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  • Accounting setup in freeradius with mikrotik and the "always" module

    - by Matt
    I have a freeradius setup that is being used to provide authentication for users on a wireless network. The access points are all Mikrotik hardware and the users are connected 24/7. We've been using Daloradius with mysql and freeradius 2. The boss wants to use the accounting information and while this is all set up and appears to be working, I've found that not all the accounting information is present. Since our users may be connected for more than 24 hours at a time we keep this in here, it will reset some attributes daily so that the accounting packets work correctly. So he started poking around at this link: http://wiki.mikrotik.com/wiki/RouterOs_MySql_Freeradius#Configuring_RouterOs_for_Radius_.26_PPP.2A_AAA And was looking specifically at the following section. Since our users may be connected for more than 24 hours at a time we keep this in here, it will reset some attributes daily so that the accounting packets work correctly always fail { rcode = fail } always reject { rcode = reject } always ok { rcode = ok simulcount = 0 mpp = no } However, that link references freeradius 1 and I can't find this in the radius.conf file for freeradius 2. What does it do and could it be a reason I'm missing data? EDIT: I have found one issue. We have a backup freeradius server that is also receiving the accounting packets. Although they are replicating, it's only a master/slave configuration. If the slave receives accounting packets it won't replicate them back to the master. Although I suspect this might solve it, the boss is not convinced due to the always module. Is there anything special I need to configure in the mikrotik AP's or freeradius 2 for clients connected 24/7.

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  • Accounting setup in freeradius with mikrotik and the "always" module

    - by Matt
    I have a freeradius setup that is being used to provide authentication for users on a wireless network. The access points are all Mikrotik hardware and the users are connected 24/7. We've been using Daloradius with mysql and freeradius 2. The boss wants to use the accounting information and while this is all set up and appears to be working, I've found that not all the accounting information is present. Since our users may be connected for more than 24 hours at a time we keep this in here, it will reset some attributes daily so that the accounting packets work correctly. So he started poking around at this link: http://wiki.mikrotik.com/wiki/RouterOs_MySql_Freeradius#Configuring_RouterOs_for_Radius_.26_PPP.2A_AAA And was looking specifically at the following section. Since our users may be connected for more than 24 hours at a time we keep this in here, it will reset some attributes daily so that the accounting packets work correctly always fail { rcode = fail } always reject { rcode = reject } always ok { rcode = ok simulcount = 0 mpp = no } However, that link references freeradius 1 and I can't find this in the radius.conf file for freeradius 2. What does it do and could it be a reason I'm missing data? EDIT: I have found one issue. We have a backup freeradius server that is also receiving the accounting packets. Although they are replicating, it's only a master/slave configuration. If the slave receives accounting packets it won't replicate them back to the master. Although I suspect this might solve it, the boss is not convinced due to the always module. Is there anything special I need to configure in the mikrotik AP's or freeradius 2 for clients connected 24/7.

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  • Leveraging Existing ERP Systems to Support Environmental Accounting and Reporting

    Organizations globally are faced with a complex set of emissions reporting requirements. Driven by country-specific regulatory mandates as well as stakeholder requests for voluntary reporting, companies are under pressure to provide consistent, transparent and accurate collection, measurement and reporting of energy usage and emissions data. In this podcast, you'll year about how the new Oracle Environmental Accounting and Reporting solution extends the capabilities of Oracle E-Business Suite and JD Edwards Financials to enable organizations to track their greenhouse gas emissions and other environmental data against reduction targets, and to obtain accurate, repeatable and verifiable methodologies for greenhouse gas calculation in accordance with global standards and for both voluntary and legislated emissions reporting schemes.

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  • Seven Accounting Changes for 2010

    - by Theresa Hickman
    I read a very interesting article called Seven Accounting Changes That Will Affect Your 2010 Annual Report from SmartPros that nicely summarized how 2010 annual financial statements will be impacted.  Here’s a Reader’s Digest version of the changes: 1.  Changes to revenue recognition if you sell bundled products with multiple deliverables: Old Rule: You needed to objectively establish the “fair value” of each bundled item. So if you sold a dishwasher plus installation and could not establish the fair value of the installation, you might have to delay recognizing revenue of the dishwasher days or weeks later until it was installed. New Rule (ASU 2009-13): “Objective” proof of each service or good is no longer required; you can simply estimate the selling price of the installation and warranty. So the dishwasher vendor can recognize the dishwasher revenue immediately at the point of sale without waiting a few weeks for the installation. Then they can recognize the estimated value of the installation after it is complete. 2.  Changes to revenue recognition for devices with embedded software: Old Rule: Hardware devices with embedded software, such as the iPhone, had to follow stringent software revrec rules. This forced Apple to recognize iPhone revenues over two years, the period of time that software updates were provided. New Rule (ASU 2009-14): Software revrec rules no longer apply to these devices with embedded software; these devices can now follow ASU 2009-13. This allows vendors, such as Apple, to recognize revenue sooner. 3.  Fair value disclosures: Companies (both public and private) now need to spend extra time gathering, summarizing, and disclosing information about items measured at fair value, such as significant transfers in and out of Level 1(quoted market price), Level 2 (valuation based on observable markets), and Level 3 (valuations based on internal information). 4.  Consolidation of variable interest entities (a.k.a special purpose entities): Consolidation rules for variable interest entities now require a qualitative, not quantitative, analysis to determine the primary beneficiary. Instead of simply looking at the percentage of voting interests, the primary beneficiary could have less than the majority interests as long as it has the power to direct the activities and absorb any losses.  5.  XBRL: Starting in June 2011, all U.S. public companies are required to file financial statements to the SEC using XBRL. Note: Oracle supports XBRL reporting. 6.  Non-GAAP financial disclosures: Companies that report non-GAAP measures of performance, such as EBITDA in SEC filings, have more flexibility.  The new interpretations can be found here: http://www.sec.gov/divisions/corpfin/guidance/nongaapinterp.htm.  7.  Loss contingencies disclosures: Companies should expect additional scrutiny of their loss disclosures, such as those from litigation losses, in their annual financial statements. The SEC wants more disclosures about loss contingencies sooner instead of after the cases are settled.

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  • Meraki's Accounting-Requests to RADIUS server

    - by PachinSV
    I'm running a RADIUS server with some Meraki APs, the process of Authentications is fine... But it seems that the Meraki Cloud Controller is just sending the authentication packets and not the accounting requests. I've tested the RADIUS sending accounting requests with the radclient tool (locally) and it worked. I think that maybe my RADIUS server is ignoring the accounting requests from the MCC because there are some Vendor Specific Attributes that my RADIUS doesn't know. should I add a Meraki's dictionary to my RADIUS configurations? I'm kind of desperate, any idea?

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  • Great Programmer Productivity - Accounting for 10,000 fold difference?

    - by TheImpact
    "A great lathe operator commands several times the wage of an average lathe operator, but a great writer of software code is worth 10,000 times the price of an average software writer." - Bill Gates Say there's a "great" software engineer and an "average" software engineer on the same team. How can you account for one engineer being 10,000 times more productive? I can't quite fathom this, given they're both taking on their share of features, bugs and investigations, and consistently deliver with quality. Would my description possibly justify them to be above "average"? "great"? In a corporation like Microsoft, what % of software engineers are "average"? What % "great"?

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  • Best accounting software for freelance/contractor programmer? [closed]

    - by user1352034
    I know this isn't exactly a programming question but I am hoping to find some programmers who freelance or do contractor work in the US. I have started to work on side jobs and have been billing my clients using Paypal. I then would store those records in a Google excel doc but realize this will get out of hand as time goes on and am looking for a good solution. I am no accountant so I am not sure of everything I would need but I am guessing basic invoicing, expenses, reporting, integration with paypal, etc.. Any contractors or freelancers in here could recommend what they use? I have researched a few but would like to hear what other people are using and how it is working out for them. Thanks for your time!

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  • Accounting for waves when doing planar reflections

    - by CloseReflector
    I've been studying Nvidia's examples from the SDK, in particular the Island11 project and I've found something curious about a piece of HLSL code which corrects the reflections up and down depending on the state of the wave's height. Naturally, after examining the brief paragraph of code: // calculating correction that shifts reflection up/down according to water wave Y position float4 projected_waveheight = mul(float4(input.positionWS.x,input.positionWS.y,input.positionWS.z,1),g_ModelViewProjectionMatrix); float waveheight_correction=-0.5*projected_waveheight.y/projected_waveheight.w; projected_waveheight = mul(float4(input.positionWS.x,-0.8,input.positionWS.z,1),g_ModelViewProjectionMatrix); waveheight_correction+=0.5*projected_waveheight.y/projected_waveheight.w; reflection_disturbance.y=max(-0.15,waveheight_correction+reflection_disturbance.y); My first guess was that it compensates for the planar reflection when it is subjected to vertical perturbation (the waves), shifting the reflected geometry to a point where is nothing and the water is just rendered as if there is nothing there or just the sky: Now, that's the sky reflecting where we should see the terrain's green/grey/yellowish reflection lerped with the water's baseline. My problem is now that I cannot really pinpoint what is the logic behind it. Projecting the actual world space position of a point of the wave/water geometry and then multiplying by -.5f, only to take another projection of the same point, this time with its y coordinate changed to -0.8 (why -0.8?). Clues in the code seem to indicate it was derived with trial and error because there is redundancy. For example, the author takes the negative half of the projected y coordinate (after the w divide): float waveheight_correction=-0.5*projected_waveheight.y/projected_waveheight.w; And then does the same for the second point (only positive, to get a difference of some sort, I presume) and combines them: waveheight_correction+=0.5*projected_waveheight.y/projected_waveheight.w; By removing the divide by 2, I see no difference in quality improvement (if someone cares to correct me, please do). The crux of it seems to be the difference in the projected y, why is that? This redundancy and the seemingly arbitrary selection of -.8f and -0.15f lead me to conclude that this might be a combination of heuristics/guess work. Is there a logical underpinning to this or is it just a desperate hack? Here is an exaggeration of the initial problem which the code fragment fixes, observe on the lowest tessellation level. Hopefully, it might spark an idea I'm missing. The -.8f might be a reference height from which to deduce how much to disturb the texture coordinate sampling the planarly reflected geometry render and -.15f might be the lower bound, a security measure.

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  • Is there any script to do accounting for the proftpd's xferlog?

    - by Aseques
    I would like to convert from the xferlog format that proftpd uses into per user in/out bytes, to have a summary on how much traffic does each user use per month. The exact format is this: Thu Oct 17 12:47:05 2013 1 123.123.123.123 74852 /home/vftp/doc1.txt b _ i r user ftp 0 * c Thu Oct 17 12:47:06 2013 2 123.123.123.123 86321 /home/vftp/doc2.txt b _ i r user ftp 0 * c So far I only found a script that makes a nice report but not exactly what I needed, that one can be found here I might create a fork of this one and place it somewhere but it probably has been done a lot of times already. Just found a well hidden page in proftpd site with some more examples here

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  • Is it safe to Update and/or Insert records into an accounting software's database? (Pastel Evolution)

    - by user1020317
    Our CRM system can post transactions to our accounts software (Pastel Evolution), but it doesn't perform the required currency conversion. Both systems have different "base" currencies (because of our location), so the figure thats sent to Pastel evolution is right, but it is reflected in the wrong currency. The CRM uses an ODBC connection to post figures to Evolution. I can make a tool which sits between the two systems which can update and/or insert the transactions into Pastel, by mimicking what the CRM would have done if it was doing the POST. Is it safe for me to mimic and/or update these transactions directly in the Pastel database? Is it common for important validation to be performed in the ODBC layer, and if so, can I tap into an applications ODBC, or is there a custom driver built by the CRM to communicate with the DB?

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  • Accounting Style string format in ASP .NET

    - by Russ Bradberry
    I would like to know the easiest way to format a string as accounting style. I know how to format as currency using {0:c} but there are some differences in accounting style, for example, all the dollar signs will line up as well as all the decimal points, and negatives are expressed in parenthesis rather than with a "-" minus sign. You can find a good example of the way i would like it in excel if you format the cells as "accounting" with 2 decimal places. thanks in advance, russ

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  • Is this time related process accounting stats gathering appropriate?

    - by Ceko Cakata
    Based on sys/acct.h (V1, not V3) I need to gather some user usage statistics based on a parser that parser the acct file line by line. The parser will run and parse the entire file every N seconds and I need to gather user statistics accumulated since the last run (N seconds back). I'm not sure what will be the most appropriate way to do it based on the info provided by sys/acct.h. Maybe something like this: if ((ac_btime + ac_etime) < (current_time - N)) { gather; } Also comp_t is said to be "floating-point value consisting of a 3-bit, base-8 exponent, and a 13-bit mantissa", but I think u_int16_t is just a unsigned short int. Should I be converting it to long it with the provided formula or not?

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  • radius traffic accounting - what attributes do I use for traffic (and how)

    - by Mark Regensberg
    we are building a web front end for a internet access token management system that uses radius (freeradius) queried from a captive portal. Reason for building this part is the integration into the accounting and billing platform that operates behind the scenes (all other parts are currently available open source software) The structure is fairly standard, and setting up the basic bits were easy enough (authentication, traffic updates from the captive portal, account expiry date/times) - but I seem to have run out of ability when it comes to limiting an account by traffic consumed. So we can: set up usernames / passwords set expiry dates/times for a given user see the traffic for that user being accurately updated in RADACCT But we can't figure out the correct way/attribute to expire a user when they have consumed X octets of traffic. What attributes are used, or - maybe more accurately - what would be the correct way to use these attributes to limit an account to a certain volume of traffic? Any links to documentation appreciated - freeradius documentation doesn't seem to address the issue directly, or I'm looking in the wrong place... --mark

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  • Linux (non-transparent) per-process hugepage accounting

    - by Dan Pritts
    I've recently converted some java apps to run with linux manually-configured hugepages. I've got about 10 tomcats running on a system and I am interested in knowing how much memory each one is using. I can get summary information out of /proc/meminfo as described in Linux Huge Pages Usage Accounting. But I can't find any tools that tell me about the actual per-process hugepage usage. I poked around in /proc/pid/numa_stat and found some interesting information that led me to this grossity: function pshugepage () { HUGEPAGECOUNT=0 for num in `grep 'anon_hugepage.*dirty=' /proc/$@/numa_maps | awk '{print $6}' | sed 's/dirty=//'` ; do HUGEPAGECOUNT=$((HUGEPAGECOUNT+num)) done echo process $@ using $HUGEPAGECOUNT huge pages } The numbers it gives me are plausible, but i'm far from confident this method is correct. Environment is a quad-CPU dell, 64GB ram, RHEL6.3, oracle jdk 1.7.x (current as of 20130728)

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  • Seeking faster access/transfer times for accounting application

    - by Markaway
    Our accounting software, Sage 50, has been getting slower to open on workstations and reading the company file. The company file only contains 2 years worth of transactions, and we just cleared out 2011 so the file size has gotten a lot smaller. There are 10 users, 6 of which are on it all day, 4 are on and off throughout the day. Our network is entirely GbE and the switches are set to prioritize traffic on that port number. Watching network traffic, we barely use 40% of the network capability on the workstation, so I don't think that is our bottleneck. Our server contains two older Raptors Sata 2(3GB/s) 150GB in RAID 1. We were considering switching to SSD's, but a lot of what I read says to stay away from MLC's, especially for production environment and definitely avoid putting them in a RAID config. So would upgrading to newer Raptors with SATA 3(6GB/s) offer noticable benefits? What other options are out there that aren't so expensive? Trying to keep it to 200-300 per drive. We need at least 150GB, but going to 250-300GB would be better as it gives us more room to grow. We have about 30% space remaining on what we have now.

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  • Windows 8 with LiveID login authenticates as Guest to remote SQl Server

    - by Tim Long
    I have a network where several users are using Office Accounting 2009 in multi-user client/server mode. OA is built on SQL Server. One PC acts as the 'server' and has the SQl Server instance, the others have only the application installed and no SQL instance, all of the apps connect remotely to the SQL instance on the 'server'. I'm using the term 'server' loosely here, it is just a normal workstation that happens to be designated as the server and runs the SQL instance. There is no NT domain, all user accounts are local accounts. The way that OA works in multi-user mode is that each user is required to have a local account with the same username and password on both the client and 'server' PCs. This has been working well, no along comes Windows 8. I use my 'Microsoft Account' aka LiveID to log into Windows 8. Office Accounting runs fine and attempts to connect to the database, but fails, 'you do not have permission to perform this operation'. In the SQL logs, I get this error: 2012-10-28 17:54:01.32 Logon Error: 18456, Severity: 14, State: 11. 2012-10-28 17:54:01.32 Logon Login failed for user 'SERVER\Guest'. Reason: Token-based server access validation failed with an infrastructure SERVER is the hostname of the server. So it seems to be authenticating as 'Guest'?? To verify this, I enabled the Guest account on the 'server' PC and then added Guest as an allowed user within Office Accounting (this simply creates the user in SQL and gives it an appropriate database role). Sure enough, My Windows 8 PC was then able to connect to the database when using Office Accounting. Clearly, having users authenticate as 'Guest' stinks from a security and auditing standpoint. So what I need are some ideas for how to work around this. I've tried switching the Windows 8 PC to a 'local account' and that works too, but requires giving up significant functionality on the Windows 8 PC. What I really need is a way to force the Windows 8 PC to use a specific set of credentials when connecting to the remote SQL instance. Office Accounting takes the logged in username, which is my LiveID and doesn't correspond to any Windows user name. Anyone solved this issue?

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  • Exporting data to an accounting system for billing and invoicing - is there any generic standard pra

    - by Ali
    Hi guys, I've built a web application which basically logs work that has been done upon projects plus maintain resources used etc. What I need now is to set it up so that projects can be billed. Billed such that - each task that has been undertaken in a project is regarded as a billable service. Instead of building my own invoicing system and accounts management system I was wondering if there was any standard data format i.e in xml DTD or so to which I could set up the information so it could be imported by a third party accounting system for billing - or if not then what is the best way to accomplish this. I need to integrate invoicing capabilities somehow - better if its third party as I don't wish to have to go through building an entire accounting system.

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  • Is there such a thing as "server sliding" (or similar), and if so, what is it?

    - by mahoke
    I am not a network engineer, but rather a translator, so I apologize in advance if this is a rather obvious question to some of you. Normally Google can answer my questions, but in this case I'm coming up blank. If I'm asking this in the wrong forum, please let me know. The text is talking about RADIUS accounting functionality. It says that when there are many (more than 200) authenticated terminals, if a command is issued to forcibly clear the terminals, "sliding to the next RADIUS accounting server may occur" -- the original text literally says "RADIUS accounting server-slide". I think I can basically understand what they are getting at in terms of meaning, but I would like to know whether this is the correct expression to use. I get the impression from my inability to find it simply by Googling that perhaps it's described differently in English.

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  • Quick Books accounting software

    - by Randall Davis
    Using a square 17" lcd monitor, and setting the Monitor to display text in larger font than default, some of the pages in QB have the bottom 2 or 3 lines chopped off. QB support has no ideas for a different/larger monitor that would solve the problem for those of us with 50 something eyes. Seems like everyone is going to the widescreen format, but when we tried one on the QB stuff, it spreads out the page to the point that it is deformed...too wide. Does anybody make a new square screen monitor in 19, 20, or bigger that would solve this issue. we can't be the only ones experiencing this.

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  • Per process I/O accounting on AIX

    - by ipozgaj
    Is there a way of getting per process I/O statistics on AIX, i.e. to get current disk I/O rate of a process? Commands like iostat, nmon, topas etc. can't display such data. Filemon also doesn't help. Actually, what I would need is something much like iotop(1) command on Linux. Update: it seems there is no builtin command(s) to do this. I will most probably make my own by using the SPMI API.

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  • How can I filter /var/adm/wtmpx on Solaris 10?

    - by Yanick Girouard
    Some of our Solaris 10 servers are monitored using SiteScope, which uses Telnet to probe certain ports (SSH is one of them) every few minutes. This is creating an insane amount of lines in /var/adm/wtmpx, and eventually make it so big (2,5G+) that we can no longer run the last command, or that the uptime command is unable to accurately show the true uptime of the server. The error we get when trying to run the last command is this: /var/adm/wtmpx: Value too large for defined data type I have found ways we can clean this accounting log using a cron job (with the command /usr/lib/acct/fwtmp), and this works. This is not the issue. I was wondering if there would be a way to simply prevent connections from the monitoring user (in our case, user monsite) from creating entries in this accounting log at all. Is this possible, and if so, how can I do it? I've looked around and searched Google for a while, but couldn't find an answer to this question. NOTE: We are very well aware that the monitoring solution we employ is perhaps not the best one, but we cannot change it at this time. Therefore, suggesting that we change it is not pertinent to this question. If you want to read more on the Sitescope monitoring solution we employ for those servers, please see its documentation here and look for Port Monitor, and Connecting to remote UNIX servers, which explains how it works.

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  • How can I enable pid and ppid fields in psacct dump-acct?

    - by annavt
    I am currently using the psacct package on Centos to perform accounting on processes run by users. The info file1 suggests that it is possible to output pid and ppid depending on what information your operating system provides in it's struct acct. pid and ppid are listed in /usr/include/linux/acct.h on my system: struct acct_v3 { char ac_flag; /* Flags */ char ac_version; /* Always set to ACCT_VERSION */ __u16 ac_tty; /* Control Terminal */ __u32 ac_exitcode; /* Exitcode */ __u32 ac_uid; /* Real User ID */ __u32 ac_gid; /* Real Group ID */ __u32 ac_pid; /* Process ID */ __u32 ac_ppid; /* Parent Process ID */ ... But pid and ppid are not output when I run dump-acct: # dump-acct /var/account/pacct.1 | tail awk | 0.0| 0.0| 81.0| 0| 0|8792.0|Thu Nov 24 04:03:04 2011 tmpwatch | 0.0| 0.0| 1.0| 0| 0|3816.0|Thu Nov 24 04:03:04 2011 cups | 0.0| 0.0| 4.0| 0| 0|8728.0|Thu Nov 24 04:03:04 2011 awk | 0.0| 0.0| 4.0| 0| 0|8792.0|Thu Nov 24 04:03:04 2011 runlevel | 0.0| 0.0| 0.0| 0| 0|3804.0|Thu Nov 24 04:03:04 2011 chkconfig | 0.0| 0.0| 0.0| 0| 0|3840.0|Thu Nov 24 04:03:04 2011 inn-cron-expire | 0.0| 0.0| 0.0| 0| 0|8728.0|Thu Nov 24 04:03:04 2011 awk | 0.0| 0.0| 0.0| 0| 0|8792.0|Thu Nov 24 04:03:04 2011 gzip | 5.0| 0.0| 9.0| 0| 0|4044.0|Thu Nov 24 04:03:04 2011 accton | 0.0| 0.0| 1.0| 0| 0| 0.0|Thu Nov 24 04:03:04 2011 Is it likely that there is no support in my kernel for this feature or that my psacct version does not support this? How can I add pid and ppid to my accounting logs? CentOS release 5.6 Kernel 2.6.18-238.19.1.el5 psacct 6.3.2 Thanks in advance Anna

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  • T-SQL Better way to determine max of date (accounting for nulls)

    - by Josh
    I am comparing two dates and trying to determine the max of the two dates. A null date would be considered less than a valid date. I am using the following case statement, which works - but feels very inefficient and clunky. Is there a better way? update @TEMP_EARNED set nextearn = case when lastoccurrence is null and lastearned is null then null when lastoccurrence is null then lastearned when lastearned is null then lastoccurrence when lastoccurrence > lastearned then lastoccurrence else lastearned end; (This is in MS SQL 2000, FYI.)

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