A straightforward, step-by-step guide to obtaining your management system certification
The actual process of certification is a relatively straightforward matter. Indeed, most of the certification schemes follow the same basic procedures as outlined below.
Applicant will be asked to provide the following information for the purpose of application review and generating a quotation for certification services:
On receipt of above information, a review shall be conducted based on the application and supplementary information for certification submitted by client. Following the review of the application, CCPL shall either accept or decline an application for certification.
As a result of successful review of the application and where client application is accepted, an audit program for the full certification cycle shall be developed and certification quotation is submitted to client.
CCPL may refuse the application of Client in the following cases:
Responsibility of Refusing of Application is Technical Manager/Technical Director
Based upon the information provided, the technical manager or subject expert reviews the scopes available with CCPL and prepares the quotation, which will be sent along with the application for registration.
Once the Application for registration received & reviewed, which confirms the exact way client company name and site address will appear along with the description of scope (products or services) for which registration is sought. The certification audit contract will be made and sent to the client.
Once the certification audit contract received, the technical manager plans the audit on the basis on audit time allocation and audit assignment, which is defined as below and raise the audit plan in duplicate, which should narrate the requirements of the relevant management system standard; size and complexity, name, address and scope of the client, date of audit and the constitution of the audit team and send it to the auditors before fifteen working days. After getting the consent from auditor, audit assignment register will be filled and the statement of confidentiality and no conflict of interest will be obtained. The Audit plan shall be sent to the client there after. The operational manager will confirm the date then about the auditor & technical expert detail with the client.
Audit plan shall reach the client before ten working days of audit. The operational executive shall confirm the dates of audit and the constitution of the auditors and mark the same on the office copy of audit plan.
The stage one audit is performed by lead auditor at client’s premises, to audit the client’s management system documentation. To evaluate the client’s location and site-specific conditions and to undertake discussions with the client’s personnel to determine the preparedness for the stage 2 audit. To evaluate if the internal audits and management review are being planned and performed, and that the level of implementation of the quality management system substantiates that the client is ready for the stage 2 audit.
After the stage one audit the auditor shall submit his finding & advice by written report.
Stage two audits is an assessment audit, which is carried out after phase one audit’s inadequacies have been removed and the organization is all set to demonstrate the compliance to the selected international standard. Auditors will plan and conduct the assessment audit.
The technical committee is appointed from the auditors and experts working with CCPL to consider specific recommendations made in relation to granting, refusing, maintaining of certification, expanding or reducing the scope of certification, renewing, suspending or restoring following suspension, or withdrawing of certification. Members of the technical committee will be independent from the auditing activity. The technical committee will be made up of three members, whose technical expertise will cover the certification scope being considered. The technical committee will be appointed by the manager technical. The technical committee is impartial & free from commercial or financial pressure.
Surveillance audits are carried out bi-annually/annually to ensure that the certified management system is in compliance and demonstrates continual improvement in terms of Systems, products and resource management.
In the event that Client is not complying with following, CCPL may suspend Client’s registration.
Upon client’s request for extending scope CCPL shall review the availability of scope and competence level and advice for audit considering the auditor time. The audit time may be extended after seeing the actual process of the extended part of scope. The certificate will be re-issued incorporating the new scope. This type of scope extension may be clubbed with surveillance audit or it can be carried out separately through Special Audit.
CCPL shall restore the certification as per the following:
Responsibility for Renewing of Client is Technical Manager/Director Technical
The CCPL shall reduce the client’s scope of certification to exclude the parts not meeting the requirements. When the client has persistently or seriously failed to meet the certification requirement of those parts of the scope of certification. Any such reduction shall be in line with the requirements of the standard used for certification. CCPL decision on reducing the scope of certification shall be communicated to the client, in writing, through letter. The certificate will be re-issued after reduction of scope.
In the event that Client is not complying with following, CCPL may withdraw Client’s registration.
The client name will be listed in cancel list of CCPL website, www.carecertification.com