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  • Developing a Cost Model for Cloud Applications

    - by BuckWoody
    Note - please pay attention to the date of this post. As much as I attempt to make the information below accurate, the nature of distributed computing means that components, units and pricing will change over time. The definitive costs for Microsoft Windows Azure and SQL Azure are located here, and are more accurate than anything you will see in this post: http://www.microsoft.com/windowsazure/offers/  When writing software that is run on a Platform-as-a-Service (PaaS) offering like Windows Azure / SQL Azure, one of the questions you must answer is how much the system will cost. I will not discuss the comparisons between on-premise costs (which are nigh impossible to calculate accurately) versus cloud costs, but instead focus on creating a general model for estimating costs for a given application. You should be aware that there are (at this writing) two billing mechanisms for Windows and SQL Azure: “Pay-as-you-go” or consumption, and “Subscription” or commitment. Conceptually, you can consider the former a pay-as-you-go cell phone plan, where you pay by the unit used (at a slightly higher rate) and the latter as a standard cell phone plan where you commit to a contract and thus pay lower rates. In this post I’ll stick with the pay-as-you-go mechanism for simplicity, which should be the maximum cost you would pay. From there you may be able to get a lower cost if you use the other mechanism. In any case, the model you create should hold. Developing a good cost model is essential. As a developer or architect, you’ll most certainly be asked how much something will cost, and you need to have a reliable way to estimate that. Businesses and Organizations have been used to paying for servers, software licenses, and other infrastructure as an up-front cost, and power, people to the systems and so on as an ongoing (and sometimes not factored) cost. When presented with a new paradigm like distributed computing, they may not understand the true cost/value proposition, and that’s where the architect and developer can guide the conversation to make a choice based on features of the application versus the true costs. The two big buckets of use-types for these applications are customer-based and steady-state. In the customer-based use type, each successful use of the program results in a sale or income for your organization. Perhaps you’ve written an application that provides the spot-price of foo, and your customer pays for the use of that application. In that case, once you’ve estimated your cost for a successful traversal of the application, you can build that into the price you charge the user. It’s a standard restaurant model, where the price of the meal is determined by the cost of making it, plus any profit you can make. In the second use-type, the application will be used by a more-or-less constant number of processes or users and no direct revenue is attached to the system. A typical example is a customer-tracking system used by the employees within your company. In this case, the cost model is often created “in reverse” - meaning that you pilot the application, monitor the use (and costs) and that cost is held steady. This is where the comparison with an on-premise system becomes necessary, even though it is more difficult to estimate those on-premise true costs. For instance, do you know exactly how much cost the air conditioning is because you have a team of system administrators? This may sound trivial, but that, along with the insurance for the building, the wiring, and every other part of the system is in fact a cost to the business. There are three primary methods that I’ve been successful with in estimating the cost. None are perfect, all are demand-driven. The general process is to lay out a matrix of: components units cost per unit and then multiply that times the usage of the system, based on which components you use in the program. That sounds a bit simplistic, but using those metrics in a calculation becomes more detailed. In all of the methods that follow, you need to know your application. The components for a PaaS include computing instances, storage, transactions, bandwidth and in the case of SQL Azure, database size. In most cases, architects start with the first model and progress through the other methods to gain accuracy. Simple Estimation The simplest way to calculate costs is to architect the application (even UML or on-paper, no coding involved) and then estimate which of the components you’ll use, and how much of each will be used. Microsoft provides two tools to do this - one is a simple slider-application located here: http://www.microsoft.com/windowsazure/pricing-calculator/  The other is a tool you download to create an “Return on Investment” (ROI) spreadsheet, which has the advantage of leading you through various questions to estimate what you plan to use, located here: https://roianalyst.alinean.com/msft/AutoLogin.do?d=176318219048082115  You can also just create a spreadsheet yourself with a structure like this: Program Element Azure Component Unit of Measure Cost Per Unit Estimated Use of Component Total Cost Per Component Cumulative Cost               Of course, the consideration with this model is that it is difficult to predict a system that is not running or hasn’t even been developed. Which brings us to the next model type. Measure and Project A more accurate model is to actually write the code for the application, using the Software Development Kit (SDK) which can run entirely disconnected from Azure. The code should be instrumented to estimate the use of the application components, logging to a local file on the development system. A series of unit and integration tests should be run, which will create load on the test system. You can use standard development concepts to track this usage, and even use Windows Performance Monitor counters. The best place to start with this method is to use the Windows Azure Diagnostics subsystem in your code, which you can read more about here: http://blogs.msdn.com/b/sumitm/archive/2009/11/18/introducing-windows-azure-diagnostics.aspx This set of API’s greatly simplifies tracking the application, and in fact you can use this information for more than just a cost model. After you have the tracking logs, you can plug the numbers into ay of the tools above, which should give a representative cost or in some cases a unit cost. The consideration with this model is that the SDK fabric is not a one-to-one comparison with performance on the actual Windows Azure fabric. Those differences are usually smaller, but they do need to be considered. Also, you may not be able to accurately predict the load on the system, which might lead to an architectural change, which changes the model. This leads us to the next, most accurate method for a cost model. Sample and Estimate Using standard statistical and other predictive math, once the application is deployed you will get a bill each month from Microsoft for your Azure usage. The bill is quite detailed, and you can export the data from it to do analysis, and using methods like regression and so on project out into the future what the costs will be. I normally advise that the architect also extrapolate a unit cost from those metrics as well. This is the information that should be reported back to the executives that pay the bills: the past cost, future projected costs, and unit cost “per click” or “per transaction”, as your case warrants. The challenge here is in the model itself - statistical methods are not foolproof, and the larger the sample (in this case I recommend the entire population, not a smaller sample) is key. References and Tools Articles: http://blogs.msdn.com/b/patrick_butler_monterde/archive/2010/02/10/windows-azure-billing-overview.aspx http://technet.microsoft.com/en-us/magazine/gg213848.aspx http://blog.codingoutloud.com/2011/06/05/azure-faq-how-much-will-it-cost-me-to-run-my-application-on-windows-azure/ http://blogs.msdn.com/b/johnalioto/archive/2010/08/25/10054193.aspx http://geekswithblogs.net/iupdateable/archive/2010/02/08/qampa-how-can-i-calculate-the-tco-and-roi-when.aspx   Other Tools: http://cloud-assessment.com/ http://communities.quest.com/community/cloud_tools

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  • Ruby on rails model and controllers inside of different namespaces

    - by Nelson LaQuet
    OK. This is insane. I'm new to RoR and I really want to get into it as everything about it that I have seen so far makes it more appealing to the type of work that I do. However, I can't seem to accomplish a very simple thing with RoR. I want these controlers: /admin/blog/entries (index/show/edit/delete) /admin/blog/categories (index/show/edit/delete) /admin/blog/comments (index/show/edit/delete) ... and so on And these models: Blog::Entry (table: blog_entries) Blog::Category (table: blog_categories) Blog::Comments (table: blog_comments) ... and so on Now, I have already gone though quite a bit of misery to make this work. My first attempt was with generating scaffolding (I'm using 2.2.2). I generated my scaffolding, but had to move my model, then fix the references to the model in my controller (see http://stackoverflow.com/questions/903258/ruby-on-rails-model-inside-namespace-cant-be-found-in-controller). That is already a big of a pain, but hey, I got it to work. Now though form_for won't work and I cannot figure out how to use the url helpers (I have no idea what these are called... they are the automatically generated methods that return URLs to controllers associated with a model). I cannot figure out what their name is. My model is Blog::Entries. I have tried to mess with the route.rb's map's resource method, but no luck. When I attempt to use form_for with my model, I get this error undefined method `blog_entries_path' for #<ActionView::Base:0xb6848080> Now. This is really quite frustrating. I am not going to completely destroy my code's organization in order to use this framework, and if I cannot figure out how to accomplish this simple task (I have been researching this for at least 5 hours) then I simply cannot continue. Are there any ideas on how to accomplish this? Thanks EDIT Here are my routes: admin_blog_entries GET /admin_blog_entries {:controller=>"admin_blog_entries", :action=>"index"} formatted_admin_blog_entries GET /admin_blog_entries.:format {:controller=>"admin_blog_entries", :action=>"index"} POST /admin_blog_entries {:controller=>"admin_blog_entries", :action=>"create"} POST /admin_blog_entries.:format {:controller=>"admin_blog_entries", :action=>"create"} new_admin_blog_entry GET /admin_blog_entries/new {:controller=>"admin_blog_entries", :action=>"new"} formatted_new_admin_blog_entry GET /admin_blog_entries/new.:format {:controller=>"admin_blog_entries", :action=>"new"} edit_admin_blog_entry GET /admin_blog_entries/:id/edit {:controller=>"admin_blog_entries", :action=>"edit"} formatted_edit_admin_blog_entry GET /admin_blog_entries/:id/edit.:format {:controller=>"admin_blog_entries", :action=>"edit"} admin_blog_entry GET /admin_blog_entries/:id {:controller=>"admin_blog_entries", :action=>"show"} formatted_admin_blog_entry GET /admin_blog_entries/:id.:format {:controller=>"admin_blog_entries", :action=>"show"} PUT /admin_blog_entries/:id {:controller=>"admin_blog_entries", :action=>"update"} PUT /admin_blog_entries/:id.:format {:controller=>"admin_blog_entries", :action=>"update"} DELETE /admin_blog_entries/:id {:controller=>"admin_blog_entries", :action=>"destroy"} DELE

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  • Using Dynamics AX's Business Conectors to Generate Sales Orders

    - by FelipeFiali
    So, just like the title says, I need to create an application that gets data from another Database, and shoves it through Dynamics AX's throat. This data comes from a portal, not Enterprise Portal, but a PHP one. It stores some data from the order in a separate database. So as said, I need to 'import' that to AX, creating the sales orders with the data I have from the other database. Also I'd like some references on Business Conector too, does it handle all those RECIDS and references that AX uses for me? Thanks in advance. EDIT: OK, I'm able to insert records in AX's database, theres just one problem. I can't generate the internal ID. Like, the 'AccountNum' field for the CustTable. Is there a way to capture it from business connector?

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  • Custom model in ASP.NET MVC controller: Custom display message for Date DataType

    - by Rita
    Hi I have an ASP.NET MVC Page that i have to display the fields in customized Text. For that I have built a CustomModel RequestViewModel with the following fields. Description, Event, UsageDate Corresponding to these my custom Model has the below code. So that, the DisplayName is displayed on the ASP.NET MVC View page. Now being the Description and Event string Datatype, both these fields are displaying Custom DisplayMessage. But I have problem with Date Datatype. Instead of "Date of Use of Slides", it is still displaying UsageDate from the actualModel. Anybody faced this issue with DateDatatype? Appreciate your responses. Custom Model: [Required(ErrorMessage="Please provide a description")] [DisplayName("Detail Description")] [StringLength(250, ErrorMessage = "Description cannot exceed 250 chars")] // also need min length 30 public string Description { get; set; } [Required(ErrorMessage="Please specify the name or location")] [DisplayName("Name/Location of the Event")] [StringLength(250, ErrorMessage = "Name/Location cannot exceed 250 chars")] public string Event { get; set; } [Required(ErrorMessage="Please specify a date", ErrorMessageResourceType = typeof(DateTime))] [DisplayName("Date of Use of Slides")] [DataType(DataType.Date)] public string UsageDate { get; set; } ViewCode: <p> <%= Html.LabelFor(model => model.Description) %> <%= Html.TextBoxFor(model => model.Description) %> <%= Html.ValidationMessageFor(model => model.Description) %> </p> <p> <%= Html.LabelFor(model => model.Event) %> <%= Html.TextBoxFor(model => model.Event) %> <%= Html.ValidationMessageFor(model => model.Event) %> </p> <p> <%= Html.LabelFor(model => model.UsageDate) %> <%= Html.TextBoxFor(model => model.UsageDate) %> <%= Html.ValidationMessageFor(model => model.UsageDate) %> </p>

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  • Criteria to Evaluate Business Rules Engines

    - by flybywire
    We are shopping for Business Rules Engines. We want to make our core application customizable to different customers with slightly different requirements. The people who would actually do the customizations are analysts. I.e. non-programmers who are technically skilled (usually have a degree in sciences). What are the criteria to evaluate business rules engines? Are there open source and comercial ones? What are your experiences in ease of use, documentation, support, price, etc. Our app is in Java.

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  • Design of Business Layer

    - by Adil Mughal
    Hi, We are currently revamping our architecture and design of application. We have just completed design of Data Access Layer which is generic in the sense that it works using XML and reflection to persist data. Any ways now we are in the phase of designing business layer. We have read some books related to Enterprise Architecture and Design so we have found that there are few patterns that can be applied on business layer. Table Pattern and Domain Model are example of such patterns. Also we have found Domain Driven Design as well. Earlier we decided to build Entities against table objects. But we found that there is difference in Entities and Value Objects when it comes to DDD. For those of you who have gone through such design. Please guide me related to pattern, practice and sample. Thank you in advance! Also please feel free to discuss if you didn't get any point of mine.

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  • What's faster Model.get(keys) or Model.get_by_id(ids, parent=None)

    - by WooYek
    I'm wondering is there a difference in terms of computing cost for the Model.get(keys) and Model.get_by_id(ids, parent=None) methods? Is there a server side computing advantage of using numeric id's over encoded string keys, or other way around? How big is the difference? PS. Sorry, if it's a dupe. I'm sure I read an article about it, but I cannot find it now.

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  • Why is the W3C box model considered better?

    - by Mel
    Why do most developers consider the W3C box-model to be better than the box-model used by Internet Explorer? I know it's very frustrating developing pages that look the way you want them on Internet Explorer, but I find the W3C box-model to be counter-intuitive. For example, if margins, padding, and border were factored into the width, I could assign fixed width values for all my columns without having to worry about how many columns I have and what changes I make to my padding and margins. Under W3C box model I have to worry about how many columns I have, and develop something akin to a mathematical formula to calculate my values. Changing them would nightmarish, especially for complex layouts. My novice opinion is that it's more restrictive. Consider this small frame-work I wrote: #content { margin:0 auto 30px auto; padding:0 30px 30px 30px; width:900px; } #content .column { float:left; margin:0 20px 20px 20px; } #content .first { margin-left:0; } #content .last { margin-right:0; } .width_1-4 { width:195px; } .width_1-3 { width:273px; } .width_1-2 { width:430px; } .width_3-4 { width:645px; } .width_1-1 { width:900px; } These values I have assigned here will falter unless there are three columns, and thus the margins at 0(first)+20+20+20+20+0(last). It would be a disaster if I wanted to add padding to my columns too, as my entire setup would have to be re calibrated. Now imagine if column width incorporated all the other elements, all I would need to do is change one associated value, and I have my layout. I'm less criticizing it and more hoping to understand why it's better, or why I'm finding it more difficult. Am I doing this whole thing wrong? I don't know very much about this topic, but it seems counter intuitive to use W3C's box-model. Some advice would be really appreciated. Thanks

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  • Can Windows Mobile Synch Services use a business layer

    - by Andy Kakembo
    We're building a Win Mobile 6 warehouse app which needs to update our server based corporate DB. We've got a C# business layer that sits on our app server and we'd really like our warehouse app to go through this. We also like MS Synch Services. Is there a way to combine the two ie can we use sync services but get them to go through our business layer ? Has anyone done this and got an example I can follow ? Is there a best practice for this kind of scenario ? Thanks, Andy

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  • Better product to develop for, iPad or Android based tablet in a purely business related application

    - by Caylem
    Hey guys Just wondering what you'd suggest as the best platform for developing a business application for a tablet device. The application needs to be multitouch, have access to a maps API, a database on the device. It will not be going on sale in the app store or Androids market, it is purely for specific business task and not for the general consumer. Obviously the options seem to be iPhone OS and the iPad or Android and an Android tablet device. The form factor for the end product requires something in the region of 8 inch+ screen and enough processing power to provide a good experience for the end user. Any help would be much appreciated. Thanks

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  • .Net - Whats the difference between a Session Facade and Business Delegate?

    - by KP65
    What I understand so far: Business Delegate - In the presentation tier, as an ASP component, provides an interface for ASP views to access business components without exposing their API, therefore reducing coupling between the two. Session Facade - In the business tier, as a com+ component, encapsulates business objects, provides a course grain interface for views to access business components. Reduces coupling, hides complex business component interaction from views. So what is the actual difference? They seem pretty similar to me..

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  • Instantiate a model when the kind of model needed is represented as a string argument

    - by indiehacker
    My input data is a string representing the kind of datastore model I want to make. In python, I am using the eval() function to instantiate the model (below code), but this seems overly complex so I was wondering if there is a simpler way people normally do this? >>>model_kind="TextPixels" >>>key_name_eval="key_name" >>>key_name="key_name" >>>kwargs {'lat': [0, 1, 2, 3], 'stringText': 'boris,ted', 'lon': [0, 1, 2, 8], 'zooms': [0, 10]} >>>obj=eval( model_type + '(key_name='+tester+ ',**kwargs )' ) >>>obj <datamodel.TextPixels object at 0xed8808c>

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  • Infor PM (Business Intelligence solution)

    - by Andrew
    We are currently implementing the commercial Infor PM (Performance Management) package as a business intelligence tool. Infor PM website It is apparently used by over 1,000 companies around the world, but I have found scant information about it on the net except for what's on their own website. It covers the whole range of data warehousing and BI functions with: an OLAP environment an ETL tool a report writer (called Application Studio) an add-on to Excel to connect to the data in the cubes through a pivot table etc Does anyone have any experience with using this package? How does it compare to the big players in BI (Cognos, Microsoft SSAS, Business Objects, etc). Any pitfalls I should know about? On the other hand, does it do anything better than its competitors?

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  • Reminder: ATG Live Webcast June 29th: Reducing TCO Using Oracle E-Business Suite Management Packs

    - by Steven Chan (Oracle Development)
    Reminder: Our next ATG Live Webcast is happening tomorrow, Thursday, June 29th: How to Reduce TCO Using Oracle E-Business Suite Management Packs This one-hour webcast provides an overview of how EBS sysadmins can make their lives easier with the Management Packs for Oracle E-Business Suite Release 12.x. This session will highlight key features in Applications Management Pack (AMP) and Applications Change Management Pack (ACMP) that can automate or streamline some of the tasks needed to: Manage your EBS system configurations Monitor your EBS environment's performance and uptime Keep multiple EBS environments in sync with their patches and configurations Create patches for your EBS customizations and apply them with Oracle's own patching tools There will also be a special mention of Oracle E-Business Suite Adapter. How to Reduce TCO Using Oracle E-Business Suite Management Packs Date: Thursday, June 30, 2011 Time: 8:00 AM - 9:00 AM Pacific Standard Time (4.00 PM - 5.00 PM GMT) Presenters: Angelo Rosado, Product Manager, ATG Development Registration Link to Webcast Event Dial-in Numbers: U.S. Participants: 877-697-8128 International Participants: 706-634-9568 Passcode: You will receive this with your registration confirmation. Related Articles Oracle E-Business Suite Plug-in 4.0 Released for OEM 11g (11.1.0.1) ATG Live Webcast Replay Available: EBS 12 OAF Rich UI Enhancements WebCast Replay Available: Deploying Oracle VM Templates for E-Business Suite and PeopleSoft

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  • E-Business Tax Release 12 Setup - US Location Based Taxes Part 1, Prerequisities & Regimes

    - by Robert Story
    Upcoming WebcastTitle: E-Business Tax Release 12 Setup - US Location Based Taxes Part 1, Prerequisities & RegimesDate: April 28, 2010 Time: 12:00 pm EDT Product Family: Receivables Community Summary This one-hour session is part one of two on setting up a fresh implementation of US Location Based Taxes in Oracle E-Business Tax.  It is recommended for functional users who wish to understand the steps involved in setting up E-Business Tax in Release 12. Topics will include: Overview of E-Business TaxLocation setupRegime to Rate FlowTax RegimesTaxesTax StatusesTax JurisdictionsTax Recovery RatesTax RatesSubscribing the Operation Unit to a Regime to Rate FlowBrief Demonstration A short, live demonstration (only if applicable) and question and answer period will be included. Click here to register for this session....... ....... ....... ....... ....... ....... .......The above webcast is a service of the E-Business Suite Communities in My Oracle Support.For more information on other webcasts, please reference the Oracle Advisor Webcast Schedule.Click here to visit the E-Business Communities in My Oracle Support Note that all links require access to My Oracle Support.

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  • Partner Pricing- und Business Practices-Update jetzt erhältlich

    - by swalker
    Klicken Sie hier, um das Partner Business Practices-Update vom 25. Oktober 2011 zu erhalten.* (PDF) Was ist im Partner Pricing- und Business Practices-Update vom 25. Oktober enthalten? Themen im Hinblick auf Preisstruktur und Lizenzierung Exalogic and SPARC SuperCluster Update Oracle Technologie-Update Oracle Fusion Applications Update Oracle Fusion Cloud Service-Update Update zur Oracle Application Integration Architecture Siebel CRM  Applications Update Oracle CRM On Demand Update Business Process Outsourcing-Update Ungeachtet aller gegenteiligen Festlegungen in einer Partnerbereitstellungsvereinbarung bleiben alle vorhandenen, gültigen Angebote, die von Partnern an Endkunden vor dem 1. September 2011 ausgegeben werden und von den Preis- und Lizenzierungsänderungen vom 25. Oktober 2011 betroffen sind, gültig. Bestellungen, die von Partnern nach diesen Angeboten eingesendet werden, werden bis zum 30. November 2011 berücksichtigt. Partnerangebote, die am oder nach dem 1. September 2011 an Enduser weitergegeben werden, unterliegen den Bedingungen der Bereitstellungsvereinbarung des Partners. Was müssen Sie tun? Besuchen Sie regelmäßig die Seite mit den Partner Pricing- und Business Practices-Updates auf dem OPN-Portal, um mehr über diese Aktualisierungen zu erfahren und bezüglich der neuesten Erklärungen und Ressourcen zu Preis-, Lizenzierungs- und Geschäftspraktiken auf dem aktuellen Stand zu sein. Weitere Informationen Um auf die Partner Pricing- und Business Practices-Updates und das Archiv aller Partner Pricing- und Business Practices-Updates zuzugreifen, klicken Sie hier. * Vertraulich: Die in dieser Mitteilung enthaltenen Informationen richten sich an die Mitglieder des Oracle PartnerNetwork. Bei diesen Informationen handelt es sich um vertrauliche Informationen von Oracle. Sie dürfen von Ihnen nur im Zusammenhang mit dem Vertrieb oder der Implementierung von Oracle Produkten oder Services bei Endkunden oder autorisierten Oracle Partner verwendet werden.

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  • Oracle E-Business Suite Release 12.1 Certified on Solaris 11

    - by John Abraham
    Oracle Solaris 11 was announced last week, and I'm pleased to also announce that Oracle E-Business Suite Release 12.1 is now certified on Oracle Solaris on SPARC (64-bit). This new operating system release represents a culmination of years of hard work by our Solaris engineering group.  It has a number of new and advanced features including simplified deployment and lifecycle management tools, built-in certified virtualization technologies, support on the latest generation SPARC chips, and more. New installations of the E-Business Suite R12 on this platform will require version 12.1.1 or higher and the latest Rapid Install startCD version 12.1.1.13.  For existing 12.1 installations, we have also certified an "in place" OS upgrade or the use of cloning to a target Solaris 11 system. There are also specific requirements to upgrade technology components such as the Oracle Database and Fusion Middleware.  These requirements are noted in the links below. References Oracle E-Business Suite Installation and Upgrade Notes Release 12 (12.1.1) for Oracle Solaris on SPARC (64-bit) (My Oracle Support Document 761568.1) Oracle Database Installation Guide 11g Release 2 (11.2) for Oracle Solaris Interoperability Notes Oracle E-Business Suite Release 12 with Oracle Database 11g Release 2 (11.2.0) (My Oracle Support Document 1058763.1) Cloning Oracle Applications Release 12 with Rapid Clone (My Oracle Support Document 406982.1) Related Articles New Rapid Install StartCD (12.1.1.13) for Oracle E-Business Suite Release 12.1 Now Available Oracle E-Business Suite Release 12.1.3 Now Available

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  • Data Management Business Continuity Planning

    Business Continuity Governance In order to ensure data continuity for an organization, they need to ensure they know how to handle a data or network emergency because all systems have the potential to fail. Data Continuity Checklist: Disaster Recovery Plan/Policy Backups Redundancy Trained Staff Business Continuity Policies In order to protect data in case of any emergency a company needs to put in place a Disaster recovery plan and policies that can be executed by IT staff to ensure the continuity of the existing data and/or limit the amount of data that is not contiguous.  A disaster recovery plan is a comprehensive statement of consistent actions to be taken before, during and after a disaster, according to Geoffrey H. Wold. He also states that the primary objective of disaster recovery planning is to protect the organization in the event that all or parts of its operations and/or computer services are rendered unusable. Furthermore, companies can mandate through policies that IT must maintain redundant hardware in case of any hardware failures and redundant network connectivity incase the primary internet service provider goes down.  Additionally, they can require that all staff be trained in regards to the Disaster recovery policy to ensure that all parties evolved are knowledgeable to execute the recovery plan. Business Continuity Procedures Business continuity procedure vary from organization to origination, however there are standard procedures that most originations should follow. Standard Business Continuity Procedures Backup and Test Backups to ensure that they work Hire knowledgeable and trainable staff  Offer training on new and existing systems Regularly monitor, test, maintain, and upgrade existing system hardware and applications Maintain redundancy regarding all data, and critical business functionality

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  • Oracle Business Intelligence Applications 10g Bootcamp

    - by mseika
    Oracle Business Intelligence Applications 10g Bootcamp 12th - 15th February 2012, Reading (UK) The Oracle Business Intelligence Applications offer out-of-the-box integration with Siebel CRM and Oracle eBusiness Suite and provide pre-built Operational BI solutions for eBusiness Suite, Peoplesoft, Siebel, and SAP. This training will provide attendees with an in-depth working understanding of the architecture, the technical and the functional content of the Oracle Business Intelligence Applications, whilst also providing an understanding of their installation, configuration and extension. The course will cover the following topics:• Overview of Oracle Business Intelligence Applications• Oracle BI Applications Fundamentals and Features• Configuring BI Applications for Oracle E-Business Suite• Understanding BI Applications Architecture• Fundamentals of BI Applications Security REGISTER NOW Partner Registration Guide Price: FREE Cookham RoomOracle Corporation UK LtdOracle ParkwayThames Valley ParkReading, Berkshire RG6 1RA12th - 15th February 20129:30 am – 5:00 pm BST AudienceThe seminar is aimed at BI Consultants and Implementation Consultants within Oracle's Gold and Platinum Partners. Prerequisites• Good understanding of basic data warehousing concepts• Hands on experience in Oracle Business Intelligence Enterprise Edition• Hands on experience in Informatica• Some understanding of Oracle BI Applications is required (See Sales & Technical Tutorials for OBI, BI-Apps and Hyperion EPM) • Good understanding of any of the following Oracle EBS modules: General Ledger, Accounts Receivables, Accounts Payables System Requirements Please note that attendees are required to have a laptop. Laptop• 4GB RAM-Recognized by Windows 64 bits• 80GB free space in Hard drive or External Device• CPU Core 2 Duo or HigherOperating System Requirements• Windows 7, Windows XP, Windows 2003• NOT ALLOWED with Windows Vista• An Administrator User For more information please contact [email protected].

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  • Oracle E-Business Suite is Helping to Save Lives at the National Marrow Donor Program

    - by Di Seghposs
    To improve the management of its life-saving operations, the National Marrow Donor Program recently modernized its financial and procurement operations by upgrading to Oracle E-Business Suite 12.1.   As the global leader in bone marrow and umbilical cord blood transplants, the NMDP manages a complex ecosystem of donor, patient, hospital, and biological data. “Maintaining accurate data and having an efficient matching process is essential, particularly as our global database of bone marrow patients grows and donor lists expand,” says Bruce Schmaltz, director of finance/controller. “We rely on the Oracle E-Business Suite to ensure our procurement and financial management processes meet the highest standards, enabling our growing non-profit to work swiftly and efficiently to help improve and save lives.” As the non-profit organization and its registry grew larger, NMDP needed a modern platform to store and integrate its financial information and complicated procurement process. It selected Oracle E-Business Suite for its ability to fit seamlessly into NMDP’s enterprise architecture. NMDP initially implemented Oracle E-Business Suite release 12 by leveraging Oracle Business Accelerators, which are rapid implementation tools and templates that help reduce implementation time and costs. With Oracle Financial Management and Oracle Procurement, NMDP has streamlined back-office processes and integrated its procure-to-pay business processes by leveraging industry leading accounts payable, accounts receivable, and general ledger modules. NMDP is currently rolling out Oracle Hyperion Performance Management applications and plans to implement Oracle Order Management and Oracle Advanced Pricing by the end of 2012. Read more details about NMDP’s modernization efforts.  For more updates on Oracle Financial Management Solutions, view our November 2012 Oracle Information InDepth Financial Management newsletter. Subscribe Now. 

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  • Business Forces: SOA Adoption

    The only constant in today’s business environment is change. Businesses that continuously foresee change and adapt quickly will gain market share and increased growth. In our ever growing global business environment change is driven by data in regards to collecting, maintaining, verifying and distributing data.  Companies today are made and broken over data. Would anyone still use Google if they did not have one of the most accurate search indexes on the internet? No, because their value is in their data and the quality of their data. Due to the increasing focus on data, companies have been adopting new methodologies for gaining more control over their data while attempting to reduce the costs of maintaining it. In addition, companies are also trying to reduce the time it takes to analyze data in regards to various market forces to foresee changes prior to them actually occurring.   Benefits of Adopting SOA Services can be maintained separately from other services and applications so that a change in one service will only affect itself and client services or applications. The advent of services allows for system functionality to be distributed across a network or multiple networks. The costs associated with maintain business functionality is much higher in standard application development over SOA due to the fact that one Services can be maintained and shared to other applications instead of multiple instances of business functionality being duplicated via hard coding in to several applications. When multiple applications use a single service for a specific business function then the all of the data being processed will be consistent in terms of quality and accuracy through the applications. Disadvantages of Adopting SOA Increased initial costs and timelines are associated with SOA due to the fact that services need to be created as well as applications need to be modified to call the services In order for an SOA project to be successful the project must obtain company and management support in order to gain the proper exposure, funding, and attention. If SOA is new to a company they must also support the proper training in order for the project to be designed, and implemented correctly. References: Tews, R. (2007). Beyond IT: Exploring the Business Value of SOA. SOA Magazine Issue XI.

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