yourstate.us
21 CFR 1.613

§ 1.613 What protections against conflicts of interest must an accreditation body have to qualify for recognition?

United States · 21 CFR — Food and Drugs · Status: effective

Get this as JSONEmbed this
Cite this
Citation
21 CFR 1.613, § 1.613 What protections against conflicts of interest must an accreditation body have to qualify for recognition?, United States, version 1 as recorded 2026-07-09, yourstate.us, https://yourstate.us/provision/82823
Permanent ID
ys:prov:82823@1
SHA-256
0edf378ca3677ab783ae6ef4c4039d1333db3682d3fdf1f1a323a71df3425189

The hash is SHA-256 of this version's text, with every run of whitespace collapsed to a single space and the ends trimmed. The ID always leads back here, and checking it says whether the text you cited is still the current version.

Full text

An accreditation body must demonstrate that it has: (a) Implemented written measures to protect against conflicts of interest between the accreditation body (and its officers, employees, and other agents involved in accreditation activities) and any third-party certification body (and its officers, employees, and other agents involved in auditing and certification activities) seeking accreditation from, or accredited by, such accreditation body; and (b) The capability to meet the applicable conflict of interest requirements of this subpart, if recognized.

Legislative history

This is a federal regulation, adopted through agency rulemaking under the Administrative Procedure Act — not enacted by a recorded vote of Congress.