Exam Code: 8010
Exam Name: Operational Risk Manager (ORM) Exam
Certification Provider: PRMIA
Corresponding Certification: PRM Certification
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PRMIA 8010 Exam Syllabus Topics:

SectionWeightObjectives
Topic 1: Compliance & Regulatory Risk10%- Enterprise compliance frameworks
- Basel Accords and global regulations
- Compliance risk types and controls
Topic 2: Introduction to Operational Risk Management10%- Embedding risk management practices
- Risk management frameworks and principles
- ESG and climate risk considerations
Topic 3: Risk Assessment20%- Top-down scenario analysis
- Risk and Control Self-Assessment (RCSA)
- Residual risk and issue management
- Bottom-up process modeling
Topic 4: Operational Risk Capital & Modeling10%- Capital requirements and approaches
- Basel III and recent developments
- Basic and advanced measurement methods
Topic 5: Risk Governance15%- Governance structures and responsibilities
- Risk culture and ethical conduct
- Roles of first, second, and third lines of defense
Topic 6: Risk Management Framework15%- Risk policies, limits, and pricing
- Risk capacity and risk appetite
- Strategy and framework implementation
Topic 7: Operational Resilience5%- DORA and resilience regulations
- Third-party/vendor risk management
- Business continuity and recovery
Topic 8: Risk Information & Monitoring15%- Loss data collection and analysis
- Risk reporting and communication
- Key Risk Indicators (KRIs)

PRMIA Operational Risk Manager (ORM) Sample Questions:

1. According to the Basel framework, shareholders' equity and reserves are considered a part of:

A) Tier 1 capital
B) Tier 2 capital
C) Tier 3 capital
D) All of the above


2. According to the Basel framework, reserves resulting from the upward revaluation of assets are considered a part of:

A) Tier 1 capital
B) Tier 2 capital
C) Tier 3 capital
D) All of the above


3. What percentage of average annual gross income is to be held as capital for operational risk under the basic indicator approach specified under Basel II?

A) 0.15
B) 0.12
C) 0.08
D) 0.125


4. For creditrisk calculations, correlation between the asset values of two issuers is often proxied with:

A) Equity correlations
B) Transition probabilities
C) Credit migration matrices
D) Default correlations


5. The cumulative probability of default for a security for 4 years is 11.47%. The marginal probability of default for the security for year 5 is 5% during year 5. What is the cumulative probability of default for the security for 5 years?

A) 15.90%
B) 5.00%
C) None of the above
D) 16.47%


Solutions:

Question # 1
Answer: A
Question # 2
Answer: B
Question # 3
Answer: A
Question # 4
Answer: A
Question # 5
Answer: A

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