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Five Key Questions Auditors Ask during a Database Compliance Audit
Regulatory legislation is increasingly demanding that formal enterprise audit processes include information technology assets and require compliance auditors to look at many aspects of the database environment like; user management, authentication, separation of duties, access control, and more.
Read this white paper and learn about the five key questions auditors use to check against best practices and regulatory mandates set by SOX, HIPPA, PCI, and other regulatory measures that protect sensitive data. This white paper also examines the strengths and weaknesses of alternative audit mechanisms relative to these questions so that you will be able to choose the right solution for your enterprise business.
- 24 Jul 2007
- 01 Jan 2006
- 11 Page(s)
- White Paper