Evaluates clinical trial regulatory compliance with FDA/IRB requirements and audit readiness. Use when auditing trial compliance, preparing for FDA inspections, or managing regulatory requirements.
A structured framework for managing regulatory compliance in clinical trials under FDA regulations (21 CFR Parts 11, 50, 54, 56, 312, 812), ICH Good Clinical Practice (GCP) guidelines (ICH E6(R2)), and the Common Rule (45 CFR Part 46) governing human subjects protection.
Clinical trial non-compliance carries severe consequences: FDA Warning Letters, clinical holds that stop enrollment and dosing, disqualification of investigators (21 CFR Part 312.70), invalidation of trial data that can derail drug/device approval, institutional debarment from future research, and criminal prosecution for serious violations. FDA Bioresearch Monitoring (BIMO) inspections examine sponsor, investigator, IRB, and clinical site compliance. ICH E6(R2) introduced risk-based monitoring and quality management system requirements that raised the bar for trial oversight. HIPAA authorization requirements overlay informed consent for trials at covered entities. The research enterprise generates significant revenue for academic medical centers and creates conflicts of interest that must be managed. A rigorous compliance framework protects research subjects, preserves data integrity, and sustains the organization's ability to conduct research.
Evaluate compliance with investigator obligations:
Evaluate IRB operations against 21 CFR Part 56 and 45 CFR Part 46:
Prepare for FDA Bioresearch Monitoring (BIMO) inspections: