This document specifies requirements, recommendations, and examples for implementing a risk-informed decision-making (RIDM) process for managing existing network assets in power systems. The intended audience concerns power network organizations' stakeholders and decision makers, such as asset managers, risk managers, regulators, asset owners, and service providers. The RIDM process details the steps to ensure transparency, consistency, and traceability of the decision by:
– specifying the risk decision-making context depending on asset management objectives, available knowledge, and risk stakeholders' concerns;
– identifying the appropriate risk management strategies and the knowledge supporting the analyses;
– detailing the essential steps for conducting a risk analysis and justifying investments, regardless of the calculation methods used;
– providing essential information and warnings to decision makers;
– implementing performance evaluation and continuous improvement.
The document is based on the asset management principles from ISO 55000:2024 [1] and is aligned with ISO 55001:2024 [2]. Compliance with the requirements of this document is independent of compliance with ISO 55001:2024 [2].

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This document provides a set of properties for the description of learning resources from ISO 15836-1 and ISO 15836-2 using the framework provided in ISO/IEC 19788-1. This document specifies properties whose codomain is "literal" (as considered in early Dublin Core) and properties whose codomain is a resource class; the ISO 15836 series implicitly allowing both. This provides full interoperability at the time of expressing existing Dublin Core records with MLR, while allowing a linked data approach for the description of learning resources.

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This document specifies requirements for a quality management system when an organization:
needs to demonstrate its ability to consistently provide products and services that meet customer and applicable statutory and regulatory requirements;
aims to enhance customer satisfaction through the effective application of the system, including processes for improvement of the system and the assurance of conformity to customer and applicable statutory and regulatory requirements.
All the requirements of this document are generic.
This document is applicable to any organization, regardless of its type or size, or the products and services it provides.
NOTE 1        In this document, the terms “product” or “service” only apply to products and services intended for, or required by, a customer.
NOTE 2        Statutory and regulatory requirements can be expressed as legal requirements.

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This document provides guidance for information security controls, based on ISO/IEC 27002, applicable to the provision and use of cloud services. This document provides:
additional guidance for relevant controls specified in ISO/IEC 27002:2022;
additional controls with guidance that specifically relate to cloud services.
This document provides controls and guidance for cloud service customers (CSCs) and cloud service providers (CSPs).
This document is considered to be a horizontal document as it provides a foundation and a common understanding of security regarding the provision and use of cloud services.
NOTE            This document applies to all types of cloud deployment models including the private cloud. When applying this document to the private cloud, the controls and guidance of this document are applicable, although adjustments can be necessary to adapt to the relationships and abilities of an organization’s internal departments.

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This document applies to:
Organisations:
-   public sector procurement authorities at local, regional, national, and European levels;
-   private sector organizations engaging in innovation partnerships with public entities;
-   research and development institutions participating in cross-sector innovation;
-   SMEs and large enterprises involved in public-private innovation ecosystems;
-   international organizations seeking to implement European innovation procurement approaches.
Innovation Dimensions:
-   dimension A: Business Model Innovation (Strategic and Tactical) - 13 innovations across circular economy, product-as-service, and collaborative models;
-   dimension B: Innovative Operational Procurement - 12 innovations including enhanced PCP/PPI integration and seven-procedure frameworks;
-   dimension C: Innovation Sourcing Infrastructure - 5 high-impact innovations encompassing digital portfolios, AI-driven analytics, and federated intelligence;
-   dimension D: Technological Innovation - 20 innovations covering IoT, blockchain, AI, quantum computing, and emerging technologies.
Legal Framework Coverage:
-   cross-sector innovation authorization beyond traditional PCP/PPI scope;
-   innovation sandbox and safe harbor mechanisms for experimental approaches;
-   cross-border legal harmonization for international standards development;
-   system-of-Systems legal orchestration for complex multi-organizational coordination;
-   liability limitation and risk protection frameworks for good faith innovation.
Scope Exclusions
This document does not cover:
-   traditional procurement of standard goods and services without innovation components;
-   sector-specific legal frameworks that do not involve cross-sector collaboration;
-   emergency procurement procedures where innovation is not the primary objective;
-   military and defense procurement subject to specific security classifications;
-   legal frameworks for routine administrative procurement below innovation thresholds.

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    32 pages
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This document provides a set of properties for the description of learning resources from ISO 15836-1 and ISO 15836-2 using the framework provided in ISO/IEC 19788-1. This document specifies properties whose codomain is "literal" (as considered in early Dublin Core) and properties whose codomain is a resource class; the ISO 15836 series implicitly allowing both. This provides full interoperability at the time of expressing existing Dublin Core records with MLR, while allowing a linked data approach for the description of learning resources.

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This document establishes the technical pillar of the Strategic Trilogy, converting the 50 INNOV innovations from CEN/TR 17011-2-1 [1] into 87 comprehensive standards while operating within the legal facilitation framework provided by CEN/TR 17011-2-3 [2].

  • Draft
    33 pages
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This document specifies requirements for a quality management system when an organization:
needs to demonstrate its ability to consistently provide products and services that meet customer and applicable statutory and regulatory requirements;
aims to enhance customer satisfaction through the effective application of the system, including processes for improvement of the system and the assurance of conformity to customer and applicable statutory and regulatory requirements.
All the requirements of this document are generic.
This document is applicable to any organization, regardless of its type or size, or the products and services it provides.
NOTE 1        In this document, the terms “product” or “service” only apply to products and services intended for, or required by, a customer.
NOTE 2        Statutory and regulatory requirements can be expressed as legal requirements.

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This document establishes comprehensive frameworks and models for innovative developments in procurement across all sectors, providing systematic methodologies and organizational frameworks enabling transformation of procurement practices through structured governance and innovation management.
This document applies to:
—   Organizations
•   public sector procurement authorities at local, regional, national, and European levels;
•   private sector organizations engaging in innovation partnerships with public entities;
•   research and development institutions participating in cross-sector innovation;
•   SMEs and large enterprises involved in public-private innovation ecosystems;
•   international organizations seeking to implement European innovation procurement approaches.
—   Innovation Coverage
•   cross-sector innovation frameworks applicable to both public and private organizations;
•   enhanced Pre-Commercial Procurement (PCP) and Public Procurement of Innovation (PPI) frameworks;
•   system-of-Systems (SoS) orchestration for complex multi-organizational coordination;
•   four-dimensional innovation architecture covering business models, operations, sourcing, and technology.
—   Framework Applications
•   strategic innovation planning and implementation across organizational boundaries;
•   digital transformation and technology integration for all sectors;
•   circular economy and sustainable procurement models;
•   cross-border collaboration and harmonization mechanisms.

  • Draft
    26 pages
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This document specifies requirements for a quality management system when an organization: needs to demonstrate its ability to consistently provide products and services that meet customer and applicable statutory and regulatory requirements; aims to enhance customer satisfaction through the effective application of the system, including processes for improvement of the system and the assurance of conformity to customer and applicable statutory and regulatory requirements. All the requirements of this document are generic. This document is applicable to any organization, regardless of its type or size, or the products and services it provides. NOTE 1 In this document, the terms “product” or “service” only apply to products and services intended for, or required by, a customer. NOTE 2 Statutory and regulatory requirements can be expressed as legal requirements.

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    36 pages
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  • Standard
    36 pages
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  • Standard
    39 pages
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  • Standard
    39 pages
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  • Standard
    39 pages
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  • Standard
    39 pages
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    39 pages
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    39 pages
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  • Standard
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  • Standard
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  • Standard
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  • Standard
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This document specifies the mapping between the semantic model of an electronic invoice, included in EN 16931-1 and the UBL syntax. For each element in the semantic model (including sub-elements or supplementary components such as Identification scheme identifiers) it is defined which element in the syntax is to be used to contain its information contents. Any mismatches between semantics, format, cardinality or structure are indicated.

  • Technical specification
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This document specifies the mapping between the semantic model of an electronic invoice, included in EN 16931-1 and the ISO/IEC 9735 (UN/EDIFACT) syntax. For each element in the semantic model (including sub-elements or supplementary components such as Identification scheme identifiers) it is defined which element in the syntax is to be used to contain its information contents.

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This document specifies the requirements and provides guidance for the definition, implementation and maintenance of a quality management system for organizations that provide AI systems.
This document is intended to support the organization in meeting applicable regulatory requirements. It is primarily intended for organizations placing on the market or putting into service high-risk AI systems and is not specific to any particular sector.

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This document establishes a systematized framework for the competences of AI ethicists, categorizing them into knowledge, skills and attitudes related to the specific activities and tasks of the role. It specifies requirements and recommendations necessary for individuals to effectively perform as AI ethicists. These competences encompass a strong understanding of European values and fundamental rights, further enhancing the knowledge, skills and attitudes required for this profession.
This document defines the essential concepts and principles inherent to the AI ethicist role. It illustrates a clear, uniform approach to the integral components of this profession.
Moreover, the document outlines how the role of AI ethicists can be seamlessly integrated into a wide variety of organizations. These include, but are not limited to, commercial enterprises, governmental agencies and non-profit organizations.

  • Standard
    29 pages
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This document specifies the mapping between the semantic model of an electronic invoice, included in EN 16931-1 and the Cross Industry Invoice in the UN/CEFACT XML syntax. For each element in the semantic model (including sub-elements or supplementary components such as Identification scheme identifiers) it is defined which element in the syntax is to be used to contain its information contents. Any mismatches between semantics, format, cardinality or structure are indicated.

  • Technical specification
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This document specifies requirements, recommendations, and examples for implementing a risk-informed decision-making (RIDM) process for managing existing network assets in power systems. The intended audience concerns power network organizations' stakeholders and decision makers, such as asset managers, risk managers, regulators, asset owners, and service providers. The RIDM process details the steps to ensure transparency, consistency, and traceability of the decision by:
– specifying the risk decision-making context depending on asset management objectives, available knowledge, and risk stakeholders' concerns;
– identifying the appropriate risk management strategies and the knowledge supporting the analyses;
– detailing the essential steps for conducting a risk analysis and justifying investments, regardless of the calculation methods used;
– providing essential information and warnings to decision makers;
– implementing performance evaluation and continuous improvement.
The document is based on the asset management principles from ISO 55000:2024 [1] and is aligned with ISO 55001:2024 [2]. Compliance with the requirements of this document is independent of compliance with ISO 55001:2024 [2].

  • Standard
    32 pages
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This document provides a set of properties for the description of learning resources from ISO 15836-1 and ISO 15836-2 using the framework provided in ISO/IEC 19788-1. This document specifies properties whose codomain is "literal" (as considered in early Dublin Core) and properties whose codomain is a resource class; the ISO 15836 series implicitly allowing both. This provides full interoperability at the time of expressing existing Dublin Core records with MLR, while allowing a linked data approach for the description of learning resources.

  • Standard
    19 pages
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This document specifies requirements for railway driving simulators for drivers' training. It defines the minimum functions and performances for a driver training simulator.
This document is applicable to all guided transport systems, including for mainlines, metros, tramways and light rails, as part of public/private transport systems. These vehicles are intended for the operation of intercity, urban and suburban passenger or freight services with self-propelled systems and operated on either segregated or not segregated paths.
Annexes A to D provide additional information.

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This document gives guidance to organizations on developing policies and practices that are supportive of workers’ menstrual and menopausal health and experiences in the workplace. This document is applicable to any organization regardless of size or sector and can be adapted to individual business needs. This document does not apply to medical guidance or clinical options outside of the workplace. However, it does include reference to qualified sources where such information is available. This document does not apply to andropause.

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This document establishes terms, definitions and service requirements for service providers conducting market, opinion and social research, including insights and data analytics. This document does not apply to non-research activities, such as direct marketing.

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This document gives guidance to organizations on addressing climate-related environmental aspects, environmental conditions, and the associated risks and opportunities within an environmental management system (EMS) in accordance with ISO 14001 [26]. It addresses the environmental topic area of climate from both perspectives: mitigation and adaptation. This document is applicable to any organization, regardless of type, size or nature. It includes consideration of the organization’s activities, products and services that the organization determines it can either control or influence, taking a life cycle perspective.

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This document provides the minimum requirements for the knowledge and skills of assessment body testers and validators performing testing activities and validating activities for a conformance scheme using ISO/IEC 19790 and ISO/IEC 24759.

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This document establishes guidelines for organizations in the safe handling of human resource management (HRM) data, ensuring responsible collection, management, protection, usage and disposal of personal information related to an organization’s workforce. This document applies to both for-profit and non-profit organizations of any size in all sectors. It applies to all sectors and organization sizes, covering data from current and former employees, contractors, applicants and other relevant individuals. This document pertains to data derived for, from, or used within HRM activities and processes. This document covers the safe handling of HRM data, in any format, whether collected, maintained or used by a human resources department or an alternative party such as third parties, vendors or non-HR departments (e.g. finance, operations). This document concerns only the safe handling of HRM data; characteristics of the HRM data such as the quality, reliability and validity are not within the scope of this document (see ISO 30435). This document covers data related to any individual for whom information is utilized as part of the HRM data life cycle, including past and present employees, contractors, directors or board members, applicants, and formerly or indirectly associated individuals. It does not include privacy for customers, suppliers or other third parties when the data exists outside of HRM (see ISO/IEC 27001 and ISO/IEC 27002 for data privacy non-specific to HRM data and the ISO/IEC 38505 series related to data governance in general).

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    18 pages
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This document provides guidance on the assessment scheme to be used when implementing the governance of IT in organizations in accordance with ISO/IEC 38500 and ISO/IEC 38501-1. It establishes the assessment framework and rating scale appropriate for principles-based governance of IT, and provides sample governance of IT characteristics for each of the 11 principles listed in ISO/IEC 38500 (see Annex A). This document can be used by individuals responsible for governance of IT in an organization, as well as individuals supporting the governance of IT in organizations, and is applicable to organizations of all sizes and types.

  • Technical specification
    15 pages
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IEC 63402-2-2:2026 specifies the fundamental aspects of semantic interoperability for the S2 interface and the related data exchange between a CEM and the resource managers within the premises. It provides a technology independent set of data models and interaction patterns in order to enable applications for energy management within the premises. This document does not include:
– mappings to concrete data representations (XML, JSON and similar);
– mappings to application protocols for the message passing;
– security related aspects.
This group EE publication is primarily intended to be used as an EE standard for the products mentioned in the scope, but is also intended to be used by TCs in the preparation of publications for products which are included in the boundary mentioned in the scope of this document

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This document specifies the procedures for training personnel who will be involved in the operation of uncrewed aircraft systems (UAS). This document defines: knowledge, skill, attitude and qualification criteria required for UAS remote pilots (RP), remote pilot in command (rPIC) and UAS training organizations (UTO) that provide training to UAS remote pilots and other personnel involved in UAS operations; training curriculum and contents for specific learning courses; qualification and criteria for verification of achieved competence by the training organizations; general procedures for providing training of UAS personnel. NOTE 1 An UTO can include additional topics or learning objectives, such as when required by legally binding rules in the applicable jurisdiction. NOTE 2 A UAS operator can also act as the UTO, providing that possible conflict of interest between training and operations is properly managed.

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    138 pages
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This document establishes a systematized framework for the competences of AI ethicists, categorizing them into knowledge, skills and attitudes related to the specific activities and tasks of the role. It specifies requirements and recommendations necessary for individuals to effectively perform as AI ethicists. These competences encompass a strong understanding of European values and fundamental rights, further enhancing the knowledge, skills and attitudes required for this profession.
This document defines the essential concepts and principles inherent to the AI ethicist role. It illustrates a clear, uniform approach to the integral components of this profession.
Moreover, the document outlines how the role of AI ethicists can be seamlessly integrated into a wide variety of organizations. These include, but are not limited to, commercial enterprises, governmental agencies and non-profit organizations.

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    29 pages
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This document provides guidance for information security controls, based on ISO/IEC 27002, applicable to the provision and use of cloud services. This document provides:
additional guidance for relevant controls specified in ISO/IEC 27002:2022;
additional controls with guidance that specifically relate to cloud services.
This document provides controls and guidance for cloud service customers (CSCs) and cloud service providers (CSPs).
This document is considered to be a horizontal document as it provides a foundation and a common understanding of security regarding the provision and use of cloud services.
NOTE            This document applies to all types of cloud deployment models including the private cloud. When applying this document to the private cloud, the controls and guidance of this document are applicable, although adjustments can be necessary to adapt to the relationships and abilities of an organization’s internal departments.

  • Standard
    49 pages
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This document provides guidance for information security controls, based on ISO/IEC 27002, applicable to the provision and use of cloud services. This document provides: additional guidance for relevant controls specified in ISO/IEC 27002:2022; additional controls with guidance that specifically relate to cloud services. This document provides controls and guidance for cloud service customers (CSCs) and cloud service providers (CSPs). This document is considered to be a horizontal document as it provides a foundation and a common understanding of security regarding the provision and use of cloud services. NOTE This document applies to all types of cloud deployment models including the private cloud. When applying this document to the private cloud, the controls and guidance of this document are applicable, although adjustments can be necessary to adapt to the relationships and abilities of an organization’s internal departments.

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IEC 63223-1:2026 provides an overview of asset management, its principles and value creation options for the management of network assets in power systems.
This document can be applied to all types of network assets and by all types and sizes of power network companies. The term power network company does not necessarily refer to legally structured companies.
In this document, network assets refer mainly to the physical assets of the electrical energy network, meaning items, equipment, or systems that have potential or actual value for the electric company and are part of the power lines and substations responsible for the transmission and distribution of electrical energy. Examples of network assets that can be included in the asset portfolio of a power network company are presented in IEC 63223-2:2026, 4.2.2.

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This document specifies the requirements and provides guidance for the definition, implementation and maintenance of a quality management system for organizations that provide AI systems.
This document is intended to support the organization in meeting applicable regulatory requirements. It is primarily intended for organizations placing on the market or putting into service high-risk AI systems and is not specific to any particular sector.

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This document specifies requirements and guidance for production assurance and reliability management as applicable to the assets and operations associated with exploration drilling, exploitation, processing and transport of petroleum, petrochemical and natural gas resources. It covers the assets and associated activities for upstream, midstream, downstream and petrochemical business categories. It focuses on the production assurance of oil and gas with respect to production and associated activities and covers the analysis of reliability and maintenance of the equipment. This includes a variety of associated systems and equipment in the oil and gas value chain. Production assurance addresses not only hydrocarbon production, but also associated activities such as drilling, pipeline installation and subsea intervention.
The document also supports production assurance and reliability management for lower carbon energy assets and associated operations, e.g. carbon capture and storage (CCS), hydrogen, ammonia, and wind energy. It describes the processes, activities, requirements and guidelines for systematic management, effective planning, execution and use of production assurance and reliability technology.
This document defines 12 processes, of which seven are denoted as core production assurance processes and addressed in this document. The remaining five processes are denoted as interacting processes and while they are outside the scope of this document, information is provided as to how they relate to production assurance and reliability management. The relationship of the core production assurance processes with these interacting processes, however, is within the scope of this document as the flow of information to and from these latter processes is required to ensure that production assurance requirements are fulfilled.
The document specifies how to establish and execute a production assurance programme (PAP) and a reliability management programme (RMP).
This document lists processes and activities that can be initiated to add value for the stakeholder (e.g. operator), where the selected process can depend on their business strategy and application area.
This document is intended for the following users and associated activities by their personnel:
Operators: Production assurance and reliability management activities. Related activities include project management and control, technology development, technology qualification, concept and system design, risk management (including HSE), integrity management, and maintenance management.
Contractors: Activities by the main contractor for engineering, procurement, construction, drilling, installation, operation, maintenance services, etc.
Vendors: Activities by manufacturer or supplier related to equipment design and quality management, technology development and qualification.
Authorities: Activities by regulatory bodies to ensure HSE, resource utilization and economic efficiency in operations.
Consultants: Consultancy services aimed at supporting production assurance and reliability management.
Universities: Activities associated with educating industry professionals, as well as conducting fundamental or applied research projects, when related to production assurance, reliability management, and technology development. This includes improvement of the methods and frameworks described herein.
Research institutions: Research activities related to production assurance, reliability management, and technology development. This includes equipment qualification testing and advanced engineering assessments using the methods and frameworks described herein.

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This document provides guidelines on how to implement an eight-stage process to enhance resilience to disruptions arising from emergencies, disasters or crises. It describes how a local resilience partnership can work with members of the public, civil society and business sectors to address needs in society that have been created by a disruption. The process describes how the local resilience partnership can create a local resilience capability that encourages self-help and helping others, while focusing on the needs of priority groups. This document describes: how the local resilience partnership can co-design and create a capability to enhance resilience to disruption; partnerships and establishing a shared vision to enhance societal resilience; risks, vulnerabilities, needs, and community assets; implementation and management of capability; evaluation and continual improvement. This document takes a whole-of-society approach to enhancing resilience by adopting principles and developing systems to support societal networks, organizations (from private, public, and voluntary sectors), community groups, and individuals. This document is applicable to any organization or group involved in enhancing the resilience of society to disruption.

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IEC 63223-2:2026 specifies requirements, recommendations, and examples for implementing a risk-informed decision-making (RIDM) process for managing existing network assets in power systems. The intended audience concerns power network organizations' stakeholders and decision makers, such as asset managers, risk managers, regulators, asset owners, and service providers. The RIDM process details the steps to ensure transparency, consistency, and traceability of the decision by:
- specifying the risk decision-making context depending on asset management objectives, available knowledge, and risk stakeholders' concerns;
- identifying the appropriate risk management strategies and the knowledge supporting the analyses;
- detailing the essential steps for conducting a risk analysis and justifying investments, regardless of the calculation methods used;
- providing essential information and warnings to decision makers;
- implementing performance evaluation and continuous improvement.
The document is based on the asset management principles from ISO 55000:2024 and is aligned with ISO 55001:2024. Compliance with the requirements of this document is independent of compliance with ISO 55001:2024.

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  • Standard
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This document provides illustrative use cases, with associated analysis, to assist in understanding the requirements of ISO 31700-1. The intended audience includes engineers and practitioners who are involved in the development, implementation or operation of digitally-enabled consumer goods and services.

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    33 pages
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This document gives guidance on auditing management systems, including the principles of auditing, managing an audit programme and conducting management system audits, as well as guidance on the evaluation of competence of individuals involved in the audit process. These individuals include those managing the audit programme, auditors and audit teams.
It is applicable to all organizations that need to plan and conduct audits of management systems or manage an audit programme.
The application of this document to other types of audits is possible, provided that special consideration is given to the specific competence needed and the objectives to be achieved.

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    56 pages
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This document provides guidance on auditing ISO 21001:2025 through examples of: open-ended questions to determine whether the requirements of ISO 21001:2025 have been met; evidence to objectively evaluate conformity to the requirements of ISO 21001:2025; and measures to demonstrate the ability of an educational organization management system (EOMS) to consistently monitor conformity to the requirements of ISO 21001:2025 over time.

  • Technical specification
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This document provides requirements and guidance on common competence requirements and qualifications for crewed submersible operations to enable operators to develop their own competence schemes. It is applicable to any crewed submersible system (CSS) or craft. Conventional and nuclear powered naval submarines, and diving bells are not addressed in this document.

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This document specifies requirements for a human resource (HR) management system, which enables an organization to: create stakeholder value through effective application and continual improvement of the HR management system, which includes the attraction, development and deployment of workers; integrate the HR management system into the organization’s overall management system, including risk management; demonstrate its ability to consistently manage its workers in a way that contributes to meeting stakeholder needs, including the achievement of organizational objectives and consideration of the needs of workers and employers; positively influence human capital (the collective knowledge, skills and abilities of the organization’s workforce). This document is applicable to organizations of all sizes, growth phases and sectors, whether public or private, for profit or not for profit. This document does not determine the organization’s strategies and objectives. This document does not serve to replace the instruments of agreed collective codetermination, most prominently that of collective bargaining, as established in many countries and practised by, for example, employers, workers unions, employee representatives and their respective associations.

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This document specifies the requirements for implementation of a quality system along the patient pathway in radiology services. The objective is to ensure high quality delivery of all aspects of the examination safety and patient care.
This document deals with procedures using X-rays, ultrasonography and magnetic resonance imaging on humans, including diagnostic procedures and interventional radiology as well as remote practices. It also applies, in its principles, to any other technique and modality that would be used in radiology services.
The document covers:
-   the different steps of patient care (from the imaging referral, before, during, and after the examination);
-   the corresponding human resources and technical-medical requirements;
-   quality and risk management.
This document does not apply to radiotherapy and nuclear medicine, nor to equipment and radiation controls which are covered in other standards. This document excludes requirements related to research and education themes.
This document establishes best practices description which constitutes a reference for audits, including clinical audits. Nevertheless, the clinical audits methodology, already defined at the European level, and implemented under the responsibility of each country is excluded from the document.

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This document describes the transaction information requirements of the transactions used in the basic
collaborations described in EN 17015-1 Electronic Public Procurement – Catalogue – Choreographies.
For each transaction there is an overview, the transaction business requirements and the transaction information requirements model containing definitions of terms, usage descriptions and cardinality of the information elements.
The document describes the following transactions:
1) Catalogue;
2) Catalogue Response
3) Pre-award Catalogue Request
4) Pre-award Catalogue
5) Shopping Cart
How to claim compliance to a transaction is described in paragraph 6.
How to claim conformance to a transaction is described in paragraph 6.

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This document establishes the fundamental concepts and principles of quality management which are universally applicable to the following:
organizations seeking sustained success through the implementation of a quality management system (QMS);
customers seeking confidence in an organization’s ability to consistently provide products and services conforming to their requirements;
organizations seeking confidence in their supply chain that product and service requirements will be met;
organizations and interested parties seeking to improve communication through a common understanding of the vocabulary used in quality management;
organizations performing conformity assessments against the requirements of ISO 9001;
providers of training, assessment or advice in quality management;
developers of related standards.
This document defines terms that apply to all quality management documents and QMS standards developed by ISO/TC 176.
This document is applicable to all organizations, regardless of size, complexity or business model.

  • Standard
    65 pages
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This document defines the purpose, governance and functional requirements of the eInvoicing Registry for CIUS and Extension Specifications. This document is not to be confused with other business / project focused Technical Specifications. It follows CEN rules and will be published as a CEN document with normative statements.
A key part of this document is to provide a functional specification, which will describe the various functions of eInvoice Registry Services.
The Registry is intended to serve as a structured, transparent and publicly accessible repository that facilitates the discovery, registration and management of eInvoicing Specifications that either restrict the conditional elements of the Core Invoice Model and/or extend it in conformance with Part 5 Extension Methodology.
The scope of this document includes:
- Definition of Registry Services - the structure and capabilities of the Registry including the types of artefacts it stores or references, e.g. CIUS, Extension Specifications, Validation Artefacts and Services, and Code Lists;
- Governance Model - the roles and responsibilities of entities involved in managing and maintaining the Registry;
- Submission and Verification Processes - how Specifications are submitted, reviewed and verified for inclusion in the Registry;
- Functional Specification - the required functionality, processes and procedures that enable the Registry to operate efficiently.

  • Technical specification
    51 pages
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IEC TS 62564-1:2026 defines the minimum requirements for integrated circuits and semiconductors which are designated as an "aerospace qualified electronic component (AQEC)".
This edition includes the following significant technical changes with respect to the previous edition:
a) addition of optional ADHP PPAP;
b) revision to Annex B; addition of Annex C and Annex D;
c) removal of STACK;
d) general update to referenced standards throughout.

  • Technical specification
    23 pages
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  • Technical specification
    47 pages
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This document gives guidance for leaders operating in collaborative arrangements in alignment with the structure of ISO 44001.

  • Technical specification
    13 pages
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This document specifies the requirements for implementation of a quality system along the patient pathway in radiology services. The objective is to ensure high quality delivery of all aspects of the examination safety and patient care.
This document deals with procedures using X-rays, ultrasonography and magnetic resonance imaging on humans, including diagnostic procedures and interventional radiology as well as remote practices. It also applies, in its principles, to any other technique and modality that would be used in radiology services.
The document covers:
-   the different steps of patient care (from the imaging referral, before, during, and after the examination);
-   the corresponding human resources and technical-medical requirements;
-   quality and risk management.
This document does not apply to radiotherapy and nuclear medicine, nor to equipment and radiation controls which are covered in other standards. This document excludes requirements related to research and education themes.
This document establishes best practices description which constitutes a reference for audits, including clinical audits. Nevertheless, the clinical audits methodology, already defined at the European level, and implemented under the responsibility of each country is excluded from the document.

  • Standard
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This document describes the transaction information requirements of the transactions used in the collaborations described in EN 17016-1:2024. For each transaction are specified the transaction business requirements, the transaction information data model containing definitions of terms, usage descriptions and cardinality of the information elements and the transaction business rules.
This document describes the following transactions:
1)   Order;
2)   Order Change;
3)   Order Cancellation;
4)   Order Response Simple
5)   Order Confirmation;
6)   Order Rejection;
7)   Order Response;
8)   Order Change Confirmation;
9)   Order Change Rejection;
10)   Order Cancellation Confirmation;
11)   Order Cancellation Rejection;
12)   Order Agreement.
How to claim compliance to a transaction is specified in Clause 6.
How to claim conformance to a transaction is also specified in Clause 6.

  • Standard
    392 pages
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This document specifies quality requirements for the chart, test procedure and acceptance level for near, far, and colour vision acuity of NDT personnel. Information for grey scale perception and low contrast can be found in the annexes. This document also specifies the qualification requirements for personnel permitted to carry out the test.
This document is only applicable to vision acuity under defined conditions similar to those encountered during routine NDT inspection. This document does not address an individual’s overall visual acuity and users are advised to consider the need for a general eye examination by specialist medical personnel to ensure general vision acuity.

  • Standard
    27 pages
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