{"id":386279,"date":"2024-10-20T03:34:39","date_gmt":"2024-10-20T03:34:39","guid":{"rendered":"https:\/\/pdfstandards.shop\/product\/uncategorized\/bsi-pd-cen-iso-ts-234062021\/"},"modified":"2024-10-26T06:31:27","modified_gmt":"2024-10-26T06:31:27","slug":"bsi-pd-cen-iso-ts-234062021","status":"publish","type":"product","link":"https:\/\/pdfstandards.shop\/product\/publishers\/bsi\/bsi-pd-cen-iso-ts-234062021\/","title":{"rendered":"BSI PD CEN ISO\/TS 23406:2021"},"content":{"rendered":"
PDF Pages<\/th>\n | PDF Title<\/th>\n<\/tr>\n | ||||||
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2<\/td>\n | National foreword <\/td>\n<\/tr>\n | ||||||
4<\/td>\n | European foreword <\/td>\n<\/tr>\n | ||||||
7<\/td>\n | Foreword <\/td>\n<\/tr>\n | ||||||
8<\/td>\n | Introduction <\/td>\n<\/tr>\n | ||||||
9<\/td>\n | 1 Scope 2 Normative references 3 Terms and definitions 4 Principles 5 General requirements 5.1 Legal and contractual matters 5.2 Management of impartiality <\/td>\n<\/tr>\n | ||||||
10<\/td>\n | 5.3 Liability and financing 6 Structural requirements 6.1 Organizational Structure and top management 6.2 Operational control 7 Resource requirements 7.1 Competence of personnel 7.1.1 General considerations 7.1.2 Determination of competence criteria 7.1.3 Evaluation processes <\/td>\n<\/tr>\n | ||||||
11<\/td>\n | 7.1.4 Other considerations 7.2 Personnel involved in the certification activities 7.3 Use of individual external auditors and external technical advisors 7.4 Personnel records 7.5 Outsourcing 8 Information requirements 8.1 Public information 8.2 Certification documents 8.3 Reference to certification and marks 8.4 Confidentiality <\/td>\n<\/tr>\n | ||||||
12<\/td>\n | 8.5 Information exchange between a certification body and its client 9 Process requirements 9.1 Pre-certification activities 9.1.1 Application 9.1.2 Application review 9.1.3 Audit programme 9.1.4 Determining audit time <\/td>\n<\/tr>\n | ||||||
13<\/td>\n | 9.1.5 Multisite sampling <\/td>\n<\/tr>\n | ||||||
14<\/td>\n | 9.1.6 Multiple management systems standards 9.2 Planning audits 9.3 Initial certification 9.4 Conducting audits <\/td>\n<\/tr>\n | ||||||
15<\/td>\n | 9.5 Certification decision 9.6 Maintaining certification 9.7 Appeals 9.8 Complaints 9.9 Client records <\/td>\n<\/tr>\n | ||||||
16<\/td>\n | 10 Management system requirements for certification bodies <\/td>\n<\/tr>\n | ||||||
17<\/td>\n | Annex A (normative) Competence criteria <\/td>\n<\/tr>\n | ||||||
22<\/td>\n | Annex B (informative) Summary of audit results <\/td>\n<\/tr>\n | ||||||
23<\/td>\n | Annex C (normative) Eligibility criteria for multi-site sampling <\/td>\n<\/tr>\n | ||||||
24<\/td>\n | Bibliography <\/td>\n<\/tr>\n<\/table>\n","protected":false},"excerpt":{"rendered":" Nuclear sector. Requirements for bodies providing audit and certification of quality management systems for organizations supplying products and services important to nuclear safety (ITNS)<\/b><\/p>\n |