Creating a new CI for each rule in a current CI using PowerShell

I have a client investigating DCM and for reporting reasons they'd like EACH RULE in a CI to be it's own CI (so it's stored server side and they can report on it). They've imported the Windows 7 baseline recommended by MS and now would like to
extract each rule and make a new CI based on it.
So I'm digging around in the rules through PowerShell and I can get them out but they don't seem complete. Here's how I'm getting them:
$CI = Get-CMConfigurationItem -Id 65210
[XML]$RulesXML = $CI.SDMPackageXML
$Rules = $RulesXML.DesiredConfigurationDigest.OperatingSystem.Rules
This particular rule is a sample one I set up that requires the existence of C:\IT\test.txt. But I don't see the actual text of that rule anywhere in the XML:
<Rules>
<Rule xmlns="http://schemas.microsoft.com/SystemsCenterConfigurationManager/2009/06/14/Rules" id="Rule_e0beb149-7459-417f-9ae6-70cbc7f588b1" Severity="None" NonCompliantWhenSettingIsNotFound="false">
<Annotation>
<DisplayName Text="TEST - Test File" ResourceId="ID-b11826e5-b3e0-4444-ac2b-b6156ac8f5cc" />
<Description Text="C:\IT\Test.txt must be present" ResourceId="ID-3dc17d90-e06f-46e1-9504-ec24c843dffb" />
</Annotation>
<Expression>
<Operator>NotEquals</Operator>
<Operands>
<SettingReference AuthoringScopeId="ScopeId_811CF9C7-F08C-4528-8C02-E20811B33FD5" LogicalName="OperatingSystem_5c61496b-b4dc-4ca9-a3f7-30c3aec8e2a4" Version="1" DataType="Int64" SettingLogicalName="File_cccd7dc7-e590-494c-b166-6d4aea7abc57" SettingSourceType="File" Method="Count" Changeable="false" />
<ConstantValue Value="0" DataType="Int64" />
</Operands>
</Expression>
</Rule>
</Rules>
I see some GUID references so is the actual rule kept elsewhere in the DB? Or am I just barking up the wrong tree?
Thanks.
Keith

Hi Keith,
<<This particular rule is a sample one I set up that requires the existence of C:\IT\test.txt. But I don't see the actual text of that rule anywhere in the XML:>>
  In your XML, if you see these lines:  
<Expression>
<Operator>NotEquals</Operator>
<Operands>
<SettingReference AuthoringScopeId="ScopeId_811CF9C7-F08C-4528-8C02-E20811B33FD5" LogicalName="OperatingSystem_5c61496b-b4dc-4ca9-a3f7-30c3aec8e2a4" Version="1" DataType="Int64" SettingLogicalName="File_cccd7dc7-e590-494c-b166-6d4aea7abc57" SettingSourceType="File" Method="Count" Changeable="false" />
<ConstantValue Value="0" DataType="Int64" />
</Operands>
</Expression>
     It has setting reference with GUID with Method="Count" means this is existential rule referenced to setting blah blah... (If method="Value" means that it has value rule defined) and for existential rule,
XML has "NotEquals" operator and value is "0" which means that if file not equals to zero means file exist (compliant).
Hope this helps.
This posting is provided "AS IS", provides no warranties, and confers no rights. -Praveen S.

Similar Messages

  • How do I create a new Folder for each test report based on Serial number?

    I want to be able to create a new folder for each test report based on serial number. Each time a UUT is tested, I want the report to go to the appropriate folder. What is the best way to do this?
    Thanks

    Hello Tman,
    This is a slightly tricky question. The reason being, the report options like the report path etc, are set before you see the serial number prompt when you run your UUT. There might be other ways of getting around this, but a quick solution would be modifying the process model.
    I modified the PreUUT callback to set the report options. I passed the reportOptions as a parameter to this sequence. In the PreUUT sequence, I set the following fields:
    Parameters.ReportOptions.GeneratePath=False
    Parameters.ReportOptions.ReportFilePath= "c:\\"+ Locals.SerialNumber +"\\report.xml"
    I hope this would give you an idea.
    SijinK

  • Reg smartforms -  creating a new page for each customer

    Hai friends,
    i have selection option for customer(kunnr) in the selection crieria..
    Now i am getting the output in the smartfroms related to the customer details..
    But i am getting details for only one customer...
    suppose there are 10  customers.. i want the details of the 10 cusotmers in 10 different pages...
    PLs help me.
    Rgds,
    Vinod

    Hi,
    First assigned to structure to internal table i_final
    declare L_LINES in global declaration
    right click on main window create program lines in that
    Input parameters: I_FINAL
    In CODE option
    SORT I_FINAL BY KUNNR.
    DESCRIBE TABLE I_FINAL LINES L_LINES.
    After you create LOOP IN data tab give chek the check box
    I_FINAL     INTO     WA_FINAL
    WA_FINAL declare in global declaration
    Under loop create node alternative(CONDITON)
    double click CONDITION in conditions tab
    Field name: L_LINES
    Relational operator:>
    Comparison value:0
    in that CONDITION ---> TRUE & FALSE is available
    in TRUE option create program lines, in that give like
    L_LINES = L_LINES - 1.
    Under TRUE option create COMMAND node
    in General attributes tab: check the chek box go to new page
    in conditions : maintain as
    Field name: L_LINES
    Relational operator:>
    Comparison value:0
    Regards
    Bhupal

  • Reg smartforms -  creating a new page for each customer number

    Dear friends,
    This is a sample program for smartform.
    Below is my coding ...
    TABLES : KNA1.
    SELECT-OPTIONS : S_KUNNR FOR KNA1-KUNNR.
    TYPES : BEGIN OF ZFS_KNA1,
            KUNNR TYPE KNA1-KUNNR, 
            NAME1 TYPE KNA1-NAME1,
            ORT01 TYPE KNA1-ORT01,
             END OF ZFS_KNA1.
    DATA : ITAB TYPE STANDARD TABLE OF ZFS_KNA1 INITIAL SIZE 0,
           WA TYPE ZFS_KNA1.
    SELECT KUNNR NAME1 ORT01 PSTLZ LAND1 FROM KNA1 INTO TABLE ITAB WHERE KUNNR IN S_KUNNR.
    Now i am having one secondary window (cusotmer number) and main window(name and city).
    I am able display list of cm nos, names and city in one page.
    But i want to display name, city and number of customer in one single page.
    suppose 5 customer numbers are there.....then 5 seperate pages should be displayed.
    pls help me.
    Regards,
    S. Vinod

    Hi,
    In your loop node... you have sort criteria....
    give the fieldname of the customer number KUNNR and check the check box under the begin of sort event...
    An event node is created... under that event  node... create command node for triggering new page and dont forget to tick the checkbox for " not on first page" in the conditions tab....
    and under that you can create text elements to display the data
    regards
    padma

  • New layer for each artboard

    Hi,
    I've just recently started learning Illustrator and have used photoshop for a long time.  I have been getting on OK and yesterday had a file open with about 4 different artboards (was making wedding invitations) and went to start a 5th one and decided to add a new layer to this artboard and it then struck me that all the artboards had exactly the same layer!  Now as a photoshop user this bamboozled me and the photoshop part of me gets annoyed, because I would like every artboard to have a different set of layers so that they are always separate.  Can anyone tell me if I'm just not grasping how illustrator does things or is there a way to set up illustrator to have a new set of layers for every artboard?  Is it just a case that I have to create a new layer for each artboard manually?
    Sorry if this is a basic question, but I've searched for this answer but couldn't find it.
    Cheers in advance.
    Oh and just in case, I'm using CS5 on an iMac.

    and the photoshop part of me gets annoyed
    You need to "turn off" the photoshop part of you when working in Illustrator. Two entirely different worlds, and rightly so.
    because I would like every artboard to have a different set of layers so that they are always separate.
    If that's what you want, there are other programs in Illustrator's category which provide that. Corel Draw X3 is one example. In real use, though, page-specific layers is not the panacea you may think. It has resulted in much tedium and confusion and consternation in the Draw community.
    If you insist on working that way, there's no reason you can't set up your file with top-level Layers coresponding to each Artborad. But you'll probably soon find it more cumbersome and tedious than actually practical.
    Forget trying to think of Illustrator Layers and Photoshop Layers as similar things. They are not. Two entirely different constructs. That's a good thing. They should not be made to "work alike." If anything, Photoshop just needs to change the name from "Layers" to "Films" or "Overlays" or something like that, to help stop this widespread misconception among newcommers.
    JET

  • Create new session for each window opening

    From a jsp page i open a page called student.jsp by clicking on students admision no.Therefore lots of pages can be opend in new windows with relevent student details.
    but when i click on the link i called a servlet, get relevent details and redirect to student.jsp. The problem is ,all opened windows have same session id and there are session conflicts.
    How can i create new sessions for each page thru the servlet or is there any other alternatives

    I actually was working on a problem that was similar to this, and the problem is with how each web-browser works with sessions...
    Each browser window (Except in one case with IE) will use the same session in each window.
    However, you might be able to use URL-Rewritting to manage your sessions and get around using cookies for for session tracking. I personally haven't tried this, but I'm betting that it will work.
    Best of Luck,
    Nate

  • Creating a new Column for my list Versus adding it from existing site columns, when to use each approach

    I have created a new issue tracking list inside SharePoint 2013 team site. And it comes with predefined columns, some of them are useful while the other are not . Can anyone help me in figuring out the following:-
    The list come with a field named “Assigned To”, while in my case I want a column named “Approver”. So what is preferred , to re-name the “Assumed to ”column to “Approver”, or create new field name “Approver”.?.
    If I rename an existing column, could this be overridden in any future updates for my SharePoint server?
    Now we want to add a column named “Office location”.so I need to create a new field for this. But seems there are two ways to do so either to add a new Site Column at the site level and then assign it to the list as follow :- 
    , or to directly adding a column to the list, even if it is not available in the site columns , as follow:-
    So what are the differences between the two approaches ? .if I am not wrong defining a site column will allow me to re-use it in another list , but defining the column at the list level, will allow me to add a column even if it is already defined as site
    column.
    So can anyone advice on my three questions please? Thanks

    1) 'Assigned to' has a different meaning then 'Approver' , it will be better if you create a new field for 'Approver'. Assigned to is a Site Column which has managed property for search, so it will be confusing type of data it will return from search in
    future. 
    2) Any rename of fields should not / and will not get modified in SharePoint updates. So, you can rename is without any issue since the internal name will remain the same. But its always better to create your own custom column for business use.
    3) Creating a site column or not depends upon your need, If you create a Site Column - in whole site collection you will be able to add this field in any list - It will be crawled, SharePoint will automatically provide managed property for site column and
    you will be able to get this value via search. These things will not be present in list column, you will need to do specific settings in case its required.
    If these things are needed then you can go for Site Column, usually its good to create a Site Column and use it.
    For Site Columns you can check following links 
    Introduction to Columns
    From site column to managed property - What's up with that?
    Create a site column
    get2pallav
    Please click "Propose As Answer" if this post solves your problem or "Vote As Helpful" if this post has been useful to you.
    thanks a lot for your reply it is really helpful. so as i understand that using site columns will be better in most cases, and there is not any specific reason for not using it? is this right ?
    Second question, do u mean that if i have a list column named "Serial number", then this column will not be searched ? For example if i have serial number such as "12345" and i try searching this text "12345" i will not get
    the item in my search ?
    Thanks

  • FillBy always fills in the same row in data grid view. How to make it fill in a new row for each click of the Fillby Button? VB 2010 EXPRESS?

    Hi there, 
    I am a beginner in Visual Basic Express 2010. I have a Point of Sale program that uses DataGridView to display records from an external microsoft access
    database using the fillby query. 
    It works, but it repopulates the same row each time, but i want to be able to display multiple records at the same time, a new row should be filled for
    each click of the fillby button. 
    also I want to be able to delete any records if the customer suddenly decides to not buy an item after it has already been entered. 
    so actually 2 questions here: 
    1. how to populate a new row for each click of the fillby button 
    2. how to delete records from data grid view after an item has been entered 
    Thanks 
    Vishwas

    Hello,
    The FillBy method loads data according to what the results are from the SELECT statement, so if there is one row then you get one row in the DataGridView, have two rows then two rows show up.
    Some examples
    Form load populates our dataset with all data as it was defined with a plain SELECT statement. Button1 loads via a query I created after the fact to filter on a column, the next button adds a new row to the existing data. When adding a new row it is appended
    to the current data displayed and the primary key is a negative value but the new key is shown after pressing the save button on the BindingNavigator or there are other ways to get the new key by manually adding the row to the backend table bypassing the Adapter.
    The following article with code shows this but does not address adapters.
    Conceptually speaking the code in the second code block shows how to get the new key
    Public Class Form1
    Private Sub StudentsBindingNavigatorSaveItem_Click(
    sender As Object, e As EventArgs) Handles StudentsBindingNavigatorSaveItem.Click
    Me.Validate()
    Me.StudentsBindingSource.EndEdit()
    Me.TableAdapterManager.UpdateAll(Me.MyDataSet)
    End Sub
    Private Sub Form1_Load(sender As Object, e As EventArgs) Handles MyBase.Load
    'TODO: This line of code loads data into the 'MyDataSet.Students' table. You can move, or remove it, as needed.
    Me.StudentsTableAdapter.Fill(Me.MyDataSet.Students)
    End Sub
    Private Sub Button1_Click(sender As Object, e As EventArgs) Handles Button1.Click
    Me.StudentsTableAdapter.FillBy(Me.MyDataSet.Students, ComboBox1.Text)
    End Sub
    Private Sub Button2_Click(sender As Object, e As EventArgs) Handles Button2.Click
    Me.MyDataSet.Students.AddStudentsRow("Jane", "Adams", "Female")
    End Sub
    End Class
    Get new key taken from
    this article.
    Public Function AddNewRow(ByVal sender As Customer, ByRef Identfier As Integer) As Boolean
    Dim Success As Boolean = True
    Try
    Using cn As New OleDb.OleDbConnection With {.ConnectionString = Builder.ConnectionString}
    Using cmd As New OleDb.OleDbCommand With {.Connection = cn}
    cmd.CommandText = InsertStatement
    cmd.Parameters.AddWithValue("@CompanyName", sender.CompanyName)
    cmd.Parameters.AddWithValue("@ContactName", sender.ContactName)
    cmd.Parameters.AddWithValue("@ContactTitle", sender.ContactTitle)
    cn.Open()
    cmd.ExecuteNonQuery()
    cmd.CommandText = "Select @@Identity"
    Identfier = CInt(cmd.ExecuteScalar)
    End Using
    End Using
    Catch ex As Exception
    Success = False
    End Try
    Return Success
    End Function
    In closing I have not given you a solution but hopefully given you some stuff/logic to assist with this issue, if not perhaps I missed what you want conceptually speaking.
    Additional resources
    http://msdn.microsoft.com/en-us/library/fxsa23t6.aspx
    Please remember to mark the replies as answers if they help and unmark them if they provide no help, this will help others who are looking for solutions to the same or similar problem.

  • To view reports in new page for each cutomer using Report Designer

    HI all
    I have a requirement to view the data (key figures) for each customer in a new page.
    I have created the same using the Report Designer tool.
    Now there is setting for this Group Header 'Customer' i have selected the option 'repeat group header on each page'
    still the query when generated, gives fine results for certain cases but not for all.
    like it will show the each customers in a fresh page for some pages , then in midst there would some 2-3 customers in the same page.
    There is no relation between these customers , they are same as the other customers, no difference at all.then i am not able to figure out the reason why it is behaving so odd.
    Thanks
    Ramesh

    Ramesh,
    right now there really is no way to solve what you are looking for.  There partial solutions, but you will not be able to force a page break in a dynamic report.
    Here is what I have faced, and what I have come up with so far:
    I have a series of reports that have the same column heading, but spread over 5 pages in a fixed structure.  I need to be able to re-use the header and the general report design with 6 reports.  Here is my solution:
    1. Create an outline of the report.  I did all the formatting by creating a report section for each page.  You can force page breaks between the pages.  Upgrade to patch 1502 (came out last week) and you will see some new functionality (such as fit to page, page numbers, etc).
    2. Insert all you page breaks and do all the formatting.
    3. Insert an infoprovider.  Once in, you can just drag and drop the key figure cells into your formatted report.
    4. Create additional modification for formatting as needed.
    This fixes my problem (for now), but I had to do a lot of work to come up with this.  Also, the latest patch (1501 and 1502) has created an issue for me - there is a null exception when I try to use a variable or a filter value in the report body - I can't save the report.  I have an OSS message out, but our BASIS guys are going to be taking the lead on troubleshooting this.
    The reason that you are seeing some customers on the new pages is probably because of "how the cookie falls" - they just fit that way.
    I am trying to be positive and overcome the limitations that are in place right now. If my technical issue is solved, I would recommend upgrading to the new patch (1403 is the latest stable one in my opinion)
    good luck
    Pavel

  • How do I create a new calendar for the current year, using last years calendar's birthday's/photos and comments from the lower pages?

    Each year for the past 5 years I make a family calendar and send copies to all he family members around the globe.  I hate that I have to recreate all the birthdays and special occasions from scratch, and re-drag all the photos onto these dates, in the lower half of the page of each month on the new calendar.  How can I create a new calendar for the current year and port all of these photos/comments into the new calendar from last years calendar, to save having to redo all this work!!  I am not talking about the upper half page of the photos only...I am referring to the calendar page of each month.
    Thanks in advance. 
    Colin

    Welcome to the Apple Discussions. Open iWeb so you see your original site in the left hand pane. Use the File->New Site menu option to create a new site. Give it the name you want.
    Now select a page in your original site and type Command+D. That will duplicate the page. Drag the duplicate page down to the new site and rename it as needed. Do that for the other pages you need in the original site.
    OT

  • How to create a custom measure for each level of a dimension

    Hi all!
    Can Anyone please explain me with an example, how to create a custom measure for each level for a dimension? I dont mine if you use
    one or more measures.
    thanks in advance
    hope someone helps me.

    For example:I create a dimension for product_dim witch has 4 levels:total, class, family and item:
    d_aben18
    n1_aben18
    n2_aben18
    n3_aben18
    n4_aben18
    herarchy:h_aben18
    cube:cubo_aben18
    measure:med_aben18
    I create this code to fetch the data to the dimension:
    TRAP ON CLEANUP
    SQL DECLARE c1 CURSOR FOR SELECT-
    total_product_id,1,'N1_ABEN18',total_product_dsc,-
    class_id,1,'N2_ABEN18',total_product_id,class_dsc,-
    family_id,1,'N3_ABEN18', class_id, family_dsc,-
    item_id,1,'N4_ABEN18',family_id,item_dsc-
    FROM PRODUCT_DIM
    "OPEN THE CURSOR
    SQL OPEN c1
    "FETCH THE DATA
    SQL FETCH c1 LOOP INTO-
    :APPEND D_ABEN18, :D_ABEN18_H_aben18_HIERDEF,:D_ABEN18_N1_aben18_LEVELDEF,:D_ABEN18_long_description,-
    :APPEND D_ABEN18, :D_ABEN18_H_aben18_HIERDEF,:D_ABEN18_N2_aben18_LEVELDEF,:D_ABEN18_parentrel,-
    :D_ABEN18_long_description,-
    :APPEND D_ABEN18, :D_ABEN18_H_aben18_HIERDEF,:D_ABEN18_N3_aben18_LEVELDEF,:D_ABEN18_parentrel,-
    :D_ABEN18_long_description,-
    :APPEND D_ABEN18, :D_ABEN18_H_aben18_HIERDEF,:D_ABEN18_N4_aben18_LEVELDEF,:D_ABEN18_parentrel,-
    :D_ABEN18_long_description,-
    "SAVE THE CHANGES
    UPDATE
    COMMIT
    CLEANUP:
    SQL CLOSE c1
    SHOW 'KK2'
    Then I create a cube with use compression off, and in rules sum for example.
    After, I create a measure and I select Override the aggregation specification for the cube, in rules I put nonadditive and I would like to create aprogram to assign distinct values to each level of the dimension. For example, I put 1, 2 3, and 4 values, but at the end I would like to put count(distinct(values)).
    for that I create another program:
    VRB D_RETURN DECIMAL
    if D_ABEN18_N1_ABEN18_LEVELDEF eq 'N1_ABEN18'
    then D_RETURN = 1
    if D_ABEN18_N2_ABEN18_LEVELDEF eq 'N2_ABEN18'
    then D_RETURN = 2
    if D_ABEN18_N3_ABEN18_LEVELDEF eq 'N3_ABEN18'
    then D_RETURN = 3
    if D_ABEN18_N4_ABEN18_LEVELDEF eq 'N4_ABEN18'
    then D_RETURN = 4
    else d_return=26
    return d_return
    "SHOW D_RETURN
    cubo_aben18_med_aben18_stored=d_return
    but it doesnt work.I dont know how to put to assign or to see what I want.
    I report the measure, or I report the program, but then how can I see the values of the measure?
    thanks in advance

  • I use multiple libraries with itunes - should I create a new library for a 2nd iphone

    I use multiple iTunes libraries to manage multiple devices from the same PC.  I'm purchasing an iPhone 6 and currently have a library for my iPhone 4.  Would I create a new library for this new device?  Also, to restore all content to my new phone, Will this restore be done from the existing iPhone 4 library?  Is this process documented?

    I can't address specific issues regarding iPhones, but in general you can manage multiple iDevices from a single iTunes library.  The test approach is to maintain one or more playlists for each iDevice you use, and configure the latter to sync only from the relevant playlists:
    This article: Transfer content from an iPhone, iPad, or iPod touch to a new device - Apple Support documents Apple's guidance regarding transferring content from one iOS device to another.

  • How to create a new row for a VO based on values from another VO?

    Hi, experts.
    in jdev 11.1.2.3,
    How to create a new row for VO1 based on values from another VO2 in the same page?
    and in my use case it's preferable to do this from the UI rather than from business logic layer(EO).
    Also I have read Frank Nimphius' following blog,but in his example the source VO and the destination VO are the same.
    How-to declaratively create new table rows based on existing row content (20-NOV-2008)
    http://www.oracle.com/technetwork/developer-tools/adf/learnmore/13-create-with-params-169140.pdf
    I have tried:
    1.VO1(id,amount,remark1) and VO2(id,amount,remark2) are based on different EO,but render in same page,
    2.Drag and drop a Createwithparams button for VO1(id,amount,remark),
    3.add: Create insertinside Createwithparams->Nameddata(amount),
    4.set NDName:amount, NDValue:#{bindings.VO2.children.Amount}, NDtype:oracle.jbo.domain.Number.
    On running,when press button Createwithparams, cannot create a new row for VO1, and get error msg:
    <Utils> <buildFacesMessage> ADF: Adding the following JSF error message: For input string: "Amount"
    java.lang.NumberFormatException: For input string: "Amount"
         at java.lang.NumberFormatException.forInputString(NumberFormatException.java:48)
    Can anyone give some suggestions?
    Thanks in advance.
    bao
    Edited by: user6715237 on 2013-4-19 下午9:29

    Hi,CM,
    I'm really very appreciated for your quick reply! You know, today is Saturday, it's not a day for everyone at work.
    My principal requirement is as follows:
    1.select/check some rows from VO2, and for each selection create a new row with some attributes from VO2 as default values for VO1's corresponding attributes, and during this process the user may be cancel/uncheck or redo some of the selections.
    --so it's better to implement it in UI rather than in EO.
    2.it's better to implement this function with declarative way as in Frank Nimphius' blog.
    --little Jave/JS coding, the better. I only have experience in ORACLE FORMS, little experience in JAVA/JS.
    In order to get full information for the requirements of my use case, can take a check at:
    How to set default value for a VO query bind variable in a jspx page?
    (the end half of the thread: I have a more realworld requirement similar to the above requirement is:
    Manage bank transactions for clients. and give invoices to clients according to their transaction records. One invoice can contain one or many transactions records. and one transaction records can be split into many invoices.
    Regards
    bao
    Edited by: user6715237 on 2013-4-19 下午11:18
    JAVE->JAVA

  • Why Dev Guide says "create a separate project for each ADF task flow ..."

    Hi,
    We have a BPM process application which is having a few human tasks. The form for each of the human tasks is similar. We’d like to be able to share some page fragments or code between them and create single web application to handle all the human tasks for this BPM process application. Then I found the following in the Oracle document “Developer’s Guide for Oracle SOA Suite 11g Release 1 (11.1.1.4.0)”:
    “If the SOA composite contains multiple human tasks, create a separate project for each ADF task flow associated with each human task.”
    I wonder if we have to do that and if so, what is the reason.
    Do you have any clue? Please help.
    Thanks a lot,
    Helen

    Hi Helen
    1. I do not know the reason why they mentioned like separate project for each human task. NO, this is not required and we can have just one UI Project like MyTaskForms and have all the JSPs in this same project for each Human Task.
    2. On our side, we have like 10 Human Tasks, all using the same Payload. So we have 10 .task file. For the very first .task file, we used Auto Generate Project and gave project name like OurAppTaskForms. The reason we did this is, so that it adds all the required dependent libraries, tag libs etc properly. For all remaining 9 .tasks file, we did NOT use auto generate. Instead we used standard New -> JSF From Human Task and select one task at a time and follow the steps. These steps are covered in the online documentation. At the end in our BPM App, we have just one UI Project with all the 10 screens.
    3. ALSO, all the 10 screens have some common data. This we put in a reusable JSF Fragment page. And associated a custom Managed Bean for this to set and get values from this fragment and also some Actions for some buttons in the JSF. Then we included this JSF in each taskform jsf file, uisng the include tag. We added this include tag, somewhere in the top. So all screens share common jsf fragment page.
    4. We can refine the above stuff further. As per above, we still have 10 JSF screens for each one of the 10 .tasks. Ofcourse all these 10 jsf have same common jsf fragment. BUT instead of 10 individual jsf screens, we can have only ONE Jsf screen also. Refer online docs for the details. The challenging part is, since we have only one jsf, there may be some bussiness stuff, validatoin stuff to take care of in custom ValidationCallback Handler classes. Say for Task1, we had to show some buttons, but NOT for Task2. So we had to handle this logic. Also in validation call back, we can always get each Tasks, title also. So we can workaround this issue also. We are in the process of doing this right now. But first 3, we already did and they are working fine.
    My personal suggestion is first go with single jsf fragment and include in all tasks jsp files. Any changes to common elements need to make only in one place i.e fragment page.
    Thanks
    Ravi Jegga

  • How can I sum up raws? the sum function seems to work for columns only and right now I have to create a separate formula for each raw

    How can I sum up raws? the Sum function seems to work only on columns. Right now I have to create a separate formula for each raw

    Hi dah,
    "Thanks, but can I do one formula for all present and future raws? as raws are being added, I have to do the sum function again and again"
    You do need a separate formula for each group of values to be summed.
    If the values are in columns, you need a copy of the formula for each column.
    If the values are in rows, you need a copy of the formula for for each row.
    If you set up your formulas as SGIII did in his example (shown below), where every non-header row has the same formula, Numbers will automtically add the formula to new rows as you add them.
    "Same formula" in this context means exactly the same as all the formulas above, with one exception: the row reference in each formula is incremented (by Numbers) to match the row containing the formula.
    Here the formula looks like this in the three rows shown.
    B2: =SUM(2)
    B3: =SUM(3)
    B4: =SUM(4)
    That pattern will continue as rows are added to the table.
    Also, because the row token (2) references all of the non-header cells in row 2, the formula will automatically include new columns as they are added to the table.
    Regards,
    Barry

Maybe you are looking for