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  • Why download popup window in browser not showing up when using JAX-RS v.s. standard servlet?

    - by masato-san
    When I try using standard servlet approach, in my browser the popup window shows up asking me whether to open .xls file or save it. I tried the exactly same code via JAX-RS and the browser popup won't show up somehow. Has anyone encounter this mystery? Standard servlet that works: package local.test.servlet; import java.io.IOException; import java.net.URL; import java.net.URLDecoder; import javax.servlet.ServletException; import javax.servlet.annotation.WebServlet; import javax.servlet.http.HttpServlet; import javax.servlet.http.HttpServletRequest; import javax.servlet.http.HttpServletResponse; import local.test.jaxrs.ExcellaTestResource; import org.apache.poi.ss.usermodel.Workbook; import org.bbreak.excella.core.BookData; import org.bbreak.excella.core.exception.ExportException; import org.bbreak.excella.reports.exporter.ExcelExporter; import org.bbreak.excella.reports.exporter.ReportBookExporter; import org.bbreak.excella.reports.model.ConvertConfiguration; import org.bbreak.excella.reports.model.ReportBook; import org.bbreak.excella.reports.model.ReportSheet; import org.bbreak.excella.reports.processor.ReportProcessor; @WebServlet(name="ExcelServlet", urlPatterns={"/ExcelServlet"}) public class ExcelServlet extends HttpServlet { @Override protected void doGet(HttpServletRequest request, HttpServletResponse response) throws ServletException, IOException { try { //C:\Users\m-takayashiki\.netbeans\6.9\config\GF3\domain1 // ================== ?????? ======================= URL templateFileUrl = ExcellaTestResource.class.getResource("?????????.xls"); // /C:/Users/m-takayashiki/Documents/NetBeansProjects/KogaAlpha/build/web/WEB-INF/classes/local/test/jaxrs/?????????.xls System.out.println(templateFileUrl.getPath()); String templateFilePath = URLDecoder.decode(templateFileUrl.getPath(), "UTF-8"); String outputFileDir = "MasatoExcelHorizontalOutput"; ReportProcessor reportProcessor = new ReportProcessor(); ReportBook outputBook = new ReportBook(templateFilePath, outputFileDir, ExcelExporter.FORMAT_TYPE); ReportSheet outputSheet = new ReportSheet("??????"); outputBook.addReportSheet(outputSheet); // ======================================================== // --------------- ?????? ------------------------- reportProcessor.addReportBookExporter(new OutputStreamExporter(response)); System.out.println("wtf???"); reportProcessor.process(outputBook); System.out.println("done!!"); } catch(Exception e) { System.out.println(e); } } //end doGet() @Override protected void doPost(HttpServletRequest request, HttpServletResponse response) throws ServletException, IOException { } }//end class class OutputStreamExporter extends ReportBookExporter { private HttpServletResponse response; public OutputStreamExporter(HttpServletResponse response) { this.response = response; } @Override public String getExtention() { return null; } @Override public String getFormatType() { return ExcelExporter.FORMAT_TYPE; } @Override public void output(Workbook book, BookData bookdata, ConvertConfiguration configuration) throws ExportException { System.out.println(book.getFirstVisibleTab()); System.out.println(book.getSheetName(0)); //TODO write to stream try { response.setContentType("application/vnd.ms-excel"); response.setHeader("Content-Disposition", "attachment; filename=masatoExample.xls"); book.write(response.getOutputStream()); response.getOutputStream().close(); System.out.println("booya!!"); } catch(Exception e) { System.out.println(e); } } }//end class JAX-RS way that won't display popup: package local.test.jaxrs; import java.net.URL; import java.net.URLDecoder; import javax.servlet.ServletOutputStream; import javax.servlet.http.HttpServletRequest; import javax.servlet.http.HttpServletResponse; import javax.ws.rs.core.Context; import javax.ws.rs.core.UriInfo; import javax.ws.rs.Path; import javax.ws.rs.GET; import javax.ws.rs.Produces; import org.apache.poi.ss.usermodel.Workbook; import org.bbreak.excella.core.BookData; import org.bbreak.excella.core.exception.ExportException; import org.bbreak.excella.reports.exporter.ExcelExporter; import org.bbreak.excella.reports.exporter.ReportBookExporter; import org.bbreak.excella.reports.model.ConvertConfiguration; import org.bbreak.excella.reports.model.ReportBook; import org.bbreak.excella.reports.model.ReportSheet; import org.bbreak.excella.reports.processor.ReportProcessor; @Path("excellaTest") public class ExcellaTestResource { @Context private UriInfo context; @Context private HttpServletResponse response; @Context private HttpServletRequest request; public ExcellaTestResource() { } @Path("horizontalProcess") @GET //@Produces("application/vnd.ms-excel") @Produces("application/vnd.ms-excel") public void getProcessHorizontally() { try { //C:\Users\m-takayashiki\.netbeans\6.9\config\GF3\domain1 // ================== ?????? ======================= URL templateFileUrl = this.getClass().getResource("?????????.xls"); // /C:/Users/m-takayashiki/Documents/NetBeansProjects/KogaAlpha/build/web/WEB-INF/classes/local/test/jaxrs/?????????.xls System.out.println(templateFileUrl.getPath()); String templateFilePath = URLDecoder.decode(templateFileUrl.getPath(), "UTF-8"); String outputFileDir = "MasatoExcelHorizontalOutput"; ReportProcessor reportProcessor = new ReportProcessor(); ReportBook outputBook = new ReportBook(templateFilePath, outputFileDir, ExcelExporter.FORMAT_TYPE); ReportSheet outputSheet = new ReportSheet("??????"); outputBook.addReportSheet(outputSheet); // ======================================================== // --------------- ?????? ------------------------- reportProcessor.addReportBookExporter(new OutputStreamExporter(response)); System.out.println("wtf???"); reportProcessor.process(outputBook); System.out.println("done!!"); } catch(Exception e) { System.out.println(e); } //return response; return; } }//end class class OutputStreamExporter extends ReportBookExporter { private HttpServletResponse response; public OutputStreamExporter(HttpServletResponse response) { this.response = response; } @Override public String getExtention() { return null; } @Override public String getFormatType() { return ExcelExporter.FORMAT_TYPE; } @Override public void output(Workbook book, BookData bookdata, ConvertConfiguration configuration) throws ExportException { //TODO write to stream try { response.setContentType("application/vnd.ms-excel"); response.setHeader("Content-Disposition", "attachment; filename=masatoExample.xls"); book.write(response.getOutputStream()); response.getOutputStream().close(); System.out.println("booya!!"); } catch(Exception e) { System.out.println(e); } } }//end class

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  • Can spliting an access database cause printer and reporting issues?

    - by leeand00
    We have a setup in which our users log into an access database using MS Access 2003 over an RDP connection. The user's login to their own machines first using a roaming profile. They then click an rdp connection file on the desktop and login to the remote server, via RDP, where they use MS Access as the shell; they don't have any access to any of explorer.exe features such as the start menu. The database they are logging into is more of an application, and provides functionality for entering data, querying data, and running reports via form based menus. It all worked pretty well until we split the database as it was nearing 2GBs in size. We moved out the payroll data into a separate partition, a database with the same name in a different folder, both of them on the server. Only two tables were moved into this new database partition, and they were re-linked as external tables in the new partition. Now while everything appears to be working fine data-wise after the split, there's a new issue when our users login via RDP and attempt to run reports: often the report will not display and instead the user sees an error about the click event of the form. At first I didn't even know it was printer-related, as we didn't really change anything related to the printers as far as I knew. Confused about the error, I talked to the guy who previously worked here and who was in charge of splitting the database, and he told me to tell the users to set their default printers (on their local machines, not on the server) to the "printer" Microsoft XPS Document Writer which isn't a physical printer at all. This allowed the user's to display their reports, but if they want to print out reports, they are required to go to the File menu and select Print, clicking the print icon on the toolbar takes them to a Save As... dialog as would be expected when using the Microsoft XPS Document Writer as your default printer. It's easy to tell if the user is having a problem because a quick mouseover of the printer icon will yield a tooltip of (none) when they cannot access their reports, and a tooltip of Microsoft XPS Document Writer when they can view the reports. If the user's printer is set to anything other than Microsoft XPS Document Writer as the default on their local machine, then (none) is always displayed when they rdp to the database. The RDP settings are setup to transfer the local printer to the server. Telling the users to do this to print has been more of a band-aid on the whole situation until we find a better solution and an explanation as to why splitting a database would prevent users from printing or even viewing access database reports. Which is why I'm here asking this question. Also of note all the printers on the network now show up on the server so that when the users do click File->Print to print their reports on a physical printer, they have to look through a huge list of printers to find theirs in the dropdown. So the little band-aid fix we have is not ideal. Previously, only the printers on the user's local machine displayed here, and not all the printers on the network. My co-worker seems to think this has something to do with permissions, I personally think it has to do with roaming profiles, and Group Policies which is what I've been reading up on. I really don't know how to fix this or how it is related to splitting the database.

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  • A report writer for non-programmers?

    - by Earlz
    Hello, we are wanting for users to be able to write their own reports in our application. It is a web application. We don't care if they must download an application in order to create reports, but we need for them to be able to print off reports from the web in PDF format or similar. The report writer is to be used by non-programmers, or at best very light programmers(like the ones that make VBA macros and such). (the writer is not a core part of the program though. So if there is a learning curve, then that is acceptable to a certain extent) We were looking at Crystal Reports but it seems like it'll cost $7000 which is just way too much for right now(though our system is very flexible so could support it eventually). We are also looking at Fast Reports which seems pretty promising, but I'm not sure the report writer would be easy for non-programmers to grasp. Can someone recommend a good report writer for non programmers that won't break the bank?

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  • Access Services in SharePoint Server 2010

    - by Wayne
    Another SharePoint Server 2010 feature which cannot go unnoticed is the Access Services. Access Services is a service in SharePoint Server 2010 that allows administrators to view, edit, and configure a Microsoft access application within a Web Browser. Access Services settings support backup and recovery, regardless of whether there is a UI setting in Central Administration. However, backup and recovery only apply to service-level and administrative-level settings; end-user content from the Access application is not backed up as part of this process. Access Services has Windows PowerShell functionality that can be used to provide the service that uses settings from a previous backup; configure and manage macro and query setting; manage and configure session management; and configure all the global settings of the service. Key Benefits of SharePoint Server Access Services Easier Access to right tools: The enhanced, customizable Ribbon in Access 2010 makes it easy to uncover more commands so you can focus on the end product. The new Microsoft Office BackstageTM view is yet another feature that can help you easily analyze and document your database, share, publish, and customize your Access 2010 experience, all from one convenient location. Helps build database effortlessly and quickly: Out-of-the box templates and reusable components make Access Services the fastest, simplest database solution available. It helps find new pre-built templates which you can start using without customization or select templates created by your peers in the Access online community and customize them to meet your needs. It builds your databases with new modular components. New Application Parts enable you to add a set of common Access components, such as a table and form for task management, to your database in a few simple clicks. Database navigation is now simplified. It creates Navigation Forms and makes your frequently used forms and reports more accessible without writing any code or logic. Create Impactful forms and reports: Whether it's an inventory of your assets or customer sales database, Access 2010 brings the innovative tools you'd expect from Microsoft Office. Access Services easily spot trends and add emphasis to your data. It quickly create coordinating database forms and reports and bring the Web into your database. Obtain a centralized landing pad for your data: Access 2010 offers easy ways to bring your data together and help increase work quality. New technologies help break down barriers so you can share and work together on your databases, making you or your team more efficient and productive. Add automation and complex expressions: If you need a more robust database design, such as preventing record deletion if a specific condition is met or if you need to create calculations to forecast your budget, Access 2010 empowers you to be your own developer. The enhanced Expression Builder greatly simplifies your expression building experience with IntelliSense®. With the revamped Macro Designer, it's now even easier for you to add basic logic to your database. New Data Macros allow you to attach logic to your data, centralizing the logic on the table, not the objects that update your data. Key features of Access Services 2010 - Access database content through a Web browser: Newly added Access Services on Microsoft SharePoint Server 2010 enables you to make your databases available on the Web with new Web databases. Users without an Access client can open Web forms and reports via a browser and changes are automatically synchronized. - Simplify how you access the features you need: The Ribbon, improved in Access 2010, helps you access commands even more quickly by enabling you to customize or create your own tabs. The new Microsoft Office Backstage view replaces the traditional File menu to provide one central, organized location for all of your document management tasks. - Codeless navigation: Use professional looking web-like navigation forms to make frequently used forms and reports more accessible without writing any code or logic. - Easily reuse Access items in other databases: Use Application Parts to add pre-built Access components for common tasks to your database in a few simple clicks. You can also package common database components, such as data entry forms and reports for task management, and reuse them across your organization or other databases. - Simplified formatting: By using Office themes you can create coordinating professional forms and reports across your database. Simply select a familiar and great looking Office theme, or design your own, and apply it to your database. Newly created Access objects will automatically match your chosen theme.

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  • What is a good reporting service for a simple database/hobbyist setup?

    - by Zombies
    I have a meager production environment running on my PC for a little application that I work on in my spare time. At this point I have the basics setup, MySQL, junit, svn... I am midway through development and I now need to generate various reports. These reports are based on what data is in the database.... Now, my question is this: Is there an existing reporting tool that accepts SQL and generates various reports (via: email, PDF, etc). Some tool which makes writing new reports easy, while also having a somewhat robust set of features. Does this software exist or must I write all of these reports myself?

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  • Ant target generate empty suite xml file

    - by user200317
    I am using ant for my project and I have been trying to generate JUnit report using ant target. The problem I run in to is that at the end of the execution my TESTS-TestSuites.xml is empty. But all the other individual test xml files have data. And due to this my html reports are empty, in the sense results shows "0". Here is my ant target <!-- JUnit Reporting --> <target name="test-report" depends="build-all" description="Generate Test Results as HTML"> <taskdef name="junitreport" classname="org.apache.tools.ant.taskdefs.optional.junit.XMLResultAggregator"/> <junit printsummary="on" haltonfailure="off" haltonerror="off" fork="yes"> <batchtest fork="yes" todir="${test.reports}" filtertrace="on"> <fileset dir="${build.classes}" includes="**/Test*Selenium.class"/> </batchtest> <formatter type="plain" usefile="false"/> <formatter type="xml" usefile="true"/> <classpath> <path refid="classpath"/> <path refid="application"/> </classpath> </junit> <echo message="running JUnit Report" /> <junitreport todir="${test.reports}"> <fileset dir="${test.reports}"> <include name="Test-*.xml" /> </fileset> <report format="frames" todir="${test.reports.html}" /> </junitreport> </target> This is what I get as ant print summary, [junitreport] Processing C:\YukonSelenium\reports\TESTS-TestSuites.xml to C:\DOCUME~1\user\LOCALS~1\Temp\null1848051184 [junitreport] Loading stylesheet jar:file:/C:/DevApps/apache-ant-1.7.1/lib/ant junit.jar!/org/apache/tools/ant/taskdefs/optional/junit/xsl/junit-frames.xsl [junitreport] Transform time: 859ms [junitreport] Deleting: C:\DOCUME~1\user\LOCALS~1\Temp\null1848051184 Here's how junit report looks like http://www.freeimagehosting.net/image.php?43dd69d3b8.jpg Thanks in advance,

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  • XML deserialization doubling up on entities

    - by Nathan Loding
    I have an XML file that I am attempting to deserialize into it's respective objects. It works great on most of these objects, except for one item that is being doubled up on. Here's the relevant portion of the XML: <Clients> <Client Name="My Company" SiteID="1" GUID="xxx-xxx-xxx-xxx"> <Reports> <Report Name="First Report" Path="/Custom/FirstReport"> <Generate>true</Generate> </Report> </Reports> </Client> </Clients> "Clients" is a List<Client> object. Each Client object has a List<Report> object within it. The issue is that when this XML is deserialized, the List<Report> object has a count of 2 -- the "First Report" Report object is in there twice. Why? Here's the C#: public class Client { [System.Xml.Serialization.XmlArray("Reports"), System.Xml.Serialization.XmlArrayItem(typeof(Report))] public List<Report> Reports; } public class Report { [System.Xml.Serialization.XmlAttribute("Name")] public string Name; public bool Generate; [System.Xml.Serialization.XmlAttribute("Path")] public string Path; } class Program { static void Main(string[] args) { List<Client> _clients = new List<Client>(); string xmlFile = "myxmlfile.xml"; System.Xml.Serialization.XmlSerializer xmlSerializer = new System.Xml.Serialization.XmlSerializer(typeof(List<Client>), new System.Xml.Serialization.XmlRootAttribute("Clients")); using (FileStream stream = new FileStream(xmlFile, FileMode.Open)) { _clients = xmlSerializer.Deserialize(stream) as List<Client>; } foreach(Client _client in _clients) { Console.WriteLine("Count: " + _client.Reports.Count); // This write "2" foreach(Report _report in _client.Reports) { Console.WriteLine("Name: " + _report.Name); // Writes "First Report" twice } } } }

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  • Architecture Guidance Needed?

    - by vijay
    We are about to automate number of process for our reporting team. (The reports are like daily reports, weekly reports, monthly reports, etc..) Mostly the process is like pulling some data from the oracle and then fill them in particular excel template files. Each reports and so their templates are different from each other. Except the excel file manipulation, there are hardly any business logic behind these. Client wanted an integrated tool and all the automated processes are placed as menus/submenus. Right now roughly there are around 30 process waiting to be automated. And we are expecting more new reports in the next quarter. I am nowhere to near having any practical experience when comes to architecuring. Already i have been maintaining two or three systems(they are more than 4yrs old.) for this prestegious client.The possiblity of the above mentioned tool will be manintained for another 3 yrs is very likely. From my past experience i've been through the pain of implmenting change requests to the rigd & undocumented code base resulting in the break down of the system and then eventually myself. So My main and top most concern is the maintainablity. When i was searching for these i came across this link, Smart Clients Using CAB and SCSF is the above link appropriate for my requirement? Also Should i place each automated processes in separate forms under a single project, or place them in separate projects under a single solution.. Please correct me if have missed any other important information. Thx.

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  • Chargeback and showback...both a 'throw back'

    - by llaszews
    Been getting asked again by customers and partners about chargeback and showback in the cloud so thought I would blog on my response to this question. Charge Back background, information and industry analysis: Cloud computing is all about shared resources. These shared resources are computer servers (including memory and CPU), network devices, hard disk storage, database servers, application servers, cooling, floor space, electricity and more. These resources are shared by departments within a company, or by a number of companies, when resources are hosted in the public or hybrid cloud. Currently, hosting providers that run other companies on their cloud platforms do not have an accurate way to measure the shared computing resources used by a specific user let alone used by a specific customer. Additionally, companies running their own cloud data centers, for private or hybrid clouds, have no way of measure and charging back the departments in the company that are using these shared cloud resources. In both cases, the lack of determine shared resource costs and to charge them back to the company, department or user that is using this resources is limited a clear measure of business benefit and impacting company’s ability to measure the Return on Investment (ROI). An IT chargeback system is an accounting strategy that applies the costs of IT services, hardware or software to the business unit in which they are used. This system contrasts with traditional IT accounting models in which a centralized department bears all of the IT costs in an organization and those costs are treated simply as corporate overhead. Showback involves showing the IT costs to a department or customer but not actually charging them for their IT usage. Showback is a gradual method of introducing chargeback into an enterprise. Most companies implement a show back mechanism before a full chargeback system is put in place. Oracle chargeback product: Oracle Enterprise Manager provides tools for defining detailed Chargeback plans spanning different metrics collected for each type of resources as well as defining Cost Centers for grouping costs across multiple developers. Chargeback plans can use not only usage based costs, but also configuration based costs (e.g. version of the platform) or fixed costs (e.g. flat-rate management fee). Chargeback has rich out of the box reports. Trending reports show how charge and resource consumption varies over time, while Summary reports show the breakdown of charges or usage by different dimensions such as Cost Center or Target Type. These reports help consumers in understanding how their charges relate to their consumption and also assist the IT department with budgeting and planning activities. With BI Publisher, the reports can be made available in a variety of formats such as PDF, HTML, Word, Excel or PowerPoint.

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  • Hierachies....from the Top Down

    - by Joe G
    I've been struggling with how to write on the topic of the importance of hierarchy design.  It's not so much that hierarchies haven't always been important, it's more of that with Fusion, the timing of when the hierarchies are designed should take a higher priority.    I will attempt to explain..... When I was implementing applications, back in the day, we had the list of detailed account values to enter with the obvious parent accounts. Then, after the setup was complete and things were functioning, the reporting phase started.  Users explained the elements that they want on the reports, what totals should be included, and how things should be compared.  Frequently, there was at least one calculation that became a nightmare either because it was based on very specific things that didn't relate to anything else or because it was "hardcoded" so that when something changed, someone need to "fix" the report. With Fusion, the process changes slightly.  You still want to enter all of the detailed accounts, but before you start adding parent values, you should investigate the reporting requirements from the top-down.  It's better to build hierarchies based on the reporting requirements than it is to build reports based on random hierarchies. Build reports based on hierarchies that resemble the reports themselves, and maintain the hierarchies without rework of the reports. For example, if you look at an income statement, you may have line items for Material Costs, Employee Costs, Travel & Entertainment, and Total Operating Expenses.  In your hierarchy, you have detail values that roll up to Material Costs, Employee Costs, and Travel & Entertainment which roll up to Total Operating Expenses. Balances are stored automatically in the cube for each of these.  When you define the report, you pick each of these members - no calculations required.  If a new detail value is added, you simply add it to the hierarchy, and there is no need to modify the report. I realize that there are always exceptions that require special handling, but I am confident that you will end up with much fewer exceptions if you make reporting a priority and design your hierarchies from the top-down.

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  • Yet another Ant + JUnit classpath problem

    - by user337591
    Hi, I'm developing an Eclipse SWT application using Eclipse. There are also some JUnit 4 tests, which test some DAO's. But when I try to run the tests via an ant build, all of the tests fail, because the test classes aren't found. Google brought up about a million of people who all have the same problem, but none of their solutions seem to work for me -.- . These are the contents of my build.xml file: <property name="test.reports" value="./test/reports" /> <property name="classes" value="build" /> <path id="project.classpath"> <pathelement location="${classes}" /> </path> <target name="testreport"> <mkdir dir="${test.reports}" /> <junit fork="yes" printsummary="no" haltonfailure="no"> <batchtest fork="yes" todir="${test.reports}" > <fileset dir="${classes}"> <include name="**/Test*.class" /> </fileset> </batchtest> <formatter type="xml" /> <classpath refid="project.classpath" /> </junit> <junitreport todir="${test.reports}"> <fileset dir="${test.reports}"> <include name="TEST-*.xml" /> </fileset> <report todir="${test.reports}" /> </junitreport> </target> The test classes are in the build-directory together with the application classes, although they are in some subfolders according to their packages. Maybe this is important too: At first Ant complained that JUnit wasn't in its classpath, but since I put it there (with the eclipse configuration editor) it complains about JUnit being in its classpath twice. WARNING: multiple versions of ant detected in path for junit [junit] jar:file:C:/Users/as df/Documents/eclipse/plugins/org.apache.ant_1.7.1.v20090120-1145/lib/ant.jar!/org/apache/tools/ant/Project.class [junit] and jar:file:/C:/Users/as%20df/Documents/eclipse/plugins/org.apache.ant_1.7.1.v20090120-1145/lib/ant.jar!/org/apache/tools/ant/Project.class I've tried specifying each and every subdirectory, each and every class file, I've tried filesets and filelists, nothing seems to work. Thanks for your help, I've been sitting for hours on this thing now...

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  • How to retain background colors when pasting between documents in Excel

    - by Iain Fraser
    I have a script that programatically generates excel spreadsheets - cleaning up ugly reports that are given to us from another organisation. For interests sake; I'm using PHPExcel to generate the "clean" reports. We get these reports every week for an event that happens every couple of months. The reports contain a list of attendees along with a group id that allows us to know that some attendees belong together. To help the event organisers out, I've taken the event ID and generated a unqiue color code (based on the hash of the event ID - truncated to 6 characters). This unique colour code is set as the background color of a cell in each row. This helps organisers quickly visually identify group members. Trouble is, when the organisers copy the rows from the weeks report into the master report (which contains all attendees, not just the ones that signed up this week) - all the colour-codes snap to the master template's color pallette. Thank you very much for your time All the best Iain

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  • Macro - maintain paste link if new row is added to master spreadsheet

    - by Ross McLaughlin
    I have a master spreadsheet that has a portion of data (say columns a to e) that paste links to a report. Each row paste links to its own report. If I add a new row to the master spreadsheet I now have the wrong data linking into my reports. I know if I have the reports open when a change is made to the master it will update the reports. However, with the number of reports I will soon have this will no longer be practical. Is there a macro or formula that can be added to maintain the correct data link. I have no real knowledge on such matters and as much information as possible would be greatly appreciated. Many thanks in advance.

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  • AdSense Mobile Interface – I’m Loving It!

    - by Gopinath
    I love checking AdSense earnings every day on my mobile. All these days my mobile browser, opera, rendered the heavy desktop version of AdSense interface and it was tough to navigate around and see the earnings. To solve the problems of me as well as millions of other AdSense users, Google yesterday released a mobile version of AdSense user interface that works on almost all the mobile platforms – iOS, Android, Windows Phone 7, Symbian and many others. If you have opted for the new beta user interface of AdSense, you will be presented with the mobile version when you https://www.google.com/adsense on your mobile. Here is a screen grab of how looks like on iPhone and Android device.It looks similar on my Nokia mobile too. The Adsense interface for mobile is very nice – on the home page I can quickly have a look at today’s earnings, recent payment amount, last month finalized amount and the total unpaid balances. The quick reports option available the bottom of the screen lets me access a graphical view of useful earnings reports like – Last 7 days, Last 30 days, This Month and Last Month. You can also create your own reports and save them to this list for quick viewing. To view the graphical reports, you don’t need FLASH on your mobile. For more details check out the official post on Google Adsense blog. This article titled,AdSense Mobile Interface – I’m Loving It!, was originally published at Tech Dreams. Grab our rss feed or fan us on Facebook to get updates from us.

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  • What's the difference between General Ledger Transfer Program, Create Accounting and Submit Accounting?

    - by Oracle_EBS
    In Release 12, the General Ledger Transfer Program is no longer used. Use Create Accounting or Submit Accounting instead. Submit Accounting spawns the Revenue Recognition Process. The Create Accounting program does not. So if you create transactions with rules, then you would want to run Submit Accounting Process to spawn Revenue Recognition to create the distribution rows, which Create Accounting is then spawned to process to the GL. Create Accounting Submit Accounting Short Name for Concurrent Program XLAACCPB ARACCPB Specific to Receivables No Yes Runs Revenue Recognition automatically No Yes Can be run real-time for one Transaction/Receipt at a time Yes No Spawns the following Programs 1) XLAACCPB module: Create Accounting 2) XLAACCUP module: Accounting Program 3) GLLEZL module: Journal Import 1) ARTERRPM module: Revenue Recognition Master Program 2) ARTERRPW module: Revenue Recognition with parallel workers - could be numerous 3) ARREVSWP - Revenue Contingency Analyzer 4) XLAACCPB module: Create Accounting 5) XLAACCUP module: Accounting Program 5) GLLEZL module: Journal Import Keep in mind, Reports owned by application 'Subledger Accounting' cannot be seen when running the report from Receivables responsibility. You may want to request your sysadmin to attach the following SLA reports/programs to your AR responsibility as you will need these for your AR closing process: XLAPEXRPT : Subledger Period Close Exception Report - shows transactions in status final, incomplete and unprocessed. XLAGLTRN : Transfer Journal Entries to GL - transfers transactions in final status and manually created transactions to GL To add reports/programs owned by application 'Subledger Accounting' (Subledger Period Close Exception Report and Transfer Journal Entries to GL_ Add to the request group as follows: Let's use Subledger Accounting Report XLATBRPT: Open Account Balances Listing Report as an example. Responsibility: System Administrator Navigation: Security > Responsibility > Define Query the name of your Receivables Responsibility and note the Request Group (ie. Receivables All) Navigation: Security > Responsibility > Request Query the Request Group Go to Request Zone and Click on Add Record Enter the following: Type: Program Name: Open Account Balances Listing Save Responsibility: Receivables Manager Navigation: Control > Requests > Run In the list of values you should now see 'Open Account Balances Listing' report References: Note: 748999.1 How to add reports for application subledger accounting to receivables responsibiilty Note: 759534.1 R12 ARGLTP General Ledger Transfer Program Errors Out Note: 1121944.1 Understanding and Troubleshooting Revenue Recognition in Oracle Receivables

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  • PeopleSoft Mobile Expenses and Mobile Approvals now available in FSCM 9.1

    - by Howard Shaw
    Oracle is pleased to announce the release of two new applications, PeopleSoft Mobile Expenses and PeopleSoft Mobile Approvals, which are now generally available in PeopleSoft FSCM 9.1. These are the first two of many upcoming applications designed and built to cater directly to the mobile workforce by providing user-friendly access to key business functions on a smartphone or tablet. Enter and Submit Expenses Anytime, Anywhere PeopleSoft Mobile Expenses provides the ability to enter employee expense reports quickly and easily, for busy travelers on the go. The contemporary, streamlined user interface is optimized for mobile devices (that support HTML 5), such as tablets or smartphones, and provides a simple-to-use tool for capturing expenses as they are being incurred, submitting expense reports while waiting at the airport, approving your employees’ expense reports, and more. And since it is part of the PeopleSoft Mobile Applications suite, you don’t have to wait until you return home or to the office, which can lead to improved efficiencies. The user interface and gesture actions (for example, swipe, touch, and so on) will be immediately familiar to mobile device users, and is specifically targeted to keep the experience as streamlined as possible for just the tasks you need to get to while on the go. In addition, PeopleSoft Mobile Expenses leverages all of the powerful expense policy compliance tools delivered by PeopleSoft Expenses, contributing to reduced spend and increased efficiency throughout your organization. PeopleSoft Mobile Expenses is integrated directly with PeopleSoft Mobile Approvals, so managers can quickly approve submitted expense reports in addition to entering or reviewing their own expenses. Manage Approvals Anytime, Anywhere PeopleSoft Mobile Approvals improves productivity and keeps business moving forward when your users are on the go without comprising business imperatives and operational policies. This innovative solution is delivered using the latest HTML 5 technology to allow customers to manage their critical tasks anytime through any device. PeopleSoft Approvals enables your users to approve transactions through the desktop, smart phones or tablet devices. This will speed up the approval process thus avoiding potential late payment penalties and supports early payment discounts for invoices. For more information, please watch the Video Feature Overviews (VFO) available on YouTube (links below) or contact your application sales representative. PeopleSoft Mobile ExpensesPeopleSoft Mobile Approvals The PeopleSoft Mobile Applications 9.1 documentation update for Bundle 23 is available under MOS Document ID 1495035.1.

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  • Report Books and Parameters with Telerik Reporting

    Telerik Reporting provides a simple, yet powerful, component called the ReportBook that allows multiple reports to be combined into one. Doing so makes displaying, printing, and exporting multiple reports a much simpler task for end users. Providing this type of functionality does leave one question though, "How are report parameters handled?" This entry will focus on providing the answers to that simple question. Click here to download the sample code so you can follow along. Creating a ReportBook ReportBooks are supported in all three environments the ReportViewer supports, WinForms, Silverlight, and ASP.NET. Adding a ReportBook to each of these environments is very similar. This example focuses on using a ReportBook with the WinForms ReportViewer. Create a WinForms Application Add a reference to the project containing the reports. Drag a ReportViewer from the ToolBox into the designer. Drag a ReportBook from the ToolBox into the designer. A dialog will be displayed asking for the reports to be included in the ReportBook....Did you know that DotNetSlackers also publishes .net articles written by top known .net Authors? We already have over 80 articles in several categories including Silverlight. Take a look: here.

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  • Siebel BIP Integration

    - by Tim Dexter
    This post is more of a bookmark for me so that I stop bugging the brown stuff out of the John the Siebel-BIP product manager. I have had multiple customers over the past two weeks asking for help around the integration. What's its capable of? How can I allow my users to click a button to run a BIP report? How can I kick off a report from a Siebel workflow? Start right here - this is a great white paper explaining whats now available with the integration using, the Siebel Report Business Service. Once you have consumed that from start to finish. Get on over to Oracle support and look for the following note that has code samples and lots of other good stuff! Siebel BI Publisher Reports Business Service (8.1.1.7+) [ID 1425724.1] The Reports Business Service enables BI Publisher reports to be executed from the Siebel application via a Workflow Process, or through scripting. The report is generated in the background by connecting to the BI Publisher server. The report output is stored in the Siebel File System and accessed from the My BI Publisher Reports view. Alternatively using appropriate methods, the report can be attached to an entity or sent to a particular delivery channel.

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  • Columnstore Case Study #2: Columnstore faster than SSAS Cube at DevCon Security

    - by aspiringgeek
    Preamble This is the second in a series of posts documenting big wins encountered using columnstore indexes in SQL Server 2012 & 2014.  Many of these can be found in my big deck along with details such as internals, best practices, caveats, etc.  The purpose of sharing the case studies in this context is to provide an easy-to-consume quick-reference alternative. See also Columnstore Case Study #1: MSIT SONAR Aggregations Why Columnstore? As stated previously, If we’re looking for a subset of columns from one or a few rows, given the right indexes, SQL Server can do a superlative job of providing an answer. If we’re asking a question which by design needs to hit lots of rows—DW, reporting, aggregations, grouping, scans, etc., SQL Server has never had a good mechanism—until columnstore. Columnstore indexes were introduced in SQL Server 2012. However, they're still largely unknown. Some adoption blockers existed; yet columnstore was nonetheless a game changer for many apps.  In SQL Server 2014, potential blockers have been largely removed & they're going to profoundly change the way we interact with our data.  The purpose of this series is to share the performance benefits of columnstore & documenting columnstore is a compelling reason to upgrade to SQL Server 2014. The Customer DevCon Security provides home & business security services & has been in business for 135 years. I met DevCon personnel while speaking to the Utah County SQL User Group on 20 February 2012. (Thanks to TJ Belt (b|@tjaybelt) & Ben Miller (b|@DBADuck) for the invitation which serendipitously coincided with the height of ski season.) The App: DevCon Security Reporting: Optimized & Ad Hoc Queries DevCon users interrogate a SQL Server 2012 Analysis Services cube via SSRS. In addition, the SQL Server 2012 relational back end is the target of ad hoc queries; this DW back end is refreshed nightly during a brief maintenance window via conventional table partition switching. SSRS, SSAS, & MDX Conventional relational structures were unable to provide adequate performance for user interaction for the SSRS reports. An SSAS solution was implemented requiring personnel to ramp up technically, including learning enough MDX to satisfy requirements. Ad Hoc Queries Even though the fact table is relatively small—only 22 million rows & 33GB—the table was a typical DW table in terms of its width: 137 columns, any of which could be the target of ad hoc interrogation. As is common in DW reporting scenarios such as this, it is often nearly to optimize for such queries using conventional indexing. DevCon DBAs & developers attended PASS 2012 & were introduced to the marvels of columnstore in a session presented by Klaus Aschenbrenner (b|@Aschenbrenner) The Details Classic vs. columnstore before-&-after metrics are impressive. Scenario Conventional Structures Columnstore ? SSRS via SSAS 10 - 12 seconds 1 second >10x Ad Hoc 5-7 minutes (300 - 420 seconds) 1 - 2 seconds >100x Here are two charts characterizing this data graphically.  The first is a linear representation of Report Duration (in seconds) for Conventional Structures vs. Columnstore Indexes.  As is so often the case when we chart such significant deltas, the linear scale doesn’t expose some the dramatically improved values corresponding to the columnstore metrics.  Just to make it fair here’s the same data represented logarithmically; yet even here the values corresponding to 1 –2 seconds aren’t visible.  The Wins Performance: Even prior to columnstore implementation, at 10 - 12 seconds canned report performance against the SSAS cube was tolerable. Yet the 1 second performance afterward is clearly better. As significant as that is, imagine the user experience re: ad hoc interrogation. The difference between several minutes vs. one or two seconds is a game changer, literally changing the way users interact with their data—no mental context switching, no wondering when the results will appear, no preoccupation with the spinning mind-numbing hurry-up-&-wait indicators.  As we’ve commonly found elsewhere, columnstore indexes here provided performance improvements of one, two, or more orders of magnitude. Simplified Infrastructure: Because in this case a nonclustered columnstore index on a conventional DW table was faster than an Analysis Services cube, the entire SSAS infrastructure was rendered superfluous & was retired. PASS Rocks: Once again, the value of attending PASS is proven out. The trip to Charlotte combined with eager & enquiring minds let directly to this success story. Find out more about the next PASS Summit here, hosted this year in Seattle on November 4 - 7, 2014. DevCon BI Team Lead Nathan Allan provided this unsolicited feedback: “What we found was pretty awesome. It has been a game changer for us in terms of the flexibility we can offer people that would like to get to the data in different ways.” Summary For DW, reports, & other BI workloads, columnstore often provides significant performance enhancements relative to conventional indexing.  I have documented here, the second in a series of reports on columnstore implementations, results from DevCon Security, a live customer production app for which performance increased by factors of from 10x to 100x for all report queries, including canned queries as well as reducing time for results for ad hoc queries from 5 - 7 minutes to 1 - 2 seconds. As a result of columnstore performance, the customer retired their SSAS infrastructure. I invite you to consider leveraging columnstore in your own environment. Let me know if you have any questions.

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  • Enabling Kerberos Authentication for Reporting Services

    - by robcarrol
    Recently, I’ve helped several customers with Kerberos authentication problems with Reporting Services and Analysis Services, so I’ve decided to write this blog post and pull together some useful resources in one place (there are 2 whitepapers in particular that I found invaluable configuring Kerberos authentication, and these can be found in the references section at the bottom of this post). In most of these cases, the problem has manifested itself with the Login failed for User ‘NT Authority\Anonymous’ (“double-hop”) error. By default, Reporting Services uses Windows Integrated Authentication, which includes the Kerberos and NTLM protocols for network authentication. Additionally, Windows Integrated Authentication includes the negotiate security header, which prompts the client to select Kerberos or NTLM for authentication. The client can access reports which have the appropriate permissions by using Kerberos for authentication. Servers that use Kerberos authentication can impersonate those clients and use their security context to access network resources. You can configure Reporting Services to use both Kerberos and NTLM authentication; however this may lead to a failure to authenticate. With negotiate, if Kerberos cannot be used, the authentication method will default to NTLM. When negotiate is enabled, the Kerberos protocol is always used except when: Clients/servers that are involved in the authentication process cannot use Kerberos. The client does not provide the information necessary to use Kerberos. An in-depth discussion of Kerberos authentication is beyond the scope of this post, however when users execute reports that are configured to use Windows Integrated Authentication, their logon credentials are passed from the report server to the server hosting the data source. Delegation needs to be set on the report server and Service Principle Names (SPNs) set for the relevant services. When a user processes a report, the request must go through a Web server on its way to a database server for processing. Kerberos authentication enables the Web server to request a service ticket from the domain controller; impersonate the client when passing the request to the database server; and then restrict the request based on the user’s permissions. Each time a server is required to pass the request to another server, the same process must be used. Kerberos authentication is supported in both native and SharePoint integrated mode, but I’ll focus on native mode for the purpose of this post (I’ll explain configuring SharePoint integrated mode and Kerberos authentication in a future post). Configuring Kerberos avoids the authentication failures due to double-hop issues. These double-hop errors occur when a users windows domain credentials can’t be passed to another server to complete the user’s request. In the case of my customers, users were executing Reporting Services reports that were configured to query Analysis Services cubes on a separate machine using Windows Integrated security. The double-hop issue occurs as NTLM credentials are valid for only one network hop, subsequent hops result in anonymous authentication. The client attempts to connect to the report server by making a request from a browser (or some other application), and the connection process begins with authentication. With NTLM authentication, client credentials are presented to Computer 2. However Computer 2 can’t use the same credentials to access Computer 3 (so we get the Anonymous login error). To access Computer 3 it is necessary to configure the connection string with stored credentials, which is what a number of customers I have worked with have done to workaround the double-hop authentication error. However, to get the benefits of Windows Integrated security, a better solution is to enable Kerberos authentication. Again, the connection process begins with authentication. With Kerberos authentication, the client and the server must demonstrate to one another that they are genuine, at which point authentication is successful and a secure client/server session is established. In the illustration above, the tiers represent the following: Client tier (computer 1): The client computer from which an application makes a request. Middle tier (computer 2): The Web server or farm where the client’s request is directed. Both the SharePoint and Reporting Services server(s) comprise the middle tier (but we’re only concentrating on native deployments just now). Back end tier (computer 3): The Database/Analysis Services server/Cluster where the requested data is stored. In order to enable Kerberos authentication for Reporting Services it’s necessary to configure the relevant SPNs, configure trust for delegation for server accounts, configure Kerberos with full delegation and configure the authentication types for Reporting Services. Service Principle Names (SPNs) are unique identifiers for services and identify the account’s type of service. If an SPN is not configured for a service, a client account will be unable to authenticate to the servers using Kerberos. You need to be a domain administrator to add an SPN, which can be added using the SetSPN utility. For Reporting Services in native mode, the following SPNs need to be registered --SQL Server Service SETSPN -S mssqlsvc/servername:1433 Domain\SQL For named instances, or if the default instance is running under a different port, then the specific port number should be used. --Reporting Services Service SETSPN -S http/servername Domain\SSRS SETSPN -S http/servername.domain.com Domain\SSRS The SPN should be set for the NETBIOS name of the server and the FQDN. If you access the reports using a host header or DNS alias, then that should also be registered SETSPN -S http/www.reports.com Domain\SSRS --Analysis Services Service SETSPN -S msolapsvc.3/servername Domain\SSAS Next, you need to configure trust for delegation, which refers to enabling a computer to impersonate an authenticated user to services on another computer: Location Description Client 1. The requesting application must support the Kerberos authentication protocol. 2. The user account making the request must be configured on the domain controller. Confirm that the following option is not selected: Account is sensitive and cannot be delegated. Servers 1. The service accounts must be trusted for delegation on the domain controller. 2. The service accounts must have SPNs registered on the domain controller. If the service account is a domain user account, the domain administrator must register the SPNs. In Active Directory Users and Computers, verify that the domain user accounts used to access reports have been configured for delegation (the ‘Account is sensitive and cannot be delegated’ option should not be selected): We then need to configure the Reporting Services service account and computer to use Kerberos with full delegation:   We also need to do the same for the SQL Server or Analysis Services service accounts and computers (depending on what type of data source you are connecting to in your reports). Finally, and this is the part that sometimes gets over-looked, we need to configure the authentication type correctly for reporting services to use Kerberos authentication. This is configured in the Authentication section of the RSReportServer.config file on the report server. <Authentication> <AuthenticationTypes>           <RSWindowsNegotiate/> </AuthenticationTypes> <EnableAuthPersistence>true</EnableAuthPersistence> </Authentication> This will enable Kerberos authentication for Internet Explorer. For other browsers, see the link below. The report server instance must be restarted for these changes to take effect. Once these changes have been made, all that’s left to do is test to make sure Kerberos authentication is working properly by running a report from report manager that is configured to use Windows Integrated authentication (either connecting to Analysis Services or SQL Server back-end). Resources: Manage Kerberos Authentication Issues in a Reporting Services Environment http://download.microsoft.com/download/B/E/1/BE1AABB3-6ED8-4C3C-AF91-448AB733B1AF/SSRSKerberos.docx Configuring Kerberos Authentication for Microsoft SharePoint 2010 Products http://www.microsoft.com/download/en/details.aspx?displaylang=en&id=23176 How to: Configure Windows Authentication in Reporting Services http://msdn.microsoft.com/en-us/library/cc281253.aspx RSReportServer Configuration File http://msdn.microsoft.com/en-us/library/ms157273.aspx#Authentication Planning for Browser Support http://msdn.microsoft.com/en-us/library/ms156511.aspx

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  • How to reload sarg configuration file

    - by black sensei
    I have installed sarg for a while on ubuntu 12.04 and forgotten that I wanted it to generate reports inside /var/www/vhosts/reports.lan/htdocs. I have found out this morning and made the change in the /etc/sarg/sarg.conf. After I have manually run sarg with # sarg-reports today but it generated in the old folder /var/lib/sarg . I know I could do a symbolic link but I was surprised that I could not find a single command to reload or at least restart sarg. Can anyone give me the command to restart or reload it? Thanks

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  • SQL SERVER Generate Report for Index Physical Statistics SSMS

    Few days ago, I wrote about SQL SERVER Out of the Box Activity and Performance Reports from SSSMS (Link). A user asked me a question regarding if we can use similar reports to get the detail about Indexes. Yes, it is possible to do the same. There are similar type of reports are [...]...Did you know that DotNetSlackers also publishes .net articles written by top known .net Authors? We already have over 80 articles in several categories including Silverlight. Take a look: here.

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  • Creating your First Crystal Report for Use in a .NET Application

    Have you ever had to create a custom report within an application you have written for a customer? Most developers have, and there are two schools of thought on how developers normally perform this task. Some choose to create the report using the same technology that the application was created in (ASP, WinFrom, WPF) while others choose to use a reporting package such as Crystal Reports. Using a reporting package will help create reports rapidly. This article walk you through the creation of your first report using Crystal Reports.Did you know that DotNetSlackers also publishes .net articles written by top known .net Authors? We already have over 80 articles in several categories including Silverlight. Take a look: here.

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  • Creating your First Crystal Report for Use in a .NET Application

    Have you ever had to create a custom report within an application you have written for a customer? Most developers have, and there are two schools of thought on how developers normally perform this task. Some choose to create the report using the same technology that the application was created in (ASP, WinFrom, WPF) while others choose to use a reporting package such as Crystal Reports. Using a reporting package will help create reports rapidly. This article walk you through the creation of your first report using Crystal Reports.

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  • sell applications that run only on a GPL v2 Server

    - by gadri mabrouk
    I have been testing Pentaho BI server community edition, and after reading their licensing terms I found out that the community edition is under GPLv2. As you may know the server is intended to host different types of files and applications (like reports, olap cubes,etc...) My question is : are we allowed to sell applications that run on the GPLv2 server ? (we will maybe modify the server source code a bit but we won't charge it to our clients. thus the modified GPL server will be just an execution environment or a container for the reports and applications that we intend to sell) ? this suggests that our clients must install the GPL v2 edition first and then buy from us the reports that work on it but not their source code. Thanks in advance.

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