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  • SqlDateTime overflow on INSERT when date is correct using a Linq to SQL DataContext

    - by Jan Hoefnagels
    Dear Linq experts, I get an SqlDateTime overflow error (Must be between 1/1/1753 12:00:00 AM and 12/31/9999 11:59:59 PM.) when doing an INSERT using an Linq DataContext connected to SQL Server database when I do the SubmitChanges(). When I use the debugger the date value is correct. Even if I temporary update the code to set the date value to DateTime.Now it will not do the insert. Did anybody found a work-around for this behaviour? Maybe there is a way to check what SQL the datacontext submits to the database.

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  • Organising asp.net website development process

    - by ZX12R
    Is there a standard practice to organize the process of developing a simple website. there is no use implementing MVC as there is no data base involved. It will be very useful in organizing the project and separating the aspx files and master page content(this can be very useful in implementing simple cms techniques) user controls scripts styles images is there any industry standard or best practice for this.? thanks in advance :) Update: yes the way i have listed is convenient. but it would be great if i could separate server codes and files like master,aspx.. and the actual page content. One more reason for not using MVC: I usually outsource the SEO process. Now an MVC application can be greek/latin for my SEO expert. :)

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  • SQL WHERE clause not returning rows when field has NULL value

    - by JohnB
    Ok, so I'm aware of this issue: When SET ANSI_NULLS is ON, all comparisons against a null value evaluate to UNKNOWN SQL And NULL Values in where clause SQL Server return Rows that are not equal < to a value and NULL However, I am trying to query a DataTable. I could add to my query: OR col_1 IS NULL OR col_2 IS NULL for every column, but my table has 47 columns, and I'm building dynamic SQL (string concatenation), and it just seems like a pain to do that. Is there another solution? I was to bring back all the rows that have NULL values in the WHERE comparison. UPDATE Example of query that gave me problems: string query = col_1 not in ('Dorothy', 'Blanche') and col_2 not in ('Zborna', 'Devereaux') grid.DataContext = dataTable.Select(query).CopyToDataTable(); (didn't retrieve rows if/when col_1 = null and/or col_2 = null)

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  • Regex: replace inner string

    - by AllenG
    I'm working with X12 EDI Files (Specifialy 835s for those of you in Health Care), and I have a particular vendor who's using a non-HIPAA compliant version (3090, I think). The problem is that in a particular segment (PLB- again, for those who care) they're sending a code which is no longer supported by the HIPAA Standard. I need to locate the specific code, and update it with a corrected code. I think a Regex would be best for this, but I'm still very new to Regex, and I'm not sure where to begin. My current methodology is to turn the file into an array of strings, find the array that starts with "PLB", break that into an array of strings, find the code, and change it. As you can guess, that's very verbose code for something which should be (I'd think) fairly simple. Here's a sample of what I'm looking for: ~PLB|1902841224|20100228|49KC15X078001104|.08~ And here's what I want to change it to: ~PLB|1902841224|20100228|CSKC15X078001104|.08~ Any suggestions?

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  • Drupal Views Duplicate values being returned when using a relationship

    - by Linda
    I am having a problem with views. I have a view and am passing it a taxonomy term by name to it. I then have a relationship to a related node. For my output fields I am returning the related Title and related Body. I however have duplicates in my results. I have turned distinct to yes but believe this is working on the nodes being return and not the related node. Any ideas how I can remove the duplicates? Update Below is the query being run when I only get the title SELECT DISTINCT(node.nid) AS nid, node_node_data_field_wine_company.title AS node_node_data_field_wine_company_title, node_node_data_field_wine_company.nid AS node_node_data_field_wine_company_nid FROM node node LEFT JOIN content_type_wine node_data_field_wine_company ON node.vid = node_data_field_wine_company.vid INNER JOIN node node_node_data_field_wine_company ON node_data_field_wine_company.field_wine_company_nid = node_node_data_field_wine_company.nid LEFT JOIN term_node term_node ON node.vid = term_node.vid INNER JOIN term_data term_data ON term_node.tid = term_data.tid WHERE term_data.name = 'test' GROUP BY nid It looks like I should be grouping by node_node_data_field_wine_company_nid or selecting distinct values from there. Any ideas?

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  • User management for custom application built on google apps

    - by Ali
    Hi guys, I'm modifying our collaboration system so it can be listed on google applications. A small issue I'm facing is the registering of user details. By default whenever someone logs into their google Apps account they pretty much are logged into the application. For every action taken by a registered login in user I store the user ID of that signed in user whenever an update is made in the database. However the google apps user sign in process is different in this respect that there isn't anything visible as a user ID for me to work with. Any ideas?

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  • Difference between performSelectorInBackground and NSOperation Subclass

    - by AmitSri
    I have created one testing app for running deep counter loop. I run the loop fuction in background thread using performSelectorInBackground and also NSOperation subclass separately. I am also using performSelectorOnMainThread to notify main thread within backgroundthread method and [NSNotificationCenter defaultCenter] postNotificationName within NSOperation subclass to notify main thread for updating UI. Initially both the implementation giving me same result and i am able to update UI without having any problem. The only difference i found is the Thread count between two implementations. The performSelectorInBackground implementation created one thread and got terminated after loop finished and my app thread count again goes to 1. The NSOperation subclass implementation created two new threads and keep exists in the application and i can see 3 threads after loop got finished in main() function. So, my question is why two threads created by NSOperation and why it didn't get terminated just like the first background thread implementation? I am little bit confuse and unable to decide which implementation is best in-terms of performance and memory management. Thanks

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  • DCOM: CoCreateInstanceEx returns E_ACCESSDENIED

    - by MOE37x3
    I'm working on a DCOM application with the server and client on two machines, both of which are running WinXP with Service Pack 2. On both machines, I'm logged in with the same username and password. When the client on one machine calls CoCreateInstanceEx, asking the other machine to start up the server application, it returns E_ACCESSDENIED. I tried going into the server app's component properties in dcomcnfg and giving full permisions to everyone for everything, but that didn't help. What do I need to do to allow this call to succeed? Update: When the server app is running on a Windows 2000 box, I do not get this error; CoCreateInstanceEx returns S_OK.

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  • Installing Recaptcha in Joomla 1.5 user registration

    - by Samuel
    I am trying to install ReCaptcha into the user registration of Joomla 1.5. This may just be an issue with Joomla but when i hit register nothing happens. I think it's doing some JavaScript form validation but there is nothing telling the user what went wrong. if, God forbid, they do fill out the form correctly Joomla will redirect the user to the homepage and give no notice of success. Is this a Joomla issue or is there something wrong with my install? Does anyone know of a plug-in or module for Joomla that would make this easier? Thanks in advance, Samuel UPDATE: Joomla does a lot of "stuff"/"something" to the $_POST and $_GET variables which was causing the reCaptcha to not function. This was for work which is past so I am not spending anymore time on it. Shameless Plug: use wordpress instead. this can be closed as I don't have time to verify which answer works

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  • Why is my WCF RIA Services custom object deserializing with an extra list member?

    - by oasasaurus
    I have been developing a Silverlight WCF RIA Services application dealing with mock financial transactions. To more efficiently send summary data to the client without going overboard with serialized entities I have created a summary class that isn’t in my EDM, and figured out how to serialize and send it over the wire to the SL client using DataContract() and DataMember(). Everything seemed to be working out great, until I tried to bind controls to a list inside my custom object. The list seems to always get deserialized with an extra, almost empty entity in it that I don’t know how to get rid of. So, here are some of the pieces. First the relevant bits from the custom object class: <DataContract()> _ Public Class EconomicsSummary Public Sub New() RecentTransactions = New List(Of Transaction) TotalAccountHistory = New List(Of Transaction) End Sub Public Sub New(ByVal enUser As EntityUser) Me.UserId = enUser.UserId Me.UserName = enUser.UserName Me.Accounts = enUser.Accounts Me.Jobs = enUser.Jobs RecentTransactions = New List(Of Transaction) TotalAccountHistory = New List(Of Transaction) End Sub <DataMember()> _ <Key()> _ Public Property UserId As System.Guid <DataMember()> _ Public Property NumTransactions As Integer <DataMember()> _ <Include()> _ <Association("Summary_RecentTransactions", "UserId", "User_UserId")> _ Public Property RecentTransactions As List(Of Transaction) <DataMember()> _ <Include()> _ <Association("Summary_TotalAccountHistory", "UserId", "User_UserId")> _ Public Property TotalAccountHistory As List(Of Transaction) End Class Next, the relevant parts of the function called to return the object: Public Function GetEconomicsSummary(ByVal guidUserId As System.Guid) As EconomicsSummary Dim objOutput As New EconomicsSummary(enUser) For Each objTransaction As Transaction In (From t As Transaction In Me.ObjectContext.Transactions.Include("Account") Where t.Account.aspnet_User_UserId = guidUserId Select t Order By t.TransactionDate Descending Take 10) objTransaction.User_UserId = objOutput.UserId objOutput.RecentTransactions.Add(objTransaction) Next objOutput.NumTransactions = objOutput.RecentTransactions.Count … Return objOutput End Function Notice that I’m collecting the NumTransactions count before serialization. Should be 10 right? It is – BEFORE serialization. The DataGrid is bound to the data source as follows: <sdk:DataGrid AutoGenerateColumns="False" Height="100" MaxWidth="{Binding ElementName=aciSummary, Path=ActualWidth}" ItemsSource="{Binding Source={StaticResource EconomicsSummaryRecentTransactionsViewSource}, Mode=OneWay}" Name="gridRecentTransactions" RowDetailsVisibilityMode="VisibleWhenSelected" IsReadOnly="True"> <sdk:DataGrid.Columns> <sdk:DataGridTextColumn x:Name="TransactionDateColumn" Binding="{Binding Path=TransactionDate, StringFormat=\{0:d\}}" Header="Date" Width="SizeToHeader" /> <sdk:DataGridTextColumn x:Name="AccountNameColumn" Binding="{Binding Path=Account.Title}" Header="Account" Width="SizeToCells" /> <sdk:DataGridTextColumn x:Name="CurrencyAmountColumn" Binding="{Binding Path=CurrencyAmount, StringFormat=\{0:c\}}" Header="Amount" Width="SizeToHeader" /> <sdk:DataGridTextColumn x:Name="TitleColumn" Binding="{Binding Path=Title}" Header="Description" Width="SizeToCells" /> <sdk:DataGridTextColumn x:Name="ItemQuantityColumn" Binding="{Binding Path=ItemQuantity}" Header="Qty" Width="SizeToHeader" /> </sdk:DataGrid.Columns> </sdk:DataGrid> You might be wondering where the ItemsSource is coming from, that looks like this: <CollectionViewSource x:Key="EconomicsSummaryRecentTransactionsViewSource" Source="{Binding Path=DataView.RecentTransactions, ElementName=EconomicsSummaryDomainDataSource}" /> When I noticed that the DataGrid had the extra row I tried outputting some data after the data source finishes loading, as follows: Private Sub EconomicsSummaryDomainDataSource_LoadedData(ByVal sender As System.Object, ByVal e As System.Windows.Controls.LoadedDataEventArgs) Handles EconomicsSummaryDomainDataSource.LoadedData If e.HasError Then System.Windows.MessageBox.Show(e.Error.ToString, "Load Error", System.Windows.MessageBoxButton.OK) e.MarkErrorAsHandled() End If Dim objSummary As EconomicsSummary = CType(EconomicsSummaryDomainDataSource.Data(0), EconomicsSummary) Dim sb As New StringBuilder("") sb.AppendLine(String.Format("Num Transactions: {0} ({1})", objSummary.RecentTransactions.Count.ToString(), objSummary.NumTransactions.ToString())) For Each objTransaction As Transaction In objSummary.RecentTransactions sb.AppendLine(String.Format("Recent TransactionId {0} dated {1} CurrencyAmount {2} NewBalance {3}", objTransaction.TransactionId.ToString, objTransaction.TransactionDate.ToString("d"), objTransaction.CurrencyAmount.ToString("c"), objTransaction.NewBalance.ToString("c"))) Next txtDebug.Text = sb.ToString() End Sub Output from that looks like this: Num Transactions: 11 (10) Recent TransactionId 2283 dated 6/1/2010 CurrencyAmount $31.00 NewBalance $392.00 Recent TransactionId 2281 dated 5/31/2010 CurrencyAmount $33.00 NewBalance $361.00 Recent TransactionId 2279 dated 5/28/2010 CurrencyAmount $8.00 NewBalance $328.00 Recent TransactionId 2277 dated 5/26/2010 CurrencyAmount $22.00 NewBalance $320.00 Recent TransactionId 2275 dated 5/24/2010 CurrencyAmount $5.00 NewBalance $298.00 Recent TransactionId 2273 dated 5/21/2010 CurrencyAmount $19.00 NewBalance $293.00 Recent TransactionId 2271 dated 5/20/2010 CurrencyAmount $20.00 NewBalance $274.00 Recent TransactionId 2269 dated 5/19/2010 CurrencyAmount $48.00 NewBalance $254.00 Recent TransactionId 2267 dated 5/18/2010 CurrencyAmount $42.00 NewBalance $206.00 Recent TransactionId 2265 dated 5/14/2010 CurrencyAmount $5.00 NewBalance $164.00 Recent TransactionId 0 dated 6/1/2010 CurrencyAmount $0.00 NewBalance $361.00 So I have a few different questions: -First and foremost, where the devil is that extra Transaction entity coming from and how do I get rid of it? Does it have anything to do with the other list of Transaction entities being serialized as part of the EconomicsSummary class (TotalAccountHistory)? Do I need to decorate the EconomicsSummary class members a little more/differently? -Second, where are the peculiar values coming from on that extra entity? PRE-POSTING UPDATE 1: I did a little checking, it looks like that last entry is the first one in the TotalAccountHistory list. Do I need to do something with CollectionDataContract()? PRE-POSTING UPDATE 2: I fixed one bug in TotalAccountHistory, since the objects weren’t coming from the database their keys weren’t unique. So I set the keys on the Transaction entities inside TotalAccountHistory to be unique and guess what? Now, after deserialization RecentTransactions contains all its original items, plus every item in TotalAccountHistory. I’m pretty sure this has to do with the deserializer getting confused by two collections of the same type. But I don’t yet know how to resolve it…

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  • Visual Studio reference x64 GAC

    - by icelava
    How can one get Visual Studio 2005/2008 to reference assemblies in the 64-bit GAC instead of the 32-bit GAC? We are settin the target platfom to x64 and the compiler is throwing the error of Error 2 Warning as Error: Assembly generation -- Referenced assembly 'System.Data.dll' targets a different processor Common Error 3 Warning as Error: Assembly generation -- Referenced assembly 'mscorlib.dll' targets a different processor Common Error 4 Assembly signing failed; output may not be signed -- The system cannot find the file specified. Common Update 29 Dec 08 Been trying out Aaron Stebner's suggestions to place 64-bit assemblies onto an isolated location (e.g. C:\Windows\Microsoft.NET\Framework64\v2.0.50727\GAC_64) and creating additional entries in the registry like HKLM\SOFTWARE\Microsoft.NETFramework\AssemblyFolders\GAC_64 or HKLM\SOFTWARE\Microsoft.NETFramework\v2.0.50727\AssemblyFoldersEx\GAC_64 but Visual Studio 2005 is still not picking it up....

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  • ASP.NET MVC Route Default values

    - by Sadegh
    hi, i defined two routes in global.asax like below context.MapRoute("HomeRedirect", "", new { controller = "Home", action = "redirect" }); context.MapRoute("UrlResolver", "{culture}/some", new { culture = "en-gb", controller = "someController", action = "someAction" }, new { culture = new CultureRouteConstraint() }); according to above definition, when user request mysite.com/ redirect action of HomeController should be called and in that: public class HomeController : Controller { public ActionResult Redirect() { return RedirectToRoute("UrlResolver"); } } i want to redirect user to second defined route on above, so also i specified default values for that and some Constraint for each of those. but when RedirectToRoute("UrlResolver") turns, no default values passed to routeConstraints on second route and No route in the route table matches the supplied values shows. update my CultureRouteConstraint: public class CultureRouteConstraint : IRouteConstraint { bool IRouteConstraint.Match(HttpContextBase httpContext, Route route, string parameterName, RouteValueDictionary values, RouteDirection routeDirection) { try { var parameter = values[parameterName] as string; return (someCondition(parameter)); } catch { return false; } } } now values parameter haven't culture key/value, but route parameter have that.

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  • Django JSON serializable error

    - by Hulk
    With the following code below, There is an error saying File "/home/user/web_pro/info/views.py", line 184, in headerview, raise TypeError("%r is not JSON serializable" % (o,)) TypeError: <lastname: jerry> is not JSON serializable In the models code header(models.Model): firstname = models.ForeignKey(Firstname) lastname = models.ForeignKey(Lastname) In the views code headerview(request): header = header.objects.filter(created_by=my_id).order_by(order_by)[offset:limit] l_array = [] l_array_obj = [] for obj in header: l_array_obj = [obj.title, obj.lastname ,obj.firstname ] l_array.append(l_array_obj) dictionary_l.update({'Data': l_array}) ; return HttpResponse(simplejson.dumps(dictionary_l), mimetype='application/javascript') what is this error and how to resolve this? thanks..

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  • User management for google apps

    - by Ali
    Hi guys, I'm modifying our collaboration system so it can be listed on google applications. A small issue I'm facing is the registering of user details. By default whenever someone logs into their google Apps account they pretty much are logged into the application. For every action taken by a registered login in user I store the user ID of that signed in user whenever an update is made in the database. However the google apps user sign in process is different in this respect that there isn't anything visible as a user ID for me to work with. Any ideas?

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  • How is the presentation layer of a CALayer generated?

    - by KJ
    Hi, I'm having difficulties animating my custom layer property using Core Anmiation. My question is how the presentation of a CALayer is generated. Here is what I have now: @interface MyLayer : CALayer { NSMutableDictionary* customProperties; } @property (nonatomic, copy) NSMutableDictionary* customProperties; @end And when I try to animate the key path "customProperties.roll" using CABasicAnimation and addAnimation:forKey:, it seems that the customProperties variable doesn't get copied from the model layer to the presentation layer, and the customProperties of the presentation layer appears to be nil, failing to update the value for the key "roll". Is there a way to animate values in a dictionary correctly? What is the exact relationship between a model layer and a presentation layer while being animated? Thanks!

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  • Covering Earth with Hexagonal Map Tiles

    - by carrier
    Many strategy games use hexagonal tiles. One of the main advantages is that the distance between the center of any tile and all its neighboring tiles is the same. I was wondering if anyone has any thoughts on marrying a hexagonal tile system with the traditional geographic system (longitude/latitude). I think it would be interesting to cover a globe with hexagonal tiles and be able to map a geographic coordinate to a tile. Has anyone seen anything remotely close to this before? UPDATE I'm looking for a way to subdivide the surface of a sphere so that each division has the same surface area. Ideally, the centers of adjacent sub-divisions would be equidistant.

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  • Etiquette for refactoring other people's sourcecode?

    - by Prutswonder
    Our team of software developers consists of a bunch of experienced programmers with a variety of programming styles and preferences. We do not have standards for everything, just the bare necessities to prevent total chaos. Recently, I bumped into some refactoring done by a colleague. My code looked somewhat like this: public Person CreateNewPerson(string firstName, string lastName) { var person = new Person() { FirstName = firstName, LastName = lastName }; return person; } Which was refactored to this: public Person CreateNewPerson (string firstName, string lastName) { Person person = new Person (); person.FirstName = firstName; person.LastName = lastName; return person; } Just because my colleague needed to update some other method in one of the classes I wrote, he also "refactored" the method above. For the record, he's one of those developers that despises syntactic sugar and uses a different bracket placement/identation scheme than the rest of us. My question is: What is the (C#) programmer's etiquette for refactoring other people's sourcecode (both semantic and syntactic)?

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  • Sql server version error...655 version needed but you computer has 612 or earlier version ? error

    - by xpugur
    Hi i have a error like " dbFileName cannot be opened because it is version 655. This server supports version 612 and earlier. " what should i do ? some friend of mine done a project but i guess he done it with sql 2008 and i have sql 2005 is that the reason why i got this error? can i fix it ? if i setup a newer version of sql does it will solve the problem? www.microsoft.com/express/Database/default.aspx#Installation_Options here sql server 2008 R2 express is available can it be the solution? thank you... by the way i found a link of an update http://www.microsoft.com/downloads/details.aspx?FamilyID=E1109AEF-1AA2-408D-AA0F-9DF094F993BF&displaylang=en is this a solution to my problem ?

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  • Python Comet Server

    - by HenryL
    I am building a web application that has a real-time feed (similar to Facebook's newsfeed) that I want to update via a long-polling mechanism. I understand that with Python, my choices are pretty much to either use Stackless (building from their Comet wsgi example) or Cometd + Twisted. Unfortunately there is very little documentation regarding these options and I cannot find good information online about production scale users of comet on Python. Has anyone successfully implemented comet on Python in a production system? How did you go about doing it and where can I find resources to implement my own?

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  • Currency Conversion in Oracle BI applications

    - by Saurabh Verma
    Authored by Vijay Aggarwal and Hichem Sellami A typical data warehouse contains Star and/or Snowflake schema, made up of Dimensions and Facts. The facts store various numerical information including amounts. Example; Order Amount, Invoice Amount etc. With the true global nature of business now-a-days, the end-users want to view the reports in their own currency or in global/common currency as defined by their business. This presents a unique opportunity in BI to provide the amounts in converted rates either by pre-storing or by doing on-the-fly conversions while displaying the reports to the users. Source Systems OBIA caters to various source systems like EBS, PSFT, Sebl, JDE, Fusion etc. Each source has its own unique and intricate ways of defining and storing currency data, doing currency conversions and presenting to the OLTP users. For example; EBS stores conversion rates between currencies which can be classified by conversion rates, like Corporate rate, Spot rate, Period rate etc. Siebel stores exchange rates by conversion rates like Daily. EBS/Fusion stores the conversion rates for each day, where as PSFT/Siebel store for a range of days. PSFT has Rate Multiplication Factor and Rate Division Factor and we need to calculate the Rate based on them, where as other Source systems store the Currency Exchange Rate directly. OBIA Design The data consolidation from various disparate source systems, poses the challenge to conform various currencies, rate types, exchange rates etc., and designing the best way to present the amounts to the users without affecting the performance. When consolidating the data for reporting in OBIA, we have designed the mechanisms in the Common Dimension, to allow users to report based on their required currencies. OBIA Facts store amounts in various currencies: Document Currency: This is the currency of the actual transaction. For a multinational company, this can be in various currencies. Local Currency: This is the base currency in which the accounting entries are recorded by the business. This is generally defined in the Ledger of the company. Global Currencies: OBIA provides five Global Currencies. Three are used across all modules. The last two are for CRM only. A Global currency is very useful when creating reports where the data is viewed enterprise-wide. Example; a US based multinational would want to see the reports in USD. The company will choose USD as one of the global currencies. OBIA allows users to define up-to five global currencies during the initial implementation. The term Currency Preference is used to designate the set of values: Document Currency, Local Currency, Global Currency 1, Global Currency 2, Global Currency 3; which are shared among all modules. There are four more currency preferences, specific to certain modules: Global Currency 4 (aka CRM Currency) and Global Currency 5 which are used in CRM; and Project Currency and Contract Currency, used in Project Analytics. When choosing Local Currency for Currency preference, the data will show in the currency of the Ledger (or Business Unit) in the prompt. So it is important to select one Ledger or Business Unit when viewing data in Local Currency. More on this can be found in the section: Toggling Currency Preferences in the Dashboard. Design Logic When extracting the fact data, the OOTB mappings extract and load the document amount, and the local amount in target tables. It also loads the exchange rates required to convert the document amount into the corresponding global amounts. If the source system only provides the document amount in the transaction, the extract mapping does a lookup to get the Local currency code, and the Local exchange rate. The Load mapping then uses the local currency code and rate to derive the local amount. The load mapping also fetches the Global Currencies and looks up the corresponding exchange rates. The lookup of exchange rates is done via the Exchange Rate Dimension provided as a Common/Conforming Dimension in OBIA. The Exchange Rate Dimension stores the exchange rates between various currencies for a date range and Rate Type. Two physical tables W_EXCH_RATE_G and W_GLOBAL_EXCH_RATE_G are used to provide the lookups and conversions between currencies. The data is loaded from the source system’s Ledger tables. W_EXCH_RATE_G stores the exchange rates between currencies with a date range. On the other hand, W_GLOBAL_EXCH_RATE_G stores the currency conversions between the document currency and the pre-defined five Global Currencies for each day. Based on the requirements, the fact mappings can decide and use one or both tables to do the conversion. Currency design in OBIA also taps into the MLS and Domain architecture, thus allowing the users to map the currencies to a universal Domain during the implementation time. This is especially important for companies deploying and using OBIA with multiple source adapters. Some Gotchas to Look for It is necessary to think through the currencies during the initial implementation. 1) Identify various types of currencies that are used by your business. Understand what will be your Local (or Base) and Documentation currency. Identify various global currencies that your users will want to look at the reports. This will be based on the global nature of your business. Changes to these currencies later in the project, while permitted, but may cause Full data loads and hence lost time. 2) If the user has a multi source system make sure that the Global Currencies and Global Rate Types chosen in Configuration Manager do have the corresponding source specific counterparts. In other words, make sure for every DW specific value chosen for Currency Code or Rate Type, there is a source Domain mapping already done. Technical Section This section will briefly mention the technical scenarios employed in the OBIA adaptors to extract data from each source system. In OBIA, we have two main tables which store the Currency Rate information as explained in previous sections. W_EXCH_RATE_G and W_GLOBAL_EXCH_RATE_G are the two tables. W_EXCH_RATE_G stores all the Currency Conversions present in the source system. It captures data for a Date Range. W_GLOBAL_EXCH_RATE_G has Global Currency Conversions stored at a Daily level. However the challenge here is to store all the 5 Global Currency Exchange Rates in a single record for each From Currency. Let’s voyage further into the Source System Extraction logic for each of these tables and understand the flow briefly. EBS: In EBS, we have Currency Data stored in GL_DAILY_RATES table. As the name indicates GL_DAILY_RATES EBS table has data at a daily level. However in our warehouse we store the data with a Date Range and insert a new range record only when the Exchange Rate changes for a particular From Currency, To Currency and Rate Type. Below are the main logical steps that we employ in this process. (Incremental Flow only) – Cleanup the data in W_EXCH_RATE_G. Delete the records which have Start Date > minimum conversion date Update the End Date of the existing records. Compress the daily data from GL_DAILY_RATES table into Range Records. Incremental map uses $$XRATE_UPD_NUM_DAY as an extra parameter. Generate Previous Rate, Previous Date and Next Date for each of the Daily record from the OLTP. Filter out the records which have Conversion Rate same as Previous Rates or if the Conversion Date lies within a single day range. Mark the records as ‘Keep’ and ‘Filter’ and also get the final End Date for the single Range record (Unique Combination of From Date, To Date, Rate and Conversion Date). Filter the records marked as ‘Filter’ in the INFA map. The above steps will load W_EXCH_RATE_GS. Step 0 updates/deletes W_EXCH_RATE_G directly. SIL map will then insert/update the GS data into W_EXCH_RATE_G. These steps convert the daily records in GL_DAILY_RATES to Range records in W_EXCH_RATE_G. We do not need such special logic for loading W_GLOBAL_EXCH_RATE_G. This is a table where we store data at a Daily Granular Level. However we need to pivot the data because the data present in multiple rows in source tables needs to be stored in different columns of the same row in DW. We use GROUP BY and CASE logic to achieve this. Fusion: Fusion has extraction logic very similar to EBS. The only difference is that the Cleanup logic that was mentioned in step 0 above does not use $$XRATE_UPD_NUM_DAY parameter. In Fusion we bring all the Exchange Rates in Incremental as well and do the cleanup. The SIL then takes care of Insert/Updates accordingly. PeopleSoft:PeopleSoft does not have From Date and To Date explicitly in the Source tables. Let’s look at an example. Please note that this is achieved from PS1 onwards only. 1 Jan 2010 – USD to INR – 45 31 Jan 2010 – USD to INR – 46 PSFT stores records in above fashion. This means that Exchange Rate of 45 for USD to INR is applicable for 1 Jan 2010 to 30 Jan 2010. We need to store data in this fashion in DW. Also PSFT has Exchange Rate stored as RATE_MULT and RATE_DIV. We need to do a RATE_MULT/RATE_DIV to get the correct Exchange Rate. We generate From Date and To Date while extracting data from source and this has certain assumptions: If a record gets updated/inserted in the source, it will be extracted in incremental. Also if this updated/inserted record is between other dates, then we also extract the preceding and succeeding records (based on dates) of this record. This is required because we need to generate a range record and we have 3 records whose ranges have changed. Taking the same example as above, if there is a new record which gets inserted on 15 Jan 2010; the new ranges are 1 Jan to 14 Jan, 15 Jan to 30 Jan and 31 Jan to Next available date. Even though 1 Jan record and 31 Jan have not changed, we will still extract them because the range is affected. Similar logic is used for Global Exchange Rate Extraction. We create the Range records and get it into a Temporary table. Then we join to Day Dimension, create individual records and pivot the data to get the 5 Global Exchange Rates for each From Currency, Date and Rate Type. Siebel: Siebel Facts are dependent on Global Exchange Rates heavily and almost none of them really use individual Exchange Rates. In other words, W_GLOBAL_EXCH_RATE_G is the main table used in Siebel from PS1 release onwards. As of January 2002, the Euro Triangulation method for converting between currencies belonging to EMU members is not needed for present and future currency exchanges. However, the method is still available in Siebel applications, as are the old currencies, so that historical data can be maintained accurately. The following description applies only to historical data needing conversion prior to the 2002 switch to the Euro for the EMU member countries. If a country is a member of the European Monetary Union (EMU), you should convert its currency to other currencies through the Euro. This is called triangulation, and it is used whenever either currency being converted has EMU Triangulation checked. Due to this, there are multiple extraction flows in SEBL ie. EUR to EMU, EUR to NonEMU, EUR to DMC and so on. We load W_EXCH_RATE_G through multiple flows with these data. This has been kept same as previous versions of OBIA. W_GLOBAL_EXCH_RATE_G being a new table does not have such needs. However SEBL does not have From Date and To Date columns in the Source tables similar to PSFT. We use similar extraction logic as explained in PSFT section for SEBL as well. What if all 5 Global Currencies configured are same? As mentioned in previous sections, from PS1 onwards we store Global Exchange Rates in W_GLOBAL_EXCH_RATE_G table. The extraction logic for this table involves Pivoting data from multiple rows into a single row with 5 Global Exchange Rates in 5 columns. As mentioned in previous sections, we use CASE and GROUP BY functions to achieve this. This approach poses a unique problem when all the 5 Global Currencies Chosen are same. For example – If the user configures all 5 Global Currencies as ‘USD’ then the extract logic will not be able to generate a record for From Currency=USD. This is because, not all Source Systems will have a USD->USD conversion record. We have _Generated mappings to take care of this case. We generate a record with Conversion Rate=1 for such cases. Reusable Lookups Before PS1, we had a Mapplet for Currency Conversions. In PS1, we only have reusable Lookups- LKP_W_EXCH_RATE_G and LKP_W_GLOBAL_EXCH_RATE_G. These lookups have another layer of logic so that all the lookup conditions are met when they are used in various Fact Mappings. Any user who would want to do a LKP on W_EXCH_RATE_G or W_GLOBAL_EXCH_RATE_G should and must use these Lookups. A direct join or Lookup on the tables might lead to wrong data being returned. Changing Currency preferences in the Dashboard: In the 796x series, all amount metrics in OBIA were showing the Global1 amount. The customer needed to change the metric definitions to show them in another Currency preference. Project Analytics started supporting currency preferences since 7.9.6 release though, and it published a Tech note for other module customers to add toggling between currency preferences to the solution. List of Currency Preferences Starting from 11.1.1.x release, the BI Platform added a new feature to support multiple currencies. The new session variable (PREFERRED_CURRENCY) is populated through a newly introduced currency prompt. This prompt can take its values from the xml file: userpref_currencies_OBIA.xml, which is hosted in the BI Server installation folder, under :< home>\instances\instance1\config\OracleBIPresentationServicesComponent\coreapplication_obips1\userpref_currencies.xml This file contains the list of currency preferences, like“Local Currency”, “Global Currency 1”,…which customers can also rename to give them more meaningful business names. There are two options for showing the list of currency preferences to the user in the dashboard: Static and Dynamic. In Static mode, all users will see the full list as in the user preference currencies file. In the Dynamic mode, the list shown in the currency prompt drop down is a result of a dynamic query specified in the same file. Customers can build some security into the rpd, so the list of currency preferences will be based on the user roles…BI Applications built a subject area: “Dynamic Currency Preference” to run this query, and give every user only the list of currency preferences required by his application roles. Adding Currency to an Amount Field When the user selects one of the items from the currency prompt, all the amounts in that page will show in the Currency corresponding to that preference. For example, if the user selects “Global Currency1” from the prompt, all data will be showing in Global Currency 1 as specified in the Configuration Manager. If the user select “Local Currency”, all amount fields will show in the Currency of the Business Unit selected in the BU filter of the same page. If there is no particular Business Unit selected in that filter, and the data selected by the query contains amounts in more than one currency (for example one BU has USD as a functional currency, the other has EUR as functional currency), then subtotals will not be available (cannot add USD and EUR amounts in one field), and depending on the set up (see next paragraph), the user may receive an error. There are two ways to add the Currency field to an amount metric: In the form of currency code, like USD, EUR…For this the user needs to add the field “Apps Common Currency Code” to the report. This field is in every subject area, usually under the table “Currency Tag” or “Currency Code”… In the form of currency symbol ($ for USD, € for EUR,…) For this, the user needs to format the amount metrics in the report as a currency column, by specifying the currency tag column in the Column Properties option in Column Actions drop down list. Typically this column should be the “BI Common Currency Code” available in every subject area. Select Column Properties option in the Edit list of a metric. In the Data Format tab, select Custom as Treat Number As. Enter the following syntax under Custom Number Format: [$:currencyTagColumn=Subjectarea.table.column] Where Column is the “BI Common Currency Code” defined to take the currency code value based on the currency preference chosen by the user in the Currency preference prompt.

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  • How to implement eCommerce susbscription service with multiple products

    - by Todd Brooks
    I've been researching eCommerce payment gateways and service offerings, but I'm an eCommerce novice, so please excuse my ignorance. I wish to set up an eCommerce solution with the following requirements: User "subscribes" to the service on a yearly basis. This service includes a single product subscription for a set amount (let's say $50/yr). User can "subscribe" to additional product services for a lesser rate per year (let's say $25/yr). I will need to store a product service unique Id of some sort for each product subscription the user subscribes to in order to show them product unique information. I also need to prevent duplicates...for example, user can subscribe to product ABC and XYZ, but not 2 of ABC. Is PayPal the best solution for something like this? Is there a better solution? Any assistance is greatly appreciated, even if just links to specific tutorials or examples. Update: It looks like Chargify could be the perfect solution.

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  • Invoking EventHandler generic, TargetParameterCountException

    - by Am
    Hi, I have a DirectoryMonitor class which works on another thread. It has the following events declared: public class DirectoryMonitor { public event EventHandler<MonitorEventArgs> CreatedNewBook; public event EventHandler ScanStarted; .... } public class MonitorEventArgs : EventArgs { public Book Book { get; set; } } There is a form using that monitor, and upon receiving the events, it should update the display. Now, this works: void DirectoryMonitor_ScanStarted(object sender, EventArgs e) { if (InvokeRequired) { Invoke(new EventHandler(this.DirectoryMonitor_ScanStarted)); } else {...} } But this throws TargetParameterCountException: void DirectoryMonitor_CreatedNewBook(object sender, MonitorEventArgs e) { if (InvokeRequired) { Invoke(new EventHandler<MonitorEventArgs>(this.DirectoryMonitor_CreatedNewBook)); } else {...} } What am I missing?

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  • Anobody succeeded in using ICEFaces with jQuery?

    - by hubertg
    Basically jquery is usable with IceFaces. Then only problem arises when partial updates of the page are used. For example you have a panelgroup where a jquery datepicker element (jquery UI datepicker plugin) is used. If the panelGroup is visible from the beginning it's no problem. The jquery call to jQuery(".datepicker").datepicker finds the input and jquery can do it's magic. But if the panelGroup is shown because of a partial update of the page (because the visible propery is changed) jquery is not called again. Does anybody has a solution to this problem? Basically the idea would be that jquery is run each time the dom has changed.

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  • Why won't fetchmail work all of a sudden?

    - by SirCharlo
    I ran a chmod 777 * on my home folder. (I know, I know. I'll never do it again.) Ever since then, fetchmail seems to be broken. I use it to fetch mail from an Exchange 2003 mailbox through DAVMail and OWA. The problem is that fetchmail complains about an "expunge mismatch" whenever I get a new message. It deletes the message from the Exchange mailbox, yet it never forwards it. There seems to be a problem somwhere along the mail processing, but I haven't been able to pinpoint where. Any help would be appreciated. Here are the relevant config files. ~/fetchmailrc: set no bouncemail defaults: antispam -1 batchlimit 100 poll localhost with protocol imap and port 1143 user domain\\user password Password is root no rewrite mda "/usr/bin/procmail -f %F -d %T"; ~/procmailrc: :0 * ^Subject.*ack | expand | sed -e 's/[ ]*$//g' | sed -e 's/^/ /' > /usr/local/nagios/libexec/mail_acknowledgement ~/.forward: | "/usr/bin/procmail" And here is the output when I run fetchmail -f /root/.fetchmailrc -vv: fetchmail: WARNING: Running as root is discouraged. Old UID list from localhost: <empty> Scratch list of UIDs: <empty> fetchmail: 6.3.19 querying localhost (protocol IMAP) at Tue 03 Jul 2012 09:46:36 AM EDT: poll started Trying to connect to 127.0.0.1/1143...connected. fetchmail: IMAP< * OK [CAPABILITY IMAP4REV1 AUTH=LOGIN] IMAP4rev1 DavMail 3.9.7-1870 server ready fetchmail: IMAP> A0001 CAPABILITY fetchmail: IMAP< * CAPABILITY IMAP4REV1 AUTH=LOGIN fetchmail: IMAP< A0001 OK CAPABILITY completed fetchmail: Protocol identified as IMAP4 rev 1 fetchmail: GSSAPI error gss_inquire_cred: Unspecified GSS failure. Minor code may provide more information fetchmail: GSSAPI error gss_inquire_cred: fetchmail: No suitable GSSAPI credentials found. Skipping GSSAPI authentication. fetchmail: If you want to use GSSAPI, you need credentials first, possibly from kinit. fetchmail: IMAP> A0002 LOGIN "domain\\user" * fetchmail: IMAP< A0002 OK Authenticated fetchmail: selecting or re-polling default folder fetchmail: IMAP> A0003 SELECT "INBOX" fetchmail: IMAP< * 1 EXISTS fetchmail: IMAP< * 1 RECENT fetchmail: IMAP< * OK [UIDVALIDITY 1] fetchmail: IMAP< * OK [UIDNEXT 344] fetchmail: IMAP< * FLAGS (\Answered \Deleted \Draft \Flagged \Seen $Forwarded Junk) fetchmail: IMAP< * OK [PERMANENTFLAGS (\Answered \Deleted \Draft \Flagged \Seen $Forwarded Junk)] fetchmail: IMAP< A0003 OK [READ-WRITE] SELECT completed fetchmail: 1 message waiting after first poll fetchmail: IMAP> A0004 EXPUNGE fetchmail: IMAP< A0004 OK EXPUNGE completed fetchmail: 1 message waiting after expunge fetchmail: IMAP> A0005 SEARCH UNSEEN fetchmail: IMAP< * SEARCH 1 fetchmail: 1 is unseen fetchmail: IMAP< A0005 OK SEARCH completed fetchmail: 1 is first unseen 1 message for domain\user at localhost. fetchmail: IMAP> A0006 FETCH 1 RFC822.SIZE fetchmail: IMAP< * 1 FETCH (UID 343 RFC822.SIZE 1350) fetchmail: IMAP< A0006 OK FETCH completed fetchmail: IMAP> A0007 FETCH 1 RFC822.HEADER fetchmail: IMAP< * 1 FETCH (UID 343 RFC822.HEADER {1350} reading message domain\user@localhost:1 of 1 (1350 header octets) fetchmail: about to deliver with: /usr/bin/procmail -f '[email protected]' -d 'root' # fetchmail: IMAP< fetchmail: IMAP< fetchmail: IMAP< Bonne journ=E9e.. fetchmail: IMAP< fetchmail: IMAP< Company Name fetchmail: IMAP< My Name fetchmail: IMAP< IT fetchmail: IMAP< Tel: (XXX) XXX-XXXX xXXX fetchmail: IMAP< www.domain.com=20 fetchmail: IMAP< fetchmail: IMAP< fetchmail: IMAP< -----Message d'origine----- fetchmail: IMAP< De=A0: User [mailto:[email protected]]=20 fetchmail: IMAP< Envoy=E9=A0: 2 juillet 2012 15:50 fetchmail: IMAP< =C0=A0: Informatique fetchmail: IMAP< Objet=A0: PROBLEM: photo fetchmail: IMAP< fetchmail: IMAP< Notification Type: PROBLEM fetchmail: IMAP< Author:=20 fetchmail: IMAP< Comment:=20 fetchmail: IMAP< fetchmail: IMAP< Host: Photos fetchmail: IMAP< Hostname: photo fetchmail: IMAP< State: DOWN fetchmail: IMAP< Address: XXX.XX.X.XX fetchmail: IMAP< fetchmail: IMAP< Date/Time: Mon Jul 2 15:49:38 EDT 2012 fetchmail: IMAP< fetchmail: IMAP< Info: CRITICAL - XXX.XX.X.XX: rta nan, lost 100% fetchmail: IMAP< fetchmail: IMAP< fetchmail: IMAP< ) fetchmail: IMAP< A0007 OK FETCH completed fetchmail: IMAP> A0008 FETCH 1 BODY.PEEK[TEXT] fetchmail: IMAP< * 1 FETCH (UID 343 BODY[TEXT] {539} (539 body octets) ******************************* fetchmail: IMAP< ) fetchmail: IMAP< A0008 OK FETCH completed flushed fetchmail: IMAP> A0009 STORE 1 +FLAGS (\Seen \Deleted) fetchmail: IMAP< * 1 FETCH (UID 343 FLAGS (\Seen \Deleted)) fetchmail: IMAP< * 1 EXPUNGE fetchmail: IMAP< A0009 OK STORE completed fetchmail: IMAP> A0010 EXPUNGE fetchmail: IMAP< A0010 OK EXPUNGE completed fetchmail: mail expunge mismatch (0 actual != 1 expected) fetchmail: IMAP> A0011 LOGOUT fetchmail: IMAP< * BYE Closing connection fetchmail: IMAP< A0011 OK LOGOUT completed fetchmail: client/server synchronization error while fetching from domain\user@localhost fetchmail: 6.3.19 querying localhost (protocol IMAP) at Tue 03 Jul 2012 09:46:36 AM EDT: poll completed Merged UID list from localhost: <empty> fetchmail: Query status=7 (ERROR) fetchmail: normal termination, status 7

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  • Rename "Event" object in jQuery FullCalendar plug-in

    - by Jeff
    GREAT PLUGIN!!! BUT... choice of word "Event" to mean a "calendar entry" was particularly unfortunate This is a wonderfully well-written plug in, and I've really impressed people here at work with what this thing can do. The documentation is astonishingly thorough and clear. Congratulations to Adam! HOWEVER, this plug-in refers to entries in the calendar as "Events" -- this has caused a lot of confusion in my development team's conversations, because when we use the word "Event" we think of things like onmouseover, click, etc. We would really prefer a term like CalendarEvent or CalendarEntry. I am not all that experienced with jQuery yet, so am wondering if there is a simple way to alias one of those terms to this plug-in's Event/Events object? (I know we could recode the plug-in directly, but our code will then break when we download an update.) Thanks!

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