Quality & Compliance Framework
Upholding the highest operational, ethical, and regulatory standards across all 400 subsidiaries and 62 global jurisdictions.
Integrated Quality Management
Our compliance architecture is designed to be proactive, transparent, and adaptive to evolving global regulations while ensuring zero compromise on operational excellence.
Regulatory Adherence
Real-time monitoring of 1,200+ regulatory directives across healthcare, aerospace, finance, energy, and data privacy jurisdictions. Automated compliance mapping for all divisions.
Continuous Auditing
Quarterly internal audits, annual third-party certifications, and AI-driven anomaly detection across supply chains, financial reporting, and operational workflows.
Ethical Operations
Zero-tolerance policies for corruption, fraud, and workplace misconduct. Independent ethics oversight committee with direct board reporting lines.
Environmental & Social Governance
Carbon-neutral targets by 2035, circular economy implementation, fair labor standards, and community impact tracking across all manufacturing and service hubs.
Global Compliance Matrix
Aevum Zenth maintains active certification across international frameworks. All standards are verified by independent bodies and updated annually.
| Standard / Framework | Scope | Status |
|---|---|---|
| ISO 9001:2015 | Quality Management Systems (All Divisions) | ✓ Certified & Renewed |
| ISO 14001:2015 | Environmental Management | ✓ Certified & Renewed |
| ISO 45001:2018 | Occupational Health & Safety | ✓ Certified & Renewed |
| ISO/IEC 27001:2022 | Information Security Management | ✓ Certified & Renewed |
| GDPR / CCPA / LGPD | Data Privacy & Protection | ✓ Compliant |
| SOX / IFRS / GAAP | Financial Reporting & Governance | ✓ Audited |
| FAA / EASA / ICAO | Aerospace Manufacturing & Operations | ✓ Licensed |
| FDA / EMA / WHO GMP | Pharmaceutical & Biotech Production | ✓ Approved |
Compliance Process Cycle
Our 4-phase framework ensures continuous improvement and immediate mitigation of non-conformities.
1. Policy Formulation & Risk Assessment
Divisional compliance officers collaborate with legal and operational leads to map regulatory requirements. AI-driven risk modeling identifies exposure vectors across supply chains, financial instruments, and technical deployments.
2. Implementation & Training
Standardized operating procedures (SOPs) are deployed via our internal compliance portal. Mandatory annual certification training for all 340,000+ employees, with role-specific modules for high-risk sectors.
3. Continuous Monitoring & Auditing
Real-time dashboards track KPIs across quality metrics, safety incidents, and regulatory submissions. Quarterly internal audits and biannual third-party reviews ensure adherence and identify improvement opportunities.
4. Corrective Action & Transparency Reporting
Non-conformities trigger immediate containment, root-cause analysis, and corrective action plans (CAPA). Results are published in our annual ESG & Compliance Transparency Report.
Secure Reporting & Whistleblower Channel
We maintain strict non-retaliation policies and encourage transparent reporting of compliance concerns, safety hazards, or ethical violations. All submissions are encrypted and reviewed by our independent Office of Compliance.