Adversaries may modify the configuration settings of a domain or identity tenant to evade defenses and/or escalate privileges in centrally managed environments. Such services provide a centralized means of managing identity resources such as devices and accounts, and often include configuration settings that may apply between domains or tenants such as trust relationships, identity syncing, or identity federation.
Modifications to domain or tenant settings may include altering domain Group Policy Objects (GPOs) in Microsoft Active Directory (AD) or changing trust settings for domains, including federation trusts relationships between domains or tenants.
With sufficient permissions, adversaries can modify domain or tenant policy settings. Since configuration settings for these services apply to a large number of identity resources, there are a great number of potential attacks malicious outcomes that can stem from this abuse. Examples of such abuse include:
Adversaries may temporarily modify domain or tenant policy, carry out a malicious action(s), and then revert the change to remove suspicious indicators.
Detection of Domain or Tenant Policy Modifications via AD and Identity Provider
Audit: Auditing is the process of recording activity and systematically reviewing and analyzing the activity and system configurations. The primary purpose of auditing is to detect anomalies and identify potential threats or weaknesses in the environment. Proper auditing configurations can also help to meet compliance requirements. The process of auditing encompasses regular analysis of user behaviors and system logs in support of proactive security measures.
Auditing is applicable to all systems used within an organization, from the front door of a building to accessing a file on a fileserver. It is considered more critical for regulated industries such as, healthcare, finance and government where compliance requirements demand stringent tracking of user and system activates.This mitigation can be implemented through the following measures:
System Audit:
Permission Audits:
Software Audits:
Configuration Audits:
Network Audits:
Privileged Account Management: Privileged Account Management focuses on implementing policies, controls, and tools to securely manage privileged accounts (e.g., SYSTEM, root, or administrative accounts). This includes restricting access, limiting the scope of permissions, monitoring privileged account usage, and ensuring accountability through logging and auditing.This mitigation can be implemented through the following measures:
Account Permissions and Roles:
Credential Security:
Multi-Factor Authentication (MFA):
Privileged Access Management (PAM):
Auditing and Monitoring:
Just-In-Time Access:
Tools for Implementation
Privileged Access Management (PAM):
Credential Management:
Multi-Factor Authentication:
Linux Privilege Management:
Just-In-Time Access:
User Account Management: User Account Management involves implementing and enforcing policies for the lifecycle of user accounts, including creation, modification, and deactivation. Proper account management reduces the attack surface by limiting unauthorized access, managing account privileges, and ensuring accounts are used according to organizational policies. This mitigation can be implemented through the following measures:
Enforcing the Principle of Least Privilege
Implementing Strong Password Policies
Managing Dormant and Orphaned Accounts
Account Lockout Policies
Multi-Factor Authentication (MFA) for High-Risk Accounts
Restricting Interactive Logins
Tools for Implementation
Built-in Tools:
Identity and Access Management (IAM) Tools:
Privileged Account Management (PAM):