Select Query
Use this page to select a reconciliation query to reconcile all accounts or selected accounts.
Query
- None
- Includes all accounts in the reconciliation.
- Use query from existing schedule
- Select a query for the reconciliation from an existing schedule.
The Reconciliation Schedule table displays
the reconciliation schedules for a service. To sort the table by a specific column, click the arrow in the column heading. The table contains these columns:
- Select
- Select the schedule that you want to use.
- Name
- Identifies the name of a schedule.
- Schedule
- Provides interval and date information about a scheduled reconciliation.
- Description
- Provides additional information about the schedule.
- Define query
- Specify an LDAP search filter for account attributes to include
in a query.
- Reconcile supporting data only
- Indicates whether to reconcile supporting data from the managed resource instead of the actual accounts on the resource. For example, supporting data might be a list of groups defined on the resource.
- Reconcile accounts that match this filter
- Indicates valid LDAP search filter statements that select a list of accounts to reconcile.
- Available attributes
- Identifies attributes that are not processed during reconciliation.
- Selected attributes
- Identifies attributes that are included in processing during reconciliation.
You can use these buttons:
- Add
- Click to add an attribute to the query.
- Remove
- Click to remove an attribute from the query.
Click Submit to submit your request.