Configuring Asset Integration Details_AM
- Chilukuri Srinivasa Reddy (Unlicensed)
- Mayuresh Balaji Kamble (Unlicensed)
- Shilpa K (Deactivated)
Variance
Import
Importing and Allocating Assets in Bulk
Activating or Deactivating and Moving Assets in Bulk
Approvals
Verifying Asset Reconciliation
Approving Physically Verified Assets
Approving Store Wise Reconciled Assets
Approving Asset Using Maker-checker
Contract Management
Adding Contract or Agreement Details
Software Delivery
Configuring Software Delivery Schedule
Viewing Software Delivery Status
Viewing Software Uninstallation Report
Configuring Asset Management Module
Configuring Asset Category Using Form Builder
Configuring My Asset List Page
Asset Masters
Configuring Location And Store
Configuring Notifications and Templates
Configuring Allocation Form Template
Configuring Field Display Order on Fixed Asset List Page
Software
Configuring Software Baseline Profiles
Software Baseline Profile Mapping
Depreciation
Configuring Depreciation Formula
Configuring Depreciation Field Mapping
Configuring Custom Depreciation Formula
Mapping
Configuring Custom Hardware Variance
Configuring Application Control Messages
Configure Software and Executable Execution Type
Others
Configuring Asset Application Settings
Configuring Asset Scan Domain List
Configuring Local Password Management
Configuring E-mail Notifications
Configuring Asset Integration Details
Configuring Additional Discovery
Scheduling Asset Physical Verification
Adding Software Deployment Profile
Approval Matrix
Deactivation Approval Matrix
Configuring Deactivation Approval Matrix
You can configure the Asset Integration details to schedule data import from an external database server to the SUMMIT application.
To configure the server details:
- Select Asset > Configuration > Others > Asset Integration. The ASSET INTEGRATION page is displayed.
Figure: ASSET INTEGRATION page - Fill in the required fields under the DATABASE DETAILS section and the E-MAIL NOTIFICATION sections. For more information about the fields, see Field Description.
- Click SUBMIT to save the configuration details.
Field Description
The following table describes the fields on the ASSET INTEGRATION page:
Field | Description |
---|---|
DETAILS | |
DATABASE DETAILS | |
Tenant | Select the Tenant from the drop-down list for which you want to configure the SCCM/LANSWEEPER server details. |
Monitoring Source | Select the server details from the drop-down list. |
Integration Type | Select the type of external server from the drop-down list. You can select the integration type as SCCM or LANSWEEPER . |
Server name | Type the server name for the server that you selected in the Type field. |
Port | If available, type the port number for the server. |
Database Name | Type the SCCM/LANSWEEPER database server name. |
User Name | Type the user name for the database. |
Password | Type a password for the database. |
Re-enter Password | Type the same password again. |
Active | Select the check box to make the database status as Active. |
Authentication Type | Select the Authentication type as Windows Authentication or SQL Server Authentication. Windows Authentication is applicable only for SCCM option under the Integration Type. |
E-MAIL NOTIFICATION | |
Notification Type | Select the notification type from the drop-down list. You can select the notification type as On Error, On Success, or Error/Success. Based on the notification type that you select, the users are notified. |
To E-mail IDs | Type in the e-mail ids to which you want to send the notification e-mails. You can set more than one e-mail ids by separating them with semicolons (;). |
Enable Notification | Select the check box to send the e-mail notifications. |
The following table describes the selection of the Summit or Proxy server, time interval, and frequency to schedule the data synchronization jobs.
Server | Details of the Server |
---|---|
Summit Server |
|
Proxy Server |
|
ACTIONS
CHANGE HISTORY
Click the icon to view the details of the changes made by the Administrators on the ASSET INTEGRATION page. The CHANGE HISTORY pop-up page is displayed.
Figure: CHANGE HISTORY pop-up page
EXPORT TO EXCEL
Click the icon to export the history details to a Microsoft Excel sheet.
PRINT TABLE
Click the icon to print the history details.
JOB DETAILS
Click the icon to view scheduled job details for the selected integration type.
Figure: JOB DETAILS page
EXPORT TO EXCEL
Click the icon to export the history details to a Microsoft Excel sheet.
PRINT TABLE
Click the icon to print the history details.
Confluence Cloud Migration Alert: Please refer to known issues you may encounter in Confluence Cloud: https://eitdocs.atlassian.net/wiki/x/wDGwAQ