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PECB ISO-14001-Lead-Auditor Exam Syllabus Topics:

SectionObjectives
ISO 14001 Requirements- Support and operational control
- Leadership and environmental policy
- Performance evaluation and continual improvement
- Planning (risks, opportunities, environmental aspects)
Audit Planning and Preparation- Document review and checklist preparation
- Audit program and audit plan development
Audit Principles and Standards- ISO 19011 guidelines for auditing management systems
- Audit principles, ethics, and auditor competencies
Audit Execution- Collecting and verifying audit evidence
- Interview techniques and sampling methods
- Opening meeting and audit communication
Audit Reporting and Follow-up- Audit report preparation
- Corrective actions and follow-up audits
- Nonconformity identification and classification
Environmental Management Systems (EMS) Principles- ISO 14001 structure and PDCA model
- Fundamental EMS concepts and terminology
- Context of the organization and interested parties

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PECB Certified EMS ISO 14001 Lead Auditor Exam Sample Questions (Q50-Q55):

NEW QUESTION # 50
An audit team leader arrives at a steel fabrication organisation that manufactures fire escape stairs to carry out a Stage 2 certification audit. At a meeting with the EMS Manager, she is told that they have won their biggest contract from a construction organisation to manufacture and install fire escape stairs. They appointed a subcontractor to perform the installation work. The EMS Manager wants the ISO 14001 audit extended to cover the installation site and has set environmental objectives for the subcontractor in line with the EMS policy below:
"It is the policy of the organisation to protect the environment by acting with responsibility at all times, to comply with relevant legislation and to set objectives that will enhance our environmental performance." The auditor seeks evidence of awareness of the environmental objectives set by management for installation subcontractor personnel.
From the following options, select two objectives that align with the policy.

Answer: A,E

Explanation:
The correct answers are B and C .
This question relates mainly to ISO 14001:2015 Clause 5.2 - Environmental policy , Clause 6.2 - Environmental objectives and planning to achieve them , and Clause 7.3 - Awareness .
B). Reducing environmental impacts - Correct
The policy states that the organisation is committed to protecting the environment and enhancing environmental performance. Reducing environmental impacts is directly aligned with this commitment, especially for installation activities where risks may include paint waste, spills, emissions, waste generation, and contamination of site drains.
C). Promoting environmental awareness - Correct
The policy says personnel should act responsibly and comply with relevant legislation. Subcontractor personnel need appropriate awareness so they understand how their work affects environmental performance and legal compliance.
The other options are not the best answers:
A). Planning for site environmental resources - Incorrect
Resources may be needed to achieve objectives, but this is more related to planning and support, not an environmental objective that directly aligns with the policy.
D). Complying with the EMS scope - Incorrect
The EMS scope defines boundaries and applicability. It is not normally an environmental objective.
E). Continual improvement of production performance - Incorrect
ISO 14001 focuses on continual improvement of the EMS and environmental performance, not general production performance.
F). Involvement of stakeholders - Incorrect
Stakeholder involvement may be relevant to context and communication, but it is not directly stated as an objective in the policy.
Therefore, the two objectives that best align with the policy are B. Reducing environmental impacts and C.
Promoting environmental awareness .


NEW QUESTION # 51
The following statements are related to audit methods. Review each one and select the two that are true:

Answer: A,F

Explanation:
The correct answers are B and D .
B is correct because, during remote or virtual auditing, the auditor must respect confidentiality, information security, privacy, and auditee permissions. Recording people, taking screenshots, or capturing documents should only be done with permission from the auditee. This aligns with audit principles such as confidentiality, professional care, and information security .
D is correct because auditors should use a combination of audit methods to obtain reliable audit evidence.
Audit methods may include interviews, observation of activities, review of documents and records, sampling, remote communication tools, site tours, and review of environmental performance data. Using more than one method helps verify evidence and improves audit confidence.
The other options are incorrect:
A is incorrect because virtual audit evidence is not limited to human interaction. Evidence may also be collected through document review, records, photographs, video, data systems, monitoring reports, permits, procedures, and other non-interactive sources.
C is incorrect because audit sampling methods are determined by the auditor or audit team based on audit objectives, scope, criteria, risk, and available evidence. They do not need to be agreed by the auditee, although the auditee may need to provide access to relevant information.
E is incorrect because auditors are not automatically entitled to take copies of procedures or records off-site.
Taking copies depends on confidentiality rules, certification body procedures, legal restrictions, and auditee permission.
F is incorrect because audit evidence from top management interviews still requires verification where possible. Interview evidence should normally be corroborated using records, observed practices, objectives, environmental performance data, compliance obligations, or other audit evidence. Top management status does not remove the need for verification.
Therefore, the two true statements are B and D .


NEW QUESTION # 52
Which two of the following must be included in the audit scope of an ISO 14001 audit?

Answer: A,D

Explanation:
In accordance with ISO 14001:2015 Clause 4.3 (Determining the scope of the environmental management system) and ISO 19011 Clause 6.3.2, defining the audit scope requires establishing the boundaries and extent of the management system evaluation.
Option C is correct because Clause 8.1 (Operational planning and control) explicitly mandates that an organization must control or influence outsourced processes, products, and services that fall within its management system boundaries. Therefore, externally provided products, processes, and services must be evaluated as part of the audit scope. Option D is correct because ISO 14001:2015 requires a life-cycle perspective, covering activities, products, and services from raw material acquisition or generation through end-of-life treatment, within the defined audit scope.
Option A is incorrect because quality system processes belong to ISO 9001, not the core ISO 14001 environmental management system scope. Option B is incorrect because external training providers are external parties rather than structural scope components (unless specifically defined within an outsourced operational control evaluation). Options E and F are incorrect because the number of auditees to be interviewed and audit logistics are operational elements defined in the audit plan and schedule, not parameters that define the audit scope itself.
References: ISO 14001:2015 Clause 4.3 (Scope of EMS), Clause 8.1 (Operational planning and control), ISO
19011:2018 Clause 6.3.2 (Establishing audit plan/scope), and CQI-IRCA ISO 14001 Lead Auditor Curriculum (Audit Scope and Plan Formulation).


NEW QUESTION # 53
A chemical organisation has a plant at which they have to clean several vessels 4-5 times per day, and during the process, they release for 5-10 minutes some water vapor with a strong acid smell.
You are the audit team leader and are auditing the plant, as part of a second-stage initial certification audit.
When auditing the environmental aspects register, you see that the emission of that acid vapor has not been evaluated as a significant aspect. You raise a nonconformity.
At the closing meeting, only two people are present: the Health & Safety supervisor and a sales analyst, neither of whom has participated in the audit.
You: Good evening, could you please inform the managers that we are ready to start with the closing meeting?
H & S Supervisor: Good evening. We are sorry to inform you that the Sales Manager was involved in a serious car accident, and the General Manager and the Environmental Manager have had to leave urgently to attend the emergency.
Sales Analyst: They have asked us to listen to what you need to say and to sign whatever we need to sign.
However, the Environmental Manager said that he will not accept the nonconformity related to the acid smell and requests you not to include it in the audit report. Here is a note in which he explains why.
Which one of the following would be your preferred response to the final comment made by the Sales Analyst?

Answer: B

Explanation:
In accordance with ISO 19011:2018 Clause 6.4.9 (Conducting the closing meeting) and ISO/IEC 17021-1 Clause 9.4.7, the lead auditor is responsible for presenting audit conclusions and findings clearly. When diverging opinions or objections arise regarding an audit finding, the audit team leader must attempt to resolve the disagreement based on objective evidence; if unresolved, the auditee ' s objection or dissenting opinion must be explicitly documented within the final audit report.
Option D is correct because the lead auditor must maintain audit independence, uphold the evidence-based finding, and fulfill reporting requirements by including the nonconformity in the final audit report while formally noting the Environmental Manager ' s written concern or objection.
Option A is incorrect because delaying the formal presentation or audit reporting workflow to seek informal phone calls undermines established closing meeting procedures. Option B is incorrect because compromising or altering nonconformity wording without new objective evidence violates audit integrity principles. Option C is incorrect because the audit team leader possesses the delegated authority to finalize audit findings without suspending the audit process to seek instructions from certification body management.
References: ISO 19011:2018 Clause 6.4.9 (Closing meeting), ISO/IEC 17021-1:2015 Clause 9.4.7 (Audit report content), and CQI-IRCA ISO 14001 Lead Auditor Curriculum (Closing Meeting Protocols and Unresolved Disputes).


NEW QUESTION # 54
Which two of the following phrases would apply to "audit criteria"?

Answer: A,D

Explanation:
According to ISO 19011:2018 Clause 3.3 (Terms and definitions):
Audit criteria are defined as:
"Set of policies, procedures or requirements used as a reference against which objective evidence is compared." ISO 14001 requirements (F) and the organization's own management policy (A) are valid audit criteria.
Nonconformity report (C) and audit conclusions (D) are audit outputs, not criteria.
Financial objectives (B) and auditor competence (E) are not used as audit criteria.
Reference: ISO 19011:2018 Clause 3.3; ISO 14001:2015 Clause 5.2.


NEW QUESTION # 55
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