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Veritas NetBackup™ OpsCenter Administrator's Guide
Last Published:
2021-06-07
Product(s):
NetBackup (9.1)
- Overview of NetBackup OpsCenter
- About OpsCenter
- About OpsCenter components
- About starting the OpsCenter console
- About OpsCenter console components
- About the View pane
- Sizing the Content pane
- About using tables
- Installing OpsCenter
- About planning an OpsCenter installation
- Installing OpsCenter on Windows and UNIX
- About OpsCenter upgrade on Windows and UNIX
- About post-installation tasks
- About uninstalling OpsCenter on Windows and UNIX
- About clustering OpsCenter
- Getting started with OpsCenter
- Administering OpsCenter
- About the services and processes used by OpsCenter
- OpsCenter server scripts on Windows and UNIX
- About OpsCenter database administration
- About backup and restore of OpsCenter and OpsCenter Analytics
- About communication ports and firewall considerations in OpsCenter
- About OpsCenter log files
- Understanding OpsCenter settings
- Setting user preferences
- About managing licenses
- Configuring the data purge period on the OpsCenter Server
- Configuring SMTP server settings for OpsCenter
- Adding host aliases in OpsCenter
- Merging objects (hosts) in OpsCenter
- Modifying tape library information in OpsCenter
- Copying a user profile in OpsCenter
- Setting report export location in OpsCenter
- About managing Object Types in OpsCenter
- About managing OpsCenter users
- About adding AD / LDAP user groups in OpsCenter
- About managing recipients in OpsCenter
- About managing cost analysis and chargeback for OpsCenter Analytics
- Understanding data collection
- About configuring data collection for NetBackup
- About the Breakup Jobs option
- Viewing primary server details and data collection status
- About configuring data collection for NetBackup
- Managing OpsCenter views
- About OpsCenter views
- About managing OpsCenter views
- Managing static views
- Managing dynamic views
- View filters in OpsCenter
- Monitoring NetBackup using OpsCenter
- Controlling the scope of Monitor views
- About monitoring NetBackup using the Overview tab
- About monitoring NetBackup jobs
- Monitor > Services view
- About monitoring Audit Trails
- Managing NetBackup using OpsCenter
- About managing alert policies
- About creating (or changing) an alert policy
- About managing NetBackup storage
- About managing NetBackup devices
- About Operational Restore and Guided Recovery operations
- About Operational Restores from OpsCenter
- About Guided Recovery
- Troubleshooting Guided Recovery
- About managing NetBackup Hosts
- About managing NetBackup Deployment Analysis
- Data compilation for the Capacity License report
- Generating a Capacity Licensing report
- Supporting Replication Director in OpsCenter
- Understanding and configuring OpsCenter alerts
- About using SNMP
- About using SNMP
- Reporting in OpsCenter
- About OpsCenter reports
- Report Templates in OpsCenter
- About managing reports in OpsCenter
- Creating a custom report in OpsCenter
- About managing My Reports
- About managing My Dashboard
- About managing reports folders in OpsCenter
- About managing report schedules in OpsCenter
- About managing time schedules in OpsCenter
- Appendix A. Attributes of NetBackup data
- Appendix B. Man pages for CLIs
- Appendix C. Creating views using CSV, TSV, and XML files
- Appendix D. Error messages in OpsCenter
Reconciling NetBackup jobs
You can use the
option to prevent the jobs that failed due to reasons like user terminating a job, host cannot be reached etc. from being billed. By using the option and selecting a reason, you can let your service provider know not to bill you for these jobs as these jobs failed due to specific issues at your end.Note:
The
option is disabled in the unlicensed version (OpsCenter).Before you perform this task, manually refresh your Web browser to obtain an updated view for all jobs
To reconcile NetBackup jobs
- In the OpsCenter console, select Monitor > Jobs.
- Select List View or Hierarchical View from the drop-down list. The drop-down list is located at the top-right corner of the view.
- Select a job from the table. You can select one or more jobs.
- From the More drop-down list, select Reconcile.
- In the Reconcile Jobs dialog box, select a reason for reconciling the job from the drop-down list.
Note that you can select Un-Reconcile from the drop-down list to undo a reconciliation.
- Click OK.