Iatf 16949 2016 Soft Copypdf
Iatf 16949 2016 Soft Copypdf
International
Automotive
Task Force
1st Edition
1st October 2016
IATF copyright notice
This Automotive Quality Management System Standard, known as IATF 16949, is copyright
protected by the members of the International Automotive Task Force (IATF). The title for this
Automotive QMS Standard “IATF 16949” is a registered trademark of the IATF.
Except as permitted under the applicable laws of the user's country, neither this Automotive
Quality Management System Standard nor any extract from it may be reproduced, stored in a
retrieval system or transmitted in any form or by any means, electronic, photocopying, recording
or otherwise, without prior written permission being secured from the IATF.
Reproduction may be subject to royalty payments or a licensing agreement and violators are
subject to legal prosecution.
Requests for permission to reproduce and/or translate any part of this Automotive QMS Standard
should be addressed to one of the following national automotive trade associations below:
Table of Contents
FOREWORD –
FOREWORD – AUTOMOTIVE
AUTOMOTIVE QMS STANDARD ………………………………………………………………………………………… 7
HISTORY ……………………………………
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GOAL …………………………………
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INTRODUCTION ………………………………
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1 SCOPE ………………………………………
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4.4.1 ……………………………………………………………………
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4.4.2 ……………………………………………………………………
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………………………………. 16
5 LEADERSHIP ……………………………………………
…………………………………………………………………………………………
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……………………………………………… 16
6 PLANNING ……………………………………………
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…….. 18
7 SUPPORT ………………………………………………
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…… 19
8 OPERATION ……………………………………………
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……………………………………………….. 26
8.2.3.2 ………………………………………
……………………………………………………………………………………
………………………………………………………………………………………………
………………………………………………………………………......
……………………...... 27
8.7.1 …………………………………………………………………………………………
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……………….... 43
8.7.2 ……………………………………………………………………
…………………………………………………………………………………………………………
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………………………………. 44
10 IMPROVEMENT …………………………………………
………………………………………………………………………………………
…………………………………………………………………………………………..
…………………………………………….. 48
10.2 NONCONFORMITY
NONCONFORMITY AND CORRECTIVE ACTION ……………………………………………………………………………………… 48
10.2.2 .…………………………………………………………………………………………………………………………………………………..
10.2.1 AND 10.2.2 . 48
This Automotive Quality Management System Standard, herein referred to as “Automotive QMS
customer -specific requirements, ISO
Standard” or “IATF 16949,” along with applicable automotive customer-specific
9001:2015 requirements, and ISO 9000:2015 defines the fundamental quality management system
requirements for automotive production and relevant service parts organizations. As such, this
Automotive QMS Standard cannot be considered a stand-alone QMS Standard but has to be
comprehended as a supplement to and used in conjunction with ISO 9001:2015. ISO 9001:2015 is
published as a separate ISO Standard.
IATF 16949:2016 (1st edition) represents an innovative document, given the strong orientation to the
customer, with inclusion of a number of consolidated previous customer specific requirements.
Annex B is provided for guidance to implement the IATF 16949 requirements unless otherwise specified
by customer specific requirements.
History
ISO/TS 16949 (1st edition) was originally created in 1999 by the International Automotive Task Force
(IATF) with the aim of harmonizing the different assessment and certification systems worldwide in the
supply chain for the automotive sector. Other revisions were created (2nd edition in 2002, and 3rd
edition in 2009) as necessary for either automotive sector enhancements or ISO 9001 revisions. ISO/TS
16949 (along with supporting technical publications developed by original equipment manufacturers
[herein referred to as OEMs] and the national automotive trade associations) introduced a common set
of techniques and methods for common product and process development for automotive
manufacturing worldwide.
In preparation for migrating from ISO/TS 16949:2009 (3rd edition) to this Automotive QMS Standard,
IATF 16949, feedback was solicited from certification bodies, auditors, suppliers, and OEMs to create
IATF 16949:2016 (1st edition), which cancels and replaces ISO/TS 16949:2009 (3rd edition).
The IATF maintains strong cooperation with ISO by continuing liaison committee status ensuring
continued alignment with ISO 9001.
Goal
The goal of this Automotive QMS standard is the development of a quality management system that
provides for continual improvement, emphasizing defect prevention and the reduction of variation and
waste in the supply chain.
Requirements for certification to this Automotive QMS Standard are defined in the Rules for achieving
and maintaining IATF recognition.
Details can be obtained from the local Oversight Offices of the IATF cited below:
IATF France
Web site: www.iatf-france.com e-mail: iatf@iatf-france.com
All public information about the IATF can be found at the IATF website: www.iatfglobaloversight.org
Introduction
0.1 General
See ISO 9001:2015 requirements
2 Normative references
See ISO 9001:2015 requirements
accessory part
customer-specified additional component(s) that are either mechanically or electronically connected
to the vehicle or powertrain before (or after) delivery to the final customer (e.g., custom floor mats,
truck bed liners, wheel covers, sound system enhancements, sunroofs, spoilers, super-chargers, etc.)
aftermarket part
replacement part(s) not procured or released by an OEM for service part applications, which may or
may not be produced to original equipment specifications
authorization
documented permission for a person(s) specifying rights and responsibilities related to giving or
denying permissions or sanctions within an organization
control plan
documented description of the systems and processes required for controlling the manufacturing of
product (see Annex A)
A)
customer requirements
all requirements specified by the customer (e.g., technical, commercial, product and manufacturing
process related requirements, general terms and conditions, customer-specific requirements, etc.)
design-responsible organization
organization with authority to establish a new, or change an existing, product specification.
NOTE__
NOTE__This
This responsibility includes testing and verification of design performance within the customer's specified application
error proofing
product and manufacturing process design and development to prevent manufacture of
nonconforming products
escalation process
process used to highlight or flag certain issues within an organization so that the appropriate -
personnel can respond to these situations and monitor the resolutions
laboratory
facility for inspection, test, or calibration that may include but is not limited t o the following; chemical,
metallurgical, dimensional, physical, electrical, or reliability testing
laboratory scope
controlled document containing
− specific tests, evaluations, and calibrations that a laboratory is qualified to perform; a list of
the
− equipment that the laboratory uses
uses to perform the above; and a list of methods and
standards to
− which the laboratory performs the above
above
manufacturing
process of making or fabricating production
− materials; production parts or service
− parts;
− assemblies; or
− heat treating,
treating, welding, painting, plating,
plating, or other finishing services
manufacturing feasibility
an analysis and evaluation of a proposed project to determine if it is technically feasible to
manufacture the product to meet customer requirements. This includes but is not limited to the
following (as applicable): within the estimated costs, and if the necessary resources, facilities, too ling,
capacity, software, and personnel with required skills, including support functions, are or are planned
to be available
manufacturing services
companies that test, manufacture, distribute, and provide repair services for components and
assemblies
multi-disciplinary approach
method to capture input from all interested parties who may influence how a process is administered
by a team whose members include personnel from the organization and may include customer and
supplier representatives; team members may be internal or external to the organization; either
existing teams or ad hoc teams may be used as circumstances warrant; input to the team may include
both organization and customer inputs
outsourced process
portion of an organization’s function (or processes) that is performed by an external organization
periodic overhaul
maintenance methodology to prevent a major unplanned breakdown where, based on fault or
interruption history, a piece of equipment, or subsystem of the equipment, is proactively taken out of
service and disassembled, repaired, parts replaced, reassembled, and then returned to service
predictive maintenance
an approach and set of techniques to evaluate the condition of in-service equipment by performing
periodic or continuous monitoring of equipment conditions, in order to predict when maintenance
should be performed
premium freight
extra costs or charges incurred in addition to contracted delivery
NOTE__
NOTE__This
This can be caused by method, quantity, unscheduled or late deliveries,-etc.
preventive maintenance
planned activities at regular intervals (time-based, periodic inspection, and overhaul) to eliminate
causes of equipment failure and unscheduled interruptions to production, as an output of the
manufacturing process design
product
applies to any intended output resulting from the product realization process
product safety
standards relating to the design and manufacturing of products to ensure they do not represent harm
or hazards to customers
production shutdown
condition where manufacturing processes are idle; time span may be a few hours to a few months
reaction plan action or series of steps prescribed in a control plan in the event abnormal or
nonconforming events are detected
remote location
location, that supports manufacturing sites and at which non-production processes occur
service part
replacement part(s) manufactured
manufactured to OEM specifications that are procured or released by the OEM for
f or
service part applications, including remanufactured parts
Site
location at which value-added manufacturing processes
special characteristic
classification of a product characteristic or manufacturing process parameter that can affect safety or
compliance with regulations, fit, function, performance, requirements, or subsequent processing of
product
special status
notification of a customer-identified classification assigned to an organization where one or more
customer requirements are not being satisfied due to a significant quality or delivery issue
support function
non-production activity (conducted on site or at a remote location) that supports one (or more)
manufacturing sites of the same organization
trade-off curves
Tool to understand and communicate the relationship of various design characteristics of a product to
each other; a product’s performance on one characteristic is mapped on the Y -axis and another on the
x-axis, then a curve is plotted to illustrate product performance relative to the two characteristics
trade-off process
methodology of developing and using trade-off curves for products and their performance
characteristics that establish the customer, technical, and economic relationship between design
alternatives
Supporting functions, whether on-site or remote (such as design centres, corporate headquarters, and
distribution centres), shall be included in the scope of the Quality Management System (QMS).
The only permitted exclusion for this Automotive QMS Standard relates to the product design and
development requirements within ISO 9001, Section 8.3 8.3.. The exclusion shall be justified and
maintained as documented information (see ISO 9001, Section 7.5
7.5)).
Permitted exclusions do not include manufacturing process design.
Customer-specific requirements shall be evaluated and included in the scope of the organization’s
quality management system.
4.4.1
The organization shall ensure conformance of all products and processes, including service parts and
those that are outsourced, to all applicable customer, statutory, and regulatory requirements (see
Section 8.4.2.2
8.4.2.2)).
The organization shall have documented processes for the management of product-safety related
products and manufacturing processes, which shall include but not be limited to the following, where
applicable:
a) identification by the organization of statutory and
and regulatory product-safety requirements;
requirements;
b) customer notification of requirements in item a);
c) special approvals for design FMEA;
d) identification of product safety-related characteristics;
e) identification and controls of safety-related
safety-related characteristics of product and at the point
point of
manufacture;
f) special approval of control plans and process
process FMEAs;
g) reaction plans (see Section 9.1.1.1
9.1.1.1));
h) defined responsibilities,
responsibilities, definition of escalation
escalation process and flow of information, including top
management, and customer notification;
i) training identified by the organization or customer for personnel involved
involved in product-safety
related products and associated manufacturing processes;
j) changes of product or process shall
shall be approved
approved prior to implementation,
implementation, including evaluation
evaluation
of potential effects on product safety from process and product changes (see ISO 9001, Section
8.3.6));
8.3.6
k) transfer of requirements with regard to product safety throughout the supply chain, including
customer-designated sources (see Section 8.4.3.1
8.4.3.1));
l) product traceability by manufactured lot (at a minimum)
minimum) throughout the supply chain (see
Section 8.5.2.1
8.5.2.1));
m) lessons learned for new product introduction.
NOTE__
NOTE__Special
Special approval is an additional approval by the function (typically the customer) that is responsible to approve such documents
with safety-related content.
4.4.2
5 Leadership
5.1.1 General
The organization shall define and implement corporate responsibility policies, including at a minimum
anti-bribery policy, an employee code of conduct, and an ethics escalation policy (“whistle -blowing
an anti-bribery
policy”).
Top management shall review the product realization processes and support processes to evaluate
and improve their effectiveness and efficiency. The results of the process review activities shall be
included as input to the management review (see Section 9.3.2.1
9.3.2.1)).
Top management shall identify process owners who are responsible for managing the organization’s
processes and related outputs. Process owners shall understand their roles and be competent to
perform those roles (see ISO 9001, Section 7.2
7.2)).
5.2 Policy
Top management shall assign personnel with the responsibility and authority to ensure that customer
requirements are met. These assignments shall be documented.
documented. This includes but is not limited to
t o the
selection of special characteristics, setting quality objectives and related training, corrective and
preventive actions, product design and development, capacity analysis, logistics information,
customer scorecards, and customer portals.
6 Planning
The organization shall include in its risk analysis, at a minimum, lessons learned from product recalls,
product audits, field returns and repairs, complaints, scrap, and rework.
The organization shall retain documented information as evidence of the results of risk analysis.
The organization shall determine and implement action(s) to eliminate the causes of potential
nonconformities in order to prevent their occurrence. Preventive actions shall be appropriate to the
severity of the potential issues.
The organization shall establish a process to lessen the impact of negative effects of risk including the
following:
a) determining potential nonconformities and their causes;
b) evaluating the need for action to prevent
prevent occurrence
occurrence of nonconformities;
c) determining and implementing action needed;
d) documented information of action taken;
e) reviewing the effectiveness of the preventive action taken;
taken;
f) utilizing lessons learned
learned to prevent recurrence
recurrence in similar processes (see ISO 9001, Section
7.1.6)).
7.1.6
c) prepare contingency
contingency plans for continuity of supply in the event of any of the following: key
equipment failures (also see Section 8.5.6.1.1
8.5.6.1.1)); interruption from externally provided
products, processes, and services; recurring natural disasters; fire; utility interruptions; labour
shortages; or infrastructure disruptions;
d) include, as a supplement
supplement to the contingency plans, a notification process to the customer and
other interested parties for the extent and duration of any situation impacting customer
operations;
e) periodically test the contingency plans
plans for effectiveness
effectiveness (e.g., simulations, as appropriate);
appropriate);
f) conduct contingency plan reviews (at a minimum annually)
annually) using a multidisciplinary team
including top management, and update as required;
g) document the contingency plans and retain documented information describing any
revision(s), including the person(s) who authorized the change(s).
The contingency plans shall include provisions to validate that the manufactured product continues to
meet customer specifications after the re-start of production following an emergency in which
production was stopped and if the regular shutdown processes were not followed.
Top management shall ensure that quality objectives to meet customer requirements are defined,
established, and maintained for relevant functions, processes, and levels throughout the organization.
The results of the organization’s review regarding interested parties and their relevant requirements
shall be considered when the organization establishes its annual (at a minimum) quality objectives
and related performance targets (internal and external).
7 Support
7.1 Resources
7.1.1 General
7.1.2 People
7.1.3 Infrastructure
The organization shall use a multidisciplinary approach including risk identification and risk
mitigation methods for developing and improving plant, facility, and equipment plans. In designing
plant layouts, the organization shall:
a) optimize material flow, material handling, and value-added
value-added use of floor space including control
of nonconforming product, and
b) facilitate synchronous material flow, as applicable.
Methods shall be developed and implemented to evaluate manufacturing feasibility for new product
or new operations. Manufacturing feasibility assessments shall include capacity planning. These
methods shall also be applicable for evaluating proposed changes to existing operations
The organization shall maintain process effectiveness, including periodic re-evaluation relative to risk,
to incorporate any changes made during process approval, control plan maintenance (see Section
8.5.1.1)), and verification of job set-ups (see Section 8.5.1.3
8.5.1.1 8.5.1.3)).
Assessments of manufacturing feasibility and evaluation of capacity planning shall be inputs to
management reviews (see ISO 9001, Section 9.3
9.3)).
NOTE_
NOTE_1__
__These
These requirements should include the application of lean manufacturing principles.
NOTE_
NOTE_2__
__These
These requirements should apply to on-site supplier activities, as applicable.
The organization shall maintain its premises in a state of order, cleanliness, and repair that is
consistent with the product and manufacturing process needs.
7.1.5.1 General
Statistical studies shall be conducted to analyse the variation present in the results of each type of
inspection, measurement, and test equipment system identified in the control plan. The analytical methods
and acceptance criteria used shall conform to those in reference manuals on measurement systems
analysis. Other analytical methods and acceptance criteria may be used if approved by the customer.
Records of customer acceptance of alternative methods shall be retained along with results from
alternative measurement systems analysis (see Section 9.1.1.1
9.1.1.1)).
NOTE__
NOTE__Prioritization
Prioritization of MSA studies should focus on critical or special product or process characteristics
The organization shall have a documented process for managing calibration/verification records.
Records of the calibration/verification activity for all gauges and measuring and test equipment
(including employee-owned equipment relevant for measuring, customer-owned equipment, or on-
site supplier owned equipment) needed to provide evidence of conformity to internal requirements,
legislative and regulatory requirements, and customer-defined requirements shall be retained.
The organization shall ensure that calibration/verification activities and records shall include the
following details
a) revisions following
following engineering
engineering changes
changes that impact measurement
measurement systems;
b) any out-of-specification readings as received
received for calibration/verification;
c) an assessment
assessment of the risk
risk of the intended use of the product caused
caused by the out-of-specification
condition;
d) when a piece
piece of inspection measurement
measurement and test equipment is found to be out of calibration
or defective during its planned verification or calibration or during its use, documented
information on the validity of previous measurement results obtained with this piece of
inspection measurement and test equipment shall be retained, including the associated
standard's last calibration date and the next due date on the calibration report;
e) notification to the customer if suspect product or material has been shipped;
f) statements of conformity
conformity to specification after calibration/verification;
g) verification that the software version used
used for product and
and process control
control is as specified;
h) records of the calibration and
and maintenance activities for all gauging (including employee-
employee-
owned equipment, customer-owned equipment, or on-site supplier-owned equipment);
i) production-related software verification used for product
product and process control (including
software installed on employee-owned equipment, customer-owned equipment, or on-site
supplier-owned equipment).
An organization's internal laboratory facility shall have a defined scope that includes its capability to
perform the required inspection, test, or calibration services. This laboratory scope shall be included
in the quality management system documentation. The laboratory shall specify and implement, as a
minimum, requirements for:
a) adequacy of the laboratory technical procedures;
b) competency of the laboratory personnel;
c) testing of the product;
d) capability to perform
perform these services
services correctly, traceable
traceable to the relevant process standard (such
as ASTM, EN, etc.); when no national or international standard(s) is available, the organization
shall define and implement a methodology to verify measurement system capability;
e) customer requirements, if any;
f) review of the related records.
NOTE__
NOTE__Third-party
Third-party accreditation to ISO/IEC 17025 (or equivalent) may be used to demonstrate the organization's in-house laboratory
conformity to this requirement.
Calibration services may be performed by the equipment manufacturer when a qualified laboratory is
not available for a given piece of equipment. In such cases, the organization shall ensure that the
requirements listed in Section 7.1.5.3.1 have been met.
Use of calibration services, other than by qualified (or customer accepted) laboratories, may be subject
to government regulatory confirmation, if required.
7.2 Competence
The organization shall establish and maintain a documented process(es) for identifying training needs
including awareness (see Section 7.3.1 7.3.1)) and achieving competence of all personnel performing
activities affecting conformity to product and process requirements. Personnel performing specific
assigned tasks shall be qualified, as required, wit h particular attention to the satisfaction of customer
requirements.
The organization shall provide on-the-job training (which shall include customer requirements
training) for personnel in any new or modified responsibilities affecting conformity to quality
requirements, internal requirements, regulatory or legislative requirements; this shall include
contract or agency personnel. The level of detail required for on-the-job training shall be
commensurate with the level of education the personnel possess and the complexity of the task(s)
they are required to perform for their daily work.
Persons whose work can affect quality shall be informed about t he consequences of nonconformity to
customer requirements.
The organization shall have a documented process(es) to verify that internal auditors are competent, taking
into account any customer-specific requirements. For additional guidance on auditor competencies, refer
to ISO 19011. The organization shall maintain a list of qualified internal auditors.
Quality management system auditors, manufacturing process auditors, and product auditors shall all
be able to demonstrate the following minimum competencies:
a) understanding of the automotive process approach
approach for auditing, including risk-based thinking;
thinking;
b) understanding of applicable
applicable customer-specific requirements;
c) understanding of applicable
applicable ISO 9001 and IATF 16949 requirements
requirements related to the scope of
the audit;
d) understanding of applicable
applicable core tool requirements related to the scope of the audit;
e) understanding how to plan, conduct, report, and close out audit findings.
Additionally, manufacturing process auditors shall demonstrate technical understanding of the
relevant manufacturing process(es) to be audited, including process risk analysis (such as PFMEA)
and control plan. Product auditors shall demonstrate competence in understanding product
requirements and use of relevant measuring and test equipment to verify product conformity.
Where training is provided to achieve competency, documented information shall be retained to
demonstrate the trainer’s competency with the above requirements.
Maintenance of and improvement in internal auditor competence shall be demonstrated through:
f) executing a minimum
minimum number of audits per year, as defined
defined by the organization;
organization; and
g) maintaining knowledge of relevant
relevant requirements
requirements based on internal changes (e.g., process
technology, product technology) and external changes (e.g., ISO 9001, IATF 16949, core tools,
and customer specific requirements).
The organization shall demonstrate the competence of the auditors undertaking the second-party
audits. Second-party auditors shall meet customer specific requirements for auditor qualification and
demonstrate the minimum following core competencies, including understanding of:
a) the automotive process approach
approach to auditing, including risk based thinking;
b) applicable customer and organization
organization specific
specific requirements;
requirements;
c) applicable ISO
ISO 9001 and IATF 16949 requirements
requirements related to the scope of the audit;
d) applicable manufacturing
manufacturing process(es)
process(es) to be audited, including PFMEA and control plan;
plan;
e) applicable core tool requirements related to the scope of the audit;
audit;
f) how to plan,
plan, conduct, prepare audit reports, and close out audit findings.
7.3 Awareness
The organization shall maintain documented information that demonstrates that all employees are
aware of their impact on product quality and the importance of their activities in achieving,
maintaining, and improving quality, including customer requirements and the risks involved for the
customer with non- conforming product
The organization shall maintain a documented process(es) to motivate employees to achieve quality
objectives, to make continual improvements, and to create an environment that promotes innovation.
The process shall include the promotion of quality and technological awareness throughout the whole
organization.
7.4 Communication
7.5.1 General
The organization's quality management system shall be documented and include a quality manual,
which can be a series of documents (electronic or hard copy).
The format and structure of the quality manual is at the discretion of the
th e organization and will depend
on the organization’s size, culture, and complexity. If a series of documents is used, then a list shall be
retained of the documents that comprise the quality manual for the organization.
The quality manual shall include, at a minimum, the following:
a) the scope of the quality management
management system, including details of and justification for any
exclusions;
b) documented processes established for the quality management
management system, or reference to them;
c) the organization’s processes and their sequence and interactions (inputs and outputs),
including type and extent of control of any outsourced processes;
d) a document (i.e., matrix) indicating where within the organization's quality management
management
system their customer-specific requirements are addressed.
NOTE__
NOTE__A A matrix of how the requirements of this Automotive QMS standard are addressed by the organization’s processes may be used to
assist with linkages of the organization’s processes and this Automotive QMS.
The organization shall define, document, and implement a record retention policy. The control of
records shall satisfy statutory, regulatory, organizational, and customer requirements.
Production part approvals, tooling records (including maintenance and ownership), product and
process design records, purchase orders (if applicable), or contracts and amendments shall be
retained for the length of time that the product is active for production and service requirements, plus
one calendar year, unless otherwise specified by the customer or regulatory agency.
NOTE__
NOTE__Production
Production part approval documented information may include approved product, applicable test equipment records, or approved
test data.
The organization shall have a documented process describing the review, distribution, and
implementation of all customer engineering standards/specifications and related revisions based on
customer schedules, as required.
When an engineering standard/specification change results in a product design change, refer to the
requirements in ISO 9001, Section 8.3.6
8.3.6.. When an engineering standard/specification change results
in a product realization process change, refer to the requirements in Section 8.5.6.1
8.5.6.1.. The organization
shall retain a record of the date on which each change is implemented in production. Implementation
shall include updated documents.
Review should be completed within 10 working days of receipt of notification of engineering
standards / specifications changes.
NOTE__
NOTE__A A change in these standards/specifications may require an updated record of customer production part approval when these
specifications are referenced on the design record or if they affect documents of the production part approval process, such as control plan,
risk analysis (such as FMEAs), etc.
8 Operation
When planning for product realization, the following topics shall be included:
a) customer product requirements and technical specifications;
b) logistics requirements;
c) manufacturing feasibility;
d) project planning (refer to ISO 9001, Section 8.3.2
8.3.2));
e) acceptance criteria.
The resources identified in ISO 9001, Section 8.1 c), refer to the required verification, validation,
monitoring, measurement, inspection, and test activities specific to the product and the criteria for
product acceptance
8.1.2 Confidentiality
The organization shall ensure the confidentiality of customer-contracted products and projects under
development, including related product information.
Written or verbal communication shall be in the language agreed with the customer. The organization
shall have the ability to communicate necessary information, including data in a customer-specified
computer language and format (e.g., computer-aided design data, electronic data interchange).
These requirements shall include recycling, environmental impact, and characteristics identified as a
result of the organization's knowledge of the product and manufacturing processes.
Compliance to ISO 9001, Section 8.2.2 item a) 1), shall include but not be limited to the following:
all applicable government, safety, and environmental regulations related to acquisition, storage,
handling, recycling, elimination, or disposal of material.
8.2.3.1
The organization shall retain documented evidence of a customer-authorized waiver for the
requirements stated in ISO 9001, Section 8.2.3.1
8.2.3.1,, for a formal review.
The organization shall conform to customer requirements for designation, approval documentation,
and control of special characteristics.
8.2.3.2
8.3.1 General
The organization shall ensure that design and development planning includes all affected stakeholders
within the organization and, as appropriate, its supply chain. Examples of areas for using such a
multidisciplinary approach include but are not limited to the following:
a) project management
management (for example,
example, APQP or VDA-RGA);
b) product and manufacturing
manufacturing process design
design activities (for example,
example, DFM and DFA), such as
consideration of the use of alternative designs and manufacturing processes;
c) development and review of product design risk analysis
analysis (FMEAs), including actions to reduce
potential risks;
d) development and
and review of manufacturing
manufacturing process risk analysis (for example, FMEAs, process
flows, control plans, and standard work instructions).
NOTE__
NOTE__AA multidisciplinary approach typically includes the organization’s design, manufacturing, engineering, quality, production,
purchasing, supplier, maintenance, and other appropriate functions.
The organization shall ensure that personnel with product design responsibility are competent to
achieve design requirements and are skilled in applicable product design tools and techniques.
Applicable tools and techniques shall be identified by the organization.
NOTE__
NOTE__An
An example of product design skills is the application of digitized mathematically based data.
The organization shall use a process for quality assurance for their products with internally developed
embedded software. A software development assessment methodology shall be utilized to assess the
organization’s software development process. Using prioritization based on risk and potentia l impact
to the customer, the organization shall retain documented information of a software development
capability self-assessment.
The organization shall include software development within the scope of their internal audit
programme (see Section 9.2.2.1
9.2.2.1)).
The organization shall identify, document, and review product design input requirements as a result
of contract review. Product design input requirements include but are not limited to the following:
a) product specifications including but not limited to special characteristics (see
(see Section 8.3.3.3
8.3.3.3));
b) boundary and interface requirements;
c) identification, traceability, and packaging;
d) consideration of design alternatives;
e) assessment of risks with the input requirements and the organization’s ability to
mitigate/manage the risks, including from the feasibility analysis;
f) targets for conformity
conformity to product
product requirements including preservation,
preservation, reliability, durability,
serviceability, health, safety, environmental, development timing, and cost;
g) applicable statutory and regulatory
regulatory requirements of the customer-identified country of
destination, if provided;
h) embedded software requirements.
The organization shall have a process to deploy information gained from previous design projects,
competitive product analysis (benchmarking), supplier feedback, internal input, field data, and other
relevant sources for current and future projects of a similar nature.
NOTE__
NOTE__One
One approach for considering design alternatives is the use of trade-off curves.
The organization shall identify, document, and review manufacturing process design input
requirements including but not limited to the following:
a) product design output data including
including special
special characteristics;
characteristics;
b) targets for productivity, process
process capability,
capability, timing, and cost;
c) manufacturing technology alternatives;
d) customer requirements, if any;
e) experience from previous developments;
f) new materials;
g) product handling and ergonomic requirements; and
h) design for manufacturing and design for assembly.
The manufacturing process design shall include the use of error-proofing methods to a degree
appropriate to the magnitude of the problem(s) and commensurate with the risks encountered.
The organization shall use a multidisciplinary approach to establish, document, and implement its
process(es) to identify special characteristics, including those determined by the customer and the
risk analysis performed by the organization, and shall include the following:
a) documentation of all special
special characteristics in the drawings (as required),
required), risk analysis
analysis (such
as FMEA), control plans, and standard work/operator instructions; special characteristics are
identified with specific markings and are cascaded through each of t hese documents;
b) development of control and monitoring strategies for special characteristics of products and
production processes;
c) customer-specified approvals, when required;
customer-specified definitions and symbols or the organization’s equivalent
d) compliance with customer-specified
symbols or notations, as defined in a symbol conversion table. The symbol conversion table
shall be submitted to the customer, if required.
8.3.4.1 Monitoring
Measurements at specified stages during the design and development of products and processes shall
be defined, analysed, and reported with summary results as an input to management review (see
Section 9.3.2.1
9.3.2.1)).
When required by the customer, measurements of the product and process development activity shall
be reported to the customer at stages specified, or agreed to, by the customer.
NOTE__
NOTE__When
When appropriate, these measurements may include quality risks, costs, lead times, critical paths, and other measurements.
Design and development validation shall be performed in accordance with customer requirements,
including any applicable industry and governmental agency-issued regulatory standards. The timing
of design and development validation shall be planned in alignment with customer-specified timing,
as applicable.
Where contractually agreed with the customer, this shall include evaluation of the interaction of the
organization’s
organization’s product, including embedded software, within the system of the final customer’s
product.
When required by the customer, the organization shall have a prototype programme and control plan.
The organization shall use, whenever possible, the same suppliers, tooling, and manufacturing
processes as will be used in production.
All performance-testing activities shall be monitored for timely completion and conformity to
requirements.
When services are outsourced, the organization shall include the type and extent of control in the
scope of its quality management system to ensure that outsourced services conform to requirements
(see ISO 9001, Section 8.4
8.4)).
The organization shall establish, implement, and maintain a product and manufacturing approval
process conforming to requirements defined by the customer(s).
The organization shall approve externally provided products and services per ISO 9001, Section 8.4.3
8.4.3,,
prior to submission of their part approval to the customer.
The organization shall obtain documented product approval prior to shipment, if required by the
customer. Records of such approval shall be retained.
NOTE__
NOTE__Product
Product approval should be subsequent to the verification of the manufacturing process.
The product design output shall be expressed in terms that can be verified and validated against
product design input requirements. The product design output shall include but is not limited to the
following, as applicable:
a) design risk analysis (FMEA);
b) reliability study results;
c) product special characteristics;
d) results of product design error-proofing, such as DFSS, DFMA, and FTA;
e) product definition including 3D models, technical data packages, product manufacturing
information, and geometric dimensioning & tolerancing (GD&T);
f) 2D drawings, product
product manufacturing information, and geometric
geometric dimensioning & tolerancing
(GD&T);
g) product design review results;
h) service diagnostic
diagnostic guidelines and repair
repair and
and serviceability instructions;
i) service part requirements;
j) packaging and labeling
labeling requirements for shipping.
NOTE__
NOTE__Interim
Interim design outputs should include any engineering problems being resolved through a trade-off process.
The organization shall document the manufacturing process design output in a manner that enables
verification against the manufacturing process design inputs. The organization shall verify the outputs
against manufacturing process design input requirements. The manufacturing process design output
shall include but is not limited to the following:
a) specifications and drawings;
b) special characteristics for product and manufacturing
manufacturing process;
process;
c) identification of process input
input variables
variables that impact characteristics;
characteristics;
d) tooling and equipment
equipment for production and control, including capability studies of equipment
and process(es);
e) manufacturing process flow charts/layout, including
including linkage of product, process, and
and tooling;
f) capacity analysis;
g) manufacturing process FMEA
h) maintenance plans and instructions;
i) control plan (see Annex A);
j) standard work and work instructions;
k) process approval acceptance criteria;
l) data for quality, reliability,
reliability, maintainability,
maintainability, and measurability;
measurability;
m) results of error-proofing identification and verification, as appropriate;
n) methods of rapid detection, feedback, and correction of product / manufacturing process
nonconformities.
The organization shall evaluate all design changes after initial product approval, including those
proposed by the organization or its suppliers, for potential impact on fit, form, function, performance,
and/or durability. These changes shall be validated against customer requirements and approved
internally, prior to production implementation.
If required by the customer, the organization shall obtain documented approval, or a documented
waiver, from the customer prior to production implementation.
For products with embedded software, the organization shall document the revision level of software
and hardware as part of the change record.
8.4.1 General
The organization shall include all products and services that affect customer requirements such as
sub- assembly, sequencing, sorting, rework, and calibration services in the scope of their definition of
externally provided products, processes, and services.
The organization shall have a documented supplier selection process. The selection process shall
include:
a) an assessment of the selected supplier’s risk to product conformity and uninterrupted supply
of the organization’s product to their customers;
b) relevant quality and delivery performance;
c) an evaluation of the supplier’s quality management system;
d) multidisciplinary decision making; and
e) an assessment
assessment of software development
development capabilities,
capabilities, if applicable.
Other supplier selection criteria that should be considered include the following:
− volume of automotive business (absolute and as a percentage
percentage of total business);
− financial stability;
− purchased product, material, or service complexity;
− required technology (product or process);
− adequacy of available resources (e.g., people, infrastructure);
− design and development capabilities (including project management);
− manufacturing capability;
− change management process;
− business continuity planning (e.g., disaster preparedness, contingency planning);
− logistics process;
− customer service.
When specified by the customer, the organization shall purchase products, materials, or services from
customer-directed sources.
All requirements of Section 8.4 (except the requirements in IATF 16949, Section 8.4.1.2
8.4.1.2)) are applicable
to the organization's control of customer-directed sources unless specific agreements are otherwise
defined by the contract between the organization and the custo mer.
The organization shall have a documented process to identify outsourced processes and to select the
types and extent of controls used to verify conformity of externally provided products, processes, and
services to internal (organizational) and external customer requirements.
The process shall include the criteria and actions to escalate or reduce the types and extent of controls
and development activities based on supplier performance and assessment of product, material, or
service risks.
The organization shall document their process to ensure that purchased products, processes, and
services conform to the current applicable statutory and regulatory requirements in the country of
receipt, the country of shipment, and the customer-identified country of destination, if provided.
If the customer defines special controls for certain products with statutory and regulatory
requirements, the organization shall ensure they are implemented and maintained as defined,
including at suppliers.
The organization shall require their suppliers of automotive products and services to develop,
implement, and improve a quality management system certified to ISO 9001, unless otherwise
authorized by the customer [e.g., item a) below], with the ultimate objective of becoming certified to
this Automotive QMS Standard. Unless otherwise specified by the customer, the following sequence
should be applied to achieve this requirement:
a) compliance to ISO 9001 through second-party audits;
b) certification to ISO 9001 through third-party audits; unless unless otherwise specified by the
customer, suppliers to the organization shall demonstrate conformity to ISO 9001 by
maintaining a third- party certification issued by a certification body bearing the accreditation
mark of a recognized IAF MLA (International Accreditation Forum Multilateral Recognition
Arrangement) member and where the accreditation body's main scope includes management
system certification to ISO/IEC 17021;
c) certification to ISO 9001 with compliance
compliance to other customer-defined QMS requirements (such
(such
as Minimum Automotive Quality Management System Requirements for Sub-Tier Suppliers
[MAQMSR] or equivalent) through second-party audits;
d) certification to ISO9001 with compliance to IATF 16949 through second-party audits
e) certification to 16949 through third-party audits (valid third-party
third-party certification of the supplier
supplier
to IATF 16949 by an lATF-recognized certification body).
The organization shall require their suppliers of automotive product-related software, or automotive
products with embedded software, to implement and maintain a process for software quality
assurance for their products.
A software development assessment methodology shall be utilized to assess the supplier’s software
development process. Using prioritization based on risk and potential impact to the customer, the
organization shall require the supplier to retain documented information of a software development
capability self-assessment.
The organization shall have a documented process and criteria to evaluate supplier performance in
order to ensure conformity of externally provided products, processes, and services to internal and
external customer requirements.
At a minimum, the following supplier performance indicators shall be monitored:
a) delivered product conformity to requirements;
b) customer disruptions at the receiving plant,
plant, including yard holds and stop ships;
c) delivery schedule performance;
d) number of occurrences
occurrences of premium
premium freight.
If provided by the customer, the organization shall also include the following, as appropriate, in their
supplier performance monitoring:
e) special status customer notifications related to quality or delivery issues;
f) dealer returns, warranty, field actions, and recalls.
The organization shall include a second-party audit process in their supplier management approach.
Second-party audits may be used for the following:
a) supplier risk assessment;
b) supplier monitoring;
c) supplier QMS development;
d) product audits;
e) process audits.
Based on a risk analysis, including product safety/regulatory requirements, performance of the
supplier, and QMS certification level, at a minimum, the organization shall document the criteria for
determining the need, type, frequency, and scope of second-party audits.
The organization shall retain records of the second-party audit reports.
If the scope of the second-party
second-party audit is to assess the supplier’s quality management system, then the
approach shall be consistent with the automotive process approach.
NOTE__
NOTE__Guidance
Guidance may be found in the IATF Auditor Guide and ISO 19011.
The organization shall determine the priority, type, extent, and timing of required supplier
development actions for its active suppliers. Determination inputs shall include but are not limited to
the following:
a) performance issues identified through supplier
supplier monitoring (see Section
Section 8.4.2.4
8.4.2.4);
);
b) second-party audit findings (see Section 8.4.2.4.1
8.4.2.4.1);
);
c) third-party quality management system certification status;
d) risk analysis.
The organization shall implement actions necessary to resolve open (unsatisfactory) performance
issues and pursue opportunities for continual improvement.
The organization shall pass down all applicable statutory and regulatory requirements and special
product and process characteristics to their suppliers and require the suppliers to cascade all
applicable requirements
requirements down the supply chain to the point of manufacture.
The organization shall develop control plans (in accordance with Annex A) at the system, subsystem,
component, and/or material level for the relevant manufacturing site and all product supplied,
including those for processes producing bulk materials as well as parts. Family control plans are
acceptable for bulk material and similar parts using a common manufacturing process.
The organization shall have a control plan for pre-launch and production that shows linkage and
incorporates information from the design risk analysis (if provided by the customer), process flow
diagram, and manufacturing process risk analysis outputs (such as FMEA).
The organization shall, if required by the customer, provide measurement and conformity data
collected during execution of either the pre-launch or production control plans. The organization shall
include in the control plan:
a) controls used for the manufacturing process
process control, including verification of job set-ups;
set-ups;
b) first-off / last-off part
part validation,
validation, as applicable;
The organization shall define and implement the necessary actions to ensure product compliance with
requirements after a planned or unplanned production shutdown period.
The organization shall develop, implement, and maintain a documented total productive maintenance
system.
At a minimum, the system shall include the following:
a) identification of process
process equipment necessary to produce conforming product at the required
volume
b) availability of replacement parts for the equipment identified in item a);
c) provision of resource for machine, equipment,
equipment, and facility maintenance;
maintenance;
d) packaging and preservation
preservation of equipment, tooling, and gauging;
e) applicable customer-specific requirements;
f) documented maintenance
maintenance objectives, for example:
example: OEE (Overall Equipment Effectiveness),
MTBF (Mean Time Between Failure), and MTTR (Mean Time To Repair), and Preventive
Maintenance compliance metrics. Performance to the maintenance objectives shall form an
input into management review (see ISO 9001, Section 9.3
9.3));
g) regular review of maintenance plan and objectives
objectives and a documented action plan
plan to address
corrective actions where objectives are not achieved;
h) use of preventive maintenance methods;
i) use of predictive maintenance methods, as applicable;
8.5.1.6 Management of production tooling and manufacturing, test, inspection tooling and equipment
The organization shall provide resources for tool and gauge design, fabrication, and verification
activities for production and service materials and for bulk materials, as applicable.
The organization shall establish and implement a system for production tooling management, whether
owned by the organization or the customer, including:
a) maintenance and repair facilities and
and personnel;
personnel;
b) storage and recovery;
c) set-up;
d) tool-change programmes for perishable tools;
e) tool design modification documentation, including engineering
engineering change level of the product;
f) tool modification and revision to documentation;
g) tool identification, such as serial or asset
asset number; the status,
status, such as production, repair or
disposal; ownership; and location.
The organization shall verify that customer-owned tools, manufacturing equipment, and test /
inspection equipment are permanently marked in a visible location so that the ownership and
application of each item can be determined.
The organization shall implement a system to monitor these activities if any work i s outsourced.
The organization shall ensure that production is scheduled in order to meet customer
orders/demands such as Just-In-Time (JIT) and is supported by an information system that permits
access to production information at key stages of t he process and is order driven.
The organization shall include relevant planning information during production scheduling, e.g.,
customer orders, supplier on-time delivery performance, capacity, shared loading (multi-part station),
lead time, inventory level, preventive maintenance, and calibration.
The purpose of traceability is to support identification of clear start and stop points for product
received by the customer or in the field that may contain quality and/or safety-related
nonconformities. Therefore, the organization shall implement identification and traceability processes
as described below.
The organization shall conduct an analysis of internal, customer, and regulatory traceability
requirements for all automotive products, including developing and documenting traceability plans,
based on the levels of risk or failure severity for employees, customers, and consumers. These plans
shall define the appropriate traceability systems, processes, and methods by product, process, and
manufacturing location that:
a) enable the organization to identify nonconforming
nonconforming and / or suspect
suspect product;
b) enable the organization to segregate nonconforming
nonconforming and/or suspect product;
c) ensure the ability to meet the customer and
and / or regulatory response time requirements;
requirements;
d) ensure documented
documented information is retained in the format (electronic,
(electronic, hardcopy, archive) that
enables the organization to meet the response time requirements;
e) ensure serialized identification of individual products, if specified by the customer or
regulatory standards;
f) ensure the identification and traceability
traceability requirements are
are extended to externally provided
products with safety/regulatory characteristics.
8.5.4 Preservation
The organization shall ensure that a process for communication of information on service concerns to
manufacturing, material handling, logistics, engineering, and design activities is established,
implemented, and maintained.
sub -clause is to ensure that the organization is aware of nonconforming
NOTE 1 The intent of the addition of “service concerns” to this sub-clause
product(s) and material(s) that may be identified at the customer location or in the field
NOTE 2 “Service concerns” should include the results of field failure test analysis (see Section 10.2.6
10.2.6)) where applicable.
When there is a service agreement with the customer, the organization shall:
a) verify that the relevant service centres comply with applicable requirements;
b) verify the effectiveness of any special purpose tools or measurement equipment;
c) ensure that all service personnel are trained i n applicable requirements.
The organization shall have a documented process to control and react to changes that impact product
realization. The effects of any change, including those changes caused by the organization, the
customer, or any supplier, shall be assessed.
The organization shall:
a) define verification and validation activities to ensure compliance with customer requirements;
b) validate changes before implementation;
c) document the evidence of related risk analysis;
d) retain records of verification and validation.
Changes, including those made at suppliers, should require a production trial run for verification of changes
(such as changes to part design, manufacturing location, or manufacturing process) to validate the impact
of any changes on the manufacturing process
When required by the customer, the organization shall:
e) notify the customer of any planned
planned product realization
realization changes after the most recent
recent product
approval;
f) obtain documented approval, prior to implementation of the change;
g) complete additional verification or identification requirements, such as production trial run and
new product validation.
The organization shall identify, document, and maintain a list of the process controls, including
inspection, measuring, test, and error-proofing devices, that includes the primary process control and
the approved back-up or alternate methods.
The organization shall document the process that manages the use of alternate control methods. The
organization shall include in this process, based on risk analysis (such as FMEA), severity, and the
internal approvals to be obtained prior to production implementation of t he alternate control method.
Before shipping product that was inspected or tested using the alternate method, if required, the
organization shall obtain approval from the customer(s). The organization shall maintain and
periodically review a list of approved alternate process control methods that are referenced in the
control plan.
Standard work instructions shall be available for each alternate process control method. The
organization shall review the operation of alternate process controls on a daily basis, at a minimum,
to verify implementation of standard work with the goal to return to the standard process as defined
by the control plan as soon as possible. Example methods include but are not limited to the following
− daily quality focused audits (e.g.,
(e.g., layered process audits, as applicable);
applicable);
− daily leadership meetings.
Restart verification is documented for a defined period based on severity and confirmation that all
features of the error-proofing device or process are effectively reinstated
The organization shall implement traceability of all product produced while any alternate process
control devices or processes are being used (e.g., verification and retention of first
f irst piece and last piece
from every shift).
The organization shall ensure that the planned arrangements to verify that the product and service
requirements have been met encompass the control plan and are documented as specified in the
control plan (see Annex A)
A).
The organization shall ensure that the planned arrangements for initial release of products and
services encompass product or service approval.
The organization shall ensure that product or service approval is accomplished after changes
following initial release, according to ISO 9001, Section 8.5.6
8.5.6..
A layout inspection and a functional verification to applicable customer engineering material and
performance standards shall be performed for each product as specified in the control plans. Results
shall be available for customer review.
NOTE 1 Layout inspection is the complete measurement of all product dimensions shown on the design record(s).
For organizations manufacturing parts designated by the customer as “appearance items,” the
organization shall provide the following:
a) appropriate resources, including lighting, for evaluation;
b) masters for colour,
colour, grain, gloss, metallic
metallic brilliance,
brilliance, texture, distinctness of image (DOl), and
haptic technology, as appropriate;
c) maintenance and control of appearance
appearance masters
masters and evaluation equipment;
equipment;
d) verification that personnel
personnel making
making appearance evaluations are competent and
and qualified to do
so.
The organization shall have a process to ensure the quality of externally provided processes, products,
and services utilizing one or more of the following methods:
a) receipt and evaluation of statistical data provided by the supplier to the organization;
b) receiving inspection
inspection and/or testing, such as sampling
sampling based on performance;
performance;
c) second-party or third-party assessments
assessments or audits
audits of supplier sites when coupled
coupled with records
records
of acceptable delivered product conformance to requirements;
d) part evaluation by a designated laboratory;
e) another method agreed with the customer.
Prior to release of externally provided products into its production flow, the organization shall confirm
and be able to provide evidence that externally provided processes, products, and services conform to
the latest applicable statutory, regulatory, and other requirements in the countries where they are
manufactured and in the customer-identified countries of destination, if provided.
Acceptance criteria shall be defined by the organization and, where appropriate or required, approved
by the customer. For attribute data sampling, the acceptance level shall be zero defects (see Section
9.1.1.1)).
9.1.1.1
8.7.1
The organization shall obtain a customer concession or deviation permit prior to further processing
whenever the product or manufacturing process is different from that which is currently approved.
The organization shall obtain customer authorization prior to further processing for “use as is” and
rework dispositions of nonconforming product. If sub-components are reused in the manufacturing
process, that sub-component reuse shall be clearly communicated to the customer in the concession
or deviation permit.
The organization shall maintain a record of the expiration date or quantity authorized under
concession. The organization shall also ensure compliance with the original or superseding
specifications and requirements when the authorization expires. Material shipped under concession
shall be properly identified on each shipping container (this applies equally to purchased product).
The organization shall approve any requests from suppliers before submission to the customer.
The organization shall comply with applicable customer-specified controls for nonconforming
product(s).
The organization shall ensure that product with unidentified or suspect status is classified and
controlled as nonconforming product. The organization shall ensure that all appropriate
manufacturing personnel receive training for containment of suspect and nonconforming product.
The organization shall utilize risk analysis (such as FMEA) methodology to assess risks in the rework
process prior to a decision to rework the product. If required by the customer, the organization shall
obtain approval from the customer prior to commencing rework of the product.
The organization shall have a documented process for rework confirmation in accordance with the
control plan or other relevant documented information to verify compliance to original specifications.
Instructions for disassembly or rework, including re-inspection and traceability requirements, shall
be accessible to and utilized by the appropriate personnel.
The organization shall retain documented information on the disposition of reworked product
including quantity, disposition, disposition date, and applicable traceability information.
The organization shall utilize risk analysis (such as FMEA) methodology to assess risks in the repair
process prior to a decision to repair the product. The organization shall obtain approval from the
customer before commencing repair of the product.
The organization shall have a documented process for repair confirmation in accordance with the
control plan or other relevant documented information.
Instructions for disassembly or repair, including re-inspection and traceability requirements, shall be
accessible to and utilized by the appropriate personnel.
The organization shall obtain a documented customer authorization for concession for the product to
be repaired.
The organization shall retain documented information on the disposition of repaired product
including quantity, disposition, disposition date, and applicable traceability information.
The organization shall immediately notify the customer(s) in the event that nonconforming product
has been shipped. Initial communication shall be followed with detailed documentation of the event.
The organization shall have a documented process for disposition of nonconforming product not
subject to rework or repair. For product not meeting requirements, the organization shall verify that
the product to be scrapped is rendered unusable prior to disposal.
The organization shall not divert nonconforming product to service or other use without prior
customer approval.
8.7.2
9 Performance Evaluation
9.1.1 General
The organization shall perform process studies on all new manufacturing (including assembly or
sequencing) processes to verify process capability and to provide additional i nput for process control,
including those for special characteristics.
NOTE For some manufacturing processes, it may not be possible to demonstrate product compliance through process capability. For those
processes, alternate methods such as batch conformance to specification may be used
The organization shall maintain manufacturing process capability or performance results as specified
by the customer’s part approval process requirements. The organization shall verif y
verif y that the process
flow diagram, PFMEA, and control plan are implemented, including adherence to the following:
a) measurement techniques;
b) sampling plans;
c) acceptance criteria;
d) records of actual measurement values and / or test results for variable data;
e) reaction plans and escalation process when acceptance criteria
criteria are not
not met.
Significant process events, such as tool change or machine repair, shall be recorded and retained as
documented information.
The organization shall initiate a reaction plan indicated on the control plan and evaluated for impact
on compliance to specifications for characteristics that are either not statistically capable or are
unstable. These reaction plans shall include containment of product and 100 percent inspection, as
appropriate. A corrective action plan shall be developed and implemented by the organization
indicating specific actions, timing, and assigned responsibilities to ensure that the process becomes
stable and statistically capable. The plans shall be reviewed with and approved by the customer, when
required.
The organization shall maintain records of effective dates of process changes.
The organization shall determine the appropriate use of statistical tools. The organization shall verify
that appropriate statistical tools are included as part of the advanced product quality planning (or
equivalent) process and included in the design risk analysis (such as DFMEA) (where applicable), the
process risk analysis (such as PFMEA), and the control plan.
Statistical concepts, such as variation, control (stability), process capability, and the consequences of
over-adjustment, shall be understood and used by employees involved in the collection, analysis, and
management of statistical data.
Customer satisfaction with the organization shall be monitored through continual evaluation of
internal and external performance indicators to ensure compliance to the product and process
specifications and other customer requirements.
Performance indicators shall be based on objective evidence and include but not be limited to the
following:
a) delivered part quality performance;
b) customer disruptions;
c) field returns,
returns, recalls,
recalls, and warranty (where applicable);
d) delivery schedule
schedule performance
performance (including incidents
incidents of premium freight);
e) customer notifications related to quality or delivery issues, including special status.
The organization shall monitor the performance of manufacturing processes to demonstrate
compliance with customer requirements for product quality and process efficiency. The monitoring
shall include the review of customer performance data including online customer portals and
customer scorecards, where provided.
9.1.3.1 Prioritization
Trends in quality and operational performance shall be compared with progress toward objectives
and lead to action to support prioritization of actions for improving customer satisfaction.
The organization shall have a documented internal audit process. The process shall include the
development and implementation of an internal audit programme that covers the entire quality
management system including quality management system audits, manufacturing process audits, and
product audits.
The audit programme shall be prioritized based upon risk, internal and external performance trends,
and criticality of the process(es).
Where the organization is responsible for software development, the organization shall include
software development capability assessments in their internal audit programme.
The frequency of audits shall be reviewed and, where appropriate, adjusted based on occurrence of
process changes, internal and external nonconformities, and/or customer complaints. The
effectiveness of the audit programme shall be reviewed as a part of management review.
The organization shall audit all quality management system processes over each three-year calendar
period, according to an annual programme, using the process approach to verify compliance with this
Automotive QMS Standard. Integrated with these audits, the organization shall sample customer-
specific quality management system requirements for effective implementation
The organization shall audit all manufacturing processes over each three-year calendar period to
determine their effectiveness and efficiency using customer-specific required approaches for process
audits. Where not defined by the customer, the organization shall determine the approach to be used.
Within each individual audit plan, each manufacturing process shall be audited on all shifts where it
occurs, including the appropriate sampling of the shift handover.
The manufacturing process audit shall include an audit of the effective implementation of the process
risk analysis (such as PFMEA), control plan, and associated documents.
The organization shall audit products using customer-specific required approaches at appropriate
stages of production and delivery to verify conformity to specified requirements. Where not defined
by the customer, the organization shall define the approach to be used.
9.3.1 General
Management review shall be conducted at least annually. The frequency of management review(s)
shall be increased based on risk to compliance with customer requirements resulting from internal or
external changes impacting the quality management system and performance-related issues.
Top management shall document and implement an action plan when customer performance targets
are not met.
10 Improvement
10.1 General
The organization shall have a documented process(es) for problem solving including:
a) defined approaches for various types and scale
scale of problems (e.g., new product development,
development,
current manufacturing issues, field failures, audit findings);
b) containment, interim actions, and related activities necessary for control of nonconforming
nonconforming
outputs (see ISO 9001, Section 8.7
8.7);
);
c) root cause analysis, methodology used, analysis, and
and results;
d) implementation of systemic corrective actions, including consideration of the impact on
similar processes and products;
e) verification of the effectiveness
effectiveness of implemented corrective actions;
actions;
f) reviewing and, where
where necessary, updating the appropriate documented
documented information (e.g.,
PFMEA, control plan).
Where the customer has specific prescribed processes, tools, or systems for problem solving, the
organization shall use those processes, tools, or systems unless otherwise approved by the customer.
10.2.4 Error-proofing
The organization shall have a documented process to determine the use of appropriate error-proofing
methodologies. Details of the method used shall be documented in the process risk analysis (such as
PFMEA) and test frequencies shall be documented in the control plan.
The process shall include the testing of error-proofing devices for failure or si mulated failure. Records
shall be maintained. Challenge parts, when used, shall be identified, controlled, verified, and calibrated
where feasible. Error-proofing device failures shall have a reaction plan.
When the organization is required to provide warranty for their product(s), the organization shall
implement a warranty management process. The organization shall include in the process a method
for warranty part analysis, including NTF (no trouble found). When specified by the customer, the
organization shall implement the required warranty management process.
The organization shall perform analysis on customer complaints and field failures, including any
returned parts, and shall initiate problem solving and corrective action to prevent recurrence.
Where requested by the customer, this shall include analysis of the interaction of embedded software
of the organization's product within the system of the final customer’s product.
The organization shall communicate the results of testing/analysis to the customer and also within
the organization.
The organization shall have a documented process for continual improvement. The organization shall
include in this process the following:
a) identification of the methodology used, objectives, measurement, effectiveness, and
documented information;
b) a manufacturing process
process improvement action plan with emphasis
emphasis on the reduction of process
variation and waste;
c) risk analysis (such as FMEA).
NOTE__
NOTE__Continual
Continual improvement is implemented once manufacturing processes are statistically capable and stable or when product
characteristics are predictable and meet customer requirements.
General data
e) part number(s);
i) key contact;
Product control
c) specification / tolerance.
Process control
Methods
b) error-proofing;
d) control method.
Reaction plan
Internal Audit
AIAG
CQI-8 Layered Process Audit
CQI-9 Special Process: Heat Treatment System Assessment
CQI-11 Special Process: Plating System Assessment
CQI-12 Special Process: Coating System Assessment
CQI-15 Special Process: Welding System Assessment
CQI-17 Special Process: Soldering System Assessment
CQI-23 Special Process: Molding System Assessment
CQI-27 Special Process: Casting System Assessment
ANFIA
AQ 008 Process Audit
FIEV
V2.0 Production Process Audit Manual
IATF
Auditor Guide for IATF 16949
VDA
Volume 6 part 3 Process Audit
Volume 6 part 5 Product Audit
AIAG
CQI-14 Automotive Warranty Management Guideline
CQI-20 Effective Problem Solving Practitioner Guide
VDA
Volume “Audit standard field failure analysis”
Volume “Field failures analysis”
AIAG
Measurement Systems Analysis (MSA)
ANFIA
AQ 024 MSA Measurement Systems Analysis
VDA
Volume 5 “Capability of Measuring Systems”
Product approval
AIAG
Production Part Approval Process (PPAP)
VDA
Volume 2 Production process and product approval (PPA)
– Particulate Contamination
Volume 19 Part 1 (“Inspection of Technical Cleanliness – Particulate
of Functionally Relevant Automotive Components”)
Volume 19 Part 2 (“Technical cleanliness in assembly - Environment, Logistics
Personnel and Assembly Equipment”)
Product design
AIAG
APQP and Control Plan
CQI-24 Design Review Based on Failure Modes (DRBFM Reference Guide)
Potential Failure Mode & Effects Analysis (FMEA)
ANFIA
AQ 009 FMEA
AQ 014 Manual of Experimental Design
AQ 025 Reliability Guide
VDA
Volume 4 Chapter Product and Process FMEA
VDA-RGA “Maturity Level Assurance for New Parts”
Volume VDA-RGA
Volume “Robust Production Process"
Volume Special Characteristics (SC)
Production control
AIAG
MMOG/LE Materials Management Operational Guidelines I Logistics Evaluation
SMMT
Implementing Standardised Work
Risk analysis
VDA
"Ring-binder” (elementary aids, risk analyses, methods, and process
Volume 4 "Ring-binder”
models)
Statistical tools
AIAG
Statistical Process Control (SPC)
ANFIA
AQ 011 SPC