Search Results

Search found 2911 results on 117 pages for 'payment gateway'.

Page 36/117 | < Previous Page | 32 33 34 35 36 37 38 39 40 41 42 43  | Next Page >

  • OpenVPN with MacOS X Client and same subnets in local and remote net.

    - by Daniel
    I have a homenetwork 192.168.1.0/24 with gteway 192.168.1.1 and a remote network with the same parameters. Now I want to create a OpenVPN tunnel between those networks. I have no problems with Windows, because Windows routes everything to 192.168.1.0/24 except 192.168.1.1 throught the tunnel. On MacOS X however I see the folling line in the Details window: 2010-05-10 09:13:01 WARNING: potential route subnet conflict between local LAN [192.168.1.0/255.255.255.0] and remote VPN [192.168.1.0/255.255.255.0] When I list the routes I get the following: Internet: Destination Gateway Flags Refs Use Netif Expire default 192.168.1.1 UGSc 13 3 en1 127 localhost UCS 0 0 lo0 localhost localhost UH 12 3589 lo0 169.254 link#5 UCS 0 0 en1 192.168.1 link#5 UCS 1 0 en1 192.168.1.1 0:1e:e5:f4:ec:7f UHLW 13 17 en1 1103 192.168.1.101 localhost UHS 0 0 lo0 192.168.6 192.168.6.5 UGSc 0 0 tun0 192.168.6.5 192.168.6.6 UH 1 0 tun0 My Interfaces are en1 - My local Wifi network tun0 - The tunnel interface As can be seen from the routes above there is no entry for 192.168.1.0/24 that routes the traffic through the tunnel interface. When I manually route a single IP like 192.168.1.16 over the tunnel gateway 192.168.6.6, this works. Q: How do I set up my routes in MacOS X for the same behaviour as on windows, to route everything except 192.168.1.1 through the tunnel, but leave the default gateway to be my local 192.168.1.1 ?

    Read the article

  • Cisco Spam Blocker, Iron Port, Lotus Domino, Integration Help

    - by NickToyota
    Hi serverfault universe, I work for a medium sized (roughly 200 user) company. We are attempting to intagrate our new Cisco Spam Video Blocker (ironport) device into our network so that it acts as an incoming filter then passes it off to our Lotus domino mail server. And also vise versa. The way our network is setup currently has an mx record pointing to our Domino mail SMTP incoming server which is currently setup to be an inbound gateway and filter (using symantec domino mail software). We want to replace the inbound gateway with the ironport. Our company has also invested in a pool of external IP addresses which I believe has been currently assigned to our web, email, servers. What would the proper course of action be to successfully integrate the device be? Mx record change? Replace the domino gateway completely with the ironport? We attempted to set the ironport device to the external IP of what our mx record is pointing to without much success. Any help on proper setup would be greatly appreciated.

    Read the article

  • Overriding some DNS entries in BIND for internal networks

    - by Remy Blank
    I have an internal network with a DNS server running BIND, connected to the internet through a single gateway. My domain "example.com" is managed by an external DNS provider. Some of the entries in that domain, say "host1.example.com" and "host2.example.com", as well as the top-level entry "example.com", point to the public IP address of the gateway. I would like hosts located on the internal network to resolve "host1.example.com", "host2.example.com" and "example.com" to internal IP addresses instead of that of the gateway. Other hosts like "otherhost.example.com" should still be resolved by the external DNS provider. I have succeeded in doing that for the host1 and host2 entries, by defining two single-entry zones in BIND for "host1.example.com" and "host2.example.com". However, if I add a zone for "example.com", all queries for that domain are resolved by my local DNS server, and e.g. querying "otherhost.example.com" results in an error. Is it possible to configure BIND to override only some entries of a domain, and to resolve the rest recursively?

    Read the article

  • When would a persistent route not be an active route?

    - by alnorth29
    I've added a persistent route to our Windows Server 2003 box using "route -p add". After a reboot the "route print" gave this: Active Routes: Network Destination Netmask Gateway Interface Metric 0.0.0.0 0.0.0.0 10.91.131.1 10.91.131.9 20 10.88.0.0 255.255.255.252 10.88.0.1 10.88.0.1 30 10.88.0.1 255.255.255.255 127.0.0.1 127.0.0.1 30 10.91.131.0 255.255.255.0 10.91.131.9 10.91.131.9 20 10.91.131.9 255.255.255.255 127.0.0.1 127.0.0.1 20 10.255.255.255 255.255.255.255 10.88.0.1 10.88.0.1 30 10.255.255.255 255.255.255.255 10.91.131.9 10.91.131.9 20 127.0.0.0 255.0.0.0 127.0.0.1 127.0.0.1 1 224.0.0.0 240.0.0.0 10.88.0.1 10.88.0.1 30 224.0.0.0 240.0.0.0 10.91.131.9 10.91.131.9 20 255.255.255.255 255.255.255.255 10.88.0.1 10.88.0.1 1 255.255.255.255 255.255.255.255 10.91.131.9 10.91.131.9 1 Default Gateway: 10.91.131.1 =========================================================================== Persistent Routes: Network Address Netmask Gateway Address Metric 10.88.0.0 255.255.255.0 10.88.0.2 1 The route I added is listed as a persistent route, but not an active one. Why might this be the case? The route in question is for an OpenVPN connection, would that have anything to do with it?

    Read the article

  • pfSense router on a LAN with two gateways

    - by JohnCC
    I have a LAN with an ADSL modem/router on it. We have just gained an alternative high-speed internet connection at our location, and I want to connect the LAN to it, eventually dropping the ADSL. I've chosen to use a small PFSense box to connect the LAN to the new WAN connection. Two servers on the LAN run services accessible to the outside via NAT using the single ADSL WAN IP. We have DNS records which point to this IP. I want to do the same via the new connection, using the WAN IP there. That connection permits multiple IPs, so I have configured pfSense using virtual IP's, 1:1 NAT and appropriate firewall rules. When I change the servers' default gateway settings to the pfSense box, I can access the services via the new WAN IPs without a problem. However, I can no longer access them via the old WAN IP. If I set the servers' default gateway back to the ADSL router, then the opposite is true - I can access the services via the ADSL IP, but not via the new one. In the first case, I believe this is because an incoming SYN packet arrives at the ADSL WAN IP, and is NAT'd and sent to the internal IP of the server. The server responds with a SYN/ACK which it sends via its default gateway, the pfSense box. The pfSense box sees a SYN/ACK that it saw no SYN for and drops the packet. Is there any sensible way around this? I would like the services to be accessible via both IPs for a short period at least, since once I change the DNS it will take a while before everyone picks up the new address.

    Read the article

  • Creating Routes using the second NIC in the box

    - by Aditya Sehgal
    OS: Linux I need some advice on how to set up the routing table. I have a box with two physical NIC cards eth0 & eth1 with two associated IPs IP1 & IP2 (both of the same subnet). I need to setup a route which will force all messages from IP1 towards IP3 (of the same subnet) to go via IP2. I have a raw socket capture program listening on IP2 (This is not for malicious use). I have set up the routing table as Destination Gateway Genmask Flags Metric Ref Use Iface IP3 IP2 255.255.255.255 UGH 0 0 0 eth1 If I try to specify eth0 while adding the above rule, I get an error "SIOCADDRT: Network is unreachable". I understand from the manpage of route that if the GW specified is a local interface, then that would be use as the outgoing interface. After setting up this rule, if i do a traceroute (-i eth0), the packet goes first to the default gateway and then to IP3. How do I force the packet originating from eth0 towards IP3 to first come to IP2. I cannot make changes to the routing table of the gateway. Please suggest.

    Read the article

  • ipv6 with KVM on debian

    - by Eliasdx
    I have trouble setting up IPV6 on my Proxmox (KVM) server: My ISP sent me this information(xxx=placeholder): IPs: 2a01:XXX:XXX:301:: /64 Gateway: 2a01:XXX:XXX:300::1 /59 This is the interface setup on the host server: auto vmbr1 iface vmbr1 inet static address 178.XX.XX.4 broadcast 178.XX.XX.63 netmask 255.255.255.192 pointopoint 178.XX.XX.1 gateway 178.XX.XX.1 bridge_ports eth0 bridge_stp off bridge_fd 0 iface vmbr1 inet6 static address 2a01:XXX:XXX:301::2 netmask 64 up ip -6 route add 2a01:XXX:XXX:300::1 dev vmbr1 down ip -6 route del 2a01:XXX:XXX:300::1 dev vmbr1 up ip -6 route add default via 2a01:XXX:XXX:300::1 dev vmbr1 down ip -6 route del default via 2a01:XXX:XXX:300::1 dev vmbr1 On the guest: auto eth0 iface eth0 inet static address 178.xx.xx.47 netmask 255.255.255.255 broadcast 178.xx.xx.63 gateway 178.xx.xx.1 pointopoint 178.xx.xx.1 iface eth0 inet6 static pre-up modprobe ipv6 address 2a01:XXX:XXX:301::2:2 netmask 64 up ip -6 route add 2a01:XXX:XXX:300::1 dev eth0 down ip -6 route del 2a01:XXX:XXX:300::1 dev eth0 up ip -6 route add default via 2a01:XXX:XXX:300::1 dev eth0 down ip -6 route del default via 2a01:XXX:XXX:300::1 dev eth0 Ipv4 works on both host and guest but Ipv6 only works "sometimes". It's up for minutes and then down again until I change something. However I can actually ping the host and the guest from both host and guest. host:~# ip -6 neigh 2a01:XXX:XXX:301::100:2 dev vmbr1 lladdr 00:50:56:00:00:e0 REACHABLE 2a01:XXX:XXX:300::1 dev vmbr1 lladdr 00:26:88:76:18:18 router STALE host:~# ip -6 route 2a01:XXX:XXX:300::1 dev vmbr1 metric 1024 mtu 1500 advmss 1440 hoplimit 4294967295 2a01:XXX:XXX:301::/64 dev vmbr1 proto kernel metric 256 mtu 1500 advmss 1440 hoplimit 4294967295 fe80::/64 dev vmbr0 proto kernel metric 256 mtu 1500 advmss 1440 hoplimit 4294967295 fe80::/64 dev eth0 proto kernel metric 256 mtu 1500 advmss 1440 hoplimit 4294967295 fe80::/64 dev vmbr1 proto kernel metric 256 mtu 1500 advmss 1440 hoplimit 4294967295 fe80::/64 dev tap101i1d0 proto kernel metric 256 mtu 1500 advmss 1440 hoplimit 4294967295 default via 2a01:XXX:XXX:300::1 dev vmbr1 metric 1024 mtu 1500 advmss 1440 hoplimit 4294967295 Does someone know why it isn't working? And is there a way to configure multiple v6 IPs from the same subnet so I can dedicate IPs to websites on a server with multiple virtualhosts?

    Read the article

  • ipv6 with KVM on debian

    - by Eliasdx
    I have trouble setting up IPV6 on my Proxmox (KVM) server: My ISP sent me this information(xxx=placeholder): IPs: 2a01:XXX:XXX:301:: /64 Gateway: 2a01:XXX:XXX:300::1 /59 This is the interface setup on the host server: auto vmbr1 iface vmbr1 inet static address 178.XX.XX.4 broadcast 178.XX.XX.63 netmask 255.255.255.192 pointopoint 178.XX.XX.1 gateway 178.XX.XX.1 bridge_ports eth0 bridge_stp off bridge_fd 0 iface vmbr1 inet6 static address 2a01:XXX:XXX:301::2 netmask 64 up ip -6 route add 2a01:XXX:XXX:300::1 dev vmbr1 down ip -6 route del 2a01:XXX:XXX:300::1 dev vmbr1 up ip -6 route add default via 2a01:XXX:XXX:300::1 dev vmbr1 down ip -6 route del default via 2a01:XXX:XXX:300::1 dev vmbr1 On the guest: auto eth0 iface eth0 inet static address 178.xx.xx.47 netmask 255.255.255.255 broadcast 178.xx.xx.63 gateway 178.xx.xx.1 pointopoint 178.xx.xx.1 iface eth0 inet6 static pre-up modprobe ipv6 address 2a01:XXX:XXX:301::2:2 netmask 64 up ip -6 route add 2a01:XXX:XXX:300::1 dev eth0 down ip -6 route del 2a01:XXX:XXX:300::1 dev eth0 up ip -6 route add default via 2a01:XXX:XXX:300::1 dev eth0 down ip -6 route del default via 2a01:XXX:XXX:300::1 dev eth0 Ipv4 works on both host and guest but Ipv6 only works "sometimes". It's up for minutes and then down again until I change something. However I can actually ping the host and the guest from both host and guest. host:~# ip -6 neigh 2a01:XXX:XXX:301::100:2 dev vmbr1 lladdr 00:50:56:00:00:e0 REACHABLE 2a01:XXX:XXX:300::1 dev vmbr1 lladdr 00:26:88:76:18:18 router STALE host:~# ip -6 route 2a01:XXX:XXX:300::1 dev vmbr1 metric 1024 mtu 1500 advmss 1440 hoplimit 4294967295 2a01:XXX:XXX:301::/64 dev vmbr1 proto kernel metric 256 mtu 1500 advmss 1440 hoplimit 4294967295 fe80::/64 dev vmbr0 proto kernel metric 256 mtu 1500 advmss 1440 hoplimit 4294967295 fe80::/64 dev eth0 proto kernel metric 256 mtu 1500 advmss 1440 hoplimit 4294967295 fe80::/64 dev vmbr1 proto kernel metric 256 mtu 1500 advmss 1440 hoplimit 4294967295 fe80::/64 dev tap101i1d0 proto kernel metric 256 mtu 1500 advmss 1440 hoplimit 4294967295 default via 2a01:XXX:XXX:300::1 dev vmbr1 metric 1024 mtu 1500 advmss 1440 hoplimit 4294967295 Does someone know why it isn't working? And is there a way to configure multiple v6 IPs from the same subnet so I can dedicate IPs to websites on a server with multiple virtualhosts?

    Read the article

  • RTNETLINK answers: File exists... maybe because assigned a new mac adress

    - by steven
    I got a "RTNETLINK answers: File exists Failed to bring up eth0:1" on "ifup eth0:1". I suspect it happens because i assigned a new mac adress in my VM's network adapter. Can you tell me how to fix the issue? My configuration looks like this: # The loopback network interface auto lo iface lo inet loopback # The primary network interface auto eth0 allow-hotplug eth0 iface eth0 inet static address 192.168.1.80 netmask 255.255.255.0 gateway 192.168.1.1 dns-nameservers 192.168.1.1 # Alias being connected to 192.168.10.x Network auto eth0:1 allow-hotplug eth0:1 iface eth0:1 inet static address 192.168.10.83 netmask 255.255.255.0 gateway 192.168.10.10 dns-nameservers 192.168.10.1 Why do I get "RTNETLINK answer: File exists.." suddenly? I worked with this configuration before without problems. All i did in the past is to renew the adapters mac adress. At the moment I am connected to the 192.168.10.x Network and if I do /etc/init.d/networking stop /etc/init.d/networking start then i got "RTNETLINK [...] falied to bring up eth0:1" but the strage thing is that i am able to connect to 192.168.10.83 via ssh from my host machine. But I cannot reach the internet from the debian client. I hope it is clear what my problem is, now. update if i change my /etc/network/interfaces like this then "ifup eth0" fails, too with the same error! # The loopback network interface auto lo iface lo inet loopback # The primary network interface auto eth0 allow-hotplug eth0 iface eth0 inet static address 192.168.10.83 netmask 255.255.255.0 gateway 192.168.10.10 dns-nameservers 192.168.10.1 with verbose option enabled i got: Configuring interfache eth0=eth0 (inet) run-parts --verbose /etc/network/if-pre-up.d ip addr add 192.168.10.83/255.255.255.0 broadcast 192.168.10.255 dev eth0 label eth0 RTNETLINK answers: File exists Failed to bring up eth0. same if i type this manually: ip addr add 192.168.10.83/255.255.255.0 broadcast 192.168.10.255 dev eth0 label eth0

    Read the article

  • Debian Wheezy IPv6 isn't configured with ifup post-up hook

    - by aef
    We recently set up a server on Debian Wheezy Beta 3 (x86_64) which has a native IPv6 connection. We configured the eth0 interface to get the IPv6 configuration through some post-up hook commands in /etc/network/interfaces. The result is, that after the booting the system up, there is only IPv4 and an auto-configured link-local IPv6 address configured on the interface, as if the command has never been executed. When we additionally place the commands after the call to ifup -a inside the /etc/init.d/networking init script, everything works as expected and we have a fully configured interface after booting up. This is quite an ugly way to configure the interface. What are we doing wrong with the ifup post-up hooks? Or is this a bug? The section from /etc/network/interfaces looks like this (IP-addresses changed): allow-hotplug eth0 iface eth0 inet static address 1.2.3.1 netmask 255.255.255.192 network 1.2.3.0 broadcast 1.2.3.63 gateway 1.2.3.62 dns-nameservers 8.8.8.8 dns-search mydomain.tld post-up ip -6 addr add 2001:db8:100:3022::2 dev eth0 post-up ip -6 route add fe80::1 dev eth0 post-up ip -6 route add default via fe80::1 dev eth0 I also tried it in this alternative way: auto eth0 iface eth0 inet static address 1.2.3.1 netmask 255.255.255.192 network 1.2.3.0 broadcast 1.2.3.63 gateway 1.2.3.62 dns-nameservers 8.8.8.8 dns-search mydomain.tld iface eth0 inet6 static address 2001:db8:100:3022::2 netmask 64 gateway fe80::1 What we added to /etc/init.d/networking: … case "$1" in start) process_options check_ifstate if [ "$CONFIGURE_INTERFACES" = no ] then log_action_msg "Not configuring network interfaces, see /etc/default/networking" exit 0 fi set -f exclusions=$(process_exclusions) log_action_begin_msg "Configuring network interfaces" if ifup -a $exclusions $verbose && ifup_hotplug $exclusions $verbose # Our additions ip -6 addr add 2001:db8:100:3022::2 dev eth0 ip -6 route add fe80::1 dev eth0 ip -6 route add default via fe80::1 dev eth0 then log_action_end_msg $? else log_action_end_msg $? fi ;; …

    Read the article

  • How to set a static route for an external IP address

    - by HorusKol
    Further to my earlier question about bridging different subnets - I now need to route requests for one particular IP address differently to all other traffic. I have the following routing in my iptables on our router: # Allow established connections, and those !not! coming from the public interface # eth0 = public interface # eth1 = private interface #1 (10.1.1.0/24) # eth2 = private interface #2 (129.2.2.0/25) iptables -A INPUT -m state --state ESTABLISHED,RELATED -j ACCEPT iptables -A INPUT -m state --state NEW ! -i eth0 -j ACCEPT iptables -A FORWARD -i eth0 -o eth1 -m state --state ESTABLISHED,RELATED -j ACCEPT iptables -A FORWARD -i eth0 -o eth2 -m state --state ESTABLISHED,RELATED -j ACCEPT # Allow outgoing connections from the private interfaces iptables -A FORWARD -i eth1 -o eth0 -j ACCEPT iptables -A FORWARD -i eth2 -o eth0 -j ACCEPT # Allow the two private connections to talk to each other iptables -A FORWARD -i eth1 -o eth2 -j ACCEPT iptables -A FORWARD -i eth2 -o eth1 -j ACCEPT # Masquerade (NAT) iptables -t nat -A POSTROUTING -o eth0 -j MASQUERADE # Don't forward any other traffic from the public to the private iptables -A FORWARD -i eth0 -o eth1 -j REJECT iptables -A FORWARD -i eth0 -o eth2 -j REJECT This configuration means that users will be forwarded through a modem/router with a public address - this is all well and good for most purposes, and in the main it doesn't matter that all computers are hidden behind the one public IP. However, some users need to be able to access a proxy at 192.111.222.111:8080 - and the proxy needs to identify this traffic as coming through a gateway at 129.2.2.126 - it won't respond otherwise. I tried adding a static route on our local gateway with: route add -host 192.111.222.111 gw 129.2.2.126 dev eth2 I can successfully ping 192.111.222.111 from the router. When I trace the route, it lists the 129.2.2.126 gateway, but I just get * on each of the following hops (I think this makes sense since this is just a web-proxy and requires authentication). When I try to ping this address from a host on the 129.2.2.0/25 network it fails. Should I do this in the iptables chain instead? How would I configure this routing?

    Read the article

  • How to route between 2 networks with a server with 2 network cards?

    - by LumenAlbum
    This is the first time I am faced with routing and it seems I have hit a dead end. I have the following scenario: client1: 192.168.1.10 255.255.255.0 gateway: 192.168.1.100 DNS server: 192.168.1.100 client2: 192.168.1.20 255.255.255.0 gateway: 192.168.1.100 DNS server: 192.168.1.100 server (Windows Server 2008 R2 with enabled RAS & Routing Services) network card 1 (connected to a switch along with the clients) 192.168.1.100 255.255.255.0 DNS server: 127.0.0.1 network card 2 (connected to the router) 192.168.2.100 255.255.255.0 gateway: 192.168.2.1 DNS server: 127.0.0.1 (DNS forwarding to 192.168.2.1) ISP router (with connection to internet) 192.168.2.1 Now in this scenario I have tried to route traffic from the 192.168.1.0/24 network with the clients to the 192.168.2.0/24 network with the routers to connect them to the internet. However, no matter what I do I get no positive ping to the router 192.168.2.1. Ping from 192.168.168.1.10 to 192.168.1.20: Success to 192.168.1.100: Success to 192.168.2.100: Success to 192.168.2.1: not reachable The routing table contains the 2 routes 192.168.1.0 and 192.168.2.0 as directly connected. Does anyone know where the routing fails? I have searched different forums but mostly found nothing relevant. One post however pointed out that in a similar situation the problem was that the router doesn't know the way back and the internet router would need a static route back to the first router. If that really is the case, I take it there is no solution with my equipment, because the standart ISP router doesn't allow to set any static routes.

    Read the article

  • Ubuntu IP Configuration - multiple subnets & interfaces

    - by HaydnWVN
    Have a 'new' mailserver running postfix on Ubuntu. We are having some problems configuring the subnets & interfaces. Basically 2 subnets (.253. & .254.) need to be connected through the 3rd subnet (.252.) where the Router is residing. # This file describes the network interfaces available on your system # and how to activate them. For more information, see interfaces(5). # The loopback network interface auto lo iface lo inet loopback # The primary network interface auto eth0 iface eth0 inet static address 10.62.254.199 netmask 255.255.0.0 network 10.62.254.0 broadcast 10.62.255.255 #gateway 10.62.252.138 # dns-* options are implemented by the resolvconf package, if installed dns-nameservers 10.62.252.138 dns-search ***.com auto eth1 iface eth1 inet static address 10.62.253.199 netmask 255.255.0.0 network 10.62.253.0 broadcast 10.62.255.255 #gateway 10.62.252.138 #dns-nameservers 10.62.254.199 10.62.253.199 10.62.252.199 dns-nameservers 10.62.252.138 dns-search ***.com auto eth2 iface eth2 inet static address 10.62.252.199 netmask 255.255.0.0 network 10.62.252.0 broadcast 10.62.255.255 gateway 10.62.252.138 #dns-nameservers 10.62.254.199 10.62.253.199 10.62.252.199 dns-search ***.com I have an external support company who are looking into this (they built and configured this server), but it's taking far too long... So I'm looking to highlight the mistake!

    Read the article

  • Ping not working

    - by Nishant
    Ping is not working to and from this IP to my computer. inet addr:10.125.104.4 Bcast:10.125.111.255 Mask:255.255.240.0 My computer is like this Ethernet adapter Local Area Connection: Connection-specific DNS Suffix . : IP Address. . . . . . . . . . . . : 10.125.65.75 Subnet Mask . . . . . . . . . . . : 255.255.252.0 Default Gateway . . . . . . . . . : 10.125.64.6 We both CAN reach the common gateway IP , 10.125.96.6 . What should I check ? What is the barrier in sending info if we both have a common gateway that is pingable ? Besides I can login to a intermediate server and ssh to this server also !!

    Read the article

  • Network outage caused by SMC8013WG Cable Modem/Router ?

    - by mkocubinski
    At work, we have a basic Class C Network. The gateway/router is a SMC8013WG (stock comcast commercial cable modem), and simple unmanaged switch (HP Pro Curve 1400 24G). The SMC8013WG is our default gateway as well as DHCP server. Periodically, I'd say almost every other day.. the entire network will just stop responding. I won't be able to ping/see the gateway, any computers on our local network, or anything on the internet. The only way to fix this is to unplug the Comcast cable modem, wait, and plug back in. This unfailingly fixes the problem. But this doesn't make much sense to me.. shouldn't the network still be fine locally, since everything is plugged into the switch anyway? Why would resetting the router fix this? Can anyone suggest anything to check to in order to narrow this problem down? Just to be clear.. here is the basic topology: { Internet } -- (12.345.67.89) Comcast Cable Modem (192.168.1.1) -- Switch -- 192.168.1.2-254 P.S. Our IT guy is in about 3 hours a day every other week or so, so.. we're kind of on our own most of the time.

    Read the article

  • Detecting Duplicates Using Oracle Business Rules

    - by joeywong-Oracle
    Recently I was involved with a Business Process Management Proof of Concept (BPM PoC) where we wanted to show how customers could use Oracle Business Rules (OBR) to easily define some rules to detect certain conditions, such as duplicate account numbers, duplicate names, high transaction amounts, etc, in a set of transactions. Traditionally you would have to loop through the transactions and compare each transaction with each other to find matching conditions. This is not particularly nice as it relies on more traditional approaches (coding) and is not the most efficient way. OBR is a great place to house these types’ of rules as it allows users/developers to externalise the rules, in a simpler manner, externalising the rules from the message flows and allows users to change them when required. So I went ahead looking for some examples. After quite a bit of time spent Googling, I did not find much out in the blogosphere. In fact the best example was actually from...... wait for it...... Oracle Documentation! (http://docs.oracle.com/cd/E28271_01/user.1111/e10228/rules_start.htm#ASRUG228) However, if you followed the link there was not much explanation provided with the example. So the aim of this article is to provide a little more explanation to the example so that it can be better understood. Note: I won’t be covering the BPM parts in great detail. Use case: Payment instruction file is required to be processed. Before instruction file can be processed it needs to be approved by a business user. Before the approval process, it would be useful to run the payment instruction file through OBR to look for transactions of interest. The output of the OBR can then be used to flag the transactions for the approvers to investigate. Example BPM Process So let’s start defining the Business Rules Dictionary. For the input into our rules, we will be passing in an array of payments which contain some basic information for our demo purposes. Input to Business Rules And for our output we want to have an array of rule output messages. Note that the element I am using for the output is only for one rule message element and not an array. We will configure the Business Rules component later to return an array instead. Output from Business Rules Business Rule – Create Dictionary Fill in all the details and click OK. Open the Business Rules component and select Decision Functions from the side. Modify the Decision Function Configuration Select the decision function and click on the edit button (the pencil), don’t worry that JDeveloper indicates that there is an error with the decision function. Then click the Ouputs tab and make sure the checkbox under the List column is checked, this is to tell the Business Rules component that it should return an array of rule message elements. Updating the Decision Service Next we will define the actual rules. Click on Ruleset1 on the side and then the Create Rule in the IF/THEN Rule section. Creating new rule in ruleset Ok, this is where some detailed explanation is required. Remember that the input to this Business Rules dictionary is a list of payments, each of those payments were of the complex type PaymentType. Each of those payments in the Oracle Business Rules engine is treated as a fact in its working memory. Implemented rule So in the IF/THEN rule, the first task is to grab two PaymentType facts from the working memory and assign them to temporary variable names (payment1 and payment2 in our example). Matching facts Once we have them in the temporary variables, we can then start comparing them to each other. For our demonstration we want to find payments where the account numbers were the same but the account name was different. Suspicious payment instruction And to stop the rule from comparing the same facts to each other, over and over again, we have to include the last test. Stop rule from comparing endlessly And that’s it! No for loops, no need to keep track of what you have or have not compared, OBR handles all that for you because everything is done in its working memory. And once all the tests have been satisfied we need to assert a new fact for the output. Assert the output fact Save your Business Rules. Next step is to complete the data association in the BPM process. Pay extra care to use Copy List instead of the default Copy when doing data association at an array level. Input and output data association Deploy and test. Test data Rule matched Parting words: Ideally you would then use the output of the Business Rules component to then display/flag the transactions which triggered the rule so that the approver can investigate. Link: SOA Project Archive [Download]

    Read the article

  • Drupal module to retry failed emails

    - by JavadocMD
    I'm trying to find an existing Drupal module to fit the bill: basically, when an email fails to send, it should save the email and automatically attempt to resend the email later. I'm using the SMTP module to relay emails through an SMTP gateway (required by the hosting provider), but every once in a while the connection is refused - probably due to the gateway being too busy.

    Read the article

  • How to connect laptop with telephone using WI-FI? (ethernet)

    - by rmaster
    What I did: 1)added new wireless network in wireless network settings and gave it SSID 2)gave laptop the IP like 192.168.0.1, mask: 255.255.255.0, gateway: 192.168.0.2 3)gave the telephone with wifi the same mask but IP and gateway rewersed But telephone can not find my new wireless network(it can find all other networks), computer also can not find it. where is error? how to make it visible and working? if my steps are wrong tell me correct way to establish this connection via wi-fi

    Read the article

  • How do I serve a large file using Pylons?

    - by Chris R
    I am writing a Pylons-based download gateway. The gateway's client will address files by ID: /file_gw/download/1 Internally, the file itself is accessed via HTTP from an internal file server: http://internal-srv/path/to/file_1.content The files may be quite large, so I want to stream the content. I store metadata about the file in a StoredFile model object: class StoredFile(Base): id = Column(Integer, primary_key=True) name = Column(String) size = Column(Integer) content_type = Column(String) url = Column(String) Given this, what's the best (ie: most architecturally-sound, performant, et al) way to write my file_gw controller?

    Read the article

  • KVM with one host IP and a different subnet for machines

    - by Jguy
    I've already setup a KVM host with proper IP configurations, but my host had me create DHCP and use that to assign the IP's to the machines. I want to see if there's an easier way to do it (or better). Upon my first setting out on this, I didn't find anything that pointed me in the right direction. I'm coming off a fresh install of Debian 6.0 x64, so I have nothing installed. I've logged in, queried for the below information and changed the password from my host set one. I have a Debian 6.0 x64 system with the following initial network configuration (substituted 255 in place of my real first octave): # tail /etc/network/interfaces auto eth0 iface eth0 inet static address 255.9.24.80 broadcast 255.9.24.95 netmask 255.255.255.224 gateway 255.9.24.65 # default route to access subnet up route add -net 255.9.24.64 netmask 255.255.255.224 gw 255.9.24.65 eth0 I have a /29 subnet that I want the virtual machines to use from my host: IP: 255.46.187.152 /29 Mask: 255.255.255.248 Broadcast: 255.46.187.159 Usable IP addresses: 255.46.187.153 to 255.46.187.158 I like the interface of Cloudmin, so I want to try and use that if I can to administrate my guests. So, my questions: How do I set this up on the host system the best so that I can use the additional Subnet IP's on the guests and have them accessible from the internet? I also need to host a DNS server, which means one of these VM's has to have two IP's assigned to it and accessable from the outside world. How can I do that using Cloudmin? I had a question about this here: Multiple IP addresses assigned to one KVM VM But I just reformatted the entire server and am trying to figure out a better way of doing this. Machine information: # ip route show 255.9.24.64/27 via 255.9.24.65 dev eth0 255.9.24.64/27 dev eth0 proto kernel scope link src 255.9.24.80 default via 255.9.24.65 dev eth0 brctl is empty # ip addr list 1: lo: <LOOPBACK,UP,LOWER_UP> mtu 16436 qdisc noqueue state UNKNOWN link/loopback 00:00:00:00:00:00 brd 00:00:00:00:00:00 inet 127.0.0.1/8 scope host lo inet6 ::1/128 scope host valid_lft forever preferred_lft forever 2: eth0: <BROADCAST,MULTICAST,UP,LOWER_UP> mtu 1500 qdisc pfifo_fast state UP qlen 1000 link/ether c8:60:00:54:b5:d8 brd ff:ff:ff:ff:ff:ff inet 255.9.24.80/27 brd 255.9.24.95 scope global eth0 inet6 fe80::ca60:ff:fe54:b5d8/64 scope link valid_lft forever preferred_lft forever Thank you for any help you can provide me. EDIT: I've installed kvm and cloudmin: aptitude install qemu-kvm libvirt-bin wget http://cloudmin.virtualmin.com/gpl/scripts/cloudmin-kvm-debian-install.sh ./cloudmin-kvm-debian-install.sh Rebooted and now my network configuration looks like this: # device: eth0 iface eth0 inet manual # default route to access subnet iface br0 inet static address 255.9.24.80 netmask 255.255.255.224 broadcast 255.9.24.95 network 255.9.24.64 bridge_ports eth0 gateway 255.9.24.65 I setup in Cloudmin the Start IP as 255.46.187.153 and End IP as 255.46.187.158. The CIDR is 29 and the gateway is 255.46.187.152. I've installed a guest with ubuntuserver 12.04 x64, which was able to get and retrieve internet resources during installation, but now cannot reach anything nor can it be reached from anything. Its network configuration is: iface eth0 inet static address 255.46.187.153 netmask 255.255.255.224 broadcast 255.46.187.159 gateway 255.46.187.152 dns-nameservers <host provided nameservers> And is not able to ping google.com through DNS or direct IP, I can't ping the VM from the outside or the host. any ideas now?

    Read the article

  • Working with PivotTables in Excel

    - by Mark Virtue
    PivotTables are one of the most powerful features of Microsoft Excel.  They allow large amounts of data to be analyzed and summarized in just a few mouse clicks. In this article, we explore PivotTables, understand what they are, and learn how to create and customize them. Note:  This article is written using Excel 2010 (Beta).  The concept of a PivotTable has changed little over the years, but the method of creating one has changed in nearly every iteration of Excel.  If you are using a version of Excel that is not 2010, expect different screens from the ones you see in this article. A Little History In the early days of spreadsheet programs, Lotus 1-2-3 ruled the roost.  Its dominance was so complete that people thought it was a waste of time for Microsoft to bother developing their own spreadsheet software (Excel) to compete with Lotus.  Flash-forward to 2010, and Excel’s dominance of the spreadsheet market is greater than Lotus’s ever was, while the number of users still running Lotus 1-2-3 is approaching zero.  How did this happen?  What caused such a dramatic reversal of fortunes? Industry analysts put it down to two factors:  Firstly, Lotus decided that this fancy new GUI platform called “Windows” was a passing fad that would never take off.  They declined to create a Windows version of Lotus 1-2-3 (for a few years, anyway), predicting that their DOS version of the software was all anyone would ever need.  Microsoft, naturally, developed Excel exclusively for Windows.  Secondly, Microsoft developed a feature for Excel that Lotus didn’t provide in 1-2-3, namely PivotTables.  The PivotTables feature, exclusive to Excel, was deemed so staggeringly useful that people were willing to learn an entire new software package (Excel) rather than stick with a program (1-2-3) that didn’t have it.  This one feature, along with the misjudgment of the success of Windows, was the death-knell for Lotus 1-2-3, and the beginning of the success of Microsoft Excel. Understanding PivotTables So what is a PivotTable, exactly? Put simply, a PivotTable is a summary of some data, created to allow easy analysis of said data.  But unlike a manually created summary, Excel PivotTables are interactive.  Once you have created one, you can easily change it if it doesn’t offer the exact insights into your data that you were hoping for.  In a couple of clicks the summary can be “pivoted” – rotated in such a way that the column headings become row headings, and vice versa.  There’s a lot more that can be done, too.  Rather than try to describe all the features of PivotTables, we’ll simply demonstrate them… The data that you analyze using a PivotTable can’t be just any data – it has to be raw data, previously unprocessed (unsummarized) – typically a list of some sort.  An example of this might be the list of sales transactions in a company for the past six months. Examine the data shown below: Notice that this is not raw data.  In fact, it is already a summary of some sort.  In cell B3 we can see $30,000, which apparently is the total of James Cook’s sales for the month of January.  So where is the raw data?  How did we arrive at the figure of $30,000?  Where is the original list of sales transactions that this figure was generated from?  It’s clear that somewhere, someone must have gone to the trouble of collating all of the sales transactions for the past six months into the summary we see above.  How long do you suppose this took?  An hour?  Ten?  Probably. If we were to track down the original list of sales transactions, it might look something like this: You may be surprised to learn that, using the PivotTable feature of Excel, we can create a monthly sales summary similar to the one above in a few seconds, with only a few mouse clicks.  We can do this – and a lot more too! How to Create a PivotTable First, ensure that you have some raw data in a worksheet in Excel.  A list of financial transactions is typical, but it can be a list of just about anything:  Employee contact details, your CD collection, or fuel consumption figures for your company’s fleet of cars. So we start Excel… …and we load such a list… Once we have the list open in Excel, we’re ready to start creating the PivotTable. Click on any one single cell within the list: Then, from the Insert tab, click the PivotTable icon: The Create PivotTable box appears, asking you two questions:  What data should your new PivotTable be based on, and where should it be created?  Because we already clicked on a cell within the list (in the step above), the entire list surrounding that cell is already selected for us ($A$1:$G$88 on the Payments sheet, in this example).  Note that we could select a list in any other region of any other worksheet, or even some external data source, such as an Access database table, or even a MS-SQL Server database table.  We also need to select whether we want our new PivotTable to be created on a new worksheet, or on an existing one.  In this example we will select a new one: The new worksheet is created for us, and a blank PivotTable is created on that worksheet: Another box also appears:  The PivotTable Field List.  This field list will be shown whenever we click on any cell within the PivotTable (above): The list of fields in the top part of the box is actually the collection of column headings from the original raw data worksheet.  The four blank boxes in the lower part of the screen allow us to choose the way we would like our PivotTable to summarize the raw data.  So far, there is nothing in those boxes, so the PivotTable is blank.  All we need to do is drag fields down from the list above and drop them in the lower boxes.  A PivotTable is then automatically created to match our instructions.  If we get it wrong, we only need to drag the fields back to where they came from and/or drag new fields down to replace them. The Values box is arguably the most important of the four.  The field that is dragged into this box represents the data that needs to be summarized in some way (by summing, averaging, finding the maximum, minimum, etc).  It is almost always numerical data.  A perfect candidate for this box in our sample data is the “Amount” field/column.  Let’s drag that field into the Values box: Notice that (a) the “Amount” field in the list of fields is now ticked, and “Sum of Amount” has been added to the Values box, indicating that the amount column has been summed. If we examine the PivotTable itself, we indeed find the sum of all the “Amount” values from the raw data worksheet: We’ve created our first PivotTable!  Handy, but not particularly impressive.  It’s likely that we need a little more insight into our data than that. Referring to our sample data, we need to identify one or more column headings that we could conceivably use to split this total.  For example, we may decide that we would like to see a summary of our data where we have a row heading for each of the different salespersons in our company, and a total for each.  To achieve this, all we need to do is to drag the “Salesperson” field into the Row Labels box: Now, finally, things start to get interesting!  Our PivotTable starts to take shape….   With a couple of clicks we have created a table that would have taken a long time to do manually. So what else can we do?  Well, in one sense our PivotTable is complete.  We’ve created a useful summary of our source data.  The important stuff is already learned!  For the rest of the article, we will examine some ways that more complex PivotTables can be created, and ways that those PivotTables can be customized. First, we can create a two-dimensional table.  Let’s do that by using “Payment Method” as a column heading.  Simply drag the “Payment Method” heading to the Column Labels box: Which looks like this: Starting to get very cool! Let’s make it a three-dimensional table.  What could such a table possibly look like?  Well, let’s see… Drag the “Package” column/heading to the Report Filter box: Notice where it ends up…. This allows us to filter our report based on which “holiday package” was being purchased.  For example, we can see the breakdown of salesperson vs payment method for all packages, or, with a couple of clicks, change it to show the same breakdown for the “Sunseekers” package: And so, if you think about it the right way, our PivotTable is now three-dimensional.  Let’s keep customizing… If it turns out, say, that we only want to see cheque and credit card transactions (i.e. no cash transactions), then we can deselect the “Cash” item from the column headings.  Click the drop-down arrow next to Column Labels, and untick “Cash”: Let’s see what that looks like…As you can see, “Cash” is gone. Formatting This is obviously a very powerful system, but so far the results look very plain and boring.  For a start, the numbers that we’re summing do not look like dollar amounts – just plain old numbers.  Let’s rectify that. A temptation might be to do what we’re used to doing in such circumstances and simply select the whole table (or the whole worksheet) and use the standard number formatting buttons on the toolbar to complete the formatting.  The problem with that approach is that if you ever change the structure of the PivotTable in the future (which is 99% likely), then those number formats will be lost.  We need a way that will make them (semi-)permanent. First, we locate the “Sum of Amount” entry in the Values box, and click on it.  A menu appears.  We select Value Field Settings… from the menu: The Value Field Settings box appears. Click the Number Format button, and the standard Format Cells box appears: From the Category list, select (say) Accounting, and drop the number of decimal places to 0.  Click OK a few times to get back to the PivotTable… As you can see, the numbers have been correctly formatted as dollar amounts. While we’re on the subject of formatting, let’s format the entire PivotTable.  There are a few ways to do this.  Let’s use a simple one… Click the PivotTable Tools/Design tab: Then drop down the arrow in the bottom-right of the PivotTable Styles list to see a vast collection of built-in styles: Choose any one that appeals, and look at the result in your PivotTable:   Other Options We can work with dates as well.  Now usually, there are many, many dates in a transaction list such as the one we started with.  But Excel provides the option to group data items together by day, week, month, year, etc.  Let’s see how this is done. First, let’s remove the “Payment Method” column from the Column Labels box (simply drag it back up to the field list), and replace it with the “Date Booked” column: As you can see, this makes our PivotTable instantly useless, giving us one column for each date that a transaction occurred on – a very wide table! To fix this, right-click on any date and select Group… from the context-menu: The grouping box appears.  We select Months and click OK: Voila!  A much more useful table: (Incidentally, this table is virtually identical to the one shown at the beginning of this article – the original sales summary that was created manually.) Another cool thing to be aware of is that you can have more than one set of row headings (or column headings): …which looks like this…. You can do a similar thing with column headings (or even report filters). Keeping things simple again, let’s see how to plot averaged values, rather than summed values. First, click on “Sum of Amount”, and select Value Field Settings… from the context-menu that appears: In the Summarize value field by list in the Value Field Settings box, select Average: While we’re here, let’s change the Custom Name, from “Average of Amount” to something a little more concise.  Type in something like “Avg”: Click OK, and see what it looks like.  Notice that all the values change from summed totals to averages, and the table title (top-left cell) has changed to “Avg”: If we like, we can even have sums, averages and counts (counts = how many sales there were) all on the same PivotTable! Here are the steps to get something like that in place (starting from a blank PivotTable): Drag “Salesperson” into the Column Labels Drag “Amount” field down into the Values box three times For the first “Amount” field, change its custom name to “Total” and it’s number format to Accounting (0 decimal places) For the second “Amount” field, change its custom name to “Average”, its function to Average and it’s number format to Accounting (0 decimal places) For the third “Amount” field, change its name to “Count” and its function to Count Drag the automatically created field from Column Labels to Row Labels Here’s what we end up with: Total, average and count on the same PivotTable! Conclusion There are many, many more features and options for PivotTables created by Microsoft Excel – far too many to list in an article like this.  To fully cover the potential of PivotTables, a small book (or a large website) would be required.  Brave and/or geeky readers can explore PivotTables further quite easily:  Simply right-click on just about everything, and see what options become available to you.  There are also the two ribbon-tabs: PivotTable Tools/Options and Design.  It doesn’t matter if you make a mistake – it’s easy to delete the PivotTable and start again – a possibility old DOS users of Lotus 1-2-3 never had. We’ve included an Excel that should work with most versions of Excel, so you can download to practice your PivotTable skills. Download Our Practice Excel File Similar Articles Productive Geek Tips Magnify Selected Cells In Excel 2007Share Access Data with Excel in Office 2010Make Excel 2007 Print Gridlines In Workbook FileMake Excel 2007 Always Save in Excel 2003 FormatConvert Older Excel Documents to Excel 2007 Format TouchFreeze Alternative in AutoHotkey The Icy Undertow Desktop Windows Home Server – Backup to LAN The Clear & Clean Desktop Use This Bookmarklet to Easily Get Albums Use AutoHotkey to Assign a Hotkey to a Specific Window Latest Software Reviews Tinyhacker Random Tips Revo Uninstaller Pro Registry Mechanic 9 for Windows PC Tools Internet Security Suite 2010 PCmover Professional Ben & Jerry’s Free Cone Day, 3/23/10 New Stinger from McAfee Helps Remove ‘FakeAlert’ Threats Google Apps Marketplace: Tools & Services For Google Apps Users Get News Quick and Precise With Newser Scan for Viruses in Ubuntu using ClamAV Replace Your Windows Task Manager With System Explorer

    Read the article

  • The Windows Store... why did I sign up with this mess again?

    - by FransBouma
    Yesterday, Microsoft revealed that the Windows Store is now open to all developers in a wide range of countries and locations. For the people who think "wtf is the 'Windows Store'?", it's the central place where Windows 8 users will be able to find, download and purchase applications (or as we now have to say to not look like a computer illiterate: <accent style="Kentucky">aaaaappss</accent>) for Windows 8. As this is the store which is integrated into Windows 8, it's an interesting place for ISVs, as potential customers might very well look there first. This of course isn't true for all kinds of software, and developer tools in general aren't the kind of applications most users will download from the Windows store, but a presence there can't hurt. Now, this Windows Store hosts two kinds of applications: 'Metro-style' applications and 'Desktop' applications. The 'Metro-style' applications are applications created for the new 'Metro' UI which is present on Windows 8 desktop and Windows RT (the single color/big font fingerpaint-oriented UI). 'Desktop' applications are the applications we all run and use on Windows today. Our software are desktop applications. The Windows Store hosts all Metro-style applications locally in the store and handles the payment for these applications. This means you upload your application (sorry, 'app') to the store, jump through a lot of hoops, Microsoft verifies that your application is not violating a tremendous long list of rules and after everything is OK, it's published and hopefully you get customers and thus earn money. Money which Microsoft will pay you on a regular basis after customers buy your application. Desktop applications are not following this path however. Desktop applications aren't hosted by the Windows Store. Instead, the Windows Store more or less hosts a page with the application's information and where to get the goods. I.o.w.: it's nothing more than a product's Facebook page. Microsoft will simply redirect a visitor of the Windows Store to your website and the visitor will then use your site's system to purchase and download the application. This last bit of information is very important. So, this morning I started with fresh energy to register our company 'Solutions Design bv' at the Windows Store and our two applications, LLBLGen Pro and ORM Profiler. First I went to the Windows Store dashboard page. If you don't have an account, you have to log in or sign up if you don't have a live account. I signed in with my live account. After that, it greeted me with a page where I had to fill in a code which was mailed to me. My local mail server polls every several minutes for email so I had to kick it to get it immediately. I grabbed the code from the email and I was presented with a multi-step process to register myself as a company or as an individual. In red I was warned that this choice was permanent and not changeable. I chuckled: Microsoft apparently stores its data on paper, not in digital form. I chose 'company' and was presented with a lengthy form to fill out. On the form there were two strange remarks: Per company there can just be 1 (one, uno, not zero, not two or more) registered developer, and only that developer is able to upload stuff to the store. I have no idea how this works with large companies, oh the overhead nightmares... "Sorry, but John, our registered developer with the Windows Store is on holiday for 3 months, backpacking through Australia, no, he's not reachable at this point. M'yeah, sorry bud. Hey, did you fill in those TPS reports yesterday?" A separate Approver has to be specified, which has to be a different person than the registered developer. Apparently to Microsoft a company with just 1 person is not a company. Luckily we're with two people! *pfew*, dodged that one, otherwise I would be stuck forever: the choice I already made was not reversible! After I had filled out the form and it was all well and good and accepted by the Microsoft lackey who had to write it all down in some paper notebook ("Hey, be warned! It's a permanent choice! Written down in ink, can't be changed!"), I was presented with the question how I wanted to pay for all this. "Pay for what?" I wondered. Must be the paper they were scribbling the information on, I concluded. After all, there's a financial crisis going on! How could I forget! Silly me. "Ok fair enough". The price was 75 Euros, not the end of the world. I could only pay by credit card, so it was accepted quickly. Or so I thought. You see, Microsoft has a different idea about CC payments. In the normal world, you type in your CC number, some date, a name and a security code and that's it. But Microsoft wants to verify this even more. They want to make a verification purchase of a very small amount and are doing that with a special code in the description. You then have to type in that code in a special form in the Windows Store dashboard and after that you're verified. Of course they'll refund the small amount they pull from your card. Sounds simple, right? Well... no. The problem starts with the fact that I can't see the CC activity on some website: I have a bank issued CC card. I get the CC activity once a month on a piece of paper sent to me. The bank's online website doesn't show them. So it's possible I have to wait for this code till October 12th. One month. "So what, I'm not going to use it anyway, Desktop applications don't use the payment system", I thought. "Haha, you're so naive, dear developer!" Microsoft won't allow you to publish any applications till this verification is done. So no application publishing for a month. Wouldn't it be nice if things were, you know, digital, so things got done instantly? But of course, that lackey who scribbled everything in the Big Windows Store Registration Book isn't that quick. Can't blame him though. He's just doing his job. Now, after the payment was done, I was presented with a page which tells me Microsoft is going to use a third party company called 'Symantec', which will verify my identity again. The page explains to me that this could be done through email or phone and that they'll contact the Approver to verify my identity. "Phone?", I thought... that's a little drastic for a developer account to publish a single page of information about an external hosted software product, isn't it? On Facebook I just added a page, done. And paying you, Microsoft, took less information: you were happy to take my money before my identity was even 'verified' by this 3rd party's minions! "Double standards!", I roared. No-one cared. But it's the thought of getting it off your chest, you know. Luckily for me, everyone at Symantec was asleep when I was registering so they went for the fallback option in case phone calls were not possible: my Approver received an email. Imagine you have to explain the idiot web of security theater I was caught in to someone else who then has to reply a random person over the internet that I indeed was who I said I was. As she's a true sweetheart, she gave me the benefit of the doubt and assured that for now, I was who I said I was. Remember, this is for a desktop application, which is only a link to a website, some pictures and a piece of text. No file hosting, no payment processing, nothing, just a single page. Yeah, I also thought I was crazy. But we're not at the end of this quest yet. I clicked around in the confusing menus of the Windows Store dashboard and found the 'Desktop' section. I get a helpful screen with a warning in red that it can't find any certified 'apps'. True, I'm just getting started, buddy. I see a link: "Check the Windows apps you submitted for certification". Well, I haven't submitted anything, but let's see where it brings me. Oh the thrill of adventure! I click the link and I end up on this site: the hardware/desktop dashboard account registration. "Erm... but I just registered...", I mumbled to no-one in particular. Apparently for desktop registration / verification I have to register again, it tells me. But not only that, the desktop application has to be signed with a certificate. And not just some random el-cheapo certificate you can get at any mall's discount store. No, this certificate is special. It's precious. This certificate, the 'Microsoft Authenticode' Digital Certificate, is the only certificate that's acceptable, and jolly, it can be purchased from VeriSign for the price of only ... $99.-, but be quick, because this is a limited time offer! After that it's, I kid you not, $499.-. 500 dollars for a certificate to sign an executable. But, I do feel special, I got a special price. Only for me! I'm glowing. Not for long though. Here I started to wonder, what the benefit of it all was. I now again had to pay money for a shiny certificate which will add 'Solutions Design bv' to our installer as the publisher instead of 'unknown', while our customers download the file from our website. Not only that, but this was all about a Desktop application, which wasn't hosted by Microsoft. They only link to it. And make no mistake. These prices aren't single payments. Every year these have to be renewed. Like a membership of an exclusive club: you're special and privileged, but only if you cough up the dough. To give you an example how silly this all is: I added LLBLGen Pro and ORM Profiler to the Visual Studio Gallery some time ago. It's the same thing: it's a central place where one can find software which adds to / extends / works with Visual Studio. I could simply create the pages, add the information and they show up inside Visual Studio. No files are hosted at Microsoft, they're downloaded from our website. Exactly the same system. As I have to wait for the CC transcripts to arrive anyway, I can't proceed with publishing in this new shiny store. After the verification is complete I have to wait for verification of my software by Microsoft. Even Desktop applications need to be verified using a long list of rules which are mainly focused on Metro-style applications. Even while they're not hosted by Microsoft. I wonder what they'll find. "Your application wasn't approved. It violates rule 14 X sub D: it provides more value than our own competing framework". While I was writing this post, I tried to check something in the Windows Store Dashboard, to see whether I remembered it correctly. I was presented again with the question, after logging in with my live account, to enter the code that was just mailed to me. Not the previous code, a brand new one. Again I had to kick my mail server to pull the email to proceed. This was it. This 'experience' is so beyond miserable, I'm afraid I have to say goodbye for now to the 'Windows Store'. It's simply not worth my time. Now, about live accounts. You might know this: live accounts are tied to everything you do with Microsoft. So if you have an MSDN subscription, e.g. the one which costs over $5000.-, it's tied to this same live account. But the fun thing is, you can login with your live account to the MSDN subscriptions with just the account id and password. No additional code is mailed to you. While it gives you access to all Microsoft software available, including your licenses. Why the draconian security theater with this Windows Store, while all I want is to publish some desktop applications while on other Microsoft sites it's OK to simply sign in with your live account: no codes needed, no verification and no certificates? Microsoft, one thing you need with this store and that's: apps. Apps, apps, apps, apps, aaaaaaaaapps. Sorry, my bad, got carried away. I just can't stand the word 'app'. This store's shelves have to be filled to the brim with goods. But instead of being welcomed into the store with open arms, I have to fight an uphill battle with an endless list of rules and bullshit to earn the privilege to publish in this shiny store. As if I have to be thrilled to be one of the exclusive club called 'Windows Store Publishers'. As if Microsoft doesn't want it to succeed. Craig Stuntz sent me a link to an old blog post of his regarding code signing and uploading to Microsoft's old mobile store from back in the WinMo5 days: http://blogs.teamb.com/craigstuntz/2006/10/11/28357/. Good read and good background info about how little things changed over the years. I hope this helps Microsoft make things more clearer and smoother and also helps ISVs with their decision whether to go with the Windows Store scheme or ignore it. For now, I don't see the advantage of publishing there, especially not with the nonsense rules Microsoft cooked up. Perhaps it changes in the future, who knows.

    Read the article

  • DIV overlap on top of submit order INPUT button not working right in IE7

    - by Lauren
    I created a test account at www.avaline.com: username: [email protected] pass:test02 I'll keep the account around so you can see what's going on with this submit button without going through the registration process (and needing to fill in a fake address, etc). If logging in doesn't work, you can create your own test account though. Make sure at least one item is in your shopping cart, hit "proceed to checkout", and check off "PayPal" as your payment method (this way the payment won't go through for testing purposes). Once you're on the "review and submit" page, in IE7 (at least), hover over the "pay with Paypal" button, and you'll see that the cursor is a hand when you hover over the text or the button border, but it's a regular arrow when you hover over the button part. If you try clicking on the arrow-cursor area, you'll get the error that you should see...but if you click on the hand-cursor area, you get redirected to the paypal page. In FF, the #hidSubm DIV covers the "Pay with Paypal" button. Why isn't it working in IE7?

    Read the article

  • return to merchent problme in paypal.

    - by Avinash
    Hi, I am using paypal standard as my payment gateway. My problem is that, in Paypal Standard payment method, I have done my code as below: When user click on return to merchant button from paypal then user return to the site with order data , and on that page my order entry will be inserted in my DB. So my problem occur when someone pays but don't click on return to merchant link. So in this case customer gets paid, but due to no entry my DB its not working proper. Hope I am clear to all. Thanks Avinash

    Read the article

  • Paypal subscription API - transaction variables not POSTed

    - by morpheous
    I am writing a payments system based around paypal, I am using the HTML 'API'. I am passing the following form fields to PayPal: 'rm' = 2 'return = http://www.example.com/payment-handler.php?token=sometoken Where 'token' is a token I generated. According to the paypal documentation, a return method (rm) of 2 indicates to Paypal that the transaction data be posted back to the callback url using the POST method. When processing items using 'buy_now' buttons, the transaction items are correctly POSTed to my callback url (payment-handler.php), but for 'subscribe' operations, although the callback url is called, no POST data is sent to the url, and also, the 'token' field is missing. Instead, there is a parameter called 'auth'. I cant see anything in the paypal docs about a 'auth' field - so I dont know whats generating it and if I can reliably using it. Can anyone shed some light on this?

    Read the article

< Previous Page | 32 33 34 35 36 37 38 39 40 41 42 43  | Next Page >