The document provides procedures for conducting internal audits of an environmental management system (EMS) to evaluate conformance with ISO 14001 standards. It outlines responsibilities for planning audits, performing audits, documenting findings, and ensuring corrective actions. The procedures describe assembling an audit team, developing an audit plan and schedule, conducting the audit, reporting findings, and following up to verify effective corrective actions. The goal is to verify that the EMS is properly implemented and maintained and conforms to all applicable requirements.
The document provides procedures for conducting internal audits of an environmental management system (EMS) to evaluate conformance with ISO 14001 standards. It outlines responsibilities for planning audits, performing audits, documenting findings, and ensuring corrective actions. The procedures describe assembling an audit team, developing an audit plan and schedule, conducting the audit, reporting findings, and following up to verify effective corrective actions. The goal is to verify that the EMS is properly implemented and maintained and conforms to all applicable requirements.
The document provides procedures for conducting internal audits of an environmental management system (EMS) to evaluate conformance with ISO 14001 standards. It outlines responsibilities for planning audits, performing audits, documenting findings, and ensuring corrective actions. The procedures describe assembling an audit team, developing an audit plan and schedule, conducting the audit, reporting findings, and following up to verify effective corrective actions. The goal is to verify that the EMS is properly implemented and maintained and conforms to all applicable requirements.
The document provides procedures for conducting internal audits of an environmental management system (EMS) to evaluate conformance with ISO 14001 standards. It outlines responsibilities for planning audits, performing audits, documenting findings, and ensuring corrective actions. The procedures describe assembling an audit team, developing an audit plan and schedule, conducting the audit, reporting findings, and following up to verify effective corrective actions. The goal is to verify that the EMS is properly implemented and maintained and conforms to all applicable requirements.
City of Eugene WWTP Internal EMS Audit Procedure City of San Diego WWC Internal EMS Audit and Compliance Verification Procedure
Procedure Page 1 of 3 Document No.: WW-00018R4 Internal Audit Last Revised: 12/16/02 Controlled Document CITY OF EUGENE WASTEWATER DIVISION Procedure
Subject: Internal Audit Document No: WW-00018R4 Prepared By: Roland Hoskins
Date Prepared: 11/7/00 Revision Date: 12/16/02 Approved By: Management Team
Date Approved: 12/16/02 Next Review Date: 1/1/04
Purpose
The purpose of this procedure is to document the process for performing annual internal audit(s) of the Wastewater Division EMS to determine the conformance or nonconformance and identify opportunities for improvement.
Scope
The Internal Audit Procedure applies to all internal EMS audits of Divisions EMS performed by trained personnel. The audits may cover all activities and processes comprising the EMS elements, including but not limited to the ISO 14001 Standard.
All specific safety requirements will be included or referred to in specific work instructions.
Procedure (Include reporting requirements and precautionary steps in this section)
Accountablity: Responsibility:
Division Director
Initiate audits when necessary. The reasons to initiate an audit may include, but are not limited to:
Verify that the EMS is implemented and is maintained to meet specified requirements Evaluate the EMS against the ISO 14001 Standard.
Lead Auditors Provide lead direction for all phases of the audit.
Procedure Page 2 of 3 Document No.: WW-00018R4 Internal Audit Last Revised: 12/16/02 Controlled Document Division Director Lead Auditors
Assist EMS Manager in assigning the audit team members.
EMS Manager Assign audit team.
EMS Manager Lead Auditors
In November of each year, develop the auditing schedule for the next year. This schedule will include a complete system audit every three years.
Division Director Approve audit schedule.
EMS Manager Lead Auditors
Develop the audit scope.
Division Director Approve audit scope.
Lead Auditors Schedule and conduct audit team meetings (including opening, closing and out-briefing meetings).
Facilitate the audit team in preparing audit plan.
Review audit plan, scope, and relevant procedures to prepare for the audit.
Audit Team Prepare for assigned audit using the blank audit forms.
Contact auditee with at least one week before scheduled audit to develop interview schedule and obtain copies of the procedures and information relevant to the scope of the audit.
Supervisor Facilitate audit preparation and assign audit guide if necessary.
Division Director Initiate the audit by opening meeting or e-mail notice that includes the audit scope.
Division Staff as assigned Be available to assist the audit teams during the audit.
Audit Team Determine EMS system conformance to the audit criteria by collecting analyzing and documenting objective evidence through interviews, examination of documents, and observations of activities and conditions in the areas of concern.
Record Audit findings of nonconformance(s) based on audit conclusions, individually or as like-groups, on CAR forms.
Lead Auditor Prepare final audit report and internal audit findings information and route to EMS Manager.
Compile all of the auditors notes and evidence related to the audit and route to Document control staff.
EMS Manager Initiate non-conformance correction action process if necessary.
Update audit status log.
Lead Auditors Prepare and assign audit teams to conduct any follow up audits if necessary.
Conduct follow-up audits. Complete and approve audit documentation and route to EMS Manager.
Procedure Page 3 of 3 Document No.: WW-00018R4 Internal Audit Last Revised: 12/16/02 Controlled Document EMS Manager Approve follow up audit reports.
Introduce participants to encourage active and cooperative participation in the audit process. Introduce any observers or external participants and define their role. Review the audit scope and objectives. Review the audit plan. This may include a timetable and other relevant arrangements with the auditee, such as closing meeting time and interim meetings between the team and the auditees representatives. Summarize the activities of conducting the audit and review the resources needed to conduct the audit. Confirm the availability of the staff to needed by the audit team. Identify formal communication links between the audit team and the persons responsible for the areas being audited. Confirm any matters relating to confidentiality. Review the relevant safety requirements of the areas the audit team will be auditing.
References
ISO Standard 4.5.4, Environmental Management System Audit Table 3: Summary of Applicable Federal, State, and Local Laws, Regulations, and Other Requirements Internal Audit Report Check List Internal Audit Questions and Trail Form Corrective Action Request (CAR) Form Final Internal Audit Report Form
DD-SEOP 4.5.4 June 2003 EMS Audit Rev 1 MWWD WWC Division 1 DD-SEOP 4.5.4 ENVIRONMENTAL MANAGEMENT SYSTEM AUDITS AND COMPLIANCE VERIFICATION 1.0 PURPOSE AND SCOPE This procedure establishes minimum requirements for planning, performing, and documenting periodic internal audits of the ISO 14001-based environmental management system (EMS) established for the City of San Diegos Metropolitan Wastewater Department (MWWD), Wastewater Collections (WWC) Division. 2.0 DEFINITIONS 2.1 EMS Audit An EMS audit is defined as a planned and documented investigation performed in accordance with written procedures or checklists for the purpose of verifying, by examination and evaluation of objective evidence, that applicable elements of an ISO 14001-based EMS have been developed, documented, and effectively implemented in accordance with specified requirements. 2.2 Lead EMS Auditor A Lead EMS Auditor is a qualified and trained individual who is authorized to plan, organize, and direct EMS Audits of WWC Division section and activities; to report findings and observations; and to evaluate the adequacy of corrective and preventive action. At a minimum, WWC Division Lead EMS Auditors shall have received ISO 14001 internal EMS Auditor training and have participated in an internal audit, as an auditor. 2.3 EMS Auditor An EMS Auditor is defined as a qualified and trained individual who is authorized to perform specific EMS Audit functions under the direction of a Lead EMS Auditor. At a minimum, each auditor must attend a documented training session conducted by the Lead EMS Auditor that presents the detailed requirements of this procedure and discusses their roles in the planned audit. 2.4 EMS Audit Observer An EMS Audit Observer is an EMS audit team member assigned to observe audit activities under the direction of the Lead EMS Auditor. At the Lead EMS Auditor's discretion, technical observers may be requested to perform specific audit functions in relation to their area of expertise. At a minimum, each observer must attend a documented training session conducted by the Lead Auditor that presents the detailed requirements of this procedure and discusses their roles in the planned audit.
DD-SEOP 4.5.4 June 2003 EMS Audit Rev 1 MWWD WWC Division 2 2.5 Finding A finding is defined as a deficiency or lack of compliance with any element of an EMS. All findings must be formally resolved to assure effective correction of the observed condition and the adoption of system improvements or preventive measures to reduce or preclude the likelihood of recurrence. 3.0 RESPONSIBILITIES 3.1 Environmental Management Representative The Environmental Management Representative (EMR) is responsible for establishing audit schedules and for designation or selection of Lead EMS Auditors who are independent of the day-to-day management of the plant functions to be audited. The EMR shall also review and approve EMS audit plans and reports. 3.2 Lead EMS Auditor The Lead EMS Auditor is responsible to the EMR for the organization, planning, and direction of EMS audits, as well as the selection, training, and supervision of the audit team. The Lead EMS Auditor prepares audit plans and reports, and is responsible for evaluating and recommending any required corrective and preventive action responses resulting from audit findings. 3.3 EMS Auditors or Observers Auditors are responsible for assisting in audit preparation, conducting audit investigations, and reporting results in compliance with this procedure, under the direction of the Lead EMS Auditor. When requested, audit observers shall assist in audit preparation and in conducting audit activities in areas in which they have specific expertise. 3.4 Section Managers Section Managers of audited section or group shall provide time, work space, and personnel as necessary to support the performance of EMS audits, and are responsible for supervising the prompt and effective resolution of any audit findings. 4.0 PROCEDURE The audit process is described in the following steps, and is summarized in the flowchart presented in Figure 1: 4.1 Audit Scheduling: EMS Audits shall be conducted at least annually. Audit frequency may be increased at the discretion of the EMR or when specifically requested by upper management. 4.2 Audit Notification: The Lead EMS Auditor shall notify the managers or section heads of the audited organization at least ten days prior to the projected audit date. The
DD-SEOP 4.5.4 June 2003 EMS Audit Rev 1 MWWD WWC Division 3 notification shall set the date, time, location, and method of the opening meeting, and shall request that appropriate section personnel participate. Audit notification, opening and closing meeting requirements may be met via e-mail communication. 4.3 Audit Plan: The Lead EMS Auditor shall prepare an audit plan. At a minimum, the audit plan shall include the following: the audit number (consecutive, by calendar year); a statement of the audit objectives; an identification of the specific section areas being audited; a discussion of any special emphasis or focus; references to appropriate plans, procedures, or requirements documents; the date(s) of the audit; and an identification of the audit team and the members assigned roles. Records of previous audits and corrective and preventive action requests for the audited organization shall be reviewed prior to preparation of the audit plan. Identification of trends or repeated problems identified during the review shall be reflected in the scope of the audit, as appropriate. Any areas of special emphasis shall also be noted in the audit plan. Audit team selection shall be based on consideration of the particular areas of emphasis for the audit and the qualifications and capabilities of the prospective team members. Audit team members should be sufficiently independent of the day-to-day management of the audit areas that they are responsible for so that the potential for a conflict of interest is minimized. Completed audit plans shall be submitted to the EMR and affected section managers for review and comment prior to the audit. 4.4 Audit Checklist Preparation: The Lead EMS Auditor shall prepare or direct the preparation of an audit checklist based on the elements of the ISO 14001 standard. EMS auditors or observers may be assigned the preparation of specific checklist sections, especially in areas for which they will assume auditing responsibilities. Checklist content shall be consistent with the scope of the audit presented in the Audit Plan. Copies of the checklist, the audit plan, and any required reference specifications, procedures, or plans shall be distributed to the audit team prior to the audit. The Lead EMS Auditor shall brief the audit team on the general scope of the audit and the details of the audit plan, and shall discuss audit checklist assignments prior to the pre-audit opening meeting. 4.5 Opening Meeting: The pre-audit opening meeting shall be conducted by the Lead EMS Auditor, and shall be attended by the audit team members and appropriate representatives of the audited section. Participation shall be documented. The scope of the audit and duties of the auditors or any technical observers shall be briefly presented. Questions from the audited organization shall be answered, proper lines of communication established, and a time set for the closeout meeting. These requirements may be met via e-mail communications.
DD-SEOP 4.5.4 June 2003 EMS Audit Rev 1 MWWD WWC Division 4 4.6 Conducting the Audit: Each auditor shall proceed with the investigations required by their assigned portion of the checklist. General guidance on auditing methods is provided in Attachment 1 of this procedure. Auditing methods may include records review, interviews with individual WWC Division staff members, and/or direct observation of plant activities. The audit team shall meet and report on audit progress as directed by the Lead EMS Auditor. Observed conditions that require immediate corrective action shall be promptly reported to the management of the audited group or organization. Demands on resources and time may not be increased beyond the level presented in the opening meeting without first discussing and obtaining approval of such requests from the affected section manager. When the checklist items have been completed, the audit team shall meet and present their potential findings to the Lead EMS Auditor. The Lead EMS Auditor shall review the auditors' input, obtain additional clarification where required, and prepare or direct the preparation of a draft list of potential findings. 4.7 Closing Meeting: A draft list of potential findings and observations shall be presented to representatives of the audited organization in a brief post-audit closing meeting. Participation shall be documented. Discussion shall generally be limited to the presentation of findings and the clarification of any misunderstandings. These requirements may be met via E-Mail communications. 4.8 Audit Report Preparation: After the post-audit meeting, the auditors shall prepare final copies of their completed checklist sections and submit them to the Lead EMS Auditor. The Lead EMS Auditor shall prepare a formal audit report, which shall include the following items: a brief description of the audit scope; the identification of the audit team and key personnel contacted from the audited organization; a general statement summarizing the effectiveness of the EMS; and a brief discussion of any findings. Each finding shall also be recorded on a Corrective/Preventive Action Request (C/PAR) form in compliance with the requirements of DD-SEOP 4.5.2, Non-Conformance and Corrective and Preventive Action The audit report and any C/PAR forms shall be submitted to the management of the audited organization for appropriate action, with copies provided to the EMR and the Deputy Director, WWC Division. 4.9 Review of Corrective/Preventive Action Responses and Audit Closeout: The Lead EMS Auditor shall participate in the development of corrective and preventive actions as necessary to ensure that each finding or observation has been adequately addressed. When proposed corrective actions have been determined to be acceptable, the Lead EMS Auditor shall notify the EMR and the affected section managers that the audit is considered to be closed. 4.10 Audit Documentation: Once the audit has been closed, the Lead EMS Auditor shall forward a complete copy of the audit documentation to the environmental records in compliance with Section 5.3 of the WWC Division EMP. At a minimum, audit
DD-SEOP 4.5.4 June 2003 EMS Audit Rev 1 MWWD WWC Division 5 documentation shall include copies of the audit notification memo, the audit plan, audit opening and closing meeting participation sheets, the completed audit questionnaire, the audit report, copies of any closed C/PAR forms, and an audit closeout memorandum. 4.11 External Audit/Compliance Verification Audit Requirements
4.11.1 The Management Representative or assigned person is to administer the compliance audit activities. Notification must be sent to personnel in the WWC, and he/she shall hold a meeting with the External Auditor to clarify the purpose of the Audit, and areas or functions to be inspected. 4.11.2 The type of External Audits are listed as follows and is not exhaustive: a. ISO 14001 certification and surveillance audits. b. Internal City Initiated Audit. c. External Compliance Audit. 4.11.3 During the course of the audit, an area representative shall accompany the Auditor(s), and answer general questions about the section activities, processes and services. 4.11.4 During the audit and exit meeting, the WWC Division representative(s) should neither agree nor disagree to carry out any recommendations or requirements necessitating a capital appropriations request or budget approval process prior to implementation. 4.11.5 The Auditing parties will submit their findings in writing. Findings should be written in a factual manner that does not reflect conjecture, supposition or unwarranted conclusions. Findings should be marked "Confidential," and forwarded to respective WWC Section Heads who will ensure that distribution is limited to only those persons with a specific need for the information. A copy of the report must be forwarded to the EMR. 4.11.6 After the site receives a written audit report from the auditor, and any clarification needed, the respective WWC Section Heads, EMR and other MWWD representatives will discuss the recommendations and requirements with affected site management. A corrective action plan, which addresses all findings, should be developed by responsible departments. The Corrective/Preventive Action Report (C/PAR) shall be raised as per DD-F-006.0 accordingly. 4.12 All External audit reports and corrective action plans shall be retained as required.
DD-SEOP 4.5.4 June 2003 EMS Audit Rev 1 MWWD WWC Division 6 5.0 REFERENCES WWC Division Environmental Management Plan Section 5.2, Control of Non-conformances and Corrective and Preventive Action Section 5.3, Records Section 5.4, Environmental Management System Audit
DD-SEOP 4.5.2, Non-Conformance and Checking Corrective and Preventive Action
Select and train audit team Prepare audit plan and checklist Prepare audit report, C/PARs as required File records per EMP 5.3 Prepare audit notification memo EMR/Facility Sup. Accept? Resolve comments No Conduct audit Prepare corrective/ preventive action responses as required Lead EMS Auditor Accept? Resolve comments Yes No Yes Advise EMR and Facility Superintendents of closure Lead EMS Auditor Lead EMS Auditor Lead EMS Auditor EMR/Facility Sups Lead EMS Auditor Lead EMS Auditor/ Audit Team Lead EMS Auditor Lead EMS Auditor EMR/Records Clerk EMR/Facility Sups Lead EMS Auditor EMR/Facility Sups
DD-SEOP 4.5.4 June 2003 EMS Audit Rev 1 MWWD WWC Division 8 (DD-SEOP 4.5.4) ATTACHMENT 1: SUPPLEMENTARY GUIDANCE FOR CONDUCTING EMS AUDITS 1.0 GENERAL CONSIDERATIONS This attachment provides general guidance that should be considered by the Lead EMS Auditor, individual auditors, and the audit team as a whole during the onsite portion of an EMS audit. 1.1 Audit Team Behavior The overall demeanor of the audit team must be perceived as ethical, professional, objective, and fair. The Lead EMS Auditor is responsible for monitoring the activities of the audit team; unacceptable behavior by any audit team member should not be permitted. The Lead EMS Auditor should take whatever action is necessary in response to unacceptable behavior, up to and including removing the responsible individuals from the audit team. 1.2 Overcoming Negative Perceptions Even in the best situations, an auditor may encounter a certain amount of distrust, anxiety, anger, fear, or obstinacy on the part of the audited organization or section. These kinds of negative responses will hinder the progress of the audit and will detract from the usefulness of the information obtained, unless an effort is made to establish a positive (or at least neutral) setting for the audit. The Lead EMS Auditor must make a concerted effort to establish a productive setting for the audit, from the first verbal contacts, through the opening meeting, daily debriefings, and closing meeting. Because the audit team's primary mission is to obtain reliable information about the performance relative to specific written standards, audit team members must work to gain a functional level of cooperation in order to gain access to objective evidence. 1.3 Negative Situations Extremely negative responses by audited personnel in an audited organization are rare, but they can occur, and can be difficult to handle when they do. If such a situation should occur, audit team members should politely break off the line of inquiry and bring the matter separately to the attention of the Lead EMS Auditor, who should attempt to resolve the issue with the section manager. Regardless of the situation, audit team members must never show anger. If a situation is truly unresolvable, the Lead EMS Auditor should cancel the remainder of the audit, hold a brief closeout meeting with the audited section manager or superintendent to explain the reasons for cancellation, and advise that the audit will be rescheduled after negotiating a new audit date. If at this time the management representative asks the Lead EMS Auditor to continue the audit, the Lead EMS Auditor should state the conditions that are necessary. If the conditions are accepted, then the audit team should resume the audit. If no
DD-SEOP 4.5.4 June 2003 EMS Audit Rev 1 MWWD WWC Division 9 request to continue the audit is made, or if the conditions for continuing the audit are not accepted, then the Lead EMS Auditor should direct the audit team to cease its activities. 1.4 Preconceptions To the extent possible, audit team members must set aside any preconceptions about the audited section capabilities, regardless of whether they are good or bad. No matter how justifiable such assumptions might be, the audited section strengths and weaknesses must express themselves as part of an objective process. Audit team members must never go into an auditing situation with the intention of finding something (or nothing) wrong. If the auditing process is not open and objective, areas of significant strength or weakness may be missed and the accuracy of the information gained from the audit may be compromised. 1.5 Flexibility The Lead EMS Auditor should be free to redirect the emphasis of the audit in process, as necessary to concentrate the audit team's resources on critical areas of investigation that may come to light in the audit. The areas of emphasis in the audit plan and the checklists should be followed to the extent possible, but if, in the Lead EMS Auditors judgment, the situation warrants redirection, it is appropriate to concentrate on specific areas of the checklist and not investigate others; another audit may be performed at a later date to investigate other areas of the program. 1.6 Documentation The audit checklist should be formatted to facilitate inquiries and note-taking, but each audit team member should use the note-taking methods that they are most comfortable with. Reference copies of the WWC Division EMP and its supporting SEOPs and other documents should be readily available to the team. 2.0 AUDITING METHODS: DO'S AND DON'TS Audit team members should: be prepared; the EMP sections and procedures associated with assigned area of inquiry should be read and understood beforehand; stay in charge of any interviewing situation, and steer conversations away from long monologues or irrelevant discussions; recognize that the presence of the audit team is by nature disruptive; listen and observe more than they talk; thank audited personnel for their assistance when there are no more questions; take good notes that accurately describe the individuals contacted, the documents reviewed, and the observations made; verify or qualify the extent of potential problems by increasing the sample of records evaluated, or by conducting additional interviews; frame audit questions in language that the audited organization or department will understand; keep questions brief and focused;
DD-SEOP 4.5.4 June 2003 EMS Audit Rev 1 MWWD WWC Division 10 clarify questions if they seem to be misunderstood; complement the audited Section when particular strengths are observed; ask open-ended questions to open up lines of inquiry or to gain access to additional information; such questions should be phrased using "who", "what", "when", "where", "why", "how", and "which" (none of which can be answered "yes" or no); and ask closed questions to confirm a point; closed questions should be phrased using words like "is", do, has, can, "will", and "shall", which will result in a "yes" or "no" answer. Audit team members should not: talk too much, argue, use profanity, or discuss personalities or the results of other audits; criticize personnel from the audited Section, especially in front of their co- workers or supervisors; disagree with other audit team members or the Lead EMS Auditor in front of the audited Section staff; any such discussions should be reserved for the audit team members only; permit representatives of the audited Section to see the audit teams working notes or checklists; obtain records or documents without the permission or participation of the audited Section; identify a problem in front of the audited section personnel as anything other than something that should be looked at further; notes should be taken and specific concerns verified by reviewing a larger sample of information; discuss the decision regarding whether the problem requires more investigation or represents a finding without first discussing the issues separately with the Lead EMS Auditor first; or make comments regarding the inadequacy of the audited section EMS processes or procedures, unless objective evidence suggests that audited section written requirements are not being fulfilled.