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  • I am being paid very little(imo), how can I change this? [migrated]

    - by LagWagon
    I am a web developer with about 4 years of relevant work experience in my field. Recently, I went from making $30/hr working from home contracting for large companies to a full time job that only pays 40k/yr. The company I work for now is great, nice people, but a little behind the times. I joined on with very little experience in SQL development but they put me in charge of querying the DB and making reports right away, so I had to go in head first and pick up that skill right away. Which is great, I'm happy I learned more of that, and really make good time when doing SQL now. However, I'm now doing most of their advanced SQL stuff. The day I started, another employee who was running a MVC project based in Yii (which is the sole item that makes this company software) put in his two weeks. Two weeks later, I'm the only one who knows how to use, access, modify, or update this project. Its quite a large responsibility for an "entry level dev", no? I am doing highly advanced jQuery for them to modernize their forms, webpages, amongst other things, a skill that I would bet on few Entry levels being able to do as well as me. I may be wrong, but I feel that what I'm making now is not acceptable. We don't have reviews, ever, so I can't just wait for that.. so I was wondering.. do I sound justified in wanting to be paid more, and how can I make this happen?

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  • What are good Usenet account providers, both free and paid?

    - by alok
    I used to access newsgroups via the Berlin university's facilities - they provided free acccounts, but that stopped a few years ago. Since then I have been using Google groups to access newsgroups but it's not the same thing as accessing Usenet via a newsreader like Pan. If any of you still access newsgroups via news readers, where is your account? Please mention if it's free or paid, if paid, how much do you pay, as well as how satisfied you are with the service. Edit: While binaries may be a reason to have a Usenet account, that's not the motivation for me. It is the ability to use the newsreader client features that Google groups doesn't provide.

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  • PDF to HTML - batch converter - most reliable and accurate free AND paid for software?

    - by Rob
    I'm look for either a free or paid-for (about 50$/40pounds) BATCH PDF to HTML converter to convert several PDF files at once. Needs to be able to handle vectored and bitmap images within the file, outputting both as jpegs referenced by the html pages. I've tried iorigsoft paid-for PDF to HTML - problems it seems to hang or just go idle, and the stuff it actually converts have broken links - the wrong name is used for constituent chapters as html. Also tried application from intrapdf.com but this crashes near the beginning of the conversion, consitently. Looked at opensource tools but they look equally flakey or use old PDF versions. Need it on Windows 7 32bit home. Thoughts?

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  • How to link paid app user account to the system ?

    - by user164589
    Hi guys, I have an issue related publishing the paid app to android market. (My application is internet connection based app.) If I've put the app to the android market, can user who bought the app pass to anyone ? How is its security (I mean safe of .apk file) ? Also, what is payment tool of android market ? My main point is choosing the best way to link paid user to our system. Actually I don't know how to link paid user account to my system(by email address or device unique id ?... what is better way ?). Can you suggest me on this part ? I really appreciate for help. Thanks in advance.

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  • Options and best practices to release free and paid version of the same app to Android Market

    - by Rich
    I have installed a couple of free apps on my Android phone and then later "upgraded" to the paid full version. My first instincts for doing the same would be to create two apps with the same package name so that installing one overwrites the other, but apps in the Market must be unique by package name. What are some patterns and best practices for sharing code and resources for free and paid versions of the same app and any naming conventions or project structures that work for this scenario as well?

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  • PDF to HTML - batch converter - most reliable and accurate free AND paid for software?

    - by therobyouknow
    I'm look for either a free or paid-for (about 50$/40pounds) BATCH PDF to HTML converter to convert several PDF files at once. Needs to be able to handle vectored and bitmap images within the file, outputting both as jpegs referenced by the html pages. I've tried iorigsoft paid-for PDF to HTML - problems it seems to hang or just go idle, and the stuff it actually converts have broken links - the wrong name is used for constituent chapters as html. Also tried application from intrapdf.com but this crashes near the beginning of the conversion, consitently. Update: intrapdf works on my Windows XP machine but not on my Windows 7 machine. The only glitch is with the framed index contents html - the graphics in the page do not display in the page in the frame - but if you open the frame only in a new tab then you can see them. That might be a browser glitch in chrome only. This solution is good enough for me - given that I've already spent the money (I had spent before I asked) but I can't accept my own answer as this does not work on Windows 7. Looked at opensource tools but they look equally flakey or use old PDF versions. Need it on Windows 7 32bit home. Thoughts?

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  • Dilemma for growing a project: Open source volunteer developers VS closed source paid / revshare developers? [closed]

    - by giorgio79
    I am trying to grow my project, and I am vaccillating between some examples. Some options seem to be: 1. open sourcing the project to draw volunteer developers. Pros This would mean anyone can try and make some money off the code that would motivate them to contribute back and grow the project. Cons Existing bigger could easily copy and paste my work so far. They can also replicate without having access to the code, but that would take more time. I also thought of using AGPL license, but again, code can still be copied without redistribution. After all, enforcing a license costs a lot of money, and I cannot just say to a possible copycat that it seems you copied my code, show me what you got. 2. Keep the project closed source, but create some kind of a developer program where they get revshare Pros I keep the main rights for the project, but still generate interest by creating a developer program. Noone can copy code easily, just with some considerable effort, but make contributions easy as a breeze. I am also seeing many companies just open source a part of their projects, like Acquia does not open source its multisite setup, or github does not open source some of its core business. Cons Less attention from open source committed devs. Conclusion So option 2 seems the most secure, but would love some feedback.

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  • What do you wish language designers paid attention to?

    - by Berin Loritsch
    The purpose of this question is not to assemble a laundry list of programming language features that you can't live without, or wish was in your main language of choice. The purpose of this question is to bring to light corners of languge design most language designers might not think about. So, instead of thinking about language feature X, think a little more philisophically. One of my biases, and perhaps it might be controversial, is that the softer side of engineering--the whys and what fors--are many times more important than the more concrete side. For example, Ruby was designed with a stated goal of improving developer happiness. While your opinions may be mixed on whether it delivered or not, the fact that was a goal means that some of the choices in language design were influenced by that philosophy. Please do not post: Syntax flame wars (I could care less whether you use whitespace [Python], keywords [Ruby], or curly braces [Java, C/C++, et. al.] to denote program blocks). That's just an implementation detail. "Any language that doesn't have feature X doesn't deserve to exist" type comments. There is at least one reason for all programming languages to exist--good or bad. Please do post: Philisophical ideas that language designers seem to miss. Technical concepts that seem to be poorly implemented more often than not. Please do provide an example of the pain it causes and if you have any ideas of how you would prefer it to function. Things you wish were in the platform's common library but seldom are. One the same token, things that usually are in a common library that you wish were not. Conceptual features such as built in test/assertion/contract/error handling support that you wish all programming languages would implement properly--and define properly. My hope is that this will be a fun and stimulating topic.

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  • The model to sell apps on App Store is better with a paid only version?

    - by ????
    Rob Napier, the author of iOS 5 Programming Pushing the Limits, mentioned there are several models of selling apps on the App Store: Write an app and sell it Publish a free and a full version Ad supported by third party or by iAd In App purchase Surprisingly, the author said that the most workable model is (1) in terms of sales. I would think that (2) with fairly limiting ability for the free version can bring more sales, as people without trying, might not plunge down $0.99 or $1.99 for something they haven't tried? I for one, might not have purchased Angry Birds if I didn't try their free version first. Also, I think it also depends on the situation: if the app is about alarm clock, and there are already 5 alarm clocks in App Store that are free, then your app that is $0.99 might not be that eagerly purchased. If yours is also free, and users really like it out of all the other ones, then they may think, $0.99 is nothing to get a good alarm clock, and gladly pay you the $0.99 in exchange for a full version of the alarm clock, something that they can't get with the free version. (such as the full version can let you choose a song from your Music Library for the alarm). Could (1) work only if the user definitely want it and have no substitute? How might it work the best?

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  • Splitting android application in to two 'branches', free and paid.

    - by Alxandr
    I've developed an android-application that I'dd like to put up on the marketplace. However, I want to split it into two separate applications, one free (with ads), and one paid (logically without ads). How would I go about doing that? I'm not wondering about adding ads (I've alreaddy managed that), but how to take one existing android-application (eclipse-project) and split it into two without having to create a new project and just copy-paste every file one by one (or in batch for that matter). Is that possible? Btw, I use GIT for SCM, so I've made two separate branches, one master and one free, but I need to set some cind of config-value that makes shure that the market separates them as two different applications. Also, when a user 'upgrades', is it possible to copy the db from the free app to the paid one?

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  • Implementation of recurring fee system

    - by TPSstar
    I'm developing an application which will list members who have not paid their any previous month's fee and a separate list for those who have paid the fee. So, lets say a member who will be paying fee through out the year, each month and if he didn't pay fee for march 2013 then app should highlight him as un-paid member. What would be best practice to achieve it. Adding fee invoices for whole year already in database when member is added then loop through his payments to check if fee is paid or not, or add a validation date for member on his each payment, for example payment made in Feb 2013 then member is valid till 28.02.2013. Check if date today is 28.02.2013 then he has not paid..

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  • Using in app purchase to unlock features vs. using free & paid app versions for iPhone

    - by yabada
    I have an app that I was going to release as a free (lite) version with some of the total functionality and a paid full version with advanced functionality. Now, with in app purchase for free apps I am thinking of going that route with the ability to unlock features as needed. I'm not talking about a trial version that expires.I want people to be able to try out the app and get an idea of the interface and functionality before deciding to purchase the full functionality of each major section of the app, basically. Here's an analogy of what my app would be like. Let's say you have a cooking app that teaches you to cook in different styles. There could be major section for French, Italian, and Chinese. Each section could have some rudiments unlocked in the free app so users can see the UI and basics of the functionality. Then, the user could decide to purchase each major section (or not) individually with in app purchase or buy the full versioned app (with the free/paid model). One concern I have with offering a free app with in app purchase would be with feedback. I would be very clear in my description in the app store that there is in app purchase for full features but I'm worried that less serious users could/would leave negative feedback. I suppose that's always a risk but curious about any experience with this. It also seems that it could be a whole lot more complicated keeping track of what portions of the app are locked and unlocked with in app purchase. I know I'd have to have all the code for the full functionality and "lock" the portions that haven't been purchased. How do people usually lock portions of their code? I'm not talking about the process of purchasing (I've read the In App Purchase Programming Guide) but after the purchase has been made. Would I just keep track of what the user has purchased and put conditionals on the sections that are initially locked? Or is there another way to do this as well? My instinct is for the in app purchase (particularly since users could purchase the major sections that they want individually).

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  • How to set up Webtrends to segment paid search campaigns?

    - by hfidgen
    Hiya, I'm trying to learn how to set up Webtrends Analytics to segment paid search properly. I've dug up the fact that you need to pass "WT.srch=1" over in the url from the advert, but are there other parameters which you can use to segment: Campaign Adgroup Ad network I know you can do this with Google Analtics at the drop of a button using the various UTM tags, but Webtrends seems to use the proprietary WT. tags. Yet I can only find one tag... wtf :P Anyone able to help? Thanks! H

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  • Should I be worried about sending Apk to client before getting paid?

    - by DanielS
    I am working on an Android app for a client. The app is practically finished, and next week I'll have a meeting with the client to present it. He'll test everything, and upon approving it he will make the payment and I'll give him the source code and publish it on Google Play. Today he called me asking for the Apk so that he can start testing it. I am worried that if we don't close the deal (for one reason or another) he might get someone to reverse engineer the Apk and get my source code/app anyway, even if obfuscated with ProGuard (I never tried, but according to this SO thread it's not that difficult to reverse engineer an Apk). My question: Am I being paranoid here and should just send the client the Apk (cause perhaps the ProGuard obfuscation is enough to make the source code useless) , or are my worries reasonable and I should stick to getting paid before delivering anything?

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  • Paid service that will bulk convert HTML and text to PDF?

    - by SCS
    We have a repository of documents in HTML and text that we're looking to get into PDF format, but my boss (another developer) feels that writing this portion of the application will detract from the main development that we're doing at the moment. Is anyone aware of any services that will be able to do bulk conversions of these documents to PDF? Any services that will also provide thumbnails for the documents is something we're looking for as well.

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  • Performance considerations for common SQL queries

    - by Jim Giercyk
    Originally posted on: http://geekswithblogs.net/NibblesAndBits/archive/2013/10/16/performance-considerations-for-common-sql-queries.aspxSQL offers many different methods to produce the same results.  There is a never-ending debate between SQL developers as to the “best way” or the “most efficient way” to render a result set.  Sometimes these disputes even come to blows….well, I am a lover, not a fighter, so I decided to collect some data that will prove which way is the best and most efficient.  For the queries below, I downloaded the test database from SQLSkills:  http://www.sqlskills.com/sql-server-resources/sql-server-demos/.  There isn’t a lot of data, but enough to prove my point: dbo.member has 10,000 records, and dbo.payment has 15,554.  Our result set contains 6,706 records. The following queries produce an identical result set; the result set contains aggregate payment information for each member who has made more than 1 payment from the dbo.payment table and the first and last name of the member from the dbo.member table.   /*************/ /* Sub Query  */ /*************/ SELECT  a.[Member Number] ,         m.lastname ,         m.firstname ,         a.[Number Of Payments] ,         a.[Average Payment] ,         a.[Total Paid] FROM    ( SELECT    member_no 'Member Number' ,                     AVG(payment_amt) 'Average Payment' ,                     SUM(payment_amt) 'Total Paid' ,                     COUNT(Payment_No) 'Number Of Payments'           FROM      dbo.payment           GROUP BY  member_no           HAVING    COUNT(Payment_No) > 1         ) a         JOIN dbo.member m ON a.[Member Number] = m.member_no         /***************/ /* Cross Apply  */ /***************/ SELECT  ca.[Member Number] ,         m.lastname ,         m.firstname ,         ca.[Number Of Payments] ,         ca.[Average Payment] ,         ca.[Total Paid] FROM    dbo.member m         CROSS APPLY ( SELECT    member_no 'Member Number' ,                                 AVG(payment_amt) 'Average Payment' ,                                 SUM(payment_amt) 'Total Paid' ,                                 COUNT(Payment_No) 'Number Of Payments'                       FROM      dbo.payment                       WHERE     member_no = m.member_no                       GROUP BY  member_no                       HAVING    COUNT(Payment_No) > 1                     ) ca /********/                    /* CTEs  */ /********/ ; WITH    Payments           AS ( SELECT   member_no 'Member Number' ,                         AVG(payment_amt) 'Average Payment' ,                         SUM(payment_amt) 'Total Paid' ,                         COUNT(Payment_No) 'Number Of Payments'                FROM     dbo.payment                GROUP BY member_no                HAVING   COUNT(Payment_No) > 1              ),         MemberInfo           AS ( SELECT   p.[Member Number] ,                         m.lastname ,                         m.firstname ,                         p.[Number Of Payments] ,                         p.[Average Payment] ,                         p.[Total Paid]                FROM     dbo.member m                         JOIN Payments p ON m.member_no = p.[Member Number]              )     SELECT  *     FROM    MemberInfo /************************/ /* SELECT with Grouping   */ /************************/ SELECT  p.member_no 'Member Number' ,         m.lastname ,         m.firstname ,         COUNT(Payment_No) 'Number Of Payments' ,         AVG(payment_amt) 'Average Payment' ,         SUM(payment_amt) 'Total Paid' FROM    dbo.payment p         JOIN dbo.member m ON m.member_no = p.member_no GROUP BY p.member_no ,         m.lastname ,         m.firstname HAVING  COUNT(Payment_No) > 1   We can see what is going on in SQL’s brain by looking at the execution plan.  The Execution Plan will demonstrate which steps and in what order SQL executes those steps, and what percentage of batch time each query takes.  SO….if I execute all 4 of these queries in a single batch, I will get an idea of the relative time SQL takes to execute them, and how it renders the Execution Plan.  We can settle this once and for all.  Here is what SQL did with these queries:   Not only did the queries take the same amount of time to execute, SQL generated the same Execution Plan for each of them.  Everybody is right…..I guess we can all finally go to lunch together!  But wait a second, I may not be a fighter, but I AM an instigator.     Let’s see how a table variable stacks up.  Here is the code I executed: /********************/ /*  Table Variable  */ /********************/ DECLARE @AggregateTable TABLE     (       member_no INT ,       AveragePayment MONEY ,       TotalPaid MONEY ,       NumberOfPayments MONEY     ) INSERT  @AggregateTable         SELECT  member_no 'Member Number' ,                 AVG(payment_amt) 'Average Payment' ,                 SUM(payment_amt) 'Total Paid' ,                 COUNT(Payment_No) 'Number Of Payments'         FROM    dbo.payment         GROUP BY member_no         HAVING  COUNT(Payment_No) > 1   SELECT  at.member_no 'Member Number' ,         m.lastname ,         m.firstname ,         at.NumberOfPayments 'Number Of Payments' ,         at.AveragePayment 'Average Payment' ,         at.TotalPaid 'Total Paid' FROM    @AggregateTable at         JOIN dbo.member m ON m.member_no = at.member_no In the interest of keeping things in groupings of 4, I removed the last query from the previous batch and added the table variable query.  Here’s what I got:     Since we first insert into the table variable, then we read from it, the Execution Plan renders 2 steps.  BUT, the combination of the 2 steps is only 22% of the batch.  It is actually faster than the other methods even though it is treated as 2 separate queries in the Execution Plan.  The argument I often hear against Table Variables is that SQL only estimates 1 row for the table size in the Execution Plan.  While this is true, the estimate does not come in to play until you read from the table variable.  In this case, the table variable had 6,706 rows, but it still outperformed the other queries.  People argue that table variables should only be used for hash or lookup tables.  The fact is, you have control of what you put IN to the variable, so as long as you keep it within reason, these results suggest that a table variable is a viable alternative to sub-queries. If anyone does volume testing on this theory, I would be interested in the results.  My suspicion is that there is a breaking point where efficiency goes down the tubes immediately, and it would be interesting to see where the threshold is. Coding SQL is a matter of style.  If you’ve been around since they introduced DB2, you were probably taught a little differently than a recent computer science graduate.  If you have a company standard, I strongly recommend you follow it.    If you do not have a standard, generally speaking, there is no right or wrong answer when talking about the efficiency of these types of queries, and certainly no hard-and-fast rule.  Volume and infrastructure will dictate a lot when it comes to performance, so your results may vary in your environment.  Download the database and try it!

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  • XSLT 1.0 help with recursion logic

    - by DashaLuna
    Hello guys, I'm having troubles with the logic and would apprecite any help/tips. I have <Deposits> elements and <Receipts> elements. However there isn't any identification what receipt was paid toward what deposit. I am trying to update the <Deposits> elements with the following attributes: @DueAmont - the amount that is still due to pay @Status - whether it's paid, outstanding (partly paid) or due @ReceiptDate - the latest receipt's date that was paid towards this deposit Every deposit could be paid with one or more receipts. It also could happen, that 1 receipt could cover one or more deposits. For example. If there are 3 deposits: 500 100 450 That are paid with the following receipts: 200 100 250 I want to get the following info: Deposit 1 is fully paid (status=paid, dueAmount=0, receiptNum=3. Deposit 2 is partly paid (status=outstanding, dueAmount=50, receiptNum=3. Deposit 3 is not paid (status=due, dueAmount=450, receiptNum=NAN. I've added comments in the code explaining what I'm trying to do. I am staring at this code for the 3rd day now non stop - can't see what I'm doing wrong. Please could anyone help me with it? :) Thanks! Set up: $deposits - All the available deposits $receiptsAsc - All the available receipts sorted by their @ActionDate Code: <!-- Accumulate all the deposits with @Status, @DueAmount and @ReceiptDate attributes Provide all deposits, receipts and start with 1st receipt --> <xsl:variable name="depositsClassified"> <xsl:call-template name="classifyDeposits"> <xsl:with-param name="depositsAll" select="$deposits"/> <xsl:with-param name="receiptsAll" select="$receiptsAsc"/> <xsl:with-param name="receiptCount" select="'1'"/> </xsl:call-template> </xsl:variable> <!-- Recursive function to associate deposits' total amounts with overall receipts paid to determine whether a deposit is due, outstanding or paid. Also determine what's the due amount and latest receipt towards the deposit for each deposit --> <xsl:template name="classifyDeposits"> <xsl:param name="depositsAll"/> <xsl:param name="receiptsAll"/> <xsl:param name="receiptCount"/> <!-- If there are deposits to proceed --> <xsl:if test="$depositsAll"> <!-- Get the 1st deposit --> <xsl:variable name="deposit" select="$depositsAll[1]"/> <!-- Calculate the sum of all receipts up to and including currenly considered --> <xsl:variable name="receiptSum"> <xsl:choose> <xsl:when test="$receiptsAll"> <xsl:value-of select="sum($receiptsAll[position() &lt;= $receiptCount]/@ReceiptAmount)"/> </xsl:when> <xsl:otherwise>0</xsl:otherwise> </xsl:choose> </xsl:variable> <!-- Difference between deposit amount and sum of the receipts calculated above --> <xsl:variable name="diff" select="$deposit/@DepositTotalAmount - $receiptSum"/> <xsl:choose> <!-- Deposit isn't paid fully and there are more receipts/payments exist. So consider the same deposit, but take next receipt into calculation as well --> <xsl:when test="($diff &gt; 0) and ($receiptCount &lt; count($receiptsAll))"> <xsl:call-template name="classifyDeposits"> <xsl:with-param name="depositsAll" select="$depositsAll"/> <xsl:with-param name="receiptsAll" select="$receiptsAll"/> <xsl:with-param name="receiptCount" select="$receiptCount + 1"/> </xsl:call-template> </xsl:when> <!-- Deposit is paid or we ran out of receipts --> <xsl:otherwise> <!-- process the deposit. Determine its status and then update corresponding attributes --> <xsl:apply-templates select="$deposit" mode="defineDeposit"> <xsl:with-param name="diff" select="$diff"/> <xsl:with-param name="receiptNum" select="$receiptCount"/> </xsl:apply-templates> <!-- Recursively call the template with the rest of deposits excluding the first. Before hand update the @ReceiptsAmount. For the receipts before current it is now 0, for the current is what left in the $diff, and simply copy over receipts after current one. --> <xsl:variable name="receiptsUpdatedRTF"> <xsl:for-each select="$receiptsAll"> <xsl:choose> <!-- these receipts was fully accounted for the current deposit. Make them 0 --> <xsl:when test="position() &lt; $receiptCount"> <xsl:copy> <xsl:copy-of select="./@*"/> <xsl:attribute name="ReceiptAmount">0</xsl:attribute> </xsl:copy> </xsl:when> <!-- this receipt was partly/fully(in case $diff=0) accounted for the current deposit. Make it whatever is in $diff --> <xsl:when test="position() = $receiptCount"> <xsl:copy> <xsl:copy-of select="./@*"/> <xsl:attribute name="ReceiptAmount"> <xsl:value-of select="format-number($diff, '#.00;#.00')"/> </xsl:attribute> </xsl:copy> </xsl:when> <!-- these receipts weren't yet considered - copy them over --> <xsl:otherwise> <xsl:copy-of select="."/> </xsl:otherwise> </xsl:choose> </xsl:for-each> </xsl:variable> <xsl:variable name="receiptsUpdated" select="msxsl:node-set($receiptsUpdatedRTF)/Receipts"/> <!-- Recursive call for the next deposit. Starting counting receipts from the current one. --> <xsl:call-template name="classifyDeposits"> <xsl:with-param name="depositsAll" select="$deposits[position() != 1]"/> <xsl:with-param name="receiptsAll" select="$receiptsUpdated"/> <xsl:with-param name="receiptCount" select="$receiptCount"/> </xsl:call-template> </xsl:otherwise> </xsl:choose> </xsl:if> </xsl:template> <!-- Determine deposit's status and due amount --> <xsl:template match="MultiDeposits" mode="defineDeposit"> <xsl:param name="diff"/> <xsl:param name="receiptNum"/> <xsl:choose> <xsl:when test="$diff &lt;= 0"> <xsl:apply-templates select="." mode="addAttrs"> <xsl:with-param name="status" select="'paid'"/> <xsl:with-param name="dueAmount" select="'0'"/> <xsl:with-param name="receiptNum" select="$receiptNum"/> </xsl:apply-templates> </xsl:when> <xsl:when test="$diff = ./@DepositTotalAmount"> <xsl:apply-templates select="." mode="addAttrs"> <xsl:with-param name="status" select="'due'"/> <xsl:with-param name="dueAmount" select="$diff"/> </xsl:apply-templates> </xsl:when> <xsl:when test="$diff &lt; ./@DepositTotalAmount"> <xsl:apply-templates select="." mode="addAttrs"> <xsl:with-param name="status" select="'outstanding'"/> <xsl:with-param name="dueAmount" select="$diff"/> <xsl:with-param name="receiptNum" select="$receiptNum"/> </xsl:apply-templates> </xsl:when> <xsl:otherwise/> </xsl:choose> </xsl:template> <!-- Add new attributes (@Status, @DueAmount and @ReceiptDate) to the deposit element --> <xsl:template match="MultiDeposits" mode="addAttrs"> <xsl:param name="status"/> <xsl:param name="dueAmount"/> <xsl:param name="receiptNum" select="''"/> <xsl:copy> <xsl:copy-of select="./@*"/> <xsl:attribute name="Status"><xsl:value-of select="$status"/></xsl:attribute> <xsl:attribute name="DueAmount"><xsl:value-of select="$dueAmount"/></xsl:attribute> <xsl:if test="$receiptNum != ''"> <xsl:attribute name="ReceiptDate"> <xsl:value-of select="$receiptsAsc[position() = $receiptNum]/@ActionDate"/> </xsl:attribute> </xsl:if> <xsl:copy-of select="./*"/> </xsl:copy> </xsl:template>

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  • Are Java developers really paid more than .Net developers? Also, should I just try and work with C?(

    - by Jon
    Ok, so I graduated about a year and a half ago. In college days I used to be really good (and keen) on C/C++. I've even done some multithreading and socket programming in C. Created networked GUI apps for linux using GTK etc.Now,I've been working since I graduated and well, let's say, I've been stereotyped with .net. That's all I have experience with in these years (Vb.net,asp.net,javascript). I'm pretty comfortable with all of the above and also SQL server.a)Cutting to the chase, I've begun to notice how .net jobs don't seem to pay all that well as Java. Jobs seeking similar number of yrs of experience offer almost twice for java developers. Does it mean I should consider switching?b)My heart still goes out for C. As a surrogate I've tried working with VC++ 6.0 (I know they aren't the same!). I've tried my hand with DDK,SDK,COM etc. Should I try finding jobs there or am I too inexperienced. Somehow, I can't find any openings for C. Where are they? Sometimes I get frustrated and feel that maybe I should just go for MS or something. Possibly that'll help me in landing with 'fatter paying jobs' in the field that I wish to work.

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  • How do I extract excel data from multiple worksheets and put into one sheet?

    - by user167210
    In a workbook I have 7 sheets(Totals and then Mon to Sat),I want to extract rows which have the word "CHEQ" in its cell (this is a dropdown list with two options-CHEQ/PAID)from all sheets. On my front sheet I used this formula: =IF(ROWS(A$13:A13)>$C$10,"",INDEX(Monday!A$3:A$62,SMALL(IF(Monday[Paid]=$A$10,ROW(Monday[Paid])-ROW(Monday!$I$3)+1),ROWS(A$13:A13)))) This formula works fine for one worksheet (eg. Monday) but is it possible to show the extracted rows from all 6 sheets on the front page? I only have Excel NOT Access. These are the 12 headers on row A12 Col Name Cod House Car Date Discount 2nd Paid Extra Letter Posted The exported data appears like this (this just an example): Col Name Cod House Car Date Discount 2nd Paid Extra Letter Posted 12 Robbs 1244 Ren 11/10 10% 5 CHEQ 0 0 No 15 Jones 7784 Ren 12/10 15% 1 CHEQ 0 0 No 18 Doese 1184 Ren 12/11 12% 1 CHEQ 0 0 No Any ideas on what to do to this formula? I am using Excel 2010.

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  • Free Traffic Generation Methods Through SEO

    Traffic is King, as they say. You can either opt for paid traffic or free traffic. Paid Traffic involves paid advertising such as Pay-Per-Click, or link sponsorship on authority sites. The other way is free traffic, which you achieve using various resources.

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  • Setting ivar in objective-c from child view in the iPhone

    - by Ivan
    Hi there! Maybe a FAQ at this website. I have a TableViewController that holds a form. In that form I have two fields (each in it's own cell): one to select who paid (single selection), and another to select people expense is paid for (multiple selection). Both fields open a new TableViewController included in an UINavigationController. Single select field (Paid By) holds an object Membership Multiple select field (Paid For) holds an object NSMutableArray Both vars are being sent to the new controller identically the same way: mySingleSelectController.crSelectedMember = self.crPaidByMember; myMultipleSelectController.crSelectedMembers = self.crSelectedMembers; From Paid for controller I use didSelectAtIndexPath method to set a mutable array of Memberships for whom is paid: if ([[tableView cellForRowAtIndexPath:indexPath] accessoryType] == UITableViewCellAccessoryCheckmark) { [self.crSelectedMembers removeObject:[self.crGroupMembers objectAtIndex:indexPath.row]]; //... } else { [self.crSelectedMembers addObject:[self.crGroupMembers objectAtIndex:indexPath.row]]; //... } So far everything goes well. An mutable array (crSelectedMembers) is perfectly set from child view. But... I have trouble setting Membership object. From Paid By controller I use didSelectAtIndexPath to set Membership: [self setCrSelectedMember:[crGroupMembers objectAtIndex:indexPath.row]]; By NSlogging crSelectedMember I get the right selected member in self, but in parent view, to which ivar is pointed, nothing is changed. Am I doing something wrong? Cause I CAN call the method of crSelectedMembers, but I can't change the value of crSelectedMember.

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

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

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  • (Where) Can I learn creating art for my 2D games?

    - by Poorly paid coder
    I'm currently bad at drawing. If I want to create something looking acceptable, it usually takes me hours and hours to fiddle around just to get the basic looks right. I think that I'm not completely skill-less, I just lack simple drawing techniques.. Am I a hopeless case? Where is a good place to start out in drawing for 2D games? I'd like to be able to create acceptably good backgrounds, terrains / tilemaps, characters and weapons

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