The Out-of-band Inventory Reconciliation page lets you define the dates and times when the inventory information from devices that are discovered by out-of-band means must be reconciled.
You can choose to immediately start the reconciliation process, and you can also select a schedule for future reconciliations. To immediately start the reconciliation process, click .
If you do not want to reconcile the information, select in the field.
The default schedule (recurring) causes the information to be reconciled at 1.00 a.m. every day. To edit the default recurring schedule, select in the field and fill in the fields. For more information on recurring schedules, see Recurring.
To set a date-specific schedule, select in the field and fill in the fields. For more information on date-specific schedules, see Date Specific.
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