Electronic Signatures and Infrastructures (ESI);Trust Service Provider Conformity Assessment - Requirements for conformity assessment bodies assessing Trust Service Providers

The present document contains requirements for the competence, consistent operation and impartiality of conformity
assessment bodies assessing and certifying conformity of trust service providers (TSPs) and the trust services they
provide towards defined criteria against which they claim conformance.
NOTE: Those requirements are independent of the type and class of trust service provided.
The present document applies the general requirements of ISO/IEC 17065 [1] to the specific requirements of
conformity assessment of TSPs.

Elektronski podpisi in infrastruktura (ESI) - Ocenjevanje skladnosti ponudnikov storitev zaupanja - Zahteve za ocenjevanje skladnosti organov, ki ocenjujejo ponudnike storitev zaupanja

Ta dokument vključuje zahteve za konkurenčnost, dosledno delovanje in nepristranskost organov, ki ocenjujejo in potrjujejo skladnost ponudnikov skrbniških storitev (TSP) in ponujenih skrbniških storitev glede na določene kriterije, s katerimi naj bile skladne.
OPOMBA: Te zahteve so neodvisne od vrste in razreda ponujene skrbniške storitve.
V tem dokumentu so posebne zahteve pri ugotavljanju skladnosti ponudnikov skrbniških storitev dopolnjene s splošnimi zahtevami standarda ISO/IEC 17065 [1].

General Information

Status
Published
Public Enquiry End Date
30-Mar-2015
Publication Date
06-Jan-2016
Current Stage
6060 - National Implementation/Publication (Adopted Project)
Start Date
16-Sep-2015
Due Date
21-Nov-2015
Completion Date
07-Jan-2016
Mandate

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2003-01.Slovenski inštitut za standardizacijo. Razmnoževanje celote ali delov tega standarda ni dovoljeno.Elektronski podpisi in infrastruktura (ESI) - Ocenjevanje skladnosti ponudnikov storitev zaupanja - Zahteve za ocenjevanje skladnosti organov, ki ocenjujejo ponudnike storitev zaupanjaElectronic Signatures and Infrastructures (ESI);Trust Service Provider Conformity Assessment - Requirements for conformity assessment bodies assessing Trust Service Providers35.040.01Kodiranje informacij na splošnoInformation coding in general03.080.99Druge storitveOther servicesICS:Ta slovenski standard je istoveten z:ETSI EN 319 403 V2.2.2 (2015-08)SIST EN 319 403 V2.2.2:2016en,fr,de01-februar-2016SIST EN 319 403 V2.2.2:2016SLOVENSKI

STANDARD
SIST EN 319 403 V2.2.2:2016

ETSI EN 319 403 V2.2.2 (2015-08) Electronic Signatures and Infrastructures (ESI); Trust Service Provider Conformity Assessment - Requirements for conformity assessment bodies assessing Trust Service Providers

EUROPEAN STANDARD SIST EN 319 403 V2.2.2:2016
ETSI ETSI EN 319 403 V2.2.2 (2015-08) 2

Reference REN/ESI-0019403 Keywords conformity, e-commerce, electronic signature, security, trust services ETSI 650 Route des Lucioles F-06921 Sophia Antipolis Cedex - FRANCE

Tel.: +33 4 92 94 42 00
Fax: +33 4 93 65 47 16

Siret N° 348 623 562 00017 - NAF 742 C Association à but non lucratif enregistrée à la Sous-Préfecture de Grasse (06) N° 7803/88

Important notice The present document can be downloaded from: http://www.etsi.org/standards-search The present document may be made available in electronic versions and/or in print. The content of any electronic and/or print versions of the present document shall not be modified without the prior written authorization of ETSI. In case of any existing or perceived difference in contents between such versions and/or in print, the only prevailing document is the print of the Portable Document Format (PDF) version kept on a specific network drive within ETSI Secretariat. Users of the present document should be aware that the document may be subject to revision or change of status. Information on the current status of this and other ETSI documents is available at http://portal.etsi.org/tb/status/status.asp If you find errors in the present document, please send your comment to one of the following services: https://portal.etsi.org/People/CommiteeSupportStaff.aspx Copyright Notification No part may be reproduced or utilized in any form or by any means, electronic or mechanical, including photocopying and microfilm except as authorized by written permission of ETSI. The content of the PDF version shall not be modified without the written authorization of ETSI. The copyright and the foregoing restriction extend to reproduction in all media.

© European Telecommunications Standards Institute 2015. All rights reserved.

DECTTM, PLUGTESTSTM, UMTSTM and the ETSI logo are Trade Marks of ETSI registered for the benefit of its Members. 3GPPTM and LTE™ are Trade Marks of ETSI registered for the benefit of its Members and of the 3GPP Organizational Partners. GSM® and the GSM logo are Trade Marks registered and owned by the GSM Association. SIST EN 319 403 V2.2.2:2016

ETSI ETSI EN 319 403 V2.2.2 (2015-08) 3 Contents Intellectual Property Rights ................................................................................................................................ 5 Foreword ............................................................................................................................................................. 5 Modal verbs terminology .................................................................................................................................... 5 Introduction ........................................................................................................................................................ 5 1 Scope ........................................................................................................................................................ 7 2 References ................................................................................................................................................ 7 2.1 Normative references ......................................................................................................................................... 7 2.2 Informative references ........................................................................................................................................ 7 3 Definitions and abbreviations ................................................................................................................... 8 3.1 Definitions .......................................................................................................................................................... 8 3.2 Abbreviations ..................................................................................................................................................... 9 4 General requirements ............................................................................................................................... 9 4.1 Legal and contractual matters ............................................................................................................................. 9 4.1.1 Legal responsibility....................................................................................................................................... 9 4.1.2 Certification agreement ................................................................................................................................. 9 4.1.3 Use of license, certificates and marks of conformity .................................................................................... 9 4.2 Management of impartiality ............................................................................................................................... 9 4.2.0 General requirements .................................................................................................................................... 9 4.2.1 Activities not conflicting with impartiality ................................................................................................... 9 4.3 Liability and financing ....................................................................................................................................... 9 4.4 Non-discriminatory conditions ......................................................................................................................... 10 4.5 Confidentiality .................................................................................................................................................. 10 4.6 Publicly available information ......................................................................................................................... 10 5 Structural requirements .......................................................................................................................... 10 5.1 Organizational structure and top management ................................................................................................. 10 5.2 Mechanism for safeguarding impartiality ......................................................................................................... 10 6 Resource requirements ........................................................................................................................... 10 6.1 Conformity Assessment Body personnel ......................................................................................................... 10 6.1.1 General ........................................................................................................................................................ 10 6.1.2 Management of competence for personnel involved in the audit process................................................... 10 6.1.2.0 General requirements ............................................................................................................................ 10 6.1.2.1 Management of competence.................................................................................................................. 10 6.1.2.2 Training of audit teams ......................................................................................................................... 10 6.2 Resources for evaluation .................................................................................................................................. 11 6.2.0 General requirements .................................................................................................................................. 11 6.2.1 Internal resources ........................................................................................................................................ 11 6.2.1.0 General requirement .............................................................................................................................. 11 6.2.1.1 Competence of Conformity Assessment Body personnel ..................................................................... 11 6.2.1.2 Competences for all functions ............................................................................................................... 11 6.2.1.3 Competences for application review ..................................................................................................... 11 6.2.1.4 Competences and prerequisites for auditing.......................................................................................... 12 6.2.1.5 Competences for review ........................................................................................................................ 12 6.2.1.6 Competences for certification decision ................................................................................................. 12 6.2.1.7 Competences for Technical Experts ...................................................................................................... 12 6.2.1.8 Audit team ............................................................................................................................................. 13 6.2.1.9 Audit team leader .................................................................................................................................. 13 7 Process requirements .............................................................................................................................. 13 7.1 General requirements ....................................................................................................................................... 13 7.2 Application ....................................................................................................................................................... 14 7.3 Application Review .......................................................................................................................................... 14 7.4 Audit ................................................................................................................................................................. 14 7.4.0 General requirements .................................................................................................................................. 14 SIST EN 319 403 V2.2.2:2016

ETSI ETSI EN 319 403 V2.2.2 (2015-08) 4 7.4.1 Audit Scope ................................................................................................................................................ 14 7.4.1.0 Audit Scope General ............................................................................................................................. 14 7.4.1.1 Audit Team Mandate............................................................................................................................. 15 7.4.1.2 Audit Methodology ............................................................................................................................... 15 7.4.2 Audit time ................................................................................................................................................... 15 7.4.3 Multiple sites .............................................................................................................................................. 16 7.4.3.1 When to Consider Sample Based Approach ......................................................................................... 16 7.4.3.2 Requirements of Sample Based Approach ............................................................................................ 16 7.4.4 Audit Report ............................................................................................................................................... 17 7.4.4.1 Report contents ..................................................................................................................................... 17 7.4.4.2 Report contents details to be provided .................................................................................................. 17 7.4.5 Audit process .............................................................................................................................................. 18 7.4.5.1 General preparation for the initial audit ................................................................................................ 18 7.4.5.2 Audit Process ........................................................................................................................................ 18 7.4.5.3 Stage 1 audit .......................................................................................................................................... 18 7.4.5.4 Stage 2 audit .......................................................................................................................................... 19 7.4.6 Audit Frequency ......................................................................................................................................... 19 7.5 Review .............................................................................................................................................................. 19 7.6 Certification decision ....................................................................................................................................... 20 7.7 Certification documentation ............................................................................................................................. 20 7.8 Directory of certified products ......................................................................................................................... 20 7.9 Surveillance ...................................................................................................................................................... 20 7.10 Changes affecting certification ......................................................................................................................... 21 7.11 Termination, reduction, suspension or withdrawal of certification .................................................................. 21 7.12 Records ............................................................................................................................................................. 21 7.13 Complaints and appeals .................................................................................................................................... 21 8 Management system requirements ......................................................................................................... 21 8.1 Options ............................................................................................................................................................. 21 8.2 General management system documentation ................................................................................................... 21 8.3 Control of documents ....................................................................................................................................... 21 8.4 Control of records ............................................................................................................................................. 22 8.5 Management review ......................................................................................................................................... 22 8.6 Internal audits ................................................................................................................................................... 22 8.7 Corrective actions ............................................................................................................................................. 22 8.8 Preventive actions............................................................................................................................................. 22 Annex A (informative): Auditors' code of conduct .............................................................................. 23 Annex B (informative): Bibliography ................................................................................................... 24 History .............................................................................................................................................................. 25

SIST EN 319 403 V2.2.2:2016

ETSI ETSI EN 319 403 V2.2.2 (2015-08) 5 Intellectual Property Rights IPRs essential or potentially essential to the present document may have been declared to ETSI. The information pertaining to these essential IPRs, if any, is publicly available for ETSI members and non-members, and can be found in ETSI SR 000 314: "Intellectual Property Rights (IPRs); Essential, or potentially Essential, IPRs notified to ETSI in respect of ETSI standards", which is available from the ETSI Secretariat. Latest updates are available on the ETSI Web server (http://ipr.etsi.org). Pursuant to the ETSI IPR Policy, no investigation, including IPR searches, has been carried out by ETSI. No guarantee can be given as to the existence of other IPRs not referenced in ETSI SR 000 314 (or the updates on the ETSI Web server) which are, or may be, or may become, essential to the present document. Foreword This European Standard (EN) has been produced by ETSI Technical Committee Electronic Signatures and Infrastructures (ESI).

National transposition dates Date of adoption of this EN: 21 August 2015 Date of latest announcement of this EN (doa): 30 November 2015 Date of latest publication of new National Standard or endorsement of this EN (dop/e):

31 May 2016 Date of withdrawal of any conflicting National Standard (dow): 30 June 2017

Modal verbs terminology In the present document "shall", "shall not", "should", "should not", "may", "need not", "will", "will not", "can" and "cannot" are to be interpreted as described in clause 3.2 of the ETSI Drafting Rules (Verbal forms for the expression of provisions). "must" and "must not" are NOT allowed in ETSI deliverables except when used in direct citation. Introduction ISO/IEC 17065 [1] is an international standard which specifies general requirements for conformity assessment bodies (CABs) performing certification of products, processes, or services. These requirements are not focussed on any specific application domain where CABs work. In the present document the general requirements are supplemented to provide additional dedicated requirements for CABs performing certification of Trust Service Providers (TSPs) and the trust services they provide towards defined criteria against which they claim conformance. The present document is aiming to meet the general requirements of the international community to provide trust and confidence in electronic transactions including, amongst others, applicable requirements from Regulation (EU) No 910/2014 [i.1], and from CA Browser Forum [i.10]. The present document's aims include support of national accreditation bodies as specified in Regulation (EC) No. 765/2008 [i.4] in applying ISO/IEC 17065 [1] for the accreditation of CABs that certify TSPs and the trust services they provide so that this is carried out in a consistent manner. In accordance with [i.4], attestations issued by conformity assessment bodies accredited by a national accreditation body can be formally recognized across Europe. SIST EN 319 403 V2.2.2:2016

ETSI ETSI EN 319 403 V2.2.2 (2015-08) 6 The present document does not repeat requirements from ISO/IEC 17065 [1] but follows its document structure. Where needed, additional requirements are specified. This is mainly the case for requirements on resources (clause 6) and on the assessment process (clause 7). For all other chapters of ISO/IEC 17065 [1] few or no additional requirements are needed. The present document also incorporates many requirements relating to the audit of a TSP's management system, as defined in ISO/IEC 17021 [i.12] and in ISO/IEC 27006 [i.11]. These requirements are incorporated by including text to derived from these documents in the present document, as well indirectly through references to requirements of ISO/IEC 17021 [i.12].

SIST EN 319 403 V2.2.2:2016

ETSI ETSI EN 319 403 V2.2.2 (2015-08) 7 1 Scope The present document contains requirements for the competence, consistent operation and impartiality of conformity assessment bodies assessing and certifying conformity of trust service providers (TSPs) and the trust services they provide towards defined criteria against which they claim conformance. NOTE: Those requirements are independent of the type and class of trust service provided. The present document applies the general requirements of ISO/IEC 17065 [1] to the specific requirements of conformity assessment of TSPs. 2 References 2.1 Normative references References are either specific (identified by date of publication and/or edition number or version number) or non-specific. For specific references, only the cited version applies. For non-specific references, the latest version of the reference document (including any amendments) applies. Referenced documents which are not found to be publicly available in the expected location might be found at http://docbox.etsi.org/Reference. NOTE: While any hyperlinks included in this clause were valid at the time of publication, ETSI cannot guarantee their long term validity. The following referenced documents are necessary for the application of the present document. [1] ISO/IEC 17065: "Conformity assessment -- Requirements for bodies certifying products, processes and services". 2.2 Informative references References are either specific (identified by date of publication and/or edition number or version number) or non-specific. For specific references, only the cited version applies. For non-specific references, the latest version of the reference document (including any amendments) applies. NOTE: While any hyperlinks included in this clause were valid at the time of publication, ETSI cannot guarantee their long term validity. The following referenced documents are not necessary for the application of the present document but they assist the user with regard to a particular subject area. [i.1] Regulation 910/2014 of the European Parliament and of the Council of 23 July 2014 on electronic identification and trust services for electronic transactions in the internal market and repealing Directive 1999/93/EC. [i.2] ETSI EN 319 411-1: "Electronic Signatures and Infrastructures (ESI); Policy and security requirements for Trust Service Providers issuing certificates; Part 1: General Requirements for Trust Service Providers issuing certificates". [i.3] ETSI EN 319 411-2: "Electronic Signatures and Infrastructures (ESI); Policy and security requirements for Trust Service Providers issuing certificates; Part 2: Requirements for Trust Service Providers issuing qualified certificates". [i.4] EC Regulation No 765/2008 of the European Parliament and of the Council of 9 July 2008 setting out the requirements for accreditation and market surveillance relating to the marketing of products and repealing Regulation (EEC) No 339/93. [i.5] ISO/IEC 17000:2004: "Conformity assessment -- Vocabulary and general principles". [i.6] ETSI EN 319 401: "Electronic Signatures and Infrastructures (ESI); General Policy Requirements for Trust Service Providers supporting Electronic Signatures". SIST EN 319 403 V2.2.2:2016

ETSI ETSI EN 319 403 V2.2.2 (2015-08) 8 [i.7] ISO/IEC 15408: "Information technology -- Security techniques -- Evaluation criteria for IT security". [i.8] ISO/IEC 27001: "Information technology -- Security techniques -- Information security management systems -- Requirements". [i.9] ETSI EN 319 421: "Electronic Signatures and Infrastructures (ESI); Policy and Security Requirements for Trust Service Providers providing Time-Stamping Services". [i.10] CA/Browser Forum Baseline Requirements for the Issuance and Management of Publicly-Trusted Certificates. [i.11] ISO/IEC 27006: "Information technology -- Security techniques -- Requirements for bodies providing audit and certification of information security management systems". [i.12] ISO/IEC 17021: "Conformity assessment -- Requirements for bodies providing audit and certification of management systems". [i.13] ISO/IEC 27002: "Information technology -- Security techniques -- Code of practice for information security controls". 3 Definitions and abbreviations 3.1 Definitions For the purposes of the present document, the terms and definitions given in ISO/IEC 17065 [1] and the following apply: auditor: person who assesses conformity to requirements as specified in a given requirements document competence: ability to apply knowledge and skills to achieve intended results conformity assessment: process demonstrating whether specified requirements relating to a product, process, service, system, person or body have been fulfilled NOTE: From Regulation (EC) No 765/2008 [i.4] and section 2.1 of ISO/IEC 17000:2004 [i.5]. conformity assessment body: body that performs conformity assessment services which is accredited as competent to carry out conformity assessment of a qualified trust service provider and the qualified trust services it provides NOTE: This is equivalent to conformity assessment body as specified in point 13 Article 2 of Regulation (EC) No 765/2008 [i.4]. national accreditation body: sole body in a State that performs accreditation with authority derived from the State NOTE: This is equivalent to national accreditation body as specified in point 11 Article 2 of Regulation (EC) No 765/2008 [i.4]. technical expert: person who provides specific knowledge or expertise to the audit team NOTE 1: Specific knowledge or expertise relates to the organization, the process or activity to be audited, or language or culture. NOTE 2: A technical expert does not act as an auditor in the audit team. trust service: electronic service which enhances trust and confidence in electronic transactions NOTE: Such trust services are typically but not necessarily using cryptographic techniques or involving confidential material. Trust Service Provider (TSP): entity which provides one or more electronic trust services SIST EN 319 403 V2.2.2:2016

ETSI ETSI EN 319 403 V2.2.2 (2015-08) 9 3.2 Abbreviations For the purposes of the present document, the following abbreviations apply: CA Certification Authority CAB Conformity Assessment Body EC European Commission EU European Union ISMS Information Security Management System IT Information Technology TSP Trust Service Provider 4 General requirements 4.1 Legal and contractual matters 4.1.1 Legal responsibility The requirements from ISO/IEC 17065 [1], clause 4.1.1 shall apply. 4.1.2 Certification agreement The requirements from ISO/IEC 17065 [1], clause 4.1.2 shall apply. 4.1.3 Use of license, certificates and marks of conformity The requirements from ISO/IEC 17065 [1], clause 4.1.3 shall apply. 4.2 Management of impartiality 4.2.0 General requirements The requirements from ISO/IEC 17065 [1], clause 4.2 shall apply. In addition, the following TSP-specific requirements and guidance apply. 4.2.1 Activities not conflicting with impartiality Conformity Assessment Bodies and its personnel may carry out additional activities provided they do not constitute a risk to its impartiality. These activities may include but are not limited to: a) organizing and participating in information meetings about the certification scheme in general; b) arranging and participating as a lecturer in training courses, provided that, where these courses relate to TSPs, related security controls or auditing, lecturers shall confine themselves to the provision of generic information and advice which is publicly available; c) activities prior to audit, solely aimed at determining readiness for audit; however, such activities shall not result in the provision of recommendations or advice for specific solutions and shall not result in a reduction in the eventual audit duration; d) performing third party audits according to standards, publicly available specifications or regulatory requirements other than those being part of the scope of accreditation; or e) adding value during audits. EXAMPLE: Adding value during audits includes identifying opportunities for improvement, as they become evident during the audit, without recommending specific solutions. 4.3 Liability and financing The requirements from ISO/IEC 17065 [1], clause 4.3 shall apply. SIST EN 319 403 V2.2.2:2016

ETSI ETSI EN 319 403 V2.2.2 (2015-08) 10 4.4 Non-discriminatory conditions The requirements from ISO/IEC 17065 [1], clause 4.4 shall apply. 4.5 Confidentiality The requirem

...

ETSI EN 319 403 V2.2.2 (2015-08)
EUROPEAN STANDARD
Electronic Signatures and Infrastructures (ESI);
Trust Service Provider Conformity Assessment -
Requirements for conformity assessment bodies
assessing Trust Service Providers
---------------------- Page: 1 ----------------------
2 ETSI EN 319 403 V2.2.2 (2015-08)
Reference
REN/ESI-0019403
Keywords
conformity, e-commerce, electronic signature,
security, trust services
ETSI
650 Route des Lucioles
F-06921 Sophia Antipolis Cedex - FRANCE
Tel.: +33 4 92 94 42 00 Fax: +33 4 93 65 47 16
Siret N° 348 623 562 00017 - NAF 742 C
Association à but non lucratif enregistrée à la
Sous-Préfecture de Grasse (06) N° 7803/88
Important notice
The present document can be downloaded from:
http://www.etsi.org/standards-search

The present document may be made available in electronic versions and/or in print. The content of any electronic and/or

print versions of the present document shall not be modified without the prior written authorization of ETSI. In case of any

existing or perceived difference in contents between such versions and/or in print, the only prevailing document is the

print of the Portable Document Format (PDF) version kept on a specific network drive within ETSI Secretariat.

Users of the present document should be aware that the document may be subject to revision or change of status.

Information on the current status of this and other ETSI documents is available at

http://portal.etsi.org/tb/status/status.asp

If you find errors in the present document, please send your comment to one of the following services:

https://portal.etsi.org/People/CommiteeSupportStaff.aspx
Copyright Notification

No part may be reproduced or utilized in any form or by any means, electronic or mechanical, including photocopying

and microfilm except as authorized by written permission of ETSI.

The content of the PDF version shall not be modified without the written authorization of ETSI.

The copyright and the foregoing restriction extend to reproduction in all media.
© European Telecommunications Standards Institute 2015.
All rights reserved.
TM TM TM

DECT , PLUGTESTS , UMTS and the ETSI logo are Trade Marks of ETSI registered for the benefit of its Members.

3GPP and LTE™ are Trade Marks of ETSI registered for the benefit of its Members and

of the 3GPP Organizational Partners.

GSM® and the GSM logo are Trade Marks registered and owned by the GSM Association.

ETSI
---------------------- Page: 2 ----------------------
3 ETSI EN 319 403 V2.2.2 (2015-08)
Contents

Intellectual Property Rights ................................................................................................................................ 5

Foreword ............................................................................................................................................................. 5

Modal verbs terminology .................................................................................................................................... 5

Introduction ........................................................................................................................................................ 5

1 Scope ........................................................................................................................................................ 7

2 References ................................................................................................................................................ 7

2.1 Normative references ......................................................................................................................................... 7

2.2 Informative references ........................................................................................................................................ 7

3 Definitions and abbreviations ................................................................................................................... 8

3.1 Definitions .......................................................................................................................................................... 8

3.2 Abbreviations ..................................................................................................................................................... 9

4 General requirements ............................................................................................................................... 9

4.1 Legal and contractual matters ............................................................................................................................. 9

4.1.1 Legal responsibility....................................................................................................................................... 9

4.1.2 Certification agreement ................................................................................................................................. 9

4.1.3 Use of license, certificates and marks of conformity .................................................................................... 9

4.2 Management of impartiality ............................................................................................................................... 9

4.2.0 General requirements .................................................................................................................................... 9

4.2.1 Activities not conflicting with impartiality ................................................................................................... 9

4.3 Liability and financing ....................................................................................................................................... 9

4.4 Non-discriminatory conditions ......................................................................................................................... 10

4.5 Confidentiality .................................................................................................................................................. 10

4.6 Publicly available information ......................................................................................................................... 10

5 Structural requirements .......................................................................................................................... 10

5.1 Organizational structure and top management ................................................................................................. 10

5.2 Mechanism for safeguarding impartiality ......................................................................................................... 10

6 Resource requirements ........................................................................................................................... 10

6.1 Conformity Assessment Body personnel ......................................................................................................... 10

6.1.1 General ........................................................................................................................................................ 10

6.1.2 Management of competence for personnel involved in the audit process................................................... 10

6.1.2.0 General requirements ............................................................................................................................ 10

6.1.2.1 Management of competence.................................................................................................................. 10

6.1.2.2 Training of audit teams ......................................................................................................................... 10

6.2 Resources for evaluation .................................................................................................................................. 11

6.2.0 General requirements .................................................................................................................................. 11

6.2.1 Internal resources ........................................................................................................................................ 11

6.2.1.0 General requirement .............................................................................................................................. 11

6.2.1.1 Competence of Conformity Assessment Body personnel ..................................................................... 11

6.2.1.2 Competences for all functions ............................................................................................................... 11

6.2.1.3 Competences for application review ..................................................................................................... 11

6.2.1.4 Competences and prerequisites for auditing.......................................................................................... 12

6.2.1.5 Competences for review ........................................................................................................................ 12

6.2.1.6 Competences for certification decision ................................................................................................. 12

6.2.1.7 Competences for Technical Experts ...................................................................................................... 12

6.2.1.8 Audit team ............................................................................................................................................. 13

6.2.1.9 Audit team leader .................................................................................................................................. 13

7 Process requirements .............................................................................................................................. 13

7.1 General requirements ....................................................................................................................................... 13

7.2 Application ....................................................................................................................................................... 14

7.3 Application Review .......................................................................................................................................... 14

7.4 Audit ................................................................................................................................................................. 14

7.4.0 General requirements .................................................................................................................................. 14

ETSI
---------------------- Page: 3 ----------------------
4 ETSI EN 319 403 V2.2.2 (2015-08)

7.4.1 Audit Scope ................................................................................................................................................ 14

7.4.1.0 Audit Scope General ............................................................................................................................. 14

7.4.1.1 Audit Team Mandate............................................................................................................................. 15

7.4.1.2 Audit Methodology ............................................................................................................................... 15

7.4.2 Audit time ................................................................................................................................................... 15

7.4.3 Multiple sites .............................................................................................................................................. 16

7.4.3.1 When to Consider Sample Based Approach ......................................................................................... 16

7.4.3.2 Requirements of Sample Based Approach ............................................................................................ 16

7.4.4 Audit Report ............................................................................................................................................... 17

7.4.4.1 Report contents ..................................................................................................................................... 17

7.4.4.2 Report contents details to be provided .................................................................................................. 17

7.4.5 Audit process .............................................................................................................................................. 18

7.4.5.1 General preparation for the initial audit ................................................................................................ 18

7.4.5.2 Audit Process ........................................................................................................................................ 18

7.4.5.3 Stage 1 audit .......................................................................................................................................... 18

7.4.5.4 Stage 2 audit .......................................................................................................................................... 19

7.4.6 Audit Frequency ......................................................................................................................................... 19

7.5 Review .............................................................................................................................................................. 19

7.6 Certification decision ....................................................................................................................................... 20

7.7 Certification documentation ............................................................................................................................. 20

7.8 Directory of certified products ......................................................................................................................... 20

7.9 Surveillance ...................................................................................................................................................... 20

7.10 Changes affecting certification ......................................................................................................................... 21

7.11 Termination, reduction, suspension or withdrawal of certification .................................................................. 21

7.12 Records ............................................................................................................................................................. 21

7.13 Complaints and appeals .................................................................................................................................... 21

8 Management system requirements ......................................................................................................... 21

8.1 Options ............................................................................................................................................................. 21

8.2 General management system documentation ................................................................................................... 21

8.3 Control of documents ....................................................................................................................................... 21

8.4 Control of records ............................................................................................................................................. 22

8.5 Management review ......................................................................................................................................... 22

8.6 Internal audits ................................................................................................................................................... 22

8.7 Corrective actions ............................................................................................................................................. 22

8.8 Preventive actions............................................................................................................................................. 22

Annex A (informative): Auditors' code of conduct .............................................................................. 23

Annex B (informative): Bibliography ................................................................................................... 24

History .............................................................................................................................................................. 25

ETSI
---------------------- Page: 4 ----------------------
5 ETSI EN 319 403 V2.2.2 (2015-08)
Intellectual Property Rights

IPRs essential or potentially essential to the present document may have been declared to ETSI. The information

pertaining to these essential IPRs, if any, is publicly available for ETSI members and non-members, and can be found

in ETSI SR 000 314: "Intellectual Property Rights (IPRs); Essential, or potentially Essential, IPRs notified to ETSI in

respect of ETSI standards", which is available from the ETSI Secretariat. Latest updates are available on the ETSI Web

server (http://ipr.etsi.org).

Pursuant to the ETSI IPR Policy, no investigation, including IPR searches, has been carried out by ETSI. No guarantee

can be given as to the existence of other IPRs not referenced in ETSI SR 000 314 (or the updates on the ETSI Web

server) which are, or may be, or may become, essential to the present document.
Foreword

This European Standard (EN) has been produced by ETSI Technical Committee Electronic Signatures and

Infrastructures (ESI).
National transposition dates
Date of adoption of this EN: 21 August 2015
Date of latest announcement of this EN (doa): 30 November 2015
Date of latest publication of new National Standard
or endorsement of this EN (dop/e): 31 May 2016
Date of withdrawal of any conflicting National Standard (dow): 30 June 2017
Modal verbs terminology

In the present document "shall", "shall not", "should", "should not", "may", "need not", "will", "will not", "can" and

"cannot" are to be interpreted as described in clause 3.2 of the ETSI Drafting Rules (Verbal forms for the expression of

provisions).

"must" and "must not" are NOT allowed in ETSI deliverables except when used in direct citation.

Introduction

ISO/IEC 17065 [1] is an international standard which specifies general requirements for conformity assessment bodies

(CABs) performing certification of products, processes, or services. These requirements are not focussed on any

specific application domain where CABs work.

In the present document the general requirements are supplemented to provide additional dedicated requirements for

CABs performing certification of Trust Service Providers (TSPs) and the trust services they provide towards defined

criteria against which they claim conformance.

The present document is aiming to meet the general requirements of the international community to provide trust and

confidence in electronic transactions including, amongst others, applicable requirements from Regulation (EU)

No 910/2014 [i.1], and from CA Browser Forum [i.10].

The present document's aims include support of national accreditation bodies as specified in Regulation (EC)

No. 765/2008 [i.4] in applying ISO/IEC 17065 [1] for the accreditation of CABs that certify TSPs and the trust services

they provide so that this is carried out in a consistent manner. In accordance with [i.4], attestations issued by conformity

assessment bodies accredited by a national accreditation body can be formally recognized across Europe.

ETSI
---------------------- Page: 5 ----------------------
6 ETSI EN 319 403 V2.2.2 (2015-08)

The present document does not repeat requirements from ISO/IEC 17065 [1] but follows its document structure. Where

needed, additional requirements are specified. This is mainly the case for requirements on resources (clause 6) and on

the assessment process (clause 7). For all other chapters of ISO/IEC 17065 [1] few or no additional requirements are

needed.

The present document also incorporates many requirements relating to the audit of a TSP's management system, as

defined in ISO/IEC 17021 [i.12] and in ISO/IEC 27006 [i.11]. These requirements are incorporated by including text to

derived from these documents in the present document, as well indirectly through references to requirements of

ISO/IEC 17021 [i.12].
ETSI
---------------------- Page: 6 ----------------------
7 ETSI EN 319 403 V2.2.2 (2015-08)
1 Scope

The present document contains requirements for the competence, consistent operation and impartiality of conformity

assessment bodies assessing and certifying conformity of trust service providers (TSPs) and the trust services they

provide towards defined criteria against which they claim conformance.

NOTE: Those requirements are independent of the type and class of trust service provided.

The present document applies the general requirements of ISO/IEC 17065 [1] to the specific requirements of

conformity assessment of TSPs.
2 References
2.1 Normative references

References are either specific (identified by date of publication and/or edition number or version number) or

non-specific. For specific references, only the cited version applies. For non-specific references, the latest version of the

reference document (including any amendments) applies.

Referenced documents which are not found to be publicly available in the expected location might be found at

http://docbox.etsi.org/Reference.

NOTE: While any hyperlinks included in this clause were valid at the time of publication, ETSI cannot guarantee

their long term validity.

The following referenced documents are necessary for the application of the present document.

[1] ISO/IEC 17065: "Conformity assessment -- Requirements for bodies certifying products,

processes and services".
2.2 Informative references

References are either specific (identified by date of publication and/or edition number or version number) or

non-specific. For specific references, only the cited version applies. For non-specific references, the latest version of the

reference document (including any amendments) applies.

NOTE: While any hyperlinks included in this clause were valid at the time of publication, ETSI cannot guarantee

their long term validity.

The following referenced documents are not necessary for the application of the present document but they assist the

user with regard to a particular subject area.

[i.1] Regulation 910/2014 of the European Parliament and of the Council of 23 July 2014 on electronic

identification and trust services for electronic transactions in the internal market and repealing

Directive 1999/93/EC.

[i.2] ETSI EN 319 411-1: "Electronic Signatures and Infrastructures (ESI); Policy and security

requirements for Trust Service Providers issuing certificates; Part 1: General Requirements for

Trust Service Providers issuing certificates".

[i.3] ETSI EN 319 411-2: "Electronic Signatures and Infrastructures (ESI); Policy and security

requirements for Trust Service Providers issuing certificates; Part 2: Requirements for Trust

Service Providers issuing qualified certificates".

[i.4] EC Regulation No 765/2008 of the European Parliament and of the Council of 9 July 2008 setting

out the requirements for accreditation and market surveillance relating to the marketing of

products and repealing Regulation (EEC) No 339/93.

[i.5] ISO/IEC 17000:2004: "Conformity assessment -- Vocabulary and general principles".

[i.6] ETSI EN 319 401: "Electronic Signatures and Infrastructures (ESI); General Policy Requirements

for Trust Service Providers supporting Electronic Signatures".
ETSI
---------------------- Page: 7 ----------------------
8 ETSI EN 319 403 V2.2.2 (2015-08)

[i.7] ISO/IEC 15408: "Information technology -- Security techniques -- Evaluation criteria for IT

security".

[i.8] ISO/IEC 27001: "Information technology -- Security techniques -- Information security

management systems -- Requirements".

[i.9] ETSI EN 319 421: "Electronic Signatures and Infrastructures (ESI); Policy and Security

Requirements for Trust Service Providers providing Time-Stamping Services".

[i.10] CA/Browser Forum Baseline Requirements for the Issuance and Management of Publicly-Trusted

Certificates.

[i.11] ISO/IEC 27006: "Information technology -- Security techniques -- Requirements for bodies

providing audit and certification of information security management systems".

[i.12] ISO/IEC 17021: "Conformity assessment -- Requirements for bodies providing audit and

certification of management systems".

[i.13] ISO/IEC 27002: "Information technology -- Security techniques -- Code of practice for

information security controls".
3 Definitions and abbreviations
3.1 Definitions

For the purposes of the present document, the terms and definitions given in ISO/IEC 17065 [1] and the following

apply:

auditor: person who assesses conformity to requirements as specified in a given requirements document

competence: ability to apply knowledge and skills to achieve intended results

conformity assessment: process demonstrating whether specified requirements relating to a product, process, service,

system, person or body have been fulfilled

NOTE: From Regulation (EC) No 765/2008 [i.4] and section 2.1 of ISO/IEC 17000:2004 [i.5].

conformity assessment body: body that performs conformity assessment services which is accredited as competent to

carry out conformity assessment of a qualified trust service provider and the qualified trust services it provides

NOTE: This is equivalent to conformity assessment body as specified in point 13 Article 2 of Regulation (EC)

No 765/2008 [i.4].

national accreditation body: sole body in a State that performs accreditation with authority derived from the State

NOTE: This is equivalent to national accreditation body as specified in point 11 Article 2 of Regulation (EC)

No 765/2008 [i.4].

technical expert: person who provides specific knowledge or expertise to the audit team

NOTE 1: Specific knowledge or expertise relates to the organization, the process or activity to be audited, or

language or culture.
NOTE 2: A technical expert does not act as an auditor in the audit team.

trust service: electronic service which enhances trust and confidence in electronic transactions

NOTE: Such trust services are typically but not necessarily using cryptographic techniques or involving

confidential material.

Trust Service Provider (TSP): entity which provides one or more electronic trust services

ETSI
---------------------- Page: 8 ----------------------
9 ETSI EN 319 403 V2.2.2 (2015-08)
3.2 Abbreviations
For the purposes of the present document, the following abbreviations apply:
CA Certification Authority
CAB Conformity Assessment Body
EC European Commission
EU European Union
ISMS Information Security Management System
IT Information Technology
TSP Trust Service Provider
4 General requirements
4.1 Legal and contractual matters
4.1.1 Legal responsibility
The requirements from ISO/IEC 17065 [1], clause 4.1.1 shall apply.
4.1.2 Certification agreement
The requirements from ISO/IEC 17065 [1], clause 4.1.2 shall apply.
4.1.3 Use of license, certificates and marks of conformity
The requirements from ISO/IEC 17065 [1], clause 4.1.3 shall apply.
4.2 Management of impartiality
4.2.0 General requirements

The requirements from ISO/IEC 17065 [1], clause 4.2 shall apply. In addition, the following TSP-specific requirements

and guidance apply.
4.2.1 Activities not conflicting with impartiality

Conformity Assessment Bodies and its personnel may carry out additional activities provided they do not constitute a

risk to its impartiality. These activities may include but are not limited to:

a) organizing and participating in information meetings about the certification scheme in general;

b) arranging and participating as a lecturer in training courses, provided that, where these courses relate to TSPs,

related security controls or auditing, lecturers shall confine themselves to the provision of generic information

and advice which is publicly available;

c) activities prior to audit, solely aimed at determining readiness for audit; however, such activities shall not

result in the provision of recommendations or advice for specific solutions and shall not result in a reduction in

the eventual audit duration;

d) performing third party audits according to standards, publicly available specifications or regulatory

requirements other than those being part of the scope of accreditation; or
e) adding value during audits.

EXAMPLE: Adding value during audits includes identifying opportunities for improvement, as they become

evident during the audit, without recommending specific solutions.
4.3 Liability and financing
The requirements from ISO/IEC 17065 [1], clause 4.3 shall apply.
ETSI
---------------------- Page: 9 ----------------------
10 ETSI EN 319 403 V2.2.2 (2015-08)
4.4 Non-discriminatory conditions
The requirements from ISO/IEC 17065 [1], clause 4.4 shall apply.
4.5 Confidentiality
The requirements from ISO/IEC 17065 [1], clause 4.5 shall apply.
4.6 Publicly available information
The requirements from ISO/IEC 17065 [1], clause 4.6 shall apply.
5 Structural requirements
...

Final draft ETSI EN 319 403 V2.2.0 (2015-06)
EUROPEAN STANDARD
Electronic Signatures and Infrastructures (ESI);
Trust Service Provider Conformity Assessment -
Requirements for conformity assessment bodies
assessing Trust Service Providers
---------------------- Page: 1 ----------------------
2 Final draft ETSI EN 319 403 V2.2.0 (2015-06)
Reference
REN/ESI-0019403
Keywords
conformity, e-commerce, electronic signature,
security, trust services
ETSI
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ETSI
---------------------- Page: 2 ----------------------
3 Final draft ETSI EN 319 403 V2.2.0 (2015-06)
Contents

Intellectual Property Rights ................................................................................................................................ 5

Foreword ............................................................................................................................................................. 5

Modal verbs terminology .................................................................................................................................... 5

Introduction ........................................................................................................................................................ 5

1 Scope ........................................................................................................................................................ 7

2 References ................................................................................................................................................ 7

2.1 Normative references ......................................................................................................................................... 7

2.2 Informative references ........................................................................................................................................ 7

3 Definitions and abbreviations ................................................................................................................... 8

3.1 Definitions .......................................................................................................................................................... 8

3.2 Abbreviations ..................................................................................................................................................... 9

4 General requirements ............................................................................................................................... 9

4.1 Legal and contractual matters ............................................................................................................................. 9

4.1.1 Legal responsibility....................................................................................................................................... 9

4.1.2 Certification agreement ................................................................................................................................. 9

4.1.3 Use of license, certificates and marks of conformity .................................................................................... 9

4.2 Management of impartiality ............................................................................................................................... 9

4.2.0 General requirements .................................................................................................................................... 9

4.2.1 Activities not conflicting with impartiality ................................................................................................... 9

4.3 Liability and financing ....................................................................................................................................... 9

4.4 Non-discriminatory conditions ......................................................................................................................... 10

4.5 Confidentiality .................................................................................................................................................. 10

4.6 Publicly available information ......................................................................................................................... 10

5 Structural requirements .......................................................................................................................... 10

5.1 Organizational structure and top management ................................................................................................. 10

5.2 Mechanism for safeguarding impartiality ......................................................................................................... 10

6 Resource requirements ........................................................................................................................... 10

6.1 Conformity Assessment Body personnel ......................................................................................................... 10

6.1.1 General ........................................................................................................................................................ 10

6.1.2 Management of competence for personnel involved in the audit process................................................... 10

6.1.2.0 General requirements ............................................................................................................................ 10

6.1.2.1 Management of competence.................................................................................................................. 10

6.1.2.2 Training of audit teams ......................................................................................................................... 10

6.2 Resources for evaluation .................................................................................................................................. 11

6.2.0 General requirements .................................................................................................................................. 11

6.2.1 Internal resources ........................................................................................................................................ 11

6.2.1.0 General requirement .............................................................................................................................. 11

6.2.1.1 Competence of Conformity Assessment Body personnel ..................................................................... 11

6.2.1.2 Competences for all functions ............................................................................................................... 11

6.2.1.3 Competences for application review ..................................................................................................... 11

6.2.1.4 Competences and prerequisites for auditing.......................................................................................... 12

6.2.1.5 Competences for review ........................................................................................................................ 12

6.2.1.6 Competences for certification decision ................................................................................................. 12

6.2.1.7 Competences for Technical Experts ...................................................................................................... 12

6.2.1.8 Audit team ............................................................................................................................................. 13

6.2.1.9 Audit team leader .................................................................................................................................. 13

7 Process requirements .............................................................................................................................. 14

7.1 General requirements ....................................................................................................................................... 14

7.2 Application ....................................................................................................................................................... 14

7.3 Application Review .......................................................................................................................................... 14

7.3.0 General requirements .................................................................................................................................. 14

7.4 Audit ................................................................................................................................................................. 14

ETSI
---------------------- Page: 3 ----------------------
4 Final draft ETSI EN 319 403 V2.2.0 (2015-06)

7.4.0 General requirements .................................................................................................................................. 14

7.4.1 Audit Scope ................................................................................................................................................ 14

7.4.1.0 Audit Scope General ............................................................................................................................. 14

7.4.1.1 Audit Team Mandate............................................................................................................................. 15

7.4.1.2 Audit Methodology ............................................................................................................................... 15

7.4.2 Audit time ................................................................................................................................................... 16

7.4.3 Multiple sites .............................................................................................................................................. 16

7.4.3.1 When to Consider Sample Based Approach ......................................................................................... 16

7.4.3.2 Requirements of Sample Based Approach ............................................................................................ 16

7.4.4 Audit Report ............................................................................................................................................... 17

7.4.4.1 Report contents ..................................................................................................................................... 17

7.4.4.2 Report contents details to be provided .................................................................................................. 17

7.4.5 Audit process .............................................................................................................................................. 18

7.4.5.1 General preparation for the initial audit ................................................................................................ 18

7.4.5.2 Audit Process ........................................................................................................................................ 18

7.4.5.3 Stage 1 audit .......................................................................................................................................... 18

7.4.5.4 Stage 2 audit .......................................................................................................................................... 19

7.4.6 Audit Frequency ......................................................................................................................................... 20

7.5 Review .............................................................................................................................................................. 20

7.6 Certification decision ....................................................................................................................................... 20

7.7 Certification documentation ............................................................................................................................. 20

7.8 Directory of certified products ......................................................................................................................... 20

7.9 Surveillance ...................................................................................................................................................... 20

7.10 Changes affecting certification ......................................................................................................................... 21

7.11 Termination, reduction, suspension or withdrawal of certification .................................................................. 21

7.12 Records ............................................................................................................................................................. 21

7.13 Complaints and appeals .................................................................................................................................... 22

8 Management system requirements ......................................................................................................... 22

8.1 Options ............................................................................................................................................................. 22

8.2 General management system documentation ................................................................................................... 22

8.3 Control of documents ....................................................................................................................................... 22

8.4 Control of records ............................................................................................................................................. 22

8.5 Management review ......................................................................................................................................... 22

8.6 Internal audits ................................................................................................................................................... 22

8.7 Corrective actions ............................................................................................................................................. 22

8.8 Preventive actions............................................................................................................................................. 22

Annex A (informative): Auditors' code of conduct .............................................................................. 23

Annex B (informative): Bibliography ................................................................................................... 24

History .............................................................................................................................................................. 25

ETSI
---------------------- Page: 4 ----------------------
5 Final draft ETSI EN 319 403 V2.2.0 (2015-06)
Intellectual Property Rights

IPRs essential or potentially essential to the present document may have been declared to ETSI. The information

pertaining to these essential IPRs, if any, is publicly available for ETSI members and non-members, and can be found

in ETSI SR 000 314: "Intellectual Property Rights (IPRs); Essential, or potentially Essential, IPRs notified to ETSI in

respect of ETSI standards", which is available from the ETSI Secretariat. Latest updates are available on the ETSI Web

server (http://ipr.etsi.org).

Pursuant to the ETSI IPR Policy, no investigation, including IPR searches, has been carried out by ETSI. No guarantee

can be given as to the existence of other IPRs not referenced in ETSI SR 000 314 (or the updates on the ETSI Web

server) which are, or may be, or may become, essential to the present document.
Foreword

This final draft European Standard (EN) has been produced by ETSI Technical Committee Electronic Signatures and

Infrastructures (ESI), and is now submitted for the Vote phase of the ETSI standards EN Approval Procedure.

Proposed national transposition dates
Date of latest announcement of this EN (doa): 3 months after ETSI publication
Date of latest publication of new National Standard
or endorsement of this EN (dop/e): 6 months after doa

Date of withdrawal of any conflicting National Standard (dow): 18 months after doa

Modal verbs terminology

In the present document "shall", "shall not", "should", "should not", "may", "need not", "will", "will not", "can" and

(Verbal forms for the expression of

"cannot" are to be interpreted as described in clause 3.2 of the ETSI Drafting Rules

provisions).

"must" and "must not" are NOT allowed in ETSI deliverables except when used in direct citation.

Introduction

ISO/IEC 17065 [1] is an international standard which specifies general requirements for conformity assessment bodies

(CABs) performing certification of products, processes, or services. These requirements are not focussed on any

specific application domain where CABs work.

In the present document the general requirements are supplemented to provide additional dedicated requirements for

CABs performing certification of Trust Service Providers (TSPs) and the trust services they provide towards defined

criteria against which they claim conformance.

The present document is aiming to meet the general requirements of the international community to provide trust and

confidence in electronic transactions including, amongst others, applicable requirements from Regulation (EU)

No 910/2014 [i.1], and from CA Browser Forum [i.10].

The present document's aims include support of national accreditation bodies as specified in Regulation (EC)

No. 765/2008 [i.4] in applying ISO/IEC 17065 [1] for the accreditation of CABs that certify TSPs and the trust services

they provide so that this is carried out in a consistent manner. In accordance with [i.4], attestations issued by conformity

assessment bodies accredited by a national accreditation body can be formally recognized across Europe.

The present document does not repeat requirements from ISO/IEC 17065 [1] but follows its document structure. Where

needed, additional requirements are specified. This is mainly the case for requirements on resources (clause 6) and on

the assessment process (clause 7). For all other chapters of ISO/IEC 17065 [1] few or no additional requirements are

needed.
ETSI
---------------------- Page: 5 ----------------------
6 Final draft ETSI EN 319 403 V2.2.0 (2015-06)

The present document also incorporates many requirements relating to the audit of a TSP’s management system, as

defined in ISO/IEC 17021 [i.12]. In particular this relates to the information security management system (ISMS), as

defined in ISO/IEC 27006 [i.11]. These requirements are incorporated by including text to derived from these

documents in the present document, as well indirectly through references to requirements of ISO/IEC 17021 [i.12].

ETSI
---------------------- Page: 6 ----------------------
7 Final draft ETSI EN 319 403 V2.2.0 (2015-06)
1 Scope

The present document contains requirements for the competence, consistent operation and impartiality of conformity

assessment bodies assessing and certifying conformity of trust service providers (TSPs) and the trust services they

provide towards defined criteria against which they claim conformance.

NOTE: Those requirements are independent of the type and class of trust service provided.

The present document applies the general requirements of ISO/IEC 17065 [1] to the specific requirements of

conformity assessment of TSPs.
2 References
2.1 Normative references

References are either specific (identified by date of publication and/or edition number or version number) or

non-specific. For specific references, only the cited version applies. For non-specific references, the latest version of the

reference document (including any amendments) applies.

Referenced documents which are not found to be publicly available in the expected location might be found at

http://docbox.etsi.org/Reference.

NOTE: While any hyperlinks included in this clause were valid at the time of publication, ETSI cannot guarantee

their long term validity.

The following referenced documents are necessary for the application of the present document.

[1] ISO/IEC 17065: "Conformity assessment - Requirements for bodies certifying products, processes

and services".
2.2 Informative references

References are either specific (identified by date of publication and/or edition number or version number) or

non-specific. For specific references, only the cited version applies. For non-specific references, the latest version of the

reference document (including any amendments) applies.

NOTE: While any hyperlinks included in this clause were valid at the time of publication, ETSI cannot guarantee

their long term validity.

The following referenced documents are not necessary for the application of the present document but they assist the

user with regard to a particular subject area.

[i.1] Regulation 910/2014 of the European Parliament and of the Council of 23 July 2014 on electronic

identification and trust services for electronic transactions in the internal market and repealing

Directive 1999/93/EC.

[i.2] ETSI EN 319 411-1: "Electronic Signatures and Infrastructures (ESI); Policy and security

requirements for Trust Service Providers issuing certificates; Part 1: General Requirements for

Trust Service Providers issuing certificates".

[i.3] ETSI EN 319 411-2: "Electronic Signatures and Infrastructures (ESI); Policy and security

requirements for Trust Service Providers issuing certificates; Part 2: Requirements for Trust

Service Providers issuing qualified certificates".

[i.4] EC Regulation No 765/2008 of the European Parliament and of the Council of 9 July 2008 setting

out the requirements for accreditation and market surveillance relating to the marketing of

products and repealing Regulation (EEC) No 339/93.

[i.5] ISO/IEC 17000:2004: "Conformity assessment - Vocabulary and general principles".

[i.6] ETSI EN 319 401: "Electronic Signatures and Infrastructures (ESI); General Policy Requirements

for Trust Service Providers supporting Electronic Signatures".
ETSI
---------------------- Page: 7 ----------------------
8 Final draft ETSI EN 319 403 V2.2.0 (2015-06)

[i.7] ISO/IEC 15408: "Information technology -- Security techniques -- Evaluation criteria for IT

security".

[i.8] ISO/IEC 27001: "Information technology -- Security techniques -- Information security

management systems -- Requirements".

[i.9] ETSI EN 319 421: "Electronic Signatures and Infrastructures (ESI); Policy and Security

Requirements for Trust Service Providers providing Time-Stamping Services".

[i.10] CA/Browser Forum Baseline Requirements for the Issuance and Management of Publicly-Trusted

Certificates.

[i.11] ISO/IEC 27006: "Information technology - Security techniques - Requirements for bodies

providing audit and certification of information security management systems.

[i.12] ISO/IEC 17021: Conformity assessment - Requirements for bodies providing audit and

certification of management systems.

[i.13] ISO/IEC 27002: "Information technology -- Security techniques -- Code of practice for

information security controls".
3 Definitions and abbreviations
3.1 Definitions

For the purposes of the present document, the terms and definitions given in ISO/IEC 17065 [1] and the following

apply:

auditor: person who assesses conformity to requirements as specified in a given requirements document

competence: ability to apply knowledge and skills to achieve intended results

conformity assessment: process demonstrating whether specified requirements relating to a product, process, service,

system, person or body have been fulfilled

NOTE: From Regulation (EC) No 765/2008 [i.4] and section 2.1 of ISO/IEC 17000:2004 [i.5].

conformity assessment body: body that performs conformity assessment services which is accredited as competent to

carry out conformity assessment of a qualified trust service provider and the qualified trust services it provides

NOTE: This is equivalent to conformity assessment body as specified in point 13 Article 2 of Regulation (EC)

No 765/2008 [i.4].

national accreditation body: sole body in a State that performs accreditation with authority derived from the State

NOTE: This is equivalent to national accreditation body as specified in point 11 Article 2 of Regulation (EC)

No 765/2008 [i.4].

technical expert: person who provides specific knowledge or expertise to the audit team

NOTE 1: Specific knowledge or expertise relates to the organization, the process or activity to be audited, or

language or culture.
NOTE 2: A technical expert does not act as an auditor in the audit team.

trust service: electronic service which enhances trust and confidence in electronic transactions

NOTE: Such trust services are typically but not necessarily using cryptographic techniques or involving

confidential material.

Trust Service Provider (TSP): entity which provides one or more electronic trust services

ETSI
---------------------- Page: 8 ----------------------
9 Final draft ETSI EN 319 403 V2.2.0 (2015-06)
3.2 Abbreviations
For the purposes of the present document, the following abbreviations apply:
CA Certification Authority
CAB Conformity Assessment Body
EC European Commission
EU European Union
ISMS Information Security Management System
IT Information Technology
TSP Trust Service Provider
4 General requirements
4.1 Legal and contractual matters
4.1.1 Legal responsibility
The requirements from ISO/IEC 17065 [1], clause 4.1.1 shall apply.
4.1.2 Certification agreement
The requirements from ISO/IEC 17065 [1], clause 4.1.2 shall apply.
4.1.3 Use of license, certificates and marks of conformity
The requirements from ISO/IEC 17065 [1], clause 4.1.3 shall apply.
4.2 Management of impartiality
4.2.0 General requirements

The requirements from ISO/IEC 17065 [1], clause 4.2 shall apply. In addition, the following TSP-specific requirements

and guidance apply.
4.2.1 Activities not conflicting with impartiality

Conformity Assessment Bodies and its personnel may carry out additional activities provided they do not constitute a

risk to its impartiality. These activities may include but are not limited to:

a) organizing and participating in information meetings about the certification scheme in general;

b) arranging and participating as a lecturer in training courses, provided that, where these courses relate to TSPs,

related security controls or auditing, lecturers shall confine themselves to the provision of generic information

and advice which is publicly available;

c) activities prior to audit, solely aimed at determining readiness for audit; however, such activities shall not

result in the provision of recommendations or advice for specific solutions and shall not result in a reduction in

the eventual audit duration;

d) performing third party audits according to standards, publicly available specifications or regulatory

requirements other than those being part of the scope of accreditation; or
e) adding value during audits.

EXAMPLE: Adding value during audits includes identifying opportunities for improvement, as they become

evident during the audit, without recommending specific solutions.
4.3 Liability and financing
The requirements from ISO/IEC 17065 [1], clau
...

Draft ETSI EN 319 403 V2.1.1 (2014-12)
EUROPEAN STANDARD
Electronic Signatures and Infrastructures (ESI);
Trust Service Provider Conformity Assessment -
Requirements for conformity assessment bodies assessing
Trust Service Providers
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2 Draft ETSI EN 319 403 V2.1.1 (2014-12)
Reference
REN/ESI-0019403
Keywords
conformity, e-commerce, electronic signature,
security, trust services
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ETSI
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3 Draft ETSI EN 319 403 V2.1.1 (2014-12)
Contents

Intellectual Property Rights ................................................................................................................................ 5

Foreword ............................................................................................................................................................. 5

Modal verbs terminology .................................................................................................................................... 5

Introduction ........................................................................................................................................................ 5

1 Scope ........................................................................................................................................................ 7

2 References ................................................................................................................................................ 7

2.1 Normative references ......................................................................................................................................... 7

2.2 Informative references ........................................................................................................................................ 7

3 Definitions and abbreviations ................................................................................................................... 8

3.1 Definitions .......................................................................................................................................................... 8

3.2 Abbreviations ..................................................................................................................................................... 8

4 General requirements ............................................................................................................................... 9

4.1 Legal and contractual matters ............................................................................................................................. 9

4.1.1 Legal responsibility....................................................................................................................................... 9

4.1.2 Certification agreement ................................................................................................................................. 9

4.1.3 Use of license, certificates and marks of conformity .................................................................................... 9

4.2 Management of impartiality ............................................................................................................................... 9

4.2.1 Activities not conflicting with impartiality ................................................................................................... 9

4.3 Liability and financing ....................................................................................................................................... 9

4.4 Non-discriminatory conditions ........................................................................................................................... 9

5 Structural requirements .......................................................................................................................... 10

5.1 Organizational structure and top management ................................................................................................. 10

5.2 Mechanism for safeguarding impartiality ......................................................................................................... 10

6 Resource requirements ........................................................................................................................... 10

6.1 Conformity Assessment Body personnel ......................................................................................................... 10

6.1.1 General ........................................................................................................................................................ 10

6.1.2 Management of competence for personnel involved in the audit process................................................... 10

6.1.2.1 General considerations .......................................................................................................................... 10

6.1.2.2 Training of audit teams ......................................................................................................................... 10

6.2 Resources for evaluation .................................................................................................................................. 11

6.2.1 Internal resources ........................................................................................................................................ 11

6.2.1.1 Competence of Conformity Assessment Body personnel ..................................................................... 11

6.2.1.2 Competences for all functions ............................................................................................................... 11

6.2.1.3 Competences for application review ..................................................................................................... 11

6.2.1.4 Competences for auditing ..................................................................................................................... 11

6.2.1.5 Competences for review ........................................................................................................................ 12

6.2.1.6 Competences for certification decision ................................................................................................. 12

6.2.1.7 Competences for Technical Experts ...................................................................................................... 12

6.2.1.8 Audit team ............................................................................................................................................. 13

6.2.1.9 Audit team leader .................................................................................................................................. 13

7 Process requirements .............................................................................................................................. 13

7.1 General ............................................................................................................................................................. 13

7.1.1 Criteria and audit methodology .................................................................................................................. 13

7.1.1.1 TSP audit criteria .................................................................................................................................. 13

7.1.1.2 Audit Team Mandate............................................................................................................................. 14

7.1.1.3 Audit Methodology ............................................................................................................................... 14

7.1.1.4 Audit Frequency .................................................................................................................................... 14

7.2 Application ....................................................................................................................................................... 15

7.3 Application Review .......................................................................................................................................... 15

7.3.1 Contract review ........................................................................................................................................... 15

7.4 Audit ................................................................................................................................................................. 15

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4 Draft ETSI EN 319 403 V2.1.1 (2014-12)

7.4.1 Audit Scope ................................................................................................................................................ 15

7.4.2 Audit time ................................................................................................................................................... 15

7.4.2.1 Policies and procedures ......................................................................................................................... 16

7.4.3 Multiple sites .............................................................................................................................................. 16

7.4.3.1 When to Consider Sample Based Approach ......................................................................................... 16

7.4.3.2 Requirements of Sample Based Approach ............................................................................................ 16

7.4.4 Audit Report ............................................................................................................................................... 17

7.4.4.1 Report contents ..................................................................................................................................... 17

7.4.4.2 Report contents details to be provided .................................................................................................. 17

7.4.5 Audit process .............................................................................................................................................. 18

7.4.5.1 General preparations for the initial audit ............................................................................................... 18

7.4.5.2 Audit Process ........................................................................................................................................ 18

7.4.5.3 Stage 1 audit .......................................................................................................................................... 18

7.4.5.3.1 Stage 1 audit .................................................................................................................................... 19

7.4.5.4 Stage 2 audit .......................................................................................................................................... 19

7.5 Review .............................................................................................................................................................. 20

7.6 Certification decision ....................................................................................................................................... 20

7.7 Certification documentation ............................................................................................................................. 20

7.8 Directory of certified products ......................................................................................................................... 20

7.9 Surveillance ...................................................................................................................................................... 20

7.9.1 Programme of periodic surveillance ........................................................................................................... 20

7.10 Changes affecting certification ......................................................................................................................... 21

7.11 Termination, reduction, suspension or withdrawal of certification .................................................................. 21

7.12 Records ............................................................................................................................................................. 22

7.13 Complaints and appeals .................................................................................................................................... 22

8 Management system requirements ......................................................................................................... 22

8.1 Options ............................................................................................................................................................. 22

8.2 General management system documentation ................................................................................................... 22

8.3 Control of documents ....................................................................................................................................... 22

8.4 Control of records ............................................................................................................................................. 22

8.5 Management review ......................................................................................................................................... 22

8.6 Internal audits ................................................................................................................................................... 22

8.7 Corrective actions ............................................................................................................................................. 22

8.8 Preventive actions............................................................................................................................................. 22

Annex A (informative): Auditors' code of conduct .............................................................................. 23

Annex B (informative): Bibliography ................................................................................................... 24

History .............................................................................................................................................................. 25

ETSI
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5 Draft ETSI EN 319 403 V2.1.1 (2014-12)
Intellectual Property Rights

IPRs essential or potentially essential to the present document may have been declared to ETSI. The information

pertaining to these essential IPRs, if any, is publicly available for ETSI members and non-members, and can be found

in ETSI SR 000 314: "Intellectual Property Rights (IPRs); Essential, or potentially Essential, IPRs notified to ETSI in

respect of ETSI standards", which is available from the ETSI Secretariat. Latest updates are available on the ETSI Web

server (http://ipr.etsi.org).

Pursuant to the ETSI IPR Policy, no investigation, including IPR searches, has been carried out by ETSI. No guarantee

can be given as to the existence of other IPRs not referenced in ETSI SR 000 314 (or the updates on the ETSI Web

server) which are, or may be, or may become, essential to the present document.
Foreword

This draft European Standard (EN) has been produced by ETSI Technical Committee Electronic Signatures and

Infrastructures (ESI), and is now submitted for the combined Public Enquiry and Vote phase of the ETSI standards EN

Approval Procedure.

The technical content of the present document is the same as in TS 119 403 V2.1.1.

Proposed national transposition dates
Date of latest announcement of this EN (doa): 3 months after ETSI publication
Date of latest publication of new National Standard
or endorsement of this EN (dop/e): 6 months after doa
Date of withdrawal of any conflicting National Standard (dow): 1 July 2017
Modal verbs terminology

In the present document "shall", "shall not", "should", "should not", "may", "may not", "need", "need not", "will",

"will not", "can" and "cannot" are to be interpreted as described in clause 3.2 of the ETSI Drafting Rules (Verbal forms

for the expression of provisions).

"must" and "must not" are NOT allowed in ETSI deliverables except when used in direct citation.

Introduction

ISO/IEC 17065 [1] is an international standard which specifies general requirements for conformity assessment bodies

(CABs) performing certification of products, processes, or services. These requirements are not focussed on any

specific application domain where CABs work.

In the present document the general requirements are supplemented to provide additional dedicated requirements for

CABs performing certification of Trust Service Providers (TSPs) and the trust services they provide towards defined

criteria against which they claim conformance.

The present document is aiming to meet the general requirements of the international community to provide trust and

confidence in electronic transactions including, amongst others, applicable requirements from Regulation (EU)

No 910/2014 [i.1], and from CA Browser Forum [i.10].
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6 Draft ETSI EN 319 403 V2.1.1 (2014-12)

EXAMPLE: The present document's aims include support of national accreditation bodies as specified in

Regulation (EC) No. 765/2008 [i.4] in applying ISO/IEC 17065 [1] for the accreditation of CABs

that certify TSPs and the trust services they provide so that this is carried out in a consistent

manner. In accordance with [i.4], attestations issued by conformity assessment bodies accredited

by a national accreditation body can be formally recognised across Europe.

The present document does not repeat requirements from ISO/IEC 17065 [1] but follows its document structure. Where

needed, additional requirements are specified. This is mainly the case for requirements on resources (clause 6) and on

the assessment process (clause 7). For all other chapters of ISO/IEC 17065 [1] few or no additional requirements are

needed.
ETSI
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7 Draft ETSI EN 319 403 V2.1.1 (2014-12)
1 Scope

The present document contains requirements for the competence, consistent operation and impartiality of conformity

assessment bodies assessing and certifying conformity of trust service providers (TSPs) and the trust services they

provide towards defined criteria against which they claim conformance.

NOTE: Those requirements are independent of the type and class of trust service provided.

The present document applies the general requirements of ISO/IEC 17065 [1] to the specific requirements of

conformity assessment of TSPs.
2 References

References are either specific (identified by date of publication and/or edition number or version number) or

non-specific. For specific references, only the cited version applies. For non-specific references, the latest version of the

reference document (including any amendments) applies.

Referenced documents which are not found to be publicly available in the expected location might be found at

http://docbox.etsi.org/Reference.

NOTE: While any hyperlinks included in this clause were valid at the time of publication, ETSI cannot guarantee

their long term validity.
2.1 Normative references

The following referenced documents are necessary for the application of the present document.

[1] ISO/IEC 17065:2012: "Conformity assessment - Requirements for bodies certifying products,

processes and services".
2.2 Informative references

The following referenced documents are not necessary for the application of the present document but they assist the

user with regard to a particular subject area.

[i.1] Regulation 910/2014 of the European Parliament and of the Council of 23 July 2014 on electronic

identification and trust services for electronic transactions in the internal market and repealing

Directive 1999/93/EC.

[i.2] ETSI EN 319 411-1: "Electronic Signatures and Infrastructures (ESI); Policy and security

requirements for Trust Service Providers issuing certificates; Part 1: General Requirements for

Trust Service Providers issuing certificates".

[i.3] ETSI EN 319 411-2: "Electronic Signatures and Infrastructures (ESI); Policy and security

requirements for Trust Service Providers issuing certificates; Part 2: Requirements for Trust

Service Providers issuing qualified certificates".

[i.4] EC Regulation No 765/2008 of the European Parliament and of the Council of 9 July 2008 setting

out the requirements for accreditation and market surveillance relating to the marketing of

products and repealing Regulation (EEC) No 339/93.

[i.5] ISO/IEC 17000:2004: "Conformity assessment - Vocabulary and general principles".

[i.6] ETSI EN 319 401: "Electronic Signatures and Infrastructures (ESI); General Policy Requirements

for Trust Service Providers supporting Electronic Signatures".

[i.7] ISO/IEC 15408: "Information technology -- Security techniques -- Evaluation criteria for IT

security".
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8 Draft ETSI EN 319 403 V2.1.1 (2014-12)

[i.8] ISO/IEC 27001: "Information technology -- Security techniques -- Information security

management systems -- Requirements".

[i.9] ETSI EN 319 421: "Electronic Signatures and Infrastructures (ESI); Policy and Security

Requirements for Trust Service Providers providing Time-Stamping Services".

[i.10] CA/Browser Forum Baseline Requirements for the Issuance and Management of Publicly-Trusted

Certificates.
3 Definitions and abbreviations
3.1 Definitions

For the purposes of the present document, the terms and definitions given in ISO/IEC 17065 [1] and the following

apply:

auditor: person who assesses conformity to requirements as specified in a given requirements document

competence: ability to apply knowledge and skills to achieve intended results

conformity assessment: process demonstrating whether specified requirements relating to a product, process, service,

system, person or body have been fulfilled

NOTE: From Regulation (EC) No 765/2008 [i.4] and section 2.1 of ISO/IEC 17000:2004 [i.5].

conformity assessment body: body that performs conformity assessment services which is accredited as competent to

carry out conformity assessment of a qualified trust service provider and the qualified trust services it provides

NOTE: This is equivalent to conformity assessment body as specified in point 13 Article 2 of Regulation (EC)

No 765/2008 [i.4].

national accreditation body: sole body in a State that performs accreditation with authority derived from the State

NOTE: This is equivalent to national accreditation body as specified in point 11 Article 2 of Regulation (EC)

No 765/2008 [i.4].

technical expert: person who provides specific knowledge or expertise to the audit team

NOTE 1: Specific knowledge or expertise relates to the organization, the process or activity to be audited, or

language or culture.
NOTE 2: A technical expert does not act as an auditor in the audit team.

trust service: electronic service which enhances trust and confidence in electronic transactions

NOTE: Such trust services are typically but not necessarily using cryptographic techniques or involving

confidential material.

Trust Service Provider (TSP): entity which provides one or more electronic trust services

3.2 Abbreviations
For the purposes of the present document, the following abbreviations apply:
CAB Conformity Assessment Body
EA European Cooperation for Accreditation
EC European Commission
EU European Union
IAF International Accreditation Forum
IT Information Technology
TSP Trust Service Provider
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9 Draft ETSI EN 319 403 V2.1.1 (2014-12)
4 General requirements
4.1 Legal and contractual matters
4.1.1 Legal responsibility
The requirements from ISO/IEC 17065 [1], clause 4.1.1 shall apply.
4.1.2 Certification agreement
The requirements from ISO/IEC 17065 [1], clause 4.1.2 shall apply.
4.1.3 Use of license, certificates and marks of conformity
The requirements from ISO/IEC 17065 [1], clause 4.1.3 shall apply.
4.2 Management of impartiality

The requirements from ISO/IEC 17065 [1], clause 4.2 shall apply. In addition, the following TSP-specific requirements

and guidance apply.
4.2.1 Activities not conflicting with impartiality

Conformity Assessment Bodies and its personnel may carry out additional activities provided they do not constitute a

risk to its impartiality. These activities may include but are not limited to:

a) organizing and participating in information meetings about the certification scheme in general;

b) arranging and participating as a lecturer in training courses, provided that, where these courses relate to TSPs,

related security controls or auditing, lecturers shall confine themselves to the provision of generic information

and advice which is freely available in the public domain;

c) activities prior to audit, solely aimed at determining readiness for audit; however, such activities shall not

result in the provision of recommendations or advice for specific solutions and shall not result in a reduction in

the eventual audit duration;

d) performing third party audits according to standards, publicly available specifications or regulatory

requirements other than those being part of the scope of accreditation; or
e) adding value during audits.

EXAMPLE: Adding value during audits includes identifying opportunities for improvement, as they become

evident during the audit, without recommending specific solutions.
4.3 Liability and financing
The requirements from ISO/IEC 17065 [1], clause 4.3 shall apply.
4.4 Non-discriminatory conditions
The requirements from ISO/IEC 17065 [1], clause 4.4 shall apply.
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10 Draft ETSI EN 319 403 V2.1.1 (2014-12)
5 Structural requirements
5.1 Organizational structure and top management
The requirements from ISO/IEC 17065 [1], clause 5.1 shall apply.
5.2 Mechanism for safeguarding impartiality
The requirements from ISO/IEC 17065 [1], clause 5.2 shall apply.
6 Resource requirements
6.1 Conformity Assessment Body personnel
6.1.1 General
The requirements from ISO/IEC 17065 [1], clause 6.1.1 shall apply.
6.1.2 Management of competence for personnel involved in the audit
process

The requirements from ISO/IEC 17065 [1], clause 6.1.2 shall apply. In addition, the following TSP-specific

requirements and guidance apply.
6.1.2.1 General considerations

The performance of the following functions as defined in clause 7 of ISO/IEC 17065 [1] shall need specific

competences with respect to Trust Service Provider as described in clause 6.1.2.2:

a) application review;
b) audit;
c) review; and
d) certification decision.
6.1.2.2 Training of audit teams

The Conformity Assessment Body shall have criteria for the training of audit teams that support the ability to

demonstrate competence in:

a) knowledge of the TSP standards and other relevant publicly available specifications;

b) understanding of trust services and information security including network security issues;

c) understanding of risk assessment and risk management from the business perspective;

d) technical knowledge of the activity to be audited;
e) general knowledge of regulatory requirements relevant to TSPs; and
f) knowl
...

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