PRMIA 8010 : Operational Risk Manager (ORM) Exam

  • Exam Code: 8010
  • Exam Name: Operational Risk Manager (ORM) Exam
  • Updated: Oct 02, 2026
  • Q & A: 242 Questions and Answers

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PRMIA 8010 Exam Syllabus Topics:

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

PRMIA Operational Risk Manager (ORM) Sample Questions:

Question #1

Which of the following are valid approaches for extreme value analysis given a dataset:
I. The Block Maxima approach
II. Least squares approach
III. Maximum likelihood approach
IV. Peak-over-thresholds approach

  • A. I and IV
  • B. II and III
  • C. I, III and IV
  • D. All of the above
Reveal Solution  Discussion  0

Correct Answer: A  🗳️

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Question #2

Which of the following will be a loss not covered by operational risk as defined under Basel II?

  • A. Earthquakes
  • B. Systems failure
  • C. Fat finger losses
  • D. Strategic planning
Reveal Solution  Discussion  0

Correct Answer: D  🗳️

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Question #3

What would be the consequences of a model of economic risk capital calculation that weighs all loans equallyregardless of the credit rating of the counterparty?
I. Create an incentive to lend to the riskiest borrowers
II. Create an incentive to lend to the safest borrowers
III. Overstate economic capital requirements
IV. Understate economic capitalrequirements

  • A. I and IV
  • B. I only
  • C. II and III
  • D. III only
Reveal Solution  Discussion  0

Correct Answer: A  🗳️

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Question #4

Which of the following describes rating transition matrices published by credit rating firms:

  • A. Expected ex-ante frequencies of migration from one credit rating to another over a one year period
  • B. Probabilities of ratings transition from one rating to another for a given set of issuers
  • C. Probabilities of default for each credit rating class
  • D. Realized frequencies of migration from one credit rating toanother over a one year period
Reveal Solution  Discussion  0

Correct Answer: D  🗳️

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Question #5

Which of the following carry greater counterparty risk: a forward contract on a 10 year note, or a commercial paper carrying a AA credit rating with identicalmaturity and notional?

  • A. The forward contract has greater credit risk as its future gains are unknown
  • B. They both carry the same credit risk
  • C. The commercial paper has greater credit risk as the entire notional is outstanding
  • D. Credit risk can not be compared in these terms
Reveal Solution  Discussion  0

Correct Answer: C  🗳️

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