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3rd November 1999, 10:09 AM
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Changing the internal audit schedule
I have had conflicting responses to this question. Is there any requirment for either ISO 9001 or the QSR that the internal audit schedule be a controlled document? I find for various reasons that I have to change the dates (never moved up, always moved back) of several internal audits per year. Currently I initial and date on the schedule if I need to reschedule but if the schedule is controlled, I would need to initiate a change order each time and that could be a headache. comments?
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3rd November 1999, 02:40 PM
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An Early Cover
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We have a controlled form to be used for our Internal Audit schedule, with a second page that is used to explain why changes in the schedule take place. The intention is to reduce or eliminate changes in the schedule for insignificant reasons. Our procedures grants the Management Representative the authority to change the schedule as required, and only the Management Rep can change it. Perhaps you just need to change the way your procedures are written to allow you to do what is required.
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3rd November 1999, 04:36 PM
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Courtesy Access
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We did something similar...allow mgmt. rep. the authority. If the dept scheduled for audit requested the change, they needed to put it in writing w/ mgmt rep approval. Chnages initiated by the internal auditors were just initialed by mgmt. rep.
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3rd November 1999, 09:12 PM
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Involved in Discussions
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Whether or not you maintain the schedule as a controlled document will probably depend on how you have it set up originally and how the schedule is being used. You may need to communicate changes to the schedule to any persons who received copies of the original schedule; you can do this in controlled document form or by communication via memo or e-mail, keeping copies as evidence that you did so. If you are the principal user of the schedule and notify participants (assigned auditors and the area to be audited) of an impending audit, then you should not formalize the control of the schedule. However, as Tom pointed out you should revise your audit procedure to ensure that it defines what you need to do to meet your needs. Perhaps note that you are authorized to make changes to the schedule and that those affected will be notified of changes.
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2nd December 1999, 02:04 PM
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We had an outside source come in and perform an audit to help us get ready for our QS Registration. There was a finding on Internal Audits for not having the Audit Schedule under document control. My concern with this was everytime I had to revise it, the rev. level would have to change. My Management Rep said as long as all I was doing was revising the information & not the form it's self and had approval on it, we were covered. We received our registration with out a hitch. At least for now. It seems our registar is pretty inonsistant from one auditor to the next. But that's another story!
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2nd December 1999, 05:37 PM
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Returning to the Cove
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Let's think about the concept of document control. The idea is that all the people using the document have the upto date information. If they are filling out a form, then the layout and form fields are the important information, but in this case the important information is the audit schedule it's self. You do want every body to be operating to the same schedule don't you?
This is not a shot at you Jackie but at your Management Rep who should know better.
By the way "revision level" means just that, when the document is revised, you change the revision level, by definition.
The elements in ISO/QS 9K are all there for a reason. They are actually there to help your business, not to create hurdles for hurdles sake, nobody wins then. Think about the intent of the element, how you address this in your business and where it might be usefull in other areas. (Shoot me down if you think I'm wrong, I can handle it.)
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3rd December 1999, 08:38 AM
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I think in this case James I must disagree. The audit schedule that I refer to is not a circulated document. It resides in my audit files and no one else uses it. I inform department Managers by memo of upcoming audits as prompted by the schedule. It was written originally at the end of last year and in it I identified which departments would be audited during which months of the coming year. However, as with most plans, there were unforseen circumstances that required me to make changes to the schedule. My SOP for internal audits states that "Scheduled audits may be rescheduled if approved (signified by initialing of the schedule) by the Director of Q.A." In such instances, it should not be necessary for me to initiate a document change order and revise the document. The format of the schedule is a controlled document template in the way it is structured for two years out by month and department name. Are we in agreement now?
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3rd December 1999, 09:24 AM
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think about it..yes you need to have it under control, yes its a working document with updates, yes it needs to be public in most cases...so where does that leave you?
In your audit program procedures/documents say how you will control the schedule and who has access/authority to change. Typically the format is under doc control, the working info is what changes...how do you know when it was changed for instance, and by who...come up with something real. What they want to know is that the audits are planned....scheduled in advance..not "GEE think I'll audit this stuff this week...." AND that updates reflect reviews/CA etc. based on need. The revision control feature in word tables will do that nicely......
Typically I have a planned schedule by quarter, then update for assigned auditors, they schedule the dates and there's room for followup additions etc...and the closure details....
[This message has been edited by barb butrym (edited 03 December 1999).]
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