHIA-JUI AKA LEE, ANDREW J. R.|5366.15|5313.70|0.00|52.45| J1008|NAZRIN ANEEZA BINTI NAZARUDDIN|5669.55|5365.30|0.00|304.25| J1009|YAZID LUTFI BIN AHMAD LUTFI|3180.05|3022.30|0.00|157.75| This text files can manually convert to excel files.But, I wanna ask, is there any script that I can use to convert .txt files to .xls files ? Hi all,now I'm already can convert text files to excell file by python using script that was given from user named Rami Helmy.A big thanks for him.But now,That script will produce more than one excell files depends on the number of '|' from the text files.Beside that,That script also can only convert one text files.I a going to convert all text files without state the name of text files.Therefore,I am looking such a way on how to this script going to: output only one excell file convert all .txt files from the directory that was given from user. output excell's file name are automaticly copied from the file name of text files. I am new in python,hopefully someone can help me to solve my problems.Thank You.. done all the task,but there was something that I'm confused.. that output excell files contains an "square" symbol like this: then, how can I ensure that there is no square symbol like that after I convert from text files to excell? thank you...

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  • MS Word Macro - Numeric field insertion with automatic calculation at end of page

    - by Will
    Hi, I am trying to duplicate a feature that exists in Multimate (Ashton Tate) word processor. Yes, the one that hasnt been supported for 20 years! If I can duplicate this one feature I can get all the users off MM and onto Word. The documents they create are billing documents. they consist of a descriptive paragraph of any length on the left side of the page, and a billing amount at the end of the paragraph over on the right hand side, like this (excuse the imperfect formatting).... +-----------------whole page--------------------+ |                                                                    | |    pppp-para 1-pppppppppp                   | |    p                                         p                   | |    p                                         p                   | |    p                                         p                   | |    p                                         p                   | |    p                                         p                   | |    p                                         p                   | |    pppppppppppppppppppp      $$$$$  | |                                                                    |  |                                                                    |  |    pppp-para 2-pppppppppp                   | |    p                                         p                   | |    p                                         p                   | |    p                                         p                   | |    p                                         p                   | |    p                                         p                   | |    p                                         p                   | |    pppppppppppppppppppp      $$$$$  | |                                                                    |  |                                                                    |  |                             etc                                  | +-----------------------------------------------------+ some of these bills can be a few hundred pages and have a dozen or so paragraphs on each page, which is why none of the users will leave MM until this efficient little feature can be duplicated. The thing that MM does really easily is that there is a function key that they can press at any time that will - - jump the cursor from the paragraph they are writing over to the right hand side - create a numeric field - allow them to enter a number into the numeric field - return them to the left hand side to start a new paragraph What MM also does is automatically total the numeric fields on each page and create a subtotal in the page footer. it also creates a total for the entire document and puts this in the footer of the last page. I would like to duplicate this feature in word with a macro, but have no idea where to start. Any suggestions or code would be great, thanks, will.

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  • Multiple user roles in Ruby on Rails

    - by aguynamedloren
    I am building an inventory management application with four different user types: admin, employee, manufacturer, transporter. I haven't started coding yet, but this is what I'm thinking.. Manufacturers and transporters are related with has_many :through many-to-many association with products as follows: class Manufacturer < ActiveRecord::Base has_many :products has_many :transporters, :through => :products end class Product < ActiveRecord::Base belongs_to :manufacturer belongs_to :transporter end class Transporter < ActiveRecord::Base has_many :products has_many :manufacturers, :through => :products end All four user types will be able to login, but they will have different permissions and views, etc. I don't think I can put them in the same table (Users), however, because they will have different requirements, ie: vendors and manufacturers must have a billing address and contact info (through validations), but admins and employees should not have these fields. If possible, I would like to have a single login screen as opposed to 4 different screens. I'm not asking for the exact code to build this, but I'm having trouble determining the best way to make it happen. Any ideas would be greatly appreciated - thanks!

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  • Suckerfish Menu Not Working. Nested UL not displaying block

    - by Brett
    I'm going out of my mind with this one. I'm trying to build a suckerfish css drop down menu. I have the first level working ok but I can't get the nested ul (under the Glossary tab) to display in block format and show my a background color. I've been at this for three days and I'm about to go crazy. If anyone can help I'd really appreciate it. You can see it here: www.brettlockhart.com/blast/ body { min-width:640px; margin:0px; padding:0px 40px 0px 40px; background-color:#eee; } /*Nav One styles*/ nav#navOne ul { width:100%; min-width:640px; height:25px; margin:0px auto; padding:0px; background-image:url(/blast/images/navOneBg.png); border-radius:0px 0px 8px 8px; text-align:right; float:right; } nav#navOne ul li { position:relative; display:inline; margin: 0px 0px 0px 10px auto; padding:3px 0px; border-left:1px #0b4c8f solid; line-height:23px; } nav#navOne ul li:last-child { margin-right:10px; } .arrowDown { margin: auto; font-family:Tahoma, Geneva, sans-serif; font-size:.7em; color:#FFF; padding: 0px 5px 0px 0px; } nav#navOne ul li a { margin: 0px auto; padding: 4px 10px 4px 15px; font-family:Tahoma, Geneva, sans-serif; font-size:.7em; color:#FFF; border-left:1px #5d9ee0 solid; text-decoration:none; line-height:23px; } /*Nav One rollover*/ nav#navOne ul li ul { display:none; background-image:none; } nav#navOne ul li:hover ul { display:block !important; } nav#navOne ul li:hover nav#navOne ul li ul li { background-color:#69C !important; left:0px; top:26px; z-index:10; } h1 { float:left; width:158px; text-indent:-9999px; background-image:url(/blast/images/logo.png); background-repeat:no-repeat; } #search { float:right; width:280px; margin:0px; padding:0px; } /*Nav Two styles*/ nav#navTwo h3 { display:inline; } nav#navTwo ul { width:100%; height:50px; margin:0 auto; padding:0px; border:1px solid red; clear:both; } nav#navTwo ul li { display:inline; border: 1px solid green; margin-top:20px; } <header> <nav id="navOne"> <ul> <li><a href="#">Sign In</a></li> <li><a href="#">Register</a></li> <li><a href="#">Print Page</a></li> <li id="glossary"><a href="#">Glossary</a> <ul> <li><a href="#">Item Placeholder</a></li> <li><a href="#">Item Placeholder</a></li> <li><a href="#">Item Placeholder</a></li> <li><a href="#">Item Placeholder</a></li> <li><a href="#">Item Placeholder</a></li> <li><a href="#">Item Placeholder</a></li> </ul> </li> <li><a href="#">Text Size: A A A</a></li> <li><a href="#">Select Your Location</a> <span class="arrowDown">&#x2C5;</span></li> </ul> </nav><!--/navOne--> <h1>Logo</h1> <div id="search"> <form action="?" method="get"> <fieldset> <input type="text" id="searchField"> <input type="submit" id="searchSubmit" value="Submit"> Search:<label for="radioHere">here</label> <input type="radio" id="radioHere" name="here" value="here"> <label for="radioWeb">the web</label> <input type="radio" id="radioWeb" name="the web" value="the web"> </fieldset> </form> </div><!--/search--> <nav id="navTwo"> <ul> <li><h3>Residential:</h3></li> <li>TV</li> <li>Internet</li> <li>Phone</li> <li>Pricing</li> <li class="navTwoSelected">Music</li> <li>Order</li> <li>Billing</li> <li>Support</li> <li>|</li> <li>Business</li> <li>About Us</li> </ul> </nav><!--/navTwo--> <nav id="navThree"> <ul> <li>Today</li> <li>Watch</li> <li>Surf</li> <li>Play</li> <li class="navThreeSelected">Listen</li> <li>Learn</li> <li>Local</li> </ul> <h3>Tools:</h3> <ul> <li>Webmail</li> <li>Account</li> <li>Billing</li> <li>Order Services</li> </ul> </nav><!--/navThree--> <nav id="navFour"> <h3>Your are here:</h3> <ul id="breadcrumbs"> <li>Residential ></li> <li>My Place ></li> <li>Listen ></li> <li class="currentPage">Music</li> </ul> </nav><!--/navFour--> </header>

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  • Authorize.net Parameters with activemerchant

    - by rpflo
    I'm using authorize.net and activemerchant in a rails app. When I make a purchase authorize.net sends back an email with information about the purchase. I should be able to send them the billing and shipping address information and have that returned in the email, but it's not returning any of the information, obviously I've got the varable names wrong, anybody know what they should be? I've been pouring over the authorize.net api docs and activemerchant's but can't find what I need. My purchase method on an orders model looks like this: def purchase purchase_options = { :ip => ip_address, :first_name => first_name, :last_name => last_name, :address => billing_street_address, :city => billing_city, :state => billing_state, :country => "US", :zip => billing_zip, :ship_to_first_name => first_name, :ship_to_last_name => last_name, :ship_to_address => shipping_street_address, :ship_to_city => shipping_city, :ship_to_state => shipping_state, :ship_to_country => "US", :ship_to_zip => shipping_zip } response = GATEWAY.purchase(price_in_cents, credit_card, purchase_options) # other transaction stuff response.success? end

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  • How to setup Lucene search for a B2B web app?

    - by Bill Paetzke
    Given: 5000 databases (spread out over 5 servers) 1 database per client (so you can infer there are 1000 clients) 2 to 2000 users per client (let's say avg is 100 users per client) Clients (databases) come and go every day (let's assume most remain for at least one year) Let's stay agnostic of language or sql brand, since Lucene (and Solr) have a breadth of support The Question: How would you setup Lucene search so that each client can only search within its database? How would you setup the index(es)? Would you need to add a filter to all search queries? If a client cancelled, how would you delete their (part of the) index? (this may be trivial--not sure yet) Possible Solutions: Make an index for each client (database) Pro: Search is faster (than one-index-for-all method). Indices are relative to the size of the client's data. Con: I'm not sure what this entails, nor do I know if this is beyond Lucene's scope. Have a single, gigantic index with a database_name field. Always include database_name as a filter. Pro: Not sure. Maybe good for tech support or billing dept to search all databases for info. Con: Search is slower (than index-per-client method). Flawed security if query filter removed. For Example: Joel Spolsky said in Podcast #11 that his hosted web app product, FogBugz On-Demand, uses Lucene. He has thousands of on-demand clients. And each client gets their own database. His situation is quite similar to mine. Although, he didn't elaborate on the setup (particularly indices); hence, the need for this question. One last thing: I would also accept an answer that uses Solr (the extension of Lucene). Perhaps it's better suited for this problem. Not sure.

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  • TSQL - How to join 1..* from multiple tables in one resultset?

    - by ElHaix
    A location table record has two address id's - mailing and business addressID that refer to an address table. Thus, the address table will contain up to two records for a given addressID. Given a location ID, I need an sproc to return all tbl_Location fields, and all tbl_Address fields in one resultset: LocationID INT, ClientID INT, LocationName NVARCHAR(50), LocationDescription NVARCHAR(50), MailingAddressID INT, BillingAddressID INT, MAddress1 NVARCHAR(255), MAddress2 NVARCHAR(255), MCity NVARCHAR(50), MState NVARCHAR(50), MZip NVARCHAR(10), MCountry CHAR(3), BAddress1 NVARCHAR(255), BAddress2 NVARCHAR(255), BCity NVARCHAR(50), BState NVARCHAR(50), BZip NVARCHAR(10), BCountry CHAR(3) I've started by creating a temp table with the required fields, but am a bit stuck on how to accomplish this. I could do sub-selects for each of the required address fields, but seems a bit messy. I've already got a table-valued-function that accepts an address ID, and returns all fields for that ID, but not sure how to integrate it into my required result. Off hand, it looks like 3 selects to create this table - 1: Location, 2: Mailing address, 3: Billing address. What I'd like to do is just create a view and use that. Any assistance would be helpful. Thanks.

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  • Payment Processors - What do I need to know if I want to accept credit cards on my website?

    - by Michael Pryor
    This question talks about different payment processors and what they cost, but I'm looking for the answer to what do I need to do if I want to accept credit card payments? Assume I need to store credit card numbers for customers, so that the obvious solution of relying on the credit card processor to do the heavy lifting is not available. PCI Data Security, which is apparently the standard for storing credit card info, has a bunch of general requirements, but how does one implement them? And what about the vendors, like Visa, who have their own best practices? Do I need to have keyfob access to the machine? What about physically protecting it from hackers in the building? Or even what if someone got their hands on the backup files with the sql server data files on it? What about backups? Are there other physical copies of that data around? Tip: If you get a merchant account, you should negotiate that they charge you "interchange-plus" instead of tiered pricing. With tiered pricing, they will charge you different rates based on what type of Visa/MC is used -- ie. they charge you more for cards with big rewards attached to them. Interchange plus billing means you only pay the processor what Visa/MC charges them, plus a flat fee. (Amex and Discover charge their own rates directly to merchants, so this doesn't apply to those cards. You'll find Amex rates to be in the 3% range and Discover could be as low as 1%. Visa/MC is in the 2% range). This service is supposed to do the negotiation for you (I haven't used it, this is not an ad, and I'm not affiliated with the website, but this service is greatly needed.) This blog post gives a complete rundown of handling credit cards (specifically for the UK).

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  • What is the the relation between programming and mathematics?

    - by Math Grad
    Programmers seem to think that their work is quite mathematical. I understand this when you try to optimize something in performance, find the most efficient alogithm, etc.. But it patently seems false when you look at a billing application for a shop, or a systems software riddled with I/O calls. So what is it exactly? Is computation and associated programming really mathematical? Here I have in mind particularly the words of the philosopher Schopenhauer in mind: That arithmetic is the basest of all mental activities is proved by the fact that it is the only one that can be accomplished by means of a machine. Take, for instance, the reckoning machines that are so commonly used in England at the present time, and solely for the sake of convenience. But all analysis finitorum et infinitorum is fundamentally based on calculation. Therefore we may gauge the “profound sense of the mathematician,” of whom Lichtenberg has made fun, in that he says: “These so-called professors of mathematics have taken advantage of the ingenuousness of other people, have attained the credit of possessing profound sense, which strongly resembles the theologians’ profound sense of their own holiness.” I lifted the above quote from here. It seems that programmers are doing precisely the sort of mechanized base mental activity the grand old man is contemptuous about. So what exactly is the deal? Is programming really the "good" kind of mathematics, or just the baser type, or altogether something else just meant for business not to be confused with a pure discipline?

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  • Limit iPhone in-app purchase by user's country

    - by Ryan
    Hello everyone. I'm a product manager who works for a small internet company that is developing an iPhone application for a social network. We monetize by offering limited and premium memberships to users (premium members get additional features not available to limited members). For billing on the web, we use a 3rd-party payment gateway that is nearing retirement, and will be replaced by an in-house solution. The business wants a global launch for our iPhone app using iTunes + in-app purchasing as a payment gateway. The problem with going global using this payment method is that for our web service membership level, available features, and subscription costs are defined by country. For example, in the US premium/limited memberships are available at 5 pricing tiers; in France premium/limited memberships are available at 5 different pricing tiers from the US; and in Chile the service is available for free and all features are available to users. Is it possible then to have the server-side, based on the user's country of registration, control the level of access, features, and payment options for users on the iPhone? I'd also note that since iTunes Connect does not allow variable pricing by currency and country, each "region" would need 5 in app purchase options. I argued for a US-only launch for iPhone using iTunes in app purchase until an in-house payment gateway is available. But you know...

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  • Jquery tabs enable tab?

    - by user342391
    I am trying to enable a disabled tab in Jquery but it doesn't work I have my tabs: <!--Jquery AJAX Tabs Start--> <div id="signuptabs"> <ul> <li><a href="type.php"><span>Number type</span></a></li> <li><a href="ber.php"><span>Choose Number</span></a></li> <li><a href="ces.php"><span>Devices</span></a></li> <li><a href="ups.php"><span>Ring Groups</span></a></li> <li><a href="t.php"><span>IVR Text</span></a></li> <li><a href="nu.php"><span>IVR Menu</span></a></li> <li><a href="nfo.php"><span>Billing Information</span></a></li> </ul> </div> <!--Jquery AJAX Tabs End--> Then I have my Javascript: $(document).ready(function() { $("#signuptabs").tabs({ disabled: [1, 2, 3, 4, 5, 6, 7] }); //number type button $('#target').click(function() { $('#signuptabs').enableTab(2); // enables third tab }); }); I have a button with an ID 'target' that when clicked is supposed to enable the (2) tab. The tabs show as disabled but will not enable. what is wrong??

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  • activemerchant PayPalExpress transaction is invalid

    - by Ameya Savale
    I am trying to integrate activemerchant into my ruby on rails application. This is my controller where I get the purchase attirbutes and create a PaypalExpressResponse object def checkout total_as_cents, purchase_params = get_setup_params(Schedule.find(params[:schedule]), request) setup_response = @gateway.setup_purchase(total_as_cents, purchase_params) redirect_to @gateway.redirect_url_for(setup_response.token) end @gateway is my PaypalExpressGateway object which I create using this method in my controller def assign_gateway @gateway = PaypalExpressGateway.new( :login => api_user, :password => api_pass, :signature => api_signature ) end I got the api_user, api_pass, and api_signature values from my developer.paypal.com account, when I logged in for the first time there was already a sandbox user created as a merchant which is where I got the api credentials from. And finally here is my get_setup_params method: def get_setup_params(schedule, request) purchase_params = { :ip => request.remote_ip, :return_url => url_for(:action => 'review', :only_path => false, :sched => schedule.id), :cancel_return_url => register_path, :allow_note => true, :item => schedule.id } return to_cents(schedule.fee), purchase_params end How ever when I click on the checkout button, I get redirected to a sandbox paypal page saying "This transaction is invalid. Please return to the recipient's website to complete your transaction using their regular checkout flow." I'm not sure exactly what's wrong, I think the problem lies in the credentials but don't know why. Any help will be appreciated. One other point, I'm running this in my development environment so I have put this in my config file config.after_initialize do ActiveMerchant::Billing::Base.mode = :test end UPDATE Found out what the problem was, my return cancel url was invalid instead of using register_path, I used url_for(action: "action-name", :only_path => false) this answer helped me Rails ActiveMerchant - Paypal Express Checkout Error even though I wasn't able to see the output of the response like the person has managed to do

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  • Technology Plan - Which tools should I use?

    - by Armadillo
    Hi, Soon, I'll start my own software company. My primary product/solution will be a Billing/Invoice Software. In a near future, I pretend to expand this first module to an ERP. My app should be able to run as a stand-alone application and as a Web-based application (so there will be, probably two GUI for the same Database). My problem, now, is to choose the right tools; I'm talking about what programming language(s) should I use, what kind of database should I choose, and stuff like that. I'm primarily a VB6 programmer, so probably I'll choose the .net framework (vb/c#). But I'm seriously thinking about Java. Java has 2 "pros" that I really like: write once, run anywhere and it is free (I think...). I've been thinking about RIAs too, but I just don't have any substantial feedback about them... Then, I'll need a report tool. Crystal Reports? HTML based Reports? Other? Databases: I'm not sure if I should use SQL-Server Express or PostgreSQL (or other). I'd be happy to hear any comments and advices Thanks

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  • Properly populating tables in an Object Relational database

    - by chaosTechnician
    I've got a homework assignment that requires that I use Oracle 10g Express to implement an Object Relational database to track phone billing data. I have a superclass of Communications with subclasses of Call, Text, and Data. I'm hitting a snag with properly populating these tables so that I can find the appropriate data in the various tables. My Types and Tables are declared as such: create type CommunicationType as object ( -- column names here ) not final; create type CallType under CommunicationType ( -- column names here ); create type TextType under CommunicationType ( -- column names here ); create type DataType under CommunicationType ( -- column names here ); create table Communications of CommunicationType ( -- Primary and Foreign key constraints here ); create table Calls of CallType; create table Texts of TextType; create table Datas of DataType; When I try to insert data into one of the subclasses, its entry doesn't appear in the superclass. Likewise if I insert into the superclass, it doesn't show up in the appropriate subclass. For example, insert into Calls values (CallType( -- Values -- )); doesn't show any data in Communications. Nor does insert into Communications values (CallType( -- Values -- )); show anything in Calls. What am I doing wrong?

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  • Is it better to use a relational database or document-based database for an app like Wufoo?

    - by mboyle
    I'm working on an application that's similar to Wufoo in that it allows our users to create their own databases and collect/present records with auto generated forms and views. Since every user is creating a different schema (one user might have a database of their baseball card collection, another might have a database of their recipes) our current approach is using MySQL to create separate databases for every user with its own tables. So in other words, the databases our MySQL server contains look like: main-web-app-db (our web app containing tables for users account info, billing, etc) user_1_db (baseball_cards_table) user_2_db (recipes_table) .... And so on. If a user wants to set up a new database to keep track of their DVD collection, we'd do a "create database ..." with "create table ...". If they enter some data in and then decide they want to change a column we'd do an "alter table ....". Now, the further along I get with building this out the more it seems like MySQL is poorly suited to handling this. 1) My first concern is that switching databases every request, first to our main app's database for authentication etc, and then to the user's personal database, is going to be inefficient. 2) The second concern I have is that there's going to be a limit to the number of databases a single MySQL server can host. Pretending for a moment this application had 500,000 user databases, is MySQL designed to operate this way? What if it were a million, or more? 3) Lastly, is this method going to be a nightmare to support and scale? I've never heard of MySQL being used in this way so I do worry about how this affects things like replication and other methods of scaling. To me, it seems like MySQL wasn't built to be used in this way but what do I know. I've been looking at document-based databases like MongoDB, CouchDB, and Redis as alternatives because it seems like a schema-less approach to this particular problem makes a lot of sense. Can anyone offer some advice on this?

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  • To OpenID or not to OpenID? Is it worth it?

    - by Eloff
    Does OpenID improve the user experience? Edit Not to detract from the other comments, but I got one really good reply below that outlined 3 advantages of OpenID in a rational bottom line kind of way. I've also heard some whisperings in other comments that you can get access to some details on the user through OpenID (name? email? what?) and that using that it might even be able to simplify the registration process by not needing to gather as much information. Things that definitely need to be gathered in a checkout process: Full name Email (I'm pretty sure I'll have to ask for these myself) Billing address Shipping address Credit card info There may be a few other things that are interesting from a marketing point of view, but I wouldn't ask the user to manually enter anything not absolutely required during the checkout process. So what's possible in this regard? /Edit (You may have noticed stackoverflow uses OpenID) It seems to me it is easier and faster for the user to simply enter a username and password in a signup form they have to go through anyway. I mean you don't avoid entering a username and password either with OpenID. But you avoid the confusion of choosing a OpenID provider, and the trip out to and back from and external site. With Microsoft making Live ID an OpenID provider (More Info), bringing on several hundred million additional accounts to those provided by Google, Yahoo, and others, this question is more important than ever. I have to require new customers to sign up during the checkout process, and it is absolutely critical that the experience be as easy and smooth as possible, every little bit harder it becomes translates into lost sales. No geek factor outweighs cold hard cash at the end of the day :) OpenID seems like a nice idea, but the implementation is of questionable value. What are the advantages of OpenID and is it really worth it in my scenario described above?

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