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Configuration Audit and Control: 10 Critical Factors to Change and Configuration Management Success by Tripwire, Inc.

October 2008 - (Free Research)
As businesses have instituted internal, industry, and government mandated regulatory compliance, the need for audit data to prove conformity has also become a necessity. Read this white paper to learn how configuration audit and control provides a single, independent source for enforcing and reporting on a change policy across an organization. 
(WHITE PAPER) READ ABSTRACT |

What Changed? Leveraging the Power of Change Auditing by Tripwire, Inc.

December 2008 - (Free Research)
Change is necessary not only to keep up with day-to-day corporate evolution, but also to enable IT to transform the organization. As the business continues to demand change, it's in your own best interest to get control of the changes that pose risk. Read this solution brief to learn more about detecting what was changed. 
(PRODUCT OVERVIEW) READ ABSTRACT |

Executive Guide to SYSPRO Security for Auditing Assurance and Control by SYSPRO

December 2013 - (Free Research)
This white paper introduces an enterprise resource planning (ERP) system with the governance, risk, and compliance functionality you need to satisfy regulatory requirements and fuel security success. 
(WHITE PAPER) READ ABSTRACT |

What's Good for Security Is Good for Operations: Why Configuration Assessment Followed by Change Auditing Is Key to Operational Stability by Tripwire, Inc.

July 2008 - (Free Research)
Discover why configuration assessment followed by change auditing is key for operational stability, and that gaining visibility into all change to IT systems is the first step toward employing best practices across the organization. 
(WHITE PAPER) READ ABSTRACT |

Moving to Sarbanes-Oxley Compliance in Three Days Using EventTracker by Prism Microsystems Inc.

June 2008 - (Free Research)
The purpose of this document is to explain how EventTracker can help your organization meet the audit reporting requirements of The Sarbanes-Oxley Act of 2002 (SOX). 
(WHITE PAPER) READ ABSTRACT |

Achieving Network Payment Card Industry Data Security Standard (PCI DSS) Compliance with Netcordia's NetMRI by Netcordia

October 2008 - (Free Research)
This paper describes the ways that Netcordia's NetMRI can help you quickly achieve and maintain PCI DSS compliance across your network. 
(WHITE PAPER) READ ABSTRACT |

Access Control in Virtual Environments by FoxT

June 2008 - (Free Research)
The growth in use of virtual servers is heralded by many as a positive development because it is seen to save companies money and resources. 
(WHITE PAPER) READ ABSTRACT |

Is your user management process getting you down? Improving efficiency and security through automation by NetIQ Europe

May 2011 - (Free Research)
Access control is something that has hindered business for years. There can be a variety of different levels of access a user may posses at a company. Some users may need to access different programs than others, so they would require a different level of access. 
(WHITE PAPER) READ ABSTRACT |

Extending Advanced Malware Protection to Unmanaged devices, Cloud and Virtual Desktops by Trusteer

July 2012 - (Free Research)
Advanced threats and emerging IT initiatives such as BYOD, cloud applications and desktop virtualization are making security more challenging than ever before. This resource explores these challenges and offers insight on how to build a layered defense. 
(PRESENTATION TRANSCRIPT) READ ABSTRACT |

How to tackle IT audit and compliance by ComputerWeekly.com

November 2010 - (Free Research)
IT audit is about the formal verification and validation of the quality and effectiveness of ITcontrols to support the overall business control objectives. From a security controlperspective the residual IT security risks are relatively well understood in a networkperimeter protected environment. 
(WHITE PAPER) READ ABSTRACT |

SOX, GLBA and HIPAA: Multiple Regulations, One Compliance Solution by Tripwire, Inc.

August 2009 - (Free Research)
SOX, GLBA and HIPAA share a common regulatory compliance thread - the need to use automation to ensure continuous compliance with required IT controls. View this webcast for an overview of each regulation. Also, gain an understanding of the capabilities an organization must have in place to address these requirements. 
(WEBCAST) READ ABSTRACT |

Addressing IT governance, risk and compliance (GRC) to meet regulatory requirements and reduce operational risk in financial services organizations by IBM

August 2011 - (Free Research)
Organizations must implement the right IT GRC controls to meet meet regulatory requirements in areas of specific concern to auditors and reduce operational risk. Learn how IBM provides the capabilities to tackle specific compliance and audit requirements and address issues affecting long-term, ongoing risk management. 
(WHITE PAPER) READ ABSTRACT |

Webinar: 20 Critical Controls for Cyber Defense by ISACA

June 2014 - (Free Research)
Join ISACA for a webinar hosted by internationally recognized speaker, Dr. Vilius Benetis, on Tuesday, June 24, 2014 at 12:00 PM EDT (16:00 UTC), who will discuss the 20 critical controls identified by SANS and the Council on Cybersecurity. 
(WEBCAST) READ ABSTRACT |

File Security: Audit and Protect Critical Files by Imperva

August 2010 - (Free Research)
Read this paper to learn how Imperva SecureSphere File Security products deliver real-time file monitoring, auditing, security, and user rights management for files stored on file servers and network attached storage (NAS) devices. 
(WHITE PAPER) READ ABSTRACT |

The Role of Security Management in Achieving "Continuous Compliance" by CA Technologies.

December 2007 - (Free Research)
There's a focus today on regulatory compliance involving financial reporting, security and data privacy. But there are also tremendous business performance opportunities that can be fueled by the new requirements. This paper details the benefits of continuous compliance, which include reduction of risk and cost. 
(WHITE PAPER) READ ABSTRACT |

Workday Security: A Compliance Perspective by Workday

October 2008 - (Free Research)
Workday understands that compliance is a critical business requirement for their customers and they have designed Workday Enterprise Business Services™ with strict compliance demands in mind. 
(WHITE PAPER) READ ABSTRACT |

Payment Card Industry (PCI) Data Security Standard for System i AS400 by Bsafe Information Systems

February 2008 - (Free Research)
This document is supported by Bsafe/ES Modules such as Bsafe Network Log, Bsafe Analyzer, Bsafe Traffic Analyzer, Bsafe Archive Central Audit, Bsafe Simulator, Bsafe IDS (alerts) and Bsafe IPS. 
(WHITE PAPER) READ ABSTRACT |

Payment Card Industry (PCI) Data Security Standard by Bsafe Information Systems

February 2008 - (Free Research)
This document is supported by Bsafe/ES Modules such as Bsafe Network Log, Bsafe Analyzer, Bsafe Traffic Analyzer, Bsafe Archive Central Audit, Bsafe Simulator, Bsafe IDS (alerts) and Bsafe IPS. 
(WHITE PAPER) READ ABSTRACT |

Provergent Suite - Telecom Order & Inventory Software by Digital Fairway, Inc.

The Provergent Communication Asset Management Suite helps to manage the planning, procuring, provisioning, auditing & delivering of communications services. Provergent allows you to build accurate & easy to manage centralized inventories, backed up by automated provisioning processes to manage all moves, adds, changes & deletes in the inventory. 
(SOFTWARE PRODUCT)

10 Best Practices for Reducing the Stress of IT Audits by Dell Software

October 2008 - (Free Research)
This paper presents 10 best practices that can greatly reduce or even eliminate the angst so commonly associated with IT audits. 
(WHITE PAPER) READ ABSTRACT |

Implementing Database Security and Auditing: Using Granular Access Control by Guardium, an IBM Company

September 2010 - (Free Research)
In this white paper you’ll see that granular access control can only be achieved through aligning the application user model with the database security system. 
(WHITE PAPER) READ ABSTRACT |

How Automated Solutions Can Help with Efforts Toward Sarbanes-Oxley Compliance by Varonis

September 2008 - (Free Research)
This document provides a brief overview of the Sarbanes-Oxley Act, (Sections 302 and 404), the impact of SOX on IT Departments, and the Varonis Data Governance solution for critical portions of the Sarbanes-Oxley Act of 2002. 
(WHITE PAPER) READ ABSTRACT |

10 Things IT Should Be Doing (but isn't) by Varonis

September 2008 - (Free Research)
Check out this brief paper to learn the ten must-do actions for maximizing unstructured data protection. 
(WHITE PAPER) READ ABSTRACT |

Controlling, Delegating, Logging and Auditing Unix/Linux Root Actions by BeyondTrust Corporation

February 2009 - (Free Research)
This document discusses the use of PowerBroker software to address some of the security and audit problems inherent in native UNIX and Linux operating systems. The purpose of the document is to demonstrate the value of PowerBroker as a tool for reducing risk in environments where information security and risk avoidance are considered important. 
(ARTICLE) READ ABSTRACT |

Information Security Magazine, May 2009: Automating Compliance by Information Security Magazine

May 2009 - (Free Research)
This month's cover story is on Automatic Compliance. The weight of regulatory compliance can break the back of your IT operation. Automation can help you gear up for your next audit. We'll also cover new technologies for identity and access management, IDS vs. IPS, and more. 
(EZINE)

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