Quality Auditor Certification Exam
Practice Questions And Correct Answers
(Verified Answers) Plus Rationale 2026
Q&A| Instant Download Pdf
1.Which of the following is the primary purpose of a quality audit within a
quality management system?
A. To identify employees responsible for mistakes
B. To determine the effectiveness and conformity of processes against
defined criteria
C. To replace management review activities
D. To eliminate the need for corrective actions
B. To determine the effectiveness and conformity of processes against
defined criteria
A quality audit is conducted to evaluate whether processes conform to
requirements and whether the quality management system is effective.
Audits are not intended to assign blame but to identify opportunities for
improvement and verify compliance.
2. A quality auditor discovers that a procedure exists, but employees
consistently perform activities differently from the documented
process. What type of audit finding is most appropriate?
A. Opportunity for improvement
B. Conformity evidence
,C. Nonconformity due to lack of adherence to documented requirements
D. Positive audit observation
C. Nonconformity due to lack of adherence to documented requirements
When actual practices do not match approved documented procedures,
the auditor must identify a nonconformity because the organization is
failing to implement its defined process.
3. Which auditing principle requires auditors to remain fair, unbiased,
and free from conflicts of interest?
A. Confidentiality
B. Independence
C. Evidence-based approach
D. Risk-based thinking
B. Independence
Independence ensures that auditors perform evaluations objectively
without personal interest or influence that could affect their judgment.
4. During an audit, which type of evidence provides the strongest
verification that a process is effectively implemented?
A. Auditor assumptions
B. Employee opinions only
C. Objective evidence from records and direct observation
D. Management statements without supporting documentation
C. Objective evidence from records and direct observation
Objective evidence includes verifiable information such as records,
observations, measurements, and documented facts that support audit
conclusions.
5. The audit criterion is best described as:
,A. The auditor’s personal expectations
B. The requirements against which audit evidence is compared
C. The final audit report
D. The corrective action plan
B. The requirements against which audit evidence is compared
Audit criteria establish the standards, procedures, policies, regulations, or
requirements used to evaluate conformity during an audit.
6. What is the main responsibility of a lead auditor during an audit?
A. Performing all corrective actions personally
B. Managing the audit team and ensuring audit objectives are achieved
C. Approving all employee promotions
D. Designing production processes
B. Managing the audit team and ensuring audit objectives are achieved
The lead auditor coordinates audit activities, assigns responsibilities,
communicates with auditees, and ensures the audit is completed
effectively.
7. Which of the following is the best example of objective audit
evidence?
A. "The operator believes the process works well."
B. "The supervisor thinks training is adequate."
C. "Training records show employees completed required courses."
D. "The auditor feels the process is acceptable."
C. "Training records show employees completed required courses."
Training records are documented and verifiable evidence, whereas
opinions and personal judgments do not provide objective proof.
8. What is the primary purpose of an opening meeting during an audit?
, A. To negotiate audit findings
B. To establish communication, scope, objectives, and expectations
C. To approve corrective actions
D. To replace the audit plan
B. To establish communication, scope, objectives, and expectations
The opening meeting ensures that auditors and auditees understand the
audit purpose, schedule, methods, and responsibilities before activities
begin.
9. An auditor should classify a finding as a major nonconformity when:
A. A minor spelling mistake exists in a document
B. A system failure affects the organization’s ability to meet requirements
C. An employee suggests an improvement idea
D. A process exceeds customer expectations
B. A system failure affects the organization’s ability to meet requirements
Major nonconformities involve significant failures that can impact the
effectiveness of the quality management system or compliance with
requirements.
10. Which audit technique involves following a product, service, or
process from beginning to end?
A. Horizontal auditing
B. Vertical auditing
C. Traceability auditing
D. Financial auditing
C. Traceability auditing
Traceability auditing follows the flow of materials, information, or
activities through different stages to verify process control and records.
Practice Questions And Correct Answers
(Verified Answers) Plus Rationale 2026
Q&A| Instant Download Pdf
1.Which of the following is the primary purpose of a quality audit within a
quality management system?
A. To identify employees responsible for mistakes
B. To determine the effectiveness and conformity of processes against
defined criteria
C. To replace management review activities
D. To eliminate the need for corrective actions
B. To determine the effectiveness and conformity of processes against
defined criteria
A quality audit is conducted to evaluate whether processes conform to
requirements and whether the quality management system is effective.
Audits are not intended to assign blame but to identify opportunities for
improvement and verify compliance.
2. A quality auditor discovers that a procedure exists, but employees
consistently perform activities differently from the documented
process. What type of audit finding is most appropriate?
A. Opportunity for improvement
B. Conformity evidence
,C. Nonconformity due to lack of adherence to documented requirements
D. Positive audit observation
C. Nonconformity due to lack of adherence to documented requirements
When actual practices do not match approved documented procedures,
the auditor must identify a nonconformity because the organization is
failing to implement its defined process.
3. Which auditing principle requires auditors to remain fair, unbiased,
and free from conflicts of interest?
A. Confidentiality
B. Independence
C. Evidence-based approach
D. Risk-based thinking
B. Independence
Independence ensures that auditors perform evaluations objectively
without personal interest or influence that could affect their judgment.
4. During an audit, which type of evidence provides the strongest
verification that a process is effectively implemented?
A. Auditor assumptions
B. Employee opinions only
C. Objective evidence from records and direct observation
D. Management statements without supporting documentation
C. Objective evidence from records and direct observation
Objective evidence includes verifiable information such as records,
observations, measurements, and documented facts that support audit
conclusions.
5. The audit criterion is best described as:
,A. The auditor’s personal expectations
B. The requirements against which audit evidence is compared
C. The final audit report
D. The corrective action plan
B. The requirements against which audit evidence is compared
Audit criteria establish the standards, procedures, policies, regulations, or
requirements used to evaluate conformity during an audit.
6. What is the main responsibility of a lead auditor during an audit?
A. Performing all corrective actions personally
B. Managing the audit team and ensuring audit objectives are achieved
C. Approving all employee promotions
D. Designing production processes
B. Managing the audit team and ensuring audit objectives are achieved
The lead auditor coordinates audit activities, assigns responsibilities,
communicates with auditees, and ensures the audit is completed
effectively.
7. Which of the following is the best example of objective audit
evidence?
A. "The operator believes the process works well."
B. "The supervisor thinks training is adequate."
C. "Training records show employees completed required courses."
D. "The auditor feels the process is acceptable."
C. "Training records show employees completed required courses."
Training records are documented and verifiable evidence, whereas
opinions and personal judgments do not provide objective proof.
8. What is the primary purpose of an opening meeting during an audit?
, A. To negotiate audit findings
B. To establish communication, scope, objectives, and expectations
C. To approve corrective actions
D. To replace the audit plan
B. To establish communication, scope, objectives, and expectations
The opening meeting ensures that auditors and auditees understand the
audit purpose, schedule, methods, and responsibilities before activities
begin.
9. An auditor should classify a finding as a major nonconformity when:
A. A minor spelling mistake exists in a document
B. A system failure affects the organization’s ability to meet requirements
C. An employee suggests an improvement idea
D. A process exceeds customer expectations
B. A system failure affects the organization’s ability to meet requirements
Major nonconformities involve significant failures that can impact the
effectiveness of the quality management system or compliance with
requirements.
10. Which audit technique involves following a product, service, or
process from beginning to end?
A. Horizontal auditing
B. Vertical auditing
C. Traceability auditing
D. Financial auditing
C. Traceability auditing
Traceability auditing follows the flow of materials, information, or
activities through different stages to verify process control and records.