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  • Web Application Auditing

    - by Adonis L
    How can I audit a web application specifically database changes, when the application is connecting to the database as a system account? I would like to use a simple database trigger to write to an audit table but I am unsure of how I would be able to add the user that is logged on instead of the account that is actually doing the work. I have read a few articles on identity flow but I do not fully understand the concept.

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  • If tables are so evil, why does joomla use tables for its layout?

    - by DMin
    When you create a template you don't use tables. but when joomla rendereds the page, there are at least 4 places where tables are used to structure the content. Does this tell you something about tables or the fact that the joomla community should invest more time and learn how to code css or just the fact that tables are needed when you don't know what css is going to be throw in later(which probably means they are of some use)?

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  • retrieve data from multiple tables referencing some tables in mysql

    - by I Like PHP
    i have 10 tables have innoDB engine 1. one is state_table which attributes are state_id and state_name 2. another table city_table which attributes are city_id and city_name 3. one more table permit_table which attribute is p_id above city_id,state_id and permit_id is references to rest of 7 tables. each table having state_id, city_id and permit_id referencing above tables now i want to extract all tables data with their respective city name and state name ( each tables may have different city id and state id) i m using below mysql query( i know it's very length way.... ) . please tell me how to do it with optimized method? SELECT p.*,cp.city_name,sp.state_name, o.*,co.city_name,so.state_name, t.*,ct.city_name,st.state_name, th.*,cth.city_name,sth.state_name, f.*,cf.city_name,sf.state_name .......so on................ .......so on................ ............................ FROM permit_table p JOIN table_city cp ON cp.city_id=p.city_id JOIN table_state sp ON sp.state_id=p.state_id JOIN table_one o ON o.permit_id=p.permit_id JOIN table_city co ON co.city_id=o.city_id JOIN table_state so ON so.state_id=o.state_id JOIN table_two t ON t.permit_id=p.permit_id JOIN table_city ct ON ct.city_id=t.city_id JOIN table_state st ON st.state_id=t.state_id JOIN table_three th ON th.permit_id=p.permit_id JOIN table_city cth ON cth.city_id=th.city_id JOIN table_state sth ON sth.state_id=th.state_id JOIN table_four f ON f.permit_id=p.permit_id JOIN table_city cf ON cf.city_id=f.city_id JOIN table_state sf ON sf.state_id=f.state_id ................so on......................... ................so on......................... .............................................. WHERE p.permit_id=base64_encode(mysql_real_escape_string($_GET[pid])); Thanks For help me always.

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  • retrive data from multiple tables referencing some tables in mysql

    - by I Like PHP
    i have 10 tables have innoDB engine 1. one is state_table which attributes are state_id and state_name 2. another table city_table which attributes are city_id and city_name 3. one more table permit_table which attribute is p_id above city_id,state_id and permit_id is references to rest of 7 tables. each table having state_id, city_id and permit_id referencing above tables now i want to extract all tables data with their respective city name and state name ( each tables may have different city id and state id) i m using below mysql query( i know it's very length way.... ) . please tell me how to do it with optimized method? SELECT p.*,cp.city_name,sp.state_name, o.*,co.city_name,so.state_name, t.*,ct.city_name,st.state_name, th.*,cth.city_name,sth.state_name, f.*,cf.city_name,sf.state_name .......so on................ .......so on................ ............................ FROM permit_table p JOIN table_city cp ON cp.city_id=p.city_id JOIN table_state sp ON sp.state_id=p.state_id JOIN table_one o ON o.permit_id=p.permit_id JOIN table_city co ON co.city_id=o.city_id JOIN table_state so ON so.state_id=o.state_id JOIN table_two t ON t.permit_id=p.permit_id JOIN table_city ct ON ct.city_id=t.city_id JOIN table_state st ON st.state_id=t.state_id JOIN table_three th ON th.permit_id=p.permit_id JOIN table_city cth ON cth.city_id=th.city_id JOIN table_state sth ON sth.state_id=th.state_id JOIN table_four f ON f.permit_id=p.permit_id JOIN table_city cf ON cf.city_id=f.city_id JOIN table_state sf ON sf.state_id=f.state_id ................so on......................... ................so on......................... .............................................. WHERE p.permit_id=base64_encode(mysql_real_escape_string($_GET[pid]); Thanks For help me always.

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  • capturing user IP address information for audit

    - by Samuel
    We have a requirement to log IP address information of all users who use a certain web application based on JEE 5. What would be an appropriate sql data type for storing IPv4 or IPv6 addressses in the following supported databases (h2, mysql, oracle). There is also a need to filter activity from certain IP addresses. Should I just treat the representation as a string field (say varchar(32) to hold ipv4, ipv6 addresses)

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  • Aus 2 mach 1: Oracle Audit Vault and Database Firewall

    - by Heinz-Wilhelm Fabry (DBA Community)
    Gestern hat Oracle bekanntgegeben, dass die beiden Produkte Oracle Audit Vault und Oracle Database Firewall zu einem Produkt werden. Der neue Produktname wird "Oracle Audit Vault and Database Firewall" sein. Software und Dokumentation werden in den nächsten Tagen zum Download verfügbar sein. Das Zusammenlegen macht durchaus Sinn, denn die ursprünglichen Produkte wiesen im Bereich der Protokollierung und des Berichtswesens deutliche Überschneidungen auf. Damit lag es nahe, die Repositories für das Speichern des Protokolls zu vereinheitlichen. Endlich wird es im Bereich Auditing durch die Einführung eines Development Kits auch möglich sein, Systeme anzubinden, für die Oracle keine vorgefertigten Konnektoren / Kollektoren liefert. Mit der Zusammenlegung verbunden ist ein völlig neues Lizenzierungsmodell, das zu deutlichen Kostensenkungen für kleinere und mittlere Installationen führt.

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  • Why not use tables for layout in HTML?

    - by Bno
    It seems to be the general opinion that tables should not be used for layout in HTML. Why? I have never (or rarely to be honest) seen good arguments for this. The usual answers are: It's good to separate content from layoutBut this is a fallacious argument; Cliche Thinking. I guess it's true that using the table element for layout has little to do with tabular data. So what? Does my boss care? Do my users care?Perhaps me or my fellow developers who have to maintain a web page care... Is a table less maintainable? I think using a table is easier than using divs and CSS.By the way... why is using a div or a span good separation of content from layout and a table not? Getting a good layout with only divs often requires a lot of nested divs. Readability of the codeI think it's the other way around. Most people understand html, few understand CSS. It's better for SEO not to use tablesWhy? Can anybody show some evidence that it is? Or a statement from Google that tables are discouraged from an SEO perspective? Tables are slower.An extra tbody element has to be inserted. This is peanuts for modern web browsers. Show me some benchmarks where the use of a table significantly slows down a page. A layout overhaul is easier without tables, see css Zen Garden.Most web sites that need an upgrade need new content (html) as well. Scenarios where a new version of a web site only needs a new CSS file are not very likely. Zen Garden is a nice web site, but a bit theoretical. Not to mention its misuse of CSS. I am really interested in good arguments to use divs + CSS instead of tables.

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  • In Oracle 10g, how do I see tables in schemes other than system

    - by Yasir Arsanukaev
    In the hr schema there's a table emloyees, I can query data from it specifying it implicitly SELECT count(*) FROM hr.employees while logged in as system, but when I navigate to Home-Object Browser in the browser I can't see the table employees and other tables in other schemas. Can I manage tables in schemas other than system while logged in as system? Maybe there's some setting which enables me to group tables by schema. My Oracle Database version is 10.2.0.1 Express Edition. IIRC I could see all tables in Oracle Database 10.1.x.y. Thanks.

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  • Alternative to Windows Azure tables out of the cloud

    - by John Grey
    Hi :) I'm developing a .NET app, which needs to run both on Azure and on regular Windows Servers(2003). It needs to store a few GB of data and SQL Azure is too expensive for me, so I'll use Azure tables in the cloud version. Can you recommend a storage solution, which will run on standalone servers and have an API and behavior similar to Azure tables? From what I've seen Server AppFabric does not include Tables. TIA

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  • Vertically Merge Multiple Tables in MySQL by Joint Primary Key

    - by world
    Hello, I'll attempt to make my question as clear as possible. I'm fairly unexperienced with SQL, only know the really basic queries. In order to have a better idea I'd been reading the MySQL manual for the past few days, but I couldn't really find a concrete solution and my needs are quite specific. I've got 3 MySQL MyISAM tables: table1, table2 and table3. Each table has an ID column (ID, ID2, ID3 respectively), and different data columns. For example table1 has [ID, Name, Birthday, Status, ...] columns, table2 has [ID2, Country, Zip, ...], table3 has [ID3, Source, Phone, ...] you get the idea. The ID, ID2, ID3 columns are common to all three tables... if there's an ID value in table1 it will also appear in table2 and table3. The number of rows in these tables is identical, about 10m rows in each table. What I'd like to do is create a new table that contains (most of) the columns of all three tables and merge them into it. The dates, for instance, must be converted because right now they're in VARCHAR YYYYMMDD format. Reading the MySQL manual I figured STR_TO_DATE() would do the job, but I don't know how to write the query itself in the first place so I have no idea how to integrate the date conversion. So basically, after I create the new table (which I do know how to do), how can I merge the three tables into it, integrating into the query the date conversion?

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  • How to Visualize your Audit Data with BI Publisher?

    - by kanichiro.nishida
      Do you know how many reports on your BI Publisher server are accessed yesterday ? Or, how many users accessed to the reports yesterday, or what are the average number of the users accessed to the reports during the week vs. weekend or morning vs. afternoon ? With BI Publisher 11G, now you can audit your user’s reports access and understand the state of the reporting environment at your server, each user, or each report level. At the previous post I’ve talked about what the BI Publisher’s auditing functionality and how to enable it so that BI Publisher can start collecting such data. (How to Audit and Monitor BI Publisher Reports Access?)Now, how can you visualize such auditing data to have a better understanding and gain more insights? With Fusion Middleware Audit Framework you have an option to store the auditing data into a database instead of a log file, which is the default option. Once you enable the database storage option, that means you have your auditing data (or, user report access data) in your database tables, now no brainer, you can start visualize the data, create reports, analyze, and share with BI Publisher. So, first, let’s take a look on how to enable the database storage option for the auditing data. How to Feed the Auditing Data into Database First you need to create a database schema for Fusion Middleware Audit Framework with RCU (Repository Creation Utility). If you have already installed BI Publisher 11G you should be familiar with this RCU. It creates any database schema necessary to run any Fusion Middleware products including BI stuff. And you can use the same RCU that you used for your BI or BI Publisher installation to create this Audit schema. Create Audit Schema with RCU Here are the steps: Go to $RCU_HOME/bin and execute the ‘rcu’ command Choose Create at the starting screen and click Next. Enter your database details and click Next. Choose the option to create a new prefix, for example ‘BIP’, ‘KAN’, etc. Select 'Audit Services' from the list of schemas. Click Next and accept the tablespace creation. Click Finish to start the process. After this, there should be following three Audit related schema created in your database. <prefix>_IAU (e.g. KAN_IAU) <prefix>_IAU_APPEND (e.g. KAN_IAU_APPEND) <prefix>_IAU_VIEWER (e.g. KAN_IAU_VIEWER) Setup Datasource at WebLogic After you create a database schema for your auditing data, now you need to create a JDBC connection on your WebLogic Server so the Audit Framework can access to the database schema that was created with the RCU with the previous step. Connect to the Oracle WebLogic Server administration console: http://hostname:port/console (e.g. http://report.oracle.com:7001/console) Under Services, click the Data Sources link. Click ‘Lock & Edit’ so that you can make changes Click New –> ‘Generic Datasource’ to create a new data source. Enter the following details for the new data source:  Name: Enter a name such as Audit Data Source-0.  JNDI Name: jdbc/AuditDB  Database Type: Oracle  Click Next and select ‘Oracle's Driver (Thin XA) Versions: 9.0.1 or later’ as Database Driver (if you’re using Oracle database), and click Next. The Connection Properties page appears. Enter the following information: Database Name: Enter the name of the database (SID) to which you will connect. Host Name: Enter the hostname of the database.  Port: Enter the database port.  Database User Name: This is the name of the audit schema that you created in RCU. The suffix is always IAU for the audit schema. For example, if you gave the prefix as ‘BIP’, then the schema name would be ‘KAN_IAU’.  Password: This is the password for the audit schema that you created in RCU.   Click Next. Accept the defaults, and click Test Configuration to verify the connection. Click Next Check listed servers where you want to make this JDBC connection available. Click ‘Finish’ ! After that, make sure you click ‘Activate Changes’ at the left hand side top to take the new JDBC connection in effect. Register your Audit Data Storing Database to your Domain Finally, you can register the JNDI/JDBC datasource as your Auditing data storage with Fusion Middleware Control (EM). Here are the steps: 1. Login to Fusion Middleware Control 2. Navigate to Weblogic Domain, right click on ‘bifoundation…..’, select Security, then Audit Store. 3. Click the searchlight icon next to the Datasource JNDI Name field. 4.Select the Audit JNDI/JDBC datasource you created in the previous step in the pop-up window and click OK. 5. Click Apply to continue. 6. Restart the whole WebLogic Servers in the domain. After this, now the BI Publisher should start feeding all the auditing data into the database table called ‘IAU_BASE’. Try login to BI Publisher and open a couple of reports, you should see the activity audited in the ‘IAU_BASE’ table. If not working, you might want to check the log file, which is located at $BI_HOME/user_projects/domains/bifoundation_domain/servers/AdminServer/logs/AdminServer-diagnostic.log to see if there is any error. Once you have the data in the database table, now, it’s time to visualize with BI Publisher reports! Create a First BI Publisher Auditing Report Register Auditing Datasource as JNDI datasource First thing you need to do is to register the audit datasource (JNDI/JDBC connection) you created in the previous step as JNDI data source at BI Publisher. It is a JDBC connection registered as JNDI, that means you don’t need to create a new JDBC connection by typing the connection URL, username/password, etc. You can just register it using the JNDI name. (e.g. jdbc/AuditDB) Login to BI Publisher as Administrator (e.g. weblogic) Go to Administration Page Click ‘JNDI Connection’ under Data Sources and Click ‘New’ Type Data Source Name and JNDI Name. The JNDI Name is the one you created in the WebLogic Console as the auditing datasource. (e.g. jdbc/AuditDB) Click ‘Test Connection’ to make sure the datasource connection works. Provide appropriate roles so that the report developers or viewers can share this data source to view reports. Click ‘Apply’ to save. Create Data Model Select Data Model from the tool bar menu ‘New’ Set ‘Default Data Source’ to the audit JNDI data source you have created in the previous step. Select ‘SQL Query’ for your data set Use Query Builder to build a query or just type a sql query. Either way, the table you want to report against is ‘IAU_BASE’. This IAU_BASE table contains all the auditing data for other products running on the WebLogic Server such as JPS, OID, etc. So, if you care only specific to BI Publisher then you want to filter by using  ‘IAU_COMPONENTTYPE’ column which contains the product name (e.g. ’xmlpserver’ for BI Publisher). Here is my sample sql query. select     "IAU_BASE"."IAU_COMPONENTTYPE" as "IAU_COMPONENTTYPE",      "IAU_BASE"."IAU_EVENTTYPE" as "IAU_EVENTTYPE",      "IAU_BASE"."IAU_EVENTCATEGORY" as "IAU_EVENTCATEGORY",      "IAU_BASE"."IAU_TSTZORIGINATING" as "IAU_TSTZORIGINATING",    to_char("IAU_TSTZORIGINATING", 'YYYY-MM-DD') IAU_DATE,    to_char("IAU_TSTZORIGINATING", 'DAY') as IAU_DAY,    to_char("IAU_TSTZORIGINATING", 'HH24') as IAU_HH24,    to_char("IAU_TSTZORIGINATING", 'WW') as IAU_WEEK_OF_YEAR,      "IAU_BASE"."IAU_INITIATOR" as "IAU_INITIATOR",      "IAU_BASE"."IAU_RESOURCE" as "IAU_RESOURCE",      "IAU_BASE"."IAU_TARGET" as "IAU_TARGET",      "IAU_BASE"."IAU_MESSAGETEXT" as "IAU_MESSAGETEXT",      "IAU_BASE"."IAU_FAILURECODE" as "IAU_FAILURECODE",      "IAU_BASE"."IAU_REMOTEIP" as "IAU_REMOTEIP" from    "KAN3_IAU"."IAU_BASE" "IAU_BASE" where "IAU_BASE"."IAU_COMPONENTTYPE" = 'xmlpserver' Once you saved a sample XML for this data model, now you can create a report with this data model. Create Report Now you can use one of the BI Publisher’s layout options to design the report layout and visualize the auditing data. I’m a big fan of Online Layout Editor, it’s just so easy and simple to create reports, and on top of that, all the reports created with Online Layout Editor has the Interactive View with automatic data linking and filtering feature without any setting or coding. If you haven’t checked the Interactive View or Online Layout Editor you might want to check these previous blog posts. (Interactive Reporting with BI Publisher 11G, Interactive Master Detail Report Just A Few Clicks Away!) But of course, you can use other layout design option such as RTF template. Here are some sample screenshots of my report design with Online Layout Editor.     Visualize and Gain More Insights about your Customers (Users) ! Now you can visualize your auditing data to have better understanding and gain more insights about your reporting environment you manage. It’s been actually helping me personally to answer the  questios like below.  How many reports are accessed or opened yesterday, today, last week ? Who is accessing which report at what time ? What are the time windows when the most of the reports access happening ? What are the most viewed reports ? Who are the active users ? What are the # of reports access or user access trend for the last month, last 6 months, last 12 months, etc ? I was talking with one of the best concierge in the world at this hotel the other day, and he was telling me that the best concierge knows about their customers inside-out therefore they can provide a very private service that is customized to each customer to meet each customer’s specific needs. Well, this is true when it comes to how to administrate and manage your reporting environment, right ? The best way to serve your customers (report users, including both viewers and developers) is to understand how they use, what they use, when they use. Auditing is not just about compliance, but it’s the way to improve the customer service. The BI Publisher 11G Auditing feature enables just that to help you understand your customers better. Happy customer service, be the best reporting concierge! p.s. please share with us on what other information would be helpful for you for the auditing! Always, any feedback is a great value and inspiration for us!  

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  • Oracle Tutor: Document Audit and Maintenance

    - by Emily Chorba
    Normal 0 false false false EN-US X-NONE X-NONE MicrosoftInternetExplorer4 /* Style Definitions */ table.MsoNormalTable {mso-style-name:"Table Normal"; mso-tstyle-rowband-size:0; mso-tstyle-colband-size:0; mso-style-noshow:yes; mso-style-priority:99; mso-style-qformat:yes; mso-style-parent:""; mso-padding-alt:0in 5.4pt 0in 5.4pt; mso-para-margin:0in; mso-para-margin-bottom:.0001pt; mso-pagination:widow-orphan; font-size:10.0pt; font-family:"Times New Roman","serif";} Perhaps the most critical phase in the process of documenting policies and procedure -- and the greatest challenge to owners -- is the maintenance of published documents. Documents must reflect current practice and they must be accurate. The most effective way to ensure this is through the regular audit of documents. In the Tutor environment, a Document Owner must audit each of his/her documents once every 6 to 12 months to verify that the document reflects actual practice. If it does not, the document is updated or employees are retrained (depending on the nature of the discrepancy). If a document update is required, the Tutor system enables the owner to modify and redistribute the document within one work day. This is possible because: Documents contain a minimum of detail, thereby reducing the edits. Document format and structure are simple, so changes are easy to identify The Tutor Author software tool enables the Document Owner or the Document Administrator to update the file quickly. The Document Administrator verifies the document format and integration, publishes the document, and distributes it to all affected employees, thereby freeing the Document Owner of the more tedious tasks. Learn More For more information about Tutor, visit Oracle.Com or the Tutor Blog. Post your questions at the Tutor Forum. Emily Chorba Principle Product Manager Oracle Tutor & UPK

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  • Limiting Audit Exposure and Managing Risk – Q&A and Follow-Up Conversation

    - by Tanu Sood
    Thanks to all who attended the live ISACA webcast on Limiting Audit Exposure and Managing Risk with Metrics-Driven Identity Analytics. We were really fortunate to have Don Sparks from ISACA moderate the webcast featuring Stuart Lincoln, Vice President, IT P&L Client Services, BNP Paribas, North America and Neil Gandhi, Principal Product Manager, Oracle Identity Analytics. Stuart’s insights given the team’s role in providing IT for P&L Client Services and his tremendous experience in identity management and establishing sustainable compliance programs were true value-add at yesterday’s webcast. And if you are a healthcare organization looking to solve your compliance and security challenges, we recommend you join us for a live webcast on Tuesday, November 29 at 10 am PT. The webcast will feature experts from Kaiser Permanente, PricewaterhouseCoopers and Oracle and the focus of the discussion will be around the compliance challenges a healthcare organization faces and best practices for tackling those. Here are the details: Healthcare IT News Webcast: Managing Risk and Enforcing Compliance in Healthcare with Identity Analytics Tuesday, November 29, 201110:00 a.m. PT / 1:00 p.m. ET Register Today The ISACA webcast replay is now available on-demand and the slides are also available for download. Since we didn’t have time to address all the questions we received during the live Q&A portion of the webcast, we have captured responses to the remaining questions here. Please continue to provide us your feedback and insights from your experience in deploying identity compliance solutions. Q. Can you please clarify the mechanism utilized to populate the Identity Warehouse from each individual application's access management function / files? A. Oracle Identity Analytics (OIA) supports direct imports from applications. Data collection is based on Extract, Transform and Load (ETL) that eliminates the need to write connectors to different applications. Oracle Identity Analytics’ import engine supports complex entitlement feeds saved as either text files or XML. The imports can be scheduled on a periodic basis or triggered as needed. If the applications are synchronized with a user provisioning solution like Oracle Identity Manager, Oracle Identity Analytics has a seamless integration to pull in data from Oracle Identity Manager. Q.  Can you provide a short summary of the new features in your latest release of Oracle Identity Analytics? A. Oracle recently announced availability of enhanced Oracle Identity Analytics. This release focused on easing the certification process by offering risk analytics driven certification, advanced certification screens, business centric views and significant improvement in performance including 3X faster data imports, 3X faster certification campaign generation and advanced auto-certification features, that  will allow organizations to improve user productivity by up to 80%. Closed-loop risk feedback and IT policy monitoring with Oracle Identity Manager, a leading user provisioning solution, allows for more accurate certification reviews. And, OIA's improved performance enables customers to scale compliance initiatives supporting millions of user entitlements across thousands of applications, whether on premise or in the cloud, without compromising speed or integrity. Q. Will ISACA grant a CPE credit for attending this ISACA-sponsored webinar today? A. From ISACA: Hello and thank you for your interest in the 2011 ISACA Webinar Program!  Unfortunately, there are no CPEs offered for this program, archived or live.  We will be looking into the feasibility of offering them in the future.  Q. Would you be able to use this to help manage licenses for software? That is to say - could it track software that is not used by a user, thus eliminating the software license? A. OIA’s integration with Oracle Identity Manager, a leading user provisioning solution, allows organizations to detect ghost accounts or unused accounts via account reconciliation. Based on company’s policies, this could trigger an automated workflow for account deletion or asking for further investigation. Closed-loop feedback between the two solutions would then allow visibility into the complete audit trail of when the account was detected, the action taken, by whom, when and the current status. Q. We have quarterly attestations and .xls mechanisms are not working. Once the identity data is correlated in Identity Analytics, do you then automate access certification? A. OIA’s identity warehouse analyzes and correlates identity data across various resources that allows OIA to determine a user’s risk profile, who the access review request should go to, along with all the relevant access details of the user. The access certification manager gets notification on what to review, when and the relevant data is presented in a business friendly screen. Based on the result of the access certification process, actions are triggered and results recorded and archived. Access review managers have visual risk indicators that also allow them to prioritize access certification tasks and efforts. Q. How does Oracle Identity Analytics work with Cloud Security? A. For enterprises looking to build their own cloud(s), Oracle offers a set of security services that cloud developers can leverage including Oracle Identity Analytics.  For enterprises looking to manage their compliance requirements but without hosting those in-house and instead having a hosting provider offer managed Identity Management services to the organizations, Oracle Identity Analytics can be leveraged much the same way as you’d in an on-premise (within the enterprise) environment. In fact, organizations today are leveraging Oracle Identity Analytics to manage identity compliance in both these ways. Q. Would you recommend this as a cost effective solution for a smaller organization with @ 2,500 users? A. The key return-on-investment (ROI) on Oracle Identity Analytics is derived from automating compliance processes thereby eliminating administrative overhead, minimizing errors, maintaining cost- and time-effective sustainable compliance processes and minimizing audit exposures and penalties.  Of course, there are other tangible benefits that are derived from an Oracle Identity Analytics implementation as outlined in the webcast. For a quantitative analysis of your requirements and potential ROI calculation, we recommend you refer to the Forrester Study on Total Economic Impact of Oracle Identity Analytics. For an in-person discussion, please email Richard Caldwell.

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  • Unable to start auditd

    - by George Reith
    I am on CentOS 5.8 final I recently installed auditd via yum install audit however I am unable to start it. I edited the configuration file to give a verbose output of the error it is recieving in starting up and this is the output: # service auditd start Starting auditd: Config file /etc/audit/auditd.conf opened for parsing log_file_parser called with: /var/log/audit/audit.log log_format_parser called with: RAW log_group_parser called with: root priority_boost_parser called with: 4 flush_parser called with: INCREMENTAL freq_parser called with: 20 num_logs_parser called with: 4 qos_parser called with: lossy dispatch_parser called with: /sbin/audispd name_format_parser called with: NONE max_log_size_parser called with: 5 max_log_size_action_parser called with: ROTATE space_left_parser called with: 75 space_action_parser called with: SYSLOG action_mail_acct_parser called with: root admin_space_left_parser called with: 50 admin_space_left_action_parser called with: SUSPEND disk_full_action_parser called with: SUSPEND disk_error_action_parser called with: SUSPEND tcp_listen_queue_parser called with: 5 tcp_max_per_addr_parser called with: 1 tcp_client_max_idle_parser called with: 0 enable_krb5_parser called with: no GSSAPI support is not enabled, ignoring value at line 30 krb5_principal_parser called with: auditd GSSAPI support is not enabled, ignoring value at line 31 Started dispatcher: /sbin/audispd pid: 3097 type=DAEMON_START msg=audit(1339336882.187:9205): auditd start, ver=1.8 format=raw kernel=2.6.32-042stab056.8 auid=4294967295 pid=3095 res=success config_manager init complete Error setting audit daemon pid (Connection refused) type=DAEMON_ABORT msg=audit(1339336882.189:9206): auditd error halt, auid=4294967295 pid=3095 res=failed Unable to set audit pid, exiting The audit daemon is exiting. Error setting audit daemon pid (Connection refused) [FAILED] The only information I can find online is that this may be due to SELinux, however SELinux is giving me problems of it's own. No matter what I do it appears to be disabled (I want to enable it). The configuration is set to enforced and the server has been rebooted many a time however sestatus still returns SELinux status: disabled. Can anyone shine some light on this problem? EDIT: I don't know if it is related but I noticed the following message appearing in my /var/log/messages Jun 10 16:25:22 s1 iscsid: iSCSI logger with pid=2056 started! Jun 10 16:25:22 s1 iscsid: Missing or Invalid version from /sys/module/scsi_transport_iscsi/version. Make sure a up to date scsi_transport_iscsi module is loaded and a up todate version of iscsid is running. Exiting... I try to start the iSCSI daemon myself (I have not a clue what it does; I am a linux newbie) and I get the following error: Starting iSCSI daemon: FATAL: Could not load /lib/modules/2.6.32-042stab056.8/modules.dep: No such file or directory FATAL: Could not load /lib/modules/2.6.32-042stab056.8/modules.dep: No such file or directory FATAL: Could not load /lib/modules/2.6.32-042stab056.8/modules.dep: No such file or directory FATAL: Could not load /lib/modules/2.6.32-042stab056.8/modules.dep: No such file or directory FATAL: Could not load /lib/modules/2.6.32-042stab056.8/modules.dep: No such file or directory [FAILED] If I go to /lib/modules/ I notice the directory exists but is completely empty.

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  • Cut in excel doesn't work, and copying tables from one program to another returns text

    - by Kristina
    My excel 2007 on Windows 7 operating system seems to have a probelm with regular cut function. when I highlight cells I want to cut and press cut (either on keyboard shortcut Ctrl+x, Home menu cut command, or from the right-click menu) cells start flashing for a split second and after that they only turn normal. When I want to paste them, they past as if copy function was used. If I try to rightclick to use function "insert cut cells" it is not one of the offered options at all. On my home computer I have same combination, Excel 2007 on windows 7 and it works just fine. COuld the problem be due to 64-bit win7 version at my job, and 32-bit version at home? Another problem is when I copy table from excel to word, in word pasting results in unformatted text instead of table as it was in excel. Did someone have such problems and can offer a solution? Thanx a lot.

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  • Separate tables or single table with queries?

    - by Joe
    I'm making an employee information database. I need to handle separated employees. Should I a. set up a query with a macro to send separated employees to a separate table, or b. just add a flag to the single table denoting separation? I understand that it's best practice to take choice b, and the one reason I can think of for this is that any structural changes I make to the table later will have to be done in both places. But it also seems like setting up a flag forces me to filter out that flag for basically every useful query I'm going to make in the future.

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  • Cookies Audit help

    - by Gino
    Someone can explain to me what is the purpose of these cookies? I'm doing a cookies audit and I didn't find anything on the web Domain: google.com(google maps), Name: NID Domain: google.com(google maps), Name: SNID Domain: google.com(google maps), Name: khcookie Domain: google.com(google maps), Name: PREF and Domain: tripadvisor.com, Name: ServerPool Domain: tripadvisor.com, Name: TAReturnTo Domain: tripadvisor.com, Name: TAUnique Domain: tripadvisor.com, Name: v1st Thank you very much, Gino

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  • Regularly Audit Your Website to Apply Improved SEO Techniques

    An SEO audit report helps you understand your exact search engine results position internet. It offers you complete review of the website's SEO history, present performance and suggestions for future growth. On analyzing your existing SEO process it renders you with efficient services to gain top organic search engine rankings.

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  • T-SQL Dynamic SQL and Temp Tables

    - by George
    It looks like #temptables created using dynamic SQL via the EXECUTE string method have a different scope and can't be referenced by "fixed" SQLs in the same stored procedure. However, I can reference a temp table created by a dynamic SQL statement in a subsequence dynamic SQL but it seems that a stored procedure does not return a query result to a calling client unless the SQL is fixed. A simple 2 table scenario: I have 2 tables. Let's call them Orders and Items. Order has a Primary key of OrderId and Items has a Primary Key of ItemId. Items.OrderId is the foreign key to identify the parent Order. An Order can have 1 to n Items. I want to be able to provide a very flexible "query builder" type interface to the user to allow the user to select what Items he want to see. The filter criteria can be based on fields from the Items table and/or from the parent Order table. If an Item meets the filter condition including and condition on the parent Order if one exists, the Item should be return in the query as well as the parent Order. Usually, I suppose, most people would construct a join between the Item table and the parent Order tables. I would like to perform 2 separate queries instead. One to return all of the qualifying Items and the other to return all of the distinct parent Orders. The reason is two fold and you may or may not agree. The first reason is that I need to query all of the columns in the parent Order table and if I did a single query to join the Orders table to the Items table, I would be repoeating the Order information multiple times. Since there are typically a large number of items per Order, I'd like to avoid this because it would result in much more data being transfered to a fat client. Instead, as mentioned, I would like to return the two tables individually in a dataset and use the two tables within to populate a custom Order and child Items client objects. (I don't know enough about LINQ or Entity Framework yet. I build my objects by hand). The second reason I would like to return two tables instead of one is because I already have another procedure that returns all of the Items for a given OrderId along with the parent Order and I would like to use the same 2-table approach so that I could reuse the client code to populate my custom Order and Client objects from the 2 datatables returned. What I was hoping to do was this: Construct a dynamic SQL string on the Client which joins the orders table to the Items table and filters appropriate on each table as specified by the custom filter created on the Winform fat-client app. The SQL build on the client would have looked something like this: TempSQL = " INSERT INTO #ItemsToQuery OrderId, ItemsId FROM Orders, Items WHERE Orders.OrderID = Items.OrderId AND /* Some unpredictable Order filters go here */ AND /* Some unpredictable Items filters go here */ " Then, I would call a stored procedure, CREATE PROCEDURE GetItemsAndOrders(@tempSql as text) Execute (@tempSQL) --to create the #ItemsToQuery table SELECT * FROM Items WHERE Items.ItemId IN (SELECT ItemId FROM #ItemsToQuery) SELECT * FROM Orders WHERE Orders.OrderId IN (SELECT DISTINCT OrderId FROM #ItemsToQuery) The problem with this approach is that #ItemsToQuery table, since it was created by dynamic SQL, is inaccessible from the following 2 static SQLs and if I change the static SQLs to dynamic, no results are passed back to the fat client. 3 around come to mind but I'm look for a better one: 1) The first SQL could be performed by executing the dynamically constructed SQL from the client. The results could then be passed as a table to a modified version of the above stored procedure. I am familiar with passing table data as XML. If I did this, the stored proc could then insert the data into a temporary table using a static SQL that, because it was created by dynamic SQL, could then be queried without issue. (I could also investigate into passing the new Table type param instead of XML.) However, I would like to avoid passing up potentially large lists to a stored procedure. 2) I could perform all the queries from the client. The first would be something like this: SELECT Items.* FROM Orders, Items WHERE Order.OrderId = Items.OrderId AND (dynamic filter) SELECT Orders.* FROM Orders, Items WHERE Order.OrderId = Items.OrderId AND (dynamic filter) This still provides me with the ability to reuse my client sided object-population code because the Orders and Items continue to be returned in two different tables. I have a feeling to, that I might have some options using a Table data type within my stored proc, but that is also new to me and I would appreciate a little bit of spoon feeding on that one. If you even scanned this far in what I wrote, I am surprised, but if so, I woul dappreciate any of your thoughts on how to accomplish this best.

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