Search Results

Search found 12506 results on 501 pages for 'business transaction mana'.

Page 84/501 | < Previous Page | 80 81 82 83 84 85 86 87 88 89 90 91  | Next Page >

  • What at the Best Practices and tools for managing Windows Desktops from a linux sever ?

    - by JJ
    I know this is a loaded question! What are the best ways to manage Windows (2000, XP, Vista, Win7) workstation from a centralized linux server. I would like to replace the fuctionaility of MS SBS Server with a linux box. The following issues would need to be addressed. File Sharing Authentication, Authorization, and Access Control Software Installation Centralized Login Script Centralized Backup

    Read the article

  • Can anyone recommend a good BSS/OSS platform for a voip provider?

    - by john unkas
    We are a voip startup and want to launch a voip service, while we have the call control platform (broadworks) we are wondering what BSS/OSS platform to use. Our options are to buy a turnkey solution (if it exists) or else to glue together opensource and commerical offerings to create a complete solution. BSS components we're looking for are identity management, billing, rating, product catalogue, subscription management, reporting, etc..

    Read the article

  • Easy to use booking software?

    - by drozzy
    Looking for an easy to use B&B booking software that will allow the owner to schedule and rent rooms. It would ideally have a windows client (with cloud sync) and thinking mobile app for reminders and such. Calendar with automatic scheduling of some sort would be great too. Anyone heard of something along these lines? If not - any suggestions of API's or services that one could start with to roll their own solution?

    Read the article

  • Unable to connect to sharedfax error

    - by Owl
    I'm running SBS2k on a machine with a 56k modem for all outgoing faxes. We have a terminal server running server 2003 enterprise and in printers the sharedfax shows "unable to connect status". When you right-click, properties, it gives you an error saying the spool service is not running and you cannot view properties. The spooler service is indeed running on the 2k3 server because I can view the other printer's properties..and on 2k I show the Microsoft Shared Fax service AND Print Spooler as started. Here's the tricky part, I can add the shared fax printer on a domain computer locally (Windows XP) and it will show ready status and I can send faxes, they show up on the 2k server's fax console manager as in progress. I've sent a couple from a few different workstations today successfully, but still unable to send from 2k3 terminal services.

    Read the article

  • Oracle E-Business Financials Recommended Patch Collections (RPCs) for R12.1.3 Have Been Released for August 2012

    - by Oracle_EBS
    What is a Recommended Patch Collection (RPC)? An RPC is a collection of recommended patches consolidated into a single, downloadable patch, ready to be applied. The RPCs are created with the following goals in mind: Stability: Address issues that occur often and interfere with the normal completion of crucial business processes, such as period close--as observed by Oracle Development and Global Customer Support. Root Cause Fixes: Deliver a root cause fix for data corruption issues that delay period close, normal transaction flow actions, performance, and other issues. Compact: While bundling a large number of important corrections, we have kept the file footprint as small as possible to facilitate uptake and minimize testing. Reliable: Reliable code with multiple customer downloads and comprehensive testing by QA, Support and Proactive Support. RPCs are available for the following products: Cash Management Collections E-Business Tax Financials for India Fixed Assets General Ledger Internet Expenses iReceivables Loans Payables Payments Receivables Subledger Accounting For the latest Financials Recommended Patch Collections (RPCs), please view: EBS: R12.1 Oracle Financials Recommended Patches [Doc ID 954704.1].

    Read the article

  • Is there a title for someone who is both a Software Developer and a Business Analyst?

    - by gyin
    I usually see two job titles in the IT industry. My understanding of their most commonly accepted usage (simplified): Business Analyst: Main role is eliciting the users' needs Software Developer Main role is to design, build and test a software solution answering the needs I'm wondering: "How we should call somebody whose role is to do both of the roles above?" Is this a common job title? And is trying to find people with these broadness of skills realistic, difficult? EDIT: I'm specifically interested to name Lead Software Developers who have eventually learned and can apply techniques of Business Analysis.

    Read the article

  • What is the Your Favorite Managed Anti-Virus for a Small Workgroup (under 25 Machines)? [closed]

    - by arrocharJames
    I am a solo IT employee for a small company that has a couple of servers and 10 workstations (Windows and Mac, Macs do not run AV software). I want to centrally manage Anti-Virus for all the computers with some sort of control panel. I have been using Symantec Corporate versions for years, but the latest version (Symantec Endpoint Protection 11.x) is totally over-complicated, and aimed at enterprises with 1000s of computers. Can anyone recommend something reliable, centrally managed, and simple?

    Read the article

  • Is CodeIgniter PHP Framework suitable for large ERP or Business Application?

    - by adietan63
    Is CodeIgniter is recommended for a large web based ERP or Business Application? I want to use CodeIgniter for my future Project and I'm so confused whether to use it or not. Im so worried about in the long term process or lifetime of the application that it may crashed or produce a bug or error. I also worried about the performance of the framework when the data becomes larger and containing millions of records. I searched on the internet the answer but there is no exactly answer that will satisfy me. I think this question is important for the programmers like me who wanted to use PHP Framework for their large business application. I need an advice from you guys in order to decide whether to use it or not. thank you very much!

    Read the article

  • where to enlist transaction with parent child delete (repository or bll)?

    - by Caroline Showden
    My app uses a business layer which calls a repository which uses linq to sql. I have an Item class that has an enum type property and an ItemDetail property. I need to implement a delete method that: (1) always delete the Item (2) if the item.type is XYZ and the ItemDetail is not null, delete the ItemDetail as well. My question is where should this logic be housed? If I have it in my business logic which I would prefer, this involves two separate repository calls, each of which uses a separate datacontext. I would have to wrap both calls is a System.Transaction which (in sql 2005) get promoted to a distributed transaction which is not ideal. I can move it all to a single repository call and the transaction will be handled implicitly by the datacontext but feel that this is really business logic so does not belong in the repository. Thoughts? Carrie

    Read the article

  • SAP Shortcut file - How to redirect to specific transaction screen in SAP?

    - by Kiru
    Problem : How to redirect the user to a specific executed transaction screen in SAP? Generated the SAP shortcut and able to redirect the user to specific transaction screen. It is also possible to prefill the required input parameters. The corresponding line in the shortcut is- Command=AB12 RIWO00-input1=200001212; where AB12 is the trasaction, and input1 is the input parameter. This will open that SAP screen, with AB12 transaction and the input parameter would be filled with values. But this mandates the user to clicks on enter explicitly/click on execute button explicitly after opening through the shortcut file. Is it possible to include that enter also in the shortcut file? Thank you :)

    Read the article

  • Suggest name for Computer Repair company...

    - by user69514
    Since I am unemployed at the moment, I decided to start a small business for computer repair. Can you help out with some ideas for the name for this new company? I was thinking of something like Computer Associates, or Computer Squad, but they sound a little cheesy. I wanted something a little more professional. Thanks for any suggestions.

    Read the article

  • Rails, Edit page update in a window

    - by Mike
    I have my code working so that I have a table of businesses. There's a pencil icon you can click on the edit the business information. The edit information comes up in a partial inside of a modal pop up box. The only problem is that once they make the changes they want and click update, it sends them to the 'show' page for that business. What I want to happen is have the pop up box close and have it update the information. This is my update function in my controller. def update @business = Business.find(params[:id]) respond_to do |format| if @business.update_attributes(params[:business]) flash[:notice] = 'Business was successfully updated.' format.html { redirect_to(business_url(@business)) } format.js else format.html { render :action => "edit" } format.xml { render :xml => @business.errors, :status => :unprocessable_entity } end end end I tried following railscast 43 and i created an .rjs file but I couldn't get that to work at all. My update was still taking me to the show page. Any help would be appreciated. EDIT: Added some more code. <% form_for(@business) do |f| %> <%= f.error_messages %> <p> <%= f.label :name %><br /> <%= f.text_field :name %> </p> ... <%= f.label :business_category %><br /> <%= f.select :business_category_id, @business_categories_map, :selected => @business.business_category_id %> </p> <p> <%= f.label :description %><br /> <%= f.text_area :description %> </p> <p> <%= f.submit 'Update' %> </p> <% end %> This is my form inside of my edit page which is being called through the index in a pop up by: <div id="popupEdit<%=h business.id %>" class="popupContact"> <a class="popupClose<%=h business.id %>" id="popupClose">x</a> <% if business.business_category_id %> <% @business = business %> <%= render "business/edit" %> <% end %> </div>

    Read the article

  • MySQL Simple query gives "Query was empty". Transaction help needed I think.

    - by user129609
    Hi, I'm trying to do a simple transaction in MySQL delimiter go start transaction; BEGIN DECLARE EXIT HANDLER FOR SQLEXCEPTION, SQLWARNING, NOT FOUND ROLLBACK; INSERT INTO jext_categories (Name) VALUES ('asdfas'); INSERT INTO jext_categories (Name) VALUES ('asdfas2'); END; commit; SELECT * FROM jext_categories; go delimiter ; but I keep getting an error saying query was empty. Could someone please tell me what I am doing wrong, and also, what is the proper format for doing a transaction in MySQL? Thanks!

    Read the article

  • Can you modify SQL DB schema in a transaction to know if all changes were applied?

    - by Chris F
    As part of my (new) database version control methodology, I'm writing a "change script" and want the change script to insert a new row into the SchemaChangeLog table if the script is executed successfully, or to reverse changes if any single change in the script fails. Is it possible to do schema changes in a transaction and only if it gets committed to then do the INSERT? For example (psuedo-code, I'm not too good with SQL): SET XACT_ABORT ON BEGIN TRANSACTION PRINT 'Add Col2 to Table1' IF NOT EXIST (SELECT * FROM sys.columns WHERE NAME='Col2' AND object_id=OBJECT_ID('Table1')) BEGIN ALTER TABLE [dbo].[Table1] ADD Col2 int NULL END -- maybe COMMIT here? INSERT INTO SchemaChangeLog VALUES(...) COMMIT TRANSACTION

    Read the article

  • 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.

    Read the article

  • NHibernate BusinessRules

    - by mr0zek
    I need implement business using nhibernate ORM I have two entites Project (Id,Name,Effort) Task (Id,Name,Effort) I need update Effort in Project when Effort in Task changes. How to do it ? I have planed to use event system build in nhibernate but still don't know how to access to Project entity within Task Event

    Read the article

  • Why did Sun develop the Java platform? [closed]

    - by nic28
    Why did Sun (now owned by Oracle, I know) develop the Java Plaform? How does it make business sense? It seems to me like it would be a very expensive project (also, any ideas on how much they spent/are spending to develop/maintain the platform?). Are they making money by selling support or something?

    Read the article

  • Invoice Discount: Negative line items vs Internal properties

    - by FreshCode
    Should discount on invoice items and entire invoices be negative line items or separate properties of an invoice? In a similar question, Should I incorporate list of fees/discounts into an order class or have them be itemlines, the asker focuses more on orders than invoices (which is a slightly different business entity). Discount is proposed to be separate from order items since it is not equivalent to a fee or product and may have different reporting requirements. Hence, discount should not simply be a negative line item. Previously I have successfully used negative line items to clearly indicate and calculate discount, but this feels inflexible and inaccurate from a business perspective. Now I am opting to add discount to each line item, along with an invoice-wide discount. Is this the right way to do it? Should each item have its own discount amount and percentage? Domain Model Code Sample This is what my domain model, which maps to an SQL repository, looks like: public class Invoice { public int ID { get; set; } public Guid JobID { get; set; } public string InvoiceNumber { get; set; } public Guid UserId { get; set; } // user who created it public DateTime Date { get; set; } public decimal DiscountPercent { get; set; } // all lines discount %? public decimal DiscountAmount { get; set; } // all lines discount $? public LazyList<InvoiceLine> InvoiceLines { get; set; } public LazyList<Payment> Payments { get; set; } // for payments received public boolean IsVoided { get; set; } // Invoices are immutable. // To change: void -> new invoice. public decimal Total { get { return (1.0M - DiscountPercent) * InvoiceLines.Sum(i => i.LineTotal) - DiscountAmount; } } } public class InvoiceLine { public int ID { get; set; } public int InvoiceID { get; set; } public string Title { get; set; } public decimal Quantity { get; set; } public decimal LineItemPrice { get; set; } public decimal DiscountPercent { get; set; } // line discount %? public decimal DiscountAmount { get; set; } // line discount amount? public decimal LineTotal { get { return (1.0M - DiscountPercent) * (this.Quantity * (this.LineItemPrice)) - DiscountAmount; } } }

    Read the article

  • Force validation on bound controls in WPF

    - by Valentin Vasilyev
    Hello. I have a WPF dialog with a couple of textboxes on it. Textboxes are bound to my business object and have WPF validation rules attached. The problem is that user can perfectly click 'OK' button and close the dialog, without actually entering the data into textboxes. Validation rules never fire, since user didn't even attempt entering the information into textboxes. Is it possible to force validation checks and determine if some validation rules are broken? I would be able to do it when user tries to close the dialog and prohibit him from doing it if any validation rules are broken. Thank you.

    Read the article

  • In SQL Server Business Intelligence, why would I create a report model from an OLAP cube?

    - by ngm
    In Business Intelligence Developer Studio, I'm wondering why one would want to create a report model from an OLAP cube. As far as I understand it, OLAP cubes and report models are both business-oriented views of underlying structures (usually relational databases) that may not mean much to a business user. The cube is a multidimensional view in terms of dimensions and measures, and the report model is... well I'm not sure entirely -- is it a more business-oriented, but still essentially relational view? Anyway, in Report Builder I can connect directly to both an OLAP cube or a report model. So I don't see why, if I have an OLAP cube which already provides a business-oriented view of the data suitable for end-users, why I would then convert that to a report model and use that in Report Builder instead. I think I'm obviously missing some fundamental difference between report models and cubes -- any help appreciated!

    Read the article

  • Cost of using ASP.NET

    - by Mackristo
    One thing that I keep hearing in reference to ASP.NET and MSFT technologies is that they cost money to use. Often when they are being compared to open source languages someone will mention that one factor in favor of open source is that it's free (to an extent). My question is, when does ASP.NET actually cost money to use in terms of using the proprietary technology? Understandably there are the hosting fees, but I'm curious about the fees outside of these hosting fees. I'm especially curious about this as it relates one-person smaller-site development (non-team/large enterprise). Any help is appreciated. (edits) Some excellent answers. Much appreciated The projects that I'm looking to use the technologies for would be personal sites and very small business sites (1 or 2). The intent would of course be that these projects get much bigger. It seems that for commercial production, fees will apply. What about just basic dynamic "shared hosting" sites that provide information?

    Read the article

  • How to handle BL cache for multiple web applications?

    - by Eran Betzalel
    I recently received a project that contains multiple web applications with no MVC structure. For starters I've created a library (DLL) that will contain the main Business Logic. The problem is with Caching - If I use the current web context cache object than I might end up with duplicate caching (as the web context will be different for every application). I'm currently thinking about implementing a simple caching mechanism with a singleton pattern that will allow the different web sites (aka different application domains) to share their "caching wisdom". I'd like to know what is the best way to solve this problem.

    Read the article

  • DataTable to Object collection

    - by Kenneth Cochran
    I'm working on a data import feature and I've been able to load an excel sheet into a DataTable using Ado.NET with the MSJet db engine. I created a simple one-to-one mapping dialog, in which the user drags column headings from their spreadsheet to a list of object properties. What's stumping me is how to turn each DataRow into a business object. Is there an easy way to do this? If there is a better way than using a DataTable as a middleman I'm open to suggestion? I use NHibernate extensively through out the rest of my program but I couldn't find any attempts to map to an excel spreadsheet. I went with a DataTable because the technique was well documented.

    Read the article

  • Advice needed: What tech expertise do I need to accomplish my goal?

    - by quaternion
    I have a business plan & money to hire a developer - the essentials involve simple online games for children (played via traditional computer over the internet) such that their scores are uploaded to a database that can be viewed via a nice portal. What I don't know is: what technologies I would want my developer to know (the only somewhat unusual requirement I have is that the games have relatively accurate timing of keypresses/mouse presses) how much I should expect to pay (in general, what is the appropriate range) how many hours a program of the complexity of a simple tower defense -type game should take to develop (to be clear, the idea is not to implement TD, but rather other games of similar complexity) whether I should go with capable acquaintances, some online kind of online web-dev bidding site, or just try to find a capable undergraduate at the local university who I can wow with his/her first big paycheck, how I should communicate the software's specifications to my hired developer... Is there a standard I should be using? whether I should hire a webdev consultant for a few hours to help me answer these questions, instead of asking stackoverflow Thanks for any advice!

    Read the article

< Previous Page | 80 81 82 83 84 85 86 87 88 89 90 91  | Next Page >