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  • States having nonassignable invention exceptions similar to California Code Section 2870

    - by Ashley Tate
    Standard employment agreements stipulate that the employing company owns all inventions and discoveries produced during the period of employment. California code section 2870 exempts inventions produced outside of work and without use of company facilities by California employees: 2870. (a) Any provision in an employment agreement which provides that an employee shall assign, or offer to assign, any of his or her rights in an invention to his or her employer shall not apply to an invention that the employee developed entirely on his or her own time without using the employer's equipment, supplies, facilities, or trade secret information... Do the legal codes of any other states include a similar provision?

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  • CodeContracts: ccrewrite fails with Object reference not set to an instance of an object

    - by Vyas Bharghava
    The below code makes ccrewrite blow up! Ideas? BTW, If you comment out the ActualClass, ccrewrite succeeds... [ContractClass(typeof(TestContracts))] interface ITestInterface { bool IsStarted { get; set; } void Begin(); } class ActualClass : ITestInterface { public bool IsStarted { get; set; } public void Begin() { this.IsStarted = true; } } [ContractClassFor(typeof(ITestInterface))] class TestContracts : ITestInterface { ITestInterface Current { get; set; } private TestContracts() { Current = this; } #region ITestInterface Members bool ITestInterface.IsStarted { get; set; } void ITestInterface.Begin() { Contract.Requires(!Current.IsStarted); Contract.Ensures(Current.IsStarted); } Thanks in advance!

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  • Can I write a blog post criticizing Microsoft products ?

    - by madewulf
    My employer is a Microsoft Certified Partner. I am using some technology from Microsoft and as there is not so much feedback about it on the web, I would like to write an overview, with some kind words and a lot of not-so-kind words about it. Does anybody know if this is allowed by the licenses from Microsoft ?

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  • Question about [Pure] methods

    - by devoured elysium
    Is the following method Pure? I'd say so, as it doesn't change in anyway the current class, thus, everything we can now currenly "see" in the class, before running this method will still be exactly the same after. Am I correct? class Set { ... public ISet<T> UnionWith(ISet<T> set) { ISet<T> unionSet = ... foreach (Element element in this) { unionSet.Add(element); } foreach (Element element in set) { unionSet.Add(element); } return unionSet; } }

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  • Monetary Escrow Recommendation

    - by buzzappsoftware
    We are a software development company. We need to establish a monetary escrow for one of our clients. The idea is they pay for the whole fixed bid project up front. However, the money is not released to us until agreed upon milestones have been met. This is very similar to the system Elance uses. From our side, we need to protect ourselves in the event we complete a client's project and by the time that happens they cannot pay for one reason or another. Thank you for your time. All help appreciated.

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  • Mutually beneficial IP/copyright clauses for contract-based freelance work

    - by Nathan de Vries
    I have a copyright section in the contract I give to my clients stating that I retain copyright on any works produced during my work for them as an independent contractor. This is most definitely not intended to place arbitrary restrictions on my clients, but rather to maintain my ability to decide on how the software I create is licensed and distributed. Almost every project I work on results in at least one part of it being released as open source. Every project I work on makes use of third-party software released in the same fashion, so returning the favour is something I would like to continue doing. Unfortunately, the contract is not so clear when it comes to defining the rights of the client in the use of said software. I mention that the code will be licensed to them, but do not mention specifics about exclusivity, ability to produce derivatives etc. As such, a client has raised concerns about the copyright section of my contract, and has suggested that I reword it such that all copyrights are transferred entirely to the client on final payment for the project. This will almost certainly reduce my ability to distribute the software I have created; I would much prefer to find a more mutually beneficial agreement where both our concerns are appeased. Are there any tried and true approaches to licensing software in this kind of situation? To summarise: I want to maintain the ability to license (parts of) the software under my own terms, independently of my relationship with the client; with some guarantee to the client that no trade-secrets or critical business logic will be shared; giving them the ability to re-use my code in their future projects; but not necessarily letting them sell it (I'm not sure about this, though...what happens if they sell their business and the software along with it?) I realise that everyone's feedback is going to be prefixed with "IANAL", however I appreciate any thoughts you might have on the matter.

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  • SvcUtil and /dconly generates XSD's for data types NOT marked with the DataContract attribute.

    - by Bellerephon
    Has anyone ever encountered a problem with Svcutil and the /dconly option where it generates metadata for EVERY data type in an Assembly, even if it is NOT marked with with the [DataContract()] attribute? It also appears to be generating metadata for types only referenced in the code, such as XmlDictionaryReaderQuotas even though these are not a part of the physical assembly that I generated metadata on. Some info: Using the .NET 4.0 version of SvcUtil. Does not matter if class is empty or not. No references are specified in the command line for SvcUtil. Command line: "C:\In Progress Work (Prospective)\Prospective Server\Prospective Server\Management\Prospective.Server.Server.NET40.Debug.AnyCPU.dll" /nologo /t:metadata /d:"C:\In Progress Work (Prospective)\Prospective Server\Prospective Server\Management" /dconly

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  • Should a company prevent employees from publishing an app in an appstore in their free time?

    - by Tommy
    My company is trying to pass a policy forbidding distribution of any application (even free) in any appstore for all developers. Their reasoning is that "outside work activities create a conflict of interest". They don't want that "you use your spare time to work on your app, and once it takes off you quit your job" (quoting the Head of Development). A few developers (myself included) have already said it was an abusive, pointless and most of all counter-productive policy (developers will actually be demotivated to work here under such control and to be denied of the freedom to distribute their project). Personally, I think it is actually in the interest of the company to promote side projects (even commercial activities, if there is no conflict). I'm also curious, is that common practice?

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  • CodeContracts: Possibly calling a method on a null reference

    - by dtb
    I'm having an argument with the CodeContracts static analysis tool. My code: class Foo { private static Foo instance = new Foo(); private string bar; public Foo() { bar = "Hello World"; } public static int BarLength() { return instance.bar.Length; // <<-- } } The tool tells me that instance.bar may be a null reference. I believe the opposite. Who is right? How can I prove it wrong?

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  • Multiple left joins, how to output in php

    - by Dan
    I have 3 tables I need to join. The contracts table is the main table, the 'jobs' and 'companies' table are extra info that can be associated to the contracts table. so, since I want all entries from my 'contracts' table, and the 'jobs' and 'companies' data only if it exists, I wrote the query like this.... $sql = "SELECT * FROM contracts LEFT JOIN jobs ON contracts.job_id = jobs.id LEFT JOIN companies ON contracts.company_id = companies.id ORDER BY contracts.end_date"; Now how would I output this in PHP? I tried this but kept getting an undefined error "Notice: Undefined index: contracts.id"... $sql_result = mysql_query($sql,$connection) or die ("Fail."); if(mysql_num_rows($sql_result) > 0){ while($row = mysql_fetch_array($sql_result)) { $contract_id = stripslashes($row['contracts.id']); $job_number = stripslashes($row['jobs.job_number']); $company_name = stripslashes($row['companies.name']); ?> <tr id="<?=$contract_id?>"> <td><?=$job_number?></td> <td><?=$company_name?></td> </tr> <? } }else{ echo "No records found"; } Any help is appreciated.

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  • What is a practical usage of Code Contracts in .NET 4.0?

    - by Will Marcouiller
    In order to fully understand and take advantage of the new features and enhancements provided with the coming of the new .NET Framework 4.0, I would like to get an example of real-world application of the Code Contracts. Anyone has a good example of application of this feature? I would like to get a code sample with a brief explanation to help me get up and running with it. Thanks! =)

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  • Why does the proxy generated code create the wrong class namespace when a MessageContract is in my W

    - by DaleyKD
    I have created two WCF Services (Shipping & PDFGenerator). They both, along with my ClientApp, share an assembly named Kyle.Common.Contracts. Within this assembly, I have three classes: namespace Kyle.Common.Contracts { [MessageContract] public class PDFResponse { [MessageHeader] public string fileName { get; set; } [MessageBodyMember] public System.IO.Stream fileStream { get; set; } } [MessageContract] public class PDFRequest { [MessageHeader] public Enums.PDFDocumentNameEnum docType { get; set; } [MessageHeader] public int? pk { get; set; } [MessageHeader] public string[] emailAddress { get; set; } [MessageBodyMember] public Kyle.Common.Contracts.TrackItResult[] trackItResults { get; set; } } [DataContract(Name = "TrackResult", Namespace = "http://kyle")] public class TrackResult { [DataMember] public int SeqNum { get; set; } [DataMember] public int ShipmentID { get; set; } [DataMember] public string StoreNum { get; set; } } } My PDFGenerator ServiceContract looks like: namespace Kyle.WCF.PDFDocs { [ServiceContract(Namespace="http://kyle")] public interface IPDFDocsService { [OperationContract] PDFResponse GeneratePDF(PDFRequest request); [OperationContract] void GeneratePDFAsync(Kyle.Common.Contracts.Enums.PDFDocumentNameEnum docType, int? pk, string[] emailAddress); [OperationContract] Kyle.Common.Contracts.TrackResult[] Test(); } } If I comment out the GeneratePDF stub, the proxy generated by VS2010 realizes that Test returns an array of Kyle.Common.Contracts.TrackResult. However, if I leave GeneratePDF there, the proxy refuses to use Kyle.Common.Contracts.TrackResult, and instead creates a new class, ClientApp.PDFDocServices.TrackResult, and uses that as the return type of Test. Is there a way to force the proxy generator to use Kyle.Common.Contracts.TrackResult whenever I use a MessageContract? Perhaps there's a better method for using a Stream and File Name as return types? I just don't want to have to create a Copy method to copy from ClientApp.PDFDocServices.TrackResult to Kyle.Common.Contracts.TrackResult, since they should be the exact same class. Thanks in advance, Kyle

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  • Why does the proxy generated code create a new class when a MessageContract is in my WCF Service?

    - by DaleyKD
    I have created two WCF Services (Shipping & PDFGenerator). They both, along with my ClientApp, share an assembly named Kyle.Common.Contracts. Within this assembly, I have three classes: namespace Kyle.Common.Contracts { [MessageContract] public class PDFResponse { [MessageHeader] public string fileName { get; set; } [MessageBodyMember] public System.IO.Stream fileStream { get; set; } } [MessageContract] public class PDFRequest { [MessageHeader] public Enums.PDFDocumentNameEnum docType { get; set; } [MessageHeader] public int? pk { get; set; } [MessageHeader] public string[] emailAddress { get; set; } [MessageBodyMember] public Kyle.Common.Contracts.TrackItResult[] trackItResults { get; set; } } [DataContract(Name = "TrackResult", Namespace = "http://kyle")] public class TrackResult { [DataMember] public int SeqNum { get; set; } [DataMember] public int ShipmentID { get; set; } [DataMember] public string StoreNum { get; set; } } } My PDFGenerator ServiceContract looks like: namespace Kyle.WCF.PDFDocs { [ServiceContract(Namespace="http://kyle")] public interface IPDFDocsService { [OperationContract] PDFResponse GeneratePDF(PDFRequest request); [OperationContract] void GeneratePDFAsync(Kyle.Common.Contracts.Enums.PDFDocumentNameEnum docType, int? pk, string[] emailAddress); [OperationContract] Kyle.Common.Contracts.TrackResult[] Test(); } } If I comment out the GeneratePDF stub, the proxy generated by VS2010 realizes that Test returns an array of Kyle.Common.Contracts.TrackResult. However, if I leave GeneratePDF there, the proxy refuses to use Kyle.Common.Contracts.TrackResult, and instead creates a new class, ClientApp.PDFDocServices.TrackResult, and uses that as the return type of Test. Is there a way to force the proxy generator to use Kyle.Common.Contracts.TrackResult whenever I use a MessageContract? Perhaps there's a better method for using a Stream and File Name as return types? I just don't want to have to create a Copy method to copy from ClientApp.PDFDocServices.TrackResult to Kyle.Common.Contracts.TrackResult, since they should be the exact same class. Thanks in advance, Kyle

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  • Rails: has_many association with a table in another database and without foreign key

    - by Fernando
    Here is my situation. I have model called Account. An account can have one or more contracts. The problem is that i'm dealing with a legacy application and each account's contracts are stored in a different database. Example: Account 1's contract are in account1_db.contracts. Account 2's contract are in account2_db.contracts. The database name is a field stored in accounts table. How can i make rails association work with this? This is a legacy PHP application and i simply can't change it to store everything in one table. I need to make it work somehow. I tried this, but it didn't worked: has_many :contracts, :conditions => [lambda{ Contract.set_table_name(self.database + '.contracts'); return '1' }] Any ideas?

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  • How to design a data model that deals with (real) contracts?

    - by Geoffrey
    I was looking for some advice on designing a data model for contract administration. The general life cycle of a contract is thus: Contract is created and in a "draft" state. It is viewable internally and changes may be made. Contract goes out to vendor, status is set to "pending" Contract is rejected by vendor. At this state, nothing can be done to the contract. No statuses may be added to the collection. Contract is accepted by vendor. At this state, nothing can be done to the contract. No statuses may be added to the collection. I obviously want to avoid a situation where the contract is accepted and, say, the amount is changed. Here are my classes: [EnforceNoChangesAfterDraftState] public class VendorContract { public virtual Vendor Vendor { get; set; } public virtual decimal Amount { get; set; } public virtual VendorContact VendorContact { get; set; } public virtual string CreatedBy { get; set; } public virtual DateTime CreatedOn { get; set; } public virtual FileStore Contract { get; set; } public virtual IList<VendorContractStatus> ContractStatus { get; set; } } [EnforceCorrectWorkflow] public class VendorContractStatus { public virtual VendorContract VendorContract { get; set; } public virtual FileStore ExecutedDocument { get; set; } public virtual string Status { get; set; } public virtual string Reason { get; set; } public virtual string CreatedBy { get; set; } public virtual DateTime CreatedOn { get; set; } } I've omitted the filestore class, which is basically a key/value lookup to find the document based on its guid. The VendorContractStatus is mapped as a many-to-one in Nhibernate. I then use a custom validator as described here. If anything but draft is returned in the VendorContractStatus collection, no changes are allowed. Furthermore the VendorContractStatus must follow the correct workflow (you can add a rejected after a pending, but you can't add anything else to the collection if a reject or accepted exists, etc.). All sounds alright? Well a colleague has argued that we should simply add an "IsDraft" bool property to VendorContract and not accept updates if IsDraft is false. Then we should setup a method inside of VendorContractStatus for updating the status, if something gets added after a draft, it sets the IsDraft property of VendorContract to false. I do not like this as it feels like I'm dirtying up the POCOs and adding logic that should persist in the validation area, that no rules should really exist in these classes and they shouldn't be aware of their states. Any thoughts on this and what is the better practice from a DDD perspective? From my view, if in the future we want more complex rules, my way will be more maintainable over the long run. Say we have contracts over a certain amount to be approved by a manager. I would think it would be better to have a one-to-one mapping with a VendorContractApproval class, rather than adding IsApproved properties, but that's just speculation. This might be splitting hairs, but this is the first real gritty enterprise software project we've done. Any advice would be appreciated!

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  • Building apps that work Together

    - by Tim Murphy
    Originally posted on: http://geekswithblogs.net/tmurphy/archive/2013/07/03/building-apps-that-work-together.aspx  Writing apps that stand alone will only get yon so far.  If your app can allow the user to leverage other applications and share data you Can have a real winner on your hands. Jake Sabulsky started off by explaining that you should be concentrating on the core functionality of your app and letting the framework take care of the features that users require these days.  This is implemented be leveraging contracts.  When Windows 8 was released it included the File, Share and Pickers contracts.  With the release of Windows 8.1 they have added the Contacts and Calendar contracts. There have been a number of improvements to the original contracts. The File URI contract will now automatically detect the size that a new windows should be opened and will also allow you to programmatically influence new window size.  The Share contract has been enhanced by allowing apps to always share screenshots and links to the app in the store. To my thinking the contracts are one of the most powerful features of Windows 8.  Take the time view this session and learn how to leverage them. Technorati Tags: BUILD 2013,Windows 8,Live tiles

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  • Best way to version control a WCF application with Git?

    - by Sam
    Suppose I have the following projects. The format is [ProjectName] : [ProjectDependency1, ProjectDependency2, etc.] // Service CoolLibrary WcfApp.Core WcfApp.Contracts WcfApp.Services : CoolLibrary, WcfApp.Core, WcfApp.Contracts // Clients CustomerX.App : WcfApp.Contracts CustomerY.App : WcfApp.Contracts CustomerZ.App : WcfApp.Contracts (On a side note, WcfApp.Contracts should not depend on WcfApp.Core, right? Else CustomerX.App would also depend on and thus be exposed to the service domain model?) (CoolLibrary is shared with other applications, so I can't just put it inside of WcfApp.Services.) All of this code is in-house. I was thinking of having 6 repositories for this. The format is [repository folder name] : [Projects included in repository.] 1. CoolLibrary.git : CoolLibrary 2. WcfApp.Contracts.git : WcfApp.Contracts 3. WcfApp.git : WcfApp.Core, WcfApp.Services 4. CustomerX.App.git : CustomerX.App 5. CustomerY.App.git : CustomerY.App 6. CustomerZ.App.git : CustomerZ.App How should I manage my project dependencies? I see three options: I could use binaries which I have to manually copy to each dependent repository. This would be easiest at the start, but my repositories would be a little bloated, and it'd become more tedious as I add more client apps for customers. I could import dependent code as submodules. This is what I will probably end up doing, although I keep reading on the web that submodules are a hassle. I also read that I can use something called the subtree merge strategy, but I am not sure how it is different from just cloning the repo into a subdirectory and adding the subdirectory to .gitignore. Is the difference that the subtree is recorded in the master repository, so (for example) cloning it from a different location will also pull the subtree? I know I asked a lot of questions in this post, but the most important two questions I have are: 1. Am I using the right number and layout of repositories? Should I use less or more? 2. Which of the three dependency management strategies would you recommend? Is there another strategy I haven't considered?

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  • Why have private fields in data contracts modified through public ones?

    - by Nordvind
    When you make a new WCF project, sample service is generated for you. The default data contract is (I've just changed the string type field title): [DataContract] public class CompositeType { bool boolValue = true; string name = ""; [DataMember] public bool BoolValue { get { return boolValue; } set { boolValue = value; } } [DataMember] public string Name { get { return name; } set { name = value; } } } What is the point of having those private fields boolValue and name? Is it a good practice writing some data sanitizing or some other manipulations in contract, thus bloating it? It seems the only sane reason for me not writing to fields directly. So is it a bloatware or it has some reason behind it?

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  • How to create database records for a financial year

    - by David A Gibson
    Hello, I need to create entities (specifically contracts) in a database table that are associated with a financial year. These contracts will be applied to projects. Any contract variation will be recorded by creating a new contract record for the same financial year but the original will remain associated with the project as a history. The projects can last several years and so at any one time a project will have a live contract record for each year as well as any number of historic contracts for that year. All of which is incidental but I'm trying to provide some context. If the contracts where for the year - it would be easy and I'd just store the Year either as a date field with the 1st of January or just an Integer. However the contracts run for financial years and I don't know how to approach this. I don't want a separate table containing the financial years as I don't want the users to have to maintain this. I don't want to store the financial year as a string "2009/2010" as this is not ideal for sorting/extracting the data. Any ideas will be helpful, my best so far is to have starting and ending year in 2 columns and just "KNOW" that starting is April of the year etc Thanks

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  • Oracle ERP Cloud Solution Defines Revenue Recognition Software Market

    - by Steve Dalton
    Normal 0 false false false EN-US X-NONE X-NONE Revenue is a fundamental yardstick of a company's performance, and one of the most important metrics for investors in the capital markets. So it’s no surprise that the accounting standard boards have devoted significant resources to this topic, with a key goal of ensuring that companies use a consistent method of recognizing revenue. Due to the myriad of revenue-generating transactions, and the divergent ways organizations recognize revenue today, the IFRS and FASB have been working for 12 years on a common set of accounting standards that apply to all industries in virtually all countries. Through their joint efforts on May 28, 2014 the FASB and IFRS released the IFRS 15 / ASU 2014-9 (Revenue from Contracts with Customers) converged accounting standard. This standard applies to revenue in all public companies, but heavily impacts organizations in any industry that might have complex sales contracts with multiple distinct deliverables (obligations). For example, an auto dealer who bundles free service with the sale of a car can only recognize the service revenue once the owner of the car brings it in for work. Similarly, high-tech companies that bundle software licenses, consulting, and support services on a sales contract will recognize bundled service revenue once the services are delivered. Now all companies need to review their revenue for hidden bundling and implicit obligations. Numerous time-consuming and judgmental activities must be performed to properly recognize revenue for complex sales contracts. To illustrate, after the contract is identified, organizations must identify and examine the distinct deliverables, determine the estimated selling price (ESP) for each deliverable, then allocate the total contract price to each deliverable based on the ESPs. In terms of accounting, organizations must determine whether the goods or services have been delivered or performed to the customer’s satisfaction, then either book revenue in the current period or record a liability for the obligation if revenue will be recognized in a future accounting period. Oracle Revenue Management Cloud was architected and developed so organizations can simplify and streamline revenue recognition. Among other capabilities, the solution uses business rules to efficiently identify and examine contracts, intelligently calculate and allocate deliverable prices based on prescribed inputs, and accurately recognize revenue for each deliverable based on customer satisfaction. "Oracle works very closely with our customers, the Big 4 accounting firms, and the accounting standard boards to deliver an adaptive, comprehensive, new generation revenue recognition solution,” said Rondy Ng, Senior Vice President, Applications Development. “With the recently announced IFRS 15 / ASU 2014-9, Oracle is ready to support customer adoption of the new standard with our Revenue Management Cloud,” said Rondy. Oracle Revenue Management Cloud, an integral part of Oracle Financials Cloud, helps organizations comply with accounting standards, provides them with confidence that reported revenue is materially accurate, and simplifies the accounting process for revenue recognition. Stay tuned to this blog for regular updates on Oracle Revenue Management Cloud. We also invite you to review our new oracle.com ERP pages @ oracle.com/erp. We will be updating these pages very soon with more information about Oracle Revenue Management Cloud.

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  • How do I change the format of group by data in Excel 2003 pivot tables

    - by Bernard
    I have a data that lists the value of a contract per contract number. So I've created a pivot table that counts the number of contracts valued at 0 - 10, 11 - 20, etc. I want to be able to format the group, e.g. $0 - $10, $11 - $20 I've tried formatting the underlying data as currency and formatting the column in the pivot table, but it still shows as 0 - 10, 11 - 20 Also I have a column in the pivot table that says Total which is the Count of the number of contracts in that range, i.e. Value Total 0 - 10 1 11 - 20 1 Its an autogenerated column heading that Excel put in. How do I change this to say Number of contracts. I want it changed because when I chart the pivot table, the series is called called Total :(

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  • A generic Re-usable C# Property Parser utility [on hold]

    - by Shyam K Pananghat
    This is about a utility i have happened to write which can parse through the properties of a data contracts at runtime using reflection. The input required is a look like XPath string. since this is using reflection, you dont have to add the reference to any of your data contracts thus making pure generic and re- usable.. you can read about this and get the full c# sourcecode here. Property-Parser-A-C-utility-to-retrieve-values-from-any-Net-Data-contracts-at-runtime Now about the doubts which i have about this utility. i am using this utility enormously i many places of my code I am using Regex repeatedly inside a recursion method. does this affect the memmory usage or GC collection badly ?do i have to dispose this manually. if yes how ?. The statements like obj.GetType().GetProperty() and obj.GetType().GetField() returns .net "object" which makes difficult or imposible to introduce generics here. Does this cause to have any overheads like boxing ? on an overall, please suggest to make this utility performance efficient and more light weight on memmory

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