---
sourceDocument: Australia Asset Management
sourceDocumentLink: https://servicenow-prod.fluidtopics.net/r/it-asset-management

 Release :

    - australia

ft:locale :

    - en-US

ft:publication_title :

    - Australia Asset Management

ft:clusterId :

    - itam

bundleId :

    - itam

workflow :

    - Technology


---

# Enable IBM reconciliation for specific domains

# Enable IBM reconciliation for specific domains {#ariaid-title1}

* Release version: Australia
* 
* Updated March 12, 2026
* 
* ![](https://www.servicenow.com/docs/portal-asset/ico-clock) 1 minute to read

If you are using domain separation for the integration between the Software Asset Management publisher pack for IBM and an Authorized SAM Provider (ASP), enable IBM reconciliation only for specific domains.

## Before you begin

Role required: asset or domain_admin

## Procedure

1. Open the Domain Asset Process Settings \[alm_domain_asset_process_setting\] table by navigating to Allalm_domain_asset_process_setting_list.do.
2. Double-click the Run asset process field for the domain that you want to enable reconciliation for.
3. When prompted, set the value to true and then select the Save icon ![]().
4. Repeat steps 2 and 3 for each domain that you want to enable reconciliation for.  
   Important:  
   If you have both parent and child domains, you can enable reconciliation for either the parent domain or child domain. You cannot enable reconciliation for both parent and child domains.

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