Inspections vs. Audits
Inspections vs. Audits
Inspections vs. Audits
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So what is the difference between an inspection and an audit? They are both essential, proactive
monitoring techniques however their uses and bene ts are quite distinct. You will have covered it if
you have studied a NEBOSH course. I’ll outline the main differences between the audit and inspection
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process and uses based on my experience working in health and safety.
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Inspections help identify both the unsafe acts and unsafe conditions that can lead to accidents
occurring which you do when completing the NEBOSH GC3 practical. It is worth noting that the
observations sheets require you to undertake an inspection and identify unsafe acts and unsafe
conditions.
Workplace inspections can be carried out by managers, supervisors, safety reps, and operatives. The
use of checklists can make it an easier activity as it can prompt the inspector to look for known issues
in a given area. It is advisable to target your inspection into low risk such as the condition of the oor
and high risk that need a more detailed approach i.e. pre-use check would be the operation of a
mobile plant.
When carrying out an inspection, it is worth being aware of the limitations of them. When I became a
safety advisor some years later, I helped set up a number of inspection systems for different
organisations and identi ed typical problems rst hand. These included:
So inspections serve a different purpose to audits but are a key tool in actively monitoring a
workplace.
In simple terms, an audit is a detailed examination of how effectively health and safety is being
managed within an organisation.
The HSE de nition is: “The structured process of collecting independent information on the ef ciency,
effectiveness and reliability of the total health and safety management system and drawing up plans for
corrective action.”
I have carried out a number of audits across a range of industries but the process always follows the
same format.
Planning
Planning for the audit is probably the most important aspect as this will determine the parameters for
the audit. Questions to be answered in the planning stage are:
Who is going to carry out the audit? The auditor should be independent to the task and
therefore offer impartiality.
What is the information gathered to be compared with? It could be compared to recognised
standards such as management systems or HSE guidance i.e. HSG65
What questions need to be asked? A questionnaire will be drawn up with relevant questions on
the external system.
What documents need to be reviewed? Health and safety policy is a good
starting point.
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What resources need to be allocated? This will include the time taken to carry
out the interviews, access to documents needs to be provided.
What is the process for giving the organisation the feedback after the audit?
Standard practice is to produce a detailed audit report, increasingly now I get
asked to provide a short PowerPoint presentation to the company board who is
responsible for the strategy. This offers a chance to outline to the key points,
questions to be asked to clarify understanding.
Collecting Information, the process of collecting information is where the evidence is gathered and
involves interviewing staff, reviewing documents and visually inspecting the workplace. I will start
with asking about the policy, to see if the interviewees are aware of it and understand their role. I
then look at the document and compare it to how the standard says it should look. Finally, I check the
workplace to see evidence of the policy in action.
Audit Controls
To be effective the audit needs to be carried out by an impartial person or team; they can be internal
or external.
A decision needs to be made on how much time is to be taken for example interviewing enough
people, reviewing an appropriate sample of the right documents in order to get meaningful results.
Non-conformity
Non-conformity means that the requirement, for example, legal, health and safety management
system or relevant company procedure has not been ful lled.
The audit report needs to clearly identify where there is a gap in meeting the legal or preferred
standard requirement and provide corrective actions to be taken to ensure compliance.
The priorities need to be indicated to allow management to take appropriate actions. A priority can be
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an action considered urgent due to the risks it presents or it can be a “quick win” action that is straight
forward and cheap to correct. The quick wins will demonstrate to staff that things are being done and
so can help build a positive culture and morale.
To Recap
Inspections and audits are two different types of active monitoring that offer feedback to prevent
accidents and injuries occurring: inspections deal with the things that are the immediate causes of
accidents, whilst audits deal with the areas that could be the root causes of accidents. Proactive
monitoring is an essential element of effective management: it lets you check health and safety
performance and take corrective action if needed.
More information
Get advice on carrying out a Health & Safety Audit to a recognised standard or internal benchmark for
your organisation:
Jess K
29/08/2018, 01:36:41
Reply to Jess K
Kate James
13/09/2018, 02:00:56
There is nothing speci c in health and safety legislation that would make it illegal but there
would be an offence if it was done to perpetuate a fraud. It would also be a non-conformity with
a system requirement.
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