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Business Continuity Management (BCM) & Disaster Recovery (DR) Plans for Majis

  • Tender ID: Majis/14/2025
  • Tender Brief: As the company committed to continuous improvement, Majis seeks to enhance its governance frameworks, risk management practices, and business resilience to align with international best practices and regulatory requirements. Majis operates with one subsidiary responsible for Operations & Maintenance (O&M), which functions under a contractual agreement. While the subsidiary manages day-to-day operations and maintains certain assets, Majis retains overall governance and strategic oversight. The Asset Management and Technical Support departments are responsible for monitoring the subsidiary’s performance, ensuring compliance with regulatory requirements, and enforcing contractual obligations. This structure ensures that Majis maintains the operational continuity while allowing the subsidiary to manage technical execution. As a result, an BCM strategies developed under this project must align with Majis’s incorporate oversight mechanisms for both subsidiary operations and business continuity requirements.
  • Scope of Work: * Project Planning & Initiation * BCM Framework & Business Impact Analysis (BIA) * Continuity Risk Assessment * Business Continuity Strategy & Plan Development * Training, Awareness & BCM Testing
  • Payment Terms: Project Mobilization (Advance Payment): 10 % Completion of Phase 1: Gap Analysis & Assessment 20 % Completion of Phase 2: Submission of final approved Governance Policies & Procedures draft. 30% Completion of Phase 3: Submission of final Manual of Authority (MOA) 20 % Completion of Phase 4: Training & Support 20 %

Tender Dates

  • Floating Date: 21/05/2025
  • Last Date to Express Interest: 26/05/2025
  • Last Date to Purchase Tender: 26/05/2025
  • Clarification End Date: 29/05/2025
  • Tender Closing Date: 04/06/2025 11:59PM
  • Site Visit Date: 21/05/2025

Majis Bank Details

Account Name : Majis Industrial Services SAOC
Bank Name : Bank Muscat SAOG
Address : Corporate Branch, Main Office CBD, P.O. Box 134, Postal Code 112, Ruwi, Sultanate of Oman
Branch : Corporate, Muscat
Account No. : 0423-01078383-0018
SWIFT Code : BMUSOMRXXXX