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  • Linq to SQL - Error handling

    - by Sundararajan S
    I have a linq to sql statement that inserts records in the database. If there is a duplicate, it throws Primary key violation . after this happens, whenever i try to execute any other statement, it repeatedly shows this error. Is this a problem of transaction not getting closed. Also how to handle transactions in a more reliable way in LINQ to SQL

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  • Pay pal direct method

    - by savitha
    hi, I am using paypal direct method. error is This transaction cannot be processed due to an invalid merchant configuration. How to accept or activate billing agreement while i am using sandbox account.

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  • How do you use Canadian currency?

    - by chris
    When I pass an option of :currency = "CAD" to the setup_purchase and purchase methods the transaction still goes through in US funds. My paypal account does have CAD as the default currency. What am I missing?

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  • jersey security and session management

    - by Adhir
    Hi, Is there a way for session management or security available programatically in Jersey specification. e.g. like a web-application session management. Or is transaction, session, security all handeled by the containor on which the jersey application is deployed. Adhir

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  • Hide public method used to help test a .NET assembly

    - by ChrisW
    I have a .NET assembly, to be released. Its release build includes: A public, documented API of methods which people are supposed to use A public but undocumented API of other methods, which exist only in order to help test the assembly, and which people are not supposed to use The assembly to be released is a custom control, not an application. To regression-test it, I run it in a testing framework/application, which uses (in addition to the public/documented API) some advanced/undocumented methods which are exported from the control. For the public methods which I don't want people to use, I excluded them from the documentation using the <exclude> tag (supported by the Sandcastle Help File Builder), and the [EditorBrowsable] attribute, for example like this: /// <summary> /// Gets a <see cref="IEditorTransaction"/> instance, which helps /// to combine several DOM edits into a single transaction, which /// can be undone and redone as if they were a single, atomic operation. /// </summary> /// <returns>A <see cref="IEditorTransaction"/> instance.</returns> IEditorTransaction createEditorTransaction(); /// <exclude/> [EditorBrowsable(EditorBrowsableState.Never)] void debugDumpBlocks(TextWriter output); This successfully removes the method from the API documentation, and from Intellisense. However, if in a sample application program I right-click on an instance of the interface to see its definition in the metadata, I can still see the method, and the [EditorBrowsable] attribute as well, for example: // Summary: // Gets a ModelText.ModelDom.Nodes.IEditorTransaction instance, which helps // to combine several DOM edits into a single transaction, which can be undone // and redone as if they were a single, atomic operation. // // Returns: // A ModelText.ModelDom.Nodes.IEditorTransaction instance. IEditorTransaction createEditorTransaction(); // [EditorBrowsable(EditorBrowsableState.Never)] void debugDumpBlocks(TextWriter output); Questions: Is there a way to hide a public method, even from the meta data? If not then instead, for this scenario, would you recommend making the methods internal and using the InternalsVisibleTo attribute? Or would you recommend some other way, and if so what and why? Thank you.

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  • Objects With No Behavior

    - by Patrick Donovan
    I've been teaching myself object oriented programming and I'm thinking about a situation where I have an object "Transaction", that has quite a few properties to it like account, amount, date, currency, type, etc. I never plan to mutate these data points, and calculation logic will live in other classes. My question is, is it poor Python design to instantiate thousands of objects just to hold data? I find the data far easier to work with embedded in a class rather than trying to cram it into some combination of data structures.

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  • how to delete fk children in nhibernate

    - by frosty
    I would like to delete the ICollection PriceBreaks from Product. I'm using the following method. However they dont seem to delete. What am i missing. When i step thru. i notice that "product.PriceBreaks.Clear();" doesn't actually clear the items. Do i need to flush or something? public void RemovePriceBreak(int productId) { using (ISession session = EStore.Domain.Helpers.NHibernateHelper.OpenSession()) using (ITransaction transaction = session.BeginTransaction()) { var product = session.Get<Product>(productId); product.PriceBreaks.Clear(); session.SaveOrUpdate(product); transaction.Commit(); } } Here are my hbm files <class name="Product" table="Products"> <id name="Id" type="Int32" column="Id" unsaved-value="0"> <generator class="identity"/> </id> <property name="CompanyId" column="CompanyId" type="Int32" not-null="true" /> <property name="Name" column="Name"/> <set name="PriceBreaks" table="PriceBreaks" generic="true" cascade="all-delete-orphan" inverse="true" > <key column="ProductId" /> <one-to-many class="EStore.Domain.Model.PriceBreak, EStore.Domain" /> </set> </class> <class name="PriceBreak" table="PriceBreaks"> <id name="Id" type="Int32" column="Id" unsaved-value="0"> <generator class="identity"/> </id> <many-to-one name="Product" column="ProductId" not-null="true" cascade="all" class="EStore.Domain.Model.Product, EStore.Domain" /> </class> My Entities public class Product { public virtual int Id { get; set; } public virtual ICollection<PriceBreak> PriceBreaks { get; set; } public virtual void AddPriceBreak(PriceBreak priceBreak) { priceBreak.Product = this; PriceBreaks.Add(priceBreak); } } public class PriceBreak { public virtual int Id { get; set; } public virtual Product Product { get; set; } }

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  • SQL/Schema comparison and upgrade

    - by Workshop Alex
    I have a simple situation. A large organisation is using several different versions of some (desktop) application and each version has it's own database structure. There are about 200 offices and each office will have it's own version, which can be one of 7 different ones. The company wants to upgrade all applications to the latest versions, which will be version 8. The problem is that they don't have a separate database for each version. Nor do they have a separate database for each office. They have one single database which is handled by a dedicated server, thus keeping things like management and backups easier. Every office has it's own database schema and within the schema there's the whole database structure for their specific application version. As a result, I'm dealing with 200 different schema's which need to be upgraded, each with 7 possible versions. Fortunately, every schema knows the proper version so checking the version isn't difficult. But my problem is that I need to create upgrade scripts which can upgrade from version 1 to version 2 to version 3 to etc... Basically, all schema's need to be bumped up one version until they're all version 8. Writing the code that will do this is no problem. the challenge is how to create the upgrade script from one version to the other? Preferably with some automated tool. I've examined RedGate's SQL Compare and Altova's DatabaseSpy but they're not practical. Altova is way too slow. RedGate requires too much processing afterwards, since the generated SQL Script still has a few errors and it refers to the schema name. Furthermore, the code needs to become part of a stored procedure and the code generated by RedGate doesn't really fit inside a single procedure. (Plus, it's doing too much transaction-handling, while I need everything within a single transaction. I have been considering using another SQL Comparison tool but it seems to me that my case is just too different from what standard tools can deliver. So I'm going to write my own comparison tool. To do this, I'll be using ADOX with Delphi to read the catalogues for every schema version in the database, then use this to write the SQL Statements that will need to upgrade these schema's to their next version. (Comparing 1 with 2, 2 with 3, 3 with 4, etc.) I'm not unfamiliar with generating SQL-Script-Generators so I don't expect too many problems. And I'll only be upgrading the table structures, not any of the other database objects. So, does anyone have some good tips and tricks to apply when doing this kind of comparisons? Things to be aware of? Practical tips to increase speed?

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  • How to integrate Windows Azure, Spring.NET and NHibernate?

    - by paologios
    Hi, we have a ASP.NET web application which makes use of NHibernate and Spring.NET (to do the session and transaction management stuff). Now we want to port parts of it to a Windows Azure application without making lots of changes to the used components. I already found this article of stackoverflow so I hope to get NHibernate running on Azure. My question: Has anybody experiences in running Spring.NET on Azure (with or without NHibernate) ??

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  • Should I be regularly shrinking my DB or at least my log file?

    - by Tom
    My question is, should I be running one or both of the shrink command regularly, DBCC SHRINKDATABASE OR DBCC SHRINKFILE ============================= background Sql Server: Database is 200 gigs, logs are 150 gigs. running this command SELECT name ,size/128.0 - CAST(FILEPROPERTY(name, 'SpaceUsed') AS int) / 128.0 AS AvailableSpaceInMB FROM sys.database_files;` produces this output.. MyDB: 159.812500 MB free MyDB_Log: 149476.390625 MB free So it seems there is some free space. We backup transaction logs every hour, diff backup 5 nights a week, full backup the other 2 nights of the week.

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  • how to dynamically break NHibernation cascade

    - by Joe Black
    The NHibernate cascade setting in the entity mapping is static. Is there anyway to dynamically disable the "cascade" setting in code to avoid expensive cascade operation in NHiberate during a bulky data transaction? We do not want to use stored procedures or native SQL because we need to have the entity changes captured by NHibernate (audit).

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  • How to keep PayPal variables secure

    - by dclowd9901
    I'm trying to link my 3rd party shopping cart to PayPal, and in the process I'm finding that my variables are extremely exposed, such that, if someone uses, say, Firebug, to manipulate the values of my variables, they can change the cost of the items in the transaction. I'm very new to online carts and shopping, so my question is how do I keep this layer of exposure away from users and secure for the website?

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  • Data retrieval and Join operations with cluster db server

    - by Goerge
    If any database spreads across multiple servers (ex. Microsoft Sql Server), how can we do join or filter operations. In my scenario, if suppose: A single table spreads across multiple servers how can we filter rows based on user input? If master table is there on one db server and transaction table is at another db server, how can we do join operations? Please let me know how can we achieve this and where can I get more details about this?

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  • Can I add a delay to sql server transactional replication ?

    - by Brann
    I've got transactional replication configured from a database called DBProd to another database called DBWarehouse ; everything works fine, and transaction are usually replicated instantaneously to the warehouse .... which is my problem. I'd like to add a slight delay to the replication (something like 10 minutes), so that the replicated database can be used to access a previous version of the database (in case a bug occurs for example) Is there a simple way to achieve this ?

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  • mysql query optimization

    - by vamsivanka
    I would need some help on how to optimize the query. select * from transaction where id < 7500001 order by id desc limit 16 when i do an explain plan on this - the type is "range" and rows is "7500000" According to the some online reference's this is explained as, it took the query 7,500,000 rows to scan and get the data. Is there any way i can optimize so it uses less rows to scan and get the data. Also, id is the primary key column.

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  • c source code to remove subset transactions form text file

    - by user324887
    I have a file containing data as follows 10 20 30 40 70 20 30 70 30 40 10 20 29 70 80 90 20 30 40 40 45 65 10 20 80 45 65 20 I want to remove all subset transaction from this file. output file should be like follows 10 20 30 40 70 29 70 80 90 20 30 40 40 45 65 10 20 80 Where records like 20 30 70 30 40 10 20 45 65 20 are removed because of they are subset of other records.

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  • True or False: Good design calls for every table to have a primary key, if nothing else, a running i

    - by Velika
    Consider a grocery store scenario (I'm making this up) where you have FACT records that represent a sale transaction, where the columns of the Fact table include SaleItemFact Table ------------------ CustomerID ProductID Price DistributorID DateOfSale Etc Etc Etc Even if there are duplicates in the table when you consider ALL the keys, I would contend that a surrogate running numeric key (i.e. identity column) should be made up, e.g., TransactionNumber of type Integer. I can see someone arguing that a Fact table might not have a unique key (though I'd invent one and waste the 4 bytes, but how about a dimension table?

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  • ios error Sentestcase

    - by santharao
    !![enter image description here][1][Hi I face new problem including at the time of online transaction api. It shows like below image.Please give me the suggestion. ][2] ld: warning: directory not found for option '-L2/anet_ios_sdk-1.0.0/ANMobilePaymentLib' Undefined symbols for architecture i386: "_OBJC_METACLASS_$_SenTestCase", referenced from: _OBJC_METACLASS_$_AuthNetUnitTests in AuthNetUnitTests.o "_OBJC_CLASS_$_SenTestCase", referenced from: _OBJC_CLASS_$_AuthNetUnitTests in AuthNetUnitTests.o ld: symbol(s) not found for architecture i386 clang: error: linker command failed with exit code 1 (use -v to see invocation)

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  • Fake ssl cetificate for development

    - by Zerotoinfinite
    Hi, I am using asp.net 3.5 with c#, I want to develop website with SSL transaction. But before Developing the site I want to work with SSL to learn more from it. Please let me know from where I can get the dummy SSL or Fake SSL so that I could do the development work. Thanks in advance

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  • Parsing returned array in javascript

    - by Dan
    I'm making a call to PayPal's credit card processor, and after a successful/unsuccessful transaction it returns me a string that looks like this: DoDirectPayment failed: Array ( [TIMESTAMP] = 2010%2d05%2d02T23%3a33%3a28Z [CORRELATIONID] = 8c503f5c6c861 [ACK] = Failure [VERSION] = 51%2e0 [BUILD] = 1268624 [L_ERRORCODE0] = 10527 [L_SHORTMESSAGE0] = Invalid%20Data [L_LONGMESSAGE0] = This%20transaction%20cannot%20be%20processed%2e%20Please%20enter%20a%20valid%20credit%20card%20number%20and%20type%2e [L_SEVERITYCODE0] = Error [AMT] = 90%2e00 [CURRENCYCODE] = USD ) I'm not a javascript pro, but how exactly can I turn that into a parseable array? Thank you!

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  • SQL Server architecture guidance

    - by Liam
    Hi, We are designing a new version of our existing product on a new schema. Its an internal web application with possibly 100 concurrent users (max)This will run on a SQL Server 2008 database. On of the discussion items recently is whether we should have a single database of split the database for performance reasons across 2 separate databases. The database could grow anywhere from 50-100GB over 5 years. We are Developers and not DBAs so it would be nice to get some general guidance. [I know the answer is not simple as it depends on the schema, archiving policy, amount of data etc. ] Option 1 Single Main Database [This is my preferred option]. The plan would be to have all the tables in a single database and possibly to use file groups and partitioning to separate the data if required across multiple disks. [Use schema if appropriate]. This should deal with the performance concerns One of the comments wrt this was that the a single server instance would still be processing this data so there would still be a processing bottle neck. For reporting we could have a separate reporting DB but this is still being discussed. Option 2 Split the database into 2 separate databases DB1 - Customers, Accounts, Customer resources etc DB2 - This would contain the bulk of the data [i.e. Vehicle tracking data, financial transaction tables etc]. These tables would typically contain a lot of data. [It could reside on a separate server if required] This plan would involve keeping the main data in a smaller database [DB1] and retaining the [mainly] read only transaction type data in a separate DB [DB2]. The UI would mainly read from DB1 and thus be more responsive. [I'm aware that this option makes it harder for Referential Integrity to be enforced.] Points for consideration As we are at the design stage we can at least make proper use of indexes to deal performance issues so thats why option 1 to me is attractive and its more of a standard approach. For both options we are considering implementing an archiving database. Apologies for the long Question. In summary the question is 1 DB or 2? Thanks in advance, Liam

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  • When to delete newly deprecated code?

    - by John
    I spent a month writing an elaborate payment system that handles both credit card payments and electronic fund transfers. My work was used on production server for about a month. I was told recently by the client that he no longer wants to use the electronic fund transfer feature. Because the way I had to interface and communicate with the credit card gateway is drastically different from the electronic fund transfer api (eg. the cc company gives transaction responses immediately after an http request, while the eft company gives transaction responses 5 business days after an http request), I spent a lot of time writing my own API to abstract common function calls like function payment(amount, pay_method,pay_freq) function updateRecurringSchedule(user_id,new_schedule) etc.. Now that the client wants to abandon the EFT feature, all my work for this abstracted payments API is obsolete. I'm deliberating over whether I should scrap my work. Here's my pro vs. con for scrapping it now: PRO 1: Eliminate code bloat PRO 2: New developers do not need to learn MY API. They only need to read the CC company's API PRO 3: Because the EFT company did not handle recurring payment schedules, refunds, and validation, I wrote my own application to do it. Although the CC company's API permitted this functionality, I opted to use mine instead so that I could streamline my code. now that EFT is out of the picture, I can delete all this confusing code and just rely on the CC company's sytsem to manage recurring billing, payment schedules, refunds, validations etc... CON 1: Although I can just delete the EFT code, it still takes time to remove the entire framework consolidates different payment systems. CON 2: with regards to PRO 3, it takes time to build functionality that integrates the payment system more closely with the CC company. CON 3: I feel insecure deleting all this work. I don't think I'll ever use it again. But, for some inexplicable reason, I just don't feel comfortable deleting this work "right now". So my question is, should I delete one month's worth recent development? If yes, should I do it immediately or wait X amount of time before doing so?

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