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  • EBS 11i- Új ÁFA törvényt követo lokalizációs csomag

    - by user552636
    Mai világunkban már hozzászokhattunk, hogy minden változik. Már meg sem lep bennünket, hogy az ÁFA törvény 2013-tól szintén módosul. Jó hír E-Business Suite 11i -t használó Ügyfeleink számára, hogy elkészült az adótörvények változásához kapcsolódóan (Art. 31/B §) az Oracle E-Business Suite 11i (11.5.10) verziójához az új lokalizációs ÁFA csomag, amely a 2013-tól az "Összesíto jelentés"-hez szükséges adatok eloállítását támogatja. Az új ÁFA csomag az alábbi három új kimutatás csoportot tartalmazza, amelyek a jelenlegi ÁFA megoldáshoz hasonlóan lehetové teszik a riport eredmények elozetes megtekintését, az eredmények véglegesítését, illetve szükség esetén másolati nyomtatás készítését: - "OHU: ÁFA analitika és összesíto jelentés 2013 (Elozetes)" - "OHU: ÁFA analitika és összesíto jelentés 2013 (Végleges)" - "OHU: ÁFA analitika és összesíto jelentés 2013 (Másolat)" A kimutatás csoportokban az alábbi programok lesznek elérhetok:  - OHU: ÁFA analitika kimutatás  - OHU: Belföldi összesíto jelentés partnerenként Az "OHU: ÁFA analitika kimutatás" funkcionális szempontból nem módosul, csak az ahhoz szükséges technikai módosítások kerülnek átvezetésre, hogy a kimutatás által összegyujtött adatok az "OHU: Belföldi összesíto jelentés partnerenként" kimutatás számára elérhetok legyenek. Az újonnan megjeleno "OHU: Belföldi összesíto jelentés partnerenként" kimutatás a NAV 1365A-01-05-ös összesíto és a 1365M lapok partnerenkénti kitöltéséhez szükséges adatokat listázza, a tervek szerint Excel formátumban, az adatokat a bevallás által kért eFt-ra kerekítve. (A riport adatok Excel formátumban történo megjelenítéséhez elofeltétel az Oracle BI Publisher termék telepítése). A lokalizációs csomagban korábban elérheto:  - "OHU: Levonható ÁFA megosztási kimutatás" és a kapcsolódó  - "OHU: ÁFA Fizeto pozíció bejegyzése" programok nem kerülnek aktualizálásra, mivel használatuk korábbi adó törvény változások miatt már nem szükséges. A 2013-ra vonatkozó ÁFA bevallások készítése során már az új "OHU: ÁFA analitika és összesíto jelentés 2013" kimutatáscsoportok futtatását javasoljuk, a korábbi ÁFA kimutatás csoportokat pedig használaton kívül kell helyezni. A 2013-tól használandó új ÁFA csomag az Oracle Support szolgáltatásán keresztül érheto el. Ügyfeleink a My Oracle Support-on 1713-as termékkódra (EMEA Add-on Localizations) megnyitott hibajegyen (SR) bejelentésével jelezhetik igényüket a fentebb részletezett lokalizációs csomagra.

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  • NINTENDO, EDCON and ALLEGIS GROUP @ Oracle Open World 2012 Conference Session (CON9418): The Business Case for Oracle Exalogic: A Customer Perspective

    - by Sanjeev Sharma
     Are you looking to deliver breakthrough performance for packaged and custom  applications? For many front-office applications such as Oracle WebCenter Sites, Oracle Transportation Management, and Oracle’s ATG and Siebel product families,  improved  performance leads directly to greater revenue or cost savings from the business - a  compelling  proposition. For back-office applications, improved performance has tangible benefits  in terms of  footprint reductions. For all applications, Oracle Exalogic and Oracle Exadata provide an engineered solution that provides shorter time to value and lower operational costs.  Edcon is a leading clothing, footwear and textiles (CFT) retailing group in southern Africa trading through a range of retail formats. The Company has grown from opening it's first store in 1929, to ten retail brands trading in over 1000 stores in South Africa, Botswana, Namibia, Swaziland and Lesotho. Edcon's retail business has, through recent acquisitions, added top stationery and houseware brands as well as general merchandise to its CFT portfolio. Edcon was looking to consolidate their existing middleware components (Weblogic and Oracle SOA) and retail applications (Retek, Siebel and E-Business Suite) on a common platform and turned to Oracle Exalogic. With Oracle Exalogic, Edcon is able to derive significant HW CAPEX savings, improve response-time of core business applications and mitigate operating risk. Hear senior business leaders from Nintendo, Edcon and Allegis Group discuss how the business value of  leveraging Oracle Exalogic at the following conference session at Oracle Open World 2012: Session:  CON9418 - The Business Case for Oracle Exalogic: A Customer PerspectiveDate: Monday, 1 Oct, 2012Time: 1:45 pm - 2:45 pm (PST)Venue: Moscone South (306)

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  • Should I be looking for developers with specific skill sets or generalists that need to learn?

    - by Lostsoul
    Thanks to the great help of this site and SO, I've been able to make a prototype of a software I want to sell but unfortunately although the prototype works I think my code quality is very low. I didn't use much OOP or design patterns so although my code is understandable to me, I think a normal developer would faint if they had to read it. So I wanted to hire a developer to make it a bit more better quality and improve some of my implementations of API's that I may have not done correctly. I'm having problems hiring a developer though. I have met 2 developers and had them read my software specs.The problem is, they lacked my business's domain knowledge(which is completely understandable and no biggie) but they also lacked knowledge of the underlying tech systems I used such as Hadoop, Hbase, Cuda, etc..I spent alot of time explaining map/reduce, bigtables and other technologies I used. I thought it was common knowledge because of my interactions with people on this site but the people I met with mentioned they never had to deal with these things so they didn't know it. My question is, for software projects that are hiring contractor developers is it a danger if the developer does not have experience with the underlying technologies? or can a general developer who is accomplished in another area realistically pick up new technologies? I did a very very quick back of envelope calculation and I think the upfront costs would be similar if I hire a student or developer with no experience in my technologies who will work many hours versus hiring a highly experienced developer who charges double but finishes in half the time but what other risks should I be considering or worried about? Also, should if I do hire a generalist, should I be paying for the time it takes them to learn hadoop or cuda if they are contractors(seems to make business sense but not sure how fair it is to them if they do not use the skill again). I'm a bit confused so any suggestions would be great.

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  • Where to ask a question about startups?

    - by Wolfpack'08
    I've got some questions about how to better run my web application development business, which has only been running for a little more than two years. It's still in its early phases, as I consider the first five years the 'early years'. Being inexperienced with business in general, I always have a lot of questions as to whether I am making the right decisions (for example, I often worry about my hiring practices, and I often worry that I may have priced new products wrongly). Is there a good site on the Stack Exchange to ask questions about things like this (for example, this site, the Project Management site, the Salesforce site, or perhaps the Personal Finance site)? I'm combing through questions and answers on each of these sites, now, and I can see questions that mimic my own. Nothing precisely the same, but things that are similar on all sites. Apart from just reading through previously asked questions, what is a good way to get a sense of whether or not my question fits on a site in the exchange? If you recommend going out of the exchange, please also let me know.

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  • How can I pass FormsAuthentication.SetAuthCookie from Data Access Layer Class to WebService to Javas

    - by Reaction21
    I am using DotNetOpenAuth in my ASP.Net Website. I have modified it to work with Facebook Connect as well, using the same methods and database structures. Now I have come across a problem. I have added a Facebook Connect button to a login page. From that HTML button, I have to somehow pull information from the Facebook Connect connection and pass it into a method to authenticate the user. The way I am currently doing this is by: Calling a Javascript Function on the onlogin function of the FBML/HTML Facebook Connect button. The javascript function calls a Web service to login, which it does correctly. The web service calls my data access layer to login. And here is the problem: FormsAuthentication.SetAuthCookie is set at the data access layer. The Cookie is beyond the scope of the user's page and therefore is not set in the browser. This means that the user is authenticated, but the user's browser is never notified. So, I need to figure out if this is a bad way of doing what I need or if there is a better way to accomplish what I need. I am just not sure and have been trying to find answers for hours. Any help you have would be great.

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  • Data Access Layer, Best Practices

    - by labratmatt
    I'm looking for input on the best way to refactor the data access layer (DAL) in my PHP based web app. I follow an MVC pattern: PHP/HTML/CSS/etc. views on the front end, PHP controllers/services in the middle, and a PHP DAL sitting on top of a relational database in the model. Pretty standard stuff. Things are working fine, but my DAL is getting large (codesmell?) and becoming a bit unwieldy. My DAL contains almost all of the logic to interface with my database and is full of functions that look like this: function getUser($user_id) { $statement = "select id, name from users where user_id=:user_id"; PDO builds statement and fetchs results as an array return $array_of_results_generated_by_PDO_fetch_method; } Notes: The logic in my controller only interacts with the model using functions like the above in the DAL I am not using a framework (I'm of the opinion that PHP is a templating language and there's no need to inject complexity via a framework) I generally use PHP as a procedural language and tend to shy away from its OOP approach (I enjoy OOP development but prefer to keep that complexity out of PHP) What approaches have you taken when your DAL has reached this point? Do I have a fundamental design problem? Do I simply need to chop my DAL into a number of smaller files (logically divide it)? Thanks.

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  • oData/ADO.NET Data Services using LINQ-to-SQL with a decryption layer

    - by Program.X
    I have written an application using LINQ-to-SQL that submits a web form into a database. I absact the LINQ-to-SQL away using a Repository pattern. This repository has the basic methods: Get(), Save(), etc. As a development of the project, I needed to encrypt certain fields in the form. This was trivial, as I just added the encryption calls to the Get(), Save() methods in the Repository. Now, I want to put an oData layer over it, to allow RESTful extraction from MS Excel 2010 (when it comes out). I have this working, after a few stumbles on useless error messages, etc. However, obviously, those encrypted fields are still encrypted. My repository pattern would have decrypted these for me. As far as I know, I have to directly bind my oData service to the LINQ-to-SQL context for the schema, etc. to work - unless I enter a whole world of pain (any URLs appreciated). Is there a way I can insert my encryption/decryption layer into the request so decryption is done "on the fly"? I looked at the OnStartProcessingRequest() overload of DataService but this doesn't seem that useful.

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  • Different EF Property DataType than Storage Layer Possible?

    - by dj_kyron
    Hi, I am putting together a WCF Data Service for PatientEntities using Entity Framework. My solution needs to address these requirements: Property DateOfBirth of entity Patient is stored in SQL Server as string. It would be ideal if the entity class did not also use the "string" type but rather a DateTime type. (I would expect this to be possible since we're abstracting away from the storage layer). Where could a conversion mechanism be put in place that would convert to and from DateTime/string so that the entity and SQL Server are in sync?. I cannot change the storage layer's structure, so I have to work around it. WCF Data Services (Read-only, so no need for saving changes) need to be used since clients will be able to use LINQ expressions to consume the service. They can generate results based on any given query scenario they need and not be constrained by a single method such as GetPatient(int ID). I've tried to use DTOs, but run into problem of mapping the ObjectContext to a DTO, I don't think that is theoretically possible...or too complicated if it is. I've tried to use Self Tracking Entities but they require the metadata from the .edmx file if I'm correct, and this isn't allowing a different property data type. I also want to add customizations to my Entity getter methods so that a property "MRN" of type "string" needs to have .Replace("MR~", string.Empty) performed before it is returned. I can add this to the getter methods but the problem with that is Entity Framework will overwrite that next time it refreshes the entity classes. Is there a permanent place I can put these? Should I use POCO instead? How would that work with WCF Data Services? Where would the service grab the metadata?

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  • What is the best way to return result from business layer to presentation layer when using linq - I

    - by samsur
    I have a business layer that has DTOs that are used in the presentation layer. This application uses entity framework. Here is an example of a class called RoleDTO public class RoleDTO { public Guid RoleId { get; set; } public string RoleName { get; set; } public string RoleDescription { get; set; } public int? OrganizationId { get; set; } } In the BLL I want to have a method that returns a list of DTO.. I would like to know which is the better approach: returning IQueryable or list of DTOs. Although i feel that returning Iqueryable is not a good idea because the connection needs to be open. Here are the 2 different methods using the different approaches public class RoleBLL { private servicedeskEntities sde; public RoleBLL() { sde = new servicedeskEntities(); } public IQueryable<RoleDTO> GetAllRoles() { IQueryable<RoleDTO> role = from r in sde.Roles select new RoleDTO() { RoleId = r.RoleID, RoleName = r.RoleName, RoleDescription = r.RoleDescription, OrganizationId = r.OrganizationId }; return role; } Note: in the above method the datacontext is a private attribute and set in the constructor, so that the connection stays opened. Second approach public static List GetAllRoles() { List roleDTO = new List(); using (servicedeskEntities sde = new servicedeskEntities()) { var roles = from pri in sde.Roles select new { pri.RoleID, pri.RoleName, pri.RoleDescription }; //Add the role entites to the DTO list and return. This is necessary as anonymous types can be returned acrosss methods foreach (var item in roles) { RoleDTO roleItem = new RoleDTO(); roleItem.RoleId = item.RoleID; roleItem.RoleDescription = item.RoleDescription; roleItem.RoleName = item.RoleName; roleDTO.Add(roleItem); } return roleDTO; } Please let me know, if there is a better approach - Thanks,

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  • WSDL first for existing service layer

    - by Jurgen H
    I am working on an existing Java project with a typical services - dao setup for which only a webapplication was available. My job is to add webservices on top of the services layer, but the webservices have their own functional analysis and datamodel. The functional analyses ofcource focuses on what is possible in the different service methods. As good practice demands, we used the WSDL first strategy and generated JAXB bound Java classes and a SEI for the webservices. After having implemented the webservices partially, we noticed a 70% match between the datamodel. This resulted in writing converters which take the webservice JAXB classes and map them with the service layer classes. Customer customer = new Customer(); customer.setName(wsCustomer.getName()); customer.setFirstName(wsCustomer.getFirstName(); .. This is a very obvious example, some other mappings where little more complicated. Can anyone give his best practices, experiences, solutions to this kind of situations? Are any of these frameworks usefull? http://transmorph.sourceforge.net/wiki/index.php/Main_Page http://ezmorph.sourceforge.net/ Please don't start a discussion about WSDL first vs code first.

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  • Using complex where clause in NHibernate mapping layer

    - by JLevett
    I've used where clauses previously in the mapping layer to prevent certain records from ever getting into my application at the lowest level possible. (Mainly to prevent having to re-write lots of lines of code to filter out the unwanted records) These have been simple, one column queries, like so this.Where("Invisible = 0"); However a scenario has appeared which requires the use of an exists sql query. exists (select ep_.Id from [Warehouse].[dbo].EventPart ep_ where Id = ep_.EventId and ep_.DataType = 4 In the above case I would usually reference the parent table Event with a short name, i.e. event_.Id however as Nhibernate generates these short names dynamically it's impossible to know what it's going to be. So instead I tried using just Id, from above ep_ where Id = ep_.EventId When the code is run, because of the dynamic short names the EventPart table short name ep_ is has another short name prefixed to it, event0_.ep_ where event0_ refers to the parent table. This causes an SQL error because of the . in between event0_ and ep_ So in my EventMap I have the following this.Where("(exists (select ep_.Id from [isnapshot.Warehouse].[dbo].EventPart ep_ where Id = ep_.EventId and ep_.DataType = 4)"); but when it's generated it creates this select cast(count(*) as INT) as col_0_0_ from [isnapshot.Warehouse].[dbo].Event event0_ where (exists (select ep_.Id from [isnapshot.Warehouse].[dbo].EventPart event0_.ep_ where event0_.Id = ep_.EventId and ep_.DataType = 4) It has correctly added the event0_ to the Id Was the mapping layer where clause built to handle this and if so where am I going wrong?

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  • Custom Tile Layer Problem

    - by Myra
    Hi,I'm currently implementing logic on custom tile layers via OpenLayers function getTiles() { var res = this.map.getResolution(); var x = Math.round((bounds.left - this.maxExtent.left) / (res * this.tileSize.w)); var y = Math.round((this.maxExtent.top - bounds.top) / (res * this.tileSize.h)); var z = this.map.getZoom(); return ......; } What I need to is to carry this code in Google API v3. As I searched documentation I found this code to work with: var customtile = new google.maps.ImageMapType({ getTileUrl: function (coord, zoom) { .... .... } Unfortonately,I cannot convert logic in OpenLayers code to Google. As I know resolution is 180 * tileSize.w / Math.pow(2, zoom) //where tileSize is 256x256 Since Google projection is same with my tiles WGS84 boundary should be -180,-90,90,180 I need to calculate to extent coordinates,but in function getTileUrl,there are two arguments.One of which is zoom,but the other coord is some x,y pair which I dont understand what that is.What is that exactly ? How can I generalize formula for calculating tile numbers in Google Maps? Thank you Myra

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  • Routing static IP traffic on a Comcast Business Class IP Gateway (SMCD3G-CCR)

    - by Jakobud
    We are in the process of replacing our firewall, which is currently the only thing connected to our Comcast Business Class modem. Comcast gives us 5 static IP addresses. Currently, all traffic to all 5 static IPs goes directly to the existing firewall. Eventually, obviously all traffic will goto the new firewall, once the old firewall is removed from the network. But in the meantime, as we will have two firewalls plugged into the same Comcast modem, I need to route certain traffic to the new firewall instead of the old one. The firewall switchover is going to be slow and gradual as I am testing it, so I can't simply unplug the existing firewall and plug in the new one. So my question is, how do I tell the modem to route all traffic that goes to a specific IP to goto the new firewall instead of the old one? I've logged into the web interface for the modem, but the available options aren't very clear. There is a 1-to-1 NAT option (which I can't seem to get the interface for it to work properly) but I also see a "Static Routing" section. I always understood Static Routing to refer to routing data within the LAN though, so I'm not sure if that's what I'm looking for or not. Keep in mind, I'm not looking to do simple port forwarding. I'm wanting 100% of traffic to certain public static IPs to go to the specified connected firewall (I'll deal with service policies there). The modem is an SMC SMCD3G-CCR and is labeled as a Comcast Business Class Business IP Gateway. Any help or direction would be greatly appreciated.

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  • My Right-to-Left Foot (T-SQL Tuesday #13)

    - by smisner
    As a business intelligence consultant, I often encounter the situation described in this month's T-SQL Tuesday, hosted by Steve Jones ( Blog | Twitter) – “What the Business Says Is Not What the  Business Wants.” Steve posed the question, “What issues have you had in interacting with the business to get your job done?” My profession requires me to have one foot firmly planted in the technology world and the other foot planted in the business world. I learned long ago that the business never says exactly what the business wants because the business doesn't have the words to describe what the business wants accurately enough for IT. Not only do technological-savvy barriers exist, but there are also linguistic barriers between the two worlds. So how do I cope? The adage "a picture is worth a thousand words" is particularly helpful when I'm called in to help design a new business intelligence solution. Many of my students in BI classes have heard me explain ("rant") about left-to-right versus right-to-left design. To understand what I mean about these two design options, let's start with a picture: When we design a business intelligence solution that includes some sort of traditional data warehouse or data mart design, we typically place the data sources on the left, the new solution in the middle, and the users on the right. When I've been called in to help course-correct a failing BI project, I often find that IT has taken a left-to-right approach. They look at the data sources, decide how to model the BI solution as a _______ (fill in the blank with data warehouse, data mart, cube, etc.), and then build the new data structures and supporting infrastructure. (Sometimes, they actually do this without ever having talked to the business first.) Then, when they show what they've built to the business, the business says that is not what we want. Uh-oh. I prefer to take a right-to-left approach. Preferably at the beginning of a project. But even if the project starts left-to-right, I'll do my best to swing it around so that we’re back to a right-to-left approach. (When circumstances are beyond my control, I carry on, but it’s a painful project for everyone – not because of me, but because the approach just doesn’t get to what the business wants in the most effective way.) By using a right to left approach, I try to understand what it is the business is trying to accomplish. I do this by having them explain reports to me, and explaining the decision-making process that relates to these reports. Sometimes I have them explain to me their business processes, or better yet show me their business processes in action because I need pictures, too. I (unofficially) call this part of the project "getting inside the business's head." This is starting at the right side of the diagram above. My next step is to start moving leftward. I do this by preparing some type of prototype. Depending on the nature of the project, this might mean that I simply mock up some data in a relational database and build a prototype report in Reporting Services. If I'm lucky, I might be able to use real data in a relational database. I'll either use a subset of the data in the prototype report by creating a prototype database to hold the sample data, or select data directly from the source. It all depends on how much data there is, how complex the queries are, and how fast I need to get the prototype completed. If the solution will include Analysis Services, then I'll build a prototype cube. Analysis Services makes it incredibly easy to prototype. You can sit down with the business, show them the prototype, and have a meaningful conversation about what the BI solution should look like. I know I've done a good job on the prototype when I get knocked out of my chair so that the business user can explore the solution further independently. (That's really happened to me!) We can talk about dimensions, hierarchies, levels, members, measures, and so on with something tangible to look at and without using those terms. It's not helpful to use sample data like Adventure Works or to use BI terms that they don't really understand. But when I show them their data using the BI technology and talk to them in their language, then they truly have a picture worth a thousand words. From that, we can fine tune the prototype to move it closer to what they want. They have a better idea of what they're getting, and I have a better idea of what to build. So right to left design is not truly moving from the right to the left. But it starts from the right and moves towards the middle, and once I know what the middle needs to look like, I can then build from the left to meet in the middle. And that’s how I get past what the business says to what the business wants.

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  • How do I know if I need a layer 3 switch?

    - by eekmeter
    We currently have a flat network with a bunch of unmanaged switches. I would like to use VLANs to segregate certain users like guests and I would like to use 802.1x. However, I'm not sure if what I need is a layer 3 or a level 2 switch. From what I understand a layer 3 switch does routing between VLANs. I don't think I need this at the moment but as I said I'm not sure since this is all new to me. What else would a layer 3 switch do for me? Our network is relatively small, less than a 100 users. What exactly does a layer 3 switch do that I can't get with a layer 2 switch? When would I need a layer 3?

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  • creative way for implementing Data object with it's corespanding buisness logic class in java

    - by ekeren
    I have a class that need to be serialized (for both persistentcy and client-server communication) for simplicity reasons lets call the classes Business a BusinessData and I prefix for their Interfaces. All the getter and setter are delegated from Business class to BusinessData class. I thought about implementing IBusinessData interface that will contain all the getter and setters and IBusiness interface that will extend it. I can either make Business extend BuisnessData so I will not need to implement all getter and setter delegates, or make some abstract class ForwardingBusinessData that will only delegate getter and setters. Any of the above option I loose my hierarchy freedom, does any of you have any creative solution for this problem... I also reviewed DAO pattern: http://java.sun.com/blueprints/patterns/DAO.html

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  • creative way for implementing Data object with its corresponding business logic class in java

    - by ekeren
    I have a class that need to be serialized (for both persistentcy and client-server communication) for simplicity's sake let's call the classes Business a BusinessData and I prefix for their Interfaces. All the getter and setter are delegated from Business class to BusinessData class. I thought about implementing IBusinessData interface that will contain all the getter and setters and IBusiness interface that will extend it. I can either make Business extend BuisnessData so I will not need to implement all getter and setter delegates, or make some abstract class ForwardingBusinessData that will only delegate getter and setters. Any of the above option I lose my hierarchy freedom, do any of you have any creative solutions for this problem... I also reviewed DAO pattern: http://java.sun.com/blueprints/patterns/DAO.html

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  • Logic behind SCCM 2012 required PXE deployments

    - by Omnomnomnom
    I'm in the process of setting up Windows 7 deployment through PXE boot, with Microsoft SCCM 2012. The imaging itself works very well, but I have a question about the logic behind PXE deployments. My setup is the following: My Windows 7 deployment task sequence is deployed to the unknown computers group. (not required, press F12 to start installing) OSDComputerName variable is also set on the unknown computers group, so unknown computers that are being imaged will prompt for a pc name. The computer then becomes known in SCCM and is added to the correct collection(s). But if I want to reïnstall windows on a known computer things are different: I can do a required deployment of the imaging task sequence to the collection of computers. Then windows installs through PXE, without any human interaction, keeping the original computer name. But because the initial deployment was not required, the "required PXE deployment" flag is not set. So as soon as I add a new computer to a collection with a required PXE deployment, it will start to reïnstall windows again. I can also deploy the imaging task sequence to the new unknown computers as required, so the flag gets set initially. But then it does not prompt for a computer name. (and it generates a name like MININT-xxx) Which is also sort of what I want. Because when i want to re-install a machine, I want it to install without interaction. How can I solve this?

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  • Biztalk vs API for databroker layer

    - by jdt199
    My company is about to undergo a large project in which our client wants a large customer portal with a cms, crm implementing. This will require interaction with data from multiple sources across our customers business, these sources include XML office backend systems, sql datbases, webservices etc. Our proposed solution would be to write an API in c# to provide a common interface with all these systems. This would be scalable for future and concurrent projects within the company. Our client expressed an interest in using Biztalk rather than a custom API for this integration, as they feel it is an enterprise solution that any of their suppliers could pick up and use, and it will be better supported. We feel that the configuration work using Biztalk would be rather heavy for all their custom business rules which are required and an interface for the new application to get data to and from Biztalk would still need to be written. Are we right to prefer a custom API solution above Biztalk? Would Biztalk be suitable as a databroker layer to provide an interface for the new Customer portal we are writing. We have not experience with using Biztalk before so any input would be appreciated.

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  • Error: 175002 (RA layer request failed)

    - by BlindingDawn
    I get the following error when connecting XCode to a repository on GoogleCode.com Error: 175002 (RA layer request failed) Description: Server sent unexpected return value (405 Method Not Allowed) in response to OPTIONS request for 'http://touchcode.googlecode.com/hg' Has anyone see this before and how do I resolve it?

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  • Which layer implement Transaction mechanism

    - by didxga
    I knew ORM tools, such as Hibernate, have their own transaction management mechanism. We can also harness transaction by using JDBC directly. And DBMS has its transaction facilities either. I wonder that in which layer(s) the transaction is actually implemented in a J2EE application? Regards!

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