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Regulatory compliance, whether Sarbanes-Oxley, GLBA,NERC/FERC, SAS70, PCI or other requirements, requires that your institution protect sensitive information at all times and guard against unauthorized access to that data. The key to complying with these regulations is to be able to monitor and enforce security policies at all times; especially with regards to critical system access and change management.

PCI, SOX, HIPAA, and other mandates are narrowing the gap between security and compliance. The PCI Data Security Standard 1.1 released in September 2006 requires businesses to implement specific tools to protect and control sensitive data. Compliance is becoming less a matter of passive auditing and reporting, and more an exercise in data security.

Think about the number of regulatory requirements that affect your business. Chances are you are expected to comply with more than one, and each mandate it its own set of complicated, costly, and time consuming demands.Addressing these multiple compliance initiatives strains IT resources and creates redundancies in business processes within an organization. Furthermore, the high degree of specialization among security and compliance vendors exacerbates the challenge of finding a solution that works across multiple mandates.

1Pointe has a comprehensive understanding of the auditing process.  We bring the required certifications and hundreds of templates to the deliverable.  We work quickly, and can advise you on issues pertaining to risk and liability.

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