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  • Ruby erb template- try to change layout- get error

    - by nigel curruthers
    Hi there! I'm working my way through adapting a template I have been given that is basically a list of products for sale. I want to change it from a top-down list into a table layout. I want to end up with something as follows- <div id= 'ladiesproducts'> <% ladies_products = hosting_products.find_all do |product| product.name.match("ladies") end %> <table><tbody> <% [ladies_products].each do | slice | %> <tr> <% slice.each do | product | %> <td> <h4><%= product.name.html %></h4> <p><%= product.description %></p> <% other parts go here %> </td> <% end %> </tr> <% end %> </tbody></table> </div> This works fine for the layout that I am trying to achieve. The problem I have is when I paste back the <% other parts go here % part of the code. I get an internal error message on the page. I am completely new to Ruby so am just bumbling my way through this really. I have a hunch that I'm neglecting something that is probably very simple. The <% other parts go here %> code is as follows: <input type='hidden' name='base_renewal_period-<%= i %>' value="<%= product.base_renewal_period %>" /> <input type='hidden' name='quoted_unit_price-<%= i %>' value="<%= billing.price(product.unit_price) %>" /> <p><input type='radio' name='add-product' value='<%= product.specific_type.html %>:<%= i %>:base_renewal_period,quoted_unit_price,domain' /><%= billing.currency_symbol.html %><%= billing.price(product.unit_price, :use_tax_prefs) %> <% if product.base_renewal_period != 'never' %> every <%= product.unit_period.to_s_short.html %> <% end %> <% if product.setup_fee != 0 %> plus a one off fee of <%= billing.currency_symbol.html %><%= sprintf("%.2f", if billing.include_tax? then billing.price(product.setup_fee) else product.setup_fee end) %> <% end %> <% if product.has_free_products? %> <br /> includes free domains <% product.free_products_list.each do | free_product | %> <%= free_product["free_name"] %> <% end %> <% end %> * </p> <% i = i + 1 %> <% end %> <p><input type='submit' value='Add to Basket'/></p> </form> <% unless basket.nil? or basket.empty? or no_upsell? %> <p><a href='basket?add-no-product=package'>No thank you, please continue with my order ...</a></p> <% end %> <% if not billing.tax_applies? %> <% elsif billing.include_tax? %> <p>* Includes <%= billing.tax_name %></p> <% else %> <p>* Excluding <%= billing.tax_name %></p> <% end %> If anyone can point out what I'm doing wrong or what I'm missing or failing to change I would GREATLY appreciate it! Many thanks in advance. Nigel

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  • Transaction issue in java with hibernate - latest entries not pulled from database

    - by Gearóid
    Hi, I'm having what seems to be a transactional issue in my application. I'm using Java 1.6 and Hibernate 3.2.5. My application runs a monthly process where it creates billing entries for a every user in the database based on their monthly activity. These billing entries are then used to create Monthly Bill object. The process is: Get users who have activity in the past month Create the relevant billing entries for each user Get the set of billing entries that we've just created Create a Monthly Bill based on these entries Everything works fine until Step 3 above. The Billing Entries are correctly created (I can see them in the database if I add a breakpoint after the Billing Entry creation method), but they are not pulled out of the database. As a result, an incorrect Monthly Bill is generated. If I run the code again (without clearing out the database), new Billing Entries are created and Step 3 pulls out the entries created in the first run (but not the second run). This, to me, is very confusing. My code looks like the following: for (User user : usersWithActivities) { createBillingEntriesForUser(user.getId()); userBillingEntries = getLastMonthsBillingEntriesForUser(user.getId()); createXMLBillForUser(user.getId(), userBillingEntries); } The methods called look like the following: @Transactional public void createBillingEntriesForUser(Long id) { UserManager userManager = ManagerFactory.getUserManager(); User user = userManager.getUser(id); List<AccountEvent> events = getLastMonthsAccountEventsForUser(id); BillingEntry entry = new BillingEntry(); if (null != events) { for (AccountEvent event : events) { if (event.getEventType().equals(EventType.ENABLE)) { Calendar cal = Calendar.getInstance(); Date eventDate = event.getTimestamp(); cal.setTime(eventDate); double startDate = cal.get(Calendar.DATE); double numOfDaysInMonth = cal.getActualMaximum(Calendar.DAY_OF_MONTH); double numberOfDaysInUse = numOfDaysInMonth - startDate; double fractionToCharge = numberOfDaysInUse/numOfDaysInMonth; BigDecimal amount = BigDecimal.valueOf(fractionToCharge * Prices.MONTHLY_COST); amount.scale(); entry.setAmount(amount); entry.setUser(user); entry.setTimestamp(eventDate); userManager.saveOrUpdate(entry); } } } } @Transactional public Collection<BillingEntry> getLastMonthsBillingEntriesForUser(Long id) { if (log.isDebugEnabled()) log.debug("Getting all the billing entries for last month for user with ID " + id); //String queryString = "select billingEntry from BillingEntry as billingEntry where billingEntry>=:firstOfLastMonth and billingEntry.timestamp<:firstOfCurrentMonth and billingEntry.user=:user"; String queryString = "select be from BillingEntry as be join be.user as user where user.id=:id and be.timestamp>=:firstOfLastMonth and be.timestamp<:firstOfCurrentMonth"; //This parameter will be the start of the last month ie. start of billing cycle SearchParameter firstOfLastMonth = new SearchParameter(); firstOfLastMonth.setTemporalType(TemporalType.DATE); //this parameter holds the start of the CURRENT month - ie. end of billing cycle SearchParameter firstOfCurrentMonth = new SearchParameter(); firstOfCurrentMonth.setTemporalType(TemporalType.DATE); Query query = super.entityManager.createQuery(queryString); query.setParameter("firstOfCurrentMonth", getFirstOfCurrentMonth()); query.setParameter("firstOfLastMonth", getFirstOfLastMonth()); query.setParameter("id", id); List<BillingEntry> entries = query.getResultList(); return entries; } public MonthlyBill createXMLBillForUser(Long id, Collection<BillingEntry> billingEntries) { BillingHistoryManager manager = ManagerFactory.getBillingHistoryManager(); UserManager userManager = ManagerFactory.getUserManager(); MonthlyBill mb = new MonthlyBill(); User user = userManager.getUser(id); mb.setUser(user); mb.setTimestamp(new Date()); Set<BillingEntry> entries = new HashSet<BillingEntry>(); entries.addAll(billingEntries); String xml = createXmlForMonthlyBill(user, entries); mb.setXmlBill(xml); mb.setBillingEntries(entries); MonthlyBill bill = (MonthlyBill) manager.saveOrUpdate(mb); return bill; } Help with this issue would be greatly appreciated as its been wracking my brain for weeks now! Thanks in advance, Gearoid.

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  • Paypal recuring IPN signals

    - by user1548981
    When creating Paypal recurring payments i don't receive any notifications from IPN that the recurring payments were actually made. I do receive the notifications that recurring profiles are created, that regular payments are made, that profile is canceled and so on. But no notifications when Paypal make the recurring payment. The file that process the ipn notification works fine and i think is bug free.It also send me an email every time he got something from Paypal(with row POST data) so i don't think the problem is here. Does Paypal send these notifications.If i set a daily recurring payment i should get a daily notification that payment was made? From what i read in documentation i should get these signals but.. Thanks

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  • keeping URL domain the same when pointing A record to a hosting account

    - by kwight
    Hello, I have a new WordPress website and a legacy billing system. For technical reasons, they cannot be on the same hosting plan. The hosting account for billing (and the original abc.com website) also manages DNS and mail. I'm trying to incorporate the new website under the same domain, eg. abc.com (website, on a different hosting account) and billing.abc.com (billing). I assume the answer is having a different A record for abc.com. I currently have a CPanel shared hosting account to use for the website (but can upgrade if necessary). How would I set this up in CPanel, so that the URLs work properly? Do I need a dedicated IP and then add the domain as an add-on domain? Thanks

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  • Can the .htaccess file slow down a website to a crawl? If so, are there better ways to solve these problems with different rewrite rules and such?

    - by Parimal
    here is my htaccess file...... RewriteCond %{REQUEST_URI} ^/patients/billing/FAQ_billing\.html$ [OR] RewriteCond %{REQUEST_URI} ^/patients/billing/getintouch\.html$ RewriteRule ^patients/billing/(.*)\.html$ $1.php [L,NC] RewriteCond %{REQUEST_URI} ^/patients/findadoctor/a\.html$ [OR] RewriteCond %{REQUEST_URI} ^/patients/findadoctor/b\.html$ [OR] RewriteCond %{REQUEST_URI} ^/patients/findadoctor/c\.html$ [OR] RewriteCond %{REQUEST_URI} ^/patients/findadoctor/d\.html$ [OR] RewriteCond %{REQUEST_URI} ^/patients/findadoctor/e\.html$ [OR] RewriteCond %{REQUEST_URI} ^/patients/findadoctor/f\.html$ [OR] RewriteCond %{REQUEST_URI} ^/patients/findadoctor/g\.html$ [OR] RewriteCond %{REQUEST_URI} ^/patients/findadoctor/h\.html$ [OR] RewriteCond %{REQUEST_URI} ^/patients/findadoctor/i\.html$ [OR] RewriteCond %{REQUEST_URI} ^/patients/findadoctor/j\.html$ [OR] RewriteCond %{REQUEST_URI} ^/patients/findadoctor/k\.html$ [OR] RewriteCond %{REQUEST_URI} ^/patients/findadoctor/l\.html$ [OR] RewriteCond %{REQUEST_URI} ^/patients/findadoctor/m\.html$ [OR] RewriteCond %{REQUEST_URI} ^/patients/findadoctor/n\.html$ [OR] RewriteCond %{REQUEST_URI} ^/patients/findadoctor/o\.html$ [OR] RewriteCond %{REQUEST_URI} ^/patients/findadoctor/p\.html$ [OR] RewriteCond %{REQUEST_URI} ^/patients/findadoctor/q\.html$ [OR] RewriteCond %{REQUEST_URI} ^/patients/findadoctor/r\.html$ [OR] RewriteCond %{REQUEST_URI} ^/patients/findadoctor/s\.html$ [OR] RewriteCond %{REQUEST_URI} ^/patients/findadoctor/t\.html$ [OR] RewriteCond %{REQUEST_URI} ^/patients/findadoctor/u\.html$ [OR] RewriteCond %{REQUEST_URI} ^/patients/findadoctor/v\.html$ [OR] RewriteCond %{REQUEST_URI} ^/patients/findadoctor/w\.html$ [OR] RewriteCond %{REQUEST_URI} ^/patients/findadoctor/x\.html$ [OR] RewriteCond %{REQUEST_URI} ^/patients/findadoctor/y\.html$ [OR] RewriteCond %{REQUEST_URI} ^/patients/findadoctor/z\.html$ RewriteRule ^patients/findadoctor/(.*)\.html$ findadoctor.php?id=$1 [L,NC] like that there is lots of rules around 250 line please help me...

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  • Single Full Name field in registration form user submits only first what to enter in my backend as last?

    - by Anagio
    On a registration form I have a single input called Full Name. The strings are parsed with http://code.google.com/p/php-name-parser/ so if a person enters their full name middle or any quantity of strings it's handled just fine and the app creates the user in a billing system with it's API. The form validates and checks for two strings in the field otherwise it won't post. I'd like to remove this validation but a last name is required by the API. You cannot post an empty last name to the API. Users are signing up for a trial so I don't want them having to deal with many form fields. The only place the last name shows up visible to the user is in their account settings page. If they end their trial and start a paid plan they'd have to enter their billing details which asks with two fields for their First, Last, and other billing information. What is an alternative to submitting "Doe", "Default", "Empty" in place of them not filling in their last name?

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  • IE8 and Windows 7 support for OUAF V2.2

    - by Anthony Shorten
    The browser screens generated and served by an Oracle Utilities Application Framework V2.2 now supports both Microsoft Internet Explorer 8 and Microsoft Windows 7 as a client. To use this compatibility Oracle Utilities Application Framework V2.2 products must download patch 8714458 from My Oracle Support. Details of the changes are included in the patch. This patch applies to the following products: Oracle Utilities Customer Care and Billing V2.2 Oracle Utilities Customer Care and Billing V2.3 Oracle Enterprise Taxation Management V2.2.x Oracle Utilities Business Intelligence V2.2

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  • Best Language for the job? Database | C++, .NET, Java

    - by Randy E
    Ok, quick overview. I'm pretty brand new to software design. I have experience reading and editing/customizing PHP things for online scripts/software; Such as CMS, Wordpress, some forum solutions. I'm about to begin my degree in Software Design, the school I'm going to will allow us to kind of focus on an area, C++, Java, or .NET. I've played around a little with VB over the past week, mostly just trying to get a slight feel for it, however nothing extensive. I've been through Herbert Schildt's "C++, A Beginner's Guide." but I was mainly reading it, not doing anything with it beyond a couple basic Console Apps (and getting frustrated with auto-close :/ ). Now, where I decide to focus more in with my degree will depend on what the best language for the job is for my first piece of software I want to develop on my own. Assume I haven't looked at any of the languages at all, please help with the following: My first piece of software will be a database program. Everything has to do with users inputting and retrieving data, and calling that data to help with another function of the software, automatically calculating billing information based on information inputted in the other portion of the program. I won't go into too many details as I'm targeting a niche that doesn't have too much competition, but the competition that is there is established. I want to offer more features, scalable solutions, and the ability to port it to an online version. Ok, basically, it is a complete case management with integrated billing for Private Investigators. I would like the case management to be able to check the Database to see if certain information has been inputted before (such as Names/SSN's), and then the billing will pull hours inputted in the case portion for investigative work, multiplying by an already inputted amount for the fee, and then calculate sales tax. I also want to provide potential clients with an easily scalable solution, that is, a basic option for start ups that costs the least amount, with no additional users, ran on one machine. A middle option with the ability to create users and place them in two groups (User or Admin), as well as adding a few additional features, ran on one machine, but this will allow it to be accessed after being mapped on a network drive. And a third option to allow the placement into 4 different groups (Investigators, Billing, Managers, Admins) and more features. And then, a couple of years after launch, a 4th option that is browser based allowing the same 4 groups to login, as well as clients (view things concerning their case, with some admin customizable objects that can be added for clients view), over the internet. The only licensing security I would like to employ right off the bat will be serial key generated after ordering online (received in an email after the successful purchase). The program will access a database stored on a server periodically to verify license. I would like it to be able to check to make sure it's the most updated version and automatically update if not.

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  • Subscription based eCommerce Site selling Physical Goods

    - by Kash
    I want to implement a system where customers can buy physical products as subscription with recurring billing. Customers will come to my site, visit product page and buy stuff. They need to register an account before purchasing. After registration they will be forwarded to payment processor for payment and after successful payment they will be returned back to my site. Requirement: I dont want to use Paypal as a payment processor. It will be recurring payment on monthly, quarterly, bi-annual or annual basis. Customers can login to my site in order to view their Order History, Profile Management and can edit their Billing and/or Shipping details. Customers can cancel their Subscription any time after login to their account on my site. Plan: Currently I am using wordpress with WooCommerce plugin for eCommerce functionality. I am planning to use Amazon as a payment processor. I have searched WooCommerce Extension Drectory and found WC Subscription extension that can be used for my site. But I just confirmed from the Support WC Subscription only support recurring payment with Paypal and Stripe, no other payment processor is supported at the moment. Questions: According to my need, what will be the best solution? I am open to switch the platform from Wordpress to something else that can fulfill my requirement.

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  • GROUP BY and SUM distinct date across 2 tables

    - by kenitech
    I'm not sure if this is possible in one mysql query so I might just combine the results via php. I have 2 tables: 'users' and 'billing' I'm trying to group summed activity for every date that is available in these two tables. 'users' is not historical data but 'billing' contains a record for each transaction. In this example I am showing a user's status which I'd like to sum for created date and deposit amounts that I would also like to sum by created date. I realize there is a bit of a disconnect between the data but I'd like to some all of it together and display it as seen below. This will show me an overview of all of the users by when they were created and what the current statuses are next to total transactions. I've tried UNION as well as LEFT JOIN but I can't seem to get either to work. Union example is pretty close but doesn't combine the dates into one row. ( SELECT created, SUM(status) as totalActive, NULL as totalDeposit FROM users GROUP BY created ) UNION ( SELECT created, NULL as totalActive, SUM(transactionAmount) as totalDeposit FROM billing GROUP BY created ) I've also tried using a date lookup table and joining on the dates but the SUM values are being added multiple times. note: I don't care about the userIds at all but have it in here for the example. users table (where status of '1' denotes "active") (one record for each user) created | userId | status 2010-03-01 | 10 | 0 2010-03-01 | 11 | 1 2010-03-01 | 12 | 1 2010-03-10 | 13 | 0 2010-03-12 | 14 | 1 2010-03-12 | 15 | 1 2010-03-13 | 16 | 0 2010-03-15 | 17 | 1 billing table (record created for every instance of a billing "transaction" created | userId | transactionAmount 2010-03-01 | 10 | 50 2010-03-01 | 18 | 50 2010-03-01 | 19 | 100 2010-03-10 | 89 | 55 2010-03-15 | 16 | 50 2010-03-15 | 12 | 90 2010-03-22 | 99 | 150 desired result: created | sumStatusActive | sumStatusInactive | sumTransactions 2010-03-01 | 2 | 1 | 200 2010-03-10 | 0 | 1 | 55 2010-03-12 | 2 | 0 | 0 2010-03-13 | 0 | 0 | 0 2010-03-15 | 1 | 0 | 140 2010-03-22 | 0 | 0 | 150 Table dump: CREATE TABLE IF NOT EXISTS `users` ( `created` date NOT NULL, `userId` int(11) NOT NULL, `status` smallint(6) NOT NULL ) ENGINE=MyISAM DEFAULT CHARSET=latin1; INSERT INTO `users` (`created`, `userId`, `status`) VALUES ('2010-03-01', 10, 0), ('2010-03-01', 11, 1), ('2010-03-01', 12, 1), ('2010-03-10', 13, 0), ('2010-03-12', 14, 1), ('2010-03-12', 15, 1), ('2010-03-13', 16, 0), ('2010-03-15', 17, 1); CREATE TABLE IF NOT EXISTS `billing` ( `created` date NOT NULL, `userId` int(11) NOT NULL, `transactionAmount` int(11) NOT NULL ) ENGINE=MyISAM DEFAULT CHARSET=latin1; INSERT INTO `billing` (`created`, `userId`, `transactionAmount`) VALUES ('2010-03-01', 10, 50), ('2010-03-01', 18, 50), ('2010-03-01', 19, 100), ('2010-03-10', 89, 55), ('2010-03-15', 16, 50), ('2010-03-15', 12, 90), ('2010-03-22', 99, 150);

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  • Praise for Europe's Smart Metering & Conservation Efforts

    - by caroline.yu
    Recently, a writer at the Home Energy Team praised the UK for its efforts towards smart metering and energy conservation, with an article entitled UK Blazing A Trail With Smart Metering At Home? The article highlighted that the Department of Energy and Climate Change has announced that smart metering will be introduced in the next decade and that all UK households will have smart meters by the year 2020. In fact, the UK is not the only country striving to achieve carbon reduction targets, as many of its European counterparts have begun to take positive steps towards tackling the issue of energy conservation by implementing innovative new metering and billing technologies as well as promoting alternative energy solutions, such as wind and solar power. Since 1997, the states of the European Union, including France, Germany and Spain, have been working towards achieving a target of 12 percent renewable energy electricity by 2010. Germany in particular has made a significant achievement so far, having surpassed the target early in 2007. This success is largely due to the German Renewable Energy Act (EEG), which promoted the use of renewable energy. Recently, analysis from the European Wind Energy Association (EWEA) found that 21 of the EU Member States are meeting or exceeding their national target to achieve 20 percent renewable energy by 2020. However, six states - Belgium, Italy, Luxembourg, Malta, Bulgaria and Denmark - say they will not manage to reach their target through domestic action alone. Bulgaria and Denmark believe that with fresh national initiatives they could meet or exceed their targets, but others, including Italy, may need to import renewable energy from neighboring non-EU countries. Top achievers, according to the EWEA report, are Spain, which believes its renewable energy will reach 22.7 percent by 2020, as well as Germany, Estonia, Greece, Ireland, Poland, Slovakia and Sweden, who will all exceed their targets. "Importantly, the way that this renewable energy is controlled and distributed must be addressed in order to ensure its success," said Bastian Fischer, vice president and general manager EMEA, Oracle Utilities. "A smart gird infrastructure can enable utilities to deal with load distribution in times of increased need and ensure power is always available from these means. A smart grid also underpins the success of metering and billing technologies, such as smart metering, and allows utilities to deal with increased usage data and provide accurate billing." Outside of Europe, Australia has made significant steps towards improving water conservation. The Australian Department of Sustainability and Environment took some of the recent advancements made in the energy sector, including new metering and billing solutions, and applied them to the water industry, enhancing customer service and reducing consumption as a result. The adoption of smart metering in Europe is mainly driven by regulation, but significant technological improvements are being made the world over to change the way we use all kinds of energy. However, the developing markets are lagging behind. One of the primary reasons for this is the lack of infrastructure in place to use as a foundation for setting up energy-saving solutions, which is slowing the adoption of technologies such as smart meters. However, these countries do benefit from fewer outdated infrastructure and legacy systems, which is often cited by others as a difficult barrier to deploying new solutions. As a result, some countries should find new technologies easier to implement and adapt to in the immediate future, without this roadblock.

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  • How to parse a CSV file containing serialized PHP? [migrated]

    - by garbetjie
    I've just started dabbling in Perl, to try and gain some exposure to different programming languages - so forgive me if some of the following code is horrendous. I needed a quick and dirty CSV parser that could receive a CSV file, and split it into file batches containing "X" number of CSV lines (taking into account that entries could contain embedded newlines). I came up with a working solution, and it was going along just fine. However, as one of the CSV files that I'm trying to split, I came across one that contains serialized PHP code. This seems to break the CSV parsing. As soon as I remove the serialization - the CSV file is parsed correctly. Are there any tricks I need to know when it comes to parsing serialized data in CSV files? Here is a shortened sample of the code: use strict; use warnings; my $csv = Text::CSV_XS->new({ eol => $/, always_quote => 1, binary => 1 }); my $out; my $in; open $in, "<:encoding(utf8)", "infile.csv" or die("cannot open input file $inputfile"); open $out, ">outfile.000"; binmode($out, ":utf8"); while (my $line = $csv->getline($in)) { $lines++; $csv->print($out, $line); } I'm never able to get into the while loop shown above. As soon as I remove the serialized data, I suddenly am able to get into the loop. Edit: An example of a line that is causing me trouble (taken straight from Vim - hence the ^M): "26","other","1","20,000 Subscriber Plan","Some text here.^M\ Some more text","on","","18","","0","","0","0","recurring","0","","payment","totalsend","0","tsadmin","R34bL9oq","37","0","0","","","","","","","","","","","","","","","","","","","","","","","0","0","0","a:18:{i:0;s:1:\"3\";i:1;s:1:\"2\";i:2;s:2:\"59\";i:3;s:2:\"60\";i:4;s:2:\"61\";i:5;s:2:\"62\";i:6;s:2:\"63\";i:7;s:2:\"64\";i:8;s:2:\"65\";i:9;s:2:\"66\";i:10;s:2:\"67\";i:11;s:2:\"68\";i:12;s:2:\"69\";i:13;s:2:\"70\";i:14;s:2:\"71\";i:15;s:2:\"72\";i:16;s:2:\"73\";i:17;s:2:\"74\";}","","","0","0","","0","0","0.0000","0.0000","0","","","0.00","","6","1" "27","other","1","35,000 Subscriber Plan","Some test here.^M\ Some more text","on","","18","","0","","0","0","recurring","0","","payment","totalsend","0","tsadmin","R34bL9oq","38","0","0","","","","","","","","","","","","","","","","","","","","","","","0","0","0","a:18:{i:0;s:1:\"3\";i:1;s:1:\"2\";i:2;s:2:\"59\";i:3;s:2:\"60\";i:4;s:2:\"61\";i:5;s:2:\"62\";i:6;s:2:\"63\";i:7;s:2:\"64\";i:8;s:2:\"65\";i:9;s:2:\"66\";i:10;s:2:\"67\";i:11;s:2:\"68\";i:12;s:2:\"69\";i:13;s:2:\"70\";i:14;s:2:\"71\";i:15;s:2:\"72\";i:16;s:2:\"73\";i:17;s:2:\"74\";}","","","0","0","","0","0","0.0000","0.0000","0","","","0.00","","7","1" "28","other","1","50,000 Subscriber Plan","Some text here.^M\ Some more text","on","","18","","0","","0","0","recurring","0","","payment","totalsend","0","tsadmin","R34bL9oq","39","0","0","","","","","","","","","","","","","","","","","","","","","","","0","0","0","a:18:{i:0;s:1:\"3\";i:1;s:1:\"2\";i:2;s:2:\"59\";i:3;s:2:\"60\";i:4;s:2:\"61\";i:5;s:2:\"62\";i:6;s:2:\"63\";i:7;s:2:\"64\";i:8;s:2:\"65\";i:9;s:2:\"66\";i:10;s:2:\"67\";i:11;s:2:\"68\";i:12;s:2:\"69\";i:13;s:2:\"70\";i:14;s:2:\"71\";i:15;s:2:\"72\";i:16;s:2:\"73\";i:17;s:2:\"74\";}","","","0","0","","0","0","0.0000","0.0000","0","","","0.00","","8","1""73","other","8","10,000,000","","","","0","","0","","0","0","recurring","0","","payment","","0","","","75","0","10000000","","","","","","","","","","","","","","","","","","","","","","","0","0","0","a:17:{i:0;s:1:\"3\";i:1;s:1:\"2\";i:2;s:2:\"59\";i:3;s:2:\"60\";i:4;s:2:\"61\";i:5;s:2:\"62\";i:6;s:2:\"63\";i:7;s:2:\"64\";i:8;s:2:\"65\";i:9;s:2:\"66\";i:10;s:2:\"67\";i:11;s:2:\"68\";i:12;s:2:\"69\";i:13;s:2:\"70\";i:14;s:2:\"71\";i:15;s:2:\"72\";i:16;s:2:\"74\";}","","","0","0","","0","0","0.0000","0.0000","0","","","0.00","","14","0"

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  • how convert DataTable to List<String> in C#

    - by Jitendra Jadav
    Hello Everyone .. I am using C# Linq now I am converting DataTable to List and I am getting stuck... give me right direction thanks.. private void treeview1_Expanded(object sender, RoutedEventArgs e) { coa = new List<string>(); //coa = (List<string>)Application.Current.Properties["CoAFull"]; HMDAC.Hmclientdb db = new HMDAC.Hmclientdb(HMBL.Helper.GetDBPath()); var data = (from a in db.CoA where a.ParentId == 0 && a.Asset == true select new { a.Asset, a.Category, a.CoAName, a.Hide, a.Recurring, a.TaxApplicable }); DataTable dtTable = new DataTable(); dtTable.Columns.Add("Asset", typeof(bool)); dtTable.Columns.Add("Category", typeof(string)); dtTable.Columns.Add("CoAName", typeof(string)); dtTable.Columns.Add("Hide", typeof(bool)); dtTable.Columns.Add("Recurring", typeof(bool)); dtTable.Columns.Add("TaxApplicable", typeof(bool)); if (data.Count() > 0) { foreach (var item in data) { DataRow dr = dtTable.NewRow(); dr["Asset"] = item.Asset; dr["Category"] = item.Category; dr["CoAName"] = item.CoAName; dr["Hide"] = item.Hide; dr["Recurring"] = item.Recurring; dr["TaxApplicable"] = item.TaxApplicable; dtTable.Rows.Add(dr); } } coa = dtTable; }

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  • Loading xap file on demand

    - by synergetic
    I have Silverlight application called MyApp. During startup MyApp loads MyApp.Main.xap module using the following code: WebClient wc = new WebClient(); wc.OpenReadCompleted += new OpenReadCompletedEventHandler(onMainModuleLoaded); Uri uri = new Uri("MyApp.Main.xap", UriKind.Relative); wc.OpenReadAsync(uri); It works. Within MyApp.Main I would like to load another xap file MyApp.Billing.xap, so I wrote like the same as above WebClient wc = new WebClient(); wc.OpenReadCompleted += new OpenReadCompletedEventHandler(onBillingModuleLoaded); Uri uri = new Uri("MyApp.Billing.xap", UriKind.Relative); wc.OpenReadAsync(uri); but it throws an error saying the file not found. MyApp.Billing.xap file is inside ClientBin folder and I can download it directly via absolute path in a browser. If I try to download MyApp.Billing.xap not from inside MyApp.Main, but from inside MyApp (instead of MyAPp.Main.xap) it also works fine. What might be the problem?

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  • Are there any ASP.NET MVC subscription-based starter kits or examples?

    - by Wayne M
    Basically something that handles the low-level "plumbing" code for a subscription-based service. I see a lot of things dealing with basic membership, but nothing that handles the subscription aspect (recurring billing, automated jobs for setting up billing, notification for billing, etc). This might be the one thing that keeps me from using ASP.NET MVC for my SaaS idea, since it would take a fair amount of development time to write my own; if I go with my other option, Ruby on Rails, I can buy a kit that does all of this for $250. I haven't found anything even remotely close to this for .NET - all of the SaaS sample apps I've seen are more like StackOverflow et all where you have one site that multiple people log on to, not the web application model where you have subscribers who are billed monthly, each of whom has users and other entities (e.g. Customers, Tasks, etc) for their own site. Is there anything similar for ASP.NET, or some kind of guidelines for writing my own if I have to, so I don't waste too much time? As a startup that means that I'm doing all the coding myself. I've found this, but it seems to only be for billing and didn't seem to have much (any?) documentation on exactly how to set it up.

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  • Scheme: what are the benefits of letrec?

    - by Ixmatus
    While reading "The Seasoned Schemer" I've begun to learn about letrec. I understand what it does (can be duplicated with a Y-Combinator) but the book is using it in lieu of recurring on the already defined function operating on arguments that remain static. An example of an old function using the defined function recurring on itself (nothing special): (define (substitute new old lat) (cond ((null? l) '()) ((eq? (car l) old) (cons new (substitute new old (cdr l)))) (else (cons (car l) (substitute new old (cdr l)))))) Now for an example of that same function but using letrec: (define (substitute new old lat) (letrec ((replace (lambda (l) (cond ((null? l) '()) ((eq? (car l) old) (cons new (replace (cdr l)))) (else (cons (car l) (replace (cdr l)))))))) (replace lat))) Aside from being slightly longer and more difficult to read I don't know why they are rewriting functions in the book to use letrec. Is there a speed enhancement when recurring over a static variable this way because you don't keep passing it?? Is this standard practice for functions with arguments that remain static but one argument that is reduced (such as recurring down the elements of a list)? Some input from more experienced Schemers/LISPers would help!

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  • How do I delete old calendar items in Outlook 2003?

    - by Ramesh
    Hi. I'm trying to delete old calendar items (I have a few years' worth) in Outlook and was wondering if there was a way to delete only non-recurring items as I need the recurring events for the future. I tried View Arrange by Current view Category and figured that I could manually check and delete any calendar items by hand. Is there a more efficient way to do this without having to actually script code? Thanks for your time!

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  • A brief introduction to BRM and architecture

    - by Yani Miguel
    Oracle Communications Billing and Revenue Management (Oracle BRM) is the telcos industry´s leading solution intended for communications service providers. This post encourages to know BRM starting with the basics. History Portal was a billing and revenue managament solution to communications industry created by Portal Software. In 2006 Oracle acquired Portal Software and the solution was renamed BRM. Today Oracle BRM is the first end-to-end packaged enterprise software suite for the communications industry, however BRM is just one more product in the catalog of OSS solutions that Oracle offers. BRM can bill and manage all communications services including wireline, wireless, broadband, cable, voice over IP, IPTV, music, and video. BRM Architecture BRM´s architecture consists of 4 layers or tiers. Through these layers are the data, bussines logic and interfaces to connect graphical client tools.Application tier This layer provides GUI client tools enabling communication to other layers through open APIs. Some BRM client applications are: Customer Center Pricing Center Universal Event Loader Web Server BRM Billing Application Collections Center Permissioning Center Furthermore, this layer is where are provided real-time external events. Bussines Process Tier Although all layers are equally important, I think it deserves more atention because in this tier BRM functionality is implemented. All functions that give life to BRM are in this layer coded in C language called Opcodes (System Processes in the image). Any changes or additional functionality should be made here, so when we try to customize the product, we will most of the time programming in this layer (Business Policies in the image).Bussines Process Tier Features: Implements Portal system functionalityValidates data from the application tierModifies Portal behavior through business policies. Business policies can by customized.Triggers external systems using event notification. Object Tier This layer is responsible for transfer the BRM requests into database language and translate BRM requests into external system requests. Without it, the business logic (data from Bussines Process Tier) could not be understood by the relational database. Data tier Data tier is responsable for the storage of BRM database and other external systems databases. External systems include credit card, tax, and directory servers. Finally, It's important to note that BRM is designed to easily integrate with the following solutions:AIA 2.4 Siebel CRM E-Business Suite - G/L onlyCommunications Services Gatekeeper Oracle BI Publisher. Personally, I think that BRM could improve migrating client-server architecture to a fully web platform that works with Oracle Middleware like any product of the Fusion Middleware family. Hopefully there are already initiatives in this area.

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  • Q&amp;A: What is the UK pricing for the Windows Azure CDN?

    - by Eric Nelson
    The pricing for Windows Azure Content Delivery Network (CDN) was announced last week. The prices are: £0.091 per GB transferred from North America & Europe locations £0.1213 per GB transferred from other locations £0.0061 per 10,000 transactions CDN rates are effective for all billing periods that begin subsequent to June 30, 2010. All usage for billing periods beginning prior to July 1, 2010 will not be charged. To help you determine which pricing plan best suits your needs, please review the comparison table, which includes the CDN information. Steven Nagy has also done an interesting follow up post on CDN. Related Links: Q&A- How can I calculate the TCO and ROI when considering the Windows Azure Platform? Q&A- When do I get charged for compute hours on Windows Azure? Q&A- What are the UK prices for the Windows Azure Platform

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  • Should all foreign table references use foreign key constraints

    - by TecBrat
    Closely related to: Foreign key restrictions -> yes or no? I asked a question on SO and it led me to ask this here. If I'm faced with a choice of having a circular reference or just not enforcing the restraint, which is the better choice? In my particular case I have customers and addresses. I want an address to have a reference to a customer and I want each customer to have a default billing address id and a default shipping address id. I might query for all addresses that have a certain customer ID or I might query for the address with the ID that matches the default shipping or billing address ids. I'm not sure yet how the constraints (or lack of) will effect the system as my application and it's data age.

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  • joomla subscription ecommerce solution

    - by CQM
    I am using Joomla and want to implement a subscription based ecommerce solution. I started using VirtueMart and noticed its shortcomings regarding subscription based recurring items. Turns out Virtuemart can take its own plugins and I found something called SimSu which I don't want to pay for. I feel like I have taken a nuke to a knife fight, as I only need one or two subscription based products on this site. They will be recurring payments. Is anyone familiar with a solution for this issue?

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  • Oracle Service Contracts – Calculate Estimated Tax with Higher Accuracy

    - by LuciaC-Oracle
    On a Service Contract the tax rate and its effectivity can change over the contract duration.  Hence, service organizations need to provide an accurate picture of the estimated tax that the customer might end up paying.  Prior to Release 12.1.3+, the Oracle Service Contracts application calculated the estimated tax based on the line/ sub line start date.  With Release 12.1.3+ (via Patch 16601269:R12.OKS.B) , new functionality provides users with an option to calculate tax at contract billing schedule level, thereby considering the changes in tax rate effectivity at that level.A new profile option 'OKS: Calculate Tax at Schedule' has been introduced which can be used to control whether the existing or new functionality is used.  If the profile is set to 'Yes' the application calculates tax at the billing schedule level for all lines/ sub lines.  For more details on the implementation steps and functionality, please refer to Doc ID 1676700.1: Oracle Service Contracts – How To Calculate Estimated Tax with Higher Accuracy.

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  • How to print long bill in WPF

    - by RAJ K
    I have a WPF application for product purchase billing. My client wants that app should be able to bill and print upto 1-99 products at once. they use bill printer (mini size printer) for billing. How I can achieve this in WPF C#. Any code or link would be helpful. Thank you...

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