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  • MSMQ on Win2008 R2 won’t receive messages from older clients

    - by Graffen
    Hi all I'm battling a really weird problem here. I have a Windows 2008 R2 server with Message Queueing installed. On another machine, running Windows 2003 is a service that is set up to send messages to a public queue on the 2008 server. However, messages never show up on the server. I've written a small console app that just sends a "Hello World" message to a test queue on the 2008 machine. Running this app on XP or 2003 results in absolutely nothing. However, when I try running the app on my Windows 7 machine, a message is delivered just fine. I've been through all sorts of security settings, disabled firewalls on all machines etc. The event log shows nothing of interest, and no exceptions are being thrown on the clients. Running a packet sniffer (WireShark) on the server reveals only a little. When trying to send a message from XP or 2003 I only see an ICMP error "Port Unreachable" on port 3527 (which I gather is an MQPing packet?). After that, silence. Wireshark shows a nice little stream of packets when I try from my Win7 client (as expected - messages get delivered just fine from Win7). I've enabled MSMQ End2End logging on the server, but only entries from the messages sent from my Win7 machine are appearing in the log. So somehow it seems that messages are being dropped silently somewhere along the route from XP or 2003 to my 2008 server. Does anyone have any clues as to what might be causing this mysterious behaviour? -- Jesper

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  • VLOOKUP in Excel, part 2: Using VLOOKUP without a database

    - by Mark Virtue
    In a recent article, we introduced the Excel function called VLOOKUP and explained how it could be used to retrieve information from a database into a cell in a local worksheet.  In that article we mentioned that there were two uses for VLOOKUP, and only one of them dealt with querying databases.  In this article, the second and final in the VLOOKUP series, we examine this other, lesser known use for the VLOOKUP function. If you haven’t already done so, please read the first VLOOKUP article – this article will assume that many of the concepts explained in that article are already known to the reader. When working with databases, VLOOKUP is passed a “unique identifier” that serves to identify which data record we wish to find in the database (e.g. a product code or customer ID).  This unique identifier must exist in the database, otherwise VLOOKUP returns us an error.  In this article, we will examine a way of using VLOOKUP where the identifier doesn’t need to exist in the database at all.  It’s almost as if VLOOKUP can adopt a “near enough is good enough” approach to returning the data we’re looking for.  In certain circumstances, this is exactly what we need. We will illustrate this article with a real-world example – that of calculating the commissions that are generated on a set of sales figures.  We will start with a very simple scenario, and then progressively make it more complex, until the only rational solution to the problem is to use VLOOKUP.  The initial scenario in our fictitious company works like this:  If a salesperson creates more than $30,000 worth of sales in a given year, the commission they earn on those sales is 30%.  Otherwise their commission is only 20%.  So far this is a pretty simple worksheet: To use this worksheet, the salesperson enters their sales figures in cell B1, and the formula in cell B2 calculates the correct commission rate they are entitled to receive, which is used in cell B3 to calculate the total commission that the salesperson is owed (which is a simple multiplication of B1 and B2). The cell B2 contains the only interesting part of this worksheet – the formula for deciding which commission rate to use: the one below the threshold of $30,000, or the one above the threshold.  This formula makes use of the Excel function called IF.  For those readers that are not familiar with IF, it works like this: IF(condition,value if true,value if false) Where the condition is an expression that evaluates to either true or false.  In the example above, the condition is the expression B1<B5, which can be read as “Is B1 less than B5?”, or, put another way, “Are the total sales less than the threshold”.  If the answer to this question is “yes” (true), then we use the value if true parameter of the function, namely B6 in this case – the commission rate if the sales total was below the threshold.  If the answer to the question is “no” (false), then we use the value if false parameter of the function, namely B7 in this case – the commission rate if the sales total was above the threshold. As you can see, using a sales total of $20,000 gives us a commission rate of 20% in cell B2.  If we enter a value of $40,000, we get a different commission rate: So our spreadsheet is working. Let’s make it more complex.  Let’s introduce a second threshold:  If the salesperson earns more than $40,000, then their commission rate increases to 40%: Easy enough to understand in the real world, but in cell B2 our formula is getting more complex.  If you look closely at the formula, you’ll see that the third parameter of the original IF function (the value if false) is now an entire IF function in its own right.  This is called a nested function (a function within a function).  It’s perfectly valid in Excel (it even works!), but it’s harder to read and understand. We’re not going to go into the nuts and bolts of how and why this works, nor will we examine the nuances of nested functions.  This is a tutorial on VLOOKUP, not on Excel in general. Anyway, it gets worse!  What about when we decide that if they earn more than $50,000 then they’re entitled to 50% commission, and if they earn more than $60,000 then they’re entitled to 60% commission? Now the formula in cell B2, while correct, has become virtually unreadable.  No-one should have to write formulae where the functions are nested four levels deep!  Surely there must be a simpler way? There certainly is.  VLOOKUP to the rescue! Let’s redesign the worksheet a bit.  We’ll keep all the same figures, but organize it in a new way, a more tabular way: Take a moment and verify for yourself that the new Rate Table works exactly the same as the series of thresholds above. Conceptually, what we’re about to do is use VLOOKUP to look up the salesperson’s sales total (from B1) in the rate table and return to us the corresponding commission rate.  Note that the salesperson may have indeed created sales that are not one of the five values in the rate table ($0, $30,000, $40,000, $50,000 or $60,000).  They may have created sales of $34,988.  It’s important to note that $34,988 does not appear in the rate table.  Let’s see if VLOOKUP can solve our problem anyway… We select cell B2 (the location we want to put our formula), and then insert the VLOOKUP function from the Formulas tab: The Function Arguments box for VLOOKUP appears.  We fill in the arguments (parameters) one by one, starting with the Lookup_value, which is, in this case, the sales total from cell B1.  We place the cursor in the Lookup_value field and then click once on cell B1: Next we need to specify to VLOOKUP what table to lookup this data in.  In this example, it’s the rate table, of course.  We place the cursor in the Table_array field, and then highlight the entire rate table – excluding the headings: Next we must specify which column in the table contains the information we want our formula to return to us.  In this case we want the commission rate, which is found in the second column in the table, so we therefore enter a 2 into the Col_index_num field: Finally we enter a value in the Range_lookup field. Important:  It is the use of this field that differentiates the two ways of using VLOOKUP.  To use VLOOKUP with a database, this final parameter, Range_lookup, must always be set to FALSE, but with this other use of VLOOKUP, we must either leave it blank or enter a value of TRUE.  When using VLOOKUP, it is vital that you make the correct choice for this final parameter. To be explicit, we will enter a value of true in the Range_lookup field.  It would also be fine to leave it blank, as this is the default value: We have completed all the parameters.  We now click the OK button, and Excel builds our VLOOKUP formula for us: If we experiment with a few different sales total amounts, we can satisfy ourselves that the formula is working. Conclusion In the “database” version of VLOOKUP, where the Range_lookup parameter is FALSE, the value passed in the first parameter (Lookup_value) must be present in the database.  In other words, we’re looking for an exact match. But in this other use of VLOOKUP, we are not necessarily looking for an exact match.  In this case, “near enough is good enough”.  But what do we mean by “near enough”?  Let’s use an example:  When searching for a commission rate on a sales total of $34,988, our VLOOKUP formula will return us a value of 30%, which is the correct answer.  Why did it choose the row in the table containing 30% ?  What, in fact, does “near enough” mean in this case?  Let’s be precise: When Range_lookup is set to TRUE (or omitted), VLOOKUP will look in column 1 and match the highest value that is not greater than the Lookup_value parameter. It’s also important to note that for this system to work, the table must be sorted in ascending order on column 1! If you would like to practice with VLOOKUP, the sample file illustrated in this article can be downloaded from here. Similar Articles Productive Geek Tips Using VLOOKUP in ExcelImport Microsoft Access Data Into ExcelImport an Access Database into ExcelCopy a Group of Cells in Excel 2007 to the Clipboard as an ImageShare Access Data with Excel in Office 2010 TouchFreeze Alternative in AutoHotkey The Icy Undertow Desktop Windows Home Server – Backup to LAN The Clear & Clean Desktop Use This Bookmarklet to Easily Get Albums Use AutoHotkey to Assign a Hotkey to a Specific Window Latest Software Reviews Tinyhacker Random Tips DVDFab 6 Revo Uninstaller Pro Registry Mechanic 9 for Windows PC Tools Internet Security Suite 2010 Quickly Schedule Meetings With NeedtoMeet Share Flickr Photos On Facebook Automatically Are You Blocked On Gtalk? Find out Discover Latest Android Apps On AppBrain The Ultimate Guide For YouTube Lovers Will it Blend? iPad Edition

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  • Working with PivotTables in Excel

    - by Mark Virtue
    PivotTables are one of the most powerful features of Microsoft Excel.  They allow large amounts of data to be analyzed and summarized in just a few mouse clicks. In this article, we explore PivotTables, understand what they are, and learn how to create and customize them. Note:  This article is written using Excel 2010 (Beta).  The concept of a PivotTable has changed little over the years, but the method of creating one has changed in nearly every iteration of Excel.  If you are using a version of Excel that is not 2010, expect different screens from the ones you see in this article. A Little History In the early days of spreadsheet programs, Lotus 1-2-3 ruled the roost.  Its dominance was so complete that people thought it was a waste of time for Microsoft to bother developing their own spreadsheet software (Excel) to compete with Lotus.  Flash-forward to 2010, and Excel’s dominance of the spreadsheet market is greater than Lotus’s ever was, while the number of users still running Lotus 1-2-3 is approaching zero.  How did this happen?  What caused such a dramatic reversal of fortunes? Industry analysts put it down to two factors:  Firstly, Lotus decided that this fancy new GUI platform called “Windows” was a passing fad that would never take off.  They declined to create a Windows version of Lotus 1-2-3 (for a few years, anyway), predicting that their DOS version of the software was all anyone would ever need.  Microsoft, naturally, developed Excel exclusively for Windows.  Secondly, Microsoft developed a feature for Excel that Lotus didn’t provide in 1-2-3, namely PivotTables.  The PivotTables feature, exclusive to Excel, was deemed so staggeringly useful that people were willing to learn an entire new software package (Excel) rather than stick with a program (1-2-3) that didn’t have it.  This one feature, along with the misjudgment of the success of Windows, was the death-knell for Lotus 1-2-3, and the beginning of the success of Microsoft Excel. Understanding PivotTables So what is a PivotTable, exactly? Put simply, a PivotTable is a summary of some data, created to allow easy analysis of said data.  But unlike a manually created summary, Excel PivotTables are interactive.  Once you have created one, you can easily change it if it doesn’t offer the exact insights into your data that you were hoping for.  In a couple of clicks the summary can be “pivoted” – rotated in such a way that the column headings become row headings, and vice versa.  There’s a lot more that can be done, too.  Rather than try to describe all the features of PivotTables, we’ll simply demonstrate them… The data that you analyze using a PivotTable can’t be just any data – it has to be raw data, previously unprocessed (unsummarized) – typically a list of some sort.  An example of this might be the list of sales transactions in a company for the past six months. Examine the data shown below: Notice that this is not raw data.  In fact, it is already a summary of some sort.  In cell B3 we can see $30,000, which apparently is the total of James Cook’s sales for the month of January.  So where is the raw data?  How did we arrive at the figure of $30,000?  Where is the original list of sales transactions that this figure was generated from?  It’s clear that somewhere, someone must have gone to the trouble of collating all of the sales transactions for the past six months into the summary we see above.  How long do you suppose this took?  An hour?  Ten?  Probably. If we were to track down the original list of sales transactions, it might look something like this: You may be surprised to learn that, using the PivotTable feature of Excel, we can create a monthly sales summary similar to the one above in a few seconds, with only a few mouse clicks.  We can do this – and a lot more too! How to Create a PivotTable First, ensure that you have some raw data in a worksheet in Excel.  A list of financial transactions is typical, but it can be a list of just about anything:  Employee contact details, your CD collection, or fuel consumption figures for your company’s fleet of cars. So we start Excel… …and we load such a list… Once we have the list open in Excel, we’re ready to start creating the PivotTable. Click on any one single cell within the list: Then, from the Insert tab, click the PivotTable icon: The Create PivotTable box appears, asking you two questions:  What data should your new PivotTable be based on, and where should it be created?  Because we already clicked on a cell within the list (in the step above), the entire list surrounding that cell is already selected for us ($A$1:$G$88 on the Payments sheet, in this example).  Note that we could select a list in any other region of any other worksheet, or even some external data source, such as an Access database table, or even a MS-SQL Server database table.  We also need to select whether we want our new PivotTable to be created on a new worksheet, or on an existing one.  In this example we will select a new one: The new worksheet is created for us, and a blank PivotTable is created on that worksheet: Another box also appears:  The PivotTable Field List.  This field list will be shown whenever we click on any cell within the PivotTable (above): The list of fields in the top part of the box is actually the collection of column headings from the original raw data worksheet.  The four blank boxes in the lower part of the screen allow us to choose the way we would like our PivotTable to summarize the raw data.  So far, there is nothing in those boxes, so the PivotTable is blank.  All we need to do is drag fields down from the list above and drop them in the lower boxes.  A PivotTable is then automatically created to match our instructions.  If we get it wrong, we only need to drag the fields back to where they came from and/or drag new fields down to replace them. The Values box is arguably the most important of the four.  The field that is dragged into this box represents the data that needs to be summarized in some way (by summing, averaging, finding the maximum, minimum, etc).  It is almost always numerical data.  A perfect candidate for this box in our sample data is the “Amount” field/column.  Let’s drag that field into the Values box: Notice that (a) the “Amount” field in the list of fields is now ticked, and “Sum of Amount” has been added to the Values box, indicating that the amount column has been summed. If we examine the PivotTable itself, we indeed find the sum of all the “Amount” values from the raw data worksheet: We’ve created our first PivotTable!  Handy, but not particularly impressive.  It’s likely that we need a little more insight into our data than that. Referring to our sample data, we need to identify one or more column headings that we could conceivably use to split this total.  For example, we may decide that we would like to see a summary of our data where we have a row heading for each of the different salespersons in our company, and a total for each.  To achieve this, all we need to do is to drag the “Salesperson” field into the Row Labels box: Now, finally, things start to get interesting!  Our PivotTable starts to take shape….   With a couple of clicks we have created a table that would have taken a long time to do manually. So what else can we do?  Well, in one sense our PivotTable is complete.  We’ve created a useful summary of our source data.  The important stuff is already learned!  For the rest of the article, we will examine some ways that more complex PivotTables can be created, and ways that those PivotTables can be customized. First, we can create a two-dimensional table.  Let’s do that by using “Payment Method” as a column heading.  Simply drag the “Payment Method” heading to the Column Labels box: Which looks like this: Starting to get very cool! Let’s make it a three-dimensional table.  What could such a table possibly look like?  Well, let’s see… Drag the “Package” column/heading to the Report Filter box: Notice where it ends up…. This allows us to filter our report based on which “holiday package” was being purchased.  For example, we can see the breakdown of salesperson vs payment method for all packages, or, with a couple of clicks, change it to show the same breakdown for the “Sunseekers” package: And so, if you think about it the right way, our PivotTable is now three-dimensional.  Let’s keep customizing… If it turns out, say, that we only want to see cheque and credit card transactions (i.e. no cash transactions), then we can deselect the “Cash” item from the column headings.  Click the drop-down arrow next to Column Labels, and untick “Cash”: Let’s see what that looks like…As you can see, “Cash” is gone. Formatting This is obviously a very powerful system, but so far the results look very plain and boring.  For a start, the numbers that we’re summing do not look like dollar amounts – just plain old numbers.  Let’s rectify that. A temptation might be to do what we’re used to doing in such circumstances and simply select the whole table (or the whole worksheet) and use the standard number formatting buttons on the toolbar to complete the formatting.  The problem with that approach is that if you ever change the structure of the PivotTable in the future (which is 99% likely), then those number formats will be lost.  We need a way that will make them (semi-)permanent. First, we locate the “Sum of Amount” entry in the Values box, and click on it.  A menu appears.  We select Value Field Settings… from the menu: The Value Field Settings box appears. Click the Number Format button, and the standard Format Cells box appears: From the Category list, select (say) Accounting, and drop the number of decimal places to 0.  Click OK a few times to get back to the PivotTable… As you can see, the numbers have been correctly formatted as dollar amounts. While we’re on the subject of formatting, let’s format the entire PivotTable.  There are a few ways to do this.  Let’s use a simple one… Click the PivotTable Tools/Design tab: Then drop down the arrow in the bottom-right of the PivotTable Styles list to see a vast collection of built-in styles: Choose any one that appeals, and look at the result in your PivotTable:   Other Options We can work with dates as well.  Now usually, there are many, many dates in a transaction list such as the one we started with.  But Excel provides the option to group data items together by day, week, month, year, etc.  Let’s see how this is done. First, let’s remove the “Payment Method” column from the Column Labels box (simply drag it back up to the field list), and replace it with the “Date Booked” column: As you can see, this makes our PivotTable instantly useless, giving us one column for each date that a transaction occurred on – a very wide table! To fix this, right-click on any date and select Group… from the context-menu: The grouping box appears.  We select Months and click OK: Voila!  A much more useful table: (Incidentally, this table is virtually identical to the one shown at the beginning of this article – the original sales summary that was created manually.) Another cool thing to be aware of is that you can have more than one set of row headings (or column headings): …which looks like this…. You can do a similar thing with column headings (or even report filters). Keeping things simple again, let’s see how to plot averaged values, rather than summed values. First, click on “Sum of Amount”, and select Value Field Settings… from the context-menu that appears: In the Summarize value field by list in the Value Field Settings box, select Average: While we’re here, let’s change the Custom Name, from “Average of Amount” to something a little more concise.  Type in something like “Avg”: Click OK, and see what it looks like.  Notice that all the values change from summed totals to averages, and the table title (top-left cell) has changed to “Avg”: If we like, we can even have sums, averages and counts (counts = how many sales there were) all on the same PivotTable! Here are the steps to get something like that in place (starting from a blank PivotTable): Drag “Salesperson” into the Column Labels Drag “Amount” field down into the Values box three times For the first “Amount” field, change its custom name to “Total” and it’s number format to Accounting (0 decimal places) For the second “Amount” field, change its custom name to “Average”, its function to Average and it’s number format to Accounting (0 decimal places) For the third “Amount” field, change its name to “Count” and its function to Count Drag the automatically created field from Column Labels to Row Labels Here’s what we end up with: Total, average and count on the same PivotTable! Conclusion There are many, many more features and options for PivotTables created by Microsoft Excel – far too many to list in an article like this.  To fully cover the potential of PivotTables, a small book (or a large website) would be required.  Brave and/or geeky readers can explore PivotTables further quite easily:  Simply right-click on just about everything, and see what options become available to you.  There are also the two ribbon-tabs: PivotTable Tools/Options and Design.  It doesn’t matter if you make a mistake – it’s easy to delete the PivotTable and start again – a possibility old DOS users of Lotus 1-2-3 never had. We’ve included an Excel that should work with most versions of Excel, so you can download to practice your PivotTable skills. Download Our Practice Excel File Similar Articles Productive Geek Tips Magnify Selected Cells In Excel 2007Share Access Data with Excel in Office 2010Make Excel 2007 Print Gridlines In Workbook FileMake Excel 2007 Always Save in Excel 2003 FormatConvert Older Excel Documents to Excel 2007 Format TouchFreeze Alternative in AutoHotkey The Icy Undertow Desktop Windows Home Server – Backup to LAN The Clear & Clean Desktop Use This Bookmarklet to Easily Get Albums Use AutoHotkey to Assign a Hotkey to a Specific Window Latest Software Reviews Tinyhacker Random Tips Revo Uninstaller Pro Registry Mechanic 9 for Windows PC Tools Internet Security Suite 2010 PCmover Professional Ben & Jerry’s Free Cone Day, 3/23/10 New Stinger from McAfee Helps Remove ‘FakeAlert’ Threats Google Apps Marketplace: Tools & Services For Google Apps Users Get News Quick and Precise With Newser Scan for Viruses in Ubuntu using ClamAV Replace Your Windows Task Manager With System Explorer

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  • How to display programs, started by TSWA Remoteapp, inside a browser instead of directly on the desk

    - by richardboon
    For those not familiar with Terminal Services Web Access and Resulting Internet Communication in Windows Server 2008, here’s a brief overview: technet.microsoft.com/en-us/library/cc754502(WS.10).aspx The problem (I am trying to solve), can be seen in the picture of step 16, where the application is display directly right on the desktop [see link below]: http://blogs.technet.com/askcore/archive/2008/07/22/publishing-the-hyper-v-management-interface-using-terminal-services.aspx I am in the process of setting up Terminal Service Web Access RemoteApp for our company. Users only want remoteapp and needs to see the remote program running within/contain-inside the browser. They don’t want to see or access the whole desktop [as the case with remote desktop, which can be displayed inside a browser].

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  • Configure SMTP server windows

    - by Jake
    I am configuring a local network and for some reason I can't get server to send an email. I already install the SMTP server and configured using this tutorial http://www.itsolutionskb.com/2008/11/installing-and-configuring-windows-server-2008-smtp-server/ but when I try to send an email using code, the email gets pickedup from mailroot/pickup and dropped in mailroot/queue and stays in queue forever, it never goes anywhere, I even tried dropping a basic mail.txt file with this in it: to:[email protected] from:[email protected] subject:This is a test. this is a test. still the same thing happens. Is the smtp server not configured right, is their something else I am missing, because this is my first time setting up an smtp server

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  • Problem with XLSX file on Office 2003 with Compatibility Pack

    - by MadBoy
    I've this machine which has Office 2003 installed with Compatibility Pack. User received one file which she has to work with in XLSX format (file has to stay in that format so options to save it as XLS can be skipped). When she opens the file from Desktop or any other location it gives an error like "Cannot find the file in following location" and in the background it starts Converting XLSX file to XLS. In the end Excel is opened up with some random file name X000008.xls (Read Only) which is just 1 to 1 conversion of the XLSX document. However if I go directly to Excel and use File / Open and try to open the XLSX file no error or conversion is done. The file is writable and can be saved in XLSX format. The file name is simple like This_file something.XLSX, I've even tried to remove all spaces but it gave no better results. Anyone has any recommendations? So far I have done: 1. Uninstalled Compatibility Pack and installed it again. Tried opening it without any other updates and the error still pops out. In progress: I am now running all possible updates of office (like 5 of them) which i suppos won't fix anything (as they were applied when I've uninstalled compatibility pack). Next in run will be (not yet done) installing Windows XP SP3. What other things I can do?

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  • Office 2010 OCT Outlook Filepaths

    - by vlannoob
    I'm playing around with customizing Office 2010 installs on my network, normally I just do a full manual install, but as the environment grows and the lazier I get its becoming a pain to do it manually every time. I've read up and downloaded the Office 2010 OCT tool and it looks relatively straight forward - with one exception - the Outlook Profile. I can 'get around it' by just leaving it all as default (or not enabling offline use) but I'd like to customise it slightly so that its all setup no matter who logs onto the PC. The only issue I have, and my question is: In the OCT - Outlook section What do you enter into the Path and Filename for the OST file and the Offline Address book seetings under Enable Offline Use section? I'm sweet with everything else - just that one section, and I think if I bugger that one it will kill the whole Outlook Profile?? It would need to go into each users unique filepath for their profile correct? I have a fair idea of what should be there but I'm struggling with the correct syntax. I know this is a stupid question....but its late in the day and my brain is fried ;) As usual - any and all help/assistance is appreciated ;)

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  • Route through site-to-site VPN not working

    - by Jonathan
    I'm trying to set up a site-to-site VPN using RRAS on two 2K8r2 servers since yesterday. The connection is working at this point, but I can't get it to send traffic from one site to the other one. Set up: the set up is the same on both sites: the server is connected to a router that's connected to a modem. The routers act like a DHCP-server and assign IP addresses from the range subnet.21-subnet-.100. Both servers use a static IP address, subnet.11, and are set up as DMZ. Configuration: the servers are configured using the wizard to set up a site-to-site connection. This works with a demand-dial interface and a PPTP VPN connection. As mentioned, the VPN connection work properly. Problem: I can't get the servers to send the traffic for the other site, to be sent through the VPN connection. I added a static route on both server (home, office 1) and I can see the result in the IP routing table (home, office 1). I did this because the route didn't show up automatically. My guess is that this last step isn't right, for example because the routing table states "non demand-dial", which seems not correct. Home: Subnet: 10.0.1.0/24 Router: 10.0.1.1 Server: 10.0.1.11 (DMZ) DHCP: 10.0.1.21-10.0.1.100 RRAS DHCP: 10.0.1.101-10.0.1.150 Office 1: Subnet: 10.0.2.0/24 Router: 10.0.2.1 Server: 10.0.2.11 (DMZ) DHCP: 10.0.2.21-10.0.2.100 RRAS DHCP: 10.0.2.101-10.0.2.150 I hope someone has an idea to get this route working!

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  • Trouble printing to local printer when connected to VPN with split-tunneling enabled

    - by Marve
    I'm a volunteer network admin for a multi-tenant non-profit office space. One of our new tenants uses a VPN to connect to remote resources using RRAS and Small Business Server 2008. They also have a local network printer for the workstations in our office. When connected to the VPN, they cannot print to the local printer. I informed their network admin that they need to enable split-tunneling to fix this. Their network admin enabled split-tunneling, but apparently printing still didn't work. He told me that I need to open port 1723 on our office firewall to allow it to work. I'm just a novice administrator and not familiar with RRAS, but this doesn't sound right to me and I haven't been able to find anything on the web to validate it. Additionally, my understanding of split-tunneling is that it is handled entirely by the VPN client and should work irrespective of firewall settings. Is my understanding of the situation incorrect? What steps should I take to resolve this problem?

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  • Office 365 : RIM et Microsoft signent un accord, les applications Cloud professionnelles seront disponibles sur BackBerry

    Office 365 : RIM et Microsoft signent un accord Les applications Cloud professionnelles seront disponibles sur BackBerry Research in Motion (RIM) a annoncé que ses terminaux mobiles BlackBerry prendront désormais en charge les offres Cloud de Microsoft Office 365. Les utilisateurs du service Cloud de Microsoft pourront donc utiliser leur BlackBerry pour avoir accès aux différents services hébergés comme Exchange ou les Office Web Apps, et ce sans aucun frais mensuel. Les entreprises, quant à elles, payeront toujours le même montant pour l'offre BlackBerry Enterprise Service. Pour mémoire Office 365 (disponib...

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  • Windows RT : les tablettes embarqueront un Office 2013 finalisé, sans supplément

    Les tablettes sous Windows RT arriveront avec leur version finalisée d'Office 2013 Sans supplément Microsoft vient de le confirmer sur le blog officiel d'Office, les tablettes qui sortiront sous Windows RT (la déclinaison de l'OS pour les appareils avec des puces ARM) bénéficieront - en natif et sans supplément - de la version finalisée de Office For Windows RT. Et non de sa préversion comme initialement prévue. Office Home & Student 2013 RT est une version tactile, complète, avec quelques différences par rapport à la version « classique » mais qui ne devraient impacter que quelques « power-users ». La pl...

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  • How do I overcome the "The symbolic link cannot be followed because its type is disabled." error whe

    - by David Arno
    Following on from a previous question, I am creating a symbolic link on a Server 2008 from a Vista machine using UNC paths. I can create the link just fine. I can go to the Server 2008 box and double click on the link in explorer to open the target file. What I cannot do though is use FileCreateW to get a handle to the UNC path link (from the Vista box). When I try it, it fails and GetLastError() returns error code 1463 (0x5B7), which is: The symbolic link cannot be followed because its type is disabled. Can anyone tell me how to enable its "type" in Server 2008 (assuming the error means what it says)?

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  • How can I make VS2010 behave like VS2008 w/r/t indentation?

    - by Portman
    Situation I have a plain text file where indentation is important. line 1 line 1.1 (indented two spaces) line 1.2 (indented two spaces) line 1.2.3 (indented four spaces) In Visual Studio 2008, when I pressed enter, the next line would also be indented four spaces. However, in Visual Studio 2010, when I press enter, the next line is indented one tab. Question Does anybody know where, in the mountain of preferences under Tools Options, I can return to the way that Visual Studio 2008 worked? Under Options Text Editor Plain Text Tabs, I see the following: If I select "None", then I get no indentation when I move to the next line. If I select "Block", then I get TAB indentation (even though the previous line is spaces). In Visual Studio 2008, my indentation is set to "Block", and I get spaces. I have no idea what "Smart" indenting is, or why it is disabled.

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  • Invoke or BeginInvoke cannot be called on a control until the window handle has been created.

    - by blade3
    Hi I am trying to install SQL Server 2008 Developer Edition x64 on a Windows Server 2008 VM. I run the installer for a standalone installation and this works fine for the setup support rules bit. That passes ok but then I get this error: TITLE: SQL Server Setup failure. SQL Server Setup has encountered the following error: Invoke or BeginInvoke cannot be called on a control until the window handle has been created.. BUTTONS: OK How can I resolve this? I am getting 2008 R2 CTP but this is just a CTP. My download is from DreamSpark. Thanks

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  • Visual Studio Performance when editing XAML/Silverlight files

    - by driAn
    When I work on Silverlight projects within Visual Studio 2008, I regularly notice that the XAML editor hangs for up to 10 seconds. This because Visual Studio consumes 100% CPU during that timeframe. Any ideas how I could fix that? I assume this is some kind of background compiling for itellisense or something similiar. It happens during editing, multiple times an hour, without me doing any special actions. System: Server 2008 Std Visual Studio 2008 SP1 latest updates... I wonder if anyone else experienced this issue. Any help would be appreciated.

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  • SQL Server CLR Integration to acheive Encryption/Decryption

    - by Aakash
    I have a requirement to store the data in encrypted form in database tables. I want to do it at database level but the problems I am facing: ( a) Data Type of the field should be Varbinary. ( b) Encryption is not supported by Workgroup edition ( c) Is it possible to encrypt Numeric Fields? I want to access the encrypted data in tables to fetch in views and stored procedure for some processing but due to above problems I am not able to. Here is my Environment: Development Platform - ASP.Net,.Net Framework 3.5,Visual studio 2008 Server Operating System - Windows Server 2008 Database - SQL Server 2008 Work group edition I was also thinking to adopt a different approach to resolve this issue (yet to test it's feasibility). I was just wondering if I could create a CLR function (which could take parameters to encrypt and decrypt data using Cryptography types provided in .Net framework) and use the CLR integration feature of SQL Server and call that function from stored procedure and views. I am not sure if I am thinking in right direction? Any advice on this as well please.

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  • Linked Server related

    - by rmdussa
    I have two instances of SQL Server: Server1 (SQL Server 2008) Server2 (SQL Server 2005) I am executing a stored procedure from Server1 which references tables on Server2. It is working fine in my test environment: Server1 runs Vista SP2, SQL Server 2008; Server2 runs Windows XP SP2, SQL Server 2005. However, it is not working in the production environment: Server1 runs Vista SP1, SQL Server 2008; Server2 runs Windows XP SP2, SQL Server 2005. The error message I receive is: OLE DB provider "SQLNCLI10" for linked server "Server2" returned message "No transaction is active.". Msg 7391, Level 16, State 2, Line 21 The operation could not be performed because OLE DB provider "SQLNCLI10" for linked server "Server2" was unable to begin a distributed transaction.

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  • Microsoft Mdac with SQL Server issue

    - by George2
    Hello everyone, I am new to Microsoft Mdac = http://connect.microsoft.com/VisualStudio/feedback/details/91083/mdac-2-8-for-windows-x64, and I want to use this technology to export data from a SQL Server table (or ADO.Net DataTable object instance) to an Excel file. I am using VSTS 2008 + .Net 2.0 + C# + Windows Server 2008 x64 + SQL Server 2008 Enterprise 64-bit + ADO.Net + ASP.Net + IIS 7.0. My questions, whether Mdac technology could achieve my goal? any tutorial about this area (export from SQL Server to excel using Mdac) for a newbie with samples? thanks in advance, George

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  • How can i look at executed queries?

    - by taiga
    Hello, can anyone tell me how to view executed queries in SharePoint? I couldn't find a way to show query logs with SQL Server. As you know, SharePoint framework hides all queries from programmers. I would like to look into the queries and understand the mechanisms. http://www.infoq.com/articles/SharePoint-Andreas-Grabner In above article, i can see some windows showing methods and arguments(Queries). But i could not figure out where this window come from...(looks like a window from visual studio) Does anyone know how to show this window? or any alternative way to display executed queries? My working environment. Windows Server 2008 Enterprise MOSS 2007 SQL Server 2008 Enterprise Visual Studio 2008 with VSeWSS 1.2 Thank you in advance. Taiga

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  • How to access GMAIL for storage in custom CRM SQL Server DB?

    - by Optimal Solutions
    I have a client who wants his custom-written CRM to be able to access his sales people's emails so that, effectively, a history of email conversations between customer and salesperson is stored inside the CRM's database. The CRM is written in VB 2008 and the database is SQL Server 2008. The only email these people use, in the shop and on the road, is GMAIL. Each sales person has their own GMAIL address. Thats how they operate. If they're on the road and respond to a customer's email inquiry about a product, they would like that email conversation to be stored in a table in the database. I think thats the part I cant wrap my head around. How to get access to the email data (knowing the user id and password) and doing so from VB 2008

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  • Invoke or BeginInvoke cannot be called on a control until the window handle has been created

    - by blade3
    I am trying to install SQL Server 2008 Developer Edition x64 on a Windows Server 2008 VM. I run the installer for a standalone installation and this works fine for the setup support rules bit. That passes ok but then I get this error: TITLE: SQL Server Setup failure. SQL Server Setup has encountered the following error: Invoke or BeginInvoke cannot be called on a control until the window handle has been created.. BUTTONS: OK How can I resolve this? I am getting 2008 R2 CTP but this is just a CTP. My download is from DreamSpark. Thanks

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  • Does my OS will support these tools ?

    - by Zerotoinfinite
    I am currently using Windows Server 2003 and I want to install Windows XP [SP1 or SP2 or SP3] or may be VISTA. I have may application which I can run on Windows Server 2003 and I am curious to know If I could run the same on XP or Vista. Please help me deciding whether I change my OS or not, here is the List of software and app I want to work on: Visual Studio 2008/2010 SQL Server 2008 ASP.NET MVC and Entity Framework WPF application P.S. : I can create all my application [except WPF] with Windows Server 2003. I have a idea that I can install VS 2008 on XP but not exactly sure about MVC framework and other latest technology stuff.

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  • Booting from integrated RAID controller when another RAID controller is installed in a PCIe slot

    - by Antony Scott
    I have a GA MA785GT UD3H motherboard with Windows Server 2008 R2 installed on a RAID1 using the on-board RAID controller. I have now installed a RocketRaid 2680 controller and set up a RAID5 for all my data to be stored on. Unfortunately I now cannot boot from the RAID1 anymore, the PC is trying to boot from the RAID5! Does anyone have any experience of this motherboard / RAID controller combination?

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  • Windows cannot determine which language to install ?

    - by Mohammad
    I'm gonna install Windows Server 2008 SP2 on VMware Workstation 7.0.1 build-227600. But in installation I receive the following error and Windows doesn't continue installing procedure. Windows cannot determine which language to install ? What's wrong with it? Could you please guide me? Thanks.

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  • How to set ExecutionPolicy: access to registry key denied

    - by jrara
    I'm running Windows Server 2008 as admin and I tried to set ExecutionPolicy as Remotesigned for PowerShell v2 like this: Set-ExecutionPolicy RemoteSigned But I got this error: Set-ExecutionPolicy : Access to the registry key 'HKEY_LOCAL_MACHINE\SOFTWARE\Microsoft\PowerShell\1\ShellIds\Microsoft .PowerShell' is denied. At line:1 char:20 + Set-ExecutionPolicy <<<< RemoteSigned + CategoryInfo : NotSpecified: (:) [Set-ExecutionPolicy], UnauthorizedAccessException + FullyQualifiedErrorId : System.UnauthorizedAccessException,Microsoft.PowerShell.Commands.SetExecutionPolicyComma nd How to fix this?

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