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  • Database design efficiency with 1 to many relationships limited 1 to 3

    - by Joe
    This is in mysql, but its a database design issue. If you have a one to many relationship, like a bank customer to bank-accounts, typically you would have the table that records the bank-account information have a foreign key that keeps track of the relationship between account and customer. Now this follows the 3rd normal form thing and is a widely accepted way of doing it. Now lets say that you are going to limit a user to only having 3 accounts. The current database implementation will support this and nothing would need to change. But another way to do this would have 3 coloms in the account table that have the id of the 3 respective accounts in them. By the way this violates 1st normal form of db design. The question is what would be the advantage and disadvantages of having the user account relationship recored in this way over the traditional?

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  • VBA SQL Loop using QODBC

    - by Dan
    I am trying to loop through an existing table (tblSalesOrder) and I need to run through every line (where they relate to that particular customer) and write each line into an SQL statement and execute it. What is the easiest way to go about this procedure? The number of lines will need to be counted prior to data being written via SQL to a QuickBooks database. I can code something similar in php using the code below, but I am unsure how to convert this into a VBA friendly format: $sql_count = "SELECT count(*) FROM tblSalesOrder WHERE Customer='cust_number'"; execute_query($sql_count) When the above value is greater than 0, the vba code should loop through the queries. Thanks everyone

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  • Change update value of property (LINQTOSQL)

    - by Dynde
    Hi... I've got an entity object - Customer, with a property called VATRate. This VATRate is in the form of a decimal (0.25). I wanted to be able to enter a percentage value, and save it in the correct decimal value in the database, so I made this custom property: partial class Customer{ public decimal VatPercent { get{ ... //Get code works fine} set { this.VATRate = (value / 100); } } } And then I just bind this property instead of VATRate in my ASPX editTemplate (formview). This actually works - at least one time, when I debug an update, the value is set correctly one time, and then right after it gets set to the old value. I can't really see why it sets the value twice (and with the old value the second time). Can anyone shed some light on this?

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  • How to normalize a database where different user groups have different kinds of profiles?

    - by Stephen
    My application database has a Groups table that separates users into logical roles and defines access levels (admin, owner, salesperson, customer service, etc.) Groups has many Users. The Users table contains login details such as username and password. Now I wish to add user profiles to my database. The trouble I'm having (probably due to my relative unfamiliarity with proper database normalization) is that different user groups have different kinds of profiles. Ergo, a salesperson's profile will include his commission percentage, whereas an admin or customer service would not need this value. So, would the proper method be to create a unique profile table for each group? (e.g. admin_profiles, or salesperson_profiles). or is there a better way that combines certain details in a generic profile, while some users have extended info. And if so, whats a good example of how to do this with the commission example given?

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  • System.Net.Mail.SmtpClient cannot authenticate against a POP3 server, right?

    - by Herchu
    One of our customer seems to have a very old email system, those that ask you to authenticate to the POP3 server before allowing you to send messages through the SMTP server. Regrettably, we have to believe in what our customer tell us for we cannot access their facilities. But as far as I remember, years ago there were mail systems that once you log into the POP3, the STMP server is kept open for a few minutes for the client IP. Our application sends messages by using System.Net.Mail.SmtpClient which seems to be unable to authenticate to those kinds of servers. Is that correct? If so, what would be the simplest workaround? I was thinking of a minimal POP3 implementation (just the login part of the protocol). Would that work? Thanks in advance.

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  • remove spaces in string using javascript

    - by reza saberi
    I need to do some functions on some text field contents before submitting the form, like checking the validity of the customer registeration code, having the customer name as his code in customers table appending an incrementing number. I don't want to do it after the form is submitted becuase I need it to be displayed in the code field before submitting the form. My code: function getCode(){ var temp = document.getElementById("temp").value ; var d = parseInt(document.getElementById("temp").value) + 1; document.getElementById("customernumber").value = d; document.getElementById("code").value = document.getElementById("name").value+"-"+ d; } It all works fine, but the last line of code developed the code WITH the spaces between the code.

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  • PL/SQL embedded insert into table that may not exist

    - by Richard
    Hi, I much prefer using this 'embedded' style inserts in a pl/sql block (opposed to the execute immediate style dynamic sql - where you have to delimit quotes etc). -- a contrived example PROCEDURE CreateReport( customer IN VARCHAR2, reportdate IN DATE ) BEGIN -- drop table, create table with explicit column list CreateReportTableForCustomer; INSERT INTO TEMP_TABLE VALUES ( customer, reportdate ); END; / The problem here is that oracle checks if 'temp_table' exists and that it has the correct number of colunms and throws a compile error if it doesn't exist. So I was wondering if theres any way round that?! Essentially I want to use a placeholder for the table name to trick oracle into not checking if the table exists.

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  • jQuery toggle show XHTML Smarty some clahes maybe? It doesn't show..

    - by Kyle Sevenoaks
    Hi, at this page new customer, there is something that it doesn't like, my boss asked me to make a show function that shows the new customer registration when the user clicks on the "ny kunde" button. Here is an example of the code I got working (I'm a jQuery noob). I guess there is some clash between this and the functions already installed on the page, but what? #roundbigboxnykunde is meant to be hidden on the page as on the jsfiddle example, but I have shown it to let you see what else is on the page. Code on my .tpl <button id="button1">&nbsp;</button> {literal} <script src="http://code.jquery.com/jquery-latest.js"></script> <script type="text/javascript"> $(function() { //checkbox $("#button1").click(function()1 $(".newCustomer").toggle("show"); }); });? </script> {/literal} <div class="newCustomer">... Thanks.

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  • Chaining Many-To-Many Dimensional Relationships in SSAS

    - by Ray Saltrelli
    I'm developing a cube in SSAS and attempting to model the following relationships: Many Facts to 1 Customer Many Customers to Many Sales Reps Many Sales Reps (Subordinates) to Sales Reps (Managers) Each M2M relationship is facilitated by a bridge table which also acts as a fact table in the cube I have most of this working. I can slice Facts by Customer and by Sales Rep (Subordinate), but when I add Sales Rep (Manager) to the query it appears to return every subordinate/manager combination regardless of whether or not that relationship exists in the bridge table. Any ideas as to what I might be doing wrong?

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  • Which is the best design practice for edit data in RIA?

    - by Onet Two
    Hi, First of all it is a UI design question! Which is the best design practice for edit data in RIA, for example in Flex or Silverlight? I would like to show customer's details, but there will be an edit window, than the datas of customer will be editable. I would like to show a new form where the data can be edited. What is the simplest way to show this form. I can make my ui tabbed, so I can open the form in a new tab, or I can open the form in a popup/modal dialog (Save-cancel). Maybe I can use in line editing. What is the most user friendly solution in a Silverlight or Flex GUI? What is your opinion? Thanks!

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  • Trouble using xib files in libraries

    - by flohei
    Hi there, I'm having some trouble working with libraries and included xib files. Let me explain my situation first. I've got a project that's running pretty good. Now I need a part of my project as a library for another customer who want's to use some of the functionality in his app. I've created a library with help of that highly recommended article. My customer should be able to initialize a main view controller like this: LibraryMainViewController *lmvc = [[LibraryMainViewController alloc] initWithNibName:@"LibraryMainViewController.xib" bundle:foo]; That for sure leads to an error when I try to present that view controller modally. I'm not sure what bundle I have to use here. I tried something like [NSBundle bundleForClass:[SomeClassInTheLibrary class]]; but that didn't solve the problem. I would be glad if someone could tell me how to actually use a xib file in that kind of situation. Thanks –f

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  • Grouping and retrieving most recent entry in a table for each group

    - by Lisa
    First off, please bear with me if I don't state the SQL question correctly. I have a table that has multiple columns of data. The selection criteria for my table groups based on column 1(order #). There could be multiple items on each order, but the item #'s are not grouped together. Example: Order Customer Order Date Order Time Item Quantity 123456 45 01/02/2010 08:00 140 4 123456 45 01/02/2010 08:30 270 29 123456 45 03/03/2010 09:00 140 6 123456 45 04/02/2010 09:30 140 10 123456 45 04/02/2010 10:00 270 35 What I need is a result like: Order Customer Order Date Order Time Item Quantity 123456 45 04/02/2010 09:30 140 10 123456 45 04/02/2010 10:00 270 35 This result shows that after all the changes the final order includes 10 of Item 140 and 35 of Item 270. Is this possible. python

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  • dialog box not showing error

    - by user281180
    Hi, I`m having the following error . Why am I having this error and how can I solve it? $("SelectProject").dialog is not a function http://localhost:1419/Customer Line 57 $("#SelectProject").dialog is not a function http://localhost:1419/Customer Line 69 My codes are as follows: $(document).ready(function() { $("#project_link").click(function() { $('SelectProject').dialog('open'); return false; }); $('#SelectProject').dialog({ autoOpen: false, width: 800, position: [130, 200], buttons: { "Cancel": function() { $(this).dialog("close"); }, "Accept": function() { $(this).dialog("close"); } } });

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  • SQL Analysis Services - Dimension attributes with a "many" cardinality

    - by MonkeyBrother
    I am creating a cube with the following tables: Customer CustomerID, Name Customer Rep CustomerID, RepID Rep RepID, Name The important thing here is that there is a many to many relationship between Reps and Customers. I want to be able to ask the question "How much sales for customers working with rep 'A'?" In the data source view i set up the relationships between both customerid columns and both repid columns. I set up the rep attribute in the dimension builder and when I try to build the cube I get this error: Errors in the high-level relationship engine. the 'Rep' table that is required for a join cannot be reached based on the relationships in the data source view.

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  • Database design: one huge table or separate tables?

    - by littlegreen
    Currently I am designing a database for use in our company. We are using SQL Server 2008. The database will hold data gathered from several customers. The goal of the database is to acquire aggregate benchmark numbers over several customers. Recently, I have become worried with the fact that one table in particular will be getting very big. Each customer has approximately 20.000.000 rows of data, and there will soon be 30 customers in the database (if not more). A lot of queries will be done on this table. I am already noticing performance issues and users being temporarily locked out. My question, will we be able to handle this table in the future, or is it better to split this table up into smaller tables for each customer?

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  • Unhandled exception, even after adding try-catch block ? C++

    - by user2525503
    try { bool numericname=false; std::cout <<"\n\nEnter the Name of Customer: "; std::getline(cin,Name); std::cout<<"\nEnter the Number of Customer: "; std::cin>>Number; std::string::iterator i=Name.begin(); while(i!=Name.end()) { if(isdigit(*i)) { numericname=true; } i++; } if(numericname) { throw "Name cannot be numeric."; } } catch(string message) { cout<<"\nError Found: "<< message <<"\n\n"; } Why am I getting unhandled exception error ? Even after I have added the catch block to catch thrown string messages?

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  • Magento: Add (and retrieve) custom database field for CMS pages

    - by Toby H
    I want to assign custom parameters to CMS pages in Magento (i.e. 'about', 'customer service', etc), so they can be grouped. The end goal is to use the parameters for each page to show (or hide) them in a nav menu. Writing a quick method in the page/html block to retrieve the pages (active only) for the menu was easy, but I can't figure out how to group them so that 'testimonials', 'history', and 'contact' are associated with 'about', and 'return policy', 'shipping', and 'contact' are associated with 'customer service'. Any help to point me in the right direction would be greatly appreciated. Thanks!

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  • Consolidating separate Loan, Purchase & Sales tables into one transaction table.

    - by Frank Computer
    INFORMIX-SE with ISQL 7.3: I have separate tables for Loan, Purchase & Sales transactions. Each tables rows are joined to their respective customer rows by: customer.id [serial] = loan.foreign_id [integer]; = purchase.foreign_id [integer]; = sale.foreign_id [integer]; I would like to consolidate the three tables into one table called "transaction", where a column "transaction.trx_type" [char(1)] {L=Loan, P=Purchase, S=Sale} identifies the transaction type. Is this a good idea or is it better to keep them in separate tables? Storage space is not a concern, I think it would be easier programming & user=wise to have all types of transactions under one table.

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  • Programming to interfaces while mapping with Fluent NHibernate.

    - by Lucious
    Fluent Mapping I Have the following scenario public class CustomerMap : ClassMap { public CustomerMap() { Table("Customer"); Id(c = c.Id); Map(c = c.Name); HasMany(c = c.Orders); } } public class OrderMap : ClassMap<IOrder> { public OrderMap() { Table("Orders"); References(o => o.Customer).Access.; Id(o => o.Id); Map(o => o.DateCreated); } } Problems When schema exported the order table has two columns ICustomer_Id,Customer_Id. refers to an unmapped class Order exception Can you please help me out?

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  • Index View Index Creation Failing

    - by aBetterGamer
    I'm trying to create an index on a view and it keeps failing, I'm pretty sure its b/c I'm using an alias for the column. Not sure how or if I can do it this way. Below is a simplified scenario. CREATE VIEW v_contracts WITH SCHEMABINDING AS SELECT t1.contractid as 'Contract.ContractID' t2.name as 'Customer.Name' FROM contract t1 JOIN customer t2 ON t1.contractid = t2.contractid GO CREATE UNIQUE CLUSTERED INDEX v_contracts_idx ON v_contracts(t1.contractid) GO --------------------------- Incorrect syntax near '.'. CREATE UNIQUE CLUSTERED INDEX v_contracts_idx ON v_contracts(contractid) GO --------------------------- Column name 'contractid' does not exist in the target table or view. CREATE UNIQUE CLUSTERED INDEX v_contracts_idx ON v_contracts(Contract.ContractID) GO --------------------------- Incorrect syntax near '.'. Anyone know how to create an indexed view using aliased columns please let me know.

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  • Efficient retrieval of lists over WebServices

    - by Chris
    I have a WCF WebService that uses LINQ and EF to connect to an SQL database. I have an ASP.NET MVC front end that collects its data from the webservice. It currently has functions such as List<Customer> GetCustomers(); As the number of customers increases massively the amount of data being passed increases also reducing efficiency. What is the best way to "page data" across WebServices etc. My current idea is to implement a crude paging system such as List<Customer> GetCustomers(int start, int length); This, however, means I would have to replicate such code for all functions returning List types. It is unfortunate that I cannot use LINQ as it would be much nicer. Does anyone have any advice or ideas of patterns to implement that would be "as nice as possible" Thanks

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  • Is there an free (or cheap) issue tracking software that allow you hide some issues to some member g

    - by Andrea Francia
    I need a Issue Tracking System that allow me to share information on a selective manner. I would be able to define these groups: supplier (my company) subcontractors customer Then, I would be able to define three type of permissions for issues: Issue that can be viewed only by supplier Issue that can be viewed only by supplier and subcontractors Issue that can be viewed by all (supplier, subcontractors, customer) I tried redmine but I didn't find a way of hide some issues, they are always visible. There is an open issue and a patch for that but I not sure if it suit well for my situation. With this patch you need always to remember to make it private and there is only a level of permission: private or not. I need something more flexible. EDIT: I need a software that works on Fedora Linux.

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  • How do online stores handle 2 customers that add the last item to their cart?

    - by Alex
    I'm making a store web app for a college class. I'm wondering what do stores like Amazon do when there is only 1 item left? Do they let multiple customers add the last item to their cart, and whoever checks out first gets it? Meaning that the inventory database is updated after purchase. or Do they let only one customer add the last item to their cart and remove the item from the inventory. If the customer's session times out, then the item is put back in the inventory.

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  • Optimal search queries

    - by Macros
    Following on from my last question http://stackoverflow.com/questions/2788082/sql-server-query-performance, and discovering that my method of allowing optional parameters in a search query is sub optimal, does anyone have guidelines on how to approach this? For example, say I have an application table, a customer table and a contact details table, and I want to create an SP which allows searching on some, none or all of surname, homephone, mobile and app ID, I may use something like the following: select * from application a inner join customer c on a.customerid = a.id left join contact hp on (c.id = hp.customerid and hp.contacttype = 'homephone') left join contact mob on (c.id = mob.customerid and mob.contacttype = 'mobile') where (a.ID = @ID or @ID is null) and (c.Surname = @Surname or @Surname is null) and (HP.phonenumber = @Homphone or @Homephone is null) and (MOB.phonenumber = @Mobile or @Mobile is null) The schema used above isn't real, and I wouldn't be using select * in a real world scenario, it is the construction of the where clause I am interested in. Is there a better approach, either dynamic sql or an alternative which can achieve the same result, without the need for many nested conditionals. Some SPs may have 10 - 15 criteria used in this way

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  • Beginner SQL question(s)

    - by unit
    I am two months in to an intro sql course, it's late at night, and I am drawing a blank. I have two tables, one customers, and one orders. I have to increase any customers credit limit by twenty five percent for all customers who have made two or more orders in which each order is more than the amount of 250.00. I get how to UPDATE CreditLimit * 1.25 and Cust with an order 250, but how the hell do I get it to check if they have made two orders over 250? Second question, we are just starting to take subqueries, and I am having a difficult time getting it into my skull. Another question posed by the prof of our class is to increase the credit limit of a customer who has an order that exceeds their credit limit. (Credit limit is on a customers table, order and amount are on an orders table). I then take that customer and UPDATE his CreditLimit +1000. Thanks for any help.

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