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    • 1. 发明授权
    • Providing aggregate forecasted impact information for physical to financial asset reconciliation
    • 提供总体预测的影响信息,用于物理金融资产调节
    • US07945490B2
    • 2011-05-17
    • US11847723
    • 2007-08-30
    • Jason Aron AlonzoAnn ScullionJohn Leong YeeUmesh Madhav Apte
    • Jason Aron AlonzoAnn ScullionJohn Leong YeeUmesh Madhav Apte
    • G06Q40/00
    • G06Q40/06G06Q10/087G06Q40/00G06Q40/12
    • A reconciliation process identifying financial assets in a financial system that do not also exist in the real world, such as is indicated in a discovery system, generates a list of exceptions that can be examined by type of exception. The list of exceptions also includes aggregate financial impact information for the exceptions, such as aggregate cost, fair market value, and net book value. An interface allows a user to view the financial impact information and better decide how to handle the assets corresponding to the exceptions, such as by retiring at least some of the assets, routing some of the exceptions to another user better able to handle the exceptions, or storing the list so that an investigation can be done into at least some of the assets. The financial impact information becomes particularly critical near quarter-end and year-end, as any material impact to the books requires timely disclosure.
    • 识别金融系统中不存在于现实世界中的金融资产(例如发现系统中指出的)的调节过程生成可通过异常类型检查的异常列表。 例外清单还包括例外的总体财务影响信息,如总成本,公允市场价值和账面净值。 界面允许用户查看财务影响信息,并更好地决定如何处理与异常相对应的资产,例如通过至少退出某些资产,将一些异常路由到另一个用户更好地处理异常, 或存储列表,以便可以对至少一些资产进行调查。 财政影响信息在季末和年底时变得特别重要,因为对书籍的任何重大影响都需要及时披露。
    • 5. 发明授权
    • Data load into an asset management system
    • 数据加载到资产管理系统中
    • US08397128B1
    • 2013-03-12
    • US12432163
    • 2009-04-29
    • Jason Aron AlonzoJohn Leong YeeUmesh Madhav Apte
    • Jason Aron AlonzoJohn Leong YeeUmesh Madhav Apte
    • G06F11/00
    • G06Q10/06G06Q10/067G06Q10/087
    • Asset data is loaded or entered into an asset management system using a Web service or a manual load, or both. The asset data may be discovered using a third-party asset discovery application. As a first loading option, an inbound asynchronous Web service is used to process the discovered data. As a second loading option, exposed tables are used for loading discovered data and processing through a run control. These entry points provide for additional data validation and error handling of invalid data. They provide ways for data to enter the asset management system and can also streamline the data integration, the reconciliation processes, and additionally automatically address or fix specific exceptions.
    • 使用Web服务或手动加载或两者都将资产数据加载或输入资产管理系统。 可以使用第三方资产发现应用发现资产数据。 作为第一个加载选项,入站异步Web服务用于处理发现的数据。 作为第二个加载选项,暴露的表用于通过运行控件加载发现的数据和处理。 这些入口点提供了无效数据的附加数据验证和错误处理。 它们提供数据输入资产管理系统的方法,并且还可以简化数据集成,和解流程,并自动解决或修复特定的异常。
    • 9. 发明授权
    • Device based software authorizations for software asset management
    • 基于设备的软件资产管理软件授权
    • US08407669B2
    • 2013-03-26
    • US11828234
    • 2007-07-25
    • John Leong YeeJason Aron AlonzoUmesh Madhav ApteAnn Catherine Scullion
    • John Leong YeeJason Aron AlonzoUmesh Madhav ApteAnn Catherine Scullion
    • G06F9/44
    • G06Q10/06G06Q10/10
    • Software device groups allow owners and administrators to be defined for various intelligent devices, instead of tracking by primary user. A software license compliance management system obtains discovery information for these devices to determine software installed or active on these devices. The management system also obtains the number of licenses for each software package and determines whether the software is in compliance, or if the number of instances exceeds the number of licenses. This determination is flexible and can handle various license types, such as per user, per device, and per processor. For any exception, the group owner is informed and then can re-allocate licenses, purchase additional licenses, or request the uninstalling of a software instance(s). Device groups also can include sub-groups with sub-group owners responsible for handling any exception in that sub-group.
    • 软件设备组允许为各种智能设备定义所有者和管理员,而不是由主用户进行跟踪。 软件许可证合规管理系统获取这些设备的发现信息,以确定在这些设备上安装或活动的软件。 管理系统还可获取每个软件包的许可证数量,并确定软件是否符合规定,或者实例数量是否超过许可证数量。 这种确定是灵活的,可以处理各种许可证类型,例如每个用户,每个设备和每个处理器。 对于任何例外,通知组所有者,然后可以重新分配许可证,购买额外的许可证或请求卸载软件实例。 设备组还可以包括具有子组所有者的子组,负责处理该子组中的任何异常。