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PRMIA 8010 Exam Syllabus Topics:

SectionWeightObjectives
Introduction to Operational Risk Management10%- ESG and climate risk considerations
- Embedding risk management practices
- Risk management frameworks and principles
Operational Resilience5%- Third-party/vendor risk management
- Business continuity and recovery
- DORA and resilience regulations
Risk Management Framework15%- Strategy and framework implementation
- Risk capacity and risk appetite
- Risk policies, limits, and pricing
Compliance & Regulatory Risk10%- Compliance risk types and controls
- Basel Accords and global regulations
- Enterprise compliance frameworks
Risk Information & Monitoring15%- Key Risk Indicators (KRIs)
- Loss data collection and analysis
- Risk reporting and communication
Operational Risk Capital & Modeling10%- Capital requirements and approaches
- Basic and advanced measurement methods
- Basel III and recent developments
Risk Assessment20%- Top-down scenario analysis
- Residual risk and issue management
- Bottom-up process modeling
- Risk and Control Self-Assessment (RCSA)
Risk Governance15%- Governance structures and responsibilities
- Roles of first, second, and third lines of defense
- Risk culture and ethical conduct

PRMIA Operational Risk Manager (ORM) Sample Questions:

Question #1

In respect of operational risk capital calculations, the Basel II accord recommends a confidence leveland time horizon of:

  • A. 99.9% confidence level over a 10 day time horizon
  • B. 99.9% confidence level over a 1 year time horizon
  • C. 99% confidence level over a 10 year time horizon
  • D. 99% confidence level over a 1 year time horizon
Answer: B

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Question #2

The risk that a counterparty fails to deliver its obligation upon settlement while having received the leg owed to it is called:

  • A. Pre-settlement risk
  • B. Credit risk
  • C. Replacement risk
  • D. Settlement risk
Answer: D

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Question #3

A bank expects the error rate in transaction data entry for a particular business process to be 0.005%. What is the range of expected errors in a day within +/- 2 standard deviations if there are 2,000,000 such transactions each day?

  • A. 60 to 80 errors in a day
  • B. 80 to 120 errors in a day
  • C. 90 to 110 errors in a day
  • D. 0 to 200 errors in a day
Answer: B

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Question #4

Which of the following is a cause ofmodel risk in risk management?

  • A. Misspecification of the model
  • B. All of the above
  • C. Programming errors
  • D. Incorrect parameter estimation
Answer: B

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Question #5

For a back office function processing 15,000 transactions a day with an error rate of 10 basis points, what is the annual expected loss frequency (assume 250 days in a year)

  • A. 0.06
  • B. 375
  • C. 37500
  • D. 3750
Answer: D

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