Bridging the Gap Between Compliance and Security
From Sarbanes-Oxley to HIPAA and from PCI to NERC, IT security and compliance teams have both faced the onslaught of regulatory oversight in the last decade. Security practitioners claim regulations lack specificity and set a low bar by calling for periodic audits of lagging security indicators. From the standpoint of regulators and compliance teams, audits enable transparency and a degree of ambiguity is key to enabling flexibility in risk management based on differences across organizations. Regardless of the perspective, it is undeniable that the cost of audits continues to spiral while cyberthreats also continue to exact a rising toll. The divergence between the objectives and outcomes of security and compliance has created a divide which begs for alignment.View this webinar and learn how today’s multi-regulated organizations can successfully bridge that long standing gap and:
• Transition from reactive to proactive security and compliance
• Overcome organization and industry specific barriers to effective monitoring
• Gain continuous visibility into security and compliance risk
• Contain the cost of audits and simultaneously protect against security threats
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