1.1. Background to the UK-General Data Protection Regulation (‘UK-GDPR’)
1.2. Definitions according to Article 4 of the UK-GDPR
2.1. IE Engagement Limited, is committed to compliance with all relevant domestic laws in respect of personal data, and the protection of the “rights and freedoms” of individuals whose information we collect and process in accordance with the UK-GDPR.
2.2. Compliance with the UK-GDPR is described by this Policy and other relevant policies such as the Information Security & Risk Management Policy along with connected processes and procedures.
2.3. The UK-GDPR and this Policy shall apply to all of our Company’s data processing functions, including those performed on customers’, clients’, employees’, suppliers’, and partners’ personal data, and any other personal data the organisation processes from any source.
2.4. Our Company has established objectives for data protection and privacy, which are in the Personal Information Management System (PIMS).
2.5. IE Engagement Limited shall be responsible for reviewing the register of data processing annually in the light of any changes to the Company activities and to any additional requirements identified by means of Data Protection Impact Assessment (DPIA).
2.6. This Policy applies to all Employees/Staff/Contractors/Clients/Partners and third-party providers of our Company. Any breach of the UK-GDPR will be dealt with as described under our Data Breach Notification Procedure and may also be a criminal offence, in which case the matter will be reported as soon as possible to the appropriate authorities.
2.7. Partners and any third parties working with or for our Company, and who have or may have access to personal data, will be expected to have read, understood and to comply with this Policy. No third party may access personal data held by our Company without having first entered into a Data Confidentiality Agreement, which imposes on the third-party obligations no less onerous than those to which our Company is committed, and which gives us the right to audit compliance with the agreement.
3.1. To support compliance with the UK-GDPR, our Board has approved and supported the development, implementation, maintenance and continual improvement of a documented PIMS, which is integrated within the Information Security & Risk Management Policy, for our Company.
3.2. All our Employees/Staff and third-party providers identified in the inventory are expected to comply with this Policy and with the PIMS/ Information Security & Risk Management Policy that implements this Policy. All Employees/Staff will receive appropriate training.
3.3. Scope:
The scope of the PIMS will cover all of the PII (Personally Identifiable Information) that the organisation holds including PII that is shared with external organisations such as suppliers, cloud providers, etc.
3.4. In determining its scope for compliance with the UK-GDPR, we consider:
3.5. The PIMS is documented within the Information Security & Risk Management Policy system, maintained in our Intranet. Our Company’s objectives for compliance with the UK-GDPR are consistent with this Policy, measurable, take into account UK-GDPR privacy requirements and the results from risk assessments and risk treatments, monitored, communicated and updated as appropriate.
4.1. We are a data controller for staff and marketing data and a data processor for client data under the UK-GDPR.
4.2. All those in managerial or supervisory roles throughout our Organisation are responsible for developing and encouraging good information handling practices within our Company.
4.3. IE Engagement Limited and our Board of Directors for the management of personal data within our Company and for ensuring that compliance with data protection legislation and good practice can be demonstrated. This accountability includes development and implementation of the UK-GDPR as required by this Policy, and security and risk management in relation to compliance with the Policy.
4.4. The Legal Compliance Department has been appointed to take responsibility for our Company’s compliance with this Policy on a day-to-day basis and has direct responsibility for ensuring that our Company complies with the UK-GDPR.
4.5. The Legal Compliance Department shall have specific responsibilities in respect of procedures such as the Subject Access Request Procedure and is the first point of call for Employees/Staff seeking clarification on any aspect of data protection compliance.
4.6. Compliance with data protection legislation is a responsibility of and obligation for all our Employees/Staff who process personal data.
4.7. Our Company’s Training Policy sets out specific UK-GDPR training and awareness requirements in relation to specific roles of our Employees/Staff generally.
4.8. Our Employees/Staff are responsible for ensuring that any personal data about them and supplied by them to our Company is accurate and up-to-date.
5.1. All processing of personal data must be conducted in accordance with the data protection principles as set out in Articles 5 and 6 of the UK-GDPR. Our policies and procedures are designed to ensure compliance with the principles.
5.2. Personal data must be processed lawfully, fairly & transparently
5.3. The specific information that must be provided to the data subject must, as a minimum, include:
5.4. Personal data can only be collected for specific, explicit and legitimate purposes
5.5. Personal data must be adequate, relevant and limited to what is necessary for processing
5.6. Personal data must be accurate and kept up to date with every effort to erase or rectify without delay
5.7. Personal data must be kept in a form such that the data subject can be identified only as long as is necessary for processing.
5.8. Personal data must be processed in a manner that ensures the appropriate security
5.9. When assessing appropriate technical measures, the Legal Compliance Department shall consider the following:
5.10. When assessing appropriate organisational measures, the Legal Compliance Department shall consider the following:
5.11. These controls have been selected on the basis of identified risks to personal data, and the potential for damage or distress to individuals whose data is being processed. Our Company’s compliance with this principle is contained in its PIMS, which has been developed in line with the Information Security & Risk Management Policy.
5.12. The controller must be able to demonstrate compliance with the UK-GDPR’s other principles (accountability)
6.1. Each individual shall have the following rights regarding data processing, and the data that is recorded about them:
6.2. Our Company ensures that individuals may exercise these rights by making data access requests as described in the Acceptable Use Agreement, which shall include the Subject Access Request Procedure. This procedure also describes how our Company will ensure that its response to the data access request complies with the requirements of the UK-GDPR.
6.3. Individuals shall also have the right to complain to the Company related to the processing of their personal data, handling of a request from a data subject and appeals from a data subject on how complaints have been handled in line with the Complaints Procedure.
7.1. Our Company understands “consent” to mean that it has been explicitly and freely given, and a specific, informed and unambiguous indication of the data subject’s wishes that, by statement or by a clear affirmative action, signifies agreement to the processing of personal data relating to him or her. The data subject can withdraw their consent at any time.
7.2. Our Company understands “consent” to mean that the data subject has been fully informed of the intended processing and has signified their agreement, while in a fit state of mind to do so and without pressure being exerted upon them. Consent obtained under duress or on the basis of misleading information will not be a valid basis for processing.
7.3. There must be some active communication between the parties to demonstrate active consent. Consent cannot be inferred from non-response to a communication. The Controller must be able to demonstrate that consent was obtained for the processing operation.
7.4. For sensitive data, explicit written consent of individuals must be obtained unless an alternative legitimate basis for processing exists.
7.5. In most instances, consent to process personal and sensitive data is obtained routinely by the Company using standard consent documents e.g., when a new client signs a contract, or during induction for participants on programmes.
7.6. Where our Company provides online services to children, parental or custodial authorisation must be obtained. This requirement applies to children under the age of 13. Our Company does not routinely process data in this category.
8.1. All Employees/Staff are responsible for ensuring that any personal data that our Company holds and for which they are responsible, is kept securely and is not under any conditions disclosed to any third party unless that third party has been specifically authorised by our Company to receive that information and has entered into a confidentiality agreement.
8.2. All personal data should be accessible only to those who need to use it, and access may only be granted in line with the Company’s Policies.
8.3. Care must be taken to ensure that PC screens and terminals are not visible except to authorised Employees/Staff of the Company. All Employees/Staff are required to enter into an Acceptable Use Agreement before they are given access to organisational information of any sort, which details rules on screen time-outs.
8.4. Manual records may not be left where they can be accessed by unauthorised personnel and may not be removed from business premises without explicit written authorisation. As soon as manual records are no longer required for day-to-day client support, they must be removed from secure archiving.
8.5. Personal data may only be deleted or disposed of in line with the Information Retention procedure. Manual records that have reached their retention date are to be shredded and disposed of as “confidential waste”. Hard drives of redundant PCs are to be removed and immediately destroyed.
9.1. The Company must ensure that personal data is not disclosed to unauthorised third parties which includes family members, friends, government bodies, and in certain circumstances, the Police. All Employees/Staff should exercise caution when asked to disclose personal data held on another individual to a third party.
9.2. It is important to bear in mind whether or not disclosure of the information is relevant to, and necessary for the conduct of our Company’s business.
10.1. The Company shall not keep personal data in a form that permits identification of data subjects for longer a period than it is necessary, in relation to the purpose(s) for which the data was originally collected.
10.2. The Company may store data for longer periods if the personal data will be processed solely for archiving purposes in the public interest, scientific or historical research purposes or statistical purposes, subject to the implementation of appropriate technical and organisational measures to safeguard the rights and freedoms of the data subject.
10.3. The retention period for each category of personal data will be set out in the Information Retention procedure along with the criteria used to determine this period including any statutory obligations the Company has to retain the data.
10.4. The Company’s information retention and information disposal procedures apply in all cases.
10.5. Personal data must be disposed of securely in accordance with the sixth principle of the UK-GDPR. Any disposal of data will be done in accordance with the secure disposal procedure.
11.1. On 28 June 2021 the EU Commission adopted decisions on the UK’s adequacy under the EU’s General Data Protection Regulation (EU GDPR) and Law Enforcement Directive (LED). In both cases, the European Commission has found the UK to be adequate. This means that most data can continue to flow from the EU and the EEA without the need for additional safeguards.
11.2. All exports of data from the UK and the European Economic Area (EEA) to non-European Economic Area countries (referred to in the UK-GDPR as “third countries”) are unlawful unless there is an appropriate “level of protection for the fundamental rights of the data subjects”.
11.3. The broader area of the EEA is granted “adequacy” on the basis that all such countries are signatories to the GDPR. The non-EU EEA member countries (Liechtenstein, Norway and Iceland) apply EU regulations through a Joint Committee Decision.
11.4. Binding Corporate Rules:
The Company may adopt approved binding corporate rules for the transfer of data outside the EU. This requires submission to the relevant supervisory authority for approval of the rules that the Company is seeking to rely upon.
11.5. Model Contract Clauses:
The Company may adopt approved model contract clauses for the transfer of data outside of the UK and the EEA. If the Company adopts the model contract clauses approved by the relevant supervisory authority there is an automatic recognition of adequacy.
11.6. Exceptions:
In the absence of an adequacy decision, Privacy Shield membership, binding corporate rules and/or model contract clauses, a transfer of personal data to a third country or international organisation shall only take place on one of the following conditions:
12.1. The Company has established a Data Inventory and Data Flow process as part of its approach to address risks and opportunities throughout its UK-GDPR compliance project. The Company’s Data Inventory and Data Flow determines:
12.2. Our Company is aware of any risks associated with the processing of particular types of personal data:
Last updated: 11/2024