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  • How to scan and count controls present in DataAccessPage of Access DataBase programmatically?

    - by Suman
    As per my application (Vb.net), it scans the Access database for Active-X controls. It is working now for Report form and Access Form. The code to find out controls is as follows: oReportCtls = oReport.Controls For Each oReportCtl In oReportCtls If oReportCtl.ControlType = 119 Then 'Activex Control' intReportObjectCount = intReportObjectCount + 1 End If Next But for DataAccessPages I am not getting any reference for Controls. Need Help: Please let me know it is possible or not? If yes, then please provide me some reference or example. Many Many Thanks, Sugam

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  • How to get access under testing

    - by Friedrich
    This question is related to: http://stackoverflow.com/questions/3027705/experiences-with-language-converters I just can tell I searched the web for quite a few days but hardly found anything about somewhat "proper" test in access. I found some framworks like accessunit but that's Unit testing, what abouut the forms? What about the different reports etc. A counter-example in "testing" is e.g the rails or Seaside or Smalltalk area. Where testing is thought of as integral part. But I have not found anything comparable for Access based solutions. Maybe some of you know better?

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  • Using a CSV/Text-File as a RecordSource for a Report

    - by Falcon
    I need an Access Report to use a CSV-File as a RecordSource. I have searched and tried many things, yet, I've found no way to achieve this. A temporary table in some other database is not an option. I've been trying to use a DAO RecordSet, but while I can read the RecordSet just fine I cannot set it as the report's RecordSet and I cannot use its Name as the RecordSource Property as both approaches lead to an error. Please help me find a way!

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  • Microsoft Access vs Native SQL

    - by ktm5124
    Hypothetical: Let's say you are writing complex queries to a database and it is very important that the data you extracted is the correct result set (e.g., that you didn't mess up a JOIN by not using all the correct keys, and all the other things that can go wrong, et cetera). What would you rather use to do this? Would you write the query using Microsoft Access and its Design View, or would you write it in native SQL using a SQL IDE? What is the better professional choice? Thanks in advance your feedback!

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  • Microsoft Access - Enter Parameter Value why?

    - by Jane Doe
    I am encountering a problem for my database. Here is the relationships of the database And tried to do the query for how many transactions have movie "Harry_Potter"? so I used SQL query: SELECT COUNT(td.movie) AS number_of_occurrence, td.transaction_number FROM TransactionDetails td, MovieDetails md WHERE md.movie = Harry_Potter But it asks for Harry_Potter enter parameter value why? The relevant SQL statements are CREATE TABLE TransactionDetails ( transaction_number INTEGER PRIMARY KEY, movie VARCHAR(30) NOT NULL, date_of_transaction DATE NOT NULL, member_number INTEGER NOT NULL ) CREATE TABLE MovieDetails ( movie VARCHAR(30) PRIMARY KEY, movie_type VARCHAR(3) NOT NULL, movie_genre VARCHAR(10) NOT NULL ) ALTER TABLE TransactionDetails ADD CONSTRAINT member_number_fk FOREIGN KEY (member_number) REFERENCES LimelightMemberDetails(member_number); ALTER TABLE TransactionDetails ADD CONSTRAINT transaction_number_drink_fk FOREIGN KEY (transaction_number) REFERENCES DrinkTransactionDetails(transaction_number); ALTER TABLE TransactionDetails ADD CONSTRAINT transaction_number_food_fk FOREIGN KEY (transaction_number) REFERENCES FoodTransactionDetails(transaction_number); ALTER TABLE TransactionDetails ADD CONSTRAINT movie_fk FOREIGN KEY (movie) REFERENCES MovieDetails (movie); Thank you for your help! If there is anything wrong with my database design please let me know! thank you!

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  • Assigning a previous fieldvalue to a field in the next record

    - by user2945849
    I am working on a loan amortization schedule using Access, I have created the following tables: tblMembers - autoMemberID|txtLN|txtFN|etc tblLoans - autoLoanID|numMemberID|etc tblSchedules -autoScheduleID|numLoanID|numPayment#|datDue|dblBegin|...|dblEnd tblPayments - autoPaymID|numLoanID|curAmtPaid|datPaidDate and forms: frmLoans - autoLoanID|etc sbfSchedules - numPaymID|datDue|dblBegin|...|dblEnd sbfPayments - dblAmount|datPaid I have been able to generate the schedule (using DAO recordset) clicking a btnRepaymentSchedule the challenge is when I click a btnAddPayment still on the sbfSchedules, I want the value of the dblEnd field to be the value of the next record dblBegin field! I have tried using dlookup(txtBeginBalance = Dlookup("EndBalance", _ "Schedules","[ScheduleID] = Form![Schedules]![ScheduleID]-1) but there is no effect but if I use txtBeginBalance = txtEndBalance the value of txtEndBalance is assigned to the value of txtBeginBalance of the same record (want next record). Secondly, how can I set focus to the next record if a contro(txtAmountPaid) is not null on clicking the btnAddPayment or assigning the value of a calculation when the control is 0 or null ? Thanks

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  • How to programmatically set the text of a cell of database in VB.Net?

    - by manuel
    I have a Microsoft Access database file connected to VB.NET. In the database table, I have a 'No.' and a 'Status' column. Then I have a textbox where I can input an integer. I also have a button, which will change the data cell in 'Status' where 'No.' = txtTitleNo.Text(), when I click it. Let's say I want the 'Status' cell to be changed to "Reserved". What codes should I put in the BtnReserve_Click? Here is the code: Public Class theForm Dim con As New OleDb.OleDbConnection Dim ds As New DataSet Dim daTitles As OleDb.OleDbDataAdapter Private Sub theForm_Load(ByVal sender As System.Object, ByVal e As System.EventArgs) Handles MyBase.Load con.ConnectionString = "Provider=Microsoft.Jet.OLEDB.4.0; Data Source=|DataDirectory|\db1.mdb" con.Open() daTitles = New OleDb.OleDbDataAdapter("SELECT * FROM Titles", con) daTitles.Fill(ds, "Titles") DataGridView1.DataSource = ds.Tables("Titles") DataGridView1.AutoResizeColumns() End Sub Private Sub BtnReserve_Click(ByVal sender As System.Object, ByVal e As System.EventArgs) Handles BtnReserve.Click Dim daReserve As OleDb.OleDbCommand For i As Integer = 1 TReservedo DataGridView1.RowCount() If i = Val(txtTitleNo.Text()) Then daReserve = New OleDb.OleDbCommand("UPDATE Titles SET Status = 'Reserved' WHERE No = '" & i & "'", con) daReserve.ExecuteNonQuery() End If Next Dim cb As New OleDb.OleDbCommandBuilder(daTitles) daTitles.Update(ds, "Titles") End Sub This code still does not change the 'Status'. What should I do?

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  • Performing complex query with Dynamics CRM 4.0

    - by dub
    Hi, I have two custom entites, Product and ProductType, linked together in many-to-one relationship. Product has a lookup field to ProductType. I'm trying to write a query to fetch Type1 products with a price over 100, and Type2 products with a price lower than 100. Here's how I would do it in SQL : select * from Product P inner join ProductType T on T.Id = P.TypeId where (T.Code = 'Type1' and P.Price >= 100) or (T.Code = 'Type2' and P.Price < 100) I can't figure out a way to build a QueryExpression to do exactly that. I know I could do it with two queries, but I'd like to minimize roundtrips to the server. Is there a way to perform that query in only one operation ? Thanks!

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  • Good way to create PDF from Office documents in Java

    - by Sindri Traustason
    I'm looking for a good way to convert Office (mostly Microsoft) documents to PDF in Java. I've been looking at using the OpenOffice SDK but from the samples I've looked at it looks like this requires having OpenOffice running in server mode to do the work. Does anyone know of a good way to do this? Good meaning the less external requirements, the better. A 100% Java API would be best, but I don't expect that actually exists.

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  • Create Access databases programatically through vb.net

    - by user87225
    Let me preface this by saying that I know this is a stupid way to go about this, but it needs to be handled in this way. I need to make an application that from a master database creates a number of access database files (tables of a larger db), then these are manually given to users who fill in data, the database files are emailed back to a user who, through the application, combines them again. The only part of this that I am unsure about is problematically creating the access db's. I have read that through Microsoft Jet OLE DB Provider and Microsoft ADO Ext I can create them (the tables and data), but I also need forms. I have yet to start writing anything and this is away from my area of work, so any insight/links would be much appreciated. Also, I would hope to be able to write this in the free express version of visual studio. Are there components needed that would prevent me from this? Thanks.

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  • Can splitting .MDB files into segments help with stability?

    - by Craig Johnston
    Is this a realistic solution to the problems associated with larger .mdb files: split the large .mdb file into smaller .mdb files have one 'central' .mdb containing links to the tables in the smaller .mdb files How easy would it be to make this change to an .mdb backed VB application? Could the changes to the database be done so that there are no changes required to the front-end application?

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  • Places to find free software projects who need developers/project managers?

    - by MHarrison
    While I have plenty of project management "booksmarts" and a handful of PM experience, I don't seem to have enough experience to get the sort of job I want. Since "I read another PM book/blog today" doesn't really count, I was thinking I could find some free/open source software (FOSS) projects who are looking for/hiring project managers or developers and see if there was anything I could volunteer for. Does anyone know of any FOSS employment sites where I might be able to find such projects? Something similar to careers.stackoverflow.com. I know I could just go to sourceforge/freshmeat and look around, but I was hoping to find some site that fills this need (and if any such sites exist, my google-fu is apparently VERY weak at finding them).

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  • Excel - Best Way to Connect With Access Data

    - by gamerzfuse
    Hello there, Here is the situation we have: a) I have an Access database / application that records a significant amount of data. Significant fields would be hours, # of sales, # of unreturned calls, etc b) I have an Excel document that connects to the Access database and pulls data in to visualize it As it stands now, the Excel file has a Refresh button that loads new data. The data is loaded into a large PivotTable. The main 'visual form' then uses VLOOKUP to get the results from the form, based on the related hours. This operation is slow (~10 seconds) and seems to be redundant and inefficient. Is there a better way to do this? I am willing to go just about any route - just need directions. Thanks in advance! Update: I have confirmed (due to helpful comments/responses) that the problem is with the data loading itself. removing all the VLOOKUPs only took a second or two out of the load time. So, the questions stands as how I can rapidly and reliably get the data without so much time involvement (it loads around 3000 records into the PivotTables).

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  • How can you build a C++ library to produce a .lib file for use in another project?

    - by Codereview
    I tried to use Cmake for the first time, I tried adding a library to my project (Specifically, PhysFS) but then I understood that the library had no .lib file or .a file at all, so I have to build those somehow. I have no clue where to even start around going this, what should I do? Someone suggested I'd go to the project folder and type "Cmake ..." then "Make ..." but I was clueless as to how I'd do that. How would I build the library headers and source files in a .lib file that I can link in C::B? I'm using Windows XP SP3

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  • Double Inner Join generates unexpected error

    - by Itamar Marom
    In my database I have three tables: Users: UserID (Auto Numbering), UserName, UserPassword and a few other unimportant fields. PrivateMessages: MessageID (Auto Numbering), SenderID and a few other fields defining the message content. MessageStatus: MessageID, ReceiverID, MessageWasRead (Boolean) What I need is a query to which I input a user's id and I get all the private messages he has received. In addition, I also need to receive each message's sender UserName. For this I wrote the following query: SELECT Users.*, PrivateMessages.*, MessageStatus.* FROM PrivateMessages INNER JOIN Users ON PrivateMessages.SenderID = Users.UserID INNER JOIN MessageStatus ON PrivateMessages.MessageID = MessageStatus.MessageID WHERE MessageStatus.ReceiverID=[@userid]; But for some reason when I try saving it in my Access database, I get the following error (translated to English by me, since my office is in a different language): Syntax error (missing operator) at expression: "PrivateMessages.SenderID = Users.UserID INNER JOIN MessageStatus ON PrivateMessages.MessageID = MessageStatus.MessageI". Any ideas what could cause this? Thanks.

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  • Access Qry Questions

    - by kralco626
    It was suggested that I repost this questions as I didn't do a very good job discribing my issue the first time. (http://stackoverflow.com/questions/2921286/access-question) THE SITUATION: I have inspections from many months of many years. Sometimes there is more than one inspection in a month, sometimes there is no inspection. However, the report that is desired by the clients requires that I have EXACTLY ONE record per month for the time frame they request the report. They understand the data issues and have stated that if there is more than one inspection in a month to take the latest one. If the is not an inspection for that month, go back in time untill you find one and use that one. So a sample of the data is as follows: (I am including many records because I was told I did not include enough data on my last try) equip_id month year runtime date 1 5 2008 400 5/10/2008 12:34 PM 1 7 2008 500 7/12/2008 1:45 PM 1 8 2008 600 8/20/2008 1:12 PM 1 8 2008 605 8/30/2008 8:00 AM 1 1 2010 2000 1/12/2010 2:00 PM 1 3 2010 2200 3/24/2010 10:00 AM 2 7 2009 1000 7/20/2009 8:00 AM 2 10 2009 1400 10/14/2009 9:00 AM 2 1 2010 1600 1/15/2010 1:00 PM 2 1 2010 1610 1/30/2010 4:00 PM 2 3 2010 1800 3/15/2010 1:00PM After all the transformations to the data are done, it should look like this: equip_id month year runtime date 1 5 2008 400 5/10/2008 12:34 PM 1 6 2008 400 5/10/2008 12:34 PM 1 7 2008 500 7/12/2008 1:45 PM 1 8 2008 605 8/30/2008 8:00 AM 1 9 2008 605 8/30/2008 8:00 AM 1 10 2008 605 8/30/2008 8:00 AM 1 11 2008 605 8/30/2008 8:00 AM 1 12 2008 605 8/30/2008 8:00 AM 1 1 2009 605 8/30/2008 8:00 AM 1 2 2009 605 8/30/2008 8:00 AM 1 3 2009 605 8/30/2008 8:00 AM 1 4 2009 605 8/30/2008 8:00 AM 1 5 2009 605 8/30/2008 8:00 AM 1 6 2009 605 8/30/2008 8:00 AM 1 7 2009 605 8/30/2008 8:00 AM 1 8 2009 605 8/30/2008 8:00 AM 1 9 2009 605 8/30/2008 8:00 AM 1 10 2009 605 8/30/2008 8:00 AM 1 11 2009 605 8/30/2008 8:00 AM 1 12 2009 605 8/30/2008 8:00 AM 1 1 2010 2000 1/12/2010 2:00 PM 1 2 2010 2000 1/12/2010 2:00 PM 1 3 2010 2200 3/24/2010 10:00 AM 2 7 2009 1000 7/20/2009 8:00 AM 2 8 2009 1000 7/20/2009 8:00 AM 2 9 2009 1000 7/20/2009 8:00 AM 2 10 2009 1400 10/14/2009 9:00 AM 2 11 2009 1400 10/14/2009 9:00 AM 2 12 2009 1400 10/14/2009 9:00 AM 2 1 2010 1610 1/30/2010 4:00 PM 2 2 2010 1610 1/30/2010 4:00 PM 2 3 2010 1800 3/15/2010 1:00PM I think that this is the most accurate dipiction of the problem that I can give. I will now say what I have tried. Although if someone else has a better approach, I am perfectly willing to throw away what I have done and do it differently... STEP 1: create a query that removes the duplicates from the data. Ie. only one record per equip_id for each month/year, keeping the latest one. (done successfully) STEP 2: create a table of the date ranges the client wants the report for. (This is done dynamically at runtime) This table two field, Month and Year. So if the client wants a report from FEb 2008 to March 2010 the table would look like: Month Year 2 2008 3 2008 . . . 12 2008 1 2009 . . . 12 2009 1 2010 2 2010 3 2010 I then left joined this table with my query from step 1. So now I have a record for every month and every year that they want the report for, with nulls(or blanks) or sometimes 0s (not sure why, access is weird, but sometiems they are nulls and sumtimes they are 0s...) for the runtimes that are not avaiable. I don't particurally like this solution, but ill do it if i have to. (this is also done successfully) STEP 3: Fill in the missing runtime values. This I HAVE NOT done successfully. Note that if the request range for the report is feb 2008 to march 2010 and the oldest record for a particular equip_id is say june 2008, it is O.K. for the runtimes to be null (or zeros) for feb - may 2008. I am working with the following query for this step: SELECT equip_id as e_id,year,month, (select top 1 runhours from qry_1_c_One_Record_per_Month a where a.equip_id = e_id order by year,month) FROM qry_1_c_One_Record_per_Month where runhours is null or runhours = 0; UNION SELECT equip_id, year, month, runhours FROM qry_1_c_One_Record_per_Month WHERE .runhours Is Not Null And runhours <> 0 However I clearly can't check the a.equip_id = e_id ... so i don't have anyway to make sure i'm looking at the correct equip_id SUMMARY: So like i said i'm willing to throw away any part, or all of what I tried. Just trying to give everyone a complete picture. I REALLY apreciate ANY help! Thanks so much in advance!

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  • Conditional formatting in Access

    - by every_answer_gets_a_point
    I have a datasheet that looks like this: ID name_ 1 2 3 4 1 name1 x 0 0 0 2 name2 0 x 0 0 3 name3 0 0 x 0 4 name4 0 0 0 x I have rectangles on a report that correspond to this datasheet. When the report opens, I need the rectangles to be colored red according to the data. For example, in the name1 row where there is an x in the 1 column, I need the specific rectangle corresponding to this (name1, 1) to be colored red. Here is the result that I need: x x x x (where x is a rectangle that is red) Perhaps the best place to place this code would be in ON LOAD event of the report, but i am not sure exactly. Can you please suggest to me some code that would turn the specified rectangles red according to the data?

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  • Reduce file size for charts pasted from excel into word

    - by Steve Clanton
    I have been creating reports by copying some charts and data from an excel document into a word document. I am pasting into a content control, so i use ChartObject.CopyPicture in excel and ContentControl.Range.Paste in word. This is done in a loop: Set ws = ThisWorkbook.Worksheets("Charts") With ws For Each cc In wordDocument.ContentControls If cc.Range.InlineShapes.Count > 0 Then scaleHeight = cc.Range.InlineShapes(1).scaleHeight scaleWidth = cc.Range.InlineShapes(1).scaleWidth cc.Range.InlineShapes(1).Delete .ChartObjects(cc.Tag).CopyPicture Appearance:=xlScreen, Format:=xlPicture cc.Range.Paste cc.Range.InlineShapes(1).scaleHeight = scaleHeight cc.Range.InlineShapes(1).scaleWidth = scaleWidth ElseIf ... Next cc End With Creating these reports using Office 2007 yielded files that were around 6MB, but creating them (using the same worksheet and document) in Office 2010 yields a file that is around 10 times as large. After unzipping the docx, I found that the extra size comes from emf files that correspond to charts that are pasted in using VBA. Where they range from 360 to 900 KB before, they are 5-18 MB. And the graphics are not visibly better. I am able to CopyPicture with the format xlBitmap, and while that is somewhat smaller, it is larger than the emf generated by Office 2007 and noticeably poorer quality. Are there any other options for reducing the file size? Ideally, I would like to produce a file with the same resolution for the charts as I did using Office 2007. Is there any way that uses VBA only (without modifying the charts in the spreadsheet)?

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  • How do I create a Debian branch for my project on Launchpad?

    - by George Edison
    I have a project on Launchpad that consists of a single branch (trunk). I would like to create a second branch that contains the Debian packaging for the project (with the intent of creating a build recipe that merges it into the main branch before building). I've done this before by just pushing a local branch to lp:~me/project_name/debian. However, this stacks the branch with trunk, which I don't want (it becomes impossible to delete trunk without deleting the Debian packaging branch - a restriction that has caused problems before). What is the proper way to do this?

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  • SQL not yielding expected results

    - by AnonJr
    I have three tables related to this particular query: Lawson_Employees: LawsonID (pk), LastName, FirstName, AccCode (numeric) Lawson_DeptInfo: AccCode (pk), AccCode2 (don't ask, HR set up), DisplayName tblExpirationDates: EmpID (pk), ACLS (date), EP (date), CPR (date), CPR_Imported (date), PALS (date), Note The goal is to get the data I need to report on all those who have already expired in one or more certification, or are going to expire in the next 90 days. Some important notes: This is being run as part of a vbScript, so the 90-day date is being calculated when the script is run. I'm using 2010-08-31 as a placeholder since its the result at the time this question is being posted. All cards expire at the end of the month. (which is why the above date is for the end of August and not 90 days on the dot) A valid EP card supersedes ACLS certification, but only the latter is required of some employees. (wasn't going to worry about it until I got this question answered, but if I can get the help I'll take it) The CPR column contains the expiration date for the last class they took with us. (NULL if they didn't take any classes with us) The CPR_Imported column contains the expiration date for the last class they took somewhere else. (NULL if they didn't take it elsewhere, and bravo for following policy) The distinction between CPR classes is important for other reports. For purposes of this report, all we really care about is which one is the most current - or at least is currently current. If I have to, I'll ignore ACLS and PALS for the time being as it is non-compliance with CPR training that is the big issue at the moment. (not that the others won't be, but they weren't mentioned in the last meeting...) Here's the query I have so far, which is giving me good data: SELECT iEmp.LawsonID, iEmp.LastName, iEmp.FirstName, dept.AccCode2, dept.DisplayName, Exp.ACLS, Exp.EP, Exp.CPR, Exp.CPR_Imported, Exp.PALS, Exp.Note FROM (Lawson_Employees AS iEmp LEFT JOIN Lawson_DeptInfo AS dept ON dept.AccCode = iEmp.AccCode) LEFT JOIN tblExpirationDates AS Exp ON iEmp.LawsonID = Exp.EmpID WHERE iEmp.CurrentEmp = 1 AND ((Exp.ACLS <= #2010-08-31# AND Exp.ACLS IS NOT NULL) OR (Exp.CPR <= #2010-08-31# AND Exp.CPR_Imported <= #2010-08-31#) OR (Exp.PALS <= #2010-08-31# AND Exp.PALS IS NOT NULL)) ORDER BY dept.AccCode2, iEmp.LastName, iEmp.FirstName; After perusing the result set, I think I'm missing some expiration dates that should be in the result set. Am I missing something? This is the sucky part of being the only developer in the department... no one to ask for a little help.

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