OracleŽ Fusion Middleware Helpset for Oracle Enterprise Repository
11g Release 1 (11.1.1.5.0)
E16516-02 |
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Configuring System Options
Six system options can be configured from the Actions menu in the Asset Editor.
Configure Acceptable Value Lists
Defines/identifies the single- and multiple-selection lists used as metadata elements in asset displays.
This procedure is performed in the Asset Editor.
- Select Configure Acceptable Value Lists from the Actions menu.
The Configure Acceptable Value Lists dilaog is displayed..
- Click Add.
The Add Acceptable Value List dialog is displayed.
- Enter an appropriate name in the List Name text box.
- Enter an appropriate list item name in the text box next to the Add button.
- Click Add.
- Repeat Steps 4 & 5 as necessary to add addtional list items.
- When finished, click OK.
The new list appears in the Configure Acceptable Value Lists dialog.
- To edit any Acceptable Value List, select the list from the Configure Acceptable Value Lists dialog.
- Click Edit.
The Edit Acceptable Value List dialog is displayed. (Same form as the Add Acceptable Value List dialog.)
- Make changes as nececssary.
- Click OK.
Configure Categorizations
Categorizations determine how assets are organized and viewed. They can also be applied in a similar fashion to projects.
This procedure is performed in the Asset Editor.
- Select Configure Categorizations from the Actions menu.
The Configure Categorizations dialog is displayed.
- Click Add.
The Add Categorizations dialog is displayed.
- Enter the appropriate information in each of the text boxes.
- Make the appropriate selection in the Mutually exclusive assignment? checkbox.
- Make the appropriate selection in the Assignable to projects? checkbox.
- Click Add to add sub-categorizations.
- When finished, click OK.
The new categorization appears in the Configure Categorizations pop-up.
- To edit any Categorization, locate it in the list in the Configure Categorizations pop-up.
- Click Edit.
The Edit Categorization dialog is displayed. (Same form as the Add Categorizations dialog.)
- Make changes as nececssary.
- Click OK.
Configure Relationships
Relationships define the connection, interaction, or interdependence between assets. If so configured, assets subject to a specific relationship to an asset that has been selected for use (that is, the Use - Download button has been clicked) may also be downloaded.
This procedure is performed in the Asset Editor.
- Select Configure Relationships from the Actions menu.
The Configure Relationships dialog is displayed.
- Click Add.
The Add Relationships dialog is displayed.
- Enter the appropriate information in each of the text boxes.
- Make the appropriate selection in the Direction drop-down.
The selected direction determines the information displayed in the Target Asset. . .Source Asset box. For instance, in a one-way relationship, the target is dependent on the source. In a two-way relationship, the target and source are interdependent. Two-way -- order matters describes the relationship between sequential versions of an asset, i.e., the relationship between Asset v0.90 and Asset v1.0.
- Make the appropriate selection in the Show other assets with this relationship when an asset is used? checkbox.
- When finished, click OK.
- To edit any Relationship, locate it in the list in the Configure Relationships dialog.
- Click Edit.
The Edit Relationships dialog is displayed. (Same form as the Add Relationship dialog.)
- Make changes as nececssary.
- Click OK.
Configure Rejection Reasons
Determines the selection of Rejection Reasons available to users who reject previously used/downloaded assets. Rejection Reasons provide valuable local community feedback on assets.
This procedure is performed in the Asset Editor.
- Select Configure Rejection Reasons from the Actions menu.
The Configure Rejection Reasons dialog is displayed.
- Click Add.
The Edit Reject Reasons dialog is displayed.
- Enter the appropriate text in the Rejection Reason text box.
- When finished, click OK.
- To edit any Reject Reason, locate it in the list in the Configure Rejection Reasons dialog.
- Click Edit.
The Edit Reject Reasons dialog is displayed.
- Make changes as nececssary.
- Click OK.
Configure Artifact Stores
Determines where the files relevant to assets in Oracle Enterprise Repository are stored.
This procedure is performed in the Asset Editor.
- Select Configure Artifact Stores from the Actions menu.
The Configure Artifact Stores dialog is displayed.
- Click Add.
The Create a new Artifact Store dialog is displayed.
- Enter a name for the repository.
- In the Type list, select a type for the repository.
- Default Types:
- FTP
Accesses files on an FTP server
- HTTP
Accesses files on a Web server
- HTTPS
Accesses files on a secure Web server
- UNC
Accesses files using a Windows or Samba share
- Raw URI
Access files via a raw URI.
- Depending on the integration options included in your installation of Oracle Enterprise Repository
, one or more of the following types may be available:
- PVCS
Accesses the PVCS source control management system
- ChangeMan DS
Accesses the ChangeMan DS source control management system
- ClearCase
Accesses the ClearCase source control management system
- CVS
Accesses the CVS source control management system
- FileStores
Accesses the ClearCase or other SCM control management system
- ClearQuest
Accesses the ClearQuest defect tracking system
- Enter a hostname and path for the server.
- Optional: Enter a username and password.
Exercising this option enables automatic Repository
login.
- When finished, click OK.
- To edit any Artifact Store, locate it in the list in the Configure Artifact Stores dialog.
- Click Edit.
The Edit Artifact Store dialog is displayed. (Same form as the Create a new Artifact Store dialog.)
- Make changes as nececssary.
- Click OK.
Configure Vendors
Defines/identifies vendors providing assets to the repository.
This procedure is performed in the Asset Editor.
- Select Configure Vendors from the Actions menu.
The Configure Vendors dialog is displayed.
- Click Add.
The Add Vendor Name dialog is displayed.
- Enter the appropriate information in the Name text box.
- When finished, click OK.
- To edit any Vendor, locate it in the list in the Configure Vendors dialog.
- Click Edit.
The Edit Vendor Name dialog is displayed. (Same form as the Add Vendor Name dialog.)
- Make changes as nececssary.
- Click OK.
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