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PECB ISO-9001-Lead-Auditor Exam Syllabus Topics:

SectionObjectives
Topic 1: Conducting Audit Activities- Audit Evidence Collection
  • 1. Nonconformity identification
    • 2. Sampling techniques
      - On-site Audit Execution
      • 1. Opening meeting
        • 2. Interviewing techniques
          Topic 2: Audit Principles and Fundamentals- Auditor Competence
          • 1. Ethics and professional conduct
            • 2. Roles and responsibilities of lead auditor
              - Audit Concepts
              • 1. Audit principles (ISO 19011)
                • 2. Audit types and classifications
                  Topic 3: Audit Planning and Preparation- Audit Program Management
                  • 1. Risk-based audit planning
                    • 2. Establishing audit objectives
                      - Audit Preparation
                      • 1. Audit checklist development
                        • 2. Document review
                          Topic 4: Quality Management System (QMS) Fundamentals- Quality Principles
                          • 1. Customer focus
                            • 2. Continuous improvement
                              - ISO 9001:2015 Structure and Clauses
                              • 1. Planning and risk-based thinking
                                • 2. Context of the organization
                                  • 3. Leadership principles
                                    Topic 5: Audit Reporting and Follow-up- Audit Reporting
                                    • 1. Audit report structure
                                      • 2. Nonconformity reporting
                                        - Corrective Actions
                                        • 1. Corrective action process
                                          • 2. Follow-up audits

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                                            PECB QMS ISO 9001:2015 Lead Auditor Exam Sample Questions (Q107-Q112):

                                            NEW QUESTION # 107
                                            An internal auditor of a manufacturer of polystyrene packaging products for the electronics industry raised a nonconformity against section 10.3 of ISO 9001 in Report IA202. The nonconformity (NC 3) stated:
                                            "The reject rate of 'finished' product of 9.7% needs improvement as it doesn't meet the stated objective of top management of 5%." Just before the Closing meeting of a third-party audit, the audit team leader is invited to a meeting with the Quality Manager. He tells the audit team leader that a member of the audit team was seen taking photographs of the factory on his phone during the day and wants him suspended from the Closing meeting with any nonconformities raised by him rescinded. The issue of photographs was not discussed during the opening meeting.
                                            Select the three options for how the audit team leader might deal with this situation.

                                            Answer: A,E,F

                                            Explanation:
                                            This option reflects a balanced and professional approach. The audit team leader should first gather information directly from the involved auditor to understand the situation before making any decisions. It demonstrates due diligence and fairness.
                                            This ensures that the situation is properly escalated and handled in accordance with the auditing body's procedures. Consulting the audit programme manager helps ensure consistency in handling such incidents.
                                            The nonconformity raised is based on objective evidence, independent of the incident with the photographs.
                                            ISO 9001 audits are evidence-based, and the validity of the findings should not be compromised by unrelated issues.
                                            1. A. Advise the Quality Manager that he, as audit team leader, needs to speak to the auditor about the situation and he will report back to the Quality Manager once this is done:2. D. Delay the Closing meeting until the audit team leader has consulted his audit programme manager at Head Office:3. E. Insist that the nonconformities must stand since they have been agreed by the team from other evidence gathered:
                                            B). Advise the Quality Manager that the auditor will be reported to Head Office:
                                            Reporting the auditor directly without first investigating the situation is premature and unprofessional. It might escalate the issue unnecessarily.
                                            C). Apologize for the situation and ensure the Quality Manager that all photographs will be deleted during the Closing meeting:
                                            Deleting evidence without proper consultation could be seen as tampering or unprofessional conduct. It's essential to understand the context of the photographs first.
                                            F). State that the auditor will take no further part in the audit and all his photographs will be deleted:
                                            This is an extreme response without first investigating the situation. Taking unilateral action without gathering facts can damage the audit's integrity.
                                            Why Not the Other Options:


                                            NEW QUESTION # 108
                                            XYZ Corporation is an organisation that employs 100 people. As audit team leader, you are conducting a certification audit at Stage 1. When reviewing the quality management system (QMS) documentation, you find that quality objectives have been set for every employee in the organisation except top management.
                                            The Quality Manager complains that this has created a lot of resistance to the QMS, and the Chief Executive is asking questions about how much it will cost. He asks for your opinion on whether this is the correct method of setting objectives.
                                            Three months after Stage 1, you return to XYZ Corporation to conduct a Stage 2 certification audit as Audit Team Leader with one other auditor. You find that the Quality Manager has cancelled the previous quality objectives for all employees and replaced them with a single objective for himself. This states that "The Quality Manager will drive multiple improvements in the QMS in the next year". The Quality Manager indicates that this gives him the authority to issue instructions to department managers when quality improvement is needed. He says that this approach has the full backing of senior management. He shows you the latest Quality Improvement Request that was included in the last management review.

                                            After further auditing, the issues below were found. Select three statements that apply to the term 'audit trail'

                                            Answer: A,B,E

                                            Explanation:
                                            Based on the scenario and the concept of an 'audit trail' within the context of ISO 9001, the three statements that apply would likely be:
                                            A: Decisions on improvement action timescales not involving departmental managers. This indicates a lack of involvement and communication with those responsible for implementing the improvements, which is a key part of an effective audit trail1.
                                            B: Evaluation of the results of the improvement action not always documented by the Quality Manager.
                                            Proper documentation is essential for an audit trail, as it provides evidence that actions have been evaluated and are effective1.
                                            C: Limited knowledge of the content of Quality Improvement Requests by departmental staff. An audit trail should ensure that all relevant parties are aware of and understand the actions being taken, which is not the case here1.
                                            These points suggest issues with the communication, documentation, and involvement of relevant personnel in the quality management system processes, which are crucial for maintaining an effective audit trail and, by extension, a robust quality management system.


                                            NEW QUESTION # 109
                                            Scenario 3:
                                            Fin-Pro is a financial institution in Austria offering commercial banking, wealth management, and investment services. The company faced a significant loss of customers due to failing to improve service quality as they expanded.
                                            To regain customer confidence, top management implemented a QMS based on ISO 9001. After a year, they contacted ACB, a local certification body, to pursue ISO 9001 certification.
                                            The audit team was led by Emilia, an experienced lead auditor, and included three auditors. After an agreement was reached, ACB sent the audit objectives to the audit team.
                                            The audit team began by gathering information about Fin-Pro's understanding of ISO 9001 requirements.
                                            While reviewing documented information, they noticed missing records of training and awareness sessions. They conducted employee interviews to verify attendance.
                                            The team also reviewed the organizational chart and job descriptions to confirm employee competence.
                                            They observed the company's working environment (social, psychological, and physical conditions).
                                            The audit team analyzed the evidence and prepared an audit report with findings and conclusions.
                                            What type of evidence has been collected by the ACB's audit team, as presented in scenario 3?

                                            Answer: D

                                            Explanation:
                                            Comprehensive and Detailed In-Depth Explanation:
                                            Audit evidence includes information collected through different methods to assess compliance with ISO
                                            9001:2015 requirements.
                                            Clause References:
                                            * ISO 19011:2018, Clause 6.4.6 - Audit Evidence: Audit evidence must be objective, verifiable, and based on facts.
                                            * ISO 9001:2015, Clause 9.1.1 - Monitoring, Measurement, Analysis, and Evaluation: Requires organizations to collect and analyze data from multiple sources to verify effectiveness.
                                            Types of Audit Evidence Collected in Scenario 3:
                                            * Verbal Evidence - Employee interviews regarding training and awareness sessions.
                                            * Documentary Evidence - Organizational charts, job descriptions, training records.
                                            * Physical Evidence - Workplace observations to assess working conditions.
                                            Why is the Correct Answer B?
                                            * The audit team used a combination of verbal (interviews), documentary (records), and physical (site observations) evidence.
                                            * This triangulation approach enhances audit reliability and ensures compliance verification.
                                            Why are the Other Options Incorrect?
                                            * A (Confirmative evidence) # Not a formal audit term in ISO 9001 or ISO 19011.
                                            * C (Analytical evidence) # Incorrect, as analysis was not a primary method used.
                                            * D (Qualitative evidence only) # Incorrect because the audit involved both qualitative (interviews) and quantitative (documents, physical) evidence.


                                            NEW QUESTION # 110
                                            In the context of a management system audit, identify the sequence of a typical process for collecting and verifying information. The first one has been done for you.
                                            To complete the sequence click on the blank section you want to complete so it is highlighted in red and then click on the applicable text from the options below. Alternatively, drag and drop the options to the appropriate blank section.

                                            Answer:

                                            Explanation:

                                            Explanation:
                                            Identifying the source of information
                                            Sampling available data
                                            Gathering audit evidence
                                            Verifying objective evidence
                                            Evaluating evidence against the audit criteria
                                            Making audit conclusions
                                            Evaluating against the audit criteria
                                            According to ISO 19011:2018, clause 6.4, the process of collecting and verifying information during an audit involves the following steps1:
                                            Identifying the source of information: The audit team should identify the sources of information that are relevant to the audit objectives, scope and criteria. These sources may include documents, records, personnel, processes, activities, facilities, equipment, etc. The audit team should also determine the methods and tools for accessing and collecting the information, such as interviews, observations, document review, sampling, etc.
                                            Sampling available data: The audit team should select a representative sample of the available data to verify the conformity and effectiveness of the management system. The sample size and selection method should be based on the audit objectives, scope and criteria, as well as the level of confidence and risk. The audit team should also consider the validity, reliability, relevance and sufficiency of the data.
                                            Gathering audit evidence: The audit team should use the methods and tools identified in the previous step to collect audit evidence, which is the records, statements of fact or other information that are relevant to the audit criteria and verifiable. The audit team should record the audit evidence in a clear, concise and objective manner, using notes, checklists, photographs, audio or video recordings, etc.
                                            Verifying objective evidence: The audit team should verify the accuracy, completeness and authenticity of the audit evidence collected. This may involve cross-checking different sources of information, confirming the identity and authority of the persons providing the information, examining the original documents or records, etc. The audit team should also identify any discrepancies, inconsistencies or gaps in the audit evidence.
                                            Evaluating evidence against the audit criteria: The audit team should compare the audit evidence with the audit criteria to determine the extent of conformity and nonconformity. The audit team should also identify any opportunities for improvement, best practices, positive aspects or potential risks. The audit team should use professional judgement and apply the principles of auditing when evaluating the audit evidence.
                                            Making audit conclusions: The audit team should consolidate the audit findings and evaluate the overall performance and effectiveness of the management system. The audit team should also consider the audit objectives, scope and criteria, as well as the context and expectations of the auditee and other interested parties. The audit team should provide a clear, concise and objective statement of the audit conclusions, which may include the degree of conformity, the achievement of the intended outcomes, the need for corrective actions, the suitability for certification, etc.
                                            Evaluating against the audit criteria: The audit team should review the audit conclusions and ensure that they are consistent with the audit criteria and supported by sufficient and appropriate audit evidence. The audit team should also ensure that the audit conclusions are communicated to the auditee and other relevant parties in a timely and effective manner, using the agreed audit report format and distribution method.
                                            References: ISO 19011:2018(en), Guidelines for auditing management systems


                                            NEW QUESTION # 111
                                            Who maintains ownership of the audit report?

                                            Answer: A

                                            Explanation:
                                            Comprehensive and Detailed In-Depth Explanation:According to ISO 17021-1:2015, Clause 9.4.8 (Audit Reporting):
                                            * The certification body retains ownership of the audit report as it is responsible for the certification decision.
                                            * The auditee may receive a copy, but it does not own the report.
                                            * The audit team leader compiles the report but does not own it.
                                            Thus, C is the correct answer.


                                            NEW QUESTION # 112
                                            ......

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