1 EN ACT Part1 v8
1 EN ACT Part1 v8
1 EN ACT Part1 v8
COMMISSION
Brussels, 5.4.2016
C(2016) 1958 final
COMMISSION NOTICE
of 5.4.2016
The 'Blue Guide' on the implementation of EU product rules 2016
EN
EN
TABLE OF CONTENTS
1.
1.1.
A historical perspective
1.1.1.
1.1.2.
Mutual Recognition
1.1.3.
1.2.
1.2.1.
The concept
1.2.2.
The legal nature of the NLF acts and their relationship to other EU legislation
10
1.2.3.
11
1.3.
11
1.4.
12
1.5.
13
2.
2.1.
Product coverage
16
2.2.
18
2.3.
19
2.4.
21
2.5.
21
2.6.
22
2.7.
23
2.8.
Geographical application (EEA EFTA states, Overseas Countries and Territories (OCTs), Turkey)
24
2.8.1.
24
2.8.2.
24
2.8.3.
25
2.8.4.
Turkey
25
2.9.
26
2.10.
Transitional arrangements for the EU Declaration of Conformity as a result of the alignment to Decision
No 768/2008/EC
27
3.
28
3.1.
Manufacturer
28
3.2.
Authorised representative
31
3.3.
Importer
32
3.4.
Distributor
33
3.5.
35
3.6.
End-user
36
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4.
PRODUCT REQUIREMENTS
38
4.1.
38
4.1.1.
38
4.1.2.
39
4.1.3.
48
4.2.
Traceability requirements
50
4.2.1.
50
4.2.2.
Traceability provisions
50
4.3.
Technical documentation
53
4.4.
Eu declaration of conformity
54
4.5.
Marking requirements
56
4.5.1.
CE marking
56
4.5.2.
61
5.
CONFORMITY ASSESSMENT
5.1.
62
5.1.1.
62
5.1.2.
62
5.1.3.
63
5.1.4.
66
5.1.5.
66
5.1.6.
67
5.1.7.
Overview of modules
68
5.1.8.
Overview of procedures
70
5.1.9.
72
5.2.
73
5.2.1.
73
5.2.2.
73
5.2.3.
75
5.2.4.
76
5.2.5.
76
5.2.6.
78
5.3.
Notification
78
5.3.1.
Notifying authorities
78
5.3.2.
Notification process
79
5.3.3.
82
5.3.4.
82
6.
ACCREDITATION
6.1.
Why accreditation?
84
6.2.
What is accreditation?
85
62
84
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6.3.
Scope of Accreditation
85
6.4.
86
6.4.1.
86
6.4.2.
87
6.5.
88
6.5.1.
88
6.5.2.
Peer evaluation
89
6.5.3.
89
6.5.4.
90
6.6.
Cross-border accreditation
90
6.7.
92
6.7.1.
92
6.7.2.
The impact on trade relations in the field of conformity assessemnt between the EU and Third Countries
93
7.
MARKET SURVEILLANCE
7.1.
94
7.2.
95
7.3.
97
7.4.
99
7.4.1.
National infrastructures
99
7.4.2.
100
7.4.3.
Public information
100
7.4.4.
101
7.4.5.
102
7.4.6.
Sanctions
103
7.5.
104
7.5.1.
safeguard mechanisms
104
7.5.2.
105
7.5.3.
Mutual assistance, AdministrATive Cooperation and exchange of information among Member States
107
7.5.4.
109
7.5.5.
ICSMS
110
7.5.6.
111
8.
8.1.
112
8.2.
112
9.
9.1.
113
9.2.
114
9.2.1.
Main characteristics
114
94
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112
113
9.2.2.
EU-Swiss MRA
115
9.2.3.
EEA EFTA States: Mutual recognition agreements and Agreements on Conformity Assessment and
Acceptance
115
10.
ANNEXES
117
10.1.
117
10.2.
122
10.3.
124
10.4.
125
10.5.
Annex 5 Relation between ISO 9001 and modules requiring a quality assurance system
136
10.6.
Annex 6 Using Harmonised Standards to assess the competence of Conformity Assessment Bodies
137
10.7.
142
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PREFACE
The Guide to the implementation of directives based on the New Approach and the Global Approach
(the Blue Guide) was published in 2000. Since then, it has become one of the main reference
documents explaining how to implement the legislation based on the New Approach, now covered by
the New Legislative Framework.
Much of the 2000 edition of the Blue Guide is still valid but it requires updating to cover new
developments and to ensure the broadest possible common understanding on implementation of the
New Legislative Framework (NLF) for the marketing of products. It is also necessary to take account
of the changes introduced by the Lisbon Treaty (in force since 1st December 2009) with regard to
the legal references and terminology applicable to EU-related documents, procedures, etc.
This new version of the Guide will therefore build on the past edition, but include new chapters, for
example on the obligations of economic operators or accreditation, or completely revised chapters
such as those on standardisation or market surveillance. The Guide has also been given a new title
reflecting the fact that the New Legislative Framework is likely to be used, at least in part, by all
types of Union harmonisation legislation and not only by the so-called New Approach directives.
IMPORTANT NOTICE
This Guide is intended to contribute to a better understanding of EU product rules and to their more
uniform and coherent application across different sectors and throughout the single market. It is
addressed to the Member States and others who need to be informed of the provisions designed to
ensure the free circulation of products as well as a high level of protection throughout the Union
(e.g. trade and consumer associations, standardisation bodies, manufacturers, importers,
distributors, conformity assessment bodies and trade unions).
This is intended purely as a guidance document only the text of the Union harmonisation act itself
has legal force. In certain cases, there may be differences between the provisions of a Union
harmonisation act and the contents of this Guide, in particular where slightly divergent provisions in
the individual Union harmonisation act cannot be fully described in this Guide. The binding
interpretation of EU legislation is the exclusive competence of the Court of Justice of the European
Union. The views expressed in this Guide cannot prejudge the position that the Commission might
take before the Court of Justice. Neither the European Commission nor any person acting on behalf
of the Commission is responsible for the use which might be made of the following information.
This Guide applies to the EU Member States but also to Iceland, Liechtenstein and Norway as
signatories of the Agreement on the European Economic Area (EEA), as well as Turkey in certain
cases. References to the Union or the single market are, accordingly, to be understood as referring
to the EEA, or to the EEA market.
As this Guide reflects the state of the art at the time of its drafting, the guidance offered may be
1
subject to later modification . In particular, more specific reflections are ongoing regarding various
aspects of the Union legal framework applicable to online sales and this Guide is without prejudice to
any future specific interpretation and guidance which may be developed on those matters.
On 13 February 2013, the Commission adopted a proposal for a new stand-alone Market Surveillance Regulation, bringing together all market
surveillance provisions from Regulation (EC) No 765/2008, GPSD and sectoral legislation. COM(2013)75 final is available at: http://eurlex.europa.eu/LexUriServ/LexUriServ.do?uri=COM:2013:0075:FIN:en:PDF
Page | 5
the traditional approach or Old Approach with detailed texts containing all the necessary technical and
administrative requirements;
the New Approach developed in 1985, which restricted the content of legislation to essential requirements
leaving the technical details to European harmonised standards. This in turn led to the development of European
standardisation policy to support this legislation;
the development of the conformity assessment instruments made necessary by the implementation of the various
Union harmonisation acts, both New Approach and Old Approach;
the New Legislative Framework2 adopted in July 2008, which built on the New Approach and completed the
overall legislative framework with all the necessary elements for effective conformity assessment, accreditation
and market surveillance including the control of products from outside the Union.
1.1.1.
The Old Approach reflected the traditional manner in which national authorities drew up technical legislation, going into
great detail - usually motivated by a lack of confidence in the rigour of economic operators on issues of public health and
safety. In certain sectors (e.g. legal metrology) this even led public authorities to deliver certificates of conformity
themselves. The unanimity required in this field until 1986 made the adoption of such legislation very unwieldy and the
continued recourse to this technique in a number of sectors is often justified for reasons of public policy (e.g. food
legislation) or by international traditions and/or agreements which cannot be changed unilaterally (e.g. automobile
legislation or food again).
The first attempt to break out of this situation came with the adoption of Directive 83/189/EEC 3 on 28 March 1983
setting up an information procedure between the Member States and the Commission to avoid the creation of new
technical barriers to the free movement of goods which would take a long time to correct through the harmonisation
process.
Under that Directive, Member States are obliged to notify draft national technical regulations to other Member States
and the Commission (and national standardisation bodies (NSB) were obliged to notify draft national standards 4 to the
Commission, to the European standardisation organisations (ESO) and to other national standardisation bodies). During
a standstill period these technical regulations may not be adopted, leaving the Commission and the other Member States
the possibility to react. In the absence of reactions within the initial standstill period of three months, the draft technical
regulations may then be adopted. Otherwise, where objections are raised, a further three month standstill is imposed.
2
3
4
Regulation (EC) 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 and Decision No 768/2008/EC of the European
Parliament and of the Council of 9 July 2008 on a common framework for the marketing of products, and repealing Council Decision 93/465/EEC
Now superseded by Directive (EU) 2015/1535 of the European Parliament and of the Council of 9 September 2015 laying down a procedure for the
provision of information in the field of technical regulations and of rules on Information Society services, OJ L 241, 17.9.2015.
Since 1.1.2013 and under Regulation (EU) No 1025/2012 each national standardisation body is obliged to make its work programme publicly
available and to notify the existence thereof to the other national standardisation bodies, to the European standardisation organisation and to the
Commission.
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The standstill period is 12 months in the presence of a proposal for a Union harmonisation act in the area in question.
However, the standstill period does not apply where a Member State is obliged to introduce technical regulations
urgently to protect public health or safety, animals or plants.
1.1.2.
MUTUAL RECOGNITION
Alongside legislative initiatives to prevent new barriers and promote the free movement of goods, the systematic
application of the principle of mutual recognition enshrined in EU law was also pursued. National technical regulations
are subject to the provisions of Articles 34 to 36 of the Treaty on the Functioning of the European Union (TFEU), which
prohibit quantitative restrictions or measures having equivalent effect. Case law of the European Court of Justice,
especially case 120/78 (the Cassis de Dijon case5), provides the key elements for mutual recognition. The effect of this
case law is as follows.
Products lawfully manufactured or marketed in one Member State should in principle move freely throughout
the Union where such products meet equivalent levels of protection to those imposed by the Member State of
destination.
In the absence of Union harmonisation legislation, Member States are free to legislate on their territory subject
to the Treaty rules on free movement of goods (Arts. 34 36 TFEU).
Barriers to free movement which result from differences in national legislation may only be accepted if national
measures:
are necessary to satisfy mandatory requirements (such as health, safety, consumer protection and
environmental protection);
serve a legitimate purpose which justifies overriding the principle of free movement of goods; and
can be justified with regard to the legitimate purpose and are proportionate with the aims.
To help implement these principles, the European Parliament and the Council adopted, in the 2008 goods package,
Regulation (EC) 764/2008 of 9 July 2008 laying down procedures relating to the application of certain national technical
rules to products lawfully marketed in another Member State and repealing Decision 3052/95/EC6.
However, while contributing greatly to the free movement of goods within the single market, the mutual recognition
principle cannot solve all the problems and there remains, even today as underlined by the comments of the Monti
Report7, room for further harmonisation.
1.1.3.
The Cassis de Dijon case is well known for its important role in promoting the mutual recognition principle but it also
played an immense role in modifying the EU approach to technical harmonisation on three fundamental counts:
5
6
7
in stating that Member States could only justify forbidding or restricting the marketing of products from other
Member States on the basis of non-conformity with essential requirements, the Court opened a reflection on
the content of future harmonisation legislation: since non-respect of non-essential requirements could not
justify restricting the marketing of a product, such non-essential requirements need no longer figure in EU
harmonisation texts. This opened the door to the New Approach and the consequent reflection on what
constitutes an essential requirement and how to formulate it in such a manner that conformity can be
demonstrated;
in stating this principle, the Court clearly placed the onus on national authorities to demonstrate where products
did not conform to essential requirements but it also begged the question of the appropriate means for
demonstrating conformity in a proportionate manner;
by noting that Member States were obliged to accept products from other Member States except in
circumscribed conditions, the Court identified a legal principle but did not produce the means to create the trust
Judgment of the Court of Justice of 20 February 1979. - Rewe-Zentral AG v Bundesmonopolverwaltung fr Branntwein. Case 120/78. European
Court reports 1979 Page 649
OJEU L 218 of 13.8.2008.
http://ec.europa.eu/internal_market/strategy/docs/monti_report_final_10_05_2010_en.pdf
Page | 7
in the products that could help authorities to accept products they could not vouch for. This led to the need to
develop a policy on conformity assessment.
The New Approach legislative technique approved by the Council of Ministers on 7 May 1985 in its Resolution on a
new approach to technical harmonisation and standards8 was the logical legislative follow up to the Cassis de Dijon
case. This regulatory technique established the following principles:
Legislative harmonisation should be limited to the essential requirements (preferably performance or functional
requirements) that products placed on the EU market must meet if they are to benefit from free movement
within the EU;
The technical specifications for products meeting the essential requirements set out in legislation should be laid
down in harmonised standards which can be applied alongside the legislation;
Products manufactured in compliance with harmonised standards benefit from a presumption of conformity with
the corresponding essential requirements of the applicable legislation, and, in some cases, the manufacturer
may benefit from a simplified conformity assessment procedure (in many instances the manufacturers
Declaration of Conformity, made more easily acceptable to public authorities by the existence of the product
liability legislation9).
The application of harmonised or other standards remains voluntary, and the manufacturer can always apply
other technical specifications to meet the requirements (but will carry the burden of demonstrating that these
technical specifications answer the needs of the essential requirements, more often than not, through a process
involving a third party conformity assessment body);
The operation of Union harmonisation legislation under the New Approach requires harmonised standards to offer a
guaranteed level of protection with regard to the essential requirements established by the legislation. This constitutes
one of the major preoccupations of the Commission in pursuit of its policy for a strong European standardisation process
and infrastructure. Regulation (EU) No 1025/2012 on European Standardisation 10 gives the Commission the possibility of
inviting, after consultation with the Member States, the European standardisation organisations to draw up harmonised
standards and it establishes procedures to assess and to object to harmonised standards.
Since the New Approach calls for common essential requirements to be made mandatory by legislation, this approach is
appropriate only where it is possible to distinguish between essential requirements and technical specifications. Further,
as the scope of such legislation is risk-related, the wide range of products covered has to be sufficiently homogeneous
for common essential requirements to be applicable. The product area or hazards also have to be suitable for
standardisation.
The principles of the New Approach laid the foundation for European standardisation in support of Union harmonisation
legislation. The role of harmonised standards and the responsibilities of the European standardisation organisations are
now defined in Regulation (EU) No 1025/2012 together with relevant Union harmonisation legislation.
The principle of reliance on standards in technical regulations has also been adopted by the World Trade Organisation
(WTO). In its Agreement on Technical Barriers to Trade (TBT) it promotes the use of international standards 11.
The negotiation of the first Union harmonisation texts under the New Approach immediately highlighted the fact that the
determination of essential requirements and the development of harmonised standards were not sufficient to create the
necessary level of trust between Member States and that an appropriate horizontal conformity assessment policy and
instruments had to be developed. This was done in parallel to the adoption of the directives12.
Hence in 1989 and 1990 the Council adopted a Resolution on the Global Approach and Decision 90/683/EEC (updated
and replaced by Decision 93/465/EEC)13 laying down the general guidelines and detailed procedures for conformity
assessment. These have now been repealed and updated by Decision No 768/2008/EC of 9 July 2008 on a common
framework for the marketing of products14.
The major thrust of these policy instruments was to develop common tools for conformity assessment across the board
(for both regulated and non-regulated areas).
8
9
10
11
12
13
14
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The policy on product standards was first developed to ensure that the standards set technical specifications to which
conformity could be demonstrated. However, at the request of the Commission, CEN and CENELEC adopted the EN
45000 series of standards for the determination of the competence of third parties involved with conformity assessment.
This series has since become the EN ISO/IEC 17000 harmonised series of standards. Under the New Approach directives
a mechanism was set up whereby national authorities notified the third parties they designated to carry out conformity
assessments based on recourse to these standards.
On the basis of ISO/IEC documentation, the Council in its Decisions developed consolidated conformity assessment
procedures and the rules for their selection and use in directives (the modules). The modules are set out in a manner to
favour their selection from the lightest (internal control of production) for simple products or products not necessarily
presenting serious risks, moving to the most comprehensive (full quality assurance with EU-design examination), where
the risks are more severe or the products/technologies more complex. In order to face up to modern manufacturing
processes, the modules foresee both product conformity assessment processes and quality management assessment,
leaving the legislator to decide which are the most appropriate in each sector, as it is not necessarily effective to provide
for individual certification for each mass produced product, for example. To reinforce the transparency of the modules
and their effectiveness, at the request of the Commission, the ISO 9001 series of standards on quality assurance were
harmonised at the European level and integrated into the modules. Thus, economic operators who use these tools in
their voluntary quality management policies to reinforce their quality image on the market, can benefit from the use of
the same tools in the regulated sectors.
These different initiatives were all geared to directly reinforcing the assessment of conformity of products prior to their
marketing. Alongside these, the Commission, in close cooperation with the Member States and the national accreditation
bodies, developed European cooperation in the field of accreditation in order to constitute a last level of control and
reinforce the credibility of the third parties involved in carrying out product and quality assurance conformity
assessment. This remained a political, rather than a legislative initiative, but it was nevertheless effective in creating the
first European infrastructure in this area, and in placing European players very much in the lead in this field at
international level.
These developments led to some 27 directives being adopted on the basis of New Approach elements. They are far
fewer in number than traditional directives in the field of industrial products (some 700), but their wide hazard-based
scope means that entire industrial sectors have benefited from free movement through this legislative technique.
1.2.1.
THE CONCEPT
Towards the end of the 90s the Commission started to reflect on the effective implementation of the New Approach. In
2002, a wide consultation process was launched and on 7 May 2003 the Commission adopted a Communication to the
Council and European Parliament suggesting a possible revision of certain New Approach elements. This in turn led to
the Council Resolution of 10 November 2003 on the Communication of the European Commission Enhancing the
implementation of the New Approach Directives15.
The consensus on the need for the update and review was clear and strong. The major elements needing attention were
also clear: overall coherence and consistency, the notification process, accreditation, the conformity assessment
procedures (modules), CE marking and market surveillance (including revision of the safeguard clause procedures).
A Regulation and a Decision constituting part of the Ayral goods package16 were adopted by the European Parliament
and the Council on 9 July 200817.
Regulation (EC) No 765/2008 and Decision No 768/2008/EC brought together, in the New Legislative Framework (NLF),
all the elements required for a comprehensive regulatory framework to operate effectively for the safety and compliance
of industrial products with the requirements adopted to protect the various public interests and for the proper
functioning of the single market.
Regulation (EC) No 765/2008 established the legal basis for accreditation and market surveillance and consolidated the
meaning of the CE marking, thus filling an existing void. Decision No 768/2008/EC updated, harmonised and
15
16
17
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consolidated the various technical instruments already used in existing Union harmonisation legislation (not only in New
Approach directives): definitions, criteria for the designation and notification of conformity assessment bodies, rules for
the notification process, the conformity assessment procedures (modules) and the rules for their use, the safeguard
mechanisms, the responsibilities of the economic operators and traceability requirements.
The NLF takes account of the existence of all the economic operators in the supply chain manufacturers, authorised
representatives, distributors and importers and of their respective roles in relation to the product. The importer now
has clear obligations in relation to the compliance of products, and where a distributor or an importer modifies a product
or markets it under their own name, they become the equivalent of the manufacturer and must take on the latters
responsibilities in relation to the product.
The NLF also recognises the different facets of the responsibilities of the national authorities: the regulatory authorities,
the notification authorities, those which oversee the national accreditation body, the market surveillance authorities, the
authorities responsible for the control of products from third countries, etc., underlining that responsibilities depend on
the activities carried out.
The NLF has changed the emphasis of EU legislation in relation to market access. Formerly the language of Union
harmonisation legislation concentrated on the notion of placing on the market which is traditional free movement of
goods language, i.e. it focuses on the first making available of a product on the EU market. The NLF, recognising the
existence of a single internal market, puts the emphasis on making a product available thus giving more importance to
what happens after a product is first made available. This also corresponds to the logic of the putting into place of EU
market surveillance provisions. The introduction of the concept of making available facilitates the tracing back of a noncompliant product to the manufacturer. It is important to note that compliance is assessed with regard to the legal
requirements applicable at the time of the first making available.
The most important change brought about by the NLF to the legislative environment of the EU was the introduction of a
comprehensive policy on market surveillance. This has considerably changed the balance of EU legislative provisions
from being fundamentally oriented at setting product related requirements to be met when products are placed on the
market to an equal emphasis on enforcement aspects during the whole life-cycle of products.
1.2.2.
THE LEGAL NATURE OF THE NLF ACTS AND THEIR RELATIONSHIP TO OTHER
EU LEGISLATION
1.2.2.1.
Regulation (EC) No 765/2008 imposes clear obligations on Member States who do not have to transpose its provisions
(although many may have to take national measures to adapt their national legal framework). Its provisions are directly
applicable to the Member States, to all the economic operators concerned (manufacturers, distributors, importers) and to
conformity assessment bodies and accreditation bodies. Economic operators now have not only obligations but direct
rights that they can enforce through the national courts against both national authorities and other economic operators
for non-respect of the provisions of the Regulation.
In the presence of other EU legislation, the Regulation applies first and foremost, a) on the basis of being directly
applicable i.e. national authorities and economic operators must apply the provisions of the Regulation as such (most of
the other legislation is contained in directives) and b) on the basis of the lex specialis rule i.e. whenever a matter is
regulated by two rules, the more specific one should be applied first.
In the absence of more specific legislation on the issues covered by its provisions, Regulation (EC) No 765/2008 will
apply at the same time, with, and as a complement to, existing legislation. Where existing legislation contains similar
provisions as the Regulation, the corresponding provisions will have to be examined on a one to one basis to determine
which is the most specific.
In general terms, relatively few EU legislative texts contain provisions relating to accreditation, so it can be said that
Regulation (EC) No 765/2008 is of general application in this area. In the area of market surveillance (including the
control of products from third countries) the situation is more complex, as some Union harmonisation legislation does
have various provisions relating to the issues covered by the Regulation (e.g. pharmaceuticals and medical devices
legislation which provides for a specific information procedure).
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1.2.2.2.
Decision No 768/2008/EC
Decision No 768/2008/EC is what is referred to as a sui generis decision, meaning that it has no addressees and
therefore is neither directly nor indirectly applicable. It constitutes a political commitment on the part of the three EU
institutions, European Parliament, Council and Commission.
This means that for its provisions to apply in Union law, they have to be either referred to expressis verbis (expressly) in
future legislation or integrated into it.
The three institutions have indeed committed themselves to adhere to and to have recourse as systematically as possible
to its provisions when drawing up product related legislation. Thus, relevant future proposals are to be examined in the
light of the Decision and departures from its contents, duly justified.
1.2.3.
The evolution of EU legislative techniques in this area has been progressive, tackling issues one after another, although
sometimes in parallel, culminating in the adoption of the New Legislative Framework: essential or other legal
requirements, product standards, standards and rules for the competence of conformity assessment bodies as well as for
accreditation, standards for quality management, conformity assessment procedures, CE marking, accreditation policy,
and lately market surveillance policy including the control of products from third countries.
The New Legislative Framework now constitutes a complete system bringing together all the different elements that
need to be dealt with in product safety legislation in a coherent, comprehensive legislative instrument that can be used
across the board in all industrial sectors, and even beyond (environmental and health policies also have recourse to a
number of these elements), whenever EU legislation is required.
In this system, the legislation has to set the levels of public protection objectives of the products concerned as well as
the basic safety characteristics, it should set the obligations and requirements for economic operators, it has to setwhere necessary-the level of competence of the third party conformity assessment bodies who assess products or
quality management systems, as well as the control mechanisms for these bodies (notification and accreditation), it must
determine which are the appropriate conformity assessment processes (modules which also include the manufacturers
Declaration of Conformity) to be applied, and finally it must impose the appropriate market surveillance mechanisms
(internal and external) to ensure that the whole legislative instrument operates in an effective and seamless manner.
All these different elements are interlinked, operate together and are complementary, forming an EU quality 18 chain. The
quality of the product depends on the quality of the manufacturing, which in many instances is influenced by the quality
of testing, internal or carried out by external bodies, which depends on the quality of the conformity assessment
processes, which depends on the quality of the bodies which in turn depends on the quality of their controls, which
depends on the quality of notification or accreditation; the entire system depending on the quality of market surveillance
and controls of products from third countries.
They should all be treated in one way or another in any piece of EU product safety legislation. If one element goes
missing or is weak, the strength and effectiveness of the entire quality chain is at stake.
20
The word quality is used to designate the level of safety and other public policy objectives which are aimed by the Union harmonisation
legislation. Not to be confused with the meaning of the word quality in the commercial context allowing differentiating between different levels of
product quality.
OJEC L 11 of 15.01.2002.
Specific guidance on the practical application of the GPSD is available at: http://ec.europa.eu/consumers/safety/prod_legis/index_en.htm
Page | 11
rapidly informed of dangerous products. Subject to certain conditions, Rapid Alert System notifications can also be
exchanged with non-EU countries. In the case of serious product risks to the health and safety of consumers in various
Member States, the GPSD provides for the possibility for the Commission to take temporary Decisions on Union-wide
measures, so-called emergency measures. Under certain conditions, the Commission may adopt a formal Decision (valid
for one year, but renewable for the same period) requiring the Member States to restrict or prevent the marketing of a
product posing a serious risk to the health and safety of consumers. The Rapid Alert System has been subsequently
extended by Regulation (EC) No 765/2008 to apply to all harmonised industrial products irrespective of the final user
(i.e. professional products) and to products posing risks to other protected interests than health and safety, for example
risks to the environment.
21
22
23
24
25
he did not place the product on the market (for example the product was stolen);
the product was not defective when he placed it on the market (thus he proves that the defect was caused
subsequently);
L 210 of 07/08/1985.
See Article 3 of Directive 85/374/EEC.
For comparison, Union harmonisation legislation may apply to movables such as electronic equipment, personal protective equipment etc. or "not
movables (e.g. a lift once it is integrated into immovable property).
The equivalence in national currency is calculated at the exchange rate of 25 July 1985.
The equivalence in national currency is calculated at the exchange rate of 25 July 1985.
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the product was not manufactured to be sold or distributed for economic purpose;
the defect was caused due to compliance with mandatory regulations issued by the public authorities (which
excludes national, European and international standards)26;
the state of scientific and technical knowledge at the time when the product was put on the market could not
as such enable the existence of the defect to be discovered (the development risks defence) 27; or,
where he is a subcontractor, that the defect was due either to the design of the finished product or to defective
instructions given to him by the producer of the finished product.
Ten years after the product is placed on the market, the producer ceases to be liable, unless legal action is pending.
Further, the victim must file an action within three years of the damage, the defect and the identity of the producer
being known. No waivers of liability in relation to the injured person may be agreed.
The Directive on product liability does not require Member States to repeal any other legislation on liability. In this
respect, the Directives regime adds to the existing national rules on liability. It is up to the victim to choose the grounds
on which to file the action.
26
27
28
Accordingly, harmonised standards although they give a presumption of conformity do not free from liability, but they may reduce the likelihood
of damage. For the use of harmonised standards and presumption of conformity, see Point 4.1.2.
According to the Court of Justice (case C-300/95) this refers to an objective state of knowledge, related not only to safety standards existing in a
particular sector, but to any high standard the producer is presumed to be aware of and that was accessible to him. Liability for development risks
exists in only two Member States.
Decision No 768/2008/EC and Regulation (EC) No 765/2008.
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The restriction of the use of certain hazardous substances in electrical and electronic equipment (Directive
2011/65/EU)
Electrical equipment designed for use within certain voltage limits (Directive 2006/95/EC and Directive 2014/35/EU)
Radio equipment and telecommunications terminal equipment (Directive 1999/5/EC and Directive 2014/53/EU)
Equipment and protective systems intended for use in potentially explosive atmospheres (Directive 94/9/EC and
Directive 2014/34/EU)
Noise emission in the environment by equipment for use outdoors (Directive 2000/14/EC)
Page | 14
However, elements of this Guide might be relevant for other Union harmonisation legislation going even beyond the
realm of industrial products. This is particularly true for the various definitions in the Guide as well as the chapters
bearing on standardisation, conformity assessment, accreditation and market surveillance. Although, it is neither correct
nor desirable to dress an exhaustive list of relevant legislation, a larger list of legislation concerned is provided in Annex
1.
The Guide does not attempt to cover:
29
30
the Directive on General Product Safety29. The Commission services have provided specific guidance on the
practical application of the GPSD30.
the Union legislation on motor vehicles, construction products, REACH, and chemicals.
There are however references to GPSD in relation to specific situations such as second-hand products.
http://ec.europa.eu/consumers/safety/prod_legis/index_en.htm
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Union harmonisation legislation applies when the product is placed on the market and to any subsequent
operation which constitutes making available until it reaches the end-user.
Union harmonisation legislation applies to all forms of selling. A product offered in a catalogue or by means of
electronic commerce has to comply with Union harmonisation legislation when the catalogue or website directs its
offer to the Union market and includes an ordering and shipping system.
The Union harmonisation legislation applies to newly manufactured products but also to used and second-hand
products imported from a third country when they enter the Union market for the first time
A product which has been subject to important changes or overhauls aiming to modify its original performance,
purpose or type may be considered as a new product. The person who carries out the changes becomes then the
manufacturer with the corresponding obligations.
Union harmonisation legislation applies to products which are intended to be placed (or put into service 31) on the
market32. Furthermore, Union harmonisation legislation applies when the product is placed on the market (or put into
service) and to any subsequent making available until the product reaches the end-user33 3435. A product still in the
distribution chain falls under the obligations of the Union harmonisation legislation as long as it is a new product. 36 Once
it reaches the end-user it is no longer considered a new product and the Union harmonisation legislation no longer
applies37. The end-user is not one of the economic operators who bear responsibilities under Union harmonisation
legislation i.e. any operation or transaction by the end-user involving the product is not subject to Union harmonisation
legislation. However, such an operation or transaction might fall under another regulatory regime, in particular at
national level.
The product must comply with the legal requirements that were in place at the time of its placing on the market (or
putting into service).
Union harmonisation legislation applies to all form of supply, including distance selling and selling through electronic
means. Hence, regardless of the selling technique products intended to be made available on the Union market must be
in conformity with the applicable legislation.
A product intended to be placed on the Union market, offered in a catalogue or by means of electronic commerce, has to
comply with Union harmonisation legislation when the catalogue or website directs its offer to the Union market and
includes an ordering and shipping system38. Where a product is not intended for the Union market or is not compliant
with the applicable Union legislation, this has to be clearly indicated (e.g. by providing a visual warning).
The Union harmonisation legislation applies to newly manufactured products but also to used and second-hand products,
including products resulting from the preparation for re-use of electrical or electronic waste, imported from a third
31
32
33
34
35
36
37
38
Some Union harmonisation legislation covers also putting into service(e.g. lifts) or own use (e.g. machinery to be used by the manufacturer
himself) as being equivalent to the placing on the market.
Directive 2014/90/EU on marine equipment refers to the placing on board of a ship flying the flag of an EU Member State.
For placing on the market, making available on the market and putting into service, see Sections 2.2, 2.3 and 2.5.
Directive 1999/44/EC on certain aspects of the sale of consumer goods and associated guarantees (OJ L 171, 07/07/1999, p. 12.) is beyond the
interest of this Guide. According to this directive, sellers of consumer products within the EU are obliged to guarantee the conformity of the products
with a contract, for a period of two years after their delivery. If the products are not delivered in conformity with the sales contract, consumers can
ask for the products to be repaired, replaced, and reduced in price or for the contract to be rescinded. The final seller, who is responsible to the
consumer, can also hold the producer liable in their business relationship.
For the Directives on medical devices, obligations apply only to the placing on the market and/or putting into service but not to any subsequent
making available.
See chapter 3.3 Distributors.
This is without prejudice to the level of safety or other public interest protection that a product must offer in relation to the applicable Union
harmonisation legislation at the time it was placed on the market.
This implies that the economic operator that offers the product has to be in a position to provide the evidence that the product complies with the
applicable requirements i.e. by providing the technical file on request of a market surveillance authority. See chapter 2.3 for more guidance on the
placing on the market of products online.
Page | 16
country when they enter the Union market for the first time39 40. This applies even to used and second-hand products
imported from a third country that were manufactured before the legislation became applicable 41.
Union harmonisation legislation applies to finished products. Yet, the concept of product varies between different pieces
of Union harmonisation legislation. The objects covered by legislation are referred to, for instance, as products,
equipment, apparatus, devices, appliances, instruments, materials, assemblies, components or safety components, units,
fittings, accessories, systems or partly completed machinery. Thus, within the terms of a specific Union harmonisation
act, components, spare parts or sub-assemblies may be regarded as finished products and their end-use may be the
assembly or incorporation into a finished product. It is the responsibility of the manufacturer to verify whether or not the
product is within the scope of a given piece of Union harmonisation legislation4243.
A combination of products and parts, which each comply with applicable legislation, does not always constitute a finished
product that has to comply itself as a whole with a given Union harmonisation legislation. However, in some cases, a
combination of different products and parts designed or put together by the same person is considered as one finished
product which has to comply with the legislation as such. In particular, the manufacturer of the combination is
responsible for selecting suitable products to make up the combination, for putting the combination together in such a
way that it complies with the provisions of the laws concerned, and for fulfilling all the requirements of the legislation in
relation to the assembly, the EU Declaration of Conformity and CE marking. The fact that components or parts are CE
marked does not automatically guarantee that the finished product also complies. Manufacturers must choose
components and parts in such a way that the finished product itself complies. The manufacturer must verify on a caseby-case basis whether a combination of products and parts has to be considered as one finished product in relation with
the scope of the relevant legislation.
A product, which has been subject to important changes or overhaul aiming to modify its original performance, purpose
or type after it has been put into service, having a significant impact on its compliance with Union harmonisation
legislation, must be considered as a new product. This has to be assessed on a case-by-case basis and, in particular, in
view of the objective of the legislation and the type of products covered by the legislation in question. Where a rebuilt 44
or modified product is considered as a new product, it must comply with the provisions of the applicable legislation when
it is made available or put into service. This has to be verified by applying the appropriate conformity assessment
procedure laid down by the legislation in question. In particular, if the risk assessment leads to the conclusion that the
nature of the hazard has changed or the level of risk has increased, then the modified product has to be considered as a
new product i.e. compliance of the modified product with the applicable essential requirements has to be reassessed and
the person carrying out the modification has to fulfil the same requirements as an original manufacturer, for example
preparation of the technical documentation, drawing up a EU declaration of conformity and affixing the CE marking on
the product.
In any case, a modified product sold under the name or trademark of a natural or legal person different from the original
manufacturer, should be considered as new and subject to Union harmonisation legislation. The person who carries out
important changes to the product carries the responsibility for verifying whether or not it should be considered as a new
product in relation to the relevant Union harmonisation legislation. If the product is to be considered as new, this person
becomes the manufacturer with the corresponding obligations. Furthermore, in the case the conclusion is that it is a new
product, the product has to undergo a full conformity assessment before it is made available on the market. However,
the technical documentation has to be updated in as much as the modification has an impact on the requirements of the
applicable legislation. It is not necessary to repeat tests and produce new documentation in relation to aspects not
impacted by the modification, as long as the manufacturer has copies (or access to copies) of the original test reports for
the unchanged aspects. It is up to the natural or legal person who carries out changes or has changes carried out to the
product to demonstrate that not all elements of the technical documentation need to be updated.
39
40
41
42
43
44
Union harmonisation legislation does not prohibit the manufacture of products to meet the requirements of a non-EU Member State, if such products
will not be placed and put into service in the internal market. Union harmonisation legislation does not prohibit the import of products that do not
meet the requirements of the relevant Union harmonisation legislation, if such products are not intended to be placed on the market or put into
service on the internal market (but e.g. refined/processed/incorporated in the internal market) but to be exported outside the EEA.
In this context the Union should be considered to mean the present Member States, where free movement of used and second-hand products takes
place according to Articles 34 and 36 TFEU.
Used and second-hand products supplied to consumers are covered by the GPSD and have to be safe, unless they are supplied as antiques or as
products to be repaired or reconditioned prior to being used, provided that the supplier has clearly informed the person to whom he supplies the
product to that effect.
In some situations the responsibilities of the original manufacturer are taken over by another person, see Chapter 3.
When outside the scope of relevant Union harmonisation legislation, spare parts or parts which are available and marketed separately as products
intended for consumers in order to be integrated to other products, such as service parts or components intended for maintenance or repair, must
nevertheless comply with the general safety requirement set out in the GPSD.
Under medical devices legislation, the term fully refurbished exists. Fully refurbished products are assimilated to new products.
Page | 17
Products which have been repaired or exchanged (for example following a defect), without changing the original
performance, purpose or type, are not to be considered as new products according to Union harmonisation legislation.
Thus, such products do not need to undergo conformity assessment again, whether or not the original product was
placed on the market before or after the legislation entered into force. This applies even if the product has been
temporarily exported to a third county for the repair operations. Such repair operations are often carried out by replacing
a defective or worn item by a spare part, which is either identical, or at least similar, to the original part (for example
modifications may have taken place due to technical progress, or discontinued production of the old part), by
exchanging cards, components, sub-assemblies or even entire identical units. If the original performance of a product is
modified (within the intended use, range of performance and maintenance originally conceived at the design stage)
because the spare-parts used for its repair perform better due to technical progress, this product is not to be considered
as new according to Union harmonisation legislation. Thus, maintenance operations are basically excluded from the
scope of the Union harmonisation legislation. However, at the design stage of the product the intended use and
maintenance must be taken into account45.
Software updates or repairs could be assimilated to maintenance operations provided that they do not modify a product
already placed on the market in such a way that compliance with the applicable requirements may be affected.
A product is made available on the market when supplied for distribution, consumption or use on the Union
market in the course of a commercial activity, whether in return for payment or free of charge.
A product is made available on the market when supplied for distribution, consumption or use on the Union market in
the course of a commercial activity, whether in return for payment or free of charge. 46 Such supply includes any offer for
distribution, consumption or use on the Union market which could result in actual supply (e.g. an invitation to purchase,
advertising campaigns).
Supplying a product is only considered as making available on the Union market, when the product is intended for end
use on the Union market. The supply of products whether for further distribution, for incorporation into a final product,
or for further processing or refinement with the aim to export the final product outside the Union market is not
considered as making available. Commercial activity is understood as providing goods in a business related context. Nonprofit organisations may be considered as carrying out commercial activities if they operate in such a context. This can
only be appreciated on a case by case basis taking into account the regularity of the supplies, the characteristics of the
product, the intentions of the supplier etc. In principle, occasional supplies by charities or hobbyists should not be
considered as taking place in a business related context.
Use refers to the intended purpose of the product as defined by the manufacturer under conditions which can be
reasonably foreseen. Usually, this is the end use of the product.
The central role that the concept of making available plays in Union harmonisation legislation is related to the fact that
all economic operators in the supply-chain have traceability obligations and need to have an active role in ensuring that
only compliant products circulate on the Union market.
The concept of making available refers to each individual product, not to a type of product, and whether it was
manufactured as an individual unit or in series.
The making available of a product supposes an offer or an agreement (written or verbal) between two or more legal or
natural persons for the transfer of ownership, possession or any other right 47 concerning the product in question after
the stage of manufacture has taken place. The transfer does not necessarily require the physical handover of the
product.
This transfer can be for payment or free of charge, and it can be based on any type of legal instrument. Thus, a transfer
of a product is considered to have taken place, for instance, in the circumstances of sale, loan, hire 48, leasing and gift.
45
46
47
48
For products used at the workplace the employer must take all measures necessary to ensure that work equipment is suitable and safe and that
repaired machinery is no less safe than the original. See Section 3.5.
See Article 2 of Regulation (EC) No 765/2008 and Article R1 of Annex I of Decision No 768/2008/EC.
Excluding intellectual property rights.
In case of the making available of a product taking place through renting, repeated renting of the same product does not constitute a new placing
on the market. That product would need to be in compliance with the applicable Union harmonisation legislation at the time the first renting takes
place.
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Transfer of ownership implies that the product is intended to be placed at the disposal of another legal or natural
person.
A product is placed on the market when it is made available for the first time on the Union market.
Products made available on the market must comply with the applicable Union harmonisation legislation at the
moment of placing on the market.
For the purposes of Union harmonisation legislation, a product is placed on the market when it is made available for the
first time on the Union market. The operation is reserved either for a manufacturer or an importer i.e. the manufacturer
and the importer are the only economic operators who place products on the market 49. When a manufacturer or an
importer supplies a product to a distributor 50 or an end-user for the first time, the operation is always labelled in legal
terms as placing on the market. Any subsequent operation, for instance, from a distributor to distributor or from a
distributor to an end-user is defined as making available.
As for making available, the concept of placing on the market refers to each individual product, not to a type of
product, and whether it was manufactured as an individual unit or in series. Consequently, even though a product model
or type has been supplied before new Union harmonisation legislation laying down new mandatory requirements entered
into force, individual units of the same model or type, which are placed on the market after the new requirements have
become applicable, must comply with these new requirements.
Placing a product on the market requires an offer or an agreement (written or verbal) between two or more legal or
natural persons for the transfer of ownership, possession or any other property right concerning the product in question
after the stage of manufacture has taken place51. This transfer could be for payment or free of charge. It does not
require the physical handover of the product.
Placing on the market is considered not to take place where a product is:
49
50
51
52
53
54
55
56
57
manufactured for ones own use. Some Union harmonisation legislation however covers products manufactured
for own use in its scope5253;
bought by a consumer in a third country while physically present in that country54 and brought by the consumer
into the EU for the personal use of that person;
transferred from the manufacturer in a third country to an authorised representative in the Union whom the
manufacturer has engaged to ensure that the product complies with the Union harmonisation legislation 55;
introduced from a third country in the EU customs territory in transit, placed in free zones, warehouses,
temporary storage or other special customs procedures (temporary admission or inward processing) 56;
manufactured in a Member State with a view to exporting it to a third country (this includes components
supplied to a manufacturer for incorporation into a final product to be exported into a third country);
transferred for testing or validating pre-production units considered still in the stage of manufacture;
The Lifts Directive 95/16/EC uses also the concept of installer who also places on the market.
The distribution chain can also be the commercial chain of the manufacturer or the authorised representative.
An offer or agreement concluded before the stage of manufacture has been finalised cannot be considered as placing on the market (e.g. an offer to
manufacture a product according to certain specifications agreed by the parties to the contract, where the product will only be manufactured and
delivered at a later stage).
See for instance, the Directives on Machinery, Measuring Instruments, ATEX, Civil Explosives.
When Union harmonisation legislation covers own use, this does not refer to the occasional manufacturing for own use by a private person in a noncommercial context.
This exception does not include products which are shipped by the economic operator to the consumers in the EU, such as the case of products
bought online and shipped to the EU.
For authorised representative, see Section 3.2.
See Council Regulation (EEC) No 2913/92 establishing the Community customs code. In accordance with this Regulation, non-Community goods
placed under a suspensive customs procedure or in a free zone are subject to customs supervision and do not benefit from the free circulation in the
internal market. Before benefiting from the free circulation in the internal market, these goods must be declared for release for free circulation. That
entails application of commercial policy measures, completion of the other formalities laid down in respect of the importation of goods and the
charging of any duties legally due.
The prototype must be safe and under complete control and supervision. Controlled conditions would mean expert operators, restrictions to public
contact with the product, avoiding inappropriate interaction with other neighbouring products etc.
Page | 19
in the stocks of the manufacturer (or the authorised representative established in the Union) or the importer,
where the product is not yet made available, that is, when it is not being supplied for distribution, consumption
or use, unless otherwise provided for in the applicable Union harmonisation legislation.
Products offered for sale by online operators5960 based in the EU are considered to have been placed on the Union
market, regardless of who placed them on the market (the online operator, the importer, etc.). Products offered for sale
online by sellers based outside the EU are considered to be placed on the Union market if sales are specifically targeted
at EU consumers or other end-users. The assessment of whether or not a website located inside or outside the EU
targets EU consumers has to be done on a case-by-case basis, taking into account any relevant factors such as the
geographical areas to which dispatch is possible, the languages available used for the offer or for ordering, payment
possibilities, etc.61 When an online operator delivers in the EU, accepts payment by EU consumers/end-users and uses
EU languages, then it can be considered that the operator has expressly chosen to supply products to EU consumers or
other end-users. Online operators may offer online for sale a product type or an individual product which has been
already manufactured. When the offer refers to a product type, the placing on the market will only take place after the
stage of manufacture has been completed.
As the products offered for sale by an online operator are likely to be (or have already been) ordered by consumers or
businesses in the EU, they are being supplied in the context of a commercial activity by way of online sales. Generally
products are offered for sale online in return for payment. Nevertheless, the supply of products free of charge can also
be a commercial activity62. As for consumer to consumer (C2C) sales, these are generally not considered as commercial
activities. Nevertheless the assessment of whether a C2C product is being supplied in the framework of a commercial
activity has to be done on a case-by-case basis, taking into account all relevant criteria such as the regularity of the
supplies, the intention of the supplier etc.63
The legal consequence is that products offered for sale by online operators need to comply with all applicable EU rules
when placed on the market64. Such compliance can be physically verified by responsible authorities when the products
are in their jurisdiction, at the soonest, at the customs.
In addition, products offered by online operators are generally stored in fulfilment houses located in the EU to guarantee
their swift delivery to EU consumers. Accordingly, products stored in such fulfilment houses are considered to have been
supplied for distribution, consumption or use in the EU market and thus placed on the EU market. When an online
operator uses a fulfilment house, by shipping the products to the fulfilment house in the EU the products are in the
distribution phase of the supply chain65.
The placing on the market is the most decisive point in time concerning the application of the Union harmonised
legislation66. When made available on the market, products must be in compliance with the Union harmonisation
legislation applicable at the time of placing on the market. Accordingly, new products manufactured in the Union and all
products imported from third countries whether new or used must meet the provisions of the applicable Union
harmonisation legislation when placed on the market i.e. when made available for the first time on the Union market.
Compliant products once they have been placed on the market may subsequently be made available along the delivery
chain without additional considerations, even in case of revisions to the applicable legislation or the relevant harmonised
standards, unless otherwise specified in the legislation.
58
59
60
61
62
63
64
65
66
However, in such circumstances a visible sign must clearly indicate that the product in question may not be placed on the market or put into service
until it has been made to comply.
As noted in the introduction, more specific reflections are ongoing regarding various aspects of the Union legal framework applicable to online sales
and this Guide is without prejudice to any future specific interpretation and guidance which may be developed on those matters.
An online operator is not a new category of economic operator, but it is used to refer to the classic economic operators (manufacturers, importers
distributors) operating online only/mainly.
Judgment of the CJEU of 12 July 2011, Case C-324/09, LOral/ eBay, p.65. Although the legal context is different, this element of the judgement can
be taken into account in this context.
For example in the context of combined offers, Directive 2005/29/EC concerning unfair business-to-consumer commercial practices in the internal
market defines business-to-consumer commercial practices as any act, omission, course of conduct or representation, commercial communication
including advertising and marketing, by a trader, directly connected with the promotion, sale or supply of a product to consumers.
An element that could also be taken into account is that the Unfair Commercial Practices Directive 2005/29/EC defines a trader as any natural or
legal person who, in commercial practices covered by the Directive, is acting for purposes relating to his trade, business, craft or profession and
anyone acting in the name of or on behalf of a trader. Similarly, Directive 2011/83/EU on consumer rights defines a trader as any natural person or
any legal person, irrespective of whether privately or publicly owned, who is acting, including through any other person acting in his name or on his
behalf, for purposes relating to his trade, business, craft or profession in relation to contracts covered by this Directive.
If products are sold online, the CE marking and any required warnings, information and labels according to applicable legislation should be indicated
in that website; these should be clearly visible in its entirety before the consumer is carrying out the purchase.
This explanation does not attempt to deal with the question of intermediary liability and the term 'online operator' used in this context may not
cover such intermediaries.
The design in accordance with the essential requirements of the applicable legal act, the following risk and conformity assessment, the issue of a
Declaration of Conformity, the marking requirements (CE marking, name, address of the manufacturer etc.), the compilation of the technical file,
must have been completed by the manufacturer at the time of placing on the market.
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Member States have an obligation in the framework of market surveillance to ensure that only safe and compliant
products are on the market67. Used products, which are on the Union market, are subject to free movement according to
the principles laid down by Articles 34 and 36 TFEU. It must be noted that used products made available to consumers in
the course of a commercial activity are subject to the GPSD.
67
68
69
70
71
The moment of putting into service is relevant for some Union harmonisation legislation.
For market surveillance, see Chapter 7.
For putting into service, see Section 2.5.
See articles 27 to 29 of Regulation (EC) No 765/2008.
For the role of the importer, see Point 3.3.
Please note that in the area of medical devices, the role of the authorised representative is reinforced and he is the primary interlocutor of market
surveillance authorities for products for third countries.
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Putting into service takes place at the moment of first use within the Union by the end user for the purposes for
which it was intended.
Putting into service takes place at the moment of first use within the Union by the end user for the purposes for which it
was intended72 73. The concept is used, for example, in the field of Lifts, Machinery, Radio equipment, Measuring
instruments, Medical devices, In-vitro diagnostic medical devices or products covered by the EMC or ATEX-directives, in
addition to placing on the market, and results in the scope of Union harmonisation legislation being extended beyond the
moment of making available of a product74.
Where the product is put into service by an employer for use by his employees, the employer is considered as the enduser.
Member States may not prohibit, restrict or impede the putting into service of products that meet the provisions of the
applicable Union harmonisation legislation75. However, Member States are allowed to maintain and adopt, in compliance
with the Treaty (in particular Articles 34 and 36 TFEU) and subject to Union harmonisation legislation, additional national
provisions regarding the putting into service, installation or use, of products which are intended for the protection of
workers or other users, or other products. Such national provisions may not require modifications of a product
manufactured in accordance with the provisions of the applicable Union harmonisation legislation.
The need to demonstrate compliance of products at the moment of putting into service, and if applicable that they
are correctly installed, maintained and used for the intended purpose, should be limited to products:
which have not been placed on the market prior to their putting into service or which can be used only after an
assembly, an installation or other manipulation has been carried out; or
whose compliance can be influenced by the distribution conditions (for example storage or transport).
Essential and other requirements laid down in Union harmonisation legislation may overlap or complement each
other, depending on the hazards covered by these requirements that are related to the product in question.
The making available or putting into service can only take place when the product complies with the provisions of
all applicable Union harmonisation legislation at the time of its placing on the market.
Where the same product or policy objective is covered by two or more Union harmonisation acts, the application
of some of the acts can sometimes be excluded following an approach that includes a risk analysis of the product
with a view to intended use as defined by the manufacturer.
Union harmonisation legislation covers a wide range of products, hazards and impacts 76, which both overlap and
complement each other. As a result, the general rule is that several pieces of legislation may have to be taken into
consideration for one product, since the making available or putting into service can only take place when the product
complies with all applicable provisions and when the conformity assessment has been carried out in accordance with all
applicable Union harmonisation legislation.
Hazards covered by the requirements of various Union harmonisation acts would typically concern different aspects that
in many cases complement each other (for example the Directives relating to Electromagnetic Compatibility and Pressure
Equipment cover phenomena not covered by the Directives relating to Low-voltage Equipment or Machinery). This calls
for a simultaneous application of the various legislative acts. Accordingly, the product has to be designed and
manufactured in accordance with all applicable Union harmonisation legislation, as well as to undergo the conformity
assessment procedures according to all applicable legislation, unless otherwise provided for.
72
73
74
75
76
The concept of putting into service is not relevant for all Union harmonisation legislation. For instance, in the case of explosives, there is no
"putting into service".
As regards lifts and equivalent products, the putting into service should be considered to take place at the moment when the first use within the
Union is possible.
In case there is new Union harmonisation legislation coming into force, a compliant product which is placed on the market before the end of the
transitional period of the legislation to be replaced should be allowed to be put into service, unless specific legislation provides otherwise.
In the case of the Directive on radio and telecommunications terminal equipment, Article 7 regulates restrictions to the putting into service. Member
States may restrict the putting into service of radio equipment for reasons related to the effective and appropriate use of the radio spectrum,
avoidance of harmful interference or matters related to public health
E.g. energy consumption.
Page | 22
Certain Union harmonisation acts exclude from their scope products covered by other acts77 or incorporate the essential
requirements of other acts78 which avoids simultaneous application of redundant requirements. In other instances, this is
not the case and the general principle of simultaneous application still applies where the requirements of the Union
harmonisation acts are complementary to each other.
Two or more Union harmonisation acts can cover the same product, hazard or impact. In such a case, the issue of
overlap might be resolved by giving preference to the more specific Union harmonisation act 79. This usually requires a
risk analysis of the product, or sometimes an analysis of the intended purpose of the product, which then determines the
applicable legislation. In specifying the hazards relating to a product, the manufacturer may use the relevant harmonised
standards applicable for the product in question.
in accordance with its intended purpose (as defined by the manufacturer) and
under the conditions of use which can be reasonably foreseen, that is when such use could result from lawful
and readily predictable human behaviour.
The consequence for manufacturers is that they have to consider the conditions of use which can be reasonably
foreseen prior to placing a product on the market.
Manufacturers have to look beyond what they consider the intended use of a product and place themselves in the
position of the average user of a particular product and envisage in what way they would reasonably consider to use the
product82.
It is also important that market surveillance authorities take into account that not all risks can be prevented by product
design. The supervision and assistance of the intended users should be considered as part of the conditions which can
be reasonably foreseen. For instance, some professional machine tools are intended for use by averagely skilled and
trained workers under the supervision of their employer; the responsibility of the manufacturer cannot be engaged if
77
78
79
80
81
82
For instance: the Directive relating to low voltage equipment is not applicable to electrical equipment for medical purposes, instead the legislation
relating to medical devices will apply; the Directive relating to electromagnetic compatibility is not applicable to products covered by specific
legislation that harmonises the protection requirements specified in the Directive on electromagnetic compatibility; the Directive relating to lifts is
not applicable to lifts connected to machinery and intended exclusively for access to the workplace, instead the Directive relating to machinery
applies; marine equipment, which is also within the scope of other directives than the Directive on marine equipment, is excluded from the
application of such directives.
E.g. The R&TTE Directive directly covers electromagnetic compatibility aspects and low voltage safety. In order to avoid double coverage R&TTE
incorporates the essential requirements of EMCD and LVD (with no lower voltage limit) and allows a manufacturer to use some of their conformity
assessment procedures. In addition harmonised standards under EMCD and LVD also have that status under the R&TTE Directive. The Lifts Directive
includes relevant requirements of the Machinery Directive.
For example: the Machinery Directive covers all hazards that come from machinery, including electrical hazards. However, concerning the electrical
hazards of machinery, the Machinery Directive is referring to the safety objectives of the Low Voltage Directive, to be applied solely.
For making available, see Section 2.2.; for putting into service, see 2.5.
Please note that the Machinery Directive requires the manufacturer to take account of reasonably foreseeable misuse.
Furthermore, a tool designed and intended to be used by professionals only, might eventually also be used by non-professionals; consequently the
design and instructions accompanied must take this possibility into account.
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such machine tools are rented by a distributor or third party service-provider for use by unskilled and untrained
consumers.
In any case, the manufacturer is not obliged to expect that users will not take into consideration the lawful conditions of
use of his product.
Union harmonisation legislation applies to the Member States of the EU and to certain European territories to the
extent necessary to give effect to the arrangements set out in the Accession Treaty of the relevant Member
States.
The Agreement on the European Economic Area is established between the European Union and Iceland,
Liechtenstein and Norway. The Agreement extends the internal market to these three EFTA States commonly
known as EEA EFTA States.
The Customs Union Agreement between the EU and Turkey aims to ensure the free movement of products
between the EU and Turkey, by eliminating import controls at the EU-Turkey border on such products.
2.8.1.
The purpose of Union harmonisation legislation relating to goods adopted pursuant to Articles 114 and 115 TFEU is the
establishment and functioning of the internal market for goods. Consequently, Union harmonisation legislation cannot be
separated from Treaty provisions on free movement of goods and the territorial scope of application of Union
harmonisation legislation should coincide with the territorial scope of application of Articles 30 and 34 to 36 TFEU.
Pursuant to Article 355 TFEU and in connection with the Article 52 of the Treaty on European Union (TEU), the Treaty
and consequently the Union harmonisation legislation applies to all Member States of the European Union. Pursuant to
Article 355(1) TFEU it also applies to Guadeloupe, French Guyana, Martinique, Runion, Saint-Martin, the Azores,
Madeira and the Canary Islands. Moreover, the Treaty and harmonisation legislation relating to products adopted on the
basis of Articles 114 and 115 TFEU applies to certain European territories to the extent necessary to give effect to the
arrangements set out in the relevant Accession Treaty83.
However, it applies neither to Faeroe Islands, Greenland, Akrotiri and Dhekelia, nor to those overseas countries and
territories having special relations with the United Kingdom of Great Britain and Northern Ireland such as Gibraltar. The
Union harmonisation legislation does not apply to overseas countries and territories, in particular: New Caledonia and
Dependencies, French Polynesia, French Southern and Antarctic Territories, Wallis and Futuna Islands, Saint Pierre and
Miquelon, Saint-Barthlemy, Aruba, Curaao, Sint Maarten, Caribbean Netherlands (Bonaire, Saba and Sint Eustatius),
Anguilla, Cayman Islands, Falkland Islands, South Georgia and the South Sandwich Islands, Montserrat, Pitcairn, Saint
Helena and Dependencies, British Antarctic Territory, British Indian Ocean Territory, Turks and Caicos Islands, British
Virgin Islands, Bermuda.
2.8.2.
2.8.2.1.
The Agreement on the European Economic Area, in force since 1 January 1994, covers all Union harmonisation
legislation to which this Guide is applicable. Thus, Union harmonisation legislation covered by this Guide also applies to
the so-called EEA EFTA States: Iceland, Liechtenstein and Norway.
The objective of the EEA Agreement is to establish a dynamic and homogeneous European Economic Area, based on
common rules and equal conditions of competition.
Rights conferred and obligations imposed upon the Member States, or their public entities, undertakings, or individuals in
relation to each other, are, according to the EEA Agreement, understood to be conferred or imposed in the same way
83
In the UK, these are the Channel Islands and the Isle of Man.
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also upon the EEA EFTA States. This ensures that the EEA EFTA States, and their economic operators, are subject to the
same rights and obligations as their counterparts in the Union. For instance, the New Approach directives and other
Union harmonisation legislation are implemented and applied in exactly the same way in the EEA EFTA States as in the
Member States although the safeguard clause is modified. Therefore, all guidance applicable to the Member States
according to this Guide applies also to the EEA EFTA States.
For the purpose of the EEA Agreement references to the Community (now Union) or the common market in the EU/EEA
acts are understood to be references to the territories of the Contracting Parties. Accordingly, a product is not only
placed on the Union market, but on the EEA market (i.e. the national markets of the Member States and Iceland,
Liechtenstein and Norway).
The EEA Agreement is amended on a continuous basis through decisions of the EEA Joint Committee following changes
in relevant Union legislation. To arrive at and maintain a uniform interpretation and application of the Agreement, an
EFTA Court and an EFTA Surveillance Authority have been established.
The EEA Agreement ensures a close cooperation between the Commission and the administration of the EEA EFTA
States. The Commission seeks informal advice from experts of these States in the same way as it seeks advice from
experts of the Member States. As regards the committees assisting the Commission in its work, close cooperation has
been established. The EEA Council meets biannually, and the EEA Joint Parliamentary Committee and the EEA
Consultative Committee regularly.
2.8.2.2.
The EFTA Surveillance Authority is responsible for the examination of the safeguard clause notifications from the EEA
EFTA States. The Authority consults all parties concerned and exchanges information with the Commission on the
proceedings of the case. The Authority transmits its decision to the EEA EFTA States and the Commission for further
actions. If an EEA EFTA State does not follow the decision, the Surveillance Authority can initiate an infringement
procedure.
In cases where a Member State triggers a safeguard clause, consultations between the Commission and the Surveillance
Authority are envisaged. The Commission communicates its decision to the EFTA Surveillance Authority, which sends it
to the EEA EFTA States for further actions. If an EEA EFTA State does not follow the decision, the Surveillance Authority
can initiate an infringement procedure.
2.8.3.
Bilateral trade in products between the EU and Monaco, San Marino and Andorra, is facilitated by customs union
agreements: Monaco has customs union with France and is part of the customs territory of the EU; whereas San Marino
and Andorra both have a customs union agreement with the EU.
However, in order to be made available on the Union market, products from these countries must comply with the EU
acquis.84
2.8.4.
TURKEY
Turkey and the EU established a Customs Union in 1995 (Decision 1/95 of the EU-Turkey Association Council,
96/142/EC). The Customs Union Decision covers trade in manufactured products and processed agricultural products
between Turkey and the EU, and entails alignment by Turkey with all EU product legislation. The Agreement aims to
ensure the free movement of manufactured products and processed agricultural products between the EU and Turkey,
by eliminating import controls at the EU-Turkey border on such products.
Articles 5 to 7 of the Decision provide for the elimination of measures having an effect equivalent to customs duties
between the European Union and Turkey, mirroring Articles 34-36 TFEU. Pursuant to Article 66 of the Decision, its
Articles 5 to 7 must, for the purposes of their implementation and application to products covered by the Customs Union
84
For more details, please consult Commission Staff Working Paper on Obstacles to access by Andorra, Monaco and San Marino to the EUs Internal
Market and Cooperation in other Areas (SWD(2012) 388 final) available at:
http://eur-lex.europa.eu/LexUriServ/LexUriServ.do?uri=SWD:2012:0388:FIN:EN:PDF
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Decision, be interpreted in conformity with the relevant case law of the Court of Justice, most notably the Cassis de
Dijon case on mutual recognition.
As a consequence, in the sectors for which Turkey has aligned its legislation with that of the EU, a product lawfully
manufactured and/or marketed in Turkey should be treated equal to a product lawfully manufactured and/or marketed
in the EU and should not be subject to import controls. The same reasoning would apply in the non-harmonised sectors
where Turkey has aligned its legislation with Articles 34-36 TFEU.
The Decision also requires Turkey to adopt European Union legislation on products and on quality infrastructure, notably
on CE marking requirements, notified bodies, market surveillance, accreditation, standardisation, metrology and mutual
recognition in the non-harmonised area.
Another Decision (Decision No 2/97 of the EC-Turkey Association Council) signed in 1997 lays down the list of the
Unions legal instruments, including part of the acquis on industrial products related to the removal of technical barriers
to trade and the conditions and arrangements governing their implementation by Turkey. Annex I of this Decision
ensures that when Turkey adopted the legislation listed in Annex II of the Decision, the same rules and procedures
would apply in the EU and Turkey for products that fall within the scope of the legislation listed in Annex II of the
Decision. However, many of the legislative instruments set out in Annex II have been gradually replaced by new Union
directives and regulations.
In 2006, the EU-Turkey Association Council adopted a new Decision (1/2006), providing for the designation of Turkish
notified bodies and recognition of the test reports and certificates issued by such bodies in Turkey. The Parties have
signed statements confirming that Turkeys legislation is equivalent to that of the EU for a number of New Approach
directives and regulations.
In the non-harmonised area, the rights and obligations of economic operators supplying products to the EU market from
Turkey have been laid down in the Commissions interpretative communication on facilitating the access of products to
the markets of other Member States: the practical application of mutual recognition (2003/C 265/02).
The Turkish Accreditation Agency (TURKAK) is a member of European co-operation for Accreditation (EA) and has signed
a number of mutual recognition agreements with EA. Certificates issued by Turkish conformity assessment bodies
accredited by TURKAK should be deemed equivalent to those issued by conformity assessment bodies established in the
EU and accredited by EU National Accreditation Bodies.
In the area of standardisation, both CEN and CENELEC granted full membership status to the Turkish Standards Institute
(TSE) on 1st January 2012.
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transitional period, should be allowed to be made available on the market or put into service. 85 Nevertheless, specific
Union harmonisation legislation could forbid the making available of such products if this is deemed necessary for safety
reasons or other objectives of the legislation.
Products which were not placed on the market before the end of the transposition period can only be placed on the
market or put into service, if they fully comply with the provisions of the new legislation86.
According to the general rule, CE marking is an indication that products, which are subject to one or several pieces of
Union harmonisation legislation providing for its affixing, conform to the provisions of all these applicable legislations.
However, where one or more of these pieces of legislation allow the manufacturer, during a transitional period, to
choose which arrangements to apply, the CE marking is an indication of conformity only to the legal texts applied by the
manufacturer. Consequently, during a transitional period, the CE marking does not necessarily indicate that the product
conforms to all applicable pieces of legislation providing for its affixing. Information concerning all Union harmonisation
legislation applied by the manufacturer has to be found in the EU Declaration of Conformity87.
which have been revised to be aligned to the reference provisions of Decision No 768/2008/EC . The essential
requirements in most of these Directives are not modified and there is no transitional period for referring to the old or
new Directives. Furthermore, where relevant, aligned Directives specify that certificates issued under the old Directive
remain valid under the new Directive. As of their entry into force, the EU Declaration of conformity will need to include
the reference to the new Directives for the products placed on the market to be considered as compliant.
Union harmonisation legislation in most cases only specifies the mandatory minimum content of the EU Declaration of
Conformity but additional useful information is generally accepted. Manufacturers may make use of this flexibility and
start using the new model structure set out in the Annexes of the aligned directives ahead of their entry into application.
Where products comply with the requirements of both the old and new Directives, economic operators could refer to the
two Directives in the EU Declaration of Conformity (old and aligned Directives), indicating the corresponding periods of
application for each of the directives. For example, for a product in the scope of Directive 2014/30/EU, the EU
Declaration of Conformity could contain the following statement:
The object of the declaration described above is in conformity with the relevant Union harmonisation legislation:
Directive 2004/108/EC (until 19 April 2016) and Directive 2014/30/EU (from 20 April 2016).
85
86
87
88
For instance, such product can still be sold legally after the transitional period if the product is on stock at the distributors warehouse, i.e. that the
product has been already placed on the market and that a change of ownership has taken place.
Since the Directive on pressure equipment sets no time limit for the putting into service, products covered by this Directive can be put into service at
any time without being subject to further conditions according to this Directive. For placing on the market and putting into service, see Sections 2.3
and 2.5.
For the EU declaration of conformity, see Section 4.4.; for the CE marking, see Section 4.5.1.
In February 2014, an "Alignment Package" consisting of eight directives was adopted. The Directives of the alignment package will become
applicable on 20 April 2016 and their essential requirements are not modified. It includes Directive 2014/35/EU (Low Voltage); Directive 2014/30/EU
(Electromagnetic Compatibility); Directive 2014/34/EU (ATEX); Directive 2014/33/EU (Lifts); Directive 2014/29/EU (Simple Pressure Vessels);
Directive 2014/32/EU (Measuring Instruments); Directive 2014/31/EU (Non-automatic Weighing Instruments); Directive 2014/28/EU (Civil
Explosives). Directive 2013/29/EU (Pyrotechnic Articles) has also been aligned to Decision No 768/2008/EC and became applicable on 1 July 2015.
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3.1. MANUFACTURER
The manufacturer is any natural or legal person who manufactures a product or has a product designed or
manufactured, and places it on the market under his own name or trademark.
The manufacturer is responsible for the conformity assessment of the product and is subject to a series of
obligations including traceability requirements.
When placing a product on the Union market, the responsibilities of a manufacturer are the same whether he is
established outside the European Union or in a Member State.
The manufacturer must cooperate with the competent national authorities in charge of market surveillance in
case of a product presenting a risk or being non-compliant.
The manufacturer is any natural or legal person who is responsible for designing or manufacturing a product and places
it on the market under his own name or trademark 90. The definition contains two cumulative conditions: the person has
to manufacture (or have a product manufactured) and to market the product under his own name or trademark. So, if
the product is marketed under another persons name or trademark, this person will be considered as the manufacturer.
The responsibilities of the manufacturer apply also to any natural or legal person who assembles, packs, processes or
labels ready-made products and places them on the market under his own name or trademark. Further, the
responsibility of the manufacturer is placed on any person who changes the intended use of a product in such a way that
different essential or other legal requirements will become applicable, or substantially modifies or re-builds a product
(thus creating a new product), with a view to placing it on the market or for putting it into service, in those cases where
the Union harmonisation legislation applicable to the product includes putting into service in its scope 91.
The manufacturer may design and manufacture the product himself. As an alternative, he may have it designed,
manufactured, assembled, packed, processed or labelled with a view to placing it on the market under his own name or
trademark, and thus presenting himself as a manufacturer 92. Where subcontracting takes place, the manufacturer must
retain the overall control for the product and ensure that he receives all the information that is necessary to fulfil his
responsibilities according to the relevant Union harmonisation act. The manufacturer who subcontracts some or all of his
activities may in no circumstances discharge himself from his responsibilities, for example to an authorised
representative, a distributor, a user or a subcontractor.
The manufacturer has ultimate responsibility for the conformity of the product to the applicable Union harmonisation
legislation, whether he designed and manufactured the product himself or is considered as a manufacturer because the
product is placed on the market under his name or trademark.
Thus, when a product is transferred to a manufacturer for further measures such as assembling, packaging, processing
or labelling, when placing the product on the market, he has the sole and ultimate responsibility for ensuring the
conformity of the product to the applicable legislation, and must be able to do so.
The manufacturer is responsible for designing and manufacturing the product in accordance with essential or other legal
requirements laid down by the relevant Union harmonisation legislation and for carrying out conformity assessment in
accordance with the procedure(s) laid down by the Union harmonisation legislation93.
The manufacturer is obliged to understand both the design and construction of the product to be able to take the
responsibility for the product being in compliance with all provisions of the relevant Union harmonisation legislation. This
applies equally to situations where the manufacturer designs, manufactures, packs and labels the product himself, as to
89
90
91
92
93
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situations where some or all of these operations are carried out by a subcontractor. The manufacturer needs to have the
relevant information to demonstrate compliance of the product at its disposal.
In this respect, the economic operator that places the product on the market under its name or trademark becomes
automatically the manufacturer for the purposes of Union harmonisation legislation. Therefore he takes the entire
responsibility for the conformity assessment (design and production) of the product, even if this has been actually done
by somebody else. Furthermore he must be in the possession of all documentation and certificates necessary to
demonstrate the conformity of the product, but these do not need to be under his name.
The Lifts Directive 95/16/EC defines the installer of a lift as the natural or legal person who takes responsibility for the
design, manufacture, installation and placing on the market of the lift and who affixes the CE marking and draws up the
EC declaration of conformity. Hence, the installer is a person who assumes responsibilities which in the context of other
Union harmonisation legislation are typically assigned to the manufacturer.
Union harmonisation legislation does not require the manufacturer to be established in the European Union. Thus, when
placing a product on the Union market, the responsibilities of a manufacturer are the same whether he is established
outside the European Union or in a Member State.
As a general rule, when placing a product on the market the manufacturer must take all measures necessary to ensure
that the manufacturing process assures compliance of the products94 and in particular:
1.
carry out the applicable conformity assessment or have it carried out, in accordance with the procedure(s) laid
down by the relevant Union harmonisation legislation. Depending on the Union harmonisation act, the
manufacturer may be required to submit the product to a third party (usually a notified body) to have the
conformity assessment carried out, or to have a quality system approved by a notified body. In any case, the
manufacturer bears full responsibility for product conformity.
2.
3.
4.
5.
94
95
96
97
98
99
100
Keep the technical documentation and the EU Declaration of Conformity for 10 years after the product has
been placed on the market100 or for the period specified in the relevant Union harmonisation act.
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Ensure that the product bears a type, batch or serial number or other element allowing its identification.
Indicate the following three elements: his (1) name, (2) registered trade name or registered trade mark and
(3) a single contact postal address on the product101 or when not possible because of the size or physical
characteristics of the products102, on its packaging103 and/or on the accompanying documentation 104 105 106.
The single contact point may not necessarily be located in the Member State where the product is made
available on the market.
6.
affix the conformity marking (CE marking and where relevant other markings 107) to the product in accordance
with the applicable legislation;
7.
ensure that procedures are in place for series production to remain in conformity. Changes in product design or
characteristics and changes in the harmonised standards or in other technical specifications by reference to
which conformity of a product is declared must be adequately taken into account. The kind of action to be
taken by the manufacturer depends on the nature of changes in the harmonised standards or other technical
specifications, in particular whether these changes are material with regard to the coverage of the essential or
other legal requirements and whether they concern the product in question. This might require for instance to
update the EU Declaration of conformity, change the product design, contact the notified body,108 etc.;
8.
Under certain Union harmonisation acts, the manufacturer may be required to perform sample testing at the end of the
production chain or of already marketed products in view of offering additional protection to consumers or other endusers109110.
Manufacturers who consider or have reason to believe that a product which they have placed on the market is not in
conformity with the applicable Union harmonisation legislation must immediately take the necessary corrective measures
to bring that product into conformity, to withdraw it or recall it, if appropriate. Furthermore, where manufacturers have
reason to believe that the product presents a risk to health, safety, the environment or any other public interest
protected by the applicable legislation 111, they must immediately inform the competent national authorities of the
Member States in which they made the product available to that effect, giving details, in particular, of the noncompliance
and of any corrective measures taken. The Commission provides an IT tool, the 'GPSD Business Application' to facilitate
practical aspects of this obligation112.
Upon a reasoned request113, the manufacturer has to provide the competent national authority with all the information
and documentation necessary to demonstrate the conformity of a product, in a language which can be easily understood
by that authority. Manufacturers must cooperate with the authority, at its request, on any action taken to eliminate the
risks posed by products which they have placed on the market. Manufacturers must on request by market surveillance
authorities identify any economic operator to whom they have supplied a product. They must be able to present this
information for a period of 10 years after they have supplied the product.
101
102
103
104
105
106
107
108
109
110
111
112
113
For the Directives on Medical Devices, the manufacturer must indicate the place of business.
This does not include esthetical reasons.
Please note that some Union harmonisation legislation excludes the possibility to use the packaging to satisfy this requirement (e.g. Simple Pressure
Vessels Directive)
Manufacturer may add a website if they so desires. A website is additional information, but is not enough as an address. Normally an address
consists of a street and number or post-box and number and the postal code and town, but some countries might deviate from this model.
See Union harmonisation legislation relating to low voltage equipment, toys, machinery, non- automatic weighing instruments, active implantable
medical devices, gas appliances, medical devices, potentially explosive atmospheres, recreational craft, lifts, pressure equipment, in vitro diagnostic
medical devices, and radio and telecommunications terminal equipment. Further, according to the Directive on in vitro diagnostic medical devices, a
manufacturer who places devices on the Union market under his own name is obliged to register in the Member State where he has his place of
business.
For more information on the name and address requirement, see Point 4.2.2.1.
E.g. ATEX marking, Class identifier in accordance with the R&TTE Directive or the supplementary metrology marking in the case of non-automatic
weighing machines and measuring instruments.
For the information obligations in the case of EU-type examination certificates, see Annex II of Decision No 768/2008/EC, Module B, point 7.
E.g. the Directives on Simple pressure vessels and ATEX.
Such sample testing should be performed when deemed appropriate with regard to the risks presented by a product, in view of protecting the
health and safety of consumers (see article R2.4 of Decision No 768/2008/EC).
The acceptable level of risk for the product is defined by the essential requirements set out in the applicable Union harmonisation legislation.
Consequently, manufacturers must inform the competent authority where they consider or have reason to believe that the product does not comply
with the applicable essential requirements.
https://webgate.ec.europa.eu/gpsd-ba/index.do
The reasoned request does not necessarily mean a formal decision by an authority. According to Article 19 (1), paragraph 2 of Regulation (EU) No
765/2008, market surveillance authorities may require economic operators to make such documentation and information available as appear to
them to be necessary for the purpose of carrying out their activities. For a request to be reasoned it is sufficient the market surveillance authority
explains the context in which the information is requested (e.g. inspection on specific characteristics of the products, random checks, etc.)
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The idea is that the national authority might accept a language they understand and which is different from the national
language(s). The language chosen is subject to negotiation with the authority and could be a third language, if accepted
by the authority.
In the case of a reasoned request it is sufficient for the manufacturer to provide the part of the technical documentation
related to the claimed non-conformity and appropriate for demonstrating whether the issue has been dealt with by the
manufacturer. Therefore, any request for translation of technical documentation should be limited to these parts of the
documentation. The request may indicate a deadline for the receipt of the requested documents, depending on the
Union harmonisation legislation the product is subject to. A shorter deadline can be fixed if the national authority
justifies the urgency on the basis of an immediate serious risk.
If the Union harmonisation legislation covers putting into service, the natural or legal person who puts the product into
service has the same responsibilities as a manufacturer who places a product on the market. He must ensure that the
product complies with the Union harmonisation legislation, and that the appropriate conformity assessment procedure
has been carried out114.
Furthermore, a person who places on the Union market second-hand products from a third country, or any product not
designed or manufactured for the Union market, must assume the role of the manufacturer.
Finally, if an importer or distributor modifies a product to the extent that the compliance with the applicable
requirements may be affected or supplies it under his name or trademark, then he is to be considered the manufacturer
and must undertake all the obligations incumbent on the manufacturer115. Accordingly, he must ensure that the product
complies with the applicable Union harmonisation legislation and that the appropriate conformity assessment procedure
has been carried out116.
114
115
116
117
118
keep the EU declaration of conformity and the technical documentation at the disposal of national surveillance
authorities and cooperate with them at their request,
This is not applicable to products covered by the Union harmonisation legislation relating to toys, low voltage equipment, civil explosives and
refrigeration appliances, since these directives only cover making available on the market. Further, this is not applicable to recreational craft built for
own use, provided that it is not subsequently placed on the market during a period of five years, or to craft designed before 1950.
Article R6 of Annex I of Decision No 768/2008/EC.
Further, according to the Directives relating to machinery and lifts, obligations regarding the conformity assessment procedure fall to any person
placing the product on the market, where neither the manufacturer nor the authorised representative or the installer of the lift fulfils these
obligations.
Please note that not all Union harmonisation legislation provides for an authorised representative.
As an exception, according to the Directives on medical devices and in vitro diagnostic medical devices the manufacturer must designate a person
who is established in the Union to be responsible for the marketing of medical devices, if he does not have a registered place of business in a
Member State and he places devices on the Union market under his own name.
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upon a reasoned request from a competent national authority, provide that authority with all the information
and documentation necessary to demonstrate the conformity of a product;
cooperate with the competent national authorities, at their request, on any action taken to eliminate the risks
posed by products covered by their mandate.
Depending on the conformity assessment procedure and the Union harmonisation act in question, the authorised
representative can also, for instance, be appointed to perform tasks such as:
affix the CE marking (and where relevant other markings) and the notified bodys number to the product,
The authorised representative who is appointed by a manufacturer may be an importer or a distributor in the meaning of
Union harmonisation legislation, in which case he must also to fulfil the obligations of the importer or distributor 119.
3.3. IMPORTER
The importer is a natural or legal person established in the Union who places a product from a third country on
the EU market.
The importer is the economic operator established in the Union who places a product from a third country on the Union
market. He has important and clearly defined responsibilities under Union harmonisation legislation 120 121. To a large
extent they build on the type of responsibilities which a manufacturer based in the EU is subjected to.
The importer must ensure that the manufacturer has correctly fulfilled his obligations. The importer is not a simple reseller of products, but has a key role to play in guaranteeing the compliance of imported products.
The importer is defined as any natural or legal person who places a product from a third country on the EU market. As a
general rule, before placing a product on the market the importer must ensure:
1.
that the appropriate conformity assessment procedure has been carried out by the manufacturer. If he has
any doubt about the conformity of the product, he must refrain from placing it on the market. If the product
has already been placed on the market, he has to take corrective actions. 122 In both cases the manufacturer
might need to be contacted to clarify any doubt about the conformity of the product.
2.
that the manufacturer has drawn up the technical documentation, affixed the relevant conformity marking
(e.g. CE marking), fulfilled his traceability obligations and accompanied, where relevant, the product by the
instructions and safety information in a language easily understood by consumers and other end-users, as
determined by the Member State concerned.123
These obligations are meant to make sure that the importers are aware of their responsibility to place only compliant
products on the market124. Neither do they imply the need for importers to systematically resort to additional control
procedures or (third- party) testing, nor do they preclude them from doing so.
The importer also has to:
119
120
121
122
123
124
125
Indicate the following three elements: his (1) name, (2) registered trade name or trade mark and (3) the
address at which he can be contacted on the product or where not possible because of the size or physical
characteristics of the product or because the packaging would need to be opened, on the packaging or/and 125
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on the accompanying documentation126. By doing so, he must not impede the visibility of any safety information
printed on the product or the accompanying documents.
Ensure that, while a product is under his responsibility, storage or transport conditions do not jeopardise its
compliance with the requirements set out in the applicable legislation.
Keep a copy of the EU Declaration of Conformity for 10 years after the product has been placed on the
market127 or for the period specified in the relevant Union harmonisation act.
Ensure that the technical documentation can be made available to the competent national authority upon
request128. The importer has to cooperate with that authority and upon a reasoned request129, has to provide
that authority with all the information and documentation necessary to demonstrate the conformity of the
product in a language which can be easily understood by that authority. The idea is that the national authority
might accept a language they understand and which is different from the national language(s). The language
chosen is subject to negotiation with the authority and could be a third language, if accepted by the authority.
In the case of a reasoned request it is sufficient for the importer to provide the part of the technical
documentation related to the claimed non-conformity and appropriate for demonstrating whether the issue has
been dealt with by the manufacturer. Therefore, any request for translation of technical documentation should
be limited to these parts of the documentation.
On request by market surveillance authorities, the importer must identify any economic operator who has
supplied him and to whom he has supplied the product. He must be able to present this information for a
period of 10 years after he has been supplied with the product and for a period of 10 years after he has
supplied the product.
Further, under certain Union harmonisation acts, the importer, like a manufacturer, may be required to perform or have
performed sample testing of products already placed on the market 130.
Equally, importers who have reason to believe that a product which they have placed on the market is not in conformity
with the Union harmonisation legislation applicable, shall immediately take the corrective measures necessary to bring
that product into conformity, to withdraw it or recall it, if appropriate. Furthermore, where the product presents a risk,
importers shall immediately inform the competent national authorities.
The importer needs neither a mandate from the manufacturer, nor a preferential relationship with the manufacturer like
the authorised representative. However, the importer must ensure, in order to fulfil his responsibilities, that a contact
with the manufacturer can be established (e.g. to make the technical documentation available to the requesting
authority).
The importer may wish to carry out administrative tasks on behalf of the manufacturer. In such a case, he has to be
explicitly designated by the manufacturer in order to become an authorised representative.
3.4. DISTRIBUTOR
The distributor is a natural or a legal person in the supply chain, other than the manufacturer or the importer,
who makes a product available on the market.
Distributors are subject to specific obligations and have a key role to play in the context of market surveillance.
Along with manufacturers and importers, distributors are the third category of economic operators who are subject to
specific obligations. The distributor is a natural or a legal person in the supply chain, other than the manufacturer or the
importer, who makes a product available on the market.
126
127
128
129
130
Please note that some sectoral Union harmonisation legislation might provide for stricter requirements.
To be understood as the last item of the product model placed on the market.
Importers are not obliged to have a copy of the technical documentation but they shall ensure that it is made available to the relevant authorities
upon request. Even if there is no explicit obligation, the importer is advised to require formal assurance in writing from the manufacturer that the
documents will be made available when requested by the surveillance authority.
The reasoned request does not necessarily mean a formal decision by an authority. According to Article 19 (1), paragraph 2 of Regulation (EU) No
765/2008, market surveillance authorities may require economic operators to make such documentation and information available as appear to
them to be necessary for the purpose of carrying out their activities. For a request to be reasoned it is sufficient the market surveillance authority
explains the context in which the information is requested (e.g. inspection on specific characteristics of the products, random checks, etc.)
Article R4(6) of Annex I of Decision No 768/2008/EC.
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Retailers, wholesalers and other distributors in the supply chain are not required to have a preferential relationship with
the manufacturer like the authorised representative. A distributor acquires products for further distribution either from a
manufacturer, from an importer, or from another distributor.
Distributor must act with due care131 in relation to the applicable requirements132. They have to know, for instance,
which products must bear the CE marking, what information is to accompany the product (for example the EU
Declaration of Conformity), what are the language requirements for labelling, user instructions or other accompanying
documents, and what is a clear indication of the product being non-compliant. Distributors have an obligation to
demonstrate to the national market surveillance authority that they have acted with due care and ensure that the
manufacturer, or his authorised representative, or the person who provided him with the product has taken the
measures required by the applicable Union harmonisation legislation as listed in the obligations for distributors.
Conformity assessment, drawing up and keeping the EU declaration of conformity and the technical documentation
remain the responsibility of the manufacturer and/or importer in the case of products from third countries. It is not part
of the distributors obligations to check whether a product already placed on the market is still in conformity with the
legal obligations that are currently applicable in case these have changed. The obligations of the distributor refer to the
legislation applicable when the product was placed on the market by the manufacturer or the importer unless specific
legislation provides otherwise.
The distributor must be able to identify the manufacturer, his authorised representative, the importer or the person who
has provided him with the product in order to assist the market surveillance authority in its efforts to obtain the EU
Declaration of Conformity and the necessary parts of the technical documentation. Market surveillance authorities have
the possibility to address their request for the technical documentation directly to the distributor. The latter is however
not expected to be in possession of the relevant documentation.
Before making a product available on the market, the distributor must verify the following formal requirements 133:
that the product is accompanied by the relevant documents (e.g. EU Declaration of Conformity 134) and by
instructions and safety information135 in a language which can be easily understood by consumers and other
end-users if required by the applicable legislation;
that the manufacturer and importer have indicated their (1) name, (2) registered trade name or trademark
and (3) the address at which they can be contacted on the product or when not possible because of the size
or physical characteristics of the products, on its packaging and/or on the accompanying documentation 136,
and that the product bears a type, batch or serial number or other element allowing the identification of the
product.
Distributors must not supply products that they know or should have assumed, on the basis of information in their
possession and as a professional, not to be in compliance with the legislation. Further, they must cooperate with the
competent authority in actions taken to avoid or minimise these risks, inform the manufacturer or the importer as well as
the competent national authorities137.
Similar obligations bind distributors once a product is made available. If they have reasonable grounds to believe that a
product is not in conformity, they have to make sure that corrective measures to bring the product into conformity are
taken by the manufacturer or the importer and inform the competent national authorities. Distributors have to contact
the importer or manufacturer to clarify any doubt about the conformity of the product.
In addition to controlling the conformity of the product with the formal requirements, the distributor must:
131
132
133
134
135
136
137
138
1.
2.
assist market surveillance authorities in identifying the manufacturer or importer responsible for the product;
Due care refers to the effort made by an ordinarily prudent or reasonable party to avoid harm to another, taking the circumstances into account. It
refers to the level of judgment, care, prudence, determination, and activity that a person would reasonably be expected to do under particular
circumstances.
Article R5(1) of Annex I of Decision No 768/2008/EC.
Article R5(2), 1st paragraph of Annex I of Decision No 768/2008/EC.
Where the Union harmonisation legislation explicitly requires that the product is accompanied by the EU declaration of conformity, the distributor
has to ensure that this is the case.
Not all Union harmonisation legislation requires both instructions and safety information since not all Union harmonisation legislation is safety
related.
See the obligations of the manufacturer in point 3.1 and the obligations of the importer in point 3.3.
Article R5(2), 2nd paragraph, of Annex I of Decision No 768/2008/EC.
Article R5(2), 2nd paragraph and article R5(4) of Annex I of Decision No 768/2008/EC.
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3.
upon a reasoned request139 from a competent authority, cooperate with that authority and provide it with all
the information and documentation necessary to demonstrate the conformity of a product140;
4.
on request by market surveillance authorities, identify any economic operator who has supplied them and to
whom they have supplied the product. They must be able to present this information for a period of 10 years
after they have been supplied with the product and for a period of 10 years after they have supplied the
product141.
The distribution conditions (for example transport or storage) may have an impact on maintaining the compliance with
the provisions of the applicable Union harmonisation legislation. Thus, the person in charge of the distribution conditions
must take the necessary measures to protect the compliance of the product. This is to ensure that the product complies
with the essential or other legal requirements at the moment of first use within the Union142.
The distribution conditions may, in the absence of Union harmonisation legislation, be regulated to some extent on the
national level in accordance with Articles 34 and 36 TFEU. National legislation that grants to members of a specific
profession the exclusive right to distribute certain products is capable, insofar as it restricts sales to certain channels, of
affecting the possibilities of marketing imported products. Accordingly, such legislation may constitute a measure having
an effect equivalent to a quantitative restriction on imports. However, it can be justified for instance on grounds of the
protection of public health, if the measure is appropriate for the purpose and does not go beyond what is necessary to
achieve it143.
Fulfilment Service Providers
Fulfilment houses144 represent a new business model generated by e-commerce. Products offered by online operators
are generally stored in fulfilment houses located in the EU to guarantee their swift delivery to EU consumers. These
entities provide services to other economic operators. They store products and, further to the receipt of orders, they
package the products and ship them to customers. Sometimes, they also deal with returns. There is a wide range of
operating scenarios for delivering fulfilment services. Some fulfilment houses offer all of the services listed above, while
others only cover them partially. Their size and scale also differ, from global operators to micro businesses.
The activities of fulfilment service providers as described above go beyond those of parcel service providers that provide
clearance services, sorting, transport and delivery of parcels. The complexity of the business model they offer makes
fulfilment service providers a necessary element of the supply chain and therefore they can be considered as taking part
in the supply of a product and subsequently in placing it on the market. Thus, where fulfilment service providers provide
services as described above which go beyond those of parcel service providers, they should be considered as distributors
and should fulfil the corresponding legal responsibilities.
Taking into account the variety of fulfilment houses and the services they provide, the analysis of the economic model of
some operators may conclude that they are importers or authorised representatives.
3.5. OTHER INTERMEDIARIES: INTERMEDIARY SERVICE PROVIDERS UNDER THE ECOMMERCE DIRECTIVE
The E-Commerce Directive
145
establishes the legal framework for electronic commerce in the EU. It introduces
harmonised rules on issues such as the transparency and information requirements for online services providers,
commercial communications or electronic contracts.
The E-commerce Directive does not cover categories of economic operators, but rather describes different categories of
activities. The most relevant categories of activities, from a product safety and compliance point of view, are the hosting
139
140
141
142
143
144
145
The reasoned request does not necessarily mean a formal decision by an authority. According to Article 19 (1), paragraph 2 of Regulation (EU) No
765/2008, market surveillance authorities may require economic operators to make such documentation and information available as appear to
them to be necessary for the purpose of carrying out their activities. For a request to be reasoned it is sufficient the market surveillance authority
explains the context in which the information is requested (e.g. inspection on specific characteristics of the products, random checks, etc.)
Article R5(5) of Annex I of Decision No 768/2008/EC.
Article R7(2) of Annex I of Decision No 768/2008/EC.
Article R5(3) of Annex I of Decision No 768/2008/EC
See Judgement of the Court: case C-271/92.
As noted in the introduction, more specific reflections are ongoing regarding various aspects of the Union legal framework applicable to online sales
and this Guide is without prejudice to any future specific interpretation and guidance which may be developed on those matters.
Directive 2000/31/EC of the European Parliament and of the Council of 8 June 2000 on certain legal aspects of information society services, in
particular electronic commerce, in the Internal Market (Directive on electronic commerce), OJ L 178, 17.7.2000, p.1.
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activities146. Hosting activities are activities such as storing information provided by the recipient of the service, e.g. web
shops and market places or platforms.
Intermediary service providers carrying out the activities described above benefit from an exemption of liability for
damages or criminal sanctions related to the content provided by third parties using their networks. However, the
liability exemption is not absolute. In the case of hosting activities, which are the most relevant for the product safety
and compliance area, the exemption only applies if the intermediary service provider (1) has no actual knowledge or
awareness about the illegal nature of the information hosted and (2) upon obtaining such knowledge or awareness of
the illegal content (for instance by a "sufficiently precise and adequately substantiated" notice147), it acts expeditiously to
remove it or disable access. If they do not fulfil these conditions, they cannot be covered by the exemption and thus
they can be held liable for the content they host.
Following Article 15 of the E-commerce Directive, Member States cannot impose either a general obligation on these
providers to monitor the content or a general obligation to actively seek facts or circumstances indicating illegal activity.
This means that national authorities cannot establish a general obligation for intermediaries to actively monitor their
entire Internet traffic and seek elements indicating illegal activities such as unsafe products.
The ban on requesting general monitoring, however, does not limit public authorities in establishing specific monitoring
requirements, although the scope of such arrangements have to be targeted. As an example of a distinct policy area still
with certain similarities, a court can order service providers to make sure that certain websites, which contain exclusively
copyright-infringing content or fake products, are blocked from users of the given Member State.
In practice, this means that national authorities can contact the hosting providers who, when notified of unlawful
activity, if they want to benefit from the exemption of liability, have to remove or disable the content, meaning that the
unsafe/non-compliant products would no longer be accessible to EU customers through their services. Nevertheless,
market surveillance authorities should base their activities on the applicable provisions of Regulation (EC) No 765/2008
and relevant Union harmonisation legislation and, thus, target, in the first place, the responsible economic operator.
Market surveillance authorities should assess the most appropriate action to be taken on a case-by-case basis and with a
view to the principle of the proportionality, taking into account the level of the risk, if the economic operator is
identifiable, the urgency, if previously measures have been taken against given product etc.
The term content covers an offer of a product online (e.g. its picture, description, etc.). The term illegal activity
refers to activities covered both by criminal and administrative law. The exemption of liability refers to civil,
administrative and criminal liability for all types of illegal activities initiated by third parties online, such as copyright and
trademarks piracy, unfair commercial practices, etc. The Directive seeks to strike a fair balance between all interests at
stake. The legal basis for notifying and requiring hosting providers to remove/disable access to illegal content is
contained in the national transpositions of the E-commerce Directive. Moreover, most online intermediaries have
developed their own reporting mechanisms.
3.6. END-USER
Contrary to economic operators, end-users are not defined in Union harmonisation legislation and are not subject
to obligations.
Many products covered by Union product harmonisation legislation are used at work and thus also subject to
Union safety at work legislation.
Union harmonisation legislation does not create obligations for the end-users of the products in their scope148. This is the
case even when there are no responsible economic operators present within the EU (for example, in the context of
products sold online). Consequently, the term is not defined in that legislation. It is certain however that the term covers
both professional users and consumers. The concept of end use by a professional or a consumer is intrinsically related
to the concept of intended use149.
Many products covered by Union harmonisation legislation are used at work. According to legislation based on Article
153 TFEU, employers have obligations as regards the use of work equipment by workers at the workplace. An employer
146
Other activities also described by the Directive are: 1) mere conduit activities such as transmitting information (provided by the recipient of the
service) or providing access to a communication network (e.g. internet providers) and 2) caching activities such as making the transmission of
information more efficient, e.g. duplicating a database which copies the content of the initial server for ensuring a global coverage.
147 In Case C-324/09, L'Oral vs. eBay, the European Court of Justice clarified that the relevant question relating to the conditions for benefiting from a
liability exemption was whether eBay was aware of facts and circumstances from which the illegal activity was apparent (see paragraphs 120-123).
148 However, Directive 2013/53/EU on Recreational craft imposes obligations on private importers.
149 For the concept of intended use, see above Section 2.7.
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is considered to be any natural or legal person who has an employment relationship with a worker (that is any person
employed by an employer), and has responsibility for the undertaking or establishment.
According to the Directive concerning the minimum safety and health requirements for the use of work equipment by
workers at work (2009/104/EC), the employer must take all measures necessary to ensure that the work equipment (for
example machinery and apparatus) made available to the workers is suitable for the work carried out, and may be used
by workers without impairment to their safety or health. The employer may only obtain or use work equipment that
complies with the provisions of the applicable legislation at the time of its first use, or, if no other legislation is applicable
or is only partially applicable, the minimum requirements laid down in Annex I to Directive 2009/104/EC. The employer
must also take the necessary measures to ensure that work equipment is kept at such a level. Further, the employer has
an obligation to provide information and training for workers as regards the use of work equipment.
According to the Directive concerning the minimum health and safety requirements for the use of personal protective
equipment by workers at the workplace (89/656/EEC), such equipment must comply with the relevant Union provisions
on design and manufacture with respect to safety and health (that is the Union harmonisation act relating to personal
protective equipment). Further, the equipment must be appropriate for the risk involved, correspond to existing
conditions at the workplace, take into account ergonomic requirements and the workers state of health, fit the wearer
correctly, and be compatible where more than one pieces of equipment must be used simultaneously. The employer is
required, before choosing the personal protective equipment, to assess that it satisfies the requirements.
According to the Directive on the minimum safety and health requirements for work with display screen equipment
(90/270/EEC), employers are obliged to perform an analysis of workstations in order to evaluate the safety and health
conditions, particularly regarding possible risks to eyesight, physical problems and problems of mental stress. The
Directive also lays down the minimum requirements for the display screen and other equipment.
According to the Directive on the introduction of measures to encourage improvements in the safety and health of
workers at work (89/391/EEC), workers have a general responsibility to take care, as far as possible, of their own safety
and health and that of other persons affected by their acts at work. In accordance with the training and the instructions
given by their employer they must, for instance, make correct use of machinery, apparatus, and other means of
production, and the personal protective equipment.
Directives 89/391/EEC, 2009/104/EC, 89/656/EEC and 90/270/EEC lay down minimum requirements. Therefore, Member
States are allowed to adopt or retain more stringent provisions, as long as they are compatible with the TFEU. The
provisions of Union harmonisation legislation must be respected and, thus, additional national provisions may neither
request a modification of a product within the scope of a Union harmonisation act, nor influence the conditions of the
making available on the market of such products.
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4. PRODUCT REQUIREMENTS
4.1. ESSENTIAL PRODUCT REQUIREMENTS
4.1.1.
A large part of Union harmonisation legislation limits legislative harmonisation to a number of essential
requirements that are of public interest.
Essential requirements define the results to be attained, or the hazards to be dealt with, but do not specify the
technical solutions for doing so.
A fundamental feature of a large part of Union harmonisation legislation is to limit legislative harmonisation to the
essential requirements that are of public interest. These requirements deal with the protection of health and safety of
users (usually consumers and workers) but may also cover other fundamental requirements (for example protection of
property, scarce resources or the environment).
Essential requirements are designed to provide and ensure a high level of protection. They either arise from certain
hazards associated with the product (for example physical and mechanical resistance, flammability, chemical, electrical
or biological properties, hygiene, radioactivity, accuracy), or refer to the product or its performance (for example
provisions regarding materials, design, construction, manufacturing process, instructions drawn up by the manufacturer),
or lay down the principal protection objective (for example by means of an illustrative list). Often they are a combination
of these. As a result, several Union harmonisation acts may be applicable to a given product at the same time, since the
essential requirements of different Union harmonisation acts need to be applied simultaneously in order to cover all
relevant public interests.
Essential requirements must be applied as a function of the hazard inherent to a given product. Therefore,
manufacturers have to carry out a risk analysis to first identify all possible risks that the product may pose and
determine the essential requirements applicable to the product. This analysis has to be documented and included in the
technical documentation150. In addition, the manufacturer needs to document the assessment of how he is addressing
the risks identified to ensure that the product complies with the applicable essential requirements (for example, by
applying harmonised standards). If only part of the harmonised standard is applied or it does not cover all applicable
essential requirements, then the way applicable essential requirements not covered by it are dealt with, should be
documented151.
Essential requirements define the results to be attained, or the hazards to be dealt with, but do not specify the technical
solutions for doing so. The precise technical solution may be provided by a standard or by other technical specifications
or be developed in accordance with general engineering or scientific knowledge laid down in engineering and scientific
literature at the discretion of the manufacturer. This flexibility allows manufacturers to choose the way to meet the
requirements. It allows also that, for instance, the materials and product design may be adapted to technological
progress. Accordingly, Union harmonisation legislation based on essential requirements does not necessitate regular
adaptation to technical progress, since assessment of whether requirements have been met or not are based on the
state of technical know-how at the moment the product is placed on the market.
The essential requirements are set out in relevant sections or annexes of a given piece of Union harmonisation
legislation. Although no detailed manufacturing specifications are included in the essential requirements, the degree of
detailed wording differs between different Union harmonisation acts152. The wording is intended to be precise enough to
create, on transposition into national legislation, legally binding obligations that can be enforced, and to facilitate the
setting up of standardisation requests by the Commission to the European standardisation organisations in order to
150
151
152
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produce harmonised standards. They are also formulated so to enable the assessment of conformity with those
requirements, even in the absence of harmonised standards or in case the manufacturer chooses not to apply them.
4.1.2.
The terms standard, national standard, European standard, harmonised standard, and international
standard are subject to concrete definitions.
Harmonised standards are European standards adopted, upon a request made by the Commission for the
application of Union harmonisation legislation.
Harmonised standards provide a presumption of conformity with the essential requirements they aim to cover.
4.1.2.1.
Regulation (EU) No 1025/2012153 provides definitions for the terms standard, national standard, European
standard, harmonised standard, and international standard.
Standards are defined as technical specifications, adopted by a recognised standardisation body, for
repeated or continuous application, with which compliance is not compulsory.
European standards are standards adopted by the European standardisation organisations (ESOs) listed in
Annex I of Regulation (EU) No 1025/2012154.
Taking into account the first two definitions mentioned above, harmonised standards are European
standards adopted, upon a request made by the Commission for the application of Union harmonisation
legislation. Harmonised standards maintain their status of voluntary application.
The definition for a harmonised standard, within the context of Regulation (EU) No 1025/2012, is not restricted to
harmonised standards supporting harmonised product legislation as the Regulation mainstreams the use of harmonised
standards in harmonisation legislation for services in similar way as in Union harmonisation legislation for products.
4.1.2.2.
Harmonised standards are developed and published like other European standards following the internal rules of
European standardisation organisations. According to these rules, all European standards must be transposed at national
level by the national standardisation bodies. This transposition means that the European standards in question must be
made available as national standards in an identical way, and that all conflicting national standards must be withdrawn in
a given period.
Harmonised standards are European standards to which Regulation (EU) 1025/2012 and sectoral Union harmonisation
legislation give a special meaning155. Harmonised standards maintain their status of voluntary application 156. However it
is important to note that the definition of a harmonised standard does not contain any reference to the publication of its
title in the OJEU. As long as a title of a harmonised standard is not published in the OJEU the harmonised standard, or
parts thereof, does not give presumption of conformity with the essential or other requirements it aims to cover. The
Commission formally requests the European standardisation organisations to present harmonised standards by issuing a
standardisation request (mandate). The role and preparation of the Commissions standardisation request to the
153
154
155
156
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European standardisation organisations is detailed in the Vademecum on European standardisation157. Prior to this the
Commission consults the Member States158. Obtaining standards based on consensus within the meaning of Regulation
(EU)No 1025/2012159 implies a wide consultation of sectoral authorities at national level. Thus, the request provides a
strong indication of the expectations of public authorities.
The European standardisation organisations will formally take a position on a request from the Commission in conformity
with their internal rules. Acceptance of the request and the subsequent standardisation work initiate the standstill period
for national standardisation bodies as provided for in their internal rules and, in the case of harmonised standards, also
in Regulation (EU) No 1025/2012.
The elaboration and adoption of harmonised standards is based on Regulation (EU) No 1025/2012160 and on the General
Guidelines for cooperation between the European standardisation organisations and the Commission and EFTA from 28
March 2003161. There are a number of requirements, principles and commitments concerning standardisation, such as
the participation of all interested parties (for example manufacturers, including SMEs, consumer associations,
environmental stakeholders and trade unions), the role of public authorities, the quality of standards and a uniform
transposition of European standards throughout the Union by national standardisation bodies.
The European standardisation organisations are responsible for identifying, in line with relevant requests, and
elaborating harmonised standards within the meaning of the relevant internal market legislation and for presenting a list
of adopted harmonised standards to the Commission. The technical contents of such harmonised standards are under
the entire responsibility of the European standardisation organisations. Once public authorities have agreed on a
request, the search for technical solutions should in principle be left to the interested parties. In certain areas, such as
the environment and health and safety, the participation of public authorities on a technical level is important in the
standardisation process. However, Union harmonisation legislation for products do not foresee a procedure under which
public authorities would systematically verify or approve either at Union or national level the contents of harmonised
standards, which have been adopted by European standardisation organisations 162. The dialogue between
standardisation bodies and public authorities and, when appropriate, their participation in the standardisation process
should, nevertheless, help to ensure that the terms of the standardisation request are correctly understood and public
concerns are properly taken into account in the process.
The European standardisation organisations decide on the work programme for harmonised standards in line with the
relevant request. They may also identify existing standards that they judge, after examination and possible revision, to
meet the terms of the request, or modify existing standards in order to meet those terms. In the same way, they may
identify international or national standards and adopt them as European standards, and present them to the Commission
as harmonised standards. It is also possible that sometimes only certain parts or clauses of a harmonised standard
support essential requirements and then only those parts or clauses will provide presumption of conformity after the
references are published in the OJEU.
A harmonised standard must match the relevant essential or other legal requirements of the relevant piece of legislation
in line with the relevant standardisation request. A harmonised standard may contain specifications relating not only to
essential requirements but dealing with other non-regulated issues. In such a case, these specifications are clearly
distinguished from those covering the essential requirements. A harmonised standard does not necessarily have to cover
all essential requirements but it must be always clear which requirements are aimed to be covered 163 as otherwise a
manufacturer complying with a harmonised standard, referenced in the OJEU, does not know against which
requirements a presumption of conformity will apply and public authorities do not know against which essential
requirements they must accept a presumption of conformity.
The relevant essential or other legal requirements aimed to be covered are usually indicated in a separate informative
annex164 to a harmonised standard. When essential requirements are covered only partially, it should be clearly indicated
in the standard. In some cases the scope of a harmonised standard may also indicate the relevant requirements with
sufficient clarity (e.g. when there is a clear reference to covered safety related risks). This information on the aimed
157
158
159
160
161
162
163
164
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coverage of essential or other requirements given in a harmonised standard thereby determines the scope of the socalled presumption of conformity with legal requirements.
A clear distinction must be made between conformity with a standard and presumption of conformity (when applying
a harmonised standard). Conformity with a standard usually makes a reference to a situation where a standard is
fully applied. This is for instance the case of voluntary certification against a standard. For the purposes of
presumption of conformity it is sufficient to apply only those provisions relating to the essential or other legal
requirements aimed to be covered.
Harmonised standards never replace legally binding essential requirements. A specification given in a harmonised
standard is not an alternative to a relevant essential or other legal requirement but only a possible technical means to
comply with it. In risk related harmonisation legislation this means in particular that a manufacturer always, even when
using harmonised standards, remains fully responsible for assessing all the risks of his product in order to determine
which essential (or other) requirements are applicable. After this assessment a manufacturer may then choose to apply
specifications given in harmonised standards to implement risk reduction measures165 which are specified by
harmonised standards. In risk related harmonisation legislation harmonised standards most commonly provide certain
means to reduce or remove risks while manufacturers remain fully responsible for risk assessment to identify applicable
risks and to identify applicable essential requirements in order to select suitable harmonised standards or other
specifications.
The role of harmonised standards in complying with applicable essential requirements identified by a manufacturer - a
generic philosophy for cases where a manufacturer needs to identify applicable essential requirements:
Where harmonised standards fail to indicate clearly the essential requirements aimed to be covered such standards may
become less useful for manufacturers as there is less legal certainty on the real scope of presumption of conformity.
An unclear or incorrect indication of the essential requirements aimed to be covered may also lead, in some cases, to
formal objections against harmonised standards (see point 4.1.2.5). Where a harmonised standard covers only part of
the essential requirements identified as applicable by a manufacturer or only certain aspects thereof, he additionally has
to use other relevant technical specifications or develop solutions in accordance with general engineering or scientific
knowledge laid down in engineering and scientific literature in order to meet the essential requirements of the legislation
in question. In a similar way when a manufacturer chooses not to apply all the provisions given in a harmonised
standard, and which normally would provide presumption of conformity, he needs, on the basis of his own risk
assessment, to indicate in his technical documentation how the compliance is reached or that relevant essential
requirements are not applicable for his product.
Occasionally standards may contain errors or offer different possible readings. If a manufacturer finds such an error or
uncertainty, he should first make contact with his national standardisation body to seek for clarification.
165
In this context this term is understood as defined in ISO/IEC Guide 51 Safety aspects - Guidelines for their inclusion in standards, which is a generic
guideline to develop standards addressing safety issues.
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4.1.2.3.
The overall procedure leading to a harmonised standard giving a presumption of conformity is described in Flowchart 1.
Before a preparation of a standardisation request asking to develop harmonised standards may start there should be
Union harmonisation legislation, or this legislation is under preparation 166, which foresees the use of harmonised
standards as a means to comply with essential or other legal requirements, i.e. the legislator has already given the
political acceptance to the harmonised standards to be developed and published within the legal framework given in
Regulation (EU) No 1025/2012.
166
167
168
169
1.
Planning of the Commission's standardisation request: The Commission publishes its plans on future
standardisation requests in the annual Union Work Programme for European standardisation according to
Article 8 of Regulation (EU) No 1025/2012. This Work Programme also identifies standardisation needs under
future harmonisation legislation.
2.
Preparation of a standardisation request: The Commission prepares, according to Article 10(1) of Regulation
(EU) No 1025/2012, a draft request consulting European standardisation organisations, sectoral experts of the
Member States and relevant stakeholders at European level according to Articles 10(2) and 12 of Regulation
(EU) No 1025/2012.
3.
Adoption and notification of a standardisation request: The Commission adopts a request as a Commission
implementing decision addressed to the ESO(s) after obtaining positive opinion from the Member States in
accordance with the procedure laid down in Article 22(3) of Regulation (EU) No 1025/2012. The request is
then notified to the relevant European standardisation organisations.
4.
5.
6.
7.
Public Enquiry: European standardisation organisations together with national standardisation bodies organise
a public enquiry where all stakeholders may submit comments through national standardisation bodies. Article
4(3) of Regulation (EU) No 1025/2012 provides a procedure if a national standardisation body receives
comments indicating a possible negative impact on the internal market.
8.
Integrating comments received: Responsible technical committee considers comments received during public
enquiry and prepares the final draft European standard.
9.
Formal Vote: National standardisation bodies vote on the final draft in a formal vote where national
standardisation bodies have weighted votes. The final draft is adopted if there is a simple majority of the
Preparation of a request may start in parallel with the legislative process. However at the moment when a request is issued to the European
standardisation organisations, there must be certainty on the legal requirements to be supported by harmonised standards
This is without prejudice to their right to refuse a request.
European standardisation organisation may also co-operate with other bodies which are responsible for the drafting work.
Article 10(5) indicates that consensus building process according to the internal rules of European standardisation organisations is not alone as such
a sufficient guarantee to assume that requirements of a request are fulfilled.
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votes cast in favour and if 71.00 % or more of the weighted votes cast (abstentions not counted) are in
favour.
170
171
10.
Ratification and publication of a European standard (EN): Where the voting result is positive, the relevant
European standardisation organisation ratifies and publishes the European standard (EN). As in this case the
relevant EN supports Union harmonisation legislation and it was drafted on the basis of a Commission
request, this EN is a harmonised standard with the meaning of Article 2(1)(c) of Regulation (EU) No
1025/2012 however it does not yet provide a presumption of conformity.
11.
12.
Verification of the conditions for publication in the OJEU: According to Article 10(5) of Regulation (EU) No
1025/2012 the Commission has to verify whether the relevant harmonised standard complies with the initial
request. During this verification the Commission checks in particular that the harmonised standard is covered
by the relevant request and whether essential or other legal requirements aimed to be covered are clearly
indicated and covered by the standard. During this verification there is no need for a review of the technical
content as the Commission does not, in general, accept the technical content or takes responsibility for it.
However already during this step the Commission may also assess the adequacy of technical specifications
given in a harmonised standard in satisfying corresponding essential requirements and this assessment may
lead to non-publication of the references in the OJEU.
13.
Publication of references in the OJEU: According to Article 10(6) of Regulation (EU) No 1025/2012 the
Commission publishes the references of a harmonised standard in the OJEU. This publication finally initiates a
presumption of conformity with essential or other legal requirements covered by the relevant harmonised
standard. A presumption of conformity is usually valid from the date the publication is done in the OJEU and,
in most common cases (see also point 4.1.2.5), can be removed by a formal objection or when a revised
version of the harmonised standard is referenced in the OJEU.
14.
National transposition: National standardisation bodies are obliged to transpose the relevant European
standard170 as an identical national standard on the basis of the internal rules of the European standardisation
organisations. According to Article 3(6) of Regulation (EU) No 1025/2012 they also are obliged to withdraw
any national standards which are conflicting with a harmonised standard.
15.
Formal objection: According to Article 11 of Regulation (EU) No 1025/2012171 a Member State or the
European Parliament may dispute the publication of the references of a harmonised standard in the OJEU.
Through this process a Member State or the European Parliament may ask the Commission to draft a
Commission Decision in order to prevent or remove the presumption of conformity. A formal objection may be
made as soon as the standard has been adopted and ratified (in case of CEN and Cenelec) or adopted (in
case of ETSI) in accordance with the rules of the organisation concerned.
The transposition of the standard is a matter for the ESOs rules. It is usually carried out before the references of the harmonised standard are
published in the OJEU. However national transposition is not a precondition to get a presumption of conformity. In practise harmonised standards
are usually available as transposed nationally standards while the list of harmonised standards published in the OJEU and relevant Union
harmonisation legislation make direct reference to original European standards.
According to Article 28 of Regulation (EU) No 1025/2012 formal objection articles given in some sectoral legislation continue to be valid for some
time.
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4.1.2.4.
Harmonised standards provide a presumption of conformity with the essential requirements they aim to cover, if their
references have been published in the Official Journal of the European Union. References of harmonised standards are
published as Commission Communications in the C series of the OJEU172.
European standards, including harmonised standards, are often based fully or partially on international ISO or IEC
standards. Sometimes, however, the presumption of conformity is possible only when applying the European version
because of modifications introduced in it.
The objective of publishing the reference in the Official Journal is to set the date from which the presumption of
conformity takes effect. Publication of references of harmonised standards is an administrative task for the Commission
which is done without further consulting Member States or relevant sectoral Committees. It is the ultimate goal for a
harmonised standard and the end of the process which started when the relevant Commission request was issued.
Before the Commission publishes the references, it must however assess together with the European standardisation
organisations, according to Article 10(5) of Regulation (EU) No 1025/2012, that the terms of the relevant request(s) are
fulfilled and that the harmonised standard covers indeed the essential or other requirements which it claims 173 to cover.
Publication of references is not an automatic action and the Commission must perform certain checks and assessments
before publication takes place. The Commission may thus refuse to publish the references or, in some cases, may set
certain limitations which are published together with the references.
In a situation where a formal objection procedure has been already initiated, there is a doubt whether a harmonised
standard entirely satisfies the requirements it aims to cover within the meaning of Article 11(1) of Regulation (EU) No
1025/2012. Because of this doubt, the Commission cannot publish the reference according to Article 10(6) of Regulation
(EU) No 1025/2012 and a Commission Implementing Decision within the meaning of Article 11(1) must be taken.
There are also other situations where the references might not be published. The assessment according to Article 10(5)
may reveal that the terms of the relevant request are not properly fulfilled or that the standard contains obvious errors.
In those cases the conditions for initiating the objection procedure according to Article 11 174 of Regulation (EU) No
1025/2012 are usually not fulfilled.
Examples of other reasons for non-publication include: the standard is not covered by the relevant standardisation
request; products covered by the standard are not within the scope of relevant Union harmonisation legislation; the
standard fails to indicate which legal (essential) requirements are covered 175; the standard does not cover the legal
(essential) requirements which it claims to cover; the standard contains specifications which are not supporting essential
requirements and without clearly separating them from specifications supporting essential requirements; the standard
claims to support other legal requirements than those addressed in the request; the standard contains normative
references to other specifications which are not acceptable because of their origin or lack of proper consensus building
process during their adoption or normative reference are not yet accessible; other reasons because of non-application of
internal rules of European standardisation organisations or disregard of the requirement given in Regulation (EU) No
1025/2012 during the preparation of a relevant harmonised standard.
In these cases the Commission ensures by non-publication a correct application of relevant Union harmonisation
legislation and a coherent and proper functioning of the Single Market. Here the Commission can merely ask the relevant
European standardisation organisations to correct the relevant standards making reference to the agreed requirements
given in the relevant request and to other recognised and agreed principles under which these organisations should
work. In some cases the Commission may consider the publication of references with a limitation, however, keeping in
mind that these limitations should not overlap with reasons where a proper objection procedure should be initiated. The
justification for non-publication comes from the relevant request itself but the Commission may refuse the publication
also in order to protect the proper functioning of the Single Market.
The recourse to harmonised standards cited in the OJEU and which give a presumption of conformity remains
voluntary176. The manufacturer can choose whether or not to refer to such harmonised standards. However, if the
172
173
174
175
176
A Web service providing access to the latest lists of references of harmonised standards and of other European standards published in the Official
Journal of the European Union (OJEU) is available at: http://ec.europa.eu/growth/single-market/european-standards/harmonisedstandards/index_en.htm
This claim is usually in a dedicated informative annex to a harmonised standard.
In some cases a piece of sectoral legislation may still contain an article of objection. In such cases Article 11 of Regulation (EU) No 1025/2012 does
not apply see Article 28, second paragraph of Regulation (EU) 1025/2012.
A presumption of conformity would be meaningless if essential requirements covered are not known.
Directive 1999/5/EC relating to telecommunications terminal equipment allows harmonised standards to be transformed into common technical
regulations, compliance with which is mandatory. Regulation (EC) No 552/2004 on the interoperability of the European Air Traffic Management
network requires the application of Community specifications.
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manufacturer chooses not to follow a harmonised standard, he has the obligation to demonstrate that his products are
in conformity with essential requirements by the use of other means of his own choice (for example by means of any
existing technical specifications including all other available standards). If the manufacturer applies only a part of a
harmonised standard or the applicable harmonised standard does not cover entirely all applicable essential requirements,
the presumption of conformity exists only to the extent the harmonised standard corresponds to the essential
requirements. For that reason it is necessary that each harmonised standard contains clear and correct information on
legal (essential) requirements covered.
Compliance with harmonised standards is, according to certain Union harmonisation acts, an option having effect on the
applicable conformity assessment procedure, and sometimes opens the possibility for conformity assessment without the
intervention of a third party or for a larger choice of procedures177.
4.1.2.5.
Regulation (EU) No 1025/2012 contains a provision according to which publication of titles of harmonised standards in
the OJEU can be challenged178. This situation might arise prior to the publication of the reference of the harmonised
standard in the OJEU or in the case of a harmonised standard the reference of which has already been published in the
OJEU.
In both cases, where a Member State or the European Parliament 179 considers that a harmonised standard does not
entirely satisfy the requirements which it aims to cover and which are set out in the relevant Union harmonisation
legislation, it has to inform the Commission thereof. After consulting the Member States 180, the Commission can make an
Implementing Decision:
to publish, not to publish or to publish with restrictions the reference to the harmonised standard concerned in
the OJEU, or
to maintain, to maintain with restrictions or to withdraw the references to the harmonised standard concerned
in or from the OJEU.
In all cases, the Commission needs to publish on its website 181 information on the harmonised standards that have been
subject to such Implementing Decisions.
As part of its responsibilities and duties according to Regulation (EU) No 1025/2012 and the relevant sectoral legislation,
the Commission can also draft and propose such Implementing Decisions to object to harmonised standards on its own
initiative. Where a Member State has raised an action under a safeguard clause 182 against a product which complies with
a harmonised standard and where such a safeguard action is considered justified, the Commission also has a
responsibility to initiate an objection against the relevant harmonised standard.
The procedure to challenge a harmonised standard and its outcome does not affect its existence as a harmonised
standard or as a European standard as only European standardisation organisations can make decisions on the revision
or withdrawal of their deliverables. This objection procedure gives the legislator a possibility to control the presumption
of conformity i.e. the legal effect, which stems from the publication of the reference in the OJEU. It may only lead to the
withdrawal, restriction or prevention of such a publication in the OJEU. In the two first cases, this means that the
standard in question will no longer give presumption of conformity or presumption of conformity with the essential
requirements is restricted. In the last case (prevention), it means that the standard will not become a harmonised
standard giving presumption of conformity at all.
A harmonised standard can be challenged at any moment after its adoption by CEN, Cenelec or ETSI as a European
standard.
Furthermore, the reference may be removed from the OJEU by the Commission, without applying formal objection
procedures, in certain exceptional cases where the relevant edition of a harmonised standard is not anymore reviewed or
177
178
179
180
181
182
See the directives relating to simple pressure vessel, toys, electromagnetic compatibility, radio and telecommunications terminal equipment,
machinery, lifts and recreational craft. The lack of harmonised standards may lead to the application of a specific procedure, see for instance the
Pressure equipment directive (the European approval may be granted to materials which are not covered by any harmonised standard and which
are intended for repeated use in the manufacture of pressure equipment).
Article 11 of Regulation (EU) No 1025/2012 becomes gradually applicable after objection articles contained in sectoral legislation are removed.
Meanwhile some Union harmonisation legislation may still contain specific procedures, like the Directive relating to radio and telecommunications
terminal equipment provides a possibility for the Commission, in the case of shortcomings of harmonised standards, to publish in the Official Journal
guidelines to the interpretation of harmonised standards, or the conditions under which compliance is possible.
The European Parliament can raise this concern in cases where Article 11 of Regulation (EU) No 1025/2012 applies.
In accordance with Article 11(1) and 11(4)-(5) of Regulation (EU) No 1025/2012
http://ec.europa.eu/growth/single-market/european-standards/notification-system/index_en.htm
For the safeguard clause, see Section 7.4
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updated by the ESO itself and where the ESO itself does not regard it as a standard. Such cases include: the harmonised
standard in question has been withdrawn by the relevant ESO without any intention to adopt a revised harmonised
standard; the national standards transposing the harmonised standard are not available or valid as national standards
anymore. The concept of essential requirements is based on the assumption that the harmonised standards reflect
generally acknowledgeable state of the art and the ESO review standards regularly. When it is evident that a harmonised
standard is not anymore recognised as a standard by the relevant ESO itself or where the standard is not anymore
revised or available as a national standard such a document cannot be, as a rule, used anymore to provide presumption
of conformity. The purpose of Article 11 of Regulation (EU) No 1025/2012 is to provide a procedure to challenge only
valid harmonised standards, not withdrawn harmonised standards or draft harmonised standards which cannot be
regarded as adopted European standards in the context of definitions given in Article 2 of Regulation (EU) No
1025/2012.
Another specific situation where the Commission may need to remove references from the OJEU without formal
objection relates to cases where publication in the OJEU is done by a mistake or where a reference of a document which
cannot be regarded as a harmonised standard is published. The latter case may include cases where the standard is not
covered by a standardisation request or where the standard does not cover any essential requirements or where the
standard was not correctly adopted by respective ESO following the recognised standardisation principles.
According to Regulation (EU) No 1025/2012 the Commission is obliged to inform stakeholders 183 on all pending formal
objections against harmonised standards before formal decisions are taken.
4.1.2.6.
Harmonised standards translate the essential requirements into detailed technical specifications, methods of
measurement to assess and/or declare the compliance with the essential requirements and, in some cases, numerical
values to allow compliance with the essential requirements. Like any technical document, they are subject to change, or
in other words to a revision.
The formal decision to revise a harmonised standard is, in principle, taken by the European standardisation
organisations. This takes place on the basis of their own initiative 184, or following a standardisation request from the
Commission directly or, indirectly, based on a Commission decision after a formal objection. The need for revision can
result from the changes of the scope of the Union harmonisation act (such as an extension of the scope to other
products or a modification of the essential requirements), from the fact that the Commission or a Member State
challenges the contents of the harmonised standard, indicating that it could no longer give presumption of conformity
with the essential requirements, or as a result of technological development.
When a harmonised standard is revised, the revision must be covered by a standardisation request to maintain the
possibility of giving presumption of conformity. Unless the contrary can be deduced, the terms and conditions of the
original request apply also for the revision of the harmonised standard. This does not exclude the possibility of a new
request, in particular where the revision is related to shortcomings with respect to the essential requirements.
To give presumption of conformity, the revised standard must satisfy the general conditions according to the Union
harmonisation legislation: the standard is based on a standardisation request, it is presented by the relevant European
standardisation organisation to the Commission and its reference is published by the Commission in the Official Journal.
Following its internal rules, the relevant European standardisation organisation lays down for the national standardisation
bodies the latest date of withdrawal of the superseded edition of the national standard - in this case for the national
standards which transpose the previous edition of the harmonised standard. The transitional period during which both
the withdrawn harmonised standard and the revised harmonised standard may give presumption of conformity
is set by
the Commission and published in the Official Journal. It is usually the time period between the date of publication of the
reference of the new edition of the standard in the Official Journal and the date of withdrawal of the conflicting national
standards - i.e. national standards which transpose the previous edition of the harmonised standards. It is the
responsibility of the Commission to ensure that such transitional periods are of sufficient length and coherently set for all
harmonised standards. After this transitional period, only the revised harmonised standard gives a presumption of
conformity.
183
184
http://ec.europa.eu/growth/single-market/european-standards/notification-system/index_en.htm
Under the terms of their internal rules, the European standardisation organisations review their standards whether or not initially developed on the
basis of a standardisation request at intervals not exceeding five years. This periodical review may lead to a confirmation (no action), a revision or
a withdrawal of a relevant standard.
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The Commission may consider that, for safety or other reasons, the superseded version of the harmonised standard
must cease to give a presumption of conformity before the date of withdrawal, set by the European standardisation
organisation in question, or at a later date. In such cases, the Commission fixes an earlier or later date after which the
withdrawn harmonised standard will no longer give a presumption of conformity, and publishes this information in the
Official Journal. If circumstances allow, the Commission may consult the Member States prior to taking a decision to
reduce or extend the period during which both versions of the standard give a presumption of conformity.
Unless decided otherwise on the basis of a proposal by the Commission, the removal of the reference of a harmonised
standard from the Official Journal after its revision does not automatically invalidate existing certificates issued by
notified bodies; it only concerns the conformity that is conferred onto new conformity assessments that follow the new
harmonised standard. Products produced according to the old certificate may still benefit from the continuing conformity
with the essential requirements and may continue to be placed on the market until the end of the validity of the relevant
certificates issued by notified bodies. However, manufacturers must assess the extent of the changes to the superseded
version of the standard. The kind of action to be taken by the manufacturer depends on the nature of the changes in the
harmonised standards, in particular whether these changes are material with regard to the coverage of the essential
requirements and whether they concern the product in question. In addition, the notified body shall keep itself appraised
of any changes in the generally acknowledged state of the art which indicate that the approved type may no longer
comply with the applicable requirements, and shall determine whether such changes require further investigation. If so,
the notified body shall inform the manufacturer accordingly. The reference of the revised harmonised standard, together
with the information concerning the superseded version of the harmonised standard, and the date when the
presumption of conformity of the superseded version of the standard ceases are published together in the Official
Journal. It is in the interest of the manufacturer to check every publication of the list of harmonised standards and to
verify within it the validity of the harmonised standards he has applied in order to assess the conformity of his product.
This is particularly essential in cases where the manufacturer declares conformity himself (in case of internal production
control) and where the manufacturer wants to ensure continuous presumption of conformity for the products placed on
the market.
In the context of guidelines185 agreed between the Commission and European standardisation organisations there is an
expectation that all revised harmonised standards should contain specific information indicating significant changes to a
revised or amended harmonised standards and this information should be made publicly available (free of charge) by the
standardisation organisations.
A harmonised standard may contain normative references to other standards. Through these references those other
standards or parts thereof, become indispensable for the application of a given harmonised standard. Internal rules of
the European standardisation organisations are applicable when making these normative references to other standards.
Because of the nature of harmonised standards undated references to other standards, where relevant clauses aim to
support essential or other legal requirements, should not be normally used. Undated references may cause situations
where changes in specifications contained in harmonised standards and providing presumption of conformity are
uncontrolled and non-transparent - changes in normative references cannot be controlled within the meaning of Article
10(6) of the Regulation (EU) No 1025/2012 although by such changes a harmonised standard (a part of it) is de facto
revised.
4.1.3.
The conformity of a product may be demonstrated not only by harmonised standards but also by other technical
specifications.
Other technical specifications however do not benefit from the presumption of conformity.
The application of harmonised standards is not the only means to demonstrate the conformity of a product however
only harmonised standards186, after publication of references in the OJEU, may provide an automatic presumption of
conformity against essential requirements covered by such standards.
185
186
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According to some Union harmonisation acts, national standards may give a presumption of conformity as a
transitional measure insofar as there is no harmonised standard covering the same area187. Member States may
communicate to the Commission the text of those national standards, which they consider to meet the essential
requirements. After consulting the Member States188, the Commission notifies the Member States whether or not the
national standard should enjoy presumption of conformity. If the opinion is positive, Member States are required to
publish the references of such standards. The reference is also published in the OJEU. This procedure has not been used
so far in order to give full priority to the development of European standards.
The manufacturer can choose whether or not to apply and refer to harmonised standards. However, if the manufacturer
chooses not to follow the harmonised standards, he has the obligation to demonstrate that his products are in
conformity with essential requirements by the use of other means of his own choice that provide for the level of safety
or protection of other interests required by the applicable legislation. These can be technical specifications such as
national standards, European or international standards which are not harmonised i.e. not published in the OJEU or the
manufacturers own specifications. In these cases the manufacturer does not benefit from the presumption of
conformity, but has to demonstrate the conformity himself. This implies that he demonstrates, in the technical file of a
relevant product, in a more detailed manner how the technical specifications he uses provide conformity with the
essential requirements189.
It is important to stress that Union harmonisation legislation for products does not, as a general rule, impose the use of
harmonised standards. Only essential requirements are legally binding and manufacturers may apply whatever standards
and technical specifications however only harmonised standards provide a presumption of conformity.
Furthermore, even if the manufacturer has not used harmonised standards, a change in the relevant harmonised
standard could mean a change in the state of the art that implies that his product may not be compliant.
187
188
189
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The traceability requirements allow tracing the history of the product and support market surveillance. It allows
market surveillance authorities to find the liable economic operators and obtain evidence of the product
compliance.
The traceability requirements include labelling the product and identifying the economic operators in the
distribution chain.
4.2.1.
4.2.2.
TRACEABILITY PROVISIONS
Union harmonisation legislation is prescriptive as to the ends but not as to the means to achieve those ends. This means
that Union harmonisation legislation foresees requirements for the traceability of products made available on the market,
without stipulating how to achieve or implement these requirements. Union harmonisation legislation is also technologyneutral, meaning it does not prescribe the technology to be used such as printing or moulding. Manufacturers should
choose the traceability system which they deem most appropriate in relation to their products and their manufacturing
and distribution system.
The indication of the manufacturers, and for imported products also the importers, name and address on the product is
a basic traceability requirement. In case of need, it allows market surveillance authorities to quickly get in contact with
the economic operator responsible for the placing of an unsafe or non-compliant product on the Union market.
There is no explicit obligation that the addresses have to be preceded by the words Manufactured by, Imported by or
Represented by. This information must however not mislead the end-user and the market surveillance authorities
about the place of manufacture and the address of each economic operator 190. If these words are not mentioned,
market surveillance authorities will decide what the role of each economic operator is. It is then up to the economic
operator to prove that he has a different role.
There is no obligation to translate into all necessary languages the words manufactured by, imported by or
represented by. These words are considered to be easily understandable in all official EU languages.
Regulation (EC) No 765/2008 setting out the requirements for accreditation and market surveillance relating to the
marketing of products and Decision No 768/2008/EC on a common framework for the marketing of products establish
the current practices regarding traceability by requiring specific traceability labels. The reference provisions of Decision
No 768/2008/EC reflected in Union harmonisation legislation require:
1.
190
191
manufacturers to indicate the following three elements: their (1) name, (2) registered trade name or
registered trade mark191 and (3) the address at which they can be contacted, on the product or, where that is
Such confusion might occur for instance when the name of the distributor appears on the packaging while the manufacturers name is shown on the
product inside.
A trade mark is a distinctive sign or indicator used by an individual, business organisation, or other legal entity to identify that the products or
services to consumers with which the trade mark appears originate from a unique source, and to distinguish the products or services in question
from those of other entities. A trademark is a type of intellectual property, and typically a name, word, phrase, logo, symbol, design, image, or a
combination of these elements.
Page | 50
not possible, on its packaging or in a document accompanying the product. The address must indicate a
single point at which the manufacturer can be contacted192;
2.
importers to indicate the following three elements: their (1) name, (2) registered trade name or registered
trade mark and (3) the address at which they can be contacted, on the product or, where that is not possible,
on its packaging or in a document accompanying the product;193
3.
manufacturers to ensure that their products bear a type, batch, serial or model number or other element
allowing their identification, or, where the size or nature of the product does not allow it, that the required
information is provided on the packaging or in a document accompanying the product194 and
4.
economic operators to identify any economic operator who has supplied them with a product and any
economic operator to whom they have supplied a product 195.
4.2.2.1.
The manufacturers must indicate the following three elements: their (1) name, (2) registered trade name or registered
trade mark and (3) the address at which they can be contacted on the product, or, where that is not possible, on its
packaging and / or in a document accompanying the product.
The name and address must, as a rule, be affixed to the product. However, it may exceptionally be moved from the
product if this rule cannot be followed. This would be justified where affixing it to the product was not possible under
reasonable technical or economic conditions excluding however esthetical reasons. It is up to the manufacturer to make
this assessment. This assessment has to be done according to the size or nature of the product 196. Some products e.g.
hearing aids, sensors or the like are simply too small to carry such information. In such cases the order of priority is that
as a first alternative the information should be on the packaging, as a second alternative on an accompanying document,
except for the cases where sectoral Union harmonisation legislation requires the information to be on both the packaging
and accompanying documents.
The manufacturer has to comply with this obligation regardless of his location (within or outside the EU). This provision
implies that products sold without packaging or any accompanying documents, must bear the name and address of the
manufacturer on the product itself.
The address must indicate a single point at which the manufacturer can be contacted, in particular by market
surveillance authorities. The legal text obliges the manufacturer to put a single contact point on the product. Only one
single contact point in each product is allowed. This is not necessarily the address where the manufacturer is actually
established. This address can for example be the one of the authorised representative or of the customer services.
The single contact point does not need to be in every Member State where the product is made available. The
manufacturer may however put other addresses197 provided that it is clear which one is the single contact point. The
latter is then to be indicated on the product/documentation as the single contact point. The address or the country
does not necessarily have to be translated into the language of the Member State where the product is made available
on the market but the characters of the language used must allow identifying the origin and the name of the company.
A website is additional information, but is not enough as an address. Normally an address consists of a street and
number or post-box and number and the postal code and town, but some countries might deviate from this model.
4.2.2.2.
Importers must also indicate the following three elements: their (1) name, (2) registered trade name or registered trade
mark and (3) the address at which they can be contacted on the product, or, where that is not possible, on its packaging
or in a document accompanying the product. The provision refers to an address at which they can be contacted, in
particular by market surveillance authorities. This is not necessarily the address where the importer is actually
established but can for example be the one of the customer services.
As a rule, the identification and the address of importer must be indicated on the product. Only where it is not possible,
the identification and address of the importer may be indicated on the packaging and / or in a document accompanying
192
193
194
195
196
197
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the product. This may be the case when the importer would have to open the packaging to put his name and address.
The additional information from the importer shall not hide the information put on the product by the manufacturer.
A website is additional information, but is not enough as contact address. Normally an address consists of a street and
number or post-box and number and the postal code and town, but some countries might deviate from this model.
The product must always bear the manufacturers name and address. Imported products must also bear the importers
name and address. Hence, in conclusion, a product normally bears one or two addresses 198:
If the manufacturer is within the European Union, the product will bear only one (manufacturers) address as
there is no importer involved.
If the manufacturer (declaring himself as a manufacturer by putting his name and address on the product) is
outside the EU and the products are placed on the Union market by an importer, the product will bear two
addresses: the one of the manufacturer and the one of the importer.
If the original manufacturer is outside the EU and the importer places the product on the market under his own
name or trademark or modifies the product already placed on the market (in such a way that compliance with
the applicable requirements may be affected), the importer is considered the manufacturer. The only address
that in this case will figure on the product (or packaging or accompanying document) is the address of the
importer who is considered as the manufacturer.199200
If the manufacturer is within the EU (a company located in the EU declaring itself to be a manufacturer by
putting its name and address on the product) although the products are manufactured outside the EU, that
company is considered to be the manufacturer who places the product on the Union market, even if actual
importation is done by another company. In this case there is no importer in the meaning of the importers
definition and it is sufficient to put only the manufacturers address.
4.2.2.3.
Identification element
The product must bear a type, batch, serial or model number or other element allowing its identification. The
identification must, as a rule, be affixed to the product. However, it may exceptionally be moved from the product if this
rule cannot be followed. This would be justified where the size and/or the nature of the product makes the indication
illegible or technically impossible201. In such cases, the identification has to be affixed to the packaging, if it exists,
and/or to the accompanying document. The identification on the product may neither be omitted nor be moved to the
packaging or accompanying documents on purely aesthetic or economic grounds. It is up to the manufacturer to make
this assessment.
This provision implies that if the product has no packaging or is not accompanied by any document, the identification
must be on the product itself.
The requirement gives the freedom to the manufacturers to choose the element they want to use as identification of the
product, as long as traceability is ensured. The identification element used must ensure a clear link to the relevant
documentation that demonstrates the conformity of the specific type of product, in particular the EU Declaration of
Conformity. This identification element of the product shall be the same as on the EU Declaration of Conformity. The
identification element chosen by the manufacturer is also important in case of a withdrawal or recall, since all products
bearing the same identification element will have to be withdrawn or recalled from the market.
In some cases, e.g. when a product consists of several parts or is an assembly of several parts, its nature does not allow
for the affixing of the identification element. The identification of the product has in these cases to be affixed to the
packaging (or accompanying document). In addition to the marking with an identification element on the packaging,
additional marking of individual products/parts/components can be made based on the manufacturers internal rules and
ambitions to minimise the extent of a potential recall by having an advanced system for traceability of individual items
(e.g. batch codes, production dates).
198
199
200
201
In the medical devices sector, the product must also bear the authorised representatives name and address.
If the importer is only affixing his name and address and leaves the trademark of the original manufacturer, he remains importer. The address of
importer and manufacturer will appear on the product (or packaging or accompanying documents).
This is also the case if the manufacturer and importer belong to the same group of companies, and the company based in the EU importing the
product into the EU assumes the full manufacturer's responsibility for the product.
In the case of toys, this might be the case for toys consisting of several parts or an assembly of several parts.
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According to some economic operators, one way to refer to products is to use an item number (a so-called SKU-Stock
keeping unit) as identification. This item number can also be used as an identifier on the EU Declaration of Conformity
together with other elements allowing traceability.
The product consists of several parts/components
Each product is enclosed in one packaging but typically some parts/components could/would also be sold in another
packaging as separate parts/components or in other combinations of parts/components. Some of the parts/components
in these packages may be possible to mark, while others may be too small or have a shape which does not allow the
marking to be on the part. For these reasons, it is allowed to give the set/packaging an item number and to use the
same item number on the EU Declaration of Conformity.
The main purpose of the identification element is to enable market surveillance authorities to identify an individual
product and to link it to a EU Declaration of Conformity. If, when the market surveillance takes place, the product is still
in its packaging, it will be easy to identify the element and thus ensure that the corresponding EU Declaration of
Conformity regards the product in question. It would be more complicated to have to open the packaging and find
elements on the individual items and then link these to a particular EU Declaration of Conformity.
The product consists of one assembled item
Also when a product consists of only one item, it is not uncommon that this item has been assembled by the
manufacturer, using several parts (but it is not intended to be disassembled by the consumer). The parts composing the
item (product) are often used in more than one design of products. Normally, some parts would not be large enough to
bear an identification element and yet other parts might not allow marking with an identification element for technical
reasons (uneven surface, spherical shaped surface etc.). Also in this case it is allowed to affix an item number on the
packaging and to use the same number on the EU Declaration of Conformity.
The product consists of one item which has not been assembled of several parts
This is a case where it may seem simple to mark the product itself with an identification element that is identical to the
one on the EU Declaration of Conformity (i.e. an item number). However, the same product might be sold in
combination with other products/items in a set. Since at the point of production, it is not known which of the items will
be sold alone and which will be in a packaging together with other products, it is easier to mark the item number,
corresponding to the EU Declaration of Conformity, on the packaging. This will also facilitate market surveillance
authorities to link the product to the EU Declaration of Conformity.
4.2.2.4.
Economic operators are obliged to keep track of the economic operators they supplied their product to or from whom
they bought products for a period of 10 years. Bear in mind that the end user (consumer) is not covered by this
requirement as they are not considered to be economic operators.
The way to comply with this requirement by economic operators is not prescribed by Union harmonisation legislation,
but it must be noted that market surveillance authorities can ask for relevant documents, including invoices, allowing the
origin of the product to be traced. Hence, it could be useful to keep invoices for a longer period than envisaged in
accounting legislation to comply with the requirements on traceability.
The technical documentation is intended to provide information on the design, manufacture and operation of the
product.
Union harmonisation legislation obliges the manufacturer to draw up technical documentation containing information to
demonstrate the conformity of the product to the applicable requirements. This documentation may be part of the
quality system documentation where the legislation provides for a conformity assessment procedure based on a quality
system (modules D, E, H and their variants). The technical documentation must be available when the product is placed
on the market, whatever its geographical origin or location202.
202
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The technical documentation must be kept for 10 years from the date of placing the product on the market, unless the
applicable Union harmonisation legislation expressly provides for any other duration 203. This is the responsibility of the
manufacturer or the authorised representative established within the Union. Since the concept of placing on the
market refers to each individual product, the time period needs to be calculated from the moment when the individual
product that is covered by the technical documentation is placed on the market.
The contents of the technical documentation are laid down, in each Union harmonisation act, in accordance with the
products concerned. As a rule, the documentation has to include a description of the product and of its intended use and
cover the design, manufacture and operation of the product. The details included in the documentation depend on the
nature of the product and on what is considered as necessary, from the technical point of view, for demonstrating the
conformity of the product to the essential requirements of the relevant Union harmonisation legislation or, if the
harmonised standards have been applied, to these by indicating the essential requirements covered by the standards.
The requirements in Annex II of Decision No 768/2008/ EC refer to the contents of the technical documentation that are
relevant for proving the conformity of the product with the applicable harmonisation legislation. Furthermore, the
requirement for an adequate analysis and assessment of the risk(s) requires the manufacturer to first identify all
possible risks of the product and determine the essential requirements applicable. This analysis has to be documented
and included in the technical documentation. In addition, the manufacturer needs to document the assessment of how
he is addressing the risks identified to ensure that the product complies with the applicable essential requirements (for
example, by applying harmonised standards). If only part of the harmonised standard is applied or it does not cover all
applicable essential requirements, then also the way applicable essential requirements not covered by it are dealt with
should be documented in the technical documentation.
In the case where a product has been subject to re-designs and re-assessments of the conformity, the technical
documentation must reflect all versions of the product; describing the changes made, how the various versions of the
product can be identified and information on the various conformity assessment. This is to avoid situations where during
the whole life of a product, a market surveillance authority is faced with previous versions of the product for which the
version of the technical documentation it is presented with, is not applicable.
Some Union harmonisation acts require that the technical documentation is written in a language accepted by the
notified body204. In order to carry out the conformity assessment procedures requiring third-party verification in a proper
way, the documentation should always be in a language understood by the notified body, even if this has not been
explicitly mentioned in the Union harmonisation legislation.
The manufacturer or the authorised representative established within the Union must draw up and sign an EU
Declaration of Conformity as part of the conformity assessment procedure provided for in the Union
harmonisation legislation.
The EU Declaration of Conformity must contain all relevant information to identify the Union harmonisation
legislation according to which it is issued, as well as the manufacturer, the authorised representative, the notified
body if applicable, the product, and where appropriate a reference to harmonised standards or other technical
specifications.
A single declaration of conformity is required whenever a product is covered by several pieces of Union
harmonisation legislation requiring an EU Declaration of Conformity.
The single declaration of conformity can be made up of a dossier containing all relevant individual declarations of
conformity.
Union harmonisation legislation imposes an obligation on the manufacturer to draw up and sign an EU Declaration of
Conformity before placing a product on the market205. The manufacturer or his authorised representative established
within the Union must draw up and sign an EU Declaration of Conformity as part of the conformity assessment
203
204
205
According to the Directives relating to medical devices and in vitro diagnostic medical devices these documents must be kept for 5 years and in the
case of implantable medical devices for 15 year.
See the Directives relating to simple pressure vessels, machinery (for module B), non-automatic weighing instruments, active implantable medical
devices, gas appliances, telecommunications terminal equipment, medical devices, potentially explosive atmospheres, lifts (for modules B, C, D, G,
H), pressure equipment, in vitro diagnostic medical devices, and radio and telecommunications terminal equipment.
Please note that the Machinery Directive 2006/42/EC foresees the placing on the market of partly completed machinery to be accompanied by a
so- called declaration of incorporation which is different from the EU Declaration of conformity. According to Regulation (EC) No 552/2004,
constituents of the European Air Traffic Management network are accompanied either by a declaration of conformity or a declaration of suitability
for use.
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procedure provided for in the Union harmonisation legislation. The EU declaration of conformity is the document that
states that that the product satisfies all the relevant requirements of the applicable legislation.
By drawing up and signing the EU Declaration of Conformity, the manufacturer assumes responsibility for the compliance
of the product.
Just as it is the case for the technical documentation206, the EU Declaration of Conformity must be kept for ten years
from the date of placing the product on the market, unless the legislation provides for any other duration 207. This is the
responsibility of the manufacturer or the authorised representative established within the Union. For imported products,
the importer must take on this responsibility for the DoC208.
The contents of the EU Declaration of Conformity either refer to the model declaration contained in Annex III of Decision
No 768/2008/EC or a model declaration directly annexed to the sectoral Union harmonisation legislation at stake. The
standard EN ISO/IEC 17050-1 has been drawn up with the objective of providing the general criteria for the declaration
of conformity, and it can also be used as a guidance document provided it is in line with the applicable Union
harmonisation legislation. The declaration may take the form of a document, a label or equivalent, and must contain
sufficient information to enable all products covered by it to be traced back to it.
The model declaration of Decision No 768/2008/EC contains:
1.
A number identifying the product. This number does not need to be unique to each product. It could refer to
a product, batch, type or a serial number209. This is left to the discretion of the manufacturer210.
2.
The name and address of the manufacturer or the authorised representative issuing the declaration.
3.
A statement that the declaration is issued under the sole responsibility of the manufacturer.
4.
The identification of the product allowing traceability. This is basically any relevant information supplementary
to point 1 describing the product and allowing for its traceability. It may where relevant for the identification
of the product contain an image, but unless specified as a requirement in the Union harmonisation legislation
this is left to the discretion of the manufacturer.
5.
All relevant Union harmonisation legislation complied with; the referenced standards or other technical
specifications (such as national technical standards and specifications) in a precise, complete and clearly
defined way; this implies that the version and/or date of the relevant standard is specified.
6.
The name and identification number of the notified body when it has been involved in the conformity
assessment procedure211 212 and the reference to the relevant certificate, if applicable.
7.
All supplementary information that may be required (for example grade, category), if applicable.
8.
The date of issue of the declaration; signature and title or an equivalent marking of authorised person213
this could be any date after the completion of the conformity assessment
214
Where several pieces of Union harmonisation legislation apply to a product, the manufacturer or the authorised
representative has to provide a single declaration of conformity in respect of all such Union acts215. In order to reduce
the administrative burden on economic operators and facilitate its adaptation to the modification of one of the applicable
Union acts, the single declaration may be a dossier made up of relevant individual Declarations of conformity216.
The EU declaration of conformity must be made available to the surveillance authority upon request. Moreover, Union
harmonisation legislation relating to machinery, equipment in potentially explosive atmospheres, radio and terminal
telecommunication equipment, measuring instruments, recreational craft, lifts, high-speed and conventional rail systems
206
207
208
209
210
211
212
213
214
215
216
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and constituents of the European Air Traffic Management network require products to be accompanied by the EU
declaration of conformity.
The EU declaration of conformity must be translated into the language or languages required by the Member State in
which the product is placed or made available on the market 217. Union harmonisation legislation does not necessarily
specify who has the obligation to translate. Logically, this should be the manufacturer or another economic operator
making the product available. The EU declaration of conformity must be signed by the manufacturer or his authorised
representative. If a translation of the EU declaration of conformity has been produced by another economic operator and
is not signed by the manufacturer, a copy of the original EU declaration of conformity signed by the manufacturer must
also be provided together with the translated version.
4.5.1.
CE MARKING
4.5.1.1.
The CE marking indicates the conformity of the product with the Union legislation applying to the product and
providing for CE marking.
The CE marking is affixed on products that will be placed on the EEA and Turkish market, whether they are
manufactured in the EEA, in Turkey or in another country.
The CE marking is a key indicator (but not proof) of a products compliance with EU legislation and enables the free
movement of products within the EEA and Turkish market, whether they are manufactured in the EEA, Turkey or in
another country.
Member States of the European Economic Area (EEA - EU Member States and certain EFTA countries: Iceland, Norway,
Liechtenstein) are not allowed to restrict the placing on the market of CE marked products, unless such measures can be
justified on the basis of evidence of the non-compliance of the product. This also applies to products made in third
countries which are sold in the EEA.
CE marking does not indicate that a product was made in the European Union. The CE marking indicates conformity with
the requirements laid down by the Union harmonisation text(s) in question. Therefore, it is to be considered as essential
information to Member States authorities as well as other relevant parties (for example distributors). CE marking does
not serve commercial purposes i.e. it is not a marketing tool.
CE marking is the visible consequence of a whole process comprising conformity assessment in a broad sense and
indicates that a product is declared by the manufacturer as in conformity with Union harmonisation legislation.
4.5.1.2.
Regulation (EC) No 765/2008 lays down the general principles governing the CE marking while Decision No
768/2008/EC provides for rules governing its affixing.
Sectoral Union harmonisation texts providing for CE marking are based on Regulation (EC) No 765/2008 and
Decision No 768/2008/EC.
Regulation (EC) No 765/2008 lays down the definition, the format and the general principles governing the CE marking.
Decision No 768/2008/EC provides for conformity assessment procedures that lead to its affixing.
The sectoral Union harmonisation legislation providing for the affixing of the CE marking mostly follows the principles of
the Regulation (EC) No 765/2008 and Decision No 768/2008/EC.
As a general rule218 the CE marking can be introduced in a Union legislative act as legal conformity marking if:
217
218
the method of total harmonisation is used, which means that diverging national regulations that cover the
areas as the legislative act in question are prohibited;
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the Union harmonisation act contains conformity assessment procedures according to Decision No
768/2008/EC.
The CE marking is affixed by the manufacturer (established inside or outside the Union), or by his authorised
representative established within the Union.
By affixing the CE Marking the manufacturer declares on his sole responsibility that the product conforms to all
applicable Union legislative requirements, and that the appropriate conformity assessment procedures have been
successfully completed.
The manufacturer, whether established inside or outside the Union, is the entity ultimately responsible for the conformity
of the product with the provisions of the Union harmonisation legislation and for the affixing of the CE marking. The
manufacturer may appoint an authorised representative to affix the CE marking on his behalf.
By affixing the CE marking on a product, a manufacturer is declaring, on his sole responsibility (and irrespectively of
whether a third-party has been involved in the conformity assessment process), conformity with all of the legal
requirements to achieve CE marking.
If the importer or distributor or another operator places products on the market under his own name or trademark or
modifies them, he then takes over the manufacturers responsibilities. This includes the responsibility for the conformity
of the product and the affixing of the CE marking. In this case he must have sufficient information on the design and
production of the product, as he will be assuming the legal responsibility when affixing the CE marking.
4.5.1.4.
The CE marking must take the form below. If the CE marking is reduced or enlarged the proportions must be respected.
The CE marking must be affixed visibly, legibly and indelibly to the product or to its
data plate. However, where this is not possible or not warranted on account of the
nature of the product, it must be affixed to the packaging, if any, and/or to the
accompanying documents. The CE marking may not, in principle, be affixed until the
conformity assessment procedure has been completed to ensure that the product
complies with all the provisions of the relevant Union harmonisation acts. This will
usually be at the end of the production phase. This poses no problem if, for example,
the CE marking is on a data plate that is not affixed to the product until after the final inspection. However, if (for
example) the CE marking is affixed by stamping or casting, the marking can be affixed at any other stage of the
production phase, provided that the conformity of the product is verified as part of the production process.
The requirement for visibility means that the CE marking must be easily accessible for all parties. It could, for instance,
be affixed on the back or underside of a product. The requirement for visibility does not necessarily mean that the CE
marking must be visible before opening a products' packaging because affixing the CE marking also to the packaging is
only necessary in case this is explicitly required in the relevant Union acts. A minimum height of 5 mm is required to
ensure that it is legible. However according to the several pieces of legislation 219 the minimum dimension of the CE
marking may be waived for small devices or components.
The CE marking can take different forms (e.g. colour, solid/hollow) as long as it remains visible, legible and respects its
proportions. It must also be indelible so that it cannot be removed under normal circumstances without leaving
noticeable traces (for example some product standards provide for a rub test with water and petroleum spirits).
Nevertheless, this does not mean that the CE marking must form an integral part of the product.
219
Such as machinery, personal protective equipment, active implantable medical devices, medical devices, potentially explosives atmospheres, lifts
as regards safety components, in vitro diagnostic medical devices, radio and telecommunications terminal equipment or marine equipment.
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However in certain cases affixing of the CE marking to the product is impossible (for example on certain types of
explosives) or not possible under reasonable technical or economic conditions. Furthermore there can be cases where
the minimum dimensions for the affixing cannot be respected, or it cannot be ensured that the CE marking is visibly,
legibly and indelibly affixed.
In such cases, the CE marking can be affixed to the packaging, if it exists, and / or to the accompanying document,
where the Union harmonisation legislation concerned provides for such documents. The CE marking on the product may
neither be omitted nor be moved to the packaging or accompanying documents on purely aesthetic grounds.
Regulation (EC) 765/2008 and Decision 768/2008/EC lay down that the CE marking must have the dimensions, format
and proportions defined in Annex II of Regulation (EC) No 765/2008 and be legible and clearly affixed. Regulation (EC)
765/2008 and Decision No 768/2008/EC do not forbid any kind of design (e.g. hollow design) as long as the above
conditions are respected. However, electronic labelling only is not allowed.
4.5.1.5.
Affixing CE marking together with the identification number of the notified body
Where a notified body is involved in the production control phase according to the applicable Union harmonisation
legislation, its identification number must follow the CE marking. The manufacturer or the authorised representative
affixes the identification number if the legislation so requires, under the responsibility of the notified body.
A notified body may be involved in the production phase, depending on the conformity assessment procedures applied.
The CE marking must be followed by the identification number of the notified body only if it is involved in the production
phase. Thus, the identification number of a notified body involved in conformity assessment in the design phase
according to module B does not follow the CE marking. Sometimes several notified bodies are involved in the production
phase, which is possible where more than one Union harmonisation text is applicable. In these situations several
identification numbers follow the CE marking.
Thus, if the CE marking appears on products without an identification number, this means that:
either no notified body intervened in the design or production phase (module A);
or upon manufacturers choice the in-house accredited body intervened in the production phase (modules A1,
A2);
or a notified body intervened in the design phase (module B) but no notified body intervened in the
production phase;
or a notified body intervened in the design phase (module B) and upon manufacturers choice the in-house
accredited body intervened in the production phase (modules C1, C2 following module B).
If however the CE marking appears on products with an identification number220, this means that:
either upon manufacturers choice a notified body intervened in the production phase (modules A1, A2);
or a notified body intervened in the design phase (module B) and upon manufacturers choice a notified body
(not necessarily the same one but the one whose identification number appears) intervened in the production
phase (modules C1, C2 following module B);
or a notified body intervened in the design phase (module B) and a notified body (not necessarily the same
one but the one whose identification number appears) intervened in the production phase (modules C1, C2,
D, E, F following module B);
or a notified body intervened in the design and production phase (modules D1, E1, F1, G1 H, H1).
The CE marking and the identification number of the notified body do not necessarily have to be affixed within the
Union. They may be affixed in a third country, for example if the product is manufactured there and the notified body
carried out conformity assessment in that country in line with the relevant Union harmonisation legislation. The CE
marking and the identification number can also be affixed separately, as long as they remain combined.
4.5.1.6.
220
Please note that in the case where several Union harmonisation acts apply to a product and the CE marking appears with an identification number,
this does not mean that the notified body intervenes in the conformity assessment process required by each of the applicable acts. Some of the
applicable Union harmonisation legislation might not require the intervention of a notified body.
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The CE marking must be affixed before any product subject to it, is placed on the market, save where specific
Union harmonisation legislation requires otherwise.
Where products are subject to several Union harmonisation acts, which provide for the affixing of the CE marking,
the marking indicates that the products are declared to conform to the provisions of all these acts.
A product may not be CE marked, unless it is covered by a Union harmonisation legislation providing for its
affixing.
Not all products have to be CE marked221. The obligation to affix the CE marking extends to all products within the scope
of legislative acts providing for its affixing, and which are intended for the Union market. Thus, the CE marking must be
affixed:
to all newly manufactured products that are subject to legislation providing for CE marking, whether
manufactured in the Member States or in third countries;
to used and second-hand products imported from third countries that are subject to legislation providing for CE
marking;
to modified products that, as new, are subject to legislation providing for CE marking and which have been
modified in a way that could affect the safety or the compliance of the product with the applicable
harmonisation legislation.
In some cases, a product is deemed final for the purposes of a particular Union harmonisation act and has to be CE
marked. This same product then is incorporated in another final product which is itself subject to another Union
harmonisation act which also requires CE marking. This produces a situation where more than one CE marking can be
found on a product222.
Union harmonisation legislation providing in general for CE marking may exclude the application of the CE marking on
certain products. As a general rule, such products are subject to free circulation, if:
a.
a Declaration of incorporation for partly completed machinery, according to the Machinery Directive;
a Declaration of conformity in the case of partly completed boats referred to in the Directive on
recreational craft.
b.
They are accompanied by an attestation of conformity in the case of components as defined in the Directive on
equipment and protective systems intended for use in potentially explosive atmospheres (ATEX).
c.
custom-made medical devices and devices intended for clinical investigations referred to in the Directives
on active implantable medical devices and medical devices;
devices intended for performance evaluation referred to in the Directive on in vitro diagnostic medical
devices.
d.
They are accompanied by a certificate of conformity in the case of fittings referred to in the Directive relating to
gas appliances.
e.
The product bears the manufacturers name and an indication of maximum capacity in the case of instruments
not subject to conformity assessment according to the Directive relating to non-automatic weighing
instruments.
f.
The product is manufactured in accordance with sound engineering practice in the case of certain vessels
referred to in the Directives relating to simple pressure vessels and pressure equipment.
In addition, the Directive on pressure equipment entitles Member States to authorise, on their territory, the placing on
the market and the putting into service by users, of pressure equipment of assemblies not bearing the CE marking, but
that have been subject to a conformity assessment carried out by a user inspectorate instead of a notified body.
4.5.1.7.
221
222
Regulation (EC) No 552/2004 on the interoperability of the European Air Traffic Management network does not provide for CE marking.
The typical example can be a computer.
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The CE marking is the only marking of conformity indicating that a product is in conformity with Union
harmonisation legislation that applies to it and provides for CE marking.
Member States must refrain from introducing any reference to another conformity marking into their national
regulations, which would overlap with the CE marking.
A product may bear additional markings and marks, provided that they fulfil a different function from that of the
CE marking, are not liable to cause confusion with it, and do not reduce its legibility and visibility.
The CE marking replaces all mandatory conformity markings having the same meaning, which existed before
harmonisation took place. Such national conformity markings are incompatible with CE marking and would constitute an
infringement of the applicable European legislation in question. When transposing Union harmonisation legislation,
Member States are required to incorporate the CE marking into their national regulations and administrative procedures.
They must also refrain from introducing any other conformity marking into their national legislation that has the same
meaning as the CE marking.
However, other markings may be used as long as they contribute to the protection of public interests, are not covered
by Union harmonisation legislation and their affixing does not impair the visibility, legibility and meaning of the CE
marking. The affixing of additional markings (such as a protected trademark of a manufacturer or other private/national
markings) is allowed to the extent that such markings do not create confusion with the CE marking. This confusion may
either refer to the meaning or form of the CE marking.
In this respect, other markings additional to the CE marking need to fulfil a different function from that of the CE
marking. Thus, they should provide information on conformity with objectives that are different from those to which the
CE marking relates (for example environmental aspects not covered by the applicable Union harmonisation legislation).
Furthermore several Union harmonisation acts foresee additional markings that are complementary and non-overlapping
to the CE marking (see under 4.5.2).
4.5.1.8.
Sanctions
Member States have to ensure the correct implementation of the regime governing the CE marking and take
appropriate action in the event of improper use of the marking.
Member States have to also provide for penalties for infringements, which may include criminal sanctions for
serious infringements.
A Member State must notify to the Commission and to the other Member States when it decides to restrict free
movement due to incorrect affixing of the CE marking, or when it takes action against those who are responsible
for a non-compliant product bearing the CE marking.
The CE marking provides the first indication that the necessary controls can be assumed to have been carried out,
before the product in question is placed on the market, in order to ensure its compliance to the legislative requirements.
Market surveillance authorities are entitled to proceed to additional controls for the protection of public interest. The
action to be taken by market surveillance authorities should be decided on a case by case basis according to the
principle of proportionality.
Member States must provide in their national legislation for appropriate measures both to prevent the abuse and misuse
of CE marking, and to redress the situation if such abuse or misuse takes place. Those measures need to be effective,
proportionate to the seriousness of the offence and dissuasive and may be increased if the relevant economic operator
has previously committed a similar infringement. They may include withdrawal, recall of products, penalties and criminal
sanctions (such as fines and imprisonment) wherever necessary.
The measures are imposed without prejudice to other measures taken where the market surveillance authorities find
that a product presents a risk or does not comply with the applicable legislation. Furthermore Member States must
ensure that the measures are implemented.
In this respect the affixing of the CE marking to a product that is not covered by any of the Union harmonisation
legislation providing for its affixing is considered to be deceiving because consumers or users, for instance, are likely to
get the impression that the product in question satisfies certain Union harmonisation legislation provisions. Competent
authorities must, therefore, have at their disposal legal instruments that enable them to act against the deceptive use of
CE marking. Action must be taken also against those responsible for a non-compliant product bearing the CE marking.
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The affixing of markings in addition to the CE marking is subject to certain restrictions 223. The surveillance authority has
to take the necessary measures to ensure that these principles are respected and, where necessary, take appropriate
action.
A Member State must inform the Commission and the other Member States of its decision to restrict free movement due
to incorrect affixing of the CE marking, and of its action against the person responsible for affixing the CE marking to a
non- compliant product. It is then up to the other Member States to decide whether or not similar action is necessary. In
the case of unduly affixed CE marking to products not subject to the CE marking requirement, Member States should
inform the Commission and the other Member States about it.
4.5.2.
Several pieces of Union harmonisation legislation foresee additional markings that are complementary and nonoverlapping to the CE marking.
Pictograms or other markings indicating, for instance, the category of use are, according to some Union harmonisation
legislation, complementary to the CE marking but do not form part of it or replace it. In general, these markings follow
the same principles as the CE marking. Some examples:
223
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5. CONFORMITY ASSESSMENT
5.1. MODULES FOR CONFORMITY ASSESSMENT
5.1.1.
Conformity assessment is the process carried out by the manufacturer of demonstrating whether specified
requirements relating to a product have been fulfilled.
A product is subjected to conformity assessment both during the design and production phase.
Two important elements of every legislative act (either Old or New Approach) covering products are:
and the conformity assessment procedures the manufacturer carries out in order to demonstrate that a product,
before it is placed on the market, conforms to these legislative requirements.
This guide addresses conformity assessment as this is laid down under Decision No 768/2008/EC (particularly for the
Union harmonisation legislation under the New Approach and now the New Legislative Framework).
A product is subjected to conformity assessment both during the design and production phase. Conformity assessment is
the responsibility of the manufacturer. Should a manufacturer subcontract design or production, he still remains
responsible for the execution of conformity assessment.
Conformity assessment must not be confused with market surveillance, which consists of controls by the national market
surveillance authorities after the product has been placed on the market. However both techniques are complementary
and equally necessary to ensure the protection of the public interests at stake and the smooth functioning of the internal
market.
The essential objective of a conformity assessment procedure is to demonstrate that products placed on the market
conform to the requirements expressed in the provisions of the relevant legislation.
5.1.2.
In Union harmonisation legislation, conformity assessment procedures cover both design and production phases.
They are composed of one or two modules. Some modules cover both phases. In other cases, distinct modules
are used for each phase.
Decision No 768/2008/EC lays down the horizontal menu of conformity assessment modules and the ways
procedures are built of modules.
The legislator selects from the menu of conformity assessment modules/procedures (laid down under Decision No
768/2008/ EC) the most appropriate ones for the concerned sector.
Under Union harmonisation legislation, conformity assessment procedures are composed of one or two conformity
assessment modules. As products are subjected to conformity assessment both during the design and production phase,
a conformity assessment procedure covers both design and production phases; while a module may cover:
either one of these two phases (in this case a conformity assessment procedure is composed of two modules);
or both (in this case a conformity assessment procedure is composed of one module).
Decision No 768/2008/EC, lays down a horizontal menu of conformity assessment modules and the ways procedures
are built of modules.
The legislator selects from the menu of conformity assessment modules/procedures (laid down under Decision No
768/2008/EC) the most appropriate one(s) in order to address the specific needs of the concerned sector 224. The least
224
Under the Ecodesign directive the conformity assessment procedures (to be specified in the implementing measure) is laid down in the directive
itself as a rule, but in duly justified cases the modules of Decision No 768/2008/EC are prescribed.
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onerous modules should be selected taking into account the type of products and hazards involved, the impact on the
protection of public interests, the economic infrastructure of the given sector, the methods of production etc., where
possible a choice of inspection, certification, and/or QA modules should be provided.
Conformity assessment procedures are equivalent from a legal point of view but not technically identical in terms of
methods. Their application in the sectoral legislation aims at providing high level of confidence as regards the conformity
of products to the relevant essential requirements.
The intention of the modules as laid down in the Decision No 768/2008/EC is to allow for a limited number of possible
procedures.
Nevertheless, the choice offered needs to be sufficiently varied in order to be applicable to the widest range of products
concerned.
Union harmonisation legislation establishes conformity assessment procedures by either leaving the manufacturer no
choice or by establishing a range of procedures from which the manufacturer must choose. As conformity assessment
procedures in Union harmonisation legislation originate from Decision No 768/2008/EC, they remain consistent and
coherent. Thus the assessment of product conformity becomes more transparent especially in cases where more than
one harmonisation legislative act applies to a product.
5.1.3.
Conformity assessment is the responsibility of the manufacturer, whether the legislation provides for the
involvement of a notified or in-house accredited conformity assessment body, or not.
The main actors in conformity assessment are the legislator, the manufacturer and (if provided for by the
legislation) the notified or in-house accredited conformity assessment body.
The modules used for both the design and the production phase or for each phase may or may not involve a
notified body.
In-house accredited conformity assessment bodies must demonstrate the same level of technical competence and
impartiality as notified bodies.
Conformity assessment is a responsibility of the manufacturer. However, if required by the relevant legislation, a third
party must be involved in the conformity assessment procedure.
In total there are three possibilities:
There is no third-party involvement. This may concern the case where, according to the legislator, a
declaration (accompanied by the relevant technical examinations and documentation) of the manufacturer is
enough to ensure the conformity of the product(s) in question against the relevant legislative requirements.
In this case the manufacturer himself carries out all required controls and checks, establishes the technical
documentation and ensures the conformity of the production process.
Conformity assessment is performed with the involvement of an accredited in-house conformity assessment
body that forms a part of the manufacturers organisation. However this in-house body must not have any
activities other than conformity assessment and must be independent from any commercial, design and
production entities (see for details Article R21 of Decision No 768/2008/EC). It has to demonstrate the same
technical competence and impartiality as external conformity assessment bodies, through accreditation.
Whenever appropriate for a specific sector, the legislator may acknowledge the fact that manufacturers
operate very well equipped testing laboratories or premises. This may be the case for new innovative complex
products for which the testing know-how remains inside the manufacturers.
However in some other cases the legislator may consider the intervention of a third party i.e. an external
conformity assessment body, necessary. Such a body must be impartial and fully independent from the
organisation or the product it assesses (see also Article R17(3) of Decision No 768/2008/EC), it cannot engage
in any activity that may conflict with its independence (see also Article R21(2)(c) of Decision No 768/2008/EC)
and thus it cannot have user or other interests in the product to be assessed.
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It is the responsibility of the Member States to notify those third party conformity assessment bodies within their
jurisdiction that they consider technically competent to assess the compliance of products with the requirements of the
Union harmonisation legislation that applies to them. In-house bodies cannot be notified but they have still to
demonstrate the same technical competence as external bodies, through accreditation. Member States must also ensure
that the (in-house or external) bodies permanently maintain their technical competence.
Taking the above into account, the stakeholders in a conformity assessment procedure are the following:
a)
b)
selects conformity assessment modules/procedures from the menu set out under Decision No
768/2008/EC.
designs, manufactures and tests the product or has it designed, manufactured or tested;
upon positive assessment of the products, draws up the EU Declaration of Conformity and affixes the CE
marking on the products if the legislation so requires;
upon intervention of a notified body, affixes the notified bodys identification number to the product if the
legislation so requires.
It must be clear that it is always the manufacturer who takes responsibility for the conformity of his products with
the relevant legislative requirements. In this respect, the economic operator that places the product on the market
under its name or trademark becomes automatically the manufacturer for the purposes of Union harmonisation
legislation. Therefore he takes the entire responsibility for the conformity assessment (design and production) of
the product, even if this has been actually done by somebody else. Furthermore he must be in the possession of all
documentation and certificates necessary to demonstrate the conformity of the product, but these do not need to
be under his name.
c)
upon positive assessment issues the approval certificate or attestation as required by the applicable
legislation.
A conformity assessment body wishing to carry out conformity assessment for one or several module(s) under a given
piece of Union harmonisation legislation has to be assessed according to all the requirements for the different modules it
wishes to offer services for (see under 5.2.3). A body wishing to offer conformity assessment services under a Union
harmonisation act has to offer services for at least one module from those indicated in the Union harmonisation act. It
must be noted that there is no obligation for a body to offer services for more than one module, but it must take on the
responsibility for a whole module.
The exact position of conformity assessment in the supply chain is depicted under Flowchart 2.
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5.1.4.
5.1.5.
first examination of the conformity of a specimen or the design of the concerned product;
then, determination of the conformity of the manufactured products against the approved specimen.
In some cases e.g. mass production based on a type/specimen representative of the production envisaged and where
the product in question is of complex design, the EU legislation may lay down the conformity assessment procedure in
two steps:
first the examination of conformity of the type/specimen against the relevant legal requirements (so called
EU-Type examination - module B);
and then the determination of the conformity of the manufactured products against the approved EU-type.
In these cases conformity assessment procedures are composed of two modules; the first module is always module B.
This method not only reduces burden and costs but is also more efficient compared to a traditional examination of the
conformity products directly against the legal requirements. Once the type is approved (and this is done only once for a
specific specimen), it must be checked only whether the products to be placed on the market are in conformity with the
approved type.
The conformity assessment body involved under module B is not necessarily the same as the one involved in the module
that is used together with module B.
In cases where there is no EU-type examination, conformity assessment procedures are composed of one two-phase
(design & production) module.
The manufacturer undertaking the module225 that is used together with module B does not need to be the same person
as the one having the EU-type examination certificate under module B. Yet, that manufacturer placing then the product
on the market, takes the entire responsibility for the conformity assessment (design & production) of the product.
Consequently, he must be in possession of both certificates, although the EU-type examination certificate does not have
to be in his name, and the full history of the product. He must have all the administrative and technical information and
data, have type testing performed, manage the technical documentation related to the type testing and have batch
testing performed. The above reasoning applies actually to all modules and procedures, independently of whether it is a
one-phase or two-phase conformity assessment procedure. In cases where a manufacturer relies on one or more other
manufacturer(s) for the design and production of the product there has to be proof that the manufacturer is fully
informed about any changes in the design, production and conformity assessment of the product.
225
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5.1.6.
The use of quality assurance systems for the purpose of conformity assessment in the Union harmonisation
legislation is described in modules D, E and H and their variants.
For the purpose of complying with the applicable legislation the manufacturer must ensure that the quality
system is implemented and applied in such a way that it ensures full compliance of the products with the
legislative requirements in question.
Compliance of the manufacturer with standards EN ISO 9000, EN ISO 9001, gives a presumption of conformity
with the corresponding quality assurance modules as regards the legislative provisions covered by these
standards.
In addition the quality system must take into consideration the specificities of the concerned products.
Some modules and their variants are based on quality assurance techniques and are derived from the EN ISO 9000226,
EN ISO 9001227 standards. The modules based on quality assurance techniques (modules D, E, H and their variants)
describe the elements a manufacturer must implement in his organisation in order to demonstrate that the product fulfils
the essential requirements of the applicable legislation.
This means that a manufacturer is given the possibility of using an approved quality system for the purpose of
demonstrating compliance with regulatory requirements. The quality system is assessed by the notified body.
A quality system implemented on the basis of the EN ISO 9000, EN ISO 9001 gives a presumption of conformity with the
respective modules with regard to the provisions in the modules that these standards cover, provided that the quality
system takes into consideration the specificities of the concerned products.
However, the manufacturer is free to apply other quality system models than those based on EN ISO 9001 for the
purpose of complying with these modules.
In any case the manufacturer must specifically address all regulatory provisions while applying its quality system, in
particular:
226
227
The quality objectives, quality planning and quality manual must fully take on board the objective of
delivering products that conform to the essential requirements.
The manufacturer must identify and document the essential requirements that are relevant for the product
and the harmonised standards or other technical solutions that will ensure fulfilment of these requirements.
The identified standards or other technical solutions must be used as design input, and as verification that
design output ensures that the essential requirements will be met.
The measures taken to control manufacturing must ensure that the products conform to the identified
essential requirements.
Quality records, such as inspection reports and test data, calibration data, qualification reports of the
personnel concerned, must be suitable to ensure the fulfilment of the applicable essential requirements.
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5.1.7.
OVERVIEW OF MODULES
Modules
A
Internal production control
A1
Internal production control plus
supervised product testing
A2
Internal production control
plus
supervised
product
checks at random intervals
B
EU-type examination
C
Conformity to EU-type based on
internal production control
C1
Conformity to EU-type based on
internal production control plus
supervised product testing
C2
Conformity to EU-type based on
internal production control plus
supervised product checks at
random intervals
D
Conformity to EU-type based on
quality assurance of the
production process
D1
Quality assurance of the
production process
E
Conformity to EU-type based on
product quality assurance
Description
Covers both design and production.
The manufacturer himself ensures the conformity of the products to the legislative
requirements (no EU-type examination).
Covers both design and production.
A + tests on specific aspects of the product carried out by an in-house accredited
body or under the responsibility of a notified body chosen by the manufacturer.
Covers both design and production.
A + product checks at random intervals carried out by a notified body or in-house
accredited body.
Covers design.
It is always followed by other modules by which the conformity of the products to
the approved EU-type is demonstrated.
A notified body examines the technical design and or the specimen of a type and
verifies and attests that it meets the requirements of the legislative instrument
that apply to it by issuing an EU-type examination certificate. There are 3 ways to
carry out EU-type examination: 1) production type, 2) combination of production
type and design type and 3) design type.
Covers production and follows module B.
Manufacturer must internally control its production in order to ensure product
conformity against the EU-type approved under module B.
Covers production and follows module B.
Manufacturer must internally control its production in order to ensure product
conformity against the EU-type approved under module B.
C + tests on specific aspects of the product carried out by an in-house accredited
body or under the responsibility of a notified body chosen by the manufacturer*.
Covers production and follows module B.
Manufacturer must internally control its production in order to ensure product
conformity against the EU-type approved under module B.
C + product checks at random intervals tests on specific aspects of the product
carried out by a notified body or in-house accredited body.
Covers production and follows module B.
The manufacturer operates a production (manufacturing part and inspection of
final product) quality assurance system in order to ensure conformity to EUtype. The notified body assesses the quality system.
Covers both design and production.
The manufacturer operates a production (manufacturing part and inspection of
final product) quality assurance system in order to ensure conformity to
legislative requirements (no EU-type, used like D without module B). The
notified body assesses the production (manufacturing part and inspection of
final product) quality system.
Covers production and follows module B.
The manufacturer operates a product quality (=production quality without the
manufacturing part) assurance system for final product inspection and testing in
order to ensure conformity to EU-type. A notified body assesses the quality
system.
The idea behind module E is similar to the one under module D: both are based
on a quality system and follow module B. Their difference is that the quality
system under module E aims to ensure the quality of the final product, while the
quality system under module D (and D1 too) aims to ensure the quality of the
whole production process (that includes the manufacturing part and the test of
final product). E is thus similar to module D without the provisions relating to the
manufacturing process
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E1
Quality assurance of final
product
inspection and testing
F
Conformity to EU-type based on
product verification
F1
Conformity based on product
verification
G
Conformity based on unit
verification
H
Conformity based on full quality
assurance
H1
Conformity based on full quality
assurance plus design
examination
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5.1.8.
OVERVIEW OF PROCEDURES
B+C - EU-type examination (B) followed by Conformity to EU-type based on internal production control (C)
B+C1- EU-type examination (B) followed by Conformity to EU-type based on internal production control plus
supervised product testing (C1)
B+C2 - EU-type examination (B) followed by Conformity to EU-type based on internal production control plus
super- vised product checks at random intervals (C2)
B+D - EU-type examination (B) followed by Conformity to EU-type based on quality assurance of the
production pro- cess (D)
B+E - EU-type examination (B) followed by Conformity to EU-type based on product quality assurance (E)
B+F - EU-type examination (B) followed by Conformity to EU-type based on product verification (F)
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5.1.9.
The legislator should avoid modules too onerous for the objectives of the Union harmonisation legislation
concerned, without however compromising the protection of the public interest.
The complexity of the modules selected should be proportional to the risk (impact on public interest, health,
safety, environment) of the product, its design complexity, the nature of its production (large series vs small
series, custom-made, simple vs complex production mechanism etc.).
The legislator when selecting modules for his legislative instrument should follow the following principles:
As a general rule, products are subject to both design and production modules before placed on the market.
When appropriate in terms of protection of public interest, the manufacturer must be given as wide a choice of
modules as possible.
If it is sufficient that the manufacturer carries out himself all checks in order to ensure the conformity of the
products, then the legislator may select module A. This can be the case of low complexity (simple design and
production mechanism) products that present a low risk for the public interest.
In cases of mass production based on a type/specimen and where the product in question is of complex design
or presents higher risks of non-compliance for instance, the EU legislation may lay down the conformity
assessment procedure in two steps: first the examination of conformity of the prototype/specimen against the
relevant legal requirements (EU-type examination - module B) and then the determination of the conformity of
the products against the approved EU-type (modules C and variants, D, E, F).
In cases where the legislator has opted for the demonstration of conformity assessment against a specimen
(module B), he must examine the possibility of whether it is sufficient that the manufacturer can carry out
himself all checks in order to ensure the conformity in the production phase. If this is the case, then the
legislator may select module C.
In many cases the legislator must acknowledge that quite often, manufacturers manage very well equipped
testing laboratories or premises. This is usually the case for new innovative complex products for which the
testing know-how remains inside the manufacturers. In such cases the legislator may consider selecting either
modules A1, A2, or, C1, C2 (the latter two, if he has opted for the demonstration of conformity assessment
against a specimen - module B) that allow the use of an accredited in-house body.
If the demonstration of conformity of products against an approved EU-type cannot be left to the manufacturer
but requires that products are supervised by a notified body during the production process, then the legislator
may require from the manufacturer either to operate an approved quality system (modules D, E) or that the
conformity of his products are verified be means of tests/checks (module F). In this respect, if the production
mechanism is relatively simple then the legislator may consider that it sufficient that the quality system of the
manufacturer focuses only on the test of the final product without including the pure manufacturing part. If this
is the case, module E is the most appropriate.
In the case of products of simple design but complicated production/manufacturing, the legislator may consider
selecting modules D1, E1, F1 and using thus the advantages of modules D, E and F respectively, without the
necessity of recurring to a more formal specimen examination (as provided under module B that precedes
modules D, E, F).
For products, produced in small series the legislator may consider selecting module G.
In complex cases where it is necessary that the manufacturer must operate a full quality system covering both
the design and the production phase, the legislator may opt for module H.
When the manufacturer operates a full quality assurance system, but the verification of the conformity of
design and the issuance of EU design examination certificate by a notified body is necessary, then the legislator
may select module H1.
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5.2.1.
Notified bodies carry out the tasks pertaining to the conformity assessment procedures referred to in the applicable
technical harmonisation legislation when a third party is required.
A conformity assessment body is a body that performs one or several elements of conformity assessment, including one
or several of the following activities: calibration, testing, certification and inspection. Notified bodies are conformity
assessment bodies which have been officially designated by their national authority to carry out the procedures for
conformity assessment within the meaning of applicable Union harmonisation legislation when a third party is required.
They are called notified bodies under EU legislation.
Notified bodies take responsibilities in areas of public interest and, therefore, must remain accountable to the competent
national authorities. To be eligible a body must be a legal entity established on the territory of a Member State and,
thus, come under its jurisdiction. Member States remain free to decide whether or not to notify a body which complies
with the requirements laid down in the relevant Union harmonisation legislation.
5.2.2.
Notified bodies are free to offer their conformity assessment services, within their scope of notification, to any
economic operator established either inside or outside the Union. They may carry out these activities also on the
territory of other Member States or of third countries.
Notified bodies must provide relevant information to their notifying authority, the market surveillance authorities
and other notified bodies.
Notified bodies must operate in a competent, non-discriminatory, transparent, neutral, independent and impartial
manner.
Notified bodies must have at their disposal the necessary personnel, who have sufficient and relevant knowledge
and experience to carry out conformity assessment in accordance with Union harmonisation legislation in
question.
Notified bodies must make adequate arrangements to ensure confidentiality of the information obtained in the
course of conformity assessment.
Notified bodies must be adequately insured to cover their professional activities, unless liability is assured under
the national legislation of the notifying Member State.
Notified bodies may demonstrate their competence through accreditation, which is the preferred way to assess
their technical competence.
Although the notified body must be established on the territory of the notifying Member State, it may have activities or
personnel outside the Member State, or even outside the Union. Certificates and other conformity assessment
attestations are, however, always issued by and in the name of the notified body 228. Since the notified body always has
to carry out its assessment functions within the jurisdiction of the designating Member State, it has to inform the
notifying authority, which must be capable of ensuring the monitoring of the total body as it has to take the
responsibility for its operations. If monitoring is not considered possible, the notifying authority should withdraw or limit
the scope of the notification as deemed necessary.
Notified bodies must keep their national notifying authorities informed of their activities (for example concerning the
conduct of conformity assessments, availability of resources, subcontracting, situations of conflicts of interest), either
directly or via an authorised body (for example the national accreditation body). They must also be prepared to provide
either at the request of their notifying authorities or of the Commission, all information concerning the proper
implementation of the conditions under which they were notified.
228
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Notified bodies have a general obligation to inform the notifying authority about all certificates refused, restricted,
suspended or withdrawn due to safety related non-conformities and, on request, about certificates issued or other
conformity assessment activities performed. In addition, notified bodies must provide other bodies notified under the
same Union harmonisation legislation, carrying out similar conformity assessment activities covering the same products,
with relevant information on issues relating to negative and, on request, positive conformity assessment results. Given
the confidentiality requirements that notified bodies have to observe when fulfilling their tasks, the information to be
shared with other notified bodies cannot concern confidential commercial information on the product. Relevant
information to be exchanged on issues relating to negative conformity assessment results should thus primarily concern
the refusal to issue a conformity assessment attestation identifying the product and manufacturer in question.
They must also provide the market surveillance authority and, according to some Union harmonisation legislation also
the market surveillance authorities of other Member States, with relevant information for the purpose of market
surveillance. Notified bodies as such are not responsible for providing the EU Declaration of Conformity or the technical
documentation. Having said that, in line with the applicable conformity assessment procedure, they might have to keep
the technical documentation as part of the technical file and provide it to the Commission or the Member States upon
request229. Further, notified bodies must provide, on request of the Commission department responsible for
administering a safeguard clause, the necessary information related to the product or the conformity assessment.
Notified bodies are and must remain third parties independent of their clients and other interested parties. The legal
status of bodies seeking notification, whether they are private or state-owned, is irrelevant as long as their
independence, impartiality and integrity are ensured, and they are identifiable as a legal entity bearing rights and
obligations.
The requirement for independence covers the whole organisation, including the board or directors, and applies also for
bodies belonging to business associations or professional federations.
In order to guarantee impartiality, the notified body and its staff have to be free from any commercial, financial and
other pressure that might influence their judgement. The body also has to implement procedures to ensure that its work
cannot be influenced from outside. The structure of the body must safeguard its impartiality, especially if the body has
activities other than those of a notified body.
Furthermore, the body must have policies and procedures that distinguish between the tasks it carries out as a notified
body and any other activity in which it is engaged, and it must make this distinction clear to its customers. Accordingly,
marketing material must not give any impression that assessment or other activities carried out by the body are linked
with tasks described in the applicable Union harmonisation legislation.
When a conformity assessment body delivers a test report it is in its capacity as a conformity assessment body; only in
its capacity as notified body can it deliver EU-type examination certificates a certificate bearing in particular the name
and identification number of the notified body. In no circumstances must the notified body issue a test report carrying its
notified body number230 in relation to tests that are not specified in the legislation, whether those tests were carried out
by the body itself or by another body. Moreover, a notified body may only use its number in relation to conformity
assessment activities carried out under the specific conformity assessment module that requires the intervention of a
notified body, and for which it has been notified.
A notified body must require the manufacturer to take appropriate corrective measure and, if necessary suspend or
withdraw a certificate it has issued, if in the course of the monitoring of conformity following the issue of the certificate,
it finds that the product no longer complies231.
In their capacity of notified bodies, they must not offer or provide additional services unless they have an added value
for the conformity assessment of the product. However, notified bodies may offer any type of conformity assessment
services and markings where the products are intended for the markets of third countries outside the European Union,
for example in the context of Mutual Recognition Agreements232. Such activities must be clearly separated from the
activities of the body as a notified body. Notified bodies must also ensure that their activities outside the scope of
technical harmonisation legislation do not compromise or diminish confidence in their competence, objectivity,
impartiality or operational integrity as notified bodies. Notified bodies cannot use their notified body name and number
to carry out these activities.
229
230
231
232
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A notified body may not be the manufacturer, the authorised representative, a supplier or their commercial competitor,
nor offer or provide (or have offered or provided) consultancy or advice to any of these parties as regards the design,
construction, marketing or maintenance of the products in question. However, this does not preclude the possibility of
exchanging technical information and guidance between the manufacturer, the authorised representative, suppliers and
the notified body.
To safeguard impartiality and avoid conflicts of interest it is important to make a clear distinction between conformity
assessment performed by notified bodies prior to placing products on the market and market surveillance. Furthermore,
market surveillance authorities must carry out their duties independently, impartially and without bias. Therefore, it is to
be considered as inappropriate for market surveillance authorities to be designated as notified bodies, and the necessary
safeguards should be put in place to ensure the impartiality and absence of conflict of interest if a single entity is
entrusted with both responsibilities233 234. Notified bodies must have documented procedures for the identification,
review and resolution of all cases where conflict of interest is suspected or proven. The notified body should also require
all staff acting on its behalf to declare any potential conflict of interest.
Notified bodies must have under their control the necessary personnel, who have sufficient knowledge and experience
relating to the products and conformity assessment procedure in question, and who have appropriate training. In
particular, knowledge and experience should relate to relevant regulatory requirements and enforcement policies,
European and international standardisation activities, relevant technologies, production methods and verification
procedures, and normal conditions of use of the product in question. The body must be in a position to manage, control
and be responsible for the performance of all its resources and maintain comprehensive records concerning the
suitability of all the staff it uses in particular areas, whether they are employees, employed on contract or provided by
external bodies. The body must also have access to appropriate facilities and be able to test or re-test in the EU.
Otherwise it will not be possible for the notifying authority to check its competence.
Notified bodies must ensure the confidentiality of all the information it obtains in the course of conformity assessment. It
must make adequate arrangements to ensure that no results or other information is disclosed to any other party than
the competent authority in question, and to the manufacturer or the authorised representative.
Notified bodies must have adequate insurance to cover their conformity assessment activities. The scope and overall
financial value of liability insurance must correspond to the level of risk linked with the activities of the notified body. The
manufacturer in particular retains, however, the overall responsibility for the conformity of the product with all the
requirements of the applicable legislation, even if some stages of the conformity assessment are carried out under the
responsibility of a notified body.
Notified bodies are obliged to participate in coordination activities 235. They must also take part directly or be represented
in European standardisation, or otherwise ensure that they know the situation of relevant standards236.
5.2.3.
The primary task of a notified body is to provide conformity assessment services on the conditions set out in the
applicable Union harmonisation legislation. This is a service to the manufacturers in an area of public interest.
Notified bodies are designated to assess conformity with the essential requirements, and to ensure consistent technical
application of these requirements according to the relevant procedures in the applicable Union harmonisation legislation.
The notified bodies must have appropriate facilities and technical staff that enable them to carry out technical and
administrative tasks related to conformity assessment. They must also apply appropriate procedures of quality control in
relation to such services provided. Manufacturers are free to choose any notified body that has been designated to carry
out the conformity assessment procedure in question according to the applicable Union harmonisation legislation.
A notified body wishing to offer services according to several conformity assessment procedures must fulfil the relevant
requirements for the respective tasks, and this has to be assessed according to the requirements for each different
procedure in question. However, since the scope of much technical harmonisation legislation can be relatively wide and
heterogeneous, a notified body does not need to be qualified to cover all products falling within the scope of that
legislation, but may be notified for a defined range of products only.
233
234
235
236
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Notified bodies must have appropriate structures and procedures to ensure that the conduct of conformity assessment
and the issuing of certificates are subject to a review process. Relevant procedures must, in particular, cover obligations
and responsibilities in relation to suspension and withdrawal of certificates, requests addressed to the manufacturer to
take corrective measures, and reporting to the competent authority.
Apart from carrying out certain responsibilities in the field of public interest, notified bodies must regard themselves as
rendering services to industry. Thus, they should provide relevant information to the manufacturer and the authorised
representative regarding the legislation in question, apply the conformity assessment procedure without unnecessary
burdens for the economic operators, and refrain from proposing additional certification or marking that has no added
value for the conformity assessment of the product. The latter activities must be clearly separated from the activities of
the body as a notified body. Notified bodies cannot use their notified body name and number to carry out these
activities.
To avoid unnecessary burdens for economic operators and help in ensuring the protection of confidential data or
intellectual property rights, the technical documentation provided to notified bodies has to be limited to that which is
required solely for the purpose of assessing conformity to the legislation.
5.2.4.
In recognition of the fact that notified bodies fulfil tasks delegated to them by public authorities, they are obliged to take
part in coordination activities organised by the Commission. The latter, together with the Member States, ensures that
coordination is organised between the notified bodies.
A coordination group of notified bodies is established for each Union harmonisation legislative act or for several related
acts, and its work is limited to technical problems relating to conformity assessment in order to ensure a uniform
application of the technical provisions of the applicable legislation. To that end, it should be free to define its rules of
work and constitution. Each group of notified bodies has a technical secretariat and a chairman.
Generally, the groups of notified bodies are composed of representatives of notified bodies. To achieve a higher degree
of efficiency in their work the groups can set up subgroups with a restricted number of participants to discuss specific
technical questions. The Commission is represented in the groups. Governmental experts and representatives of the
authorities directly responsible for the effective implementation of Union harmonisation legislation can participate as
observers in the groups. The European standardisation organisations (CEN, CENELEC and ETSI) are represented in the
groups when standards related issues arise. The groups may also invite relevant European federations other interested
parties. Where the groups of notified bodies have to treat subjects of a confidential nature, the participation in meetings
is restricted as deemed necessary.
If a body refuses to cooperate, the notification may be withdrawn. However, the notified bodies are not obliged to
participate in meetings at European level if they keep themselves informed of, and apply the administrative decisions
and documents produced by their group. The relevant working documents, meeting reports, recommendations and
guidelines produced by the sectoral and inter-sectoral groups of notified bodies or their subgroups should be made
available to all notified bodies forming part of those groups, whether they have taken part in the meetings or not. The
information exchange and communication can be enhanced by use of a platform such as CIRCABC, hosted by the
Commission.
National coordination groups are also encouraged and where those exist, notified bodies from a given Member State
might be required to take part in their activities.
5.2.5.
A notified body can have part of its work carried out by another body, whether a subcontractor or a subsidiary,
on the basis of established and regularly monitored competence.
Subcontracting must be based on a contract, which makes it possible to ensure the transparency of and have
confidence in the notified bodys operations.
A notified body can only subcontract a task for which it has the competence itself. It must not be the case that a notified
body subcontracts a part of the work because it does not have the required competence and knowledge.
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The bodies acting as subcontractors for the notified bodies need not be notified as such. Nevertheless, the notified body
must inform the Member State concerned of its intention to subcontract certain work. Consequently, the Member State
may decide that it cannot take the overall responsibility as a notifying authority for such an arrangement, and withdraw
or limit the scope of the notification. The notified body must keep a register of all its subcontracting activities, and
update it systematically.
The body subcontracted by the notified body must be technically competent, and display independence and objectivity
according to the same criteria and under the same conditions as the notified body. The Member State that has notified
the body which subcontracts part of its work must be capable of ensuring effective monitoring of the competence of the
body subcontracted by the notified body. Individual external auditors or specialists have to fulfil the conditions of a
subcontractor.
The notified body must ensure that its subcontractors have the necessary competence and that they maintain this
competence, for example by carrying out regular evaluations and by keeping itself regularly informed of the details
regarding the performance of their tasks. The notified body must also be able to demonstrate the compliance of its
subcontractors with the requirements laid down in the relevant Union harmonisation legislation.
Information on subcontracting activities and on the competence of the subcontractors and/or the subsidiaries must be
readily available at all times, so that the notifying authority can take any necessary action, and communicate it without
delay to the Commission and the other Member States on request. Compliance with the EN ISO/IEC 17000 series of
standards entails a presumption of conformity of the subcontractor with most of the requirements, as is the case with
the notified body itself. Where accreditation is not used to assess the competence of notified bodies, the authority
should undertake on-site checks of the subcontractor to the same extent as would be provided for under accreditation.
A further condition for subcontracting is that the conformity assessment procedure can be subdivided into technical
operations and assessment operations, and that the methodology used to carry out the technical operations is
sufficiently precise. A notified body can subcontract strictly limited technical tasks (such as tests and examinations), as
long as these can be defined as substantial and coherent parts of the technical operation. The body subcontracted by
the notified body must, nevertheless, carry out substantial and coherent parts of these technical operations. The notified
body staff has to be technically qualified to be able to assess the test results of subcontractors. Notified bodies must not
restrict their activities to purely administrative functions.
Notified bodies may, for example, subcontract tests while continuing to assess their results and, in particular, to validate
the test report in order to evaluate whether the requirements of the Union harmonisation legislation are met. Similarly,
subcontracting is possible in the field of certification of quality systems provided that the notified body carries out the
evaluation of the audit results. The notified body cannot under any circumstances subcontract all of its activities, as that
would make the notification meaningless.
The subcontracted work must be carried out according to pre-established technical specifications setting out a detailed
procedure based on objective criteria to guarantee total transparency. Where the body subcontracted by the notified
body is involved in the assessment of conformity to standards, these must be used if they lay down the procedures. If
this body is involved in the assessment of conformity to essential requirements, the procedure followed by the notified
body itself or a procedure deemed by the notified body to be equivalent to that must be used.
The notified body must in all cases have a binding agreement with its subcontractors to ensure that its general
responsibilities are fulfilled237. Notified bodies must keep at the disposal of the notifying authority the relevant
documents concerning the assessment of the qualifications of the subcontractor or the subsidiary and the work carried
out by them under the relevant Union harmonisation legislation238.
A subcontracting notified body remains responsible for all the activities covered by the notification. Subcontracting does
not entail the delegation of powers or responsibilities. Certificates and other attestations of conformity are always issued
in the name and under the responsibility of the notified body. Therefore, the subcontracting notified body must be
competent to review the work of the subcontractor in all its elements and must take the final decision.
The conditions for subcontracting apply to any subcontractor whether or not established within the European Union. The
notified body remains entirely responsible for the work carried out for it by the subcontractor.
The notified body must have appropriate facilities and staff to be able to verify the results of any tests, inspections or
any other task carried out by the subcontractor. Furthermore, if accreditation is the chosen path for notification, it must
cover the subsidiary companies of notified bodies to which they have recourse. Accreditation bodies must take this into
237
238
For the role and responsibilities of notified bodies see Point 5.2.2.
Article R20(4) of Annex I of Decision No 768/2008/EC.
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account, either by properly applying the existing international guidance on cross-frontier accreditation or by specifying it
in the accreditation documents. If notification is not based on accreditation, then in order to ensure the proper and
consistent supervision of such subsidiaries and subcontractors, the contents of the information to be provided to the
notifying authority should be further specified by aligning it to the relevant practices in accreditation.
The manufacturer can provide test reports or other elements of its technical documentation. The notified body can take
these reports into account if it assumes full responsibility for the results. The notified body may accept the
manufacturer's test results for the conformity assessment provided that it justifies the reason for taking account of these
tests.
5.2.6.
Only in the cases where sectoral Union harmonisation legislation provides for it, an accredited in-house body may be
used to carry out conformity assessment activities for the undertaking of which it forms a part, for the implementation of
the conformity assessment procedures, modules A1, A2, C1 or C2. That body must constitute a separate and distinct
part of the undertaking and must not participate in the design, production, supply, installation, use or maintenance of
the products it assesses.
An accredited in-house body has to meet a number of requirements. It must be accredited in accordance with
Regulation (EC) No 765/2008240. The body and its personnel must be identifiable within the structure of the organisation,
and have reporting methods within the undertaking of which they form a part which ensure their impartiality and
demonstrate it to the relevant national accreditation body. Neither the body nor its personnel may be responsible for the
design, manufacture, supply, installation, operation or maintenance of the products they assess, nor may they engage in
any activity that might conflict with their independence of judgment or integrity in relation to their assessment activities.
An accredited in-house body can supply its services only to the undertaking of which it forms a part.
An accredited in-house body cannot be notified to the Member States or the Commission, but information concerning its
accreditation must be given by the undertaking of which it forms a part, or by the national accreditation body, to the
notifying authority at the request of that authority.
5.3. NOTIFICATION
5.3.1.
NOTIFYING AUTHORITIES
A notifying authority is the governmental or public body that is tasked with designating and notifying conformity
assessment bodies under Union harmonisation legislation.
A notifying authority is the governmental or public body that is tasked with designating and notifying conformity
assessment bodies under Union harmonisation legislation. Most often it is the national administration responsible for the
implementation and management of the Union harmonisation act under which the body is notified. Each Member State
must designate a notifying authority to be responsible for the assessment, notification and monitoring of conformity
assessment bodies. The notifying authority assumes full responsibility for the competence of the bodies it notifies.
Each Member State must establish its notifying authorities in such a way that there is no conflict of interest with
conformity assessment bodies. They must be organised and operated so as to safeguard the objectivity and impartiality
of their activities. Each decision relating to notification of a conformity assessment body must be taken by competent
persons different from those who carried out the assessment.
Further requirements on a notifying authority are that it must not offer or provide any activities that conformity
assessment bodies perform, or consultancy services on a commercial or competitive basis. It must safeguard the
confidentiality of the information it obtains, and it must have a sufficient number of competent personnel at its disposal
for the proper performance of its tasks.
Member States must inform the Commission of their procedures for the assessment and notification of conformity
assessment bodies and the monitoring of notified bodies. The Commission makes that information publicly available on
its web site.
239
240
Please note that only a limited number of Union harmonisation legislation provides for accredited in-house bodies.
See annex 10.6 for details on the harmonised standards that in-house bodies must be accredited to, depending on the relevant module.
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5.3.2.
NOTIFICATION PROCESS
Notification is the act of the notifying authority informing the Commission and the other Member States that a
conformity assessment body has been designated to carry out conformity assessment according to a Union
harmonisation act, and fulfils the requirements relating to notified bodies set out in that Union harmonisation act.
Member States take the final responsibility for the competence of their notified bodies with respect to the other
Member States and the EU institutions.
Accreditation is the preferred way to assess the technical competence of notified bodies.
The notification of a notified body is sent by the notifying authority to the Commission and the other Member
States via NANDO - the electronic notification tool developed and managed by the Commission where a list of all
notified bodies can be found.
5.3.2.1.
Principles of notification
The status of Notified Body is available to conformity assessment bodies established within the European Union. Member
States are responsible for the notification of notified bodies and the choice of and responsibility for notified bodies rests
with national authorities. They may choose the bodies they notify from those that are established on their territory which
comply with the requirements of the legislation, and which have the necessary competences to become notified.
Notification is the act of the notifying authority informing the Commission and the other Member States that such a body
has been designated to carry out conformity assessment according to a Union harmonisation act, and fulfils the
requirements relating to notified bodies set out in that Union harmonisation act.
While designation is considered as an act of the designating authority which may be the same body as the notifying
authority only the act of notifying the Commission and the other Member States allows a designated body to become
a notified body.
Since notification falls within the discretion of Member States, they are not obliged to notify all the bodies demonstrating
technical competence. Neither are Member States obliged to notify bodies in respect of each procedure to be applied
according to a specific Union harmonisation act.
Member States are free to notify a body at any time after a Union harmonisation act has been adopted. They should
nevertheless take all necessary steps for notifying before the Union harmonisation act starts applying 241. This can make
effective use of the transitional period provided for in the Union harmonisation act, and allow for notified bodies to be
active and certificates to be granted from the date of first application of the Union harmonisation act. If on the basis of
new legislation the re-notification of notified bodies is required, as soon as the Member State has transposed the
necessary provisions into national law and has appointed a notifying authority for a particular Union harmonisation act, it
is possible for that notifying authority to place a notification. A notified body may thus be notified under both the old and
the new legislation during the transitional period, but the notification under the old legislation will expire automatically
on the date of application of the new legislation, unless specific legislation provides otherwise. It must be stressed,
however, that in such cases notified bodies, while they can do preparatory work, are not entitled to issue certificates
before the Union harmonisation legislation starts applying unless sector legislation provides otherwise.
5.3.2.2.
The assessment of a conformity assessment body seeking notification determines if it is technically competent and
capable of carrying out the conformity assessment procedures in question, and if it can demonstrate the necessary level
of independence, impartiality and integrity.
Member States take the final responsibility for the competence of their notified bodies with respect to the other Member
States and the EU institutions. They must therefore verify the competence of the bodies seeking notification, based on
the criteria laid down in the applicable Union harmonisation legislation in conjunction with essential requirements and
the conformity assessment procedure(s) in question. In general, the competence criteria set out in the Union
harmonisation acts cover:
241
Union harmonisation legislation aligned to Decision No 768/2008/EC includes modified provisions on notified bodies. In view of notifying bodies for
the purposes of such legislation, it is essential that at least the relevant provisions concerning notified bodies (which include in particular the
requirements and obligations of those bodies) are transposed into national law. In addition, notification procedures need to be communicated to the
Commission and other Member States, and Member States need to appoint the notifying authority for that particular Union harmonisation
legislation.
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independence and impartiality in relation to those directly or indirectly concerned with the product (such as
the designer, the manufacturer, the manufacturers authorised representative, the supplier, the assembler,
the installer, the user);
technical competence of personnel that is relevant to the products and conformity assessment procedure in
question;
subscription to civil liability insurance, unless that liability is covered by the state under national law.
Notifying authorities or accreditation bodies must carry out periodic monitoring to assess the continuity of the
competence of notified bodies after they are notified.
5.3.2.3.
Accreditation, performed according to the EN ISO/IEC 17000 series of standards by nationally recognised accreditation
bodies that are members of the European co-operation for Accreditation (EA), is a technical assessment of the
competence of the conformity assessment body seeking notification. Although it is not a requirement, it remains an
important and favoured instrument for evaluating the competence and integrity of the bodies to be notified. For this
reason, accreditation should be considered by national notifying authorities as the most favoured technical basis for the
assessment of conformity assessment bodies so as to reduce differences in the criteria applied for notification.
Accreditation provides an authoritative statement of the competence, professional integrity and impartiality of the bodies
to be notified to the Commission and the other Member States. It also entails regular monitoring and surveillance of the
accredited bodies. Whenever a national accreditation body ascertains that the conformity assessment body to which it
has issued an accreditation certificate is no longer competent or does not fulfil its obligations, the accreditation
certificate can be withdrawn. In this case the body should be de-notified and no longer allowed to carry out conformity
assessment activities under the relevant legislation.
The preference given to accreditation is based on the peer evaluation process which ensures that the accreditation body
adequately supervises the conformity assessment bodies it accredits. Cases may, however arise where the national
accreditation body has not been successfully peer evaluated but may nevertheless have assessed notified bodies 242. If
the national accreditation body has not been peer evaluated for the specific accreditation activity in question but still
evaluate the competence of a conformity assessment body for this activity, the notification of this conformity assessment
body should not be considered as accredited for the purposes of EU harmonisation legislation.
If a national accreditation body was successful in a previous peer evaluation for a given activity but has been suspended
at a subsequent peer evaluation, new notifications of conformity assessment bodies assessed by this national
accreditation body should also be considered as unaccredited. As a principle, accreditation certificates issued up until the
point of the suspension of the peer evaluation of the national accreditation body, should continue to be recognised by
national authorities.
If the grounds for suspension of the national accreditation body result in serious doubts about the competence of the
notified bodies, the responsible notifying authority would have to inform the Commission and other Member States of
how it intends to ensure the competence of the bodies notified, and of any corrective measures taken, including the denotification.
Although accreditation is the favoured instrument for the verification of competence of conformity assessment bodies,
Member States can carry out the evaluation themselves. Following the entry into force of Regulation (EC) No 765/2008
on 1 January 2010, in such cases evidence must be given to the Commission and other Member States that the
evaluated body complies with all the applicable regulatory requirements. Further, the notified body must be subject to
regular surveillance similar to the practice established by the accreditation organisations.
5.3.2.4.
According to Article 5(2) of Regulation (EC) No 765/2008, when a Member State does not base its notification on
accreditation, it shall provide the Commission and the other Member States with all the documentary evidence
242
Article 7 of the Regulation identifies this as a situation where a conformity assessment body may seek accreditation outside its Member State of
establishment.
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necessary for the verification of the competence of the conformity assessment bodies it selects for the implementation of
the Union harmonisation legislation in question. 243
In order to ensure the necessary level of confidence in the impartiality and technical competence of conformity
assessment bodies and in the reports and certificates issued by them, national authorities, when carrying out the
assessment without accreditation, should give detailed and comprehensive information describing how the candidate
Notified Body has been assessed as qualified to carry out the tasks for which it is notified and showing that it fulfils the
applicable criteria relating to notified bodies. This information, linked to a given notification, is made available to the
Commission and the other Member States using the NANDO electronic notification tool.
The evaluation procedure should be based on at least the following elements:
existence of a systematic surveillance and related sanction mechanism, providing for periodic surveillance
including
on-site visits, in order to verify the continued fulfilment of requirements by the notified body
demonstration of the national authoritys own technical competence for assessing conformity assessment
bodies for the purpose of notification under technical harmonisation legislation. This demonstration must give
equivalent assurance as the EA244 peer evaluation system.
the candidate notified bodies should be made aware of general conditions, of their rights and obligations, and
of the requirements relating to assessment carried out with a view to notification
a review of documents verifying the completeness and appropriateness from a substantial point of view with
regard to conformity to the applicable requirements
an on-site audit to check technical and procedural aspects - such as the availability and appropriateness of
facilities and equipment, the technical competence of staff, the existence of an appropriate management
system - and to check other aspects demonstrating that conformity to requirements is properly implemented.
The assessment must include witnessing technical activities.
When choosing an assessment process other than formal accreditation, notifying authorities must indicate the reasons
why accreditation is not chosen to back up the notification process. Moreover, notifying authorities may not outsource to
the national accreditation body the assessment of unaccredited conformity assessment bodies that seek to become
notified bodies, without fulfilling the whole accreditation process including the delivery of the accreditation certificate.
When accreditation is not used, the notifying authorities must perform periodical verifications to ensure the continuous
competence of the notified body, in the same way as national accreditation bodies do.
5.3.2.5.
To obtain notification, a conformity assessment body submits an application for notification to the notifying authority of
the Member State in which it is established. That application should be accompanied by a description of the conformity
assessment activities, the conformity assessment procedures or modules and the product or products for which that
body claims to be competent, as well as by an accreditation certificate, where one exists, issued by the national
accreditation body attesting that the conformity assessment body fulfils the requirements laid down in the relevant
harmonisation legislation.
Where the body concerned cannot provide an accreditation certificate, it must provide the notifying authority with all the
documentary evidence necessary for the verification, recognition and regular monitoring of its compliance with the
requirements laid down in the relevant harmonisation legislation. After verification the Member State informs the
Commission and the other Member States of the details of the body.
243
244
A similar provision has been included in most Directives aligned to Decision No 768/2008/EC.
On EAs role, see 6.5.2 and 6.5.4.
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The notification of a notified body is sent by the notifying authority to the Commission and the other Member States via
NANDO (New Approach Notified and Designated Organisations), which is the electronic notification tool developed and
managed by the Commission. It should include full details of the body, its conformity assessment activities, the
conformity assessment procedures or modules and product or products concerned, and the relevant attestation of
competence. It must also include the date set for the reassessment of the notified body by the national accreditation
body or, for an unaccredited notification, the date of the next monitoring review by the notifying authority.
Where a notification is not based on an accreditation certificate, the notifying authority must provide the Commission
and the other Member States with documentary evidence which demonstrates the conformity assessment bodys
competence, how it has been assessed, and the arrangements in place to ensure that that body will be monitored
regularly and will continue to satisfy the requirements.
The notification takes effect after a notification email from NANDO has been sent to the Commission and the other
Member States and published on the NANDO web site. The body concerned may then perform the activities of a notified
body. Under legislation that is aligned with Decision No 768/2008/EC, the notification is published following a period
allowed for objections by other Member States or the Commission - two weeks where accreditation is used, two months
where accreditation is not used - and then only where no such objections have been raised.
The Commission and the other Member States must be notified in similar manner of any subsequent changes to the
notification that are relevant, such as a change in the scope or validity period of the notification, or changes to the
details of the body itself.
5.3.3.
For information purposes, the Commission makes the lists of notified bodies (and other categories of conformity
assessment bodies such as User Inspectorates and Recognised Third Party Organisations) publicly available on the
NANDO web site on its Europa server. The lists are updated as and when the notifications are published, and the web
site is refreshed daily to keep it up-to-date.
With its initial notification, a notified body is assigned an identity number in the NANDO system. This number is
automatically generated by the system at the moment of validation of the notification in the NANDO database. A legal
entity may carry only one notified body identity number, regardless of the number of Union harmonisation acts for which
it is notified. Allocation of the number is a purely administrative act designed to ensure the consistent management of
the lists of notified bodies, and does not confer rights or commit the Commission in any way. The numbering system in
NANDO is sequential, and numbers are not re-used when a notified body is withdrawn from the list. In cases of
suspension or withdrawal of a notification, the details of the notification remain in the database, and are moved to the
Withdrawn/Expired Notifications/NBs part of the web site245.
Amendments (extension or reduction) to the scope, modifications of the validity period of the notification, or cancellation
of the notification are likewise notified by email to the Member States and are published on the NANDO web site. The
web site can be searched by Union harmonisation act, by country, by notified body number or using keywords.
5.3.4.
It is essential to ensure that notified bodies remain competent over time and that this can be made transparent to the
other Member States and the Commission. Legislation at EU level clearly requires the national competent authorities to
regularly monitor and assess the continuing competence of the bodies they have notified and that are listed in NANDO.
The NANDO web site should be transparent for these ongoing processes that back up the notification system.
All notifications of notified bodies, whether accredited or unaccredited, that are entered in the NANDO database, should
be updated within a maximum period of five years from the date of the initial notification, or the last update, with
information on the continuous monitoring of the competence of the notified body. Such updates should include the
relevant new data relating to accreditation or, if the notification is unaccredited, information relating to the required
monitoring of the body by the notifying authority - in particular, a report concerning the assessment process i.e.
document review, on-site assessment, description of systematic surveillance including on-site visits and demonstration of
245
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the authoritys technical competence to conduct the assessment. If the notification is not updated after the 5 year
period, the Commission will consider that there is reason to question the continued competence of the notified body 246
and will request the notifying Member State to provide with all information relating to the maintenance of the
competence of the body concerned.
The Commission and the Member States have the responsibility to act when doubt arises about the competence of a
notified body, either at the moment of notification or thereafter. Should the Commission consider, on its own initiative or
after complaint, that a notified body does not comply with the requirements or fulfil its responsibilities, it will inform the
national notifying authority and ask for appropriate documented evidence concerning the basis for the notification and
the maintenance of the competence of the body. Should a Member State not provide such information, the Commission
may bring this to the attention of the other Member States for discussion or initiate the procedure under Article 258
TFEU against the notifying Member State.
Where a notifying authority has ascertained or has been informed that a notified body no longer meets the requirements
laid down in the relevant legislation, or that it is failing to fulfil its obligations, the notifying authority must - depending
on the seriousness of the failure - suspend or withdraw the notification after immediately contacting the body in
question. It has to immediately inform the Commission and the other Member States accordingly. The Member State
must also have this information published, and inform the Commission and the other Member States following a
procedure similar to that of the notification. The body in question should have the possibility to appeal against such a
decision. Whether this appeal postpones the de-notification or not depends on national legislation.
Withdrawal of notification takes place when the notified body ceases to fulfil the requirements or its obligations. This
may be done at the instigation of the notifying Member State, where it has received evidence regarding the failure of the
notified body to meet its requirements during the periodic surveillance (done by the accreditation body or the notifying
authority), or has received complaints about the notified bodys competence or behaviour. It may also be a result of
action by the Commission, where the latter has reason to doubt that a notified body meets or continues to meet the
requirements for its notification. In such cases the Commission informs the notifying Member State accordingly and
requests it to take the necessary corrective measures, including de-notification if necessary. The notifying authority must
take appropriate measures. Another reason for withdrawal of a notification might be the request of the notified body
itself, for instance due to planned changes in policy, organisation or ownership of the body. Withdrawal of a notification
can also be the end result of an infringement procedure.
Withdrawal is the responsibility of the notifying Member State. Only the national authority is entitled to withdraw a
notification. The Commission can withdraw a notified body from the NANDO list only when, at the end of an
infringement procedure under Article 258 TFEU, the Court declares a Member State to be in infringement of a given
Union harmonisation act and, consequently, declares a notification to be invalid. In all such cases the Commission will
ensure that any sensitive information obtained in the course of its investigations is treated confidentially.
Without prejudice to sectoral specificities, the suspension or withdrawal of a notification does not affect certificates
issued by the notified body up to that point, until such time as demonstration can be made that the certificates should
be withdrawn. In order to ensure continuity in the event of the suspension or withdrawal of a notification, or where the
notified body has ceased its activity, the notifying Member State must ensure that the files of that body are either
processed by another notified body or kept available for the responsible notifying and market surveillance authorities at
their request.
246
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6. ACCREDITATION
Regulation (EC) No 765/2008 provides a legislative framework for accreditation at the national and EU levels and puts
into place an overall policy with its rules, procedures and infrastructures. The reinforcement of accreditation as a means
of underpinning the competence of conformity assessment bodies and hence the credibility and acceptance of
certificates and other attestations, required to ensure the free movement of goods, has been a preoccupation of the
Commission since the end of the 1970s. In the 1990s there was a trend towards accreditation becoming a commercial
and competitive activity, hence reducing its credibility as the last level of control. The NLF however confirmed that in the
EU, accreditation is a non-commercial and non-competitive public activity which is accountable to both national and
European authorities.
The reinforced EU accreditation system thus put in place is in line with the standards, rules and practices of the
international organisations in the field. Regulation (EC) No 765/2008 aims to ensure that accreditation serves the public
interest. European Cooperation for Accreditation (EA), the European organisation of national accreditation bodies, is
recognised by the Regulation, by the guidelines signed with the Member States (EFTA included) and the Commission on
1 April 2009, and benefits from a privileged relationship with the Commission through the signature of a Framework
Partnership Agreement. Within this framework, the primary role of EA is to contribute to the harmonisation of European
accreditation services to support the mutual recognition and acceptance of accreditation certificates throughout the
Union, and to operate a rigorous peer evaluation system that controls the competence of the national accreditation
bodies and the equivalence of their services.
In the field of accreditation, Regulation (EC) No 765/2008 has established a single European system which covers both
the regulated domain where accreditation is required by legislation as well as for the non-regulated sphere. In the latter
case, where a body voluntarily wishes to be accredited it can only go the accreditation bodies which operate under
Regulation (EC) No 765/2008, thus avoiding the existence of competing systems, whichever principles they may be
based on.
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Originally, the EN 45000 series of standards which have been revised and superseded by the EN ISO/IEC 17000 series of standards.
The set of conformity assessment procedures to be used by Union harmonisation legislation was first set out in Council Decision 93/465/EEC (the
so-called modules Decision).
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cover the general competence requirements for bodies performing conformity assessment to specified requirements,
irrespective of whether these are contained in regulations, standards or other technical specifications or whether such
specifications are performance-based or product-specific. This concept supports the role of accreditation as a tool to
facilitate the free movement of products within the internal market and has been taken over by the ISO/IEC 17000
standards at international level.
As stated in the respective clauses covering their scope, the standards specify criteria for bodies irrespective of the
sector concerned. However, accreditation is always sought and granted for a defined scope, i.e. for specific conformity
assessment activity and, where applicable, the types of test performed and methods used (e.g. Body X is competent to
undertake inspections as a type A body in the area of pressure equipment categories of Directive 97/23) and is never
restricted to the mere compliance with the general 17000 standards. Therefore, accreditation on the basis of compliance
with the 17000 standards always implies the need for these general criteria to be complemented and further specified by
all technical specifications that are relevant for the specific technical area for which the applicant conformity assessment
body seeks accreditation. Thus, accreditation implies verification of competence with regard to the current state of the
art, and includes assessment on the basis of the standards for conformity assessment bodies and all relevant productand/or technology-related regulations, standards and other specifications.
Each Member State may appoint one single national accreditation body.
The responsibilities and tasks of the national accreditation body have to be clearly distinguished from those of
other national authorities.
Within the EU, accreditation bodies are not allowed to compete with other accreditation bodies.
Within the EU, accreditation bodies are only to be active on the territory of their own Member State.
6.4.1.
The Regulation foresees that each Member State may appoint one single national accreditation body. Only the national
accreditation bodies are allowed to perform accreditation of conformity assessment bodies. No other bodies may claim to
provide such services, be it according to harmonised standards or non-harmonised standards. This provision is central to
the functioning of accreditation in the EU and to the framework of accreditation set up by the Regulation. Member States
are not obliged to set up their own national accreditation body, should they consider it not economically viable to do so
or should they not deem it useful to offer accreditation for all activities. This means that at no time more than one
accreditation body may be active on the territory of a Member State for a given activity. In order to ensure transparency,
Member States are therefore obliged to inform the Commission and other Member States to which national accreditation
body of another Member State they are having recourse.
A list of national accreditation bodies is available online 249. National accreditation bodies have to make the activities for
which they perform accreditation publicly available.
The Regulation does not prescribe the legal form a national accreditation body should take. This means that the national
accreditation body may operate from within a ministry, be a governmental agency or be organised as a private company.
The Regulation is, however, very clear in that accreditation is to be operated as a public authority activity and, to this
effect, has to be formally recognised by the Member State.
Furthermore, the responsibilities and tasks of the national accreditation body have to be clearly distinguished from those
of other national authorities. This provision aims to enhance the independence of the national accreditation body and the
impartiality and objectivity of its activities. Should the national accreditation body be part of a larger public structure,
such as a ministry, other departments are not allowed to influence accreditation decisions. The process of accreditation
has to remain separate from other functions. It is absolutely essential to avoid a conflict of interest of the national
accreditation body. This also applies to certain tasks that the national accreditation body may take on. While Decision No
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768/2008/EC foresees that the national accreditation body may function as a notifying authority250, the delegation of
powers has to be clearly documented and the conditions for impartiality, namely the separation of tasks within the
accreditation body ensured.
Should notification tasks be delegated to the national accreditation body, the bodys obligations under the Regulation
nevertheless remain applicable. This means that its task remains the assessment of the technical competence of
conformity assessment bodies according to the full accreditation process and an accreditation certificate must be issued
if the technical competence of the conformity assessment body has been established. The national accreditation body
may not perform any other assessments that do not meet these requirements or that meet less strict requirements
which would not warrant the issuing of an accreditation certificate.
In other words, if the task of notification is to be delegated to the national accreditation body, only the notification of
accredited conformity assessment bodies would be possible. The notification of conformity assessment bodies whose
competence has not been assessed against the full accreditation criteria will not be possible where such a delegation has
been decided on. This also means that the national accreditation body would not exercise any discretion in the
notification of a body the relevant accreditation certificate would lead to an automatic notification251.
In addition, when providing accreditation, the national accreditation body has to fulfil a number of conditions in terms of
stakeholder representation, its internal management and internal controls. Decisions on assessment have to be taken by
a different person to the one who carried out the assessment of the conformity assessment body. The accreditation
body has to have enough competent personnel at its disposal to ensure that it can perform its tasks. Procedures have to
be in place to make sure that the personnel performs adequately and is competent to carry out its tasks. Also, adequate
arrangements to ensure the confidentiality of the information obtained from conformity assessment bodies have to be in
place and the accreditation body is obliged not to impose unnecessary burdens on its clients. Accreditation bodies must
also have a complaint handling mechanism in place.
Furthermore, the Regulation states that the national accreditation body has to have sufficient resources to fulfil its tasks;
this includes on the one hand a sufficient number of competent personnel, but also special tasks such as activities for
European and international accreditation cooperation and activities that are required in support of public policy and
which are not self-financing. In this respect adequate participation in EA, its committees and the peer evaluation process
are of foremost importance. Member States should facilitate the participation of their national accreditation bodies in this
kind of activities.
In this vein, national accreditation bodies are also obliged to publish their annual audited accounts. The intentions of this
provision go beyond demonstrating sound financial management, for the purposes of peer evaluation. National
accreditation bodies must therefore clearly demonstrate that the guiding principles of non-commerciality and sufficient
resources for ensuring its competence in all activities are respected. Bearing in mind the overall objective of the
Regulation of establishing accreditation as the last level of control in the conformity assessment system, in those cases
where the accreditation body is part of a larger structure, this requirement should thus be understood to be a tool to
demonstrate compliance with these principles, rather than being used to create unnecessary bureaucratic burdens for
Member States. Thus the accreditation bodies situated in ministerial departments must be in a position to present at
least their overall budgetary and financial figures covering overall resources and their global and operational expenses;
together with any financial policies that apply to them in order to be able to demonstrate that they have sufficient
resources to perform their tasks adequately while safeguarding the principle of non-commerciality.
Member States have the responsibility to ensure that their national accreditation bodies meet the requirements foreseen
by the Regulation on an on-going basis and to take corrective action if this should not be the case. For this reason they
are to take the utmost account of the results of the peer evaluation organised by the European accreditation
infrastructure.
6.4.2.
The Regulations aim of setting up a coherent framework for accreditation that establishes accreditation as the last level
of control is underpinned by the principles of non-commerciality and non-competition.
250
251
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For this reason, while accreditation is supposed to be a self-supporting activity, it is to be provided on a not-for-profit
basis. This means that national accreditation bodies do not have the objective of maximising gains or distributing profits.
They may provide their services in return for payments or receive income, but any excess revenue is to be invested in
further developing their accreditation activities as long as these correspond to the overall tasks of the accreditation
bodies. The primary objective of accreditation remains not to produce any gain but to fulfil a task in the public interest.
Regular excess revenues could be a signal that there is a potential to reduce the tariffs charged for accreditation and to
encourage smaller conformity assessment bodies to apply for accreditation. Given the prominence that the Regulation
gives to accreditations not-for-profit character, Recital 14 clarifies that accreditation is not to produce any gains to its
owners or members. In the case that there should nevertheless be any gains, the situation may be corrected by the
reduction of tariffs or the revenue may be reused for the further development of accreditation, so as to avoid any
conflict with the not-for-profit principle of the Regulation. One could reasonably expect that any excess revenues
generated by an accreditation body could also be used to support the accreditation bodys involvement in the
accreditation activities in the European, international or public sphere.
Regardless of the legal structure of the national accreditation body, there should thus not be a regular transfer of excess
revenue to the owners or members of the national accreditation body be they public or private. Using accreditation as
another form of revenue for the state would in consequence cast serious doubts on its compliance with the Regulations
intentions concerning the not-for-profit character of accreditation
Following the same logic, accreditation is to be established as a clearly distinct activity from any conformity assessment
activities. A national accreditation body is therefore not allowed to offer or provide any activities or services that a
conformity assessment body offers or provides. Neither may it provide consultancy services, own shares in or otherwise
have a financial interest in a conformity assessment body or compete with conformity assessment bodies, so as to avoid
any kind of conflict of interest.
Furthermore, to safeguard the principle of non-commerciality the Regulation also foresees that accreditation bodies are
not allowed to compete with other accreditation bodies. Within the EU, they are only to be active on the territory of their
own Member State. Only in exceptional cases, specified in Article 7.1 of the Regulation (EC) 765/2008 is cross-border
accreditation foreseen. Unless these conditions are met, conformity assessment bodies have to seek accreditation with
the national accreditation body of the Member State they are established in. This applies for all conformity assessment
activities that take place in Europe and concern products or services that are to be placed on the market 252.
The European co-operation for Accreditation (EA) is the organisation of European national accreditation bodies.
EA is central to the implementation of the Regulation (EC) 765/2008 and one of its most important tasks is the
organisation of the peer evaluation system of national accreditation bodies.
EAs tasks may also include the development or the recognition of sector schemes.
The Regulation provides for the recognition of a European accreditation infrastructure. For the time being, this is the
European co-operation for Accreditation (EA), the regional organisation of European national accreditation bodies. EA is
central to the implementation of the Regulation and through the peer evaluation system is the body that has the closest
oversight of the practical functioning of accreditation in Europe. The Commission and EA have concluded a framework
partnership agreement on the basis of which EA carries out its tasks. One of EAs primary tasks is to operate a peer
evaluation of national accreditation bodies, in line with international standards and practice, but it also contributes to the
wider development, maintenance and implementation of accreditation in the EU.
6.5.1.
At the request of the Commission, EAs tasks may include the development of sectoral accreditation schemes or the
acceptance of existing schemes. A sector scheme is a scheme that is based on a relevant standard for a specific product,
process, service etc. and additional requirements that are specific to the relevant sector and / or specific legislation.
Accreditation may be called upon to assess the competence of conformity assessment bodies to carry out assessments
with regard to such schemes.
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EA may contribute to the development of sector schemes and their corresponding evaluation criteria and peer evaluation
procedures. EA may also recognise already existing schemes that lay down their evaluation criteria and peer evaluation
procedures.
In the case of sector schemes that are linked to EU legislation, the Commission has to ensure that the proposed scheme
meets the necessary requirements of the legislation in question in terms of the public interest expressed by this specific
legislation.
6.5.2.
PEER EVALUATION
One of the most important tasks of EA is the organisation of the peer evaluation system of national accreditation bodies,
which is the cornerstone of the European accreditation system.
National accreditation bodies undergo peer evaluations of their systems, procedures and structures at a maximum of
four year intervals. The aim of the peer evaluation system is to ensure consistency and equivalence of accreditation
practices across Europe so that the wider market place, including the national public authorities 253, mutually recognise
the services delivered by those bodies that have successfully passed the peer evaluation, and therefore accept the
accreditation certificates and the attestations issued by the conformity assessment bodies accredited by them. EA
provides an appropriate training system to ensure the coherence of peer evaluation activities and results across Europe.
Successful peer evaluation allows a national accreditation body to sign the EA Multilateral Agreement, or to maintain
signature status. Under the EA Multilateral Agreement, all signatories are obliged to recognise the equivalence of each
others accreditation systems and the equal reliability of the attestations issued by the conformity assessment bodies
accredited by them.
The peer evaluation system is operated at several levels. First of all national accreditation bodies have to meet the
requirements of the harmonised standard EN ISO/IEC 17011 Conformity assessment General requirements for
accreditation bodies accrediting conformity assessment bodies and the requirements of the Regulation which are not
contained in the international accreditation body standard these are namely the principles of one national accreditation
body acting as public authority, non- commerciality and non-competition.
Accreditation bodies then have to demonstrate that they are capable and competent to carry out accreditation in the
different fields of conformity assessment serviced by them. These activities are themselves determined by a number of
harmonised standards (such as EN ISO/IEC 17025 for testing and calibration laboratories, EN ISO/IEC 17020 for
inspection bodies or EN ISO/IEC 17065 for bodies certifying products, services and processes). In addition, peer
evaluators have to make sure that the accreditation body takes into account any other requirements in its assessments,
which are relevant for the specific conformity assessment activities to be carried out by the bodies which they accredit.
These may be the specific requirements contained in conformity assessment schemes, including European and national
schemes.
6.5.3.
If a national accreditation body can demonstrate as a result of the peer evaluation process that it meets the
requirements of the relevant harmonised standard254, it is presumed to meet the requirements for national accreditation
bodies that are outlined in Article 8 of the Regulation.
More importantly - and this is of specific importance for the regulatory sphere if a national accreditation body has
successfully undergone peer evaluation for a specific conformity assessment activity, national authorities are obliged to
accept the accreditation certificates issued by this body, as well as any attestations (e.g. test or inspection reports,
certificates) issued by conformity assessment bodies accredited by this accreditation body.
253
254
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6.5.4.
Following on from EAs role as the organisation that is in charge of the peer evaluation of national accreditation bodies
there is a need to arrive at a coherent and equivalent approach to accreditation which then warrants the mutual
recognition and acceptance of conformity assessment attestations. This means that EA has to facilitate a common
approach to accreditation practice and towards the harmonised standards and the requirements that may be contained
in any sector schemes. Therefore, with the involvement of all parties concerned such as stakeholders and national
authorities, EA has to develop transparent guidance that its members have to respect when conducting accreditation.
there is no national accreditation body in its own Member State and no other national accreditation body to
which recourse is had [Article 7(1)(a)],
the national accreditation body does not offer the requested accreditation service [Article 7(1)(b)]
the national accreditation body has not received a positive outcome in the peer evaluation in relation to the
conformity assessment activity for which accreditation is requested i.e. the national accreditation body is not a
signatory to the EA Multilateral Agreement for the accreditation of the conformity assessment activity concerned
[Article 7(1)(c)].
Article 7(1) of the Regulation is closely linked to and is a logical consequence of the non-competition principle.
The cross-border provision laid down in Article 7 is perceived to be very stringent and unnecessarily burdensome for
multi- nationally active conformity assessment bodies having their head office in one Member State with local
entities/sites established in other Member States and working under the supervision of the head office and under the
same quality system and management, as implying costly duplications of assessments. The risk of suffering a
competitive disadvantage compared to third-country organisations is feared. In case of a strict legal interpretation of
Article 7, due to their structures, multinational conformity assessment bodies may not benefit from the advantage of one
accreditation certificate sufficient for the whole territory of the EU, although avoiding multiple accreditations is one of the
objectives of the Regulation.
The duplication of unnecessary assessments and burdens on multinational conformity assessment bodies should be
avoided while ensuring adequate control of local entities of conformity assessment bodies. There has to be an exchange
of information and effective cooperation between national accreditation bodies for assessment, re-assessment and
surveillance of local sites of multinational conformity assessment bodies where necessary. Based on mutual recognition
of all assessments carried out by EA members, any duplication of assessments of organisational aspects or requirements
should be strictly avoided.
If necessary and on reasoned request, relevant information on carrying out accreditation against national legislative
requirements of another Member State and/or requirements set out in relevant national sectoral schemes are to be
provided by the local national accreditation body to the national authorities of the other Member State. National
authorities of the Member States in which the local national accreditation body is established should be kept informed
thereof.
The conformity assessment bodies with local sites (regardless of their legal personality), provided that the latter operate
under the same global quality system and management and that the head office has the means to substantially influence
and control their activities, can be considered as being only one organisation with regard to the conformity assessment
activity carried out. Such a conformity assessment body is therefore allowed to request accreditation with the national
accreditation body of the head office whose scope can also cover the activities performed by the local site, including
those located in another Member State.
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The multi-site accreditation is however only permitted under the Regulation if the accredited conformity assessment
body maintains the final responsibility for the activities performed by local sites covered by the scope of the multi-site
accreditation. The accreditation certificate issued by the national accreditation body where the head office is established
names one legal entity - the head office - and it is this legal entity which holds the accreditation and which is responsible
for the accredited activities of the conformity assessment body, including any activity performed by the local site that
forms part of the scope of the accreditation. Where these local sites carry out key activities (as listed in EN ISO/IEC
17011), then the accreditation certificate (in its annexes) has to clearly identify the address of these site offices.
The local site is entitled to offer directly to the local market conformity attestations under the multisite accreditation, but
only on behalf of the accredited conformity assessment body. These accredited certificates and reports are therefore
issued under the accreditation, name and address of the head office without the logo of the local site. However this does
not impede mentioning on the conformity assessment certificate or report the contact details of the local site issuing the
certificate or report in question.
The multi-site accreditation is meant for use only by companies within the same organisation and where the head office
maintains the responsibility for the activities performed and certificates/reports issued by the local sites. The
responsibility has to be demonstrated on the basis of contractual or equivalent legal relationships between the head
office and the local entity and internal regulations that further specify these relationships in terms of management and
responsibilities.
The solution of the multi-site accreditation can be applied to all types of local entities (subsidiaries, branches, agencies,
offices etc.), regardless of their legal personality and is in principle valid for all types of conformity assessment bodies,
including laboratories, inspection and certification bodies as long as they carry out clearly identified and relevant
activities for the purpose of accreditation.
The multi-site accreditation solution is excluded when the above mentioned conditions are not fulfilled, i.e. the
conformity assessment body cannot be considered as one organisation with regard to conformity assessment and the
head office does not maintain the ultimate responsibility for the activities of the local entities. In this case the local sites
being separate legal entities should apply for their own accreditation with the local national accreditation body. As a
consequence it can be considered that the local entity carries out the conformity assessment service completely
independently of the head office.
In case of the multi-site accreditation, initial assessment and reassessments must be carried out in close cooperation
between the respective local national accreditation body and the national accreditation body of the head office taking the
accreditation decision, while surveillance must be carried out in cooperation with or by the local national accreditation
body. The multinational conformity assessment body must fully cooperate with the national accreditation bodies
involved. Local entities cannot reject the participation of the local national accreditation body in the assessment,
reassessments and surveillance process. Harmonised rules for co-operation between national accreditation bodies exist
in the form of the EA cross frontier policy. Multi-site accreditation has to be managed under the EA cross frontier policy
in order to guarantee the involvement of the local national accreditation body.
The multi-site accreditation does not supersede sub-contracting, which remains a viable solution in case a conformity
assessment body may wish to sub-contract part of its activities to legal entities located and operating in the same or
other Member States, which however do not belong to the same organisation, i.e. are not part of a multinational
conformity assessment body. In this case, the subcontractor is not covered by the accreditation of the conformity
assessment body. The accredited conformity assessment body may subcontract specific parts of its conformity
assessment activities to a different legal entity according to the applicable conformity assessment body standard to
which it is accredited and only to the extent allowed in this standard. The conformity assessment body must be able to
demonstrate to the national accreditation body that the subcontracted activities are carried out in a competent and
reliable manner consistent with the applicable requirements for the activities in question. The accredited conformity
assessment attestation must be issued exclusively under the name and responsibility of the accredited conformity
assessment body, i.e. the legal entity holding the accreditation. The contractual relationship with the client remains with
the accredited conformity assessment body.
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6.7.1.
Accreditation as an impartial means of assessing and conveying formal demonstration of the technical competence,
impartiality and professional integrity of conformity assessment bodies is an effective quality infrastructure tool used
worldwide.
At international level, cooperation between accreditation bodies takes place within two organisations: namely within the
International Accreditation Forum (IAF) between accreditation bodies accrediting certification (products and
management systems) bodies and within the International Laboratory Accreditation Cooperation (ILAC) between
accreditation bodies accrediting laboratories and inspection bodies. Both organisations provide for multilateral mutual
recognition arrangements between its accreditation body members. IAF manages a Multilateral Recognition Arrangement
(MLA), while ILAC operates a Mutual Recognition Arrangement (MRA). These multilateral mutual recognition
arrangements/agreements of competence at technical level between accreditation bodies have the ultimate aim to allow
products and services accompanied by accredited conformity attestations to enter foreign markets without the need for
re-testing or re-certification in the import country. The objective of such recognition arrangement/ agreements between
accreditation bodies is therefore to contribute to reinforce the acceptance of conformity assessment results.
At the regional level, to date255, cooperation organisations between accreditation bodies have been established in:
Asia Pacific: Asia Pacific Laboratory Accreditation Cooperation (APLAC) and Pacific Accreditation Cooperation
(PAC)
Except for SADCA, AFRAC and ARAC which are currently developing its regional mutual recognition arrangement, the
above listed cooperation organisations have agreements/arrangements in place within their region which the ILAC/IAF
arrangements build upon. By granting special recognition IAF accepts the mutual recognition arrangements established
within EA, IAAC and PAC: accreditation bodies being member of IAF and signatories to the EA Multilateral agreement (EA
MLA) or the PAC Multilateral Recognition Arrangement (PAC MLA) are automatically accepted into the IAF MLA. ILAC
accepts the mutual recognition arrangements and underlying evaluation procedures of EA, APLAC, and IAAC.
Accreditation bodies which are not affiliated to any recognised regional cooperation entity may apply directly to ILAC
and/or IAF for evaluation and recognition.
The requirements which the Regulation sets for accreditation bodies are in line with the globally accepted requirements
laid down in the relevant international standards, although some of them can be perceived as being more rigorous. In
particular
Accreditation is carried out by one single national accreditation body appointed by its Member State (Art 4.1)
Accreditation is performed as a public authority activity (Art 4.5)
National accreditation bodies operates free from commercial motivations (Art 8.1) and on a not-for- profit basis
(Art 4.7)
National accreditation bodies do not compete with conformity assessment bodies or among each other (Art 6.1
and Art 6.2)
For latest information refer to www.ilac.org and www.iaf.nu where listings of current regional members of ILAC and IAF are available
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6.7.2.
The ultimate acceptance of conformity assessment attestations is decided by the public authorities in the regulatory
sphere and, from an economic point of view, by industry users and consumers. The voluntary multilateral mutual
recognition agreements between accreditation bodies taking place at technical level support, further develop and
enhance intergovernmental trade agreements.
The requirements set out above affect the acceptance of non-European certificates and test results accredited by nonEuropean accreditation bodies not complying with EU requirements but signatories to the ILAC/IAF MRA/MLA in the
following way:
However, where government-to-government Mutual recognition agreements (MRAs) between the Union and a third
country in relation to conformity assessment are in place, national authorities of EU Member States will accept the test
reports and certificates issued by bodies that the foreign party has designated under the MRA for assessing conformity in
the categories of products or sectors covered by the MRA. The products accompanied by such conformity attestations
can be exported and placed on the other partys market without undergoing additional conformity assessment
procedures. Each importing party agrees, by the terms of the MRA, to recognise the conformity assessment attestations
issued by agreed conformity assessment bodies of the exporting party, independently of whether accreditation has been
used to back up the designation process of the conformity assessment bodies under the MRA or not, and independently
of, in case accreditation is used by the non-European Party, the fulfilment by the third Party accreditation body of the EU
requirements.
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7. MARKET SURVEILLANCE
Under Regulation (EC) No 765/2008 national market surveillance authorities have clear obligations to proactively control
products made available on the market, to organise themselves and ensure coordination between themselves at the
national level and to cooperate at the EU level256. Economic operators have the clear obligation to cooperate with the
national market surveillance authorities and to take corrective action where necessary. National market surveillance
authorities have the authority to take sanctions which can include the destruction of products.
Regulation (EC) No 765/2008 integrates the provisions of Regulation 339/93 on control of products from third countries.
Such controls are now part and parcel of market surveillance activities and Regulation (EC) No 765/2008 obliges national
market surveillance and customs authorities to cooperate in order to ensure a seamless system. Such controls must be
carried out in a non-discriminatory manner in line with the WTO rules and under the same rules and conditions as set
out for internal market surveillance controls.
The European Commission has the responsibility to facilitate the exchange of information between national authorities
(in relation to their national market surveillance programmes, their risk assessment methodologies, etc.) in order to
ensure that market surveillance is effectively EU-wide and that Member States can pool together their means.
256
257
258
correctly implement the provisions of the relevant legislation and allow for sanctions proportional to any
infringements;
survey the products (whatever their origin) introduced on their market in order to ensure that they have been
subjected to the necessary procedures, that the marking and documentation requirements have been
The General Product Safety Directive also contains requirements on market surveillance. The relationship between Regulation (EC) No 765/2008 and
the General Product Safety Directive is described in detail in the Working Paper of 3 March 2010 available at:
http://ec.europa.eu/consumers/safety/prod_legis/docs/20100324_guidance_gspd_reg_en.pdf
Subject to specific Union harmonisation legislation.
According to Article 16 of Regulation (EC) No 765/2008 Market surveillance shall ensure that products covered by Union harmo nisation legislation
which, when used in accordance with their intended purpose or under conditions which can be reasonably foreseen and when properly installed and
maintained, are liable to compromise the health or safety of users, or which otherwise do not conform to applicable requirements set out in Union
harmonisation legislation are withdrawn or their being made available on the market is prohibited or restricted and that the public, the Commission
and the other Member States are informed accordingly. Member States shall ensure that effective measures can be taken in relation to any product
category subject to Union harmonisation legislation.
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respected and that they have been designed and manufactured in accordance with the Union harmonisation
legislation requirements.
In order to be effective, the market surveillance effort should be uniform across the Union. This is all the more important
considering that each point of the Unions external border constitutes an access point for a great quantity of products
from third countries. If market surveillance is softer in some parts of the Union than others, weak spots are created
which threaten the public interest and create unfair trade conditions. Consequently, there must be effective market
surveillance along the entire length of the Unions external borders.
In order to guarantee the necessary objectivity and impartiality, market surveillance must be undertaken by the
authorities of the Member States. Certain checks (e.g. tests, inspections) can be delegated to other bodies, but the
official authorities must retain full responsibility for the decisions taken following these checks. Controls carried out
within the framework of market surveillance may be carried out at different times during the life-cycle of a product,
following its placing on the market, such as distribution, putting into use or final use. It can, therefore, be exerted in
various locations, e.g. importers establishments, wholesale or retail distributors, hire companies, users, etc.
Market surveillance activities may be organised differently depending on the nature of the product and the legal
requirements, and they may range from control of formal requirements to profound laboratory examinations.
Market surveillance authorities shall check the compliance of the product with the legal requirements applicable at the
moment of the placing of the market or, if relevant, putting into service.
Thus, market surveillance does not formally take place during the design and production stages, which is before the
manufacturer has taken formal responsibility for the conformity of the products, usually by affixing the CE marking.
However, nothing prevents market surveillance authorities and economic operators to collaborate during the design and
production phase. Such collaboration may help taking preventive actions and identifying as early as possible safety and
conformity issues259.
Other exceptions to the principle that market surveillance can only take place after the manufacturer has taken formal
responsibility for the products are trade fairs, exhibitions and demonstrations. Most Union harmonisation legislation
allows the showing and display of non-CE marked products at trade fairs, exhibitions and demonstrations, provided that
a visible sign clearly indicates that the products may not be marketed or put into service until they have been made to
comply, and that adequate measures are taken during demonstrations, where appropriate, to ensure the protection of
public interests. Market surveillance authorities must monitor that this obligation is respected.
For market surveillance to be efficient, resources should be concentrated where risks are likely to be higher or noncompliance more frequent, or where a particular interest can be identified. Statistics and risk assessment procedures can
be used for this purpose. To be able to monitor products on the market, market surveillance authorities must have the
power, competence and resources:
to
to
to
to
to
The first level of control are documentary and visual checks, for example regarding the CE marking and its affixing, the
availability of the EU declaration of conformity, the information accompanying the product and the correct choice of
conformity assessment procedures. More profound checks may be however necessary to verify the conformity of the
product, for example regarding the correct application of the conformity assessment procedure, the compliance with the
applicable essential requirements, and the contents of the EU declaration of conformity.
259
260
In this case, the authority is expected to put in place the necessary measures (e.g. Chinese walls) to preserve objectivity and impartiality during
post-marketing product checks.
This is important for products (for example machinery and pressure equipment) that are directly, after being manufactured, installed and put into
service at the premises of the client.
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In practice, individual market surveillance activities can focus on certain aspects of the requirements. Besides market
surveillance activities that have as their explicit aim the verification of products made available on the market, other
public mechanisms exist that, although not directly designed for that aim, can nevertheless have as a consequence the
uncovering of non-compliance261. Labour inspectorates that check safety at the workplace, for example, can discover
that the design or construction of a machine, or personal protective equipment bearing the CE marking, is not in
conformity with the applicable requirement262.
Information on the compliance of a product at the moment when it was placed on the market can also be obtained
during in-use inspections, or by analysing the factors that caused an accident. Complaints from consumers or other users
about the product, or from manufacturers or distributors about unfair competition can also provide information for
market surveillance purposes.
Monitoring of products made available on the market may be divided between several authorities on the national level,
for example functionally or geographically. Where the same products are subject to control by more than one authority
(for example customs and a sectoral authority, or local authorities), coordination between services within a Member
State is necessary.
Voluntary initiatives, such as product certification or application of a quality management system, cannot be put on the
same footing as market surveillance activities carried out by an authority. Still, they can contribute to the elimination of
risks and non-compliances. However, market surveillance authorities must be impartial regarding all voluntary marks,
labels and arrangements, and they may only be taken into consideration, in a transparent and non-discriminatory way,
for the risk and compliance assessment. Accordingly, products should not be excluded from market surveillance
operations even if they have been subject to voluntary certification or other voluntary initiatives.
Union harmonisation legislation provides for two different tools that enable market surveillance authorities to receive
information on the product: the EU declaration of conformity and the technical documentation. These must be made
available by the manufacturer, the authorised representative established within the Union or under certain circumstances
by the importer263.
Other natural or legal persons, such as distributors cannot be obliged to make these available 264. However, they are
expected to assist the market surveillance authority in obtaining them. Further, the market surveillance authority may
request the notified body to provide information on the conduct of conformity assessment for the product in question.
The EU declaration of conformity must be made available for the market surveillance authority without delay upon
reasoned request265. It shall accompany the product where required so by specific Union harmonisation legislation. It
can be made available for surveillance purposes in each of the Member States, for instance, by means of administrative
cooperation.
The technical documentation must be made available to the market surveillance authority within a reasonable period of
time, in response to a reasoned request. The authority cannot request it systematically. In general, it can be requested
during random checks made for market surveillance purposes, or when there are grounds for a concern that a product
does not offer the level of protection required in all respects.
More detailed information (for example certificates and decisions from the notified body) can, nevertheless, be requested
in cases of doubt about the conformity of the product to the applicable Union harmonisation legislation. The full technical
documentation should be requested only where clearly necessary, and not, for example, when only a detail has to be
checked.
This request has to be evaluated in accordance with the principle of proportionality and, thus, taking into account the
need to ensure the health and safety of persons or other public interests foreseen in the applicable Union harmonisation
legislation, as well as to protect the economic operators from unnecessary burden. Furthermore, failure to present the
documentation in response to a reasoned request by a national market surveillance authority, within an acceptable
261
262
263
264
265
According to the Directive on high-speed rail systems, each Member State authorises the putting into service of the structural subsystems in their
territory. This is a systematic mechanism to monitor the compliance of subsystems and their inter-operability constituents.
Member States are obliged, according to the Directive on the introduction of measures to encourage improvements in the safety and health of
workers at work (89/391/EEC), to ensure adequate controls and supervision.
Under Decision No 768/2008/EC, module B, Notified Bodies are required to provide, upon request from Member States, European Commission or
other Notified Bodies a copy of the technical documentation.
Unless the EU Declaration of Conformity is required to accompany the product, in which case the distributor should provide the market surveillance
authorities with such document.
The reasoned request does not necessarily mean a formal decision by an authority. According to Article 19 (1), paragraph 2 of Regulation (EU) No
765/2008, market surveillance authorities may require economic operators to make such documentation and information available as appear to
them to be necessary for the purpose of carrying out their activities. For a request to be reasoned it is sufficient the market surveillance authority
explains the context in which the information is requested (e.g. inspection on specific characteristics of the products, random checks, etc.)
Page | 96
delay, may constitute sufficient grounds for doubting the conformity of the product with the essential requirements of
the applicable Union harmonisation legislation266.
In the case of a reasoned request it is sufficient for the manufacturer to provide the part of the technical documentation
related to the claimed non-conformity and appropriate for demonstrating whether the issue has been dealt with by the
manufacturer. Therefore, the request for translation of technical documentation should be limited to these parts of the
documentation. If the market surveillance authority considers a translation necessary, it must clearly indicate the part of
the documentation to be translated and allow reasonable time for this to take place. No further conditions may be
imposed on the translation, such as a requirement of a translator accredited or recognised by the public authorities.
National authority might accept a language they understand and which is different from the national language(s). The
language chosen could be a third language, if accepted by that authority.
It must be possible to make the technical documentation available in the Union. However, it does not need to be kept
inside the Union, unless otherwise provided for in the applicable Union harmonisation legislation. The requirement for
making it available does not mean that the person who bears this responsibility has to store it himself 267, as long as he is
capable of presenting it on request from the national authority. The name and address of the person storing the
documentation does not need to be expressly mentioned on the product or on its packaging, unless otherwise specified.
Further, the technical documentation can be kept and sent to market surveillance authorities in paper or electronic form,
which allows it to be made available within a period of time commensurate with the risk or non-compliance in question.
Member States must ensure that everyone receiving information about the contents of the technical documentation
during market surveillance activities is bound to confidentiality according to principles laid down in the national
legislation.
Information on procedures followed by market surveillance authorities, as well as to corrective measures and sanctions
can be found in sections 7.4.4-7.4.6.
267
268
For example storing the technical documentation may be delegated to the authorised representative.
These guidelines are available at:
http://ec.europa.eu/taxation_customs/resources/documents/common/publications/info_docs/customs/product_safety/guidelines_en.pdf
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Cooperation at national level should allow for a common approach taken by customs and market surveillance authorities
during the control process. This should not be hampered by the fact that various ministries and authorities may be
responsible for the implementation of Regulation (EC) No 765/2008.
Customs authorities have the following responsibilities under Regulation (EC) No 765/2008:
to suspend the release of products when there is a suspicion that the products present a serious risk to
health, safety, environment or other public interest and/or do not fulfil documentation and marking
requirements and/or the CE marking has been affixed in a false or misleading manner(Article 27(3));
not to authorise the release for free circulation for the reasons mentioned in Article 29;
to authorise the release for free circulation for any product in compliance with the relevant Union
harmonisation legislation and/or nor presenting risks to any public interest;
Where the release for free circulation has been suspended, customs have to immediately notify the competent
national market surveillance authority which is given three working days to perform a preliminary investigation
of the products and to decide:
o if they can be released since they do not present a serious risk to the health and safety or cannot be
regarded as being in breach of Union harmonisation legislation
o if they must be detained since further checks are necessary to ascertain their safety and conformity.
Customs authorities must notify their decisions to suspend release of a product to the market surveillance authorities,
which in turn must be in a position to take appropriate action. Four hypotheses must be distinguished as from the
moment of the notification.
1.
2.
3.
The products in question do not present a serious risk and cannot be considered as not conforming to the Union
harmonisation legislation. In this case the products must be released for free circulation, provided that all the other
conditions and formalities regarding release for free circulation are met.
4.
The customs authorities have not been notified of any action taken by the market surveillance authorities.
269
If following the refusal of release for free circulation by customs the products are declared for customs-approved treatment or use other than
release for free circulation, and provided the market surveillance authorities have no objections, the same wording must be added, under the same
conditions, to the documents relating to that treatment or use.
For RAPEX, See Point 7.5.2.
Also in this case, if following the refusal of release for free circulation by customs the products are declared for customs-approved treatment or use
other than release for free circulation, and provided the market surveillance authorities have no objections, the same wording must be added, under
the same conditions, to the documents relating to that treatment or use.
270
271
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If, within three working days of the suspension of release for free circulation, the market surveillance authority has
not notified customs of any action taken by them, the product has to be released for free circulation provided that
all the other requirements and formalities pertaining to such release have been fulfilled.
The entire procedure from the suspension until the release for free circulation or its prohibition by customs should be
completed without delay to avoid creating barriers for legitimate trade but does not necessarily have to be completed
within three working days. The suspension of release can remain valid for the time required by the market surveillance
authority to carry out appropriate checks on the products and allow them to take the final decision. Market surveillance
authorities must ensure that the free movement of products is not restricted to any extent greater than that which is
allowed under Union harmonisation legislation or any other relevant EU legislation. To that end market surveillance
authorities perform their activities regarding products originating from third countries - including the interaction with the
relevant economic operators - with the same urgency and methodologies as for products originating from within the EU.
In this case, the market surveillance authority notifies customs within these three working days that their final decision
on the goods is pending. The release for free circulation has to remain suspended until the market surveillance authority
has made a final decision. That notification empowers customs to extend the initial suspension period. The products will
remain under customs supervision even if they are allowed to be stored at another place approved by customs.
Market surveillance is organised at national level and Member States are the primary actors in that activity.
Consequently, they are required to ensure an appropriate set of infrastructures for that purpose and prepare
national market surveillance programmes.
One major task for market surveillance authorities is to keep the public informed against potential risks.
7.4.1.
NATIONAL INFRASTRUCTURES
Market surveillance is the responsibility of public authorities. This is, in particular, to guarantee the impartiality of market
surveillance activities. Each Member State can decide upon the market surveillance infrastructure, for example there is
no limitation on the allocation of responsibilities between authorities on a functional or geographical basis as long as
surveillance is efficient and covers the whole territory. Member States organise and carry out market surveillance
through the establishment of market surveillance authorities272. Market surveillance authorities are the authorities of a
Member State responsible for carrying out market surveillance on their territory. Surveillance of the market by public
authorities is a fundamental element for the good implementation of Union harmonisation legislation.
Member States must ensure that the public is aware of the existence, responsibilities and identity of national market
surveillance authorities, and of how those authorities may be contacted. They must also ensure that consumers and
other interested parties are given an opportunity to submit complaints to the competent authorities and that these
complaints are followed up appropriately.
Member States must entrust market surveillance authorities with the powers, resources and knowledge necessary for the
proper performance of their tasks. This is to monitor products made available on the market and, in case of products
presenting a risk or other form of non-compliance, to take appropriate action to remove the risk and enforce conformity.
As regards personnel resources, the authority has to have, or have access to, a sufficient number of suitably qualified
and experienced staff, with the necessary professional integrity. The market surveillance authority should also be
independent, and carry out its activities in an impartial and non-discriminatory way. Further, the market surveillance
authority should carry out market surveillance respecting the principle of proportionality, for example action must be in
accordance with the degree of risk or non-compliance and the impact on the free circulation of products may not be
more than is necessary for achieving the objectives of market surveillance.
272
A list of market surveillance authorities appointed by the Member States can be found at: http://ec.europa.eu/growth/single-market/goods/buildingblocks/market-surveillance/organisation/index_en.htm
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The market surveillance authority may subcontract technical tasks (such as testing or inspection) to another body,
provided that it retains the responsibility for its decisions, and provided there is no conflict of interest between the other
bodys conformity assessment activities carried out of behalf of economic operators and compliance assessment provided
to the market surveillance authority. In doing so the market surveillance authority should exercise great care to ensure
that the impartiality of the advice it receives is beyond reproach. The responsibility for any decision to be taken on the
basis of such advice should reside in the market surveillance authority.
7.4.2.
National authorities are obliged by Article 18(5) of the Regulation (EC) No 765/2008 to establish, implement and
periodically update and communicate their NMSP 273. Programmes may be general and/or sectoral. They should ensure
that the overall EU market surveillance framework is respected. Member States must also communicate the programmes
to other Member States and to the Commission and make them accessible to the public via internet, without information
that could hamper the effectiveness of the programme if made public. The purpose of these programmes is to allow the
other countries authorities, as well as citizens in general, to understand how, when, where and in which areas market
surveillance is carried out. National programmes then contain information on activities planned to improve the general
organisation of market surveillance at national level (e.g. mechanisms of coordination between different authorities,
resources attributed to them, working methods, etc.) and initiatives in specific areas of intervention (e.g. product
categories, risk categories, types of users, etc.)274. Both types of information are necessary.
The Commission helped Member States by proposing common templates to lay out their programmes. The use of all
relevant templates is recommended to ensure completeness of information provided. This also facilitates the
comparability of national market surveillance programmes in specific product or legislation areas and makes it possible
for market surveillance authorities to plan cross-border cooperation in areas of common interest.
When establishing national market surveillance programmes, market surveillance authorities should take the needs of
customs into account. Programmes should take into consideration the balance between proactive and reactive control
activities and any other factors which may influence enforcement priorities. Resource capabilities must be ensured at the
border for this purpose.
According to Article 18(6) of the Regulation (EC) No 765/2008, the functioning of market surveillance activities needs to
be periodically reviewed and assessed by Member States, at least every four years. The results of this assessment are
then communicated to the Commission and other Member States and made available to the public 275.
7.4.3.
PUBLIC INFORMATION
Considering that the aim of market surveillance is to provide a high level of protection of certain public interests,
informing the public is an essential element of market surveillance. Therefore, Member States should ensure openness to
the public and to interested parties and should ensure public access to the information available to the authorities on
product conformity. In accordance with the principle of transparency, information available to the authorities of the
Member States or the Commission relating to risks to health and safety or other public interests protected under EU
harmonisation legislation posed by products should in general be available to the public, without prejudice to the
restrictions required for protecting patents and other confidential business information as well as preserving personal
data, and for monitoring and investigation and prosecution activities.276
The public should be aware of the existence, responsibilities and identity of national market surveillance authorities, and
of how those authorities may be contacted. Also national market surveillance programmes and reviews of activities
carried out have to be made available to the public by way of electronic communication and, where appropriate, by
other means.
273
274
275
276
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Among the measures that market surveillance authorities have to take, is the obligation to alert users within their
territories within an adequate timeframe of hazards they have identified relating to any product so as to reduce the risk
of injury or other damage particularly when the economic operator responsible fails to do so.
7.4.4.
Market surveillance is carried out through the implementation of a sequence of procedures whose aim is to ensure that
an effective and consistent system of market surveillance is established across the EU. Market surveillance authorities
follow these procedures when dealing with products presenting a risk to the health and safety or persons or to other
aspects of public interest protection, according to Article 16(2) of Regulation (EC) No 765/2008 and in line with Articles
R31 and R32 in Annex 1 of Decision No 768/2008/EC, and with products presenting a serious risk requiring rapid
intervention, according to Articles 20 and 22 of Regulation (EC) No 765/2008.
An initial event suggesting to market surveillance authorities that a product presents a risk to the health or safety of
persons or to other aspects of public interests may trigger the need for closer scrutiny of the product. It may be an
accident, the reception of complaints, ex officio initiatives of market surveillance authorities (including custom
authorities control of products entering the EU) as well as information from economic operators on products presenting
a risk. When there are sufficient reasons to believe that a product presents a risk, market surveillance authorities carry
out an evaluation of compliance with the requirements of the relevant Union harmonisation legislation. They have to
perform appropriate checks (both documentary and physical/laboratory checks, as necessary) on the characteristics of
the products, duly taking into account the reports and conformity assessment certificates issued by an accredited
conformity assessment body provided by the economic operators.
Market surveillance authorities carry out a risk assessment in order to verify if products present a serious risk. According
to Article 20(2) of the Regulation an appropriate risk assessment takes account of the nature of the hazard and the
likelihood of its occurrence.277
If a product presents a risk to the health or safety of persons or to other aspects of public interests, market surveillance
authorities must request without delay to relevant economic operators to:
a)
take any action to bring the product into compliance with the applicable requirements laid down in the
Union harmonisation legislation and/or;
b)
c)
d)
In case the risk is deemed to be serious, market surveillance authorities must adopt a rapid intervention following the
specific provisions of Articles 20 and 22 of the Regulation.
The economic operators must ensure that the corrective action is taken throughout the EU. The market surveillance
authorities must also inform the relevant notified body (if any) on the decision taken. In case of serious risk requiring a
rapid intervention, the market surveillance authority may adopt restrictive measures without waiting for the economic
operator to take corrective action to bring the product into compliance. According to Article 21 of the Regulation, the
measures adopted by market surveillance authorities have to be proportionate and communicated to the relevant
economic operator without delay. The market surveillance authorities must also consult the economic operator prior to
the adoption of the measures and, if such consultation is not possible because of the urgency of the measures to be
taken, the operator must be given the opportunity to be heard as soon as possible. The market surveillance authorities
must withdraw or amend the measures taken if the economic operator demonstrates that he has taken effective action.
When non-compliance is not limited to the national territory, market surveillance authorities must inform the Commission
and the other Member States about the results of the compliance evaluation and about the actions required of the
economic operator or the measures adopted. In case of serious risk, market surveillance authorities notify to the
Commission through the RAPEX system of any voluntary or compulsory measure according to the procedure laid down in
Article 22 of the Regulation and/or Article 12 of the GPSD. In the case of products that do not present a serious risk, the
Commission and the other Member States will be informed by means of the information support system indicated in
Article 23 of the Regulation and/or Article 11 of the GPSD. Market surveillance authorities have to verify that adequate
277
See the Rapid Alert System Guidelines for a more precise definition of risk and serious risk.
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corrective measures have been taken. Otherwise, they adopt appropriate provisional measures, informing the
Commission and the other Member States with the procedures detailed above.
In order to broaden the effectiveness of the market surveillance activity launched by the notifying Member State, the
other Member States are called upon to follow up on the notification by verifying whether the same product has been
made available on their territories and by adopting appropriate measures. They should inform the Commission and the
other Member States according to the procedures of the initial notification.
Under Union harmonisation legislation aligned to Decision No 768/2008/EC if the Commission and the other Member
States do not raise any objection within a certain period, the restrictive measures are deemed justified and must be
adopted without delay by the Member States. In the case of non-compliance due to shortcomings in harmonised
standards, the Commission informs the relevant standardisation bodies and brings the matter before the Committee set
up under Article 22 of Regulation (EU) No 1025/2012. In light of the Committees opinion, the Commission can decide
to: a) maintain the reference to harmonised standards in the OJEU; b) maintain with restrictions the reference to the
harmonised standards in the OJEU; c) withdraw the reference to the harmonised standards in the OJEU. The
Commission also informs the relevant European standardisation organisation and, if necessary, requests the revision of
the harmonised standards concerned.
If objections are raised, the safeguard mechanism will apply.
Additional information on the procedure allowing Member States to exchange information on measures adopted against
products presenting a risk and, if appropriate, for their assessment by the European Commission is provided in sections
7.5.1 and 7.5.2.
7.4.5.
According to Union harmonisation legislation, Member States are required to ensure that products are made available on
the market only if they comply with the applicable requirements. The latter include both the essential requirements, and
a number of administrative and formal requirements. When competent national authorities discover that a product is not
in compliance with the provisions of the applicable Union harmonisation legislation, they must take action to ensure it is
brought into conformity or taken off the market.
The corrective action depends on the risk or non-compliance and, thus, must be in accordance with the principle of
proportionality. Non-conformity to essential requirements must be considered as a substantial non-compliance, because
this may lead to the product presenting a potential or actual risk to the health and safety of persons or to other aspects
of public interest. In case of a serious risk, Article 20 of Regulation (EC) No 765/2008 sets out the need of prohibiting
products from being made available on the market, withdrawing or recalling products.
If a product covered by Union harmonisation legislation is not CE marked, it is an indication that the product does not
comply with the essential requirements or the conformity assessment procedure has not been applied and,
consequently, the product may endanger the health and safety of persons or harm other public interests protected by
that legislation. Only if, following further investigation, the product proves to be compliant with the essential
requirements, the absence of the CE marking is to be considered as a formal non-compliance (i.e. the product does not
present a risk).
Unless there are reasons to believe that the product presents a risk, there are cases where non-compliance with a
number of administrative or formal requirements are defined as formal non-compliance by Union harmonisation
legislation. That is the case for the incorrect affixing of the CE marking as regards, for instance, the design, size,
visibility, indelibility or legibility, can usually be considered as a formal non-compliance. Examples of typically formal noncompliance could also be the situations where other conformity markings provided for in the Union harmonisation
legislation are incorrectly affixed, or where the EU declaration of conformity cannot be provided for immediately or it
does not accompany the product when this is mandatory, or the requirement to accompany other information provided
for in sectoral Union harmonisation legislation is complied with insufficiently, or, where applicable, the identification
number of the notified body has not been affixed to the CE marking.
Enforcement of conformity can be achieved by obliging the manufacturer, the authorised representative, or other
responsible persons (importers, distributors), to take required measures. Corrective action can also take place if the
necessary measures are taken (for example the product is modified or withdrawn from the market), either as a result of
consultations carried out by the market surveillance authority or as a result of formal or informal warnings. In all cases
the market surveillance authority must establish accompanying measures to ensure that conformity is enforced.
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PROSAFE Guidelines for Businesses to manage Product Recalls & Other Corrective Actions278 have been designed to
assist businesses to ensure, whenever necessary, the appropriate corrective actions and follow-up once a product has
been already made available on the EU market or is coming from third countries.
Actions to prohibit or restrict the placing on the market may first be temporary to allow the market surveillance authority
to obtain sufficient evidence about the risk or other substantial non-compliance of the product.
In case of formal non-compliance only (i.e. without a risk), the market surveillance authority should first oblige the
manufacturer, or the authorised representative, to make the product intended to be placed on the market and, if
necessary, the product already on the market, comply with the provisions and to remedy the infringement within a
reasonable time period. If no result can be achieved, the market surveillance authority has to, ultimately, take a further
step to restrict or prohibit the placing on the market of the product and, if necessary, to ensure that it is also withdrawn
or recalled from the market.
Any decision taken by national market surveillance authorities to restrict or prohibit the placing on the market or the
putting into service, to withdraw or recall the products from the market must state the exact grounds on which it is
based. The party concerned in particular, the manufacturer, or the authorised representative established in the Union
must be notified. They must also be informed about remedies available under the national law in force in the Member
State in question, and of the time limits to which such remedies are subjected. 279
Unless the matter is urgent (for example the product presents a serious risk), the manufacturer, or the authorised
representative established in the Union, should have an opportunity to be consulted in advance, before the competent
authority takes action to restrict the free circulation of products. In practice, it should be considered as sufficient when
the manufacturer or the authorised representative has been provided with an opportunity to react. 280 However, it should
not delay the proceedings, if the manufacturer or the authorised representative remains passive.
The decision to restrict the free movement of a CE marked product in case of non-compliance with the essential
requirements usually invokes the safeguard clause procedure. This procedure is aimed to enable the Commission to keep
an overview of such measures, to consider whether or not they are justified and to ensure all Member States take similar
measures in relation to the same products. A manufacturer, the authorised representative, or other economic operator
may consider himself to have suffered a loss as a result of an inappropriate national measure that restricted the free
movement of a product. In such a case he could be entitled to claim damages under the jurisdiction of the Member State
which initiated the procedure and accordingly the Commission, at the end of a safeguard clause procedure, where the
national measure is considered as non-justified. This may raise the question whether or not a liability case for incorrect
implementation of EU law could take place.
7.4.6.
SANCTIONS
Regulation (EC) No 765/2008 requires Member States to ensure the correct implementation of its provisions and to take
appropriate action in the event of infringement. The Regulation requires penalties to be proportionate to the seriousness
of the offence and constitute an effective deterrent against abuses.
It is up to the Member States to lay down and implement the mechanism for enforcing the provisions of the Regulation
in their territories. According to Article 41 of the Regulation, the penalties provided for shall be effective, proportionate,
and dissuasive and may be increased if the relevant economic operator has previously committed similar infringement.
In addition, Union harmonisation legislation aligned to Decision No 768/2008/EC includes as well a provision requiring
Member States to lay down penalties for infringements by economic operators of that particular legislation.
Sanctions are imposed by means of fines, whose sums vary from one Member State to the other. They may also include
criminal sanctions for serious infringements.
The most common legal instruments providing for sanctions are general product safety acts and/or sector specific
legislation. However, in some Member States sanctions are provided in CE Marking acts, customs code or acts on
conformity assessment system.
278
279
280
http://ec.europa.eu/consumers/archive/safety/rapex/docs/corrective_action_guide_march2012.pdf
See Directives relating to simple pressure vessels, toys, machinery, personal protective equipment, non-automatic weighing instruments, active
implantable medical devices, gas appliances, potentially explosive atmospheres, medical devices, recreational craft, lifts refrigeration appliances,
pressure equipment, ecodesign requirements for energy-related products and in vitro diagnostic medical devices.
An explicit provision to consult has been included in Article 21 of Regulation (EC) No 765/2008, as well as in the Directives relating to medical
devices and in vitro diagnostic medical services.
Page | 103
7.5. COOPERATION
COMMISSION
BETWEEN
THE
MEMBER
STATES
AND
THE
EUROPEAN
Cooperation and coordination of action among national authorities is indispensable to obtain effective and consistent
surveillance of the Single Market. The EU legal framework provides a number of tools to achieve this goal. The safeguard
mechanism included in Union harmonisation legislation obliges to share information about restrictive measures adopted
by national authorities so that, if appropriate, follow up action can be taken by other authorities. Mutual assistance
based on Regulation (EC) No 765/2008 allows authorities to enforce request of information vis--vis economic operators
located in another Member State. Administrative cooperation groups (ADCOs), the ICSMS database, the RAPEX Rapid
Alert System constitute essential tools to exchange information and optimise work sharing among authorities.
7.5.1.
SAFEGUARD MECHANISMS
On one hand, the safeguard clause authorizes Member States to take restrictive measures in relation to products
presenting a risk to health and safety or other aspects of public interests protection. On the other hand, it
ensures that all national market surveillance authorities are informed about products presenting a risk, and,
accordingly, having the necessary restrictions extended to all Member States.
The mechanism also allows the Commission to take a position on the national measures restricting the free
movement of products with a view to ensuring the functioning of the internal market.
The safeguard clause procedure, based on Article 114(10) TFEU and included in most sectoral Union harmonisation
legislation, authorises Member States to take restrictive measures in relation to products presenting a risk to health and
safety or other aspects of public interests protection and obliges them to notify those measures to the Commission and
other Member States. The safeguard clause procedure is designed to provide a means to inform all national market
surveillance authorities about dangerous products, and, accordingly, to have the necessary restrictions extended to all
Member States, so as to ensure an equivalent level of protection throughout the EU. Furthermore, it allows the
Commission to take a position on the national measures restricting the free movement of products with a view to
ensuring the functioning of the internal market.
It is to be noted that the safeguard procedure is distinct from the RAPEX Rapid Alert System procedure because of their
different notification criteria and different methods of application281.
Where, having performed an evaluation, a Member State finds that a product is non-compliant or a product is in
compliance but presents a risk to the health or safety of persons or to other aspects of public interest protection, it must
require the relevant economic operator to take all appropriate measures to ensure that the product concerned, when
made available on the market, no longer presents that risk, to withdraw the product from the market or to recall it within
a reasonable period, commensurate with the nature of the risk, as it may prescribe.
This procedure will be applicable, unless it is established that the risk does not affect a whole series of products
manufactured, however limited the series, or that the risk is not due to the product itself but to its misuse, that is, when
not used in accordance with their intended purpose or under conditions which can be reasonably foreseen and when not
properly installed and maintained.. For an isolated error, limited to the territory of the Member State that has discovered
the non-compliance, there is no need to invoke the safeguard clause, since there is no need to take action at EU level. In
addition, the risk must be due to the product itself and not to its misuse.
Conformity can be enforced if the national authority requests the manufacturer or the authorised representative to take
the necessary measures, or if the product is modified or voluntarily withdrawn from the market. Unless a formal decision
is taken in these cases, to prohibit or restrict the making available on the market of the product or to have it withdrawn
from the market, the safeguard clause procedure is not invoked. In case there is no compulsory measure; there is no
need to invoke the safeguard clause282.
281
282
The safeguard clause procedures under the Union harmonisation legislation apply independently from Rapid Alert System. Accordingly, Rapid Alert
System does not necessarily have to come into play before the safeguard clause procedure is applied. However, the safeguard clause procedure has
to be applied, in addition to Rapid Alert System, when a Member State takes a decision to permanently prohibit or restrict the free movement of
harmonised products on the basis of a danger or other serious risk presented by the product.
Even if it may not constitute a safeguard clause, the market surveillance authorities shall inform the Commission and other Member States of actions
taken against non-compliant products where the non-compliance is not restricted to the national territory (see Art. R31(2) of Annex I of Decision No
768/2008/EC.
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However, if an economic operator does not take adequate corrective action within the period indicated by a market
surveillance authority, the market surveillance authorities have to take all appropriate provisional measures to prohibit or
restrict the products being made available on their national market, to withdraw the product from that market or to
recall it.
7.5.2.
The safeguard clause applies where Member States adopt compulsory restrictive measures because the relevant
economic operator does not take adequate corrective action himself and notify them to the European
Commission.
When the restrictive measures notified are considered justified the other Member States must ensure that
appropriate follow-up in respect of the product concerned, such as withdrawal of the product from their market,
without delay.
7.5.2.1.
The application of the safeguard clause requires that the competent national authority takes a compulsory measure to
restrict or forbid the making available on the market and, possibly, the putting into service of the product, or has it
withdrawn from the market where the relevant economic operator does not take adequate corrective action himself. The
contents of the decision should relate to all products belonging to the same type, batch or series. It must also have
binding legal effect: it is followed by sanctions, if not respected, and can be subject to an appeals procedure. Court
decisions, which restrict the free movement of CE marked product within the scope of the relevant Union harmonisation
legislation, do not invoke the safeguard clause. However, where administrative proceedings initiated by the surveillance
authority must be, according to the national law, confirmed by a court, such court decisions are not excluded from the
safeguard clause procedure.
The findings that justify the national measure are established either by the market surveillance authority on its own
initiative or based on information received from a third party (such as consumers, competitors, consumer organisations,
labour inspectorates). Further, the national measure must be based on evidence (for example tests or examinations)
that constitutes sufficient proof of errors in the product design or the manufacture to indicate a foreseeable potential or
actual danger or other substantial non-compliance, even when the products are correctly constructed, installed,
maintained and used in accordance with their intended purpose or in a reasonably foreseeable way. There is a grey zone
between correct and incorrect maintenance and use, and it can be considered that, to a certain extent, products should
be safe, even if maintained and used for their intended purpose in an incorrect way that can reasonably be expected. In
evaluating this, the data supplied by the manufacturer on the labelling, in the instructions, in the users manual or in
promotion materials are to be taken into consideration.
The reason for taking restrictive measures may result, for instance, from differences or failures in the application of
essential requirements, incorrect application of harmonised standards or shortcomings in them. The surveillance
authority can add or specify other motives (for example failure to comply with good engineering practice) when invoking
the safeguard clause, provided that they are directly linked with these three reasons.
Where non-compliance with harmonised standards that give a presumption of conformity is established, the
manufacturer, or the authorised representative, must be requested to provide evidence about compliance with essential
requirements. The decision of the competent authority to take corrective action must always be based on an established
non-compliance with the essential requirements.
The measures taken by authorities have to be proportionate with the seriousness of the risk and the non-compliance of
the product and have to be notified to the Commission.
7.5.2.2.
As soon as a competent national authority restricts or forbids the free movement of a product in such way that the
safeguard clause is invoked, the Member State must immediately notify283 the Commission indicating the reasons and
justification for the decision.
283
This notification should be made via ICSMS. A link between the ICSMS database and the GRS RAPEX IT tool will prevent double encoding of
information by national authorities for the purposes respectively of the safeguard clause process and rapid alerts according to Article 22 of the
Regulation (EC) No 765/2008.
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name and address of the manufacturer, the authorised representative, and in addition if necessary the
name and address of the importer or other person responsible for making the product available on the market;
the data necessary for the identification of the product concerned, the origin and the supply chain of the
product;
the nature of the risk involved and the nature of the national measures taken;
a reference to the Union harmonisation legislation, and in particular to the essential requirements, against
which the non-compliance has been established;
a comprehensive assessment and evidence to justify the measure (for example harmonised standards or other
technical specifications used by the authority, the test reports and identification of the testing laboratory). In
particular, the market surveillance authorities must indicate whether the non-compliance is due to either:
a) failure of the product to meet requirements relating to the health or safety of persons or to other aspects of
public interest protection; or
b) shortcomings in the harmonised standards conferring a presumption of conformity.
the name and number of any notified body that intervened in the conformity assessment procedure, if
applicable;
7.5.2.3.
Where objections are raised against a measure taken by a Member State 284, or where the Commission considers a
national measure to be contrary to Union harmonisation legislation, the Commission must without delay enter into
consultation with the Member States and the relevant economic operator or operators and must evaluate the national
measure. On the basis of the results of this evaluation, the Commission decides whether the national measure is justified
or not.
The Commission addresses its decision to all Member States and immediately communicates it to them and the relevant
economic operator or operators.
If the national measure is considered justified, all Member States must take the measures necessary to ensure that the
non-compliant product is withdrawn from their market, and must inform the Commission accordingly. If the national
measure is considered unjustified, the Member State concerned must withdraw the measure.
Where the national measure is considered justified and the non-compliance of the product is attributed to shortcomings
in the harmonised standards, the Commission shall apply the procedure provided for in Article 11 of Regulation (EU) No
1025/2012 concerning the formal objection to harmonised standard.
Member States other than the Member State initiating the procedure must without delay inform the Commission and the
other Member States of any measures adopted and of any additional information at their disposal relating to the noncompliance of the product concerned, and, in the event of disagreement with the notified national measure, of their
objections. Member States must ensure that appropriate restrictive measures are taken in respect of the product
concerned, such as withdrawal of the product from their market, without delay.
Where, within a certain period of time of receipt of the information, no objection has been raised by either a Member
State or the Commission in respect of a provisional measure taken by a Member State, that measure should be deemed
justified.
284
Union harmonisation legislation aligned to Decision No 768/2008/EC provides for a safeguard procedure which applies only in the event of
disagreement between Member States over measures taken by a Member State. The aim is to ensure that proportionate and appropriate measures
were taken when a non-compliant product is present in their territory and that similar approaches are taken in the different Member States.
While in the past a notification of a risk of a product was notified, Commission had to open a case and elaborate an opinion, now, this burden has
been removed and a safeguard case is only opened if a Member State or Commission objects to the measure taken by the notifying authority.
Where the Member States and the Commission agree as to the justification of a measure taken by a Member State, no further involvement of the
Commission is required, except where non-compliance can be attributed to shortcomings of a harmonised standard.
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Conversely, should the Commission see no justification for the national action that invoked the safeguard clause, it will
ask the Member State to withdraw its action and take immediate appropriate steps to re-establish the free movement of
the products in question on its territory.
Whether the action taken by the Member State is considered justified or not, in either case, the Commission keeps the
Member States informed of the progress and the results of the procedure.
Once the decision is taken by the Commission, it can be legally challenged by Member States on the basis of Article 263
TFEU. The economic operator directly concerned by the Decision may also challenge it on the basis of article 263 TFEU.
If the initiating Member State does not withdraw the measure in case of non-justification, in this case, the Commission
will consider initiating the infringement procedure provided for by Article 258 TFEU.
7.5.3.
The cooperation between national market surveillance authorities is indispensable for the success of the market
surveillance policy of the Union as a whole.
Mutual assistance, sharing of test reports and Administrative Cooperation groups (ADCOs) constitute essential
tools.
The cooperation of Member States is facilitated by the use of specific IT platforms for exchange of information.
The proper application of Union law depends on a smooth administrative cooperation to ensure uniform and efficient
enforcement of Union legislation in all Member States. The obligation to cooperate is in line with Article 20 of the Treaty
on European Union (TEU) which states that Member States must take all appropriate measures to fulfil their
obligations285, and with Article 24 of Regulation (EC) No 765/2008. Although technical harmonisation has created a
single market, where products move over national borders, market surveillance is carried out on a national basis.
Administrative cooperation mechanisms between nation- al surveillance authorities, therefore, need to be developed to
increase the efficiency of surveillance, to minimise the effect of different surveillance practices and to reduce the
overlapping of national surveillance operations. Cooperation between market surveillance authorities can also spread
good surveillance practice and techniques across the Union, as it allows national authorities to compare their methods
with those of other authorities, for example in the framework of comparisons and joint surveys or study visits. In
addition, cooperation can be useful for exchanging views and solving practical problems.
Administrative cooperation calls for mutual trust and transparency between national surveillance authorities. Member
States and the Commission need to be informed about the way enforcement of Union harmonisation legislation, in
particular market surveillance of products is organised throughout the single market. This includes information about
national authorities in charge of market surveillance for the different product sectors, and about national market
surveillance mechanisms to clarify how monitoring of products made available on the market takes place and what
corrective actions and other activities the surveillance authority is entitled to use.
Transparency is also necessary regarding the national rules on confidentiality. For the achievement of effective market
surveillance in the Union, it is important that national surveillance authorities assist each other. On request, a national
authority should make information available and provide other assistance. Without prior request, a national authority
may consider sending to the other national authorities all relevant information concerning operations that constitute, or
are likely to constitute, breaches of Union harmonisation legislation, which may have an impact on the territory of other
Member States. In addition, the national authorities should communicate to the Commission any information they
consider relevant, spontaneously or in response to a reasoned request from the Commission. The Commission may then
communicate this information to the other national authorities when considered necessary.
Cooperation and mutual assistance according to Article 24(2) of Regulation (EC) No 765/2008 are, in particular,
necessary to ensure that action can be taken against all those who are responsible for a non-compliant product being
made available on the market. In some cases the authority of the Member State, where the manufacturer, the
authorised representative, or other responsible person is established, needs to be contacted. This is to enforce requests
of information made to these economic operators, for example to require the EU declaration of conformity or some
285
An explicit obligation for administrative cooperation is laid down in the Directives relating to pressure equipment and in vitro diagnostic medical
devices: Member States are required to take appropriate measures in order to encourage/ensure that the authorities responsible for implementing
the Directive cooperate with each other, and provide each other (and the Commission) with information in order to assist the functioning of the
Directive.
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specified details from the technical documentation, or to request information concerning the distribution chain, and not
followed up by them. The Member State under whose jurisdiction the notified body operates (where applicable) needs to
be contacted as well. When a national authority acts due to information it has received from another national body, it
should report back to this authority on the outcome of the action.
Moreover, market surveillance would be more efficient, at the Union level, if the national surveillance authorities could
agree on how to allocate their resources in such a way that a maximum number of different product types could be
covered in each sector. To avoid duplication of product tests, or other investigations for market surveillance purposes,
national authorities should exchange summary reports of these tests. This can be done by using the Information and
Communication System for Market Surveillance (ICSMS)286. National surveillance authorities should also consider
whether or not there is a special need to carry out technical analyses or laboratory tests when another surveillance
authority has already done so, and the results are available to those authorities or may at their request be placed at
their disposal287. It might also be useful to exchange results of periodic inspections on equipment in service, to the
extent that they provide information on the compliance of products when they were placed on the market.
Information exchanged between national surveillance authorities has to be covered by professional confidentiality,
according to the principles of the national legal system in question, and it has to enjoy the protection extended to similar
information under national law. Where a Member States has rules permitting free access by persons to information held
by surveillance authorities, this fact must be revealed at the time of the request to another surveillance authority, or
during the exchange of information if no such request occurs. If the sending authority indicates that the information
involves matters of professional or commercial confidentiality, the receiving authority should ensure that this can be
provided for. Otherwise the sending authority is entitled to withhold the information. Coordination and exchange of
information between national surveillance authorities need to be agreed by the parties involved and taking into account
the needs of the sector concerned. The following principles could be taken into consideration, where appropriate:
appointing a national communication point or correspondent for every sector, which would coordinate internally
as appropriate;
agreeing about the types of cases for which the communication of surveillance information would serve a useful
purpose;
developing a common approach to issues such as the classification of risks and hazards and their coding;
identifying of the details which should be communicated in each case, including the request for further
information;
transmitting information (requests and responses), as simply as possible, by e-mail, or through a telematic
system operated by the Commission (ICSMS) or an external body, and by using standard multi-language forms;
taking advantage of up-to-date data recording techniques so that enquiries can be easily undertaken and
Cooperation between national administrations takes place in working groups set up under the Union harmonisation
legislation. Discussions mainly focus on interpretation issues, but questions related to market surveillance and
administrative cooperation are also dealt with. Administrative cooperation between national authorities carrying out
market surveillance is taking place in the following sectors: measuring instruments and nonautomatic weighing
instruments (WELMEC), low voltage equipment (LVD ADCO), Eco-Design ADCO Group, electromagnetic compatibility
(EMC administrative cooperation), machinery, medical devices (Vigilance Working Group and COEN Compliance and
Enforcement Group), PEMSAC (The Platform of European Market Surveillance Authorities for Cosmetics), Toy-ADCO (The
Administrative Cooperation Group of toys), telecommunications terminal equipment (TCAM), recreational craft, personal
protective equipment, ATEX equipment, Radio and Telecommunications Terminal Equipment (R&TTE), Cableways
(CABLE), Energy Labelling (ENERLAB), Gas Appliances (GAD), Lifts (LIFTS), Marine Equipment (MED), Noise, Pressure
equipment sector (PED/SVPD), Pyrotechnics (PYROTEC), Chemicals (REACH), Restriction of the use of certain hazardous
substances (ROHS), Transportable Pressure Equipment (TPED), Labelling of tyres. There are also groups dealing with
more horizontal issues such as PROSAFE (the product safety forum of Europe), the Expert Group on Internal Market for
Products (IMP-MSG), a horizontal committee where, for instance, general questions related to the implementation and
286
287
288
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enforcement of Union harmonisation legislation, such as horizontal aspects of market surveillance, are discussed. The
emergencies committees, set up under the GPSD, regularly discusses administrative cooperation issues of general
interest.
7.5.4.
The Rapid Alert System used for non-food products allows 31 participating countries (all EEA countries) and the
European Commission to exchange information on products presenting a risk to health and safety or other protected
interests and on the measures taken by these countries to do away with that risk.
Article 12 of the GPSD provides a legal basis for a general and horizontal system for the rapid exchange of information
on serious risks arising from the use of products (RAPEX, Rapid Alert System).
The Rapid Alert System covers consumer and professional products 289. It is applicable to non-harmonised products and
products covered by the Union harmonisation legislation alike290.
The Rapid Alert System works according to the detailed procedures laid down in annex II to the GPSD and in the Rapid
Alert System guidelines291.
With the entry into force of Regulation (EC) No 765/2008, the scope of the Rapid Alert System system was extended to
risks other than those affecting health and safety (i.e. risks for the environment and in the work place, security risks)
and also to products intended for professional (as opposed to consumer) use. Member States should ensure that
products which present a serious risk requiring rapid intervention, including a serious risk the effects of which are not
immediate, are recalled, withdrawn or that their being made available on their market is prohibited, and that the
Commission is informed without delay through Rapid Alert System under Article 22 of Regulation (EC) No 765/2008.
On 16 December 2009, the Commission adopted Decision 2010/15/EU292 laying down the new guidelines for the
management of the Rapid Alert System. Since guidelines were written before 1 January 2010 they refer explicitly only to
notifications based on the GPSD. Nevertheless they are the main reference also for notifications based on Regulation
(EC) No 765/2008 (see Article 22(4) therein) professional products and risks other than health and safety.
The Rapid Alert System procedure is as follows:
When a product (e.g. a toy, a childcare article or a household appliance) is found, for instance, to be dangerous,
the competent national authority takes appropriate action to eliminate the risk. It can withdraw the product from
the market, recall it from consumers or issue warnings. Economic operators can take such measures also
voluntarily which has to be reported by the competent authorities as well. The National Contact Point then informs
the European Commission (through IT system GRAS- Rapid Alert System 293) about the product, the risks it poses
and the measures taken by the authority or the economic operator to prevent risks and accidents.
The Commission disseminates the information that it receives to the National Contact Points of all other EU and
EEA countries. It publishes weekly overviews of products posing a risk and the measures taken to eliminate the
risks on the Commission's Rapid Alert System website294.
The National Contact Points in each EU and EEA country ensure that the authorities responsible check whether the
newly notified product is present on the market. If so, the authorities take measures to eliminate the risk, either by
requiring that the product is withdrawn from the market, by recalling it from consumers or by issuing warnings.
The safeguard clause procedures under the Union harmonisation legislation apply in addition to the Rapid Alert System.
Accordingly, the Rapid Alert System does not necessarily have to come into play before the safeguard clause procedure
is applied. However, the safeguard clause procedure has to be applied, in addition to the Rapid Alert System , when the
289
290
291
292
293
294
Under Article 22 of Regulation (EC) No 765/2008, the Rapid Alert System applies to products covered by Union harmonisation legislation.
In the field of medicinal products and medical devices, there is a specific information exchange system.
Adopted as Commission Decision 2010/15/EU of 16 December 2009 laying down guidelines for the management of the Community Rapid
Information System RAPEX established under Article 12 and of the notification procedure established under Article 11 of Directive 2001/95/EC (the
General Product safety Directive, OJEU L 22, 26.11.2010, p. 1. The Commission is in the process of drafting an EU wide Risk Assessment
Methodology which builds on the RAPEX guidelines, developed within the framework of the GPSD and extends risks assessment to products that can
harm the health and safety of professional users or other public interests.
Decision 2010/15/EU is available at: http://ec.europa.eu/consumers/safety/rapex/docs/rapex_guid_26012010_en.pdf
General Rapid Alert System for the RAPEX notifications. GRAS-RAPEX replaced RAPEX-REIS (Rapid Exchange Information System for the Rapid Alert
System application and extended the scope of Rapid Alert System to professional products and to other risks than health and safety.
http://ec.europa.eu/consumers/consumers_safety/safety_products/rapex/index_en.htm
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Member State takes a decision to permanently prohibit or restrict the free movement of CE marked products on the
basis of a danger or other serious risk presented by the product.
7.5.5.
ICSMS
ICSMS (Information and Communication System for Market Surveillance) is an IT tool that provides for a
comprehensive communication platform between all the market surveillance authorities.
ICSMS consists of an internal (accessible only to market surveillance authorities) and a public area.
7.5.5.1.
Role
ICSMS offers fast and efficient communication means for market surveillance authorities to exchange information within
a short space of time. ICSMS allows information on non-compliant products (test results, product identification data,
photographs, economic operator information, risk assessments, accident information, information on measures taken by
surveillance authorities etc.) to be quickly and efficiently shared between authorities.
The aim is not only to avoid cases where an unsafe product taken off the market in one country to be on sale for a long
time in another country but mainly to have a market surveillance policy tool that allows to establish a co-operation
mechanism among authorities.
While being aware of the fact that the mere reliable exchange of information is crucial for the market surveillance, it
must be acknowledged that the added value of ICSMS stems from its capacity to be the platform for the implementation
of the European market surveillance policy.
In this respect whenever a national authority wants to exchange information about a product under investigation with
other authorities in order to share resources (e.g. for product checks), carry out common actions or consult other
authorities, it must input into ICSMS the relevant information. This must be done as early as possible and certainly well
before the decision to adopt measures for products found to present a risk. E.g. if a national authority cannot determine
the level of the risk presented by a relevant product and carries out investigations, it must use ICSMS in order to
communicate with the competent authorities of the other Member States.
ICSMS is not limited only to non-compliant products, but it gives information also regarding all products checked by
authorities even if the result of the checks would be that no non-compliances have been found. This helps authorities
avoiding any double (or multiple) checking of products.
Thus the ultimate role of ICSMS is to help the European Union to fulfil one of its major political objectives; i.e. to ensure
reliability and coherence in the implementation and enforcement of the European legislation) in order for operators and
citizens to benefit from the original intention of full access to the Internal Market.
In particular ICSMS helps market surveillance authorities to:
coordinate their activities and inspections more effectively, especially by focusing on products which have not been
inspected or tested yet;
share resources and have thus more time to concentrate on other products which have yet to be tested;
carry out wide-scale market interventions wherever products of a dubious nature are concerned using the latest
information and avoid thus duplicate and multiple inspections;
ensure that market surveillance is efficient and of even rigour in all Member States and avoid thus distortion to
competition;
7.5.5.2.
Structure
The internal area is destined for market surveillance authorities, customs authorities and the EU. It contains all
information available (product description, test results, measures taken etc.). Only ICSMS account holders may access
this area.
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The public area is destined for consumers, users and manufacturers. The information which is visible to the public
provides only the data, which reference the product and its non-compliance and not any internal documents (i.e.
information exchange between authority and importer/manufacturer).
ICSMS enables specific searches for non-compliant products. Confidentiality aspects are protected by a system of access
authorisations.
Each market surveillance authority can input data about investigated products, which are not already in the database
and add information (e.g. additional tests results, measures taken) to an already existing product information file.
The Commission ensures the proper functioning of ICSMS. The use of ICSMS is free of charge.
7.5.6.
any technical or medical reason in relation to the characteristics or performance of a device, and which leads
the manufacturer to systematically recall all devices of the same type.
The manufacturer is responsible for activating the vigilance system and must, accordingly, inform the surveillance
authority about incidents that invoke it. After the notification, the manufacturer is obliged to make investigations, send a
report to the surveillance authority and consider, in collaboration with the authority, what action should be taken.
The manufacturers notification is followed by an assessment carried out by the surveillance authority, if possible
together with the manufacturer. After the assessment, the authority must immediately inform the Commission, and the
other Member States, of the incidents for which relevant measures have been taken or are contemplated. The
Commission may then take any steps to coordinate, facilitate and support measures taken by the national surveillance
authorities when dealing with the same type of incidents, or, if necessary, take measures at Union level (for example
envisaging the re-classification of the device). A databank containing, among other information, data obtained in
accordance with the vigilance system will be set up and made accessible to the competent authorities. The vigilance
system is different from the safeguard clause procedure, since it requires notification even if the manufacturer takes the
necessary measures on a voluntary basis. Nevertheless, when applying the vigilance system the surveillance authority is
also obliged to adopt a restrictive measure vis--vis non-compliant CE marked products, if the conditions for invoking the
safeguard clause apply and, accordingly, notify this measure following the safeguard clause procedure. However, the
vigilance system does not necessarily have to come into play before the safeguard clause procedure is applied.
295
See Directives relating to active implantable medical devices, medical devices and in vitro diagnostic medical devices.
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296
297
This Chapter deals only with products subject to Union harmonisation legislation. The free movement is products not subject to Union harmonisation
legislation is dealt by the Guide to the application of Treaty provisions governing the free movement of goods, available at:
http://ec.europa.eu/enterprise/policies/single-market-goods/files/goods/docs/art34-36/new_guide_en.pdf
A more detailed description of the procedures to be followed in case of products presenting a risk to the health or safety of persons or to other
aspects of public interest protection is provided in chapter 7.
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full integration of the EEA EFTA countries in the internal market by virtue of the EEA agreement298,
alignment of the legislative system and infrastructure of the Candidate countries with those of the EU
conclusion of bilateral (inter-governmental) Mutual Recognition Agreements (MRAs) for conformity assessment,
certificates and marking, which are intended to reduce the costs of testing and certification in other markets,
and
298
299
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there is no European technical legislation applicable to relevant products. More sectoral annexes can be added
successively.
A first ACAA entered into force in January 2013 with Israel on pharmaceutical products. At the time of writing, other
Mediterranean partners are finalising the preparatory work for launching negotiations in a number of New Approach
sectors (electrical products, construction materials, toys, gas appliances and pressure equipment).
Mutual recognition agreements are established between the Union and third countries, which are on a
comparable level of technical development and have a compatible approach concerning conformity assessment.
These agreements are based on the mutual acceptance of certificates, marks of conformity and test reports
issued by the conformity assessment bodies of either party in conformity with the legislation of the other party.
9.2.1.
MAIN CHARACTERISTICS
One of the instruments to promote international trade of regulated products is the conclusion of mutual recognition
agreements (MRAs) on the basis of Article 207 and 218 TFEU. MRAs are agreements established between the Union and
third countries for the purpose of mutual recognition of conformity assessment of regulated products.
MRAs are designed so that each party accepts the reports, certificates and marks that are delivered in the partner
country in accordance with its own legislation. These are drawn up and issued by bodies that the other party has
designated under the MRA for assessing conformity in the field(s) covered by the MRA. This can be achieved, because
MRAs include all the conformity assessment requirements of the parties necessary to obtain full market access, and the
products are evaluated in the country of production against the regulatory requirements of the other party. These are
usually referred to as Traditional MRAs.
MRAs cover the entire territory of the parties in order to guarantee the full free movement of products certified to be in
conformity, in particular in States with a federal structure. As a general rule, MRAs are limited to products that have their
origin on the territory of either party.
MRAs apply to one or more categories of products or sectors falling within the regulated field (they are covered by Union
harmonisation legislation in force) and, in certain cases, by non-harmonised national law. In principle MRAs should cover
all the industrial products for which the regulations of at least one of the parties require third party conformity
assessment.
MRAs comprise a framework agreement and sectoral annexes. The framework agreement lays down the essential
principles of a traditional agreement. Sectoral annexes specify, in particular, the scope and coverage, regulatory
requirements, the list of designated conformity assessment bodies, the procedures and authorities responsible for
designating these bodies and, if applicable, transitional periods. More sectoral annexes can be added successively.
MRAs are not based on the necessity to mutually accept other partys standards or technical regulations, or to consider
the legislation of the two parties as equivalent. They involve only the mutual acceptance of the reports, certificates and
marks that are delivered in the partner country in accordance with its own legislation. However, MRAs can pave the way
towards a harmonised system of standardisation and certification by the parties. Nevertheless, the two legislations are,
as a rule, deemed to ensure a comparable level of protection regarding health, safety, environment or other public
interests. Moreover, MRAs increase the transparency of the regulatory systems. Once established, the MRA needs to be
maintained, for example by keeping lists of recognised certification bodies, and the standards or rules against which they
must certify.
The benefits of the MRA arise from removal of duplicated inspection or certification. Where a product intended for two
markets may still have to be assessed twice (when technical requirements or standards are different), the assessment
will be cheaper when carried out by the same body. The time to market is reduced since contacts between the
manufacturer and the single conformity assessment body, and a single assessment, speed up the process. Even where
the underlying regulations are harmonised, for example because they refer to an international standard, the need for
recognition of certificates remains, and in such cases the benefit will be clear: the product is assessed once against the
commonly accepted standard instead of twice.
Currently there are MRAs into force with Australia, New Zealand, the United States, Canada, Japan and Switzerland.
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The above agreements are concluded in a number of specific sectors which might vary from one country to another.
More details on the agreements can be found at the following address: http://ec.europa.eu/growth/singlemarket/goods/international-aspects/mutual-recognition-agreements/index_en.htm. The bodies designated under MRAs
figure in a dedicated part of NANDO.
9.2.2.
EU-SWISS MRA
The MRA concluded with Switzerland which entered into force on 1 June 2002 (OJ L114 of 30/04/2002) is a
comprehensive agreement based on the equivalence of the legislation of the EU and Switzerland 300. It covers the
recognition of conformity assessments irrespective of the origin of the products, except for Chapter 15 on Medicinal
products, GMP Inspection and Batch Certification. This type of MRA agreement is usually referred to as an Enhanced
MRA. However, the case of Switzerland remains quite unique.
The provisions of the Agreement and the harmonisation of Swiss technical regulations with those of the EU ensure
seamless market access for EU products to the Swiss market, and vice versa for Swiss products to the EU/EEA market.
However, despite the MRA, there is no customs union between the EU and Switzerland.
According to the Agreement, the Swiss Accreditation Service (SAS) is a full member of European co-operation for
Accreditation (EA) and is signatory of all mutual recognition agreements with the EA. In the area of standardisation,
Switzerland is full member of CEN, CENELEC and ETSI and participates actively in the work of the European
standardisation.
Furthermore, an EU conformity assessment body is allowed to issue certificates in the EU according to EU legislation,
which are deemed equivalent to those of Switzerland. The same applies conversely to the Swiss conformity assessment
bodies. Thus, certificates issued by Swiss conformity assessment bodies accredited by SAS for product covered by the
MRA are deemed equivalent to those issued by EU conformity assessment bodies.
This was only possible because, on the one hand, Switzerland has an existing technical infrastructure (e.g. the public or
private institutions dealing with standards, accreditation, conformity assessment, market surveillance and consumer
protection) which is equally developed and deemed equivalent to the one existing in the EU. On the other hand,
Switzerland has chosen to modify its legislation in the sectors covered by the agreement, in order to align it with that of
the Union. Furthermore, it has committed to maintain its legislation aligned whenever amendments to it are introduced
by the Union to the applicable EU legal framework.
The so called Enhanced MRA agreement with Switzerland currently covers twenty product sectors: Machinery, Personal
Protective Equipment (PPE), Safety of Toys, Medical Devices, Gas Appliances and Boilers, Pressure Equipment,
Telecommunications Terminal Equipment, Equipment and Protective Systems intended for use in potentially explosive
atmosphere (ATEX), Electrical Safety and Electromagnetic Compatibility (EMC), Construction Plant and Equipment,
Measuring Instruments and Pre-packages, Motor Vehicles, Agricultural and Forestry Tractors, Good Laboratory Practice
(GLP), Good Manufacturing Practice (GMP) Inspection and Batch Certification, Construction products, Lifts, Biocidal
Products, Cableways installations and Explosives for civil use.
A parallel MRA covering exactly the same scope has been concluded between the EEA EFTA States and Switzerland
(Annex I to the EFTA Vaduz Convention which entered into force on 1 June 2002), ensuring a homogeneous market
access throughout the EU internal market, the EEA and Switzerland.
9.2.3.
The mandate from the Council to the Commission to negotiate mutual recognition agreements and Agreements on
conformity assessment and acceptance of industrial products indicated the objective that the third countries concerned
will conclude with the EEA EFTA States parallel agreements equivalent to those to be concluded with the Union, and
which will, possibly, have the same date for entry into force.
The system of parallel agreements formally grants the third country concerned the same market access throughout the
European Economic Area for products covered by the mutual recognition agreements or Agreements on conformity
300
The full text of the MRA EU-Switzerland and specific provisions may be found on the homepage of the Commission:
http://ec.europa.eu/growth/single-market/goods/international-aspects/mutual-recognition-agreements/index_en.htm
Page | 115
assessment and acceptance of industrial products. As to the practical implementation of these agreements, common
sessions of the Joint Committee meetings with the third country concerned will be arranged.
Page | 116
10. ANNEXES
10.1. ANNEX 1 EU LEGISLATION REFERRED TO IN THE GUIDE (NON-EXHAUSTIVE LIST)
Horizontal Union harmonisation Act
Regulation (EC) 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
Decision No 768/2008/EC of the European Parliament and of the Council of 9 July 2008 on a
common framework for the marketing of products
Regulation (EC) No 764/2008 of the European Parliament and of the Council of 9 July 2008 laying
down procedures relating to the application of certain national technical rules to products lawfully
marketed in another Member State and repealing Decision No 3052/95/EC
Council Directive 85/374/EEC of 25 July 1985 on the approximation of the laws, regulations and
administrative provisions of the Member States concerning liability for defective products
Directive 2001/95/EC of the European Parliament and of the Council of 3 December 2001 on
General Product Safety
Regulation (EU) No 1025/2012 of the European Parliament and of the Council of 25 October 2012
on European standardisation
Page | 117
Number
(amendment)
765/2008
OJ L 218/30 of 13/08/2008
768/2008/EC
OJ L 218/82 of 13/08/2008
764/2008
OJ L 218/21 of 13/08/2008
85/374/EEC
(1999/34/EC)
OJ L 210 of 07/08/1985 (L
141/20 of 04/06/1999)
2001/95/EC
OJ L 11 of 15/01/2002
1025/2012
OJ L 316/12 of 14/11/2012
Number
(amendment)
73/23/EEC
93/68/
2006/95/EC
Directive 2014/35/EU of the European Parliament and of the Council of 26 February 2014 on the
harmonisation of the laws of the Member States relating to the making available on the market of
electrical equipment designed for use within certain voltage limits (recast)
Directive 2009/48/EC of the European Parliament and of the Council of 18 June 2009 on the safety
of toys
Council Directive 89/336/EEC of 3 May 1989 on the approximation of the laws of the Member
States relating to electromagnetic compatibility
2014/35/EU
OJ L 77 of 26/03/73
OJ L 220 of 30/08/93
OJ L 374 of 27/12/06
(OJ L 181 of 04/07/73)
OJ L 96 of 29/3/2014
2009/48/EC
89/336/EEC 92/31/
EEC 93/68/
2004/108/EC
(98/1/)
Directive 2014/30/EU of the European Parliament and of the Council of 26 February 2014 on the
harmonisation of the laws of the Member States relating to electromagnetic compatibility (recast)
Directive of the European Parliament and of the Council of 22 June 1998 on the approximation of
the laws of the Member States relating to machinery
2014/30/EU
OJ L 139 of 23/05//89
OJ L 126 of 12/05/92
OJ L 220 of 30/08/93
OJ L 390 of 31/12/04
(OJ L 74 of 12/03/98)
(OJ L 144 of 27/05/89)
OJ L 96 of 29/3/2014
Council Directive of 21 December 1989 on the approximation of the laws of the Member States
relating to personal protective equipment
89/686/EEC 93/68/
93/95/
96/58/
Directive 2009/23/EC of the European Parliament and of the Council of 23 April 2009 on nonautomatic weighing instruments
90/384/EEC 93/68/
2009/23/EC
Directive 2014/31/EU of the European Parliament and of the Council of 26 February 2014 on the
harmonisation of the laws of the Member States relating to the making available on the market of
non-automatic weighing instruments (recast)
Directive 2004/22/EC of the European Parliament and of the Council of 31 March 2004 on
measuring instruments
Directive 2014/32/EU of the European Parliament and of the Council of 26 February 2014 on the
harmonisation of the laws of the Member States relating to the making available on the market of
measuring instruments (recast)
2014/31/EU
OJ L 207 of 23/07/98
OJ L 331 of 07/12/98
(OJ L 16 of 21/01/99)
OJ L 399 of 30/12/89
OJ L 220 of 30/08/93
OJ L 276 of 09/11/93
OJ L 236 of 18/09/96
OJ L 189 of 20/07/90
OJ L 220 of 30/08/93
OJ L 122 of 16/05/09
(OJ L 258 of 22/09/90)
OJ L 96 of 29/3/2014
2004/22/EC
L 135/1 of 30/04/2004
2014/32/EU
OJ L 96 of 29/3/2014
Page | 118
98/37/EC
98/79/EC
Number
(amendment)
93/42/EEC
98/79/
2000/70/EC
2001/104/EC
2007/97/EC
Council Directive of 20 June 1990 on the approximation of the laws of the Member States relating
to active implantable medical devices
90/385/EEC
93/42/
93/68/
Directive 98/79/EC of the European Parliament and of the Council of 27 October 1998 on in vitro
diagnostic medical devices
98/79/EC
Council Directive 90/396/EEC of 29 June 1990 on the approximation of the laws of the Member
States relating to appliances burning gaseous fuels
90/396/EEC
93/68/
09/142/EC
Council Directive of 5 April 1993 on the harmonisation of the provisions relating to the placing on the
market and supervision of explosives for civil uses
Directive 2014/28/EU of the European Parliament and of the Council of 26 February 2014 on the
harmonisation of the laws of the Member States relating to the making available on the market and
supervision of explosives for civil uses (recast)
Directive 2007/23/EC of the European Parliament and of the Council of 23 May 2007 on the placing
on the market of pyrotechnic articles
Directive 2013/29/EU of the European Parliament and of the Council of 12 June 2013 on the
harmonisation of the laws of the Member States relating to the making available on the market of
pyrotechnic articles (recast)
Directive 94/9/EC of the European Parliament and the Council of 23 March 1994 on the
approximation of the laws of the Member States concerning equipment and protective systems
intended for use in potentially explosive atmospheres
Directive 2014/34/EU of the European Parliament and of the Council of 26 February 2014 on the
harmonisation of the laws of the Member States relating to equipment and protective systems
intended for use in potentially explosive atmospheres (recast)
Directive 94/25/EC of the European Parliament and of the Council of 16 June 1994 on the
approximation of the laws, regulations and administrative provisions of the Member States relating
to recreational craft
Directive 2013/53/EU of the European Parliament and of the Council of 20 November 2013 on
recreational craft and personal watercraft and repealing Directive 94/25/EC
European Parliament and Council Directive 95/16/EC of 29 June 1995 on the approximation of the
laws of the Member States relating to lifts
93/15/EEC
Page | 119
2014/28/EU
2007/23/EC
OJ L 154/1 of 14/06/2007
2013/29/EU
OJ L 178 of 28/6/2013
94/9/EC
OJ L 100 of 19/04/94
(OJ L 257 of 10/10/96)
2014/34/EU
OJ L 96 of 29/3/2014
94/25/EC 03/44/EC
2013/53/EU
OJ L 164 of 30/06/94
OJ L 214 of 26/08/03
(OJ L 127 of 10/06/95) (OJ L 17 of 21/01/97)
OJ L 354 of 28/12/2013
95/16/EC
OJ L 213 of 07/09/95
Directive 2000/14/EC of the European Parliament and of the Council of 8 May 2000 on the
approximation of the laws of the Member States relating to the noise emission in the
environment by equipment for use outdoors
Directive 2011/65/EU of the European Parliament and of the Council of 8 June 2011 on the
restriction of the use of certain hazardous substances in electrical and electronic equipment (RoHS)
Directive 2012/19/EU of the European Parliament and of the Council of 4 July 2012 on waste
electrical and electronic equipment (WEEE)
Page | 120
Number
(amendment)
2014/33/EU
2000/9/EC
OJ L 106/21 of 03/05/2000
97/23/EC
2014/68/EU
OJ L 181 of 09/07/97
(OJ L 265 of 27/09/97)
OJ L 189 of 27/6/2014
2009/105/EC
L 264/12 of 8/10/2009
2014/29/EU
OJ L 96 of 29/3/2014
2010/35/EC
OJ L 165/1 of 30/06/2010
75/324/EEC
94/1/EC
2008/47/EC
99/5/EC
OJ L 147 of 09/06/1975 OJ
L 23/28 of 28/01/1994 OJ
L 96 of 9/04/2008
OJ L 91 of 07/04/99
2014/53/EU
OJ L 153 of 22/5/2014
2009/125/EC
OJ L 285/10 of 31/10/2009
97/68/EC
2002/88/EC
2004/26/EC
2006/105/EC
2010/26/EU
2011/88/EU
2012/46/EU
2000/14/EC
2005/88/EC
219/2009
2011/65/EU
OJ
OJ
OJ
OJ
OJ
OJ
OJ
OJ
OJ
OJ
OJ
2012/19/EU
OJ L 197/38 of 24/07/2012
OJ L 96 of 29/3/2014
L
L
L
L
L
L
L
L
L
L
L
59 of 27/02/1998
35/28 of 11/02/2003
146/1 of 30/04/2004
368 of 20/12/2006
86/29 of 01/04/2010
350/1 of 23/11/2011
353/80 of 21/12/2012
162 of 03/07/2000
344 of 27/12/2005
87 of 31/03/2009
174 of 1/07/2011
Number
(amendment)
96/98/EC
2014/90/EU
2008/57/EC
2009/131/EC
2011/18/EU
2013/9/EU
European Parliament and Council Directive 94/62/EC of 20 December 1994 on packaging and
94/62/EC
packaging waste
2004/12/EC
2005/20/EC
Regulation (EC) No 552/2004 of the European Parliament and of the Council of 10 March 2004 on
552/2004
the interoperability of the European Air Traffic Management network
1070/2009
Directive 2010/30/EU of the European Parliament and of the Council of 19 May 2010 on the indication 2010/30/EU
by labelling and standard product information of the consumption of energy and other resources by
energy-related products
Regulation (EC) No 1222/2009 of the European Parliament and of the Council of 25 November 2009
1222/2009
on the labelling of tyres with respect to fuel efficiency and other essential parameters
Page | 121
Chemicals:
http://echa.europa.eu/support/guidance
Directive on the noise emission in the environment by equipment for use outdoors - Guide to application, publications and
studies:
http://ec.europa.eu/growth/sectors/mechanical-engineering/noise-emissions/index_en.htm
Guidelines on the application of Directive 94/9/EC of 23 March 1994 on the approximation of the laws of the Member
States concerning equipment and protective systems intended for use in potentially Explosive Atmospheres (Fourth edition
September 2012 ):
http://ec.europa.eu/growth/sectors/mechanical-engineering/atex/index_en.htm
Page | 122
http://ec.europa.eu/consumers/consumers_safety/safety_products/rapex/index_en.htm
Vademecum on European standardisation in support of Union legislation and policies (SWD(2015) 205 final, 27.10.2015):
http://ec.europa.eu/growth/single-market/european-standards/vademecum/index_en.htm
Page | 123
European standards
http://ec.europa.eu/growth/single-market/european-standards/index_en.htm
Page | 124
Design + Production
The manufacturer carries out himself
all checks in order to ensure the
conformity of the products to the
legislative requirements (no EC-type)
A1 (Internal production control plus
supervised product testing)
Design + Production
A + tests on specific aspects of the
product
Manufacturer
Page | 125
Modules
A2 (Internal production control plus
supervised product checks at random
intervals)
Design + Production
A + product checks at random
intervals
B (EC-type examination)
Design
Manufacturer
Page | 126
Notified Body
examination of a specimen,
(production type);
Modules
C (Conformity to type based on internal
production control)
Production (follows B)
The manufacturer carries out himself
all checks to ensure the conformity of
the products to the EC-type.
Production (follows B)
C + tests on specific aspects of the
product
Manufacturer
No involvement of Conformity
assessment body. The manufacturer
carries out himself all checks a notified
body would do
Page | 127
Modules
C2 (Conformity to type based on internal
production control plus supervised product
checks at random intervals)
Production (follows B)
C + product checks at random
intervals
Manufacturer
Page | 128
Modules
D (Conformity to EC-type based on quality
assurance of the production process)
Production (follows B)
Quality assurance for manufacturing
and inspection of final product
Manufacturer
Page | 129
Modules
D1 (Quality assurance of the production
process)
Design + Production
Quality assurance for manufacturing
and inspection of final product
Used like D without module B (No ECtype )
Manufacturer
Page | 130
Modules
E (Conformity to EC-type based on product
quality assurance)
Production (follows B)
Final product (=production without the
manufacturing part) quality assurance
Like D without the part of the quality
system that focuses on the
manufacturing process
Manufacturer
Page | 131
Modules
E1 (Quality assurance of final product
inspection and testing)
Design + Production
Final product (=production without the
manufacturing part) quality assurance
Like D1 without the part of the quality
system that focuses on the
manufacturing process
Used like E without module B (No ECtype)
Manufacturer
Page | 132
Modules
F (Conformity to EC-type based on product
verification)
Production (follows B)
Manufacturer
Page | 133
Modules
F1 (Conformity based on product
verification)
Design + Production
Product examination (testing of every
product or statistical checks) in order
to ensure conformity to legislative
requirements)
Used like F without module B (no ECtype)
Design + Production
Manufacturer
Page | 134
Modules
H (Conformity based on full quality
assurance)
Design + Production
Full quality assurance
No EC-type
Design + Production
Full quality assurance plus design
examination in order to ensure
conformity to legislative requirements
No EC-type but EC-design examination
certificate
Like module H plus issuing of a EC
design examination certificate
Manufacturer
Notified Body
Page | 135
10.5. ANNEX 5 RELATION BETWEEN ISO 9001 AND MODULES REQUIRING A QUALITY ASSURANCE SYSTEM
Quality requirements referred to
under modules of Decision
768/2008
the quality objectives and the
organisational structure,
responsibilities and powers of the
management with regard to
product quality,
Module D
Module D1
Module E
Module E1
Module H
EN ISO 9001:2008,
EN ISO 9001:2008,
EN ISO 9001:2008,
5.1, 5.3, 5.4, 5.5,
5.1, 5.3, 5.4, 5.5,
5.1, 5.3, 5.4
5.6 (without 5.6.2.b 5.6 (without 5.6.2.b (without reference to
customer feed-back)
customer feed-back)
7.1), 5.5, 5.6
(without 5.6.2.b
customer feed-back)
Not relevant - Module D Not relevant under
Not relevant - Module E
does not cover the
module D1, design
does not cover the
design phase
issues are covered by
design phase
means of technical
documentation
Not relevant - Module D Not relevant under
Not relevant - Module E
does not cover the
module D1, design
does not cover the
design phase
issues are covered by
design phase
means of technical
documentation
EN ISO 9001:2008,
5.1, 5.3, 5.4
(without reference to
7.1), 5.5, 5.6
(without 5.6.2.b
customer feed-back)
Not relevant under
module E1, design
issues are covered by
means of technical
documentation
Not relevant under
module E1, design
issues are covered by
means of technical
documentation
EN ISO 9001:2008,
EN ISO 9001:2008,
5.1, 5.3, 5.4, 5.5,
5.1, 5.3, 5.4,
5.6 (without 5.6.2.b 5.5, 5.6 (without
customer feed-back)
5.6.2.b customer
feed-back)
EN ISO 9001:2008,
7.5.1, 7.5.2, 7.5.3
EN ISO 9001:2008,
7.5.1, 7.5.2, 7.5.3
EN ISO 9001:2008,
7.6, 8.2.2, 8.2.3,
8.2.4 (only first
paragraph), 8.3, 8.4
(without 8.4.a customer satisfaction),
8.5
EN ISO 9001:2008, 4
EN ISO 9001:2008,
7.6, 8.2.2, 8.2.3,
8.2.4 (only first
paragraph), 8.3, 8.4
(without 8.4.a customer satisfaction),
8.5
EN ISO 9001:2008, 4
EN ISO 9001:2008,
7.6, 8.2.2, 8.2.3,
8.2.4 (only first
paragraph), 8.3, 8.4
(without 8.4.a customer satisfaction),
8.5
EN ISO 9001:2008, 4
Page | 136
Module H1
EN ISO 9001:2008,
7.3.1, 7.3.2, 7.3.3
EN ISO 9001:2008,
7.3.1, 7.3.2,
7.3.3
EN ISO 9001:2008,
7.3.4 - 7.3.7
EN ISO 9001:2008,
7.3.4 - 7.3.7
EN ISO 9001:2008,
7.5.1, 7.5.2, 7.5.3
EN ISO 9001:2008,
7.5.1, 7.5.2,
7.5.3
EN ISO 9001:2008,
7.6, 8.2.2, 8.2.3,
8.2.4 (only first
paragraph), 8.3, 8.4
(without 8.4.a customer satisfaction),
8.5
EN ISO 9001:2008, 4
EN ISO 9001:2008,
7.6, 8.2.2, 8.2.3,
8.2.4 (only first
paragraph), 8.3, 8.4
(without 8.4.a customer satisfaction),
8.5
EN ISO 9001:2008, 4
EN ISO 9001:2008,
7.6, 8.2.2, 8.2.3,
8.2.4 (only first
paragraph), 8.3, 8.4
(without 8.4.a customer satisfaction),
8.5
EN ISO 9001:2008, 4
Page | 137
When a laboratory does not undertake one or more of the activities covered by this International Standard, such as
sampling and the design/development of new methods, the requirements of those clauses do not apply.
EN ISO/IEC 17020 (applies to inspection bodies - replaces EN 45004). This standard specifies general criteria
for the competence of impartial bodies performing inspection irrespective of the sector involved.
Inspection involves examination of a product design, product, service, process or plant and determination of their
conformity with specific requirements or, on the basis of professional judgement, with general requirements. It also
specifies independence criteria. This standard does not cover testing laboratories, certification bodies or the suppliers
declaration of conformity.
EN ISO/IEC 17065 (applies to certification bodies replaces EN 45011) specifies the general requirements that
a third party operating a product certification system shall meet if it is to be recognised as competent and reliable.
Product certification entails giving assurance that a product conforms to specified requirements such as regulations,
standards or other technical specifications. A product certification system can include e.g. type testing or examination,
testing or inspection of every product or of a particular product, batch testing or inspection, design appraisal, which
could be coupled with production surveillance or assessment and surveillance of the manufacturers quality system. This
standard does not cover testing laboratories, inspection bodies or the declaration of conformity. ISO/IEC 17065 means
that the four eyes principle is used, that is the reviewer and decision maker is different from the evaluator.
ISO/IEC 17021 (replacing EN 45012) contains principles and requirements for the competence and impartiality
of bodies performing audit and certification of management systems of all types (e.g. quality management systems or
environmental management systems).
Bodies operating according to this standard are not obliged to offer all types of management system certification. Quality
sys- tem certification involves the assessment, determination of conformity against a quality system standard and within
a certain scope of activity and surveillance of the manufacturers quality system.
3.
APPROPRIATE STANDARDS RELATED TO THE COMPETENCE OF CONFORMITY ASSESSMENT BODIES FOR EVERY MODULE
The sections below describe which of the above standards are the most appropriate for the tasks in the modules as laid
down in the Decision No 768/2008/EC.
3.1 Modules A1, A2, C1, C2
Under these modules the body must have the technical knowledge, experience and ability in carrying out tests. Even if
the test equipment is situated with the manufacturer, requirements on the equipments suitability, functioning,
maintenance (e.g. calibration programmes) and measurement traceability must be ensured and should be considered as
the responsibility of the notified body. Furthermore, if the manufacturer has not applied the relevant harmonised
standards, equivalent tests must be carried out, or failing this, appropriate methods must be developed. In either case,
the notified body must validate the tests used.
For A2, C2 the body must in addition be able to deal with statistical methods, sampling plan, random methods,
operational characteristics, that are included in the product checking and specified by the applicable Union harmonisation
legislation.
In this respect and for all these modules, as EN ISO/IEC 17025, EN ISO/IEC 17020 or EN ISO/IEC 17065 (depending if
the body in question is a laboratory, inspection body, product certification body) lay down the competence and
deontology criteria for performing product examination, their requirements can be considered as the most appropriate
for the assessment of the bodies seeking notification for carrying out the tasks in this module.
However, if the assessment is based on EN ISO/IEC 17025 and as this standard lays down criteria only for
testing/calibration without tackling the evaluation of test results by the notified body, the latter must demonstrate
separately its capability of and procedures for judging and deciding, based on the results of the tests, if the essential or
other legal requirements are fulfilled and/or the harmonised standards have been applied.
Page | 138
On the other hand if EN ISO/IEC 17020 or EN ISO/IEC 17065 are used and as these standards do not tackle criteria for
testing/ calibration, the requirements on testing activities as set out in EN ISO/IEC 17025 must be taken into account. In
all cases the notified body must have the capability of assessing a product regardless of whether the manufacturer has
applied relevant harmonised standards or not.
3.2 Module B
The notified body must determine if the product design complies with the relevant legislative requirements.
In this respect stand-alone EN ISO/IEC 17025 must be regarded as not being appropriate for the purpose of module B.
The reason is that this standard tackles only pure testing issues and does not cover the important functions of module B
concerning evaluation of product design, which due to its complexity (it goes well beyond the mere examination of
technical documentation as in modules D1, E1, F1) requires from the notified body additional competencies (similar to
modules G, H1)
The requirements in both EN ISO/IEC 17020 and EN ISO/IEC 17065 can be considered as appropriate for the
assessment of bodies seeking notification for carrying out the tasks in module B, because these standards lay down the
competence and deontology criteria for performing product examination and conformity assessment. However, as these
standards do not tackle criteria for testing/calibration, the relevant requirements in EN ISO/IEC 17025 must always be
taken into account for the testing required.
3.3 Modules D, D1, E, E1, H
The notified body assesses and decides if the manufacturers quality system ensures that the products are in conformity
with or ensure compliance with the legislative instrument that apply to them (in case of modules D1, E1, H) or with the
approved EC-type (in case of modules D, E).
Thus, the requirements in EN ISO/IEC 17021 can be considered as appropriate for the assessment of the bodies seeking
notification for carrying out the tasks in this module. It must be underlined that the operation of the manufacturers
quality system must ensure the conformity of the final products with the requirements of the applicable Union
harmonisation legislation. Therefore, the notified body must have, in addition, adequate capability of assessing the
manufacturers ability to identify relevant product requirements and carry out the necessary inspections and tests.
EN ISO/IEC 17065 is also considered appropriate for the assessment of modules D, D1, E and E1, which assess the
ability of the manufacturers management system to ensure products are in conformity with the relevant applicable
legislation and continue to conform to type. Assessments to these modules are focussed closely on the production
processes and controls associated with the product(s) concerned, thus EN ISO/IEC 17065 requirements cover the
product and process related aspects as well as covering the management system assessment (according to the
requirements of EN ISO/IEC 17065 the management system assessment aspects have to be carried out in accordance
with ISO/IEC 17021).
3.4 Modules F, F1
The notified body carries out the appropriate examinations and tests either by examination and testing of every product
or by examination and testing of products on a statistical basis. Under module F1, the notified body must in addition
examine the technical documentation.
In this respect and for all these modules, as EN ISO/IEC 17025, EN ISO/IEC 17020 or EN ISO/IEC 17065 (depending on
whether the body in question is a laboratory, inspection body, product certification body) lay down the competence and
deontology criteria for performing product examination, their requirements can be considered as the most appropriate
for the assessment of the bodies seeking notification for these modules.
It must be noted that although EN ISO/IEC 17025 does not tackle the examination of product design and although
module F1 also covers the design phase, this standard, even stand-alone, remains appropriate for this module: the
reason is that design examination under F1 is relatively simple, and is performed only by means of examination of
technical documentation and not by means of examination of any specimen or any critical parts of the design that would
require additional competences from the notified body as is the case with modules B (or G -see below).
However, if the assessment is based on EN ISO/IEC 17025, and as this standard lays down criteria only for
testing/calibration without tackling the evaluation of test results by the notified body, the latter must demonstrate
Page | 139
separately its capacity and procedures for judging and deciding, based on the results of the tests, if the essential
requirements are fulfilled and/or the harmonised standards have been applied.
On the other hand if EN ISO/IEC 17020 or EN ISO/IEC 17065 are used, and as these standards do not tackle criteria for
testing/ calibration, the requirements on testing activities as set out in EN ISO/IEC 17025 must be taken into account. In
all cases the notified body must have the capability of assessing a product regardless of whether the manufacturer has
applied relevant harmonised standards or not.
3.5 Module G
The notified body examines the complete individual product in both design and production phase.
In this respect stand-alone EN ISO/IEC 17025 must be regarded as not being appropriate for the purpose of module G.
The reason being that this standard tackles only pure testing issues and does not cover the important functions of
module G concerning evaluation of product design, which due to its complexity (it goes well beyond the mere
examination of technical documentation as in modules D1, E1, F1) requires from the notified body additional
competencies (similar to modules B, H1).
The requirements in both EN ISO/IEC, 17020 or EN ISO/IEC 17065 can be considered as appropriate for the assessment
of bodies seeking notification for carrying out the tasks in module G, because these standards lay down the competence
and deontology criteria for performing product examination and conformity assessment. However, as these standards do
not tackle criteria for testing/calibration, the relevant requirements in EN ISO/IEC 17025 must be always taken into
account for the testing required.
3.6 Module H1
The notified body assesses and decides if the manufacturers quality system ensures that the products are in conformity
with the legislative instrument(s) applying to them. Furthermore it examines the manufacturers technical design
specifications, including the necessary supporting evidence and the result of tests carried out by the manufacturer.
Thus, the requirements in EN ISO/IEC 17021 can be considered as appropriate for the assessment of the bodies seeking
notification for this module. It must be underlined that the operation of the manufacturers quality system must ensure
the conformity of the final products with the requirements of the applicable Union harmonisation legislation. Therefore,
the notified body must have, in addition, adequate capability of assessing the manufacturers ability to identify relevant
product requirements and carry out the necessary inspections and tests.
In addition, as the notified body also examines the product design in order to certify it by issuing a EC-design
examination certificate, the requirements in both EN ISO/IEC 17020 or EN ISO/IEC 17065 can be considered as
appropriate for the assessment of bodies seeking notification under module H1, because these standards lay down the
competence and deontology criteria for performing product examination and conformity assessment. In the case of
ISO/IEC 17065 testing elements are covered in that the standard requires any testing to be carried out in accordance
with ISO/IEC 17025. However, as EN ISO/IEC 17020 does not tackle criteria for testing/calibration, the relevant
requirements in EN ISO/IEC 17025 must be always taken into account for the testing required.
In this respect it must be noted that stand-alone EN ISO/IEC 17025 must be regarded as not being appropriate for the
purpose of module H1. The reason is that this standard tackles only pure testing issues and does not cover the
important functions of module H concerning evaluation of product design, which due to its complexity (it goes well
beyond the mere examination of technical documentation as in modules D1, E1, F1) requires from the notified body
additional competencies (similar to modules B, G).
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4. SUMMARY
The table that follows reflects the desired approach to the choice of standards for the different modules.
Module
A1, A2
B
C1, C2
D, D1
E, E1
F, F1
G
H
H1
EN
EN
or
EN
or
EN
EN
or
EN
EN
or
EN
or
EN
EN
or
EN
EN
or
EN
EN
or
EN
or
EN
EN
or
EN
EN
EN
or
EN
or
EN
Standard(s) applicable
ISO/IEC 17025 (+ability to decide on conformity),
ISO/IEC 17020, EN ISO/IEC 17025 to be taken into account for testing required,
ISO/IEC 17065, EN ISO/IEC 17025 to be taken into account for testing required
ISO/IEC 17020, EN ISO/IEC 17025 to be taken into account for testing required,
ISO/IEC 17065, EN 17025 to be taken into account for testing required
ISO/IEC 17025 (+ability to decide on conformity),
ISO/IEC 17020, EN ISO/IEC 17025 to be taken into account for testing required,
ISO/IEC 17065, EN ISO/IEC 17025 to be taken into account for testing required
ISO/IEC 17021 (+product related knowledge)
ISO/IEC 17065
ISO/IEC 17021(+product related knowledge)
ISO/IEC 17065
ISO/IEC 17025 (+ability to decide on conformity),
ISO/IEC 17020, EN 17025 to be taken into account for testing required,
ISO/IEC 17065, EN 17025 to be taken into account for testing required
ISO/IEC 17020, EN 17025 to be taken into account for testing required,
ISO/IEC 17065, EN 17025 to be taken into account for testing required
ISO/IEC 17021 (+product related knowledge)
ISO/IEC 17021 (+product related knowledge)
ISO/IEC 17065
ISO/IEC 17020, EN 17025 to be taken into account for testing required
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contribute to the improvement of consumer protection and are not covered by harmonisation legislation of the European
Union.
Who supervises the correct use of the CE marking?
In order to guarantee the impartiality of market surveillance operations, the supervision of the CE marking is the
responsibility of public authorities in the Member States in cooperation with the European Commission.
What are the sanctions for counterfeiting the CE marking?
The procedures, measures and sanctions that apply to counterfeiting of the CE marking are laid down in Member States
national administrative and penal law. Depending on the seriousness of the crime, economic operators may be liable to a
fine and, in some circumstances, imprisonment. However, if the product is not regarded as an imminent safety risk, the
manufacturer may be given a second opportunity to ensure that the product is in conformity with the applicable
legislation before being obliged to take the product off the market.
What implications may the affixing of the CE marking have for the manufacturer/importer/distributor?
While manufacturers are responsible for ensuring product compliance and affixing the CE marking, importers and
distributors also play an important role in making sure that only products complying with legislation and bearing the CE
marking are placed on the market. Not only does this help to reinforce the EUs health, safety and environmental
protection requirements, it also supports fair competition with all players being held accountable to the same rules.
When products are produced in third countries and the manufacturer is not represented in the EEA, importers must
make sure that the products placed by them on the market comply with the applicable requirements and do not present
a risk to the European public. The importer must verify that the manufacturer outside the EU has undertaken the
necessary steps and that the documentation is available upon request.
Thus, importers must have an overall knowledge of the respective Union harmonisation acts and are obliged to support
national authorities should problems arise. Importers should have a written assurance from the manufacturer that they
will have access to the necessary documentation such as the EU Declaration of Conformity and the technical
documentation and be able to provide it to national authorities, if requested. Importers should also make sure that
contact with the manufacturer can always be established.
Further along in the supply chain, distributors play an important role in ensuring that only compliant products are on the
market and must act with due care to ensure that their handling of the product does not adversely affect its compliance.
The distributor must also have a basic knowledge of the legal requirements including which products must bear the CE
marking and the ac- companying documentation and should be able to identify products that are clearly not in
compliance.
Distributors must be able to demonstrate to national authorities that they have acted with due care and have affirmation
from the manufacturer or the importer that the necessary measures have been taken. Furthermore, a distributor must
be able to assist the national authority in its efforts to receive the required documentation.
If the importer or distributor markets the products under his own name, he then takes over the manufacturers
responsibilities. In this case, he must have sufficient information on the design and production of the product, as he will
be assuming the legal responsibility when affixing the CE marking.
Where can I find more information?
Information about CE marking, the products that are CE marked, the Union harmonisation legislation providing for CE
Marking and the steps to follow under
http://ec.europa.eu/growth/single-market/ce-marking/index_en.htm
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