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  • Users Hierarchy Logic

    - by user342944
    Hi guys, I am writing a user security module using SQLServer 2008 so threfore need to design a database accordingly. Formally I had Userinfo table with UserID, Username and ParentID to build a recursion and populated tree to represent hierarchy but now I have following criteria which I need to develop. I have now USERS, ADMINISTRATORS and GROUPS. Each node in the user hierarchy is either a user, administrator or group. User Someone who has login access to my application Administrator A user who may also manage all their child user accounts (and their children etc) This may include creating new users and assigning permissions to those users. There is no limit to the number of administrators in user structure. The higher up in the hierarchy that I go administrators have more child accounts to manage which include other child administrators. Group A user account can be designated as a group. This will be an account which is used to group one or more users together so that they can be manage as a unit. But no one can login to my application using a group account. This is how I want to create structure Super Administrator administrator ------------------------------------------------------------- | | | Manager A Manager B Manager C (adminstrator) (administrator) (administrator) | ----------------------------------------- | | | Employee A Employee B Sales Employees (User) (User) (Group) | ------------------------ | | | Emp C Emp D Emp E (User) (User) (User) Now how to build the table structure to achieve this. Do I need to create Users table alongwith Group table or what? Please guide I would really appreciate.

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  • Where can a self-teacher learn general good programming habits and conventions?

    - by lucid
    A few mistakes and general childishness in early adulthood have left me in a situation where I work a menial job, with no possibility (in the near future) of attending school. I aspire to one day work in the programming field (gaming specifically), after proving myself on the indie end of things. I've gotten very confident in C++, java, and python, and I find I'm able to solve any problem I want either from previous experience, or from scouring the web for help. The solutions work, and with each attempt they become more readable, maintainable, and extensible. But this is because I'm learning from mistakes and bad programming and design habits I feel I might have avoided with actual schooling. General tips like: "if it's hard to read or getting long, or you're writing it twice, it should be in one or more functions." or "design all your classes before you start coding, so you don't have to rewrite classes later when you discover an unforeseen dependency" Is there a good book or website for learning general good programming practices and design habits? Also, naming and format conventions. I realize sometimes development houses have their own conventions, but things like "Classes in python usually have the first letter of each word capitalized". I'd like to be able to show some source code to a potential employer, and be prepared when for what's expected on a team. Is there some central database of naming and formatting conventions somewhere? Also, feel free to give any thoughts on whether or not the self-teach, garner some indie sales, use them as your resume' route is realistic

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  • Stupid newbie c++ two-dimensional array problem.

    - by paulson scott
    I've no idea if this is too newbie or generic for stackoverlflow. Apologies if that's the case, I don't intend to waste time. I've just started working through C++ Primer Plus and I've hit a little stump. This is probably super laughable but: for (int year = 0; year < YEARS; year++) { cout << "Year " << year + 1 << ":"; for (int month = 0; month < MONTHS; month++) { absoluteTotal = (yearlyTotal[year][year] += sales[year][month]); } cout << yearlyTotal[year][year] << endl; } cout << "The total number of books sold over a period of " << YEARS << " years is: " << absoluteTotal << endl; I wish to display the total of all 3 years. The rest of the code works fine: input is fine, individual yearly output is fine but I just can't get 3 years added together for one final total. I did have the total working at one point but I didn't have the individual totals working. I messed with it and reversed the situation. I've been messing with it for God knows how long. Any idea guys? Sorry if this isn't the place!

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  • connecting to secure database from website host

    - by jim
    Hello all, I've got a requirement to both read and write data via a .net webservice to a sqlserver database that's on a private network. this database is currently accessed via a vpn connection by remote client software (on standard desktop machines) to get latest product prices and to upload product stock sales. I've been tasked with finding a way to centralise this access from a webservice that the clients then access, rather than them using the vpn route to connect directly to the database. My question is related to my .net service's relationship to the sqlserver database. What are the options for connecting to a private network vpn from a domain host in order to achive the functionality of allowing the webservice to both read and write data to the database. For now, I'm not too concerned about the client connectivity and security (tho i appreciate that this will have to be worked out too), I'm really just interested in discovering the options available in order to allow my .net webservice to connect to the private network in as painless and transparent a way as posible. The option of switching the database onto public hosting is not an option, so I have to work with the sdcenario as described above for now, unless there's a compelling rationale presented to do otherwise. thanks all... jim

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  • SQL query to get latest record for all distinct items in a table

    - by David Buckley
    I have a table of all sales defined like: mysql> describe saledata; +-------------------+---------------------+------+-----+---------+-------+ | Field | Type | Null | Key | Default | Extra | +-------------------+---------------------+------+-----+---------+-------+ | SaleDate | datetime | NO | | NULL | | | StoreID | bigint(20) unsigned | NO | | NULL | | | Quantity | int(10) unsigned | NO | | NULL | | | Price | decimal(19,4) | NO | | NULL | | | ItemID | bigint(20) unsigned | NO | | NULL | | +-------------------+---------------------+------+-----+---------+-------+ I need to get the last sale price for all items (as the price may change). I know I can run a query like: SELECT price FROM saledata WHERE itemID = 1234 AND storeID = 111 ORDER BY saledate DESC LIMIT 1 However, I want to be able to get the last sale price for all items (the ItemIDs are stored in a separate item table) and insert them into a separate table. How can I get this data? I've tried queries like this: SELECT storeID, itemID, price FROM saledata WHERE itemID IN (SELECT itemID from itemmap) ORDER BY saledate DESC LIMIT 1 and then wrap that into an insert, but it's not getting the proper data. Is there one query I can run to get the last price for each item and insert that into a table defined like: mysql> describe lastsale; +-------------------+---------------------+------+-----+---------+-------+ | Field | Type | Null | Key | Default | Extra | +-------------------+---------------------+------+-----+---------+-------+ | StoreID | bigint(20) unsigned | NO | | NULL | | | Price | decimal(19,4) | NO | | NULL | | | ItemID | bigint(20) unsigned | NO | | NULL | | +-------------------+---------------------+------+-----+---------+-------+

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  • connecting to secure database on private network from website host

    - by jim
    Hello all, I've got a requirement to both read and write data via a .net webservice to a sqlserver database that's on a private network. this database is currently accessed via a vpn connection by remote client software (on standard desktop machines) to get latest product prices and to upload product stock sales. I've been tasked with finding a way to centralise this access from a webservice that the clients then access, rather than them using the vpn route to connect directly to the database. My question is related to my .net service's relationship to the sqlserver database. What are the options for connecting to a private network vpn from a domain host in order to achive the functionality of allowing the webservice to both read and write data to the database. For now, I'm not too concerned about the client connectivity and security (tho i appreciate that this will have to be worked out too), I'm really just interested in discovering the options available in order to allow my .net webservice to connect to the private network in as painless and transparent a way as posible. [edit] the webservice will also be available to the retail website in order for it to lookup product info as well as allocate stock transfers to the same sqlserver db. it will therefore be located on the same domain as the retail site The option of switching the database onto public hosting is not feasible, so I have to work with the scenario as described above for now, unless there's a compelling rationale presented to do otherwise. thanks all... jim

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  • File streaming in PHP - How to replicate this C#.net code in PHP?

    - by openid_kenja
    I'm writing an interface to a web service where we need to upload configuration files. The documentation only provides a sample in C#.net which I am not familiar with. I'm trying to implement this in PHP. Can someone familiar with both languages point me in the right direction? I can figure out all the basics, but I'm trying to figure out suitable PHP replacements for the FileStream, ReadBytes, and UploadDataFile functions. I believe that the RecService object contains the URL for the web service. Thanks for your help! private void UploadFiles() { clientAlias = “<yourClientAlias>”; string filePath = “<pathToYourDataFiles>”; string[] fileList = {"Config.txt", "ProductDetails.txt", "BrandNames.txt", "CategoryNames.txt", "ProductsSoldOut.txt", "Sales.txt"}; RecommendClient RecService = new RecommendClient(); for (int i = 0; i < fileList.Length; i++) { bool lastFile = (i == fileList.Length - 1); //start generator after last file try { string fileName = filePath + fileList[i]; if (!File.Exists(fileName)) continue; // file not found } // set up a file stream and binary reader for the selected file and convert to byte array FileStream fStream = new FileStream(fileName, FileMode.Open, FileAccess.Read); BinaryReader br = new BinaryReader(fStream); byte[] data = br.ReadBytes((int)numBytes); br.Close(); // pass byte array to the web service string result = RecService.UploadDataFile(clientAlias, fileList[i], data, lastFile); fStream.Close(); fStream.Dispose(); } catch (Exception ex) { // log an error message } } }

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  • Javascript: How to test JSONP on localhost

    - by hqt
    Here is the way I test JSONP: I run XAMPP, and in folder htdocs I create a javascript folder . I create json1.json file contain some data to process. After that, I run this html file locally, and it will call a function in "other machine" (in this case is localhost) Here is my code : <head> <script> function updateSales(sales) { alert('test jsonp'); // real code here } </script> </head> <body> <h1>JSONP Example</h1> <script src="http://localhost:85/javascript/json1.json?callback=updateSales"></script> </body> But when I run, nothing happen. But if change to other real json on the internet, it will work. It means change line : <script src="http://localhost:85/javascript/json1.json?callback=updateSales"></script> to line: <script src="http://gumball.wickedlysmart.com/?callback=updateSales"></script> It will work smoothly. So, I don't know how to test JSONP by using localhost, please help me. Thanks :)

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  • How should I properly format this code?

    - by ct2k7
    Hi, I've a small issue here. I am using an if statement with UIAlertView and I have two situations, both result in UIAlertViews. However, in one situation, I want to dismiss just the UIAlertView, the other, I want the UIAlertView to be dismissed and view to return to root view. This code describes is: if([serverOutput isEqualToString:@"login.true"]){ [Alert dismissWithClickedButtonIndex:0 animated:YES]; [UIApplication sharedApplication].networkActivityIndicatorVisible = NO; UIAlertView *success = [[UIAlertView alloc] initWithTitle:@"Success" message:@"The transaction was a success!" delegate:self cancelButtonTitle:@"Ok" otherButtonTitles:nil, nil]; [success show]; [success release]; } else { UIAlertView *failure = [[UIAlertView alloc] initWithTitle:@"Failure" message:@"The transaction failed. Contact sales operator!" delegate:self cancelButtonTitle:@"Ok" otherButtonTitles:nil, nil]; [failure show]; [failure release]; } } -(void)alertView: (UIAlertView *)success clickedButtonAtIndex: (NSInteger)buttonIndex{ switch(buttonIndex) { case 0: { [self.navigationController popToRootViewControllerAnimated:YES]; } } } So, in both cases, they follow the above action, but obviously, that's not what I want. Any ideas on what I do here?

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  • To OpenID or not to OpenID? Is it worth it?

    - by Eloff
    Does OpenID improve the user experience? Edit Not to detract from the other comments, but I got one really good reply below that outlined 3 advantages of OpenID in a rational bottom line kind of way. I've also heard some whisperings in other comments that you can get access to some details on the user through OpenID (name? email? what?) and that using that it might even be able to simplify the registration process by not needing to gather as much information. Things that definitely need to be gathered in a checkout process: Full name Email (I'm pretty sure I'll have to ask for these myself) Billing address Shipping address Credit card info There may be a few other things that are interesting from a marketing point of view, but I wouldn't ask the user to manually enter anything not absolutely required during the checkout process. So what's possible in this regard? /Edit (You may have noticed stackoverflow uses OpenID) It seems to me it is easier and faster for the user to simply enter a username and password in a signup form they have to go through anyway. I mean you don't avoid entering a username and password either with OpenID. But you avoid the confusion of choosing a OpenID provider, and the trip out to and back from and external site. With Microsoft making Live ID an OpenID provider (More Info), bringing on several hundred million additional accounts to those provided by Google, Yahoo, and others, this question is more important than ever. I have to require new customers to sign up during the checkout process, and it is absolutely critical that the experience be as easy and smooth as possible, every little bit harder it becomes translates into lost sales. No geek factor outweighs cold hard cash at the end of the day :) OpenID seems like a nice idea, but the implementation is of questionable value. What are the advantages of OpenID and is it really worth it in my scenario described above?

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  • What's best choice career-wise, to know a little about a lot or a lot about a little?

    - by nimo
    I work as a developer at a rather small company and we are providing a web application that is used by a big base of customers. Because we are so small everyone have to be able to do a lot of different tasks. It ranges from advanced support, developing the product (programming: c/c++, c#, php, sql, javascript, html, css), handle network configuration and network related issues and even sometimes go on sales meetings with potential customers. My concern is that I don't really specialize in any specific area. I know and learn little about a lot. I have graduated from school two years ago and this is my first real employment and when I look at other positions out there they always require so and so many years of experience in a specific area (for example 5 years of C#). For me to get that kind of specialized experience will be really hard at my current job. My question for you is what is, in your opinion, best choice career-wise, to know a little about a lot or a lot about a little? What path did you take? pros and cons that comes with that choice.

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  • Rails - Scalable calculation model

    - by H O
    I currently have a calculation structure in my rails app that has models metric, operand and operation_type. Presently, the metric model has many operands, and can perform calculations based on the operation_type (e.g. sum, multiply, etc.), and each operand is defined as being right or left (i.e. so that if the operation is division, the numerator and denominator can be identified). Presently, an operand is always an attribute of some model, e.g. @customer.sales.selling_price.sum. In order to make this scalable, in need to allow an operand to be either an attribute of some kind, or the results of a previous operation, i.e. an operand can be a metric. I have included a diagram of how my models currently look: Can anyone assist me with the most elegant way of allowing an operand to be an actual operand, or another metric? Thanks! EDIT: It seems based on the only answer so far that perhaps polymorphic associations are the way to go on this, but the answer is so brief I have no idea how they could be used in this way - can anyone elaborate? EDIT 2: OK, I think I'm getting somewhere - essentially i presently have a metric, which has_many operands, and an operand has_many metrics. I need a polymorphic self join, where a metric can also have many metrics - do I need to call this something else, perhaps calculated_metrics, so that the metric model can use itself? That would leave me with a situation where a metric has_many operands, and a metric has many calculated_metrics.

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  • How should I name my SQL query files? Should I use some methodology?

    - by Mehper C. Palavuzlar
    We have an Oracle 10g database (a huge one) in our company, and I provide employees with data upon their requests. My problem is, I save almost every SQL query I wrote, and now my list has grown too much. I want to organize and rename these .sql files so that I can find the one I want easily. At the moment, I'm using some folders named as Sales Dept, Field Team, Planning Dept, Special etc. and under those folders there are .sql files like Delivery_sales_1, Delivery_sales_2, ... Sent_sold_lostsales_endpoints, ... Sales_provinces_period, Returnrates_regions_bymonths, ... Jack_1, Steve_1, Steve_2, ... I try to name the files regarding their content but this makes file names longer and does not completely meet my needs. Sometimes someone comes and demands a special report, and I give the file his name, but this is also not so good. I know duplicates or very similar files are growing in time but I don't have control over them. Can you show me the right direction to rename all these files and folders and organize my queries for easy and better control? TIA.

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  • Deploy to web container, bundle web container or embed web container...

    - by Jason
    I am developing an application that needs to be as simple as possible to install for the end user. While the end users will likely be experience Linux users (or sales engineers), they don't really know anything about Tomcat, Jetty, etc, nor do I think they should. So I see 3 ways to deploy our applications. I should also state that this is the first app that I have had to deploy that had a web interface, so I haven't really faced this question before. First is to deploy the application into an existing web container. Since we only deploy to Suse or RedHat this seems easy enough to do. However, we're not big on the idea of multiple apps running in one web container. It makes it harder to take down just one app. The next option is to just bundle Tomcat or Jetty and have the startup/shutdown scripts launch our bundled web container. Or 3rd, embed.. This will probably provide the same user experience as the second option. I'm curious what others do when faced with this problem to make it as fool proof as possible on the end user. I've almost ruled out deploying into an existing web container as we often like to set per application resource limits and CPU affinity, which I believe would affect all apps deployed into a web container/app server and not just a specific application. Thank you.

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  • How to handle xpath in SQL query while programming in Java

    - by Pratik
    I am trying to execute the SQL statement from my java application Due website restriction on url I have replaced http=htp for this post. SELECT DISTINCT(DID) FROM (SELECT e_id DID, xml_doc xml, rownum rn from employee_master_indexes)," + " table(XMLSequence(extract(xml,'//cf:SalesReport/ext:Sales/*//j:PersonAssignedIDDetails/j:PersonID/j:ID',"+ "'xmlns:j=\" htp://www.it.jvp.com/xmm/3.0.3\" xmlns:xsi=\" htp://www.w3.org/2001/XMLSchema\" " + "xmlns:ext=\" htp://xml.crossflo.com/xdm/3.0.3/extension\" xmlns:cf=\" htp://xml.crossflo.com/xdm/3.0.3\" ')))EMPID" + "WHERE extractValue(value(EMPID),'/j:ID', 'xmlns:j=\" htp://www.it.jvp.com/xmm/3.0.3\"') LIKE '%-%-%' AND rn BETWEEN 999 AND 2001"; but end up with 10/05/24 11:11:51 java.sql.SQLException: ORA-00933: SQL command not properly ended 10/05/24 11:11:51 at oracle.jdbc.driver.DatabaseError.throwSqlException(DatabaseError.java:138) 10/05/24 11:11:51 at oracle.jdbc.driver.T4CTTIoer.processError(T4CTTIoer.java:316) 10/05/24 11:11:51 at oracle.jdbc.driver.T4CTTIoer.processError(T4CTTIoer.java:282) 10/05/24 11:11:51 at oracle.jdbc.driver.T4C8Oall.receive(T4C8Oall.java:639) 10/05/24 11:11:51 at oracle.jdbc.driver.T4CStatement.doOall8(T4CStatement.java:113) 10/05/24 11:11:51 at oracle.jdbc.driver.T4CStatement.execute_for_describe(T4CStatement.java:431) 10/05/24 11:11:51 at oracle.jdbc.driver.OracleStatement.execute_maybe_describe(OracleStatement.java:1029) 10/05/24 11:11:51 at oracle.jdbc.driver.T4CStatement.execute_maybe_describe(T4CStatement.java:463) 10/05/24 11:11:51 at oracle.jdbc.driver.OracleStatement.doExecuteWithTimeout(OracleStatement.java:1126) 10/05/24 11:11:51 at oracle.jdbc.driver.OracleStatement.executeQuery(OracleStatement.java:1274) 10/05/24 11:11:51 at oracle_jdbc_driver_T4CStatement_Proxy.executeQuery() I am able to run this query properly on my sql prompt.Any guidance on what makes oracle give me this exception would be appreciated.

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  • In SQL Server what is most efficient way to compare records to other records for duplicates with in

    - by Glenn
    We have an SQL Server that gets daily imports of data files from clients. This data is interrelated and we are always scrubbing it and having to look for suspect duplicate records between these files. Finding and tagging suspect records can get pretty complicated. We use logic that requires some field values to be the same, allows some field values to differ, and allows a range to be specified for how different certain field values can be. The only way we've found to do it is by using a cursor based process, and it places a heavy burden on the database. So I wanted to ask if there's a more efficient way to do this. I've heard it said that there's almost always a more efficient way to replace cursors with clever JOINS. But I have to admit I'm having a lot of trouble with this one. For a concrete example suppose we have 1 table, an "orders" table, with the following 6 fields. order_id, customer_id product_id, quantity, sale_date, price We want to look through the records to find suspect duplicates on the following example criteria. These get increasingly harder. 1. Records that have the same product_id, sale_date, and quantity but different customer_id's should be marked as suspect duplicates for review. 2. Records that have the same customer_id, product_id, quantity and have sale_dates within five days of each other should be marked as suspect duplicates for review 3. Records that have the same customer_id, product_id, but different quantities within 20 units, and sales dates within five days of each other should be considered suspect. Is it possible to satisfy each one of these criteria with a single SQL Query that uses JOINS? Is this the most efficient way to do this?

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  • Total Average Week using a Parameter

    - by Jose
    I have a crystal report that shows sales volumes called week to date volume. It shows current week, previous week, and average week. The report prompts for a date parameter and I extract the week number to get current week and previous week volumes. Did it this way because Mngmt wants to be able to run report whenever. My problem is for Average Week I cant figure out how to get the number of weeks to divide by for my average. Report originates from June 1st, 2010. Right now I have: DATEPART("ww", {?date}) - DATEPART("ww", DATE(2010, 6, 1)) This returns 2 right now which is perfect, so i divide my total by 2. This code will work until the end of the year then I'm hooped. Any idea how I can make this a little more dynamic. I was thinking a counter somehow, just can't get the logic down because the date parameter will keep changing, meaning I cant increase my counter by 1 after each week??? Cheers.

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  • Excel - Best Way to Connect With Access Data

    - by gamerzfuse
    Hello there, Here is the situation we have: a) I have an Access database / application that records a significant amount of data. Significant fields would be hours, # of sales, # of unreturned calls, etc b) I have an Excel document that connects to the Access database and pulls data in to visualize it As it stands now, the Excel file has a Refresh button that loads new data. The data is loaded into a large PivotTable. The main 'visual form' then uses VLOOKUP to get the results from the form, based on the related hours. This operation is slow (~10 seconds) and seems to be redundant and inefficient. Is there a better way to do this? I am willing to go just about any route - just need directions. Thanks in advance! Update: I have confirmed (due to helpful comments/responses) that the problem is with the data loading itself. removing all the VLOOKUPs only took a second or two out of the load time. So, the questions stands as how I can rapidly and reliably get the data without so much time involvement (it loads around 3000 records into the PivotTables).

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  • Using git (or some other VCS) at your company

    - by supercheetah
    Some friends of mine and I were talking recently about version control, and how they were using VSS at their jobs, and were probably going to be moving off of that soon. One of them said that his company will likely be going with Team Foundation Server. Eventually, the conversation did get around to talking about some of the open source VCSes out there, including git and SVN. None of us really knew about any companies that use either of these internally, although we imagined that a number of them did so for SVN, but we weren't too sure about git. I brought up Google and Android using it, but my friend figured that's only for the public facing source code, and that they may use something different for internal projects. Apparently it's more than just SCM that makes TFS so intriguing: Microsoft Sales people and support (although my friend did point out somethings to his managers that he thought might be misleading on MS' part) Integration of things beyond SCM, including project management (I'm just finding out that there are geared towards the same things for git) Again, it's Microsoft, and the transition from VSS to TFS seems logical (or does it?) I'm not much of a fan of SVN, so I didn't really bring it up much, but I am curious about whether or not git is used at your company for internal projects. Have you thought about it, and decided against it? Any reason why?

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  • First-time software contractor, building a system for a multi-site client; who should own the intell

    - by matthew
    I'm very new to software contracting; this is my first project. I've just built a point-of-sale software system for a client, and neither of us put a lot of work into the contract. I wrote that the software was "jointly owned" with exclusive license for use given to the client. The client is using it at one store and is very pleased with it. The client is also planning to expand to numerous stores over time, and wants to use it in every store. The client also now wants full ownership of the software, with me as the exclusive developer. I am very hesitant to allow this, and I am seeking previous experience. Should I sell the IP but demand royalties for every site at which it's installed? Should I demand royalties for every sale made using the software? Should I really start talking to a lawyer? A couple of other details: in terms of risk, it is fair to say that the client is assuming the risk, but the client is now using the software and exclaiming how great it is (and so I assume, how it is improving business). Also, the software is tailored to the client specifically, but could, with a bit of work, be repackaged and resold to other clients. Even if the client owned the IP I would certainly want to make sure that I then did have (significant) royalties on such sales.

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  • How can I [simply] consume JSON Data in a Line of Business Web Application

    - by Atomiton
    I usually use JSON with jQuery to just return a string with html. However, I want to start to use Javascript objects in my code. What's the simplest way to get started using json objects on my page? Here's a sample Ajax call ( after $(document).ready( { ... }) of course: $('#btn').click(function(event) { event.preventDefault(); var out = $('#result'); $.ajax({ url: "CustomerServices.asmx/GetCustomersByInvoiceCount", success: function(msg) { // // Iterate through the json results and spit them out to a page? // }, data: "{ 'invoiceCount' : 100 }" }); }); My WebMethod: [WebMethod(Description="Gets customers with more than n invoices")] public List<Customer> GetCustomersByInvoiceCount(int? invoiceCount) { using (dbDataContext db = new dbDataContext()) { return db.Customers.Where(c => c.InvoiceCount >= invoiceCount); } } What gets returned: {"d":[{"__type":"Customer","Account":"1116317","Name":"SOME COMPANY","Address":"UNit 1 , 392 JOHN ST. ","LastTransaction":"\/Date(1268294400000)\/","HighestBalance":13922.34},{"__type":"Customer","Account":"1116318","Name":"ANOTHER COMPANY","Address":"UNIT #345 , 392 JOHN ST. ","LastTransaction":"\/Date(1265097600000)\/","HighestBalance":549.42}]} What I'd LIKE to know, is what are people generally doing with this returned json? Do you iterate through the properties and create an html table on the fly? Is there way to "bind" JSON data using a javascript version of reflection ( something like the .Net GridView Control ) Do you throw this returned data into a Javascript Object and then do something with it? An example of what I want to achieve is to have an plain ol' html page ( on a mobile device )with a list of a Salesperson's Customers. When one of those customers are clicked, the customer id gets sent to a webservice which retrieves the customer details that are relevant to a sales person. I know the SO talent pool is quite deep so I figured you all here would be able to guide in the right direction and give me a few ideas on the best way to approach this.

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  • What are your best practices for ensuring the correctness of the reports from SQL?

    - by snezmqd4
    Part of my work involves creating reports and data from SQL Server to be used as information for decision. The majority of the data is aggregated, like inventory, sales and costs totals from departments, and other dimensions. When I am creating the reports, and more specifically, I am developing the SELECTs to extract the aggregated data from the OLTP database, I worry about mistaking a JOIN or a GROUP BY, for example, returning incorrect results. I try to use some "best practices" to prevent me for "generating" wrong numbers: When creating an aggregated data set, always explode this data set without the aggregation and look for any obvious error. Export the exploded data set to Excel and compare the SUM(), AVG(), etc, from SQL Server and Excel. Involve the people who would use the information and ask for some validation (ask people to help to identify mistakes on the numbers). Never deploy those things in the afternoon - when possible, try to take a look at the T-SQL on the next morning with a refreshed mind. I had many bugs corrected using this simple procedure. Even with those procedures, I always worry about the numbers. What are your best practices for ensuring the correctness of the reports?

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  • Planning a programming project by example (C# or C++)

    - by Lunan
    I am in the last year of undergraduate degree and i am stumped by the lack of example in c++ and c# large project in my university. All the mini project and assignment are based on text based database, which is so inefficient, and console display and command, which is frustrating. I want to develop a complete prototype of corporate software which deals in Inventory, Sales, Marketing, etc. Everything you would usually find in SAP. I am grateful if any of you could direct me to a books or article or sample program. Some of the question are : How to plan for this kind of programming? should i use the concept of 1 object(such as inventory) have its own process and program and have an integrator sit for all the program, or should i integrate it in 1 big program? How to build and address a database? i have little bit knowledge in database and i know SQL but i never address database in a program before. Database are table, and how do you suppose to represent a table in a OOP way? For development type, which is better PHP and C++ or C# and ASP.NET? I am planning to use Web Interface to set form and information, but using a background program to handle the compute. .NET is very much integrated and coding should be much faster, but i really wonder about performance if compared to PHP and C++ package thank you for the info

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  • What considerations should be made when creating a reporting framework for a business?

    - by Andrew Dunaway
    It's a pretty classic problem. The company I work for has numerous business reports that are used to track sales, data feeds, and various other metrics. Of course this also means that there is a conglomerate of disparate frameworks, ASP.net pages, and areas where these reports can be found. There have been some attempts at consolidating these into a single entity, but nothing has stuck yet. Since this is a common problem, and I am sure solved innumerable times, I wanted to see what others have done. For the most part these can be boiled down to the following pieces: A SQL query against our database to gather data A presentation of data, generally in a data grid Filtering that can vary based on data types and the business needs Some way to organize the reports, a single drop down gets long and unmanageable quickly A method to download data to alter further, perhaps a csv file My first thought was to create a framework in Silverlight with Linq to Sql. Mainly just because I like it and want to play with it which probably is not the best reason. I also thought the controls grant a lot of functionality like sorting, dragging columns, etc. I was also curious about the printing in Silverlight 4. Which brings me around to my original question, what is the best way to do this? Is there a package out there I can just buy that will do it for me? The Silverlight approach seems pretty easy, after it's setup and templated, but maybe it's a bad idea and I can learn from someone else?

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  • Common Properties: Consolidating Loan, Purchase, Inventory and Sale tables into one Transaction tabl

    - by Frank Computer
    Pawnshop Application: I have separate tables for Loan, Purchase, Inventory & Sales transactions. Each tables rows are joined to their respective customer rows by: customer.pk [serial] = loan.fk [integer]; = purchase.fk [integer]; = inventory.fk [integer]; = sale.fk [integer]; Since there are so many common properties within the four tables, I consolidated the four tables into one table called "transaction", where a column: transaction.trx_type char(1) {L=Loan, P=Purchase, I=Inventory, S=Sale} Scenario: A customer initially pawns merchandise, makes a couple of interest payments, then decides he wants to sell the merchandise to the pawnshop, who then places merchandise in Inventory and eventually sells it to another customer. I designed a generic transaction table where for example: transaction.main_amount DECIMAL(7,2) in a loan transaction holds the pawn amount, in a purchase holds the purchase price, in inventory and sale holds sale price. This is clearly a denormalized design, but has made programming alot easier and improved performance. Any type of transaction can now be performed from within one screen, without the need to change to different tables.

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