الرئيسية من نحن Certification Process
PR-04 · ISO/IEC 17021-1 Compliant

Our Certification Procedure

A transparent, structured process from initial application through certification decision, surveillance, and recertification — fully aligned with international accreditation requirements.

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Pre-Certification

Application, review, audit programme planning & formal agreement

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Initial Audit

Two-stage audit (Stage 1 + Stage 2) with independent review

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Certification Decision

Impartial decision by personnel not involved in the audit

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Ongoing Maintenance

Annual surveillance + 3-year recertification cycle

1

Phase One

Pre-Certification Activities

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Application Submission

The client submits a completed application form according to the applicable standard — by email, online portal, or in person.

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Information Exchange

TUV United exchanges information with the client on the certification process, applicable standards, accreditation requirements, and scope limitations.

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Application Review

A competent reviewer ensures completeness and compliance. The application is either accepted or declined, with documented reasons for any declined application.

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Audit Programme Development

TUV United develops a full certification-cycle audit programme covering: a two-stage initial audit, surveillance audits in years 1 and 2, and a recertification audit in year 3.

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Formal Proposal

A formal proposal (scope, applicable standards, process, financial terms) is issued and, upon acceptance, a Certification Agreement is signed.

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Audit Time Determination

Required audit time is calculated per PR-05 and documented before any audit is planned.

2

Phase Two

Stage 1 Audit — Documentation Review

A competent audit team is selected and appointed based on the client's industry, management system, and audit scope.

The Stage 1 audit plan is prepared and communicated to the client at least 48 hours in advance.

The audit evaluates the client's management system documentation and readiness for Stage 2.

Findings are recorded in the Stage 1 Audit Report and shared with the client, including any concerns that could become nonconformities in Stage 2.

If areas of concern are identified, the client must address them before Stage 2 begins. If significant changes occur, Stage 1 may need to be partially or fully repeated.

3

Phase Three

Stage 2 Audit — On-Site Assessment

An independent, competent audit team is appointed for Stage 2 (may differ from Stage 1 team).

The on-site audit plan is sent to the client at least 48 hours before the audit.

The Stage 2 audit evaluates the implementation and effectiveness of the client's management system on-site.

Nonconformities and areas for improvement are documented and communicated to the client.

Audit conclusions are one of: Recommended (with any minor NC plans accepted), Not Recommended until major NCs are resolved, or Not Recommended — Re-audit Required.

If a major nonconformity cannot be verified within 6 months of Stage 2, a new Stage 2 audit is required before certification is granted.

4

Phase Four

Certification Decision

Before granting certification, TUV United compiles:

A complete audit report with detailed assessment findings

Summary of all identified nonconformities and evidence of corrective actions

Confirmation that audit objectives have been met

A clear recommendation from the audit team

Separation of Roles

The certification decision is made by personnel who were not involved in conducting the audit. No auditor participates in the final decision for the same client, ensuring full impartiality.

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Surveillance Audits

Conducted at least once per calendar year. The first surveillance audit following initial certification must be conducted within 12 months of the certification decision date.

Confirm audit programme & notify client

Appoint competent, impartial audit team

On-site audit to assess ongoing compliance

Review corrective actions if needed

Independent review if major NCs arise

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Recertification (Year 3)

A full on-site recertification audit is conducted before the certificate expires. When completed successfully prior to the expiry date, the new expiry date is based on the existing one.

Confirm scope and communicate to client

Appoint qualified, impartial audit team

Full on-site recertification audit

Resolve any findings before expiry

Impartial recertification decision & updated certificate

3-Year Certification Cycle

The first cycle begins with the certification decision. Subsequent cycles begin with the recertification decision.

Year 1
Initial Certification + 1st Surveillance Audit
Year 2
2nd Surveillance Audit
Year 3
Recertification Audit before expiry
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Special Audit Types

🔭 Scope Expansion Audits

Conducted when a certified client applies to extend the scope of their existing certification. Minor extensions may be handled during a scheduled surveillance audit.

⚡ Short-Notice Audits

May be conducted to investigate complaints, follow up on suspended clients, or respond to significant changes affecting the management system.