Use the Reconciliation Tasks application to create a reconciliation
task for the CI-to-asset link.
Before you begin
Before you create the reconciliation task for the CI-to-asset
link, create the link rule that specifies how to link the CI to the
asset. In this reconciliation task, you specify the link rule that
you created for the reconciliation.
About this task
Complete the following steps to create a reconciliation
task for the CI-to-Asset link process.
Procedure
- Click .
- On the toolbar in the Reconciliation Tasks application,
click New Reconciliation Task.
- In the Reconciliation Task field,
type the name that you want to assign to the reconciliation task,
for example ASSET2CI_RECONTASK. This name must be unique.
- Optional: In the Description field,
type a brief description of the link rule.
- In the Type of Reconciliation table window,
in the Data Set 1 field, click Select
Value and select CI.
- In the Data Set 2 field, click Select
Value and select ASSET.
- In the Link Rules table window, click Select
Link Rule and, from the Select Link Rule window,
select the link rule that you created for linking CIs to IT assets.
- To schedule execution of the reconciliation task, complete
the following steps:
- In the Schedule field, click Set
Schedule.
- In the Select Value window, set
the schedule for executing the reconciliation task, and click OK.
- Select the Activate/Deactivate Reconciliation
Task action. The application selects the Active field.
The reconciliation task is executed on the schedule defined in the
task. If necessary, you can deactivate the schedule using the same
menu option.
- Click Save Reconciliation Task.
What to do next
You can now create the relationship between the CI table
in the database and the reconciliation link.