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  • Integrating Oracle Hyperion Smart View Data Queries with MS Word and Power Point

    - by Andreea Vaduva
    Untitled Document table { border: thin solid; } Most Smart View users probably appreciate that they can use just one add-in to access data from the different sources they might work with, like Oracle Essbase, Oracle Hyperion Planning, Oracle Hyperion Financial Management and others. But not all of them are aware of the options to integrate data analyses not only in Excel, but also in MS Word or Power Point. While in the past, copying and pasting single numbers or tables from a recent analysis in Excel made the pasted content a static snapshot, copying so called Data Points now creates dynamic, updateable references to the data source. It also provides additional nice features, which can make life easier and less stressful for Smart View users. So, how does this option work: after building an ad-hoc analysis with Smart View as usual in an Excel worksheet, any area including data cells/numbers from the database can be highlighted in order to copy data points - even single data cells only.   TIP It is not necessary to highlight and copy the row or column descriptions   Next from the Smart View ribbon select Copy Data Point. Then transfer to the Word or Power Point document into which the selected content should be copied. Note that in these Office programs you will find a menu item Smart View;from it select the Paste Data Point icon. The copied details from the Excel report will be pasted, but showing #NEED_REFRESH in the data cells instead of the original numbers. =After clicking the Refresh icon on the Smart View menu the data will be retrieved and displayed. (Maybe at that moment a login window pops up and you need to provide your credentials.) It works in the same way if you just copy one single number without any row or column descriptions, for example in order to incorporate it into a continuous text: Before refresh: After refresh: From now on for any subsequent updates of the data shown in your documents you only need to refresh data by clicking the Refresh button on the Smart View menu, without copying and pasting the context or content again. As you might realize, trying out this feature on your own, there won’t be any Point of View shown in the Office document. Also you have seen in the example, where only a single data cell was copied, that there aren’t any member names or row/column descriptions copied, which are usually required in an ad-hoc report in order to exactly define where data comes from or how data is queried from the source. Well, these definitions are not visible, but they are transferred to the Word or Power Point document as well. They are stored in the background for each individual data cell copied and can be made visible by double-clicking the data cell as shown in the following screen shot (but which is taken from another context).   So for each cell/number the complete connection information is stored along with the exact member/cell intersection from the database. And that’s not all: you have the chance now to exchange the members originally selected in the Point of View (POV) in the Excel report. Remember, at that time we had the following selection:   By selecting the Manage POV option from the Smart View meny in Word or Power Point…   … the following POV Manager – Queries window opens:   You can now change your selection for each dimension from the original POV by either double-clicking the dimension member in the lower right box under POV: or by selecting the Member Selector icon on the top right hand side of the window. After confirming your changes you need to refresh your document again. Be aware, that this will update all (!) numbers taken from one and the same original Excel sheet, even if they appear in different locations in your Office document, reflecting your recent changes in the POV. TIP Build your original report already in a way that dimensions you might want to change from within Word or Power Point are placed in the POV. And there is another really nice feature I wouldn’t like to miss mentioning: Using Dynamic Data Points in the way described above, you will never miss or need to search again for your original Excel sheet from which values were taken and copied as data points into an Office document. Because from even only one single data cell Smart View is able to recreate the entire original report content with just a few clicks: Select one of the numbers from within your Word or Power Point document by double-clicking.   Then select the Visualize in Excel option from the Smart View menu. Excel will open and Smart View will rebuild the entire original report, including POV settings, and retrieve all data from the most recent actual state of the database. (It might be necessary to provide your credentials before data is displayed.) However, in order to make this work, an active online connection to your databases on the server is necessary and at least read access to the retrieved data. But apart from this, your newly built Excel report is fully functional for ad-hoc analysis and can be used in the common way for drilling, pivoting and all the other known functions and features. So far about embedding Dynamic Data Points into Office documents and linking them back into Excel worksheets. You can apply this in the described way with ad-hoc analyses directly on Essbase databases or using Hyperion Planning and Hyperion Financial Management ad-hoc web forms. If you are also interested in other new features and smart enhancements in Essbase or Hyperion Planning stay tuned for coming articles or check our training courses and web presentations. You can find general information about offerings for the Essbase and Planning curriculum or other Oracle-Hyperion products here (please make sure to select your country/region at the top of this page) or in the OU Learning paths section , where Planning, Essbase and other Hyperion products can be found under the Fusion Middleware heading (again, please select the right country/region). Or drop me a note directly: [email protected] . About the Author: Bernhard Kinkel started working for Hyperion Solutions as a Presales Consultant and Consultant in 1998 and moved to Hyperion Education Services in 1999. He joined Oracle University in 2007 where he is a Principal Education Consultant. Based on these many years of working with Hyperion products he has detailed product knowledge across several versions. He delivers both classroom and live virtual courses. His areas of expertise are Oracle/Hyperion Essbase, Oracle Hyperion Planning and Hyperion Web Analysis.  

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  • How to create a PeopleCode Application Package/Application Class using PeopleTools Tables

    - by Andreea Vaduva
    This article describes how - in PeopleCode (Release PeopleTools 8.50) - to enable a grid without enabling each static column, using a dynamic Application Class. The goal is to disable the following grid with three columns “Effort Date”, ”Effort Amount” and “Charge Back” , when the Check Box “Finished with task” is selected , without referencing each static column; this PeopleCode could be used dynamically with any grid. If the check box “Finished with task” is cleared, the content of the grid columns is editable (and the buttons “+” and “-“ are available): So, you create an Application Package “CLASS_EXTENSIONS” that contains an Application Class “EWK_ROWSET”. This Application Class is defined with Class extends “ Rowset” and you add two news properties “Enabled” and “Visible”: After creating this Application Class, you use it in two PeopleCode Events : Rowinit and FieldChange : This code is very ‘simple’, you write only one command : ” &ERS2.Enabled = False” → and the entire grid is “Enabled”… and you can use this code with any Grid! So, the complete PeopleCode to create the Application Package is (with explanation in [….]) : ******Package CLASS_EXTENSIONS : [Name of the Package: CLASS_EXTENSIONS] --Beginning of the declaration part------------------------------------------------------------------------------ class EWK_ROWSET extends Rowset; [Definition Class EWK_ROWSET as a subclass of Class Rowset] method EWK_ROWSET(&RS As Rowset); [Constructor is the Method with the same name of the Class] property boolean Visible get set; property boolean Enabled get set; [Definition of the property “Enabled” in read/write] private [Before the word “private”, all the declarations are publics] method SetDisplay(&DisplaySW As boolean, &PropName As string, &ChildSW As boolean); instance boolean &EnSW; instance boolean &VisSW; instance Rowset &NextChildRS; instance Row &NextRow; instance Record &NextRec; instance Field &NextFld; instance integer &RowCnt, &RecCnt, &FldCnt, &ChildRSCnt; instance integer &i, &j, &k; instance CLASS_EXTENSIONS:EWK_ROWSET &ERSChild; [For recursion] Constant &VisibleProperty = "VISIBLE"; Constant &EnabledProperty = "ENABLED"; end-class; --End of the declaration part------------------------------------------------------------------------------ method EWK_ROWSET [The Constructor] /+ &RS as Rowset +/ %Super = &RS; end-method; get Enabled /+ Returns Boolean +/; Return &EnSW; end-get; set Enabled /+ &NewValue as Boolean +/; &EnSW = &NewValue; %This.InsertEnabled=&EnSW; %This.DeleteEnabled=&EnSW; %This.SetDisplay(&EnSW, &EnabledProperty, False); [This method is called when you set this property] end-set; get Visible /+ Returns Boolean +/; Return &VisSW; end-get; set Visible /+ &NewValue as Boolean +/; &VisSW = &NewValue; %This.SetDisplay(&VisSW, &VisibleProperty, False); end-set; method SetDisplay [The most important PeopleCode Method] /+ &DisplaySW as Boolean, +/ /+ &PropName as String, +/ /+ &ChildSW as Boolean +/ [Not used in our example] &RowCnt = %This.ActiveRowCount; &NextRow = %This.GetRow(1); [To know the structure of a line ] &RecCnt = &NextRow.RecordCount; For &i = 1 To &RowCnt [Loop for each Line] &NextRow = %This.GetRow(&i); For &j = 1 To &RecCnt [Loop for each Record] &NextRec = &NextRow.GetRecord(&j); &FldCnt = &NextRec.FieldCount; For &k = 1 To &FldCnt [Loop for each Field/Record] &NextFld = &NextRec.GetField(&k); Evaluate Upper(&PropName) When = &VisibleProperty &NextFld.Visible = &DisplaySW; Break; When = &EnabledProperty; &NextFld.Enabled = &DisplaySW; [Enable each Field/Record] Break; When-Other Error "Invalid display property; Must be either VISIBLE or ENABLED" End-Evaluate; End-For; End-For; If &ChildSW = True Then [If recursion] &ChildRSCnt = &NextRow.ChildCount; For &j = 1 To &ChildRSCnt [Loop for each Rowset child] &NextChildRS = &NextRow.GetRowset(&j); &ERSChild = create CLASS_EXTENSIONS:EWK_ROWSET(&NextChildRS); &ERSChild.SetDisplay(&DisplaySW, &PropName, &ChildSW); [For each Rowset child, call Method SetDisplay with the same parameters used with the Rowset parent] End-For; End-If; End-For; end-method; ******End of the Package CLASS_EXTENSIONS:[Name of the Package: CLASS_EXTENSIONS] About the Author: Pascal Thaler joined Oracle University in 2005 where he is a Senior Instructor. His area of expertise is Oracle Peoplesoft Technology and he delivers the following courses: For Developers: PeopleTools Overview, PeopleTools I &II, Batch Application Engine, Language Oriented Object PeopleCode, Administration Security For Administrators : Server Administration & Installation, Database Upgrade & Data Management Tools For Interface Users: Integration Broker (Web Service)

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  • System for registering bugs, enhancements and invoice them?

    - by Roland Bengtsson
    I am searching suggestions for improvements? Currently our team use Github Issues to register changes in our software. Sometimes our customers have requirements that we will invoice them for. So now we reqister the same issue again in CRM. Unfortunately, the workflow is not as smooth as Github Issues and most developers try to avoid CRM if possible. It also feels waste of time to register the same issue twice. Are there any suggestions for better workflow than this?

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  • Should I charge for travel time as a contractor?

    - by Keith
    Here's a question for all my fellow contractors - I'm paid quite handsomely for my normal contracted hours (any overtime is billed at the same rate) but do you think it fair to bill for travel time to the other end of the country (regional office) when this takes place outside of the normal working day (or overlapping into the evening) as well as actual time holed up in a hotel room when you get there, ready for a normal working day the next day, along with the return journey? Petrol is claimed normally (nominal rate) and hotel is covered by the company I contract for.

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  • How should I setup billing for AdWords when managing a client's campaign in My Client Center? [closed]

    - by Dustin
    I have worked with Google AdWords before and will now be managing an AdWords account for a client. I have a My Client Center account, but I'm wondering what the best practices are for billing. Should I link billing to my own credit card and then have the client pay me (they have to pay me to manage the account anyway), or should I have the client pay Google directly? How is this usually done? If it is the later, what is the best way to have them input their payment info?

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  • How detailed should your report/invoice be for hourly work? [on hold]

    - by Marcus Cavanaugh
    When working on development projects (like an iPhone app for a client), how detailed should your reports be when providing an invoice? In other words, how specific should you be regarding the particular development tasks you were working on at a given time? Just as helpful would be a short example of what one of your invoices looks like, with sample times and tasks that you would typically include.

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  • How to calculate time spent for Linux system administration?

    - by Jaakko
    I would love figuring out how much time I actually have spent in shell performing administrative duties. For billing of course, this information is not sufficient, but it would be helpful to figure out how much time I have actually spent in shell. My question is: How anyone got tips on how to calculate time spent in shell (in hours + minutes), let's say per user account? Could anyone recommend a software that could be used to analyze this time? Optionally I would like to know about ways how to categorise time spent (e.g. 1 hour for Apache, 2 hours for Samba, etc.) Also, your takes on how you monitor your admin time, are also much appreciated! To narrow down the problem, I am specifically interested in ways of tracking time spent in shell for Linux system administration

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  • Update payment details using Authorize.net

    - by Aditya
    Hello everybody, When i update the existing subscription info using update_recurring method of autorize.net gateway then payment details(means 'credit card number', 'CVV number' and 'expiry date' ) are not being updated. My code snippet is as follows:- def create_card_subscription credit_card = ActiveMerchant::Billing::CreditCard.new( :first_name = params[:payment_details][:name], :last_name = params[:payment_details][:last_name], :number = params[:payment_details][:credit_card_number], :month = params[:expiry_date_month], :year = params[:expiry_date_year], :verification_value = params[:payment_details][:cvv_code] ) if credit_card.valid? gateway = ActiveMerchant::Billing::AuthorizeNetGateway.new(:login = '***', :password = '******') response = gateway.update_recurring( { "subscription.payment.credit_card.card_number" = "4111111111111111", :duration ={:start_date='2010-04-21', :occurrences=1}, :billing_address={:first_name='xyz', :last_name='xyz'}, :subscription_id="**" } ) if response.success? puts response.params.inspect puts "Successfully charged $#{sprintf("%.2f", amount / 100)} to the credit card #{credit_card.display_number}. The Account number is #{response.params['rbAccountId']}" else puts response.message end else #Credit Card information is invalid end render :action="card_payment" end How can it be possible? Thanks in advance, Gaurav Kumar

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  • Unclear pricing of Windows Azure

    - by Dirk
    How do you people think about the Windows Azure pricing model and the way it is presented to the user? I just found out that Azure keeps charging hours for STOPPED instances. I just received a bill from more than 100 euro for 3 STOPPED instances (not) running "HelloAzure". I the past I also played around with Amazon Web Services. Amazon doesn't charge for stopped instances. I was wondering: "Should I have known this before, or is Microsoft doing a bad job in clear communication in the pricing model?" Quote from http://www.microsoft.com/windowsazure/pricing/ : Compute time, measured in service hours: Windows Azure compute hours are charged only for when your application is deployed. When developing and testing your application, developers will want to remove the compute instances that are not being used to minimize compute hour billing. Partial compute hours are billed as full hours. I read this, so I stopped all instances after a few hours playing around. Now it seems I should have deleted them, not just "stopped". Strictly speaking, all depends on the definition of the word "deployed". If you upload an application, but it is not running, can it still be regarded as being "deployed"? May be, but when you read this for the first time, with AWS experience in mind, I don't think it's 100% clear what this means. Technically speaking, an uploaded application only uses (read: should only use / needs only) a few MB harddrive space. It doesn't require any CPU time. If Azure wants to reserve CPU's for not running instances.. well, that's Azure's choice, not mine. I don't want to spread a hate campaign at all, but I do want to know how people think about this subject. Should Microsoft be more clear about their pricing model or do you think it's clear enough? Second question: did anyone got refunded for a similar case? Thanks in advance! UPDATE 27-01-2011 I sent an email to customer support a few days ago, but I guess that didn't reach anu human being because I didn't hear anything from it. So, I made a telephone call today with a Dutch customer support representative (I live in Holland). She totally understood the problem and she's trying to get a refund for me. However, she mentioned that "usually these refund requests are denied", but she's going to try. She also mentioned that I'm not the first one with this (or similar) problem. UPDATE 28-01-2011 I just received a phonecall from Microsoft support. The lady told me some good news: the money will refunded. However, the invoice has not been made yet, and my creditcard will first be chardged, after which it will be refunded, but hey, that's no problem for me! I'm glad the way it's solved! Thanks everybody!

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  • dynamic check_box using field_for in rails

    - by Craig Whitley
    I have a many-to-many relationship with a link box, and I want to pull those models together into one form so I can update from the same page. I'm really struggling with getting the check_box to even show all the elements of my array - I've scoured the net and been working on this literally all day, and I'm finding it difficult to apply the information I'm reading to my problem. I'm also extremely new to RoR and I've been following a bit of an outdated video tutorial (pre 2.0) so apologies for my code. So far, I've got it to output only one key pair in the array (the last one) - although outside the form, the code used in the tutorial works exactly how it should. Thats of little use though! Host is the model for which the main form is for, and Billing is the outside model that I'm trying to add to the form. This is the code that works outside of the form from the tutorial: <% for billing in @billings -%> <%= check_box_tag('billing_title[]', billing.id, @host.billings.collect {|obj| obj.id}.include?(billing.id))%> <%= billing.title %><br /> <% end -%> I just need to know how to make it work inside the form. This is the aforementioned code that only retrieves the last array keypair after looping through them: <% f.fields_for :billings do |obj| %><br /> <%= check_box_tag('billing_title[]', billing.id, @billings.collect {|obj| obj.id}.include?(billing.id))%> <%= billing.title %><br /> <% end %> The debug(@billings) : --- - !ruby/object:Billing attributes: title: Every Month id: "1" attributes_cache: {} - !ruby/object:Billing attributes: title: 12 Months id: "2" attributes_cache: {} - !ruby/object:Billing attributes: title: 6 Months id: "5" attributes_cache: {} Any help really appreciated.

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  • Secure web module for paid subscribtion

    - by DarkJaff
    Hello everyone, I'm building a website (a community web site like digg) but we will soon release a new feature that people will need to pay for. Right now, our website is in pure C# in .NET, very simple pages with some AJAX. When the member log in, there is no HTTPS. Everything is check with session and the internal validation that I do. What we need, is that when the people are logged in, they can click on a link a proceed to a payment (Paypal, credit card, etc). After the payment is done, the "billing module" will return a value to my site to validate that the payment is done so the account will be flagged as "paying member". I'm guessing this is the way to do, maybe I'm wrong! So my questions are: -What is the name of this kind of billing module? (I will do some research on that) -Do you know any ready to go module that does this kind of thing? -(I push my luck) Do you know any FREE module that do this kind of things. If something is not clear, don't hesitate to ask question :) Thanks a lot! DarkJaff

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  • JQuery not copying state dropdown list 1 to DDL2 on checkbox change

    - by user1001411
    I've looked at similar posts on the subject but none of the recommended solutions have worked for me so I'm not sure where I'm going wrong. I have a billing and shipping address form with a dropdown list for the state. Upon checking/unchecking the "billing address same as shipping" everything copies over except the state dropdown list. The state dropdown list is populated from a SQLDataSource state table. Here's my code: <script type="text/javascript" language="javascript" src="../Scripts/jquery-1.4.1.min.js"></script> <script type="text/javascript"> $(document).ready(function () { $('input:checkbox[id*=chkCopy]').change(function () { if ($(this).is(':checked')) { $('input:text[id*=TextBox5]').val($('input:text[id*=TextBox1]').val()); $('input:text[id*=TextBox7]').val($('input:text[id*=TextBox2]').val()); $('input:text[id*=TextBox9]').val($('input:text[id*=TextBox3]').val()); $('input:text[id*=TextBox12]').val($('input:text[id*=TextBox4]').val()); $('select#DropDownList6').val($("select#DropDownList1").val()); $('input:text[id*=TextBox14]').val($('input:text[id*=TextBox6]').val()); } else { $('input:text[id*=TextBox5]').val(''); $('input:text[id*=TextBox7]').val(''); $('input:text[id*=TextBox9]').val(''); $('input:text[id*=TextBox12]').val(''); $('select#DropDownList6').val(''); $('input:text[id*=TextBox14]').val(''); } }); }); and here is my SQL for the DDL: <asp:DropDownList ID="DropDownList1" runat="server" DataTextField="Descr" DataValueField="ID" DataSourceID="SqlDataSource1" Width="254"> </asp:DropDownList> <asp:SqlDataSource ID="SqlDataSource1" runat="server" ConnectionString="<%$ ConnectionStrings:ASPNETDBConnectionString1 %>" SelectCommand="SELECT * FROM [xrefState]"> </asp:SqlDataSource> the other one: <asp:DropDownList ID="DropDownList6" runat="server" DataTextField="Descr" DataValueField="ID" DataSourceID="SqlDataSource5" Width="254"> </asp:DropDownList> <asp:SqlDataSource ID="SqlDataSource5" runat="server" ConnectionString="<%$ ConnectionStrings:ASPNETDBConnectionString1 %>" SelectCommand="SELECT * FROM [xrefState]"> </asp:SqlDataSource>

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  • How to enable CDR on AsteriskNow 1.5

    - by Michal Niklas
    I have upgraded PBX to Asterisk 1.6.2.7 and now CDR files are not created. It looks that such logging is disabled: Connected to Asterisk 1.6.2.7 currently running on pbx2 (pid = 5824) Verbosity is at least 3 pbx2*CLI> cdr show status pbx2*CLI> Call Detail Record (CDR) settings ---------------------------------- Logging: Disabled Mode: Simple Asterisk shows that CDR modules are loaded: pbx2*CLI> module show like cd Module Description Use Count cdr_manager.so Asterisk Manager Interface CDR Backend 0 cdr_csv.so Comma Separated Values CDR Backend 0 app_cdr.so Tell Asterisk to not maintain a CDR for 0 app_forkcdr.so Fork The CDR into 2 separate entities 0 func_cdr.so Call Detail Record (CDR) dialplan functi 0 cdr_custom.so Customizable Comma Separated Values CDR 0 6 modules loaded How to enable creating CDR csv files?

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  • Software to monitor bill payment to mission critical IT service providers (ISP, DNS etc.)

    - by Sholom
    Hi All, The Problem: Our very likable but absent minded bookkeeper keeps neglecting to pay our IT vendors on time. Just this past week our internet service was disconnected. Same could happen to many other mission critical accounts (domain registrar, backup MX, anti-virus license, HackerSafe (McAfee secure) service and even an 800 number to name a few). As the sysadmin, i monitor my severs to make sure they are plugged into the power-outlet. I believe i should also monitor my services to make sure they are plugged in to their money-outlet. To compound the problem, when the power goes out someone else will likely notice and notify me. But if a bill is not payed, no one will ever notice until service is lost. Lost as in losing our domain name which would cause a lot more damage then the power failing on our server. [Solution] = [Doesn't work because]: Retrain the bookkeeper = Wishful thinking. Notify my manager = Already have (via email). Protects me, does not solve problem. Fire bookkeeper = What makes you so sure the next one will never forget? Bottom line: Humans are humans and sooner or later something critical will be royally messed up. We need to partner with a machine to help us out here. Anybody have the same problem? What software/solution do you use? I would like software that emails me when a bill is passed due just like i get an email when the power outlet fails. Anyone hear of anything like that? Thanks

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  • Monitoring the status of accounts with IT Service providers (ISP, Domain Registrar etc.)

    - by Sholom
    Hi All, Short version: You have software that tells you when your servers power-outlet is down. It monitors multiple servers from one management console, alerts you when something is wrong etc. Does anyone know of software that will let me take the same approach to monitor if the money-outlet (the bill!) is down (not paid) to my IT Services providers (ISP, Domain Registrar, MX Backup service etc). I need a top down, centrally managed service that is capable of sending out alerts. Just like the one that monitors my own exchange server etc. I don't mind if i have to manually enter every payment. Long version: Our very likable but absent minded bookkeeper keeps neglecting to pay our IT vendors on time. Just this past week our internet service was disconnected. Same could happen to many other mission critical accounts (domain registrar, backup MX, anti-virus license, HackerSafe (McAfee secure) service and even an 800 number to name a few). As the sysadmin, i monitor my severs to make sure they are plugged into the power-outlet. I believe i should also monitor my services to make sure they are plugged in to their money-outlet. To compound the problem, when the power goes out someone else will likely notice and notify me. But if a bill is not payed, no one will ever notice until service is lost. Lost as in losing our domain name which would cause a lot more damage then the power failing on our server. [Solution] = [Doesn't work because]: Retrain the bookkeeper = Wishful thinking. Notify my manager = Already have (via email). Protects me, does not solve problem. Fire bookkeeper = What makes you so sure the next one will never forget? Bottom line: Humans are humans and sooner or later something critical will be royally messed up. We need to partner with a machine to help us out here. Anybody have the same problem? What software/solution do you use? I would like software that emails me when a bill is passed due just like i get an email when the power outlet fails. Anyone hear of anything like that? Thanks

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  • How to enable CDR on AsteriskNow 1.5

    - by Michal Niklas
    I have upgraded PBX to Asterisk 1.6.2.7 and now CDR files are not created. It looks that such logging is disabled: Connected to Asterisk 1.6.2.7 currently running on pbx2 (pid = 5824) Verbosity is at least 3 pbx2*CLI> cdr show status pbx2*CLI> Call Detail Record (CDR) settings ---------------------------------- Logging: Disabled Mode: Simple Asterisk shows that CDR modules are loaded: pbx2*CLI> module show like cd Module Description Use Count cdr_manager.so Asterisk Manager Interface CDR Backend 0 cdr_csv.so Comma Separated Values CDR Backend 0 app_cdr.so Tell Asterisk to not maintain a CDR for 0 app_forkcdr.so Fork The CDR into 2 separate entities 0 func_cdr.so Call Detail Record (CDR) dialplan functi 0 cdr_custom.so Customizable Comma Separated Values CDR 0 6 modules loaded How to enable creating CDR csv files?

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  • Amazon EC2 & S3 costs - can they be tied to specific instances

    - by monkeymagic
    Hi, I'd like to start using S3 and EC2 to host some of my company's simpler websites. I would like to be able to identify all of the costs associated with running each site (instance run-time costs + storage + data transfers) so that the costs can be allocated (cross-charged) to business units in my company. Is it possible to identify all the costs associated with each site in this way if all of the sites are running on separate instances ? thanks

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  • Amazon AWS EC2 instance pricing

    - by iss42
    It seems to me that Amazon obfuscate their pricing somewhat. So if I were to create a "m1.medium" instance and run it say 4 hours a day what would I be charged per month? (assume nothing else needed) You'd think this would be straight forward to answer, but I don't see a clear answer anywhere. This tool: http://calculator.s3.amazonaws.com/calc5.html Gives: $22.21 If I set it to 1 hour is gives: $5.65 But is this correct? The m1.medium has a Local storage of 410gb... I assume that this is persistent, but is it charged for? In the tool from Amazon this is not implied or suggested or hinted at. Any guidance would be most appreciated!

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  • What production-ready SaaS (recurring billing) solutions are available for Rails?

    - by Benjamin Manns
    I am working on a software-as-a-service (SaaS) application and I am looking for a billing plugin of some sort that will manage my subscriptions, customers, and recurring billing. There is the RailsKits SaaS kit ($249.00), but I prefer to use open source software. I have also found maccman's saasy, but the phrase "At the moment this is alpha code - use at your own risk" makes me a tad bit nervous.

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  • What production-ready SaaS (recurring billing) solutions are available for Rails?

    - by Benjamin Manns
    I am working on a software-as-a-service (SaaS) application and I am looking for a billing plugin of some sort that will manage my subscriptions, customers, and recurring billing. There is the RailsKits SaaS kit ($249.00), but I prefer to use open source software. I have also found maccman's saasy, but the phrase "At the moment this is alpha code - use at your own risk" makes me a tad bit nervous.

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  • Trial/Free & Full Version VS. Free App + In-app billing?

    - by SERPRO
    I'm just wondering what would be the best strategy to publish an application on the Android Market. If you have a free and paid version you have two codes to update (I know it will be 99% the same but still) and besides all the popular paid apps are quite easy to find for "free" in "alternative" markets. Also if you have any stored data in the trial/free version you lose it when you buy the full version.. On the other hand if you put a free application but inside you allow the user to unlock options (remove ads/more settings/etc...) you only have to worry about one code. I don't know the drawbacks of that strategy and how easy/hard is to hack that to get all the options for "free".

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  • Maximum Year in Expry Date of Credit Card

    - by Art
    Various online services have different values for maximum year of expiry, when it comes to Credit Cards. For instance: Basecamp: +15 years (2025) Amazon: +20 years (2030) Paypal: +19 years (2029) What is the reasonable maximum here? Are there any official guidelines?

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  • Calculation of charged traffic in GPRS network

    - by TyBoer
    I am working with a distributed application communicating over GPRS. I use UDP packets to send business data and ICMP pings to verify connectivity. And now I have a problem with calculating a traffic for which I will be charged by the provider. I have to consider following factors: UDP payload: that is obvious. UDP overhead: UDP header + IP header = 8 + 20 bytes. ICMP echo request without data: IP header + ICMP payload = 28 bytes. ICMP echo reply: as in 3. Above means that for evey data packet I am charged for payload + 28 bytes and for every ping 56 bytes. Am I right or I am missing/misunderstanding something?

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  • What is the most you've charged for a single programming job?

    - by David Murdoch
    This question/wiki is more aimed at my fellow freelancers rather than companies or groups...but any and all feedback definitely is welcome. When quoting jobs for anything over $10,000 I always feel uneasy and unsure about the estimate I'm providing (though, I'm not sure why, I know what I'm worth [ I think :-) ] and I charge appropriately. I'm sure there are more (noob) freelancers here on S.O. that feel the same way. In danger of being voted closed because of its subjective (but factual) nature - the question(s): What is the largest amount you have charged for a single programming job (not including maintenance, support, or residual income). What are some of the details of the specific job? (research, q&a, challenges, etc) What languages did you use to get the job done? Assuming you bill your work at an hourly rate, what was the rate? How long did the job actually take you to complete? (from start to deployment, how many weeks, months, years?)

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