Quality Assurance and Quality Control Requirements Sample Clauses

Quality Assurance and Quality Control Requirements. 6.12.1 The general requirements for quality assurance and quality control to be implemented by the Consultants for the satisfactory completion of the Assignment are provided in Appendix B for reference. The Consultants shall develop rigorous QA/QC procedures, to be submitted with the draft Monitoring and Audit Manual, for the approval of the Director's Representative to ensure that the data collected for this Assignment is of suitable quality. 6.12.2 The QA/QC procedures to be developed shall take account of the objectives of the studies and comprise appropriate comparison activities, use of appropriate reference materials, procedures for assessing the ability of laboratories and survey companies, and criteria to be applied in the assessment of resulting data. The data documentation and validation procedures shall be clearly set out in the draft Monitoring and Audit Manual. 6.12.3 The Consultants shall ensure that all data obtained are subject to proper quality assurance and quality control. The estimated accuracy and uncertainty in all field and laboratory measurements must be provided when results are reported. 6.12.4 Laboratories undertaking analytical work in the monitoring programme shall participate in relevant inter-laboratory proficiency testing programmes to demonstrate their analytical competence. They may be required to analyse blind samples provided by the Director's Representative to assess the effectiveness of their QA system.
AutoNDA by SimpleDocs
Quality Assurance and Quality Control Requirements. 6.6.1 The Consultants shall: (a) develop rigorous Quality Assurance/Quality Control (QA/QC) procedures to ensure that the data collected and deliverables prepared for this Assignment are of suitable quality for the approval of the Director’s Representative. (b) the QA/QC procedures to be developed shall take account of the objectives of the studies and comprise appropriate comparison activities, use of appropriate reference materials, procedures for assessing the ability of laboratories and survey companies, and criteria to be applied in the assessment of resulting data; (c) ensure that all data obtained are subject to proper quality assurance and quality control. The estimate accuracy and uncertainty in all field measurements must be provided when results are reported; and (d) arrange additional field works for data collection necessary to supplement any abnormal or unsatisfactory results of field investigation and surveys.
Quality Assurance and Quality Control Requirements. (a) The Consultants shall ensure that all data obtained are subject to proper quality assurance and quality control. The estimated accuracy and uncertainty in all field and laboratory measurements must be provided when results are reported. The Consultants shall arrange additional field works for data collection necessary to supplement any abnormal or unsatisfactory results of field investigations and surveys. (b) The Consultants shall prepare and submit reports, which shall be vetted and signed by a qualified and experienced professional, on the results, findings, proposals, recommendations and conclusions of all necessary investigations, surveys, sampling and testing to the Director’s Representative and relevant Government bureaux / departments for agreement.
Quality Assurance and Quality Control Requirements. This AMP requires adherence to standard quality assurance and quality control procedures to ensure collection and analysis of reliable data for this program. These procedures are described in Section 6 of the East Boulder Mine Water Resources Monitoring Plan (Operational) dated March 2018 and prepared by SMC and Hydrometrics. Field control samples are required, and include collection of field blanks and duplicate samples to better assess the quality of laboratory analysis data. One field blank and one randomly collected field duplicate is collected with each quarterly sampling event.

Related to Quality Assurance and Quality Control Requirements

  • SMHS Governance, Safety and Quality Requirements 4.1 Participates in the maintenance of a safe work environment. 4.2 Participates in an annual performance development review. 4.3 Supports the delivery of safe patient care and the consumers’ experience including participation in continuous quality improvement activities in accordance with the requirements of the National Safety and Quality Health Service Standards and other recognised health standards. 4.4 Completes mandatory training (including safety and quality training) as relevant to role. 4.5 Performs duties in accordance with Government, WA Health, South Metropolitan Health Service and Departmental / Program specific policies and procedures. 4.6 Abides by the WA Health Code of Conduct, Occupational Safety and Health legislation, the Disability Services Act and the Equal Opportunity Act.

  • EMHS Governance, Safety and Quality Requirements 4.1 Participates in the maintenance of a safe work environment. 4.2 Actively participates in the Peak Performance program. 4.3 Supports the delivery of safe patient care and the consumers’ experience including participation in continuous quality improvement activities in accordance with the requirements of the National Safety and Quality Health Service Standards and other recognised health standards. 4.4 Completes mandatory training (including safety and quality training) as relevant to role. 4.5 Performs duties in accordance with the EMHS Vision and Values, WA Health Code of Conduct, Occupational Safety and Health legislation, the Disability Services Act and the Equal Opportunity Act and Government, WA Health, EMHS and Departmental / Program specific policies and procedures.

  • NMHS Governance, Safety and Quality Requirements 2.1 Participates in the maintenance of a safe work environment. 2.2 Participates in an annual performance development review. 2.3 Supports the delivery of safe patient care and the consumers’ experience including participation in continuous quality improvement activities in accordance with the requirements of the National Safety and Quality Health Service Standards and other recognised health standards. 2.4 Completes mandatory training (including safety and quality training) as relevant to role. 2.5 Performs duties in accordance with Government, WA Health, North Metropolitan Health Service and Departmental / Program specific policies and procedures. 2.6 Abides by the WA Health Code of Conduct, Occupational Safety and Health legislation, the Disability Services Act and the Equal Opportunity Act.

  • Quality Assurance/Quality Control Contractor shall establish and maintain a quality assurance/quality control program which shall include procedures for continuous control of all construction and comprehensive inspection and testing of all items of Work, including any Work performed by Subcontractors, so as to ensure complete conformance to the Contract with respect to materials, workmanship, construction, finish, functional performance, and identification. The program established by Contractor shall comply with any quality assurance/quality control requirements incorporated in the Contract.

  • COUNTY’S QUALITY ASSURANCE PLAN The County or its agent will evaluate the Contractor’s performance under this Contract on not less than an annual basis. Such evaluation will include assessing the Contractor’s compliance with all Contract terms and conditions and performance standards. Contractor deficiencies which the County determines are severe or continuing and that may place performance of the Contract in jeopardy if not corrected will be reported to the Board of Supervisors. The report will include improvement/corrective action measures taken by the County and the Contractor. If improvement does not occur consistent with the corrective action measures, the County may terminate this Contract or impose other penalties as specified in this Contract.

  • Quality Assurance Requirements There are no special Quality Assurance requirements under this Agreement.

  • Human and Financial Resources to Implement Safeguards Requirements The Borrower shall make available necessary budgetary and human resources to fully implement the EMP and the RP.

  • Compliance Control Services (1) Support reporting to regulatory bodies and support financial statement preparation by making the Fund's accounting records available to the Trust, the Securities and Exchange Commission (the “SEC”), and the independent accountants. (2) Maintain accounting records according to the 1940 Act and regulations provided thereunder. (3) Perform its duties hereunder in compliance with all applicable laws and regulations and provide any sub-certifications reasonably requested by the Trust in connection with any certification required of the Trust pursuant to the Xxxxxxxx-Xxxxx Act of 2002 (the “SOX Act”) or any rules or regulations promulgated by the SEC thereunder, provided the same shall not be deemed to change USBFS’s standard of care as set forth herein. (4) Cooperate with the Trust’s independent accountants and take all reasonable action in the performance of its obligations under this Agreement to ensure that the necessary information is made available to such accountants for the expression of their opinion on the Fund’s financial statements without any qualification as to the scope of their examination.

  • Use; Quality Control a. Neither party may alter the other party’s trademarks from the form provided and must comply with removal requests as to specific uses of its trademarks or logos. b. Each party agrees to use, and to cause its Permitted Sublicensees to use, the other party’s trademarks only in good faith and in a dignified manner consistent with such party’s use of the trademarks. Upon written notice to the breaching party, the breaching party has 30 days of the date of the written notice to cure the breach or the license will be terminated.

  • Money Market Fund Compliance Testing and Reporting Services Subject to the authorization and direction of the Trust and, in each case where appropriate, the review and comment by the Trust’s independent accountants and legal counsel, and in accordance with procedures that may be established from time to time between the Trust and the Administrator, the Administrator will:

Draft better contracts in just 5 minutes Get the weekly Law Insider newsletter packed with expert videos, webinars, ebooks, and more!