The document provides instructions for using the SARA 4.0.2 trading platform, including how to connect and log in, add users and trader accounts, monitor trading activity and positions, and set up account limits and groups. Key functions covered include logging in to the main menu, adding users and assigning permissions, setting up trader accounts and assigning contract categories and limits, monitoring positions and risks in real-time, and configuring alerts for limit breaches.
This document provides an overview of the key features and functions of the SARA 4.0.2 trading system user interface. It describes how to log in, navigate the main menu, add and manage users, trader accounts, position monitoring, risk management, order processing, and generate activity reports. The guide is intended to help new users get started with the basic operations and configuration of the SARA trading platform.
FitsU is launching a campaign to promote its new line of casual cotton shirts. The campaign will include on-ground activations in gyms to find "perfect bodies" to model in fashion shows, as well as online and radio promotions. A "Hunt for the Perfect Body" contest will be held in 10 cities over 6 weeks, with gym activations, city-level auditions, and final fashion shows announcing city winners. The goal is to build brand awareness for FitsU shirts and position them as stylish, high-quality casual attire.
The document provides an overview of the ICDX J-Trader 8.0 application. It outlines the key screens and functionality available to users including how to get started, login, configure settings, view market data and place trades. The main screens covered are the hot quotes screen for viewing prices and trading multiple instruments, the matrix screen for trading calendar spreads, and the status screen for viewing orders. Configuration options and columns that can be selected for different screens are also described.
The document outlines the key features and functionality of the ICDX J-Trader 8.0 trading application. It describes how to get started with the application, login, navigate the different screens including the main screen, settings screen, hot quotes screen and trading matrix screen. It also provides information on how to view positions, orders, reports and use the reflector to trade with full market depth.
The document provides instructions for using the back office system (BOS) for a member organization. It summarizes the main menu options and provides guidance on how to set up key components like ratings, bank accounts, trade accounts, and user subscriptions. Logging in, accessing market data and clearing reports, and administering the system through master management functions are also outlined at a high level.
This document provides an overview of the charting features available in R I Trader Pro. It describes the key components of the time chart window, including the chart quote board, chart header, and chart body. It also explains how to display market data and account information on the chart and how to use the various menu options to manipulate the chart display, add drawings and annotations, adjust the price scale, and overlay secondary studies and technical indicators.
With Account Generation, multiple client accounts can be generated with specified settings. All generated clients are assigned to a LOT (lot of terminals) identified by name, making it easy to modify client settings later. Accounts can be generated for a reseller, giving the reseller visibility and management access to the clients but not the LOT settings. The generation process involves specifying LOT description and client type, expiry dates, funds/tariffs, login/password/serial generation rules, codecs, and other settings. A summary of selections is provided before accounts are generated.
- The document discusses a virtual trading platform that allows users to practice investing without risking real money.
- Users can simulate trading with imaginary funds and see how their investment decisions would perform in real-world markets with real-time stock quotes and order functionality.
- The virtual platform provides educational benefits by allowing users to test out trading strategies without financial risk from inexperience.
This document provides an overview of the key features and functions of the SARA 4.0.2 trading system user interface. It describes how to log in, navigate the main menu, add and manage users, trader accounts, position monitoring, risk management, order processing, and generate activity reports. The guide is intended to help new users get started with the basic operations and configuration of the SARA trading platform.
FitsU is launching a campaign to promote its new line of casual cotton shirts. The campaign will include on-ground activations in gyms to find "perfect bodies" to model in fashion shows, as well as online and radio promotions. A "Hunt for the Perfect Body" contest will be held in 10 cities over 6 weeks, with gym activations, city-level auditions, and final fashion shows announcing city winners. The goal is to build brand awareness for FitsU shirts and position them as stylish, high-quality casual attire.
The document provides an overview of the ICDX J-Trader 8.0 application. It outlines the key screens and functionality available to users including how to get started, login, configure settings, view market data and place trades. The main screens covered are the hot quotes screen for viewing prices and trading multiple instruments, the matrix screen for trading calendar spreads, and the status screen for viewing orders. Configuration options and columns that can be selected for different screens are also described.
The document outlines the key features and functionality of the ICDX J-Trader 8.0 trading application. It describes how to get started with the application, login, navigate the different screens including the main screen, settings screen, hot quotes screen and trading matrix screen. It also provides information on how to view positions, orders, reports and use the reflector to trade with full market depth.
The document provides instructions for using the back office system (BOS) for a member organization. It summarizes the main menu options and provides guidance on how to set up key components like ratings, bank accounts, trade accounts, and user subscriptions. Logging in, accessing market data and clearing reports, and administering the system through master management functions are also outlined at a high level.
This document provides an overview of the charting features available in R I Trader Pro. It describes the key components of the time chart window, including the chart quote board, chart header, and chart body. It also explains how to display market data and account information on the chart and how to use the various menu options to manipulate the chart display, add drawings and annotations, adjust the price scale, and overlay secondary studies and technical indicators.
With Account Generation, multiple client accounts can be generated with specified settings. All generated clients are assigned to a LOT (lot of terminals) identified by name, making it easy to modify client settings later. Accounts can be generated for a reseller, giving the reseller visibility and management access to the clients but not the LOT settings. The generation process involves specifying LOT description and client type, expiry dates, funds/tariffs, login/password/serial generation rules, codecs, and other settings. A summary of selections is provided before accounts are generated.
- The document discusses a virtual trading platform that allows users to practice investing without risking real money.
- Users can simulate trading with imaginary funds and see how their investment decisions would perform in real-world markets with real-time stock quotes and order functionality.
- The virtual platform provides educational benefits by allowing users to test out trading strategies without financial risk from inexperience.
Binary options allow traders to predict whether the price of an underlying asset will rise or fall by a specified time. Traders do not purchase the asset itself, but rather predict its direction. If the trader correctly predicts the direction, they receive a pre-determined payout. SpotOption is a leading platform provider for binary options, powering over 300 brands. It offers a variety of binary option types, integrated risk management, and tools to power client websites and mobile apps.
1. An account group determines the screens, fields, and functions used for a business partner's master record, as well as how their number is assigned.
2. Partner functions define the rights and responsibilities of each business partner in a transaction, and are assigned when creating their master record using an account group.
3. If a business partner takes on a new partner function, you may need to change their account group so the correct screens and fields are available.
This document provides an overview of the Compass Treasury system. It describes the system's comprehensive coverage of financial products across multiple currencies and locations. It also highlights key features like user-defined business rules, integrated accounting and risk management modules, hierarchical consolidation, compliance monitoring, audit trails, and segregation of duties. The system architecture is designed for flexibility across different deployment environments and uses common programming languages and database platforms.
This document describes an MT4 bridge software that provides both bridge and dealing functionality. It can connect via FIX API to liquidity providers or clearing accounts, and to MT4 platforms via the Manager's API. The bridge allows routing of orders between MT4 platforms and clearing accounts. It provides tools for traders and dealers like monitoring positions, orders, accounts and groups on different MT4 platforms.
This document summarizes the key features and functions of the National Stock Exchange (NSE) trading system in India, including order matching processes, different market types (normal, odd lot, RETDEBT, auction), user screens and functions, and order management controls like branch and user order value limits. The maximum new user order value limit that can be set for a new user at the Chennai branch of Agre Financial Services is 150 lakh rupees based on the existing branch and user limits provided.
1) The document outlines the steps to create a company and ledgers in the Tally accounting software. It includes entering company information like name, address, currency details.
2) It also describes how to create single and multiple ledgers by specifying the name, group, opening balance, and other attributes. Ledgers can also be displayed, altered or deleted.
3) Configuration options for the company like cost centers, taxes can be enabled from the features menu. This allows customizing the software for different accounting needs.
We put together this document as a roadmap for Forex brokers who wants to advance in Forex business.
Who we are? We are specializing in custom solutions for brokers, traders, signal providers and money managers. Regardless of the platform that you use we can build a solution for you. 80% of the success in Forex is technology. If you underestimate the role of the technology, you are on the wrong side of Forex.
Centralized payments-vendor-and-customer-paymentsShiva V
The Centralized payment feature in D365 can be used by organizations that have multiple legal entities, but payments are made in one legal entity on behalf of the other legal entities. Using this feature, you can settle invoices and payments in one legal entity across several legal entities.
https://aximprove.com/centralized-payment-in-d365-finance-vendor-and-customer-payments/
The document provides information about navigating and using the features of the Paytm Mall seller panel. It discusses how to log in to the seller panel, navigate the different tabs including dashboard, orders, catalog, payments, reports, and support. It explains the key information available on the dashboard regarding orders, sales, inventory levels, cancellations and payments. Additional tabs like profile, training and services are also summarized. The document provides guidance on best practices for raising support tickets and accessing resources to help sellers manage their business operations on the marketplace.
The document provides information about navigating and using the features of the Paytm Mall seller panel. It discusses how to log in to the seller panel, navigate the different tabs including dashboard, orders, catalog, payments, reports, and support. It explains the key information available on the dashboard regarding orders, sales, inventory levels, cancellations and payments. Additional tabs like profile, training and services are also summarized. The document provides guidance on best practices for raising support tickets and accessing resources to help sellers manage their business operations on the marketplace.
This document provides a user guide for the Mentor dashboard. It outlines the various sections and data visualizations available in the dashboard for analyzing financial data, transactions, reports, product data, customer data and terminal performance. It includes summaries of transaction listings, sales comparisons, and breakdowns of categories, customers and terminals. Appendices provide details on available fields for transactions and terminal reports.
Understand your seller panel - Wholesalepaytmslides2
The document discusses navigating and understanding the key features of the Paytm Mall seller panel. It provides guidance on logging in, understanding the dashboard and navigation tabs, viewing profiles, raising support tickets, and accessing training modules. The dashboard allows sellers to track orders, sales, payments, stock levels, and cancellations to evaluate business performance within set date ranges. Support tickets should include order IDs and issue details for fast resolution. Overall, the seller panel is a centralized hub for sellers to manage their business, products, payments and support needs on the Paytm Mall marketplace.
The document discusses navigating and understanding the features of the Paytm Mall seller panel. It provides instructions on how to log in to the seller panel, navigate the different sections like dashboard, orders, catalog, payments, and support. It explains the key information available on the dashboard like sales, items sold, cancellations, revenue, shipments and payments. It also outlines best practices for raising tickets on the support panel and describes the various training modules available.
The document provides an overview of key concepts in SAP FICO including:
- Clients, company codes, and organizational hierarchy in SAP. Transactions are posted at the company code level.
- Master data such as general ledger, customers, vendors, assets, and how they are created and integrated across different SAP modules.
- Additional concepts like profit centers, cost centers, internal orders, depreciation, currencies and exchange rates, document types, and how financial accounting is integrated with other SAP modules like MM, SD, CO, and AA.
- Configuration of fiscal year variants, posting periods, tolerance groups, and charts of accounts to enable financial accounting functionality.
The document provides an overview of the Paytm Mall seller panel and its key features. It discusses how sellers can login to their panel, navigate the different sections, view their profile and agreement details. The dashboard helps sellers track order performance, sales, cancellations, shipments and payments. It also outlines the support and training tabs where sellers can get help or self-train on issues. The catalogue, orders, payments and other tabs allow sellers to manage product listings, orders and payments.
Loans and deposits are handled in the same module in the T24 system, but are differentiated by product category codes. Loans are treated as assets and deposits are treated as liabilities in the bank's accounting. Common features of loans and deposits include fixed or floating interest rates, interest payment schedules, and automatic or user-defined interest calculation periods. The document outlines the menus, submenus, and static tables used to open, view, amend, and account for loans and deposits in T24. It also provides examples of input screens and fields for opening different loan and deposit products.
This document summarizes Quant Trader, a software for automated quantitative trading. It allows connecting to various brokers like TD Ameritrade and Interactive Brokers to place trades. The software provides tools for automatic trading using expert advisors on charts, and manages orders across multiple brokerage accounts in a centralized order book. Settings can be configured for broker connections, order types, and parameters for algorithmic trading.
StrikeZone is an intra-day trading system that analyzes supply and demand levels, price action, pivot points, volume profile, and trend to generate trading signals. It uses color-coded charts and a velocity indicator to help traders identify institutional order flow and get into trades on the right side of the prevailing trend. Subscribing to StrikeZone provides training on how to increase winning percentages using proven supply and demand zone analysis and order flow patterns. Hardware and software packages are also available that include the StrikeZone indicators pre-installed.
This document provides information about configuring Tally accounting software. It discusses the different configuration options in Tally including general configuration, numeric symbols, accounts/inventory info, and voucher entry options. It also covers security and access control settings in Tally as well as how to work with Tally by creating companies, groups, ledgers, and entering transactions. The document provides step-by-step instructions and explanations for configuring various elements of the Tally software.
What is an RPA CoE? Session 1 – CoE VisionDianaGray10
In the first session, we will review the organization's vision and how this has an impact on the COE Structure.
Topics covered:
• The role of a steering committee
• How do the organization’s priorities determine CoE Structure?
Speaker:
Chris Bolin, Senior Intelligent Automation Architect Anika Systems
Binary options allow traders to predict whether the price of an underlying asset will rise or fall by a specified time. Traders do not purchase the asset itself, but rather predict its direction. If the trader correctly predicts the direction, they receive a pre-determined payout. SpotOption is a leading platform provider for binary options, powering over 300 brands. It offers a variety of binary option types, integrated risk management, and tools to power client websites and mobile apps.
1. An account group determines the screens, fields, and functions used for a business partner's master record, as well as how their number is assigned.
2. Partner functions define the rights and responsibilities of each business partner in a transaction, and are assigned when creating their master record using an account group.
3. If a business partner takes on a new partner function, you may need to change their account group so the correct screens and fields are available.
This document provides an overview of the Compass Treasury system. It describes the system's comprehensive coverage of financial products across multiple currencies and locations. It also highlights key features like user-defined business rules, integrated accounting and risk management modules, hierarchical consolidation, compliance monitoring, audit trails, and segregation of duties. The system architecture is designed for flexibility across different deployment environments and uses common programming languages and database platforms.
This document describes an MT4 bridge software that provides both bridge and dealing functionality. It can connect via FIX API to liquidity providers or clearing accounts, and to MT4 platforms via the Manager's API. The bridge allows routing of orders between MT4 platforms and clearing accounts. It provides tools for traders and dealers like monitoring positions, orders, accounts and groups on different MT4 platforms.
This document summarizes the key features and functions of the National Stock Exchange (NSE) trading system in India, including order matching processes, different market types (normal, odd lot, RETDEBT, auction), user screens and functions, and order management controls like branch and user order value limits. The maximum new user order value limit that can be set for a new user at the Chennai branch of Agre Financial Services is 150 lakh rupees based on the existing branch and user limits provided.
1) The document outlines the steps to create a company and ledgers in the Tally accounting software. It includes entering company information like name, address, currency details.
2) It also describes how to create single and multiple ledgers by specifying the name, group, opening balance, and other attributes. Ledgers can also be displayed, altered or deleted.
3) Configuration options for the company like cost centers, taxes can be enabled from the features menu. This allows customizing the software for different accounting needs.
We put together this document as a roadmap for Forex brokers who wants to advance in Forex business.
Who we are? We are specializing in custom solutions for brokers, traders, signal providers and money managers. Regardless of the platform that you use we can build a solution for you. 80% of the success in Forex is technology. If you underestimate the role of the technology, you are on the wrong side of Forex.
Centralized payments-vendor-and-customer-paymentsShiva V
The Centralized payment feature in D365 can be used by organizations that have multiple legal entities, but payments are made in one legal entity on behalf of the other legal entities. Using this feature, you can settle invoices and payments in one legal entity across several legal entities.
https://aximprove.com/centralized-payment-in-d365-finance-vendor-and-customer-payments/
The document provides information about navigating and using the features of the Paytm Mall seller panel. It discusses how to log in to the seller panel, navigate the different tabs including dashboard, orders, catalog, payments, reports, and support. It explains the key information available on the dashboard regarding orders, sales, inventory levels, cancellations and payments. Additional tabs like profile, training and services are also summarized. The document provides guidance on best practices for raising support tickets and accessing resources to help sellers manage their business operations on the marketplace.
The document provides information about navigating and using the features of the Paytm Mall seller panel. It discusses how to log in to the seller panel, navigate the different tabs including dashboard, orders, catalog, payments, reports, and support. It explains the key information available on the dashboard regarding orders, sales, inventory levels, cancellations and payments. Additional tabs like profile, training and services are also summarized. The document provides guidance on best practices for raising support tickets and accessing resources to help sellers manage their business operations on the marketplace.
This document provides a user guide for the Mentor dashboard. It outlines the various sections and data visualizations available in the dashboard for analyzing financial data, transactions, reports, product data, customer data and terminal performance. It includes summaries of transaction listings, sales comparisons, and breakdowns of categories, customers and terminals. Appendices provide details on available fields for transactions and terminal reports.
Understand your seller panel - Wholesalepaytmslides2
The document discusses navigating and understanding the key features of the Paytm Mall seller panel. It provides guidance on logging in, understanding the dashboard and navigation tabs, viewing profiles, raising support tickets, and accessing training modules. The dashboard allows sellers to track orders, sales, payments, stock levels, and cancellations to evaluate business performance within set date ranges. Support tickets should include order IDs and issue details for fast resolution. Overall, the seller panel is a centralized hub for sellers to manage their business, products, payments and support needs on the Paytm Mall marketplace.
The document discusses navigating and understanding the features of the Paytm Mall seller panel. It provides instructions on how to log in to the seller panel, navigate the different sections like dashboard, orders, catalog, payments, and support. It explains the key information available on the dashboard like sales, items sold, cancellations, revenue, shipments and payments. It also outlines best practices for raising tickets on the support panel and describes the various training modules available.
The document provides an overview of key concepts in SAP FICO including:
- Clients, company codes, and organizational hierarchy in SAP. Transactions are posted at the company code level.
- Master data such as general ledger, customers, vendors, assets, and how they are created and integrated across different SAP modules.
- Additional concepts like profit centers, cost centers, internal orders, depreciation, currencies and exchange rates, document types, and how financial accounting is integrated with other SAP modules like MM, SD, CO, and AA.
- Configuration of fiscal year variants, posting periods, tolerance groups, and charts of accounts to enable financial accounting functionality.
The document provides an overview of the Paytm Mall seller panel and its key features. It discusses how sellers can login to their panel, navigate the different sections, view their profile and agreement details. The dashboard helps sellers track order performance, sales, cancellations, shipments and payments. It also outlines the support and training tabs where sellers can get help or self-train on issues. The catalogue, orders, payments and other tabs allow sellers to manage product listings, orders and payments.
Loans and deposits are handled in the same module in the T24 system, but are differentiated by product category codes. Loans are treated as assets and deposits are treated as liabilities in the bank's accounting. Common features of loans and deposits include fixed or floating interest rates, interest payment schedules, and automatic or user-defined interest calculation periods. The document outlines the menus, submenus, and static tables used to open, view, amend, and account for loans and deposits in T24. It also provides examples of input screens and fields for opening different loan and deposit products.
This document summarizes Quant Trader, a software for automated quantitative trading. It allows connecting to various brokers like TD Ameritrade and Interactive Brokers to place trades. The software provides tools for automatic trading using expert advisors on charts, and manages orders across multiple brokerage accounts in a centralized order book. Settings can be configured for broker connections, order types, and parameters for algorithmic trading.
StrikeZone is an intra-day trading system that analyzes supply and demand levels, price action, pivot points, volume profile, and trend to generate trading signals. It uses color-coded charts and a velocity indicator to help traders identify institutional order flow and get into trades on the right side of the prevailing trend. Subscribing to StrikeZone provides training on how to increase winning percentages using proven supply and demand zone analysis and order flow patterns. Hardware and software packages are also available that include the StrikeZone indicators pre-installed.
This document provides information about configuring Tally accounting software. It discusses the different configuration options in Tally including general configuration, numeric symbols, accounts/inventory info, and voucher entry options. It also covers security and access control settings in Tally as well as how to work with Tally by creating companies, groups, ledgers, and entering transactions. The document provides step-by-step instructions and explanations for configuring various elements of the Tally software.
What is an RPA CoE? Session 1 – CoE VisionDianaGray10
In the first session, we will review the organization's vision and how this has an impact on the COE Structure.
Topics covered:
• The role of a steering committee
• How do the organization’s priorities determine CoE Structure?
Speaker:
Chris Bolin, Senior Intelligent Automation Architect Anika Systems
How information systems are built or acquired puts information, which is what they should be about, in a secondary place. Our language adapted accordingly, and we no longer talk about information systems but applications. Applications evolved in a way to break data into diverse fragments, tightly coupled with applications and expensive to integrate. The result is technical debt, which is re-paid by taking even bigger "loans", resulting in an ever-increasing technical debt. Software engineering and procurement practices work in sync with market forces to maintain this trend. This talk demonstrates how natural this situation is. The question is: can something be done to reverse the trend?
ScyllaDB is making a major architecture shift. We’re moving from vNode replication to tablets – fragments of tables that are distributed independently, enabling dynamic data distribution and extreme elasticity. In this keynote, ScyllaDB co-founder and CTO Avi Kivity explains the reason for this shift, provides a look at the implementation and roadmap, and shares how this shift benefits ScyllaDB users.
High performance Serverless Java on AWS- GoTo Amsterdam 2024Vadym Kazulkin
Java is for many years one of the most popular programming languages, but it used to have hard times in the Serverless community. Java is known for its high cold start times and high memory footprint, comparing to other programming languages like Node.js and Python. In this talk I'll look at the general best practices and techniques we can use to decrease memory consumption, cold start times for Java Serverless development on AWS including GraalVM (Native Image) and AWS own offering SnapStart based on Firecracker microVM snapshot and restore and CRaC (Coordinated Restore at Checkpoint) runtime hooks. I'll also provide a lot of benchmarking on Lambda functions trying out various deployment package sizes, Lambda memory settings, Java compilation options and HTTP (a)synchronous clients and measure their impact on cold and warm start times.
Northern Engraving | Nameplate Manufacturing Process - 2024Northern Engraving
Manufacturing custom quality metal nameplates and badges involves several standard operations. Processes include sheet prep, lithography, screening, coating, punch press and inspection. All decoration is completed in the flat sheet with adhesive and tooling operations following. The possibilities for creating unique durable nameplates are endless. How will you create your brand identity? We can help!
Northern Engraving | Modern Metal Trim, Nameplates and Appliance PanelsNorthern Engraving
What began over 115 years ago as a supplier of precision gauges to the automotive industry has evolved into being an industry leader in the manufacture of product branding, automotive cockpit trim and decorative appliance trim. Value-added services include in-house Design, Engineering, Program Management, Test Lab and Tool Shops.
zkStudyClub - LatticeFold: A Lattice-based Folding Scheme and its Application...Alex Pruden
Folding is a recent technique for building efficient recursive SNARKs. Several elegant folding protocols have been proposed, such as Nova, Supernova, Hypernova, Protostar, and others. However, all of them rely on an additively homomorphic commitment scheme based on discrete log, and are therefore not post-quantum secure. In this work we present LatticeFold, the first lattice-based folding protocol based on the Module SIS problem. This folding protocol naturally leads to an efficient recursive lattice-based SNARK and an efficient PCD scheme. LatticeFold supports folding low-degree relations, such as R1CS, as well as high-degree relations, such as CCS. The key challenge is to construct a secure folding protocol that works with the Ajtai commitment scheme. The difficulty, is ensuring that extracted witnesses are low norm through many rounds of folding. We present a novel technique using the sumcheck protocol to ensure that extracted witnesses are always low norm no matter how many rounds of folding are used. Our evaluation of the final proof system suggests that it is as performant as Hypernova, while providing post-quantum security.
Paper Link: https://eprint.iacr.org/2024/257
Connector Corner: Seamlessly power UiPath Apps, GenAI with prebuilt connectorsDianaGray10
Join us to learn how UiPath Apps can directly and easily interact with prebuilt connectors via Integration Service--including Salesforce, ServiceNow, Open GenAI, and more.
The best part is you can achieve this without building a custom workflow! Say goodbye to the hassle of using separate automations to call APIs. By seamlessly integrating within App Studio, you can now easily streamline your workflow, while gaining direct access to our Connector Catalog of popular applications.
We’ll discuss and demo the benefits of UiPath Apps and connectors including:
Creating a compelling user experience for any software, without the limitations of APIs.
Accelerating the app creation process, saving time and effort
Enjoying high-performance CRUD (create, read, update, delete) operations, for
seamless data management.
Speakers:
Russell Alfeche, Technology Leader, RPA at qBotic and UiPath MVP
Charlie Greenberg, host
LF Energy Webinar: Carbon Data Specifications: Mechanisms to Improve Data Acc...DanBrown980551
This LF Energy webinar took place June 20, 2024. It featured:
-Alex Thornton, LF Energy
-Hallie Cramer, Google
-Daniel Roesler, UtilityAPI
-Henry Richardson, WattTime
In response to the urgency and scale required to effectively address climate change, open source solutions offer significant potential for driving innovation and progress. Currently, there is a growing demand for standardization and interoperability in energy data and modeling. Open source standards and specifications within the energy sector can also alleviate challenges associated with data fragmentation, transparency, and accessibility. At the same time, it is crucial to consider privacy and security concerns throughout the development of open source platforms.
This webinar will delve into the motivations behind establishing LF Energy’s Carbon Data Specification Consortium. It will provide an overview of the draft specifications and the ongoing progress made by the respective working groups.
Three primary specifications will be discussed:
-Discovery and client registration, emphasizing transparent processes and secure and private access
-Customer data, centering around customer tariffs, bills, energy usage, and full consumption disclosure
-Power systems data, focusing on grid data, inclusive of transmission and distribution networks, generation, intergrid power flows, and market settlement data
[OReilly Superstream] Occupy the Space: A grassroots guide to engineering (an...Jason Yip
The typical problem in product engineering is not bad strategy, so much as “no strategy”. This leads to confusion, lack of motivation, and incoherent action. The next time you look for a strategy and find an empty space, instead of waiting for it to be filled, I will show you how to fill it in yourself. If you’re wrong, it forces a correction. If you’re right, it helps create focus. I’ll share how I’ve approached this in the past, both what works and lessons for what didn’t work so well.
"NATO Hackathon Winner: AI-Powered Drug Search", Taras KlobaFwdays
This is a session that details how PostgreSQL's features and Azure AI Services can be effectively used to significantly enhance the search functionality in any application.
In this session, we'll share insights on how we used PostgreSQL to facilitate precise searches across multiple fields in our mobile application. The techniques include using LIKE and ILIKE operators and integrating a trigram-based search to handle potential misspellings, thereby increasing the search accuracy.
We'll also discuss how the azure_ai extension on PostgreSQL databases in Azure and Azure AI Services were utilized to create vectors from user input, a feature beneficial when users wish to find specific items based on text prompts. While our application's case study involves a drug search, the techniques and principles shared in this session can be adapted to improve search functionality in a wide range of applications. Join us to learn how PostgreSQL and Azure AI can be harnessed to enhance your application's search capability.
"Frontline Battles with DDoS: Best practices and Lessons Learned", Igor IvaniukFwdays
At this talk we will discuss DDoS protection tools and best practices, discuss network architectures and what AWS has to offer. Also, we will look into one of the largest DDoS attacks on Ukrainian infrastructure that happened in February 2022. We'll see, what techniques helped to keep the web resources available for Ukrainians and how AWS improved DDoS protection for all customers based on Ukraine experience
For the full video of this presentation, please visit: https://www.edge-ai-vision.com/2024/06/temporal-event-neural-networks-a-more-efficient-alternative-to-the-transformer-a-presentation-from-brainchip/
Chris Jones, Director of Product Management at BrainChip , presents the “Temporal Event Neural Networks: A More Efficient Alternative to the Transformer” tutorial at the May 2024 Embedded Vision Summit.
The expansion of AI services necessitates enhanced computational capabilities on edge devices. Temporal Event Neural Networks (TENNs), developed by BrainChip, represent a novel and highly efficient state-space network. TENNs demonstrate exceptional proficiency in handling multi-dimensional streaming data, facilitating advancements in object detection, action recognition, speech enhancement and language model/sequence generation. Through the utilization of polynomial-based continuous convolutions, TENNs streamline models, expedite training processes and significantly diminish memory requirements, achieving notable reductions of up to 50x in parameters and 5,000x in energy consumption compared to prevailing methodologies like transformers.
Integration with BrainChip’s Akida neuromorphic hardware IP further enhances TENNs’ capabilities, enabling the realization of highly capable, portable and passively cooled edge devices. This presentation delves into the technical innovations underlying TENNs, presents real-world benchmarks, and elucidates how this cutting-edge approach is positioned to revolutionize edge AI across diverse applications.
This talk will cover ScyllaDB Architecture from the cluster-level view and zoom in on data distribution and internal node architecture. In the process, we will learn the secret sauce used to get ScyllaDB's high availability and superior performance. We will also touch on the upcoming changes to ScyllaDB architecture, moving to strongly consistent metadata and tablets.
"$10 thousand per minute of downtime: architecture, queues, streaming and fin...Fwdays
Direct losses from downtime in 1 minute = $5-$10 thousand dollars. Reputation is priceless.
As part of the talk, we will consider the architectural strategies necessary for the development of highly loaded fintech solutions. We will focus on using queues and streaming to efficiently work and manage large amounts of data in real-time and to minimize latency.
We will focus special attention on the architectural patterns used in the design of the fintech system, microservices and event-driven architecture, which ensure scalability, fault tolerance, and consistency of the entire system.
Introduction of Cybersecurity with OSS at Code Europe 2024Hiroshi SHIBATA
I develop the Ruby programming language, RubyGems, and Bundler, which are package managers for Ruby. Today, I will introduce how to enhance the security of your application using open-source software (OSS) examples from Ruby and RubyGems.
The first topic is CVE (Common Vulnerabilities and Exposures). I have published CVEs many times. But what exactly is a CVE? I'll provide a basic understanding of CVEs and explain how to detect and handle vulnerabilities in OSS.
Next, let's discuss package managers. Package managers play a critical role in the OSS ecosystem. I'll explain how to manage library dependencies in your application.
I'll share insights into how the Ruby and RubyGems core team works to keep our ecosystem safe. By the end of this talk, you'll have a better understanding of how to safeguard your code.
2. Getting Started With SARA 4.0.2
CONNECTION & LOGGING IN
SARA MAIN MENU
ADDING USERS
ADDING TRADER ACCOUNTS
TRADER ACCOUNT GROUP
MONITORING TRADING ACTIVITY
ACCOUNT POSITIONS
RISK MONITOR
USER FUNCTIONS
RATING & MARGINS
CONTRACT TYPES
CONTRACT CATEGORIES
CONTRACTS
CONTRACT PRICE
CONNECTIVITY
ORDERS
SARA GROUPS
REPORTS
CONFIGURATION DATA
TRADING VOLUMES
ABOUT SARA
EXIT
3. CONNECTION & LOGGING IN
Launch SARA, press SARA desktop icon & dialog box appears
press button to configure ip address
Configure ip address connection & price
4. Login SARA as member login,
field explanation
User name Enter your login ID
5 digits alphabets then 5 digits numberic
Password Enter your password
5 digits alphabets then 5 digits numberic.
When you have successfully logged on to SARA and opened you have 2 different windows :
SARA MAIN MENU
user button to members permitt is on ENABLE
Field Explanation
User Name user logged on to SARA
Version 4.0.2 Version number
Cash margining enable System configure buying power, equity alert
Position limits enable Position limits will normally be enable
ORM enable Options risk management
Monitoring to see connectivity status enable or disable system
6. Enter a member login user name of up to 10 characters. Click OK the password tab for
the new user appears.
Field explanation
Password Enter your password
5 digits alphabets then 4 digits numberic.
Verify password Password again, to confirm it has been entered as intended
Allow change again Tick this to allow user to change their password more than once a day
today
Check password history This user reusing any their last 10 password
Force password change To force this user to change their password next time they log on
Lifetime Expire password, tick this if want enable
Option tab.The users screen,
7. Field Explanation
Depth of market Tick to enable J-Trader user view the depth of market screen
Internet user For users accesing the system over the internet
Logged in If checkbox is ticked the user currently logged on to the system
Post trade-amend J-trader user allocate an order to a different trader account post
trade, causing positions and p/l to be amended
Login disable If ticked it mean you want to prevent this user from logging on at
the next attempt or this account have wrong logqing
Details tab
Field Explanation
User name Login ID, either in SARA or J-Trader
Display name Name displayed in J-Trader & SARA
Login name Login name this user uses for single sign-in
User role User role that applies to this user
TAS Tas this user is allowed to use
Last login time Date & time this user last logged in
Default trader account Default trader account this user sees in J-Trader
Sara group Sara group to which the user belongs
8. Miscellaneous Tab
Field Explanation
Address User’s address
Comments Any notes about the user
ADDING TRADER ACCOUNTS
Click Trader Accounts on SARA main menu
9. Window appears look like this:
Field Explanation
Trader account For identifying this trader account within SARA & J-Trader
Back Office ID Inditifying trader account to clearer’s web server
Account Class Trader account belongs
Click add then see the trader account screen at the Details tab ;
Field Explanation
Account number This trader account within SARA & J-Trader
Rating Category trader account’s level the rating’s & margins
Sara group Trader account belongs
Account blocked Trader account to prevent from submitting or amending orders
Flatten at EOD To flatten J-Trader account position at end of day
10. Contract categories tab
To assign categories, highlight product contract categories in the available list & click
as member trader account scheme.
General limits tab
The general limits tab is for setting up limits that apply to trader account.
11. Field Explanation
Max order size Maximum number lots that can be submitted
SODNLV Start of day net liquidity value, used in margining
calculations
Loss warning % Percentage of limit usage at which an alert on the account
positions
Long limits Maximum of lots thay may be held by the trader account
Short limits
Overnight long Maximum number of lots that may be held by the trader
limits account in an overnight position
Overnight short
limits
Net long limit We recommend that you set both fields to 0
Net short limit
Contract limits tab
The trader accounts screen for setting position limits against the contract that can be
traded by this trader account.
Click create then dialog appears, search contract types assigned to this account you want
to add, click open to add them to the contract limits tab.
Field explanation
Contract type Contract account to assign limits
Long limits Maximum number of lots that may be submmited
Short limits
Max size
Overnight long
Overnight short
Call long limit
Call short limit
12. Call max size Maximum number of lots that may be submmited
Put long limit
Put short limit
Put max size
If finished creating new trader, you can check details of the history the trader account by
Trader history tab.
Trader history tab
Field Explanation
Time Date time of change
Change by ID of the SARA administrator who applied the change
Remaining coloumns Remaining detail the changes made the general limits
13. TRADER ACCOUNT GROUP
From main menu SARA click trader account group, click ADD, in the add new trader
account group, enter a name for the new trader account group and click OK.
Field Explanation
SAG parent To group TAG together & assign them specific risk limits, to
create a risk hierarchy
Subscribed To add users trader account group, can multiple trader or access
rights users
Unsubscribed To remove users trader account group
Specific access right user group created subscribed in users trader account group
14. If have finished creating trader account, continue back to main menu and click USERS
button then back to Details tab to setup Default trader account for login J-Trader & save.
MONITORING TRADING ACTIVITY
On SARA main menu, there are three buttons can view realtime monitoring functions :
Field Explanation
Account position For monitoring & managing account positions, alerts for monitor
Risk For monitoring P&L & buying power, alerts for monitoring limit
breaches
Start monitor Alerts monitor limits breaches
15. ACCOUNT POSITIONS
From SARA main menu , click account position
Field Explanation
Search Searching for positions
Change SOD Changing the start of day position for an expiry level entry
TA limits Changing limits for a trader account
Block TA Prevent or reallow trader accounts in SARA group from
submitting or amending orders
Print To print, copy or export data
Close Closing the account positions screen
Configure Configuring the account positions screen, namely colours tab,
account positions tab & sounds tab
All positions = total account positions
= positions at the contract type level
= positions ate the contract date (expiry) level
Limits Positions for which posisitons limits have been breached
breached
Overnight Positions that will breach overnight
breached
Buying power Records list are displayed in order of priority, buying power
breached breached, equity alert
Account positions columns
Field Explanation
Account Trader account
Exchange Exchange
Type Contract
Date Contract date
16. Option C for all or P for put
Currency Currency of the position
P&L Profit & loss
Tot posn Total position
SOD short Shot & long positions at the start of trading Day
SOD long
POS short long Current long short posisitons
Working buy sells Current order working at the exchange
P & L price Average price of an open position
SOD price Start of day price
Loss limit Loss limit
Starting & Stopping Monitoring
To monitor trading activity in realtime & perform realtime monitoring, SARA needs to
start & run a process. Click start monitor button.
SARA gives you a message box like this;
Monitoring limits breaches
Monitoring alerts screen, you can monitor limits breaches, this sreen automatically
launched.
17. Field Explanation
Timestamp Date time
= p/l buying power alert
= contrat type position limits
Sag = sara group
Breach Nature of the breach
Trader Trader account that has commited the breach
Contract Contract on which the breach has been attempted
Close Closing the scree
Account position Opens the account positions screen
Risk Opens the risk monitor
RISK MONITOR
From sara main menu click RISK
RISK monitoring screen opens
USER FUNCTIONS
From sara main menu, click user functions
18. The user functions screen opens with the logged in tab selected
Field Explanation
Close Closing this screen
Refresh Refreshing the display
Send Sending a message to some or all users
Clear Clearing a logged in flag to enable a user to log on
Logoff Logs off the seledted user
Reset Resetting a user’s log in account
RATING & MARGINS
From sara main menu, click rating & margins
Rating & margins screen display like this
Rating & margins is to view margin requirement type charges.
19. CONTRACT TYPES
Contract types is to place contract limits on a trader account.
From main menu click contract types (limits). Display screen contract types
CONTRACT CATEGORIES
Contract categories is to group contracts, can made available to trader account in a
structured. Click contract categories from main menu sara ;
Click open from screen contract categories & search then choose the product to view
group categories. Show display contract categories ;
20. CONTRACTS
From sara main menu click contracts
Contract screen is to view specification calculation contract product;
CONTRACT PRICE
Contract price is to view contract price directly price.
Click contract price from sara main menu
21. CONNECTIVITY
Connectivity button, to monitoring connectivity status system,
ORDERS
Orders screen to monitoring all activity trading members
From sara main menu click orders,
Will appears window orders
22. SARA GROUPS
Sara groups, to set permissions of accounts and to assign limits to accounts.
REPORTS
From sara menu Reports can view whole reports, can produce reports detailing all users,
all contract-type limits per trader account, and all conracts.
23. Field Explanation
Users All about data of the users registered in the system
Contrat type limits by trader List all trader accounts, with the contract limits assigned
account to them
Contracts List all contracts anda maturity data held in SARA
CONFIGURATION DATA
To set global system configuration parameters, to open the screen click from main menu
sara the configuration data button
TRADING VOLUMES
To view each user’s orders and filled lots in each contract date, by trader account over a
given period. From sara main menu click Trading Volumes, enter your search criteria
then the result are displayed.