Wednesday, October 30, 2019

Associated British Foods plc Case Study Example | Topics and Well Written Essays - 2000 words

Associated British Foods plc - Case Study Example It grows sugar from beets in the UK and Poland, and owns and operates cane plantations in Zambia and Swaziland in Africa and in Guanxi Province in China. The company also produces bioethanol from wheat and cane production waste, and sells animal feeds and feeds microingredients to farmers in over 40 countries. ABF's revenues increased 13% to 6.8 billion in line with operating profit, which increased by 11% to 622 million in 2007. These accomplishments reflect the company's presence in high-growth markets such as China, India, Latin America, and Africa. Despite the strength of the sterling having an adverse effect on financial figures, the increases reflect good management and operating performance. The company is active in the search for alternative bio-fuels at a time of rising petrol prices, allowing ABF to benefit from and take advantage of the increasing demand for environment-friendly energy sources. The value of the profit margin was calculated from the adjusted profit before tax amounting to 613 million whilst total sales amounted to 6,800 million. The profit margin for the year is slightly lower than the previous year's figure of 9.36% from profits of 561 million on sales of 5,996 million. The profit margin went down slightly because of losses from currency transactions when translating non-sterling revenues to sterling revenues. Since the sterling is stronger than other currencies, most especially the U.S. dollar in which some of the company's revenues are recorded, the amount of sterling that could be earned for each dollar would be slightly lower than if the dollar were strong. Non-UK sales (3,547 million) were over half the total sales. According to the financial statements, operating costs were much higher this year than last year. This was explained in several places of the report as due to the number of acquisitions spent this year, resulting in higher employee expenses for example. The total number of employees in Europe, Middle East, and Africa went up from 4,917 in 2006 to 37,084 in 2007 because of acquisitions in these regions. Asset Turnover = 1.97 times The asset turnover was calculated using the sales figure of 6,800 million and the total capital employed of 3,460 million. This means that every 1 invested in the company's assets returned sales of 1.97 or almost twice the invested capital. This figure gives an indication of how well the company utilised its assets. In the absence of comparative figures with other companies, this figure does not signify much. However, the asset turnover in 2006 was much higher at 2.1 because the company had higher margins and lower assets (valued at 4,579 million) before the company went on an acquisition spree that increased the total capita

Sunday, October 27, 2019

Parties Involved In The Project Completion Construction Essay

Parties Involved In The Project Completion Construction Essay In a construction project there are several parties involved in the completion of the project. These parties can be from either the public sector or the private sector. The key parties are the owner/client, the architect/engineer and the general contractor. Between these parties there are business agreements in the form of contracts to complete the work in the project, such as: design, engineering, construction, management and maintenance. A construction project is ready for execution after the client/owner accumulates the required funds and has obtained the necessary approvals from the relevant authorities. Upon meeting the above mentioned criteria for establishing a project, the client will approach a general contractor or an architect to complete the project. In medium to large size projects the client can execute the work by employing the work force directly (trade contract), entrusting a select portion of the work to general contractors and executing the remaining work directly (main contract) or entrusting the entire work to general contractors (turnkey contract). In a main contract, the client contracts with an architect whom is responsible for the design of the project and a general contractor who is responsible for the construction, which results in two separate contracts: the client-architect contract and the client-contractor contract. Subject to the clients involvement in decision making, the architect is able to act as the clients representative. In a turnkey contract the general contractor is responsible for both the design and construction of the project; there is a single contract between the two parties: the client-contractor contract. The client-contractor contract maintains the contractual relationship between the two parties in both main and turnkey contracts. Theoretically speaking, the turnkey contractor is responsible for a main contractors and consultants (architect/engineer) work within a project, in other words the turnkey contractor is also acting as the main contractor. It is important to consider the potential for change in this contractual relationship, it is important to consider the idea that a main contractor can also act as a turnkey contractor within the project. Problem Statement How can a general contractor act as both a main contractor and a turnkey contractor within a single project? Research Questions What form of project will allow the general contractor to change their role in the projects organisational structure? How is the general contractor allowed to change roles? Delimitation This study will be written from a practical perspective, not from a legal perspective. This study will focus on the relationship between the client and general contractor in a building construction project to identify the parameters in which the general contractor is able to be both a main contractor and a turnkey contractor within a single project. This study will not cover the legal issues pertaining to liability, insurance, and risk management etc. Research Method The research conducted is through qualitative and analytical methods, to answer the research questions raised in this study. The research will be from primary and secondary sources such as: interviews, articles, books, websites, published documents from websites (electronic books, archived documents etc.), reports, publicly available legal documents (sample contracts). Chapter 1 Section 1 Prior to analysing how a general contractor acts as both a main and turnkey contractor, there is necessary to outline what their contractual roles and responsibilities are within a project. By identifying their contractual responsibilities, it allows for a more accurate analysis to answer the research questions presented in the problem statement section of this study. What is a Main Contract? In the initial stage of the project, the client awards an architect with a consultant contract, where the architect is responsible for preparing drawings, specifications, and contract documents for general contractors to bid on. The winning general contractor is awarded the main contract for the project. The main contract is a business agreement between the general contractor and the client, where the general contractor agrees to carry out the main construction works in the project. The general contractor (now main contractor) may subcontract one or more trade contractors to carry out specific works in the main contract. The main contract is a result of the Design-Bid-Build (DBB) project delivery system. The DBB project delivery system is the method the client gets the project from start to finish. DBB consists of three parties: the design party, the construction party and the client. The design party includes the architect, specification writers (consultants), engineers (structural, services, mechanical), interior designers, quantity surveyors and other participants the architect considers necessary for completing the project. Depending on the clients involvement in the decision making, the architect is able to act as the clients representative and also for reviewing contract documents. The construction party consists of the main contractor who is responsible for providing the labour, material, equipment, machinery and professional expertise to complete the project in accordance with the contractual documents which are provided by the architects. The client is responsible for providing the location of a project (the site) and the contract documents to the main contractor, providing the architect with the budget, and funding the project (paying the main contractor and the architect). The budget is an important part of the project as it allows the architect to design a building that meets the clients requirements and it determines the scope of the project. What is a Turnkey Contract? A turnkey contract is a business arrangement between the client and the general contractor. To commence the project, a client awards the general contractor a turnkey contract, where the general contractor (now turnkey contractor) is responsible for the design, engineering, construction and management of the project. The construction industry refers to the turnkey contractor as a single point of responsibility, a phrase that reflects the turnkey contractors contractual obligations. Note: The client can award the turnkey contract to either the architect or a general contractor, however the researcher will continue on the premise that the contractor is awarded the turnkey contract to remain consistent with the research for this part of the study. The turnkey contract is a product of the Design-Build (DB) project delivery system i.e. it is another method the client gets the project from start to finish. In a DB project, the turnkey contractor may award an architect/engineer a consultant contract to perform the design work. The turnkey contractor is also able to subcontract trade contractors to perform specific works in the turnkey contract. A turnkey contract can also be used in a Design-Build-Operate (DBO) project delivery strategy. In DBO the client awards a general contractor a turnkey contract, and the general contractor (now turnkey contractor) is again responsible for providing design, engineering, construction and management services, however with Operate the turnkey contractor is obligated to also provide the building to the client once it is fully operational. The purpose of DBO is to manage the client and general contractor in a multidisciplinary contract: to design, build and operate as opposed to individual agreements to govern the different facets of a project (Sunna, 2009). In a DBB project the client has a direct relationship with the architect and the main contractor (where the architect and contractor have an indirect relationship) shown in Figure 1, whereas in the DB project the client has a direct relationship with the turnkey contractor. Figure Section 2 Based on the research on project delivery systems and procurement methods, the private finance initiative involves both the public sector and the private sector working in collaboration to develop a project. This section focuses on the private finance initiative in an effort to answer the first research question: What form of project will allow the general contractor to change their role in the projects organisational structure? What is the Private Finance Initiative? The private finance initiative (PFI) is a procurement method where a private party or private parties provide funds to finance public services or projects; to partially privatise the service or project. The objective of a PFI project is to provide infrastructure to the public sector with additional services like maintenance (with PFI the private sector both operates and finances the project). Theoretically, the government (public sector) bids on a project, which includes construction work, services and maintenance. Because these projects require a variety of skills, in PFI the government and a group of private companies place a combined bid on the project, and work in collaboration to execute the project. The concept of PFI is to involve the private sector in public sector services or projects, because private companies are considered to be better at project management and budgeting/finance management. When a project is awarded, the public and private parties (in this case the government and private companies) create a new private company to manage and exchange funds for the project. These funds are used to initiate and run the project. For a construction project after the building is fully operational, if the private companies made an agreement for the maintenance of the building over a period of for example, 25 years; the government will reimburse the cost of the project (including interest) over time. Contract Process A public party (government) signs a contract with a private party (a company or a group of companies) creating a public-private partnership (PPP). A PPP is a contract between a public party and a private party. Before the PPP is created a private company creates a new company in collaboration with other private companies, this is referred to as a Special Purpose Vehicle (SPV). The SPV is made up of private investors, a construction company, a maintenance company and a bank lender/s. SPV contracts with the government creating a PPP, and also with general contractors responsible for constructing and maintaining the building. The banks funding PFI projects are repaid by SPV, from payments received from the government over the duration of the PFI contract. The repayments are based on the SPVs ability to meet the requirements specified in the contract. PFI Project Organisation Structure Refer to Figure 2; the SPV is divided into subgroups: A holding company (Com A), private investors/bank lenders (Com B) and a services or operating company (Com C). The primary contract is between the government and the SPV, and the requirements in the specification transmit from the SPV to Com A, Com B and Com C through secondary contracts, and then filter down to the trade contractors. Figure What form of project will allow the general contractor to change their role in the projects organisational structure? According to the concept of PFI procurement, once a PPP contract is signed a new company is formed to finance the project. Referring to Figure 2, the SPV is considered as the client in this project because the government requires additional funding for the service or building project and is allowing the private party (Com A, Com B and Com C) to partially privatise the project. However, the government is still part owner; the SPV can also be a general contractor. In Figure 2 the SPV is both financing and operating the project, depending on how the SPV wants deliver the project, Figure 2 assumes that the general contractor (in the project environment) is a main contractor, therefore the SPV will have a client-contractor relationship. But the government is still a part client to the project therefore the SPV is also considered as the turnkey contractor to the project. A PFI project created through the partnership of the government and the SPV allows for a general contractor to change their role in the projects organisation structure. As shown in Figure 2, the SPV is a part client, turnkey contractor from the governments perspective and main contractor from the SPVs perspective. Section 3 According to research regarding contracts and contractual relationships, Novation allows the parties involved in the project to change the project organisational structure by transferring their rights and responsibilities to the works specified in the contracts. The purpose of this section is to identify Novation in an effort to answer the second research question: How is the general contractor allowed to change roles? What is Novation? The business dictionary defines novation as the substitution of an original party to a contract with a new party, or substitution of an original contract with a new contract. To expand on that definition, novation is the process of replacing the original contract with a new contract between the original parties involved. Alternatively novation is also used to replace an original party with a new party under the original contract. Once the original party is replaced, the original partys obligations are discharged, and the new party is responsible for the replaced partys obligations. Novation can only occur when all the parties involved agree to replacing a party or replacing a contract. By replacing the obligations of the original party the main contractor all the parties involved (client, architect/engineer, and main contractor) in the original contract must agree for the replacing to take place. If the agreement to replace comes into effect, the new party will take over the responsibilities and obligations of the replaced party, i.e. the new general contractor will become a replacement to the original main contractor. Novation is used when the parties find that payments or performance are impossible under the terms of the original agreement, or the debtor will be forced to default or go into bankruptcy unless the debt is restructured. (Sahil, 2010) According to Rowlinson (2010), if the main contractor is being replaced with a new general contractor the clients role in the project remains unchanged (the client being the contracting party). Figure 3 illustrates how novation affects the projects organisation. The Client (A) awards a consultant contract with an architect (B) and a construction contract with a general contractor (C). However, the client wants to create a single point of responsibility for both design and construction. For this to occur, the client (A) can novate their rights and obligations (under the consultant contract) to the contractor. Figure In the pre novation phase; the client will first award an architect/engineer the consultant contract to conduct the design work for the project, through which the potential general contractor will place their bid. In the post novation phase; the consultant contract between the client and the architect/engineer is novated to the general contractor (after the general contractor is employed). This novation results in the original consultant contract between the client and architect/engineer being completely replaced with a new consultant contract between the general contractor and the architect/engineer. By novating the contract, the client transferred the architect/engineers rights and responsibilities to the general contractor, therefore the general contractor is now responsible for both the design and construction works of the project. How is the general contractor allowed to change roles? Based on the concept of novation presented in section 3, the client is able to contract with an architect/engineer making them responsible for the design work in the project. After this stage the client awards a general contractor with a main contract for the construction work in the project. If the client wants to make the general contractor (now main contractor) responsible for the post tender design work, and all the parties agree to this contract change, then the client novates the contract thus making the main contractor a turnkey contractor. Through novation a general contractor is allowed to change roles, however all parties must be in agreement. Alternatively, novation can also be used to change a turnkey contractor into a main contractor, on the basis that all parties agree. Chapter 2 Empirical Data The purpose of the empirical data section of this study is to verify the practice of the PFI procurement method as well as identify the relationship of the parties involved. An article published in The Observer section of the Guardian newspaper in the United Kingdom (UK), by Graham Norwood (2010) titled Self-build homes face a new set of obstacles is about the UK governments planning and housing policy. The articles primary focus is the effect of the policy on self-builders (owner-builders) and rural authorities, with emphasis on financing. It appears that the article is part of a debate regarding the positive and negative effects, from the owner-builders perspective as it depicts the UK government in a negative context. Extract 1 Housing minister Grant Shapps says the coalition will instruct councils to create registers of potential self-builders and allocate them land, including some private plots donated by volume house-builders, as a condition of receiving planning consent to construct large schemes. In return, at least some self-builders, chiefly in high-priced rural areas, would have to agree that their completed homes would be classified as local social housing and not be sold-on privately. Extract 1 outlines the policy and the governments intentions to provide owner-builders with properties to construct dwellings to increase housing in the UKs rural regions (by coalition the author is referring to the government). Extract 2 Orme is also critical of the abolition of house-building targets, which are to be replaced with more power for councils and community groups to decide on schemes for local homes. In some cases, 90% of locals may have to support a proposal before it can go ahead, a level of support currently achieved by very few planning applications. Orme is a reference to Jason Orme, an owner-builder and editor of Homebuilding Renovating magazine. According to Extract 2 an owner-builder requires the approval of both the local authorities and the community for the design of the building. Extract 3 The fear of many, including volume developers, surveyors and planners, is that by devolving decision-making to communities, most plans for homes will be thrown out. Until now, self-builders have been treated benevolently by planners. Before the recession there were 20,000 self-built homes in the UK annually, about 12.5% of the total, compared with 40% in Scandinavia and central Europe. Extract 3 summarises the possible issues that can slow or stop the progress of the project. Based on the first sentence by devolving decision making to communities, most planswill be thrown out the author is saying the potential effect of including local communities in the design approval process, from the consultants perspective. In this portion of the empirical section scrutinizes extracts from the UK governments Planning Policy Statement 3: Housing June 2010 discussed in the article by Norwood (2010). Extract 4 Paragraph 11 of Planning Policy Statement 3: Housing June 2010 Collaborative Working Key to the success of this new approach will be collaborative working between Local Planning Authorities and Regional Planning Bodies, as well as early engagement with local communities, stakeholders and infrastructure providers. Local Planning Authorities will need to work closely with the private sector, particularly developers and housebuilders, to achieve the Governments strategic housing objectives. In Extract 4, private sector in refers to the private party that the government will provide properties to. Through this information the researcher is able to confirm the relationship between the public and private parties. Extract 5 Paragraph 29 of Planning Policy Statement 3: Housing June 2010 Set out the approach to seeking developer contributions to facilitate the provision of affordable housing. In seeking developer contributions, the presumption is that affordable housing will be provided on the application site so that it contributes towards creating a mix of housing. Extract 6 Paragraph 36 of Planning Policy Statement 3: Housing June 2010 In support of its objective of creating mixed and sustainable communities, the Governments policy is to ensure that housing is developed in suitable locations which offer a range of community facilities and with good access to jobs, key services and infrastructure. This should be achieved by making effective use of land, existing infrastructure and available public and private investment, and include consideration of the opportunity for housing provision on surplus public sector land (including land owned by Central Government and its bodies or Local Authorities) to create mixed use developments. The statement in Extract 5: approach to seeking developer contributions to facilitate the provision of affordable housing, and Extract 6: making effective use of land, existing infrastructure and available public and private investment, together both these statements confirm that the government (public party) is going to work in collaboration with the owner-builder (private party), because the developer refers to the general contractor, and public and private investment refers to the combined funds of both the public and private parties. When the government is going to work with the owner-builder, the government is entering a PPP with the owner-builder. In Extract 1 Norwood (2010) writes their completed homes would be classified as local social housing and not be sold-on privately. The government is going to allow the owner-builder to partially privatise the completed building, particularly at the end classified as local social housing refers to a public service. The PPP between the government and the owner-builder is not the same as the PFI procurement discussed in Chapter 1, Section 2. According to that discussion, the government collaborates with a private party to jointly bid on a project and exchange funds to develop the project, here the government is providing the property/site for construction without financing the project. By comparing both the discussion of PFI in Chapter 1, Section 2, and extracts 1 to 6, the following information has been verified: the government is the public party; the owner-builder is the private party and the SPV. The relationship between the two parties is a public-private relationship, in other words the public sector is involving the private sector in public service or projects, which (as discussed previously) the concept of PFI.

Friday, October 25, 2019

The Themes in Hawthornes Young Goodman Brown Essay -- Young Goodman B

The Themes in â€Å"Young Goodman Brown†Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚        Ã‚  Ã‚   In Nathaniel Hawthorne’s â€Å"Young Goodman Brown† the reader finds several themes. These will be discussed in this essay.    Morse Peckham in â€Å"The Development of Hawthorne’s Romanticism† explains what he interprets Hawthorne’s main theme to be:    Once the self has been redeemed from society it can be explored in its own terms, and for this purpose Hawthorne developed his peculiar use of emblematic allegory. . . . This technique, though Hawthorne’s is different from that of European writers, creates analogies between self and not-self, between personality and the worlds. . . .Henceforth Hawthorne’s theme is the redemption of the self through the acceptance and exploitation of what society terms the guilt of the individual but which to the Romantic is society’s guilt (92).    The interplay between the guilt of the individual, Goodman, and society’s guilt, underlies all of â€Å"Young Goodman Brown† from beginning to end.    In reading Hawthorne’s tales, Herman Melville in â€Å"Hawthorne and His Mosses† (in Literary World, August 17, 24, 1850) makes discoveries relevant to the themes:    Where Hawthorne is known, he seems to be deemed a pleasant writer, with a pleasant style,--a sequestered, harmless man, from whom any deep and weighty thing would hardly be anticipated:--a man who means no meanings. But there is no man, in whom humor and love, like mountain peaks, soar to such a rapt height, as to receive the irradiations of the upper skies;--there is no man in whom humor and love are developed in that high form called genius; no such man can exist without also possessing, as the indispensable complement of these, a great, deep intellect, which drops down... ...â€Å"The Return into Time: Hawthorne.† In Hawthorne – A Collection of Critical Essays, edited by A.N. Kaul. Englewood Cliffs, NJ: Prentice-Hall, Inc., 1966.    Martin, Terence â€Å"Six Tales.† In Nathaniel Hawthorne. New York: Twayne Publishers Inc., 1965.    Melville, Herman. â€Å"Hawthorne and His Mosses,† The Literary World August 17, 24, 1850. http://eldred.ne.mediaone.net/nh/hahm.html    Peckham, Morse. â€Å"The Development of Hawthorne’s Romanticism.† In Readings on Nathaniel Hawthorne, edited by Clarice Swisher. San Diego, CA: Greenhaven Press, 1996.    Swisher, Clarice. â€Å"Nathaniel Hawthorne: a Biography.† In Readings on Nathaniel Hawthorne, edited by Clarice Swisher. San Diego, CA: Greenhaven Press, 1996.    Wagenknecht, Edward. Nathaniel Hawthorne – The Man, His Tales and Romances. New York: Continuum Publishing Co., 1989.         

Thursday, October 24, 2019

Marijuana Exploratory

Jamal Mujaddidi English 205 Professor Jay 8 April 2010 Exploratory Essay Legalization: Good or Bad? As part of the Marijuana Tax Act of 1937, Marijuana for all purposes was outlawed nationwide. Prior to this Act, over 30 states had prohibition laws towards Marijuana because farmers who employed mainly Hispanic workers complained that this drug would cause people to become â€Å"slow† or â€Å"lazy† and would also cause the users to become addicted. Besides the popularity among this crowd, marijuana was used as an intoxicant during the 1850’s through the 1930’s and was listed in the United States Pharmacopeia. The active ingredient in marijuana is THC, or delta-9-tetrahydrocannabinol, but this is only one of the 400 other chemicals that are in the plant (TheWELL). It was prescribed for conditions such as labor pain, nausea, arthritis, and rheumatism (DeLisle). It was only after individuals began committing crimes while under the influence of Marijuana that the U. S. Federal Bureau of Narcotics gave marijuana the image of a powerful, addicting, substance that would lead users into a more serious addiction. In the 1960s, it was mainly used by college students and â€Å"hippies,† and subsequently became a symbol of rebellion against authority. Marijuana use became a commonplace issue in congress which led to The Controlled Substances Act of 1970 which classified marijuana along with LSD and heroin as S1 drugs, otherwise known as substances which have the highest relative abuse potential and no form of medical use (DEA). Widespread eradication of marijuana and marijuana products began. The current opponents of marijuana legalization claim that marijuana does have addictive qualities and is an epidemic on America’s youth. This crowd presents that marijuana is a â€Å"silent-killer† due to a fungus and mold which can easily grow on the part which is smoked by users (PRNewswire). This fungus can cause lung cancer and they have deemed marijuana as bio-hazardous. The opposition also goes to say that marijuana can have adverse effects on the brain and can cause brain-cells to die. Some research suggests that use of marijuana during pregnancy can result in premature birth and low birth weights and can even cause temporary loss of fertility. Along with adverse effects on the reproductive system, the opposition claims that marijuana use during adolescence can be harmful to physical and sexual development. This side pushes for further prohibition of marijuana and stricter punishments due to their beliefs that the negatives outweigh the benefits. In the middle of this debate, stand the moderate marijuana use supporters. This side views marijuana use as a potential alternative to painkillers which are detrimental to vital organs. This crowd is mainly made up of physicians and health-care professionals, as wells as patients of chronic illnesses and pain. Doctors and nurses say that cannabis is a less toxic and less expensive medicine for diseases such as multiple sclerosis, Crohn’s disease, migraines, cancers, and many other disorders which cause chronic symptoms and pain. This side also states that marijuana’s versatile nature allows patients to gain the pain relieving effects through ingestion, canceling out the negative effects of smoking. Besides all these benefits, this crowd pushes for a safe, reliable and quality-controlled source of marijuana which can only be achieved through legalization. It is believed that after this source is created, many adverse effects of â€Å"bad† marijuana will disperse. Another camp of this debate is the supporters of full legalization of marijuana use and growth for medicinal and recreational use. These supporters claim that marijuana should be allowed to be used in the way alcohol and cigarettes are used recreationally. They state these comparisons have worse long-term effects than THC and yet they are taxed and regulated. Another point they make is that marijuana would inject millions of dollars into the economy once government grown marijuana is taxed. Besides the smoking and ingesting of the drug, the plant can be used for its naturally produced fiber known as hemp. This can be cultivated from the stem of the plant and used commercially and industrially for paper, textiles, biodegradable products and medical purposes. Overall, they believe the claimed dangers of marijuana are exaggerated and not enough medical trials have been done to verify these claims. As a college level youth and the Legalization of marijuana use in California is on the ballot, I am interested in learning about this issue before I cast my vote. I have seen the benefits of medicinal marijuana in my family and can attest to the pain relieving effects. As for the recreational use, I believe that alcohol is a much more dangerous substance that can be detrimental to mental and physical health and cause irrational decisions while under the influence. Prohibition has shown to not be a viable solution in the past and I don’t think it can ever solve anything. Regulation on the other hand can prove to be effective because substances will not be bought and traded illegally. I think the legalization of marijuana will improve lives, decrease crimes, and slightly improve the economy. Works Cited DeLisle, Judi. _Medical Marijuana Research Guide. Valencia West Campus Library_. Web. 20 Mar. 2007. 7 Apr. 2010. â€Å"DEA, Controlled Substances Act. † Welcome to the United States Department of Justice. Web. 08 Apr. 2010. â€Å"The Marijuana Initiative Is a Silent Killed and It Should be Defeated – Los Angeles, March 25/PRNewswire/. †_PR Newswire: Press Release Distribution, Targeting, Monitoring and Marketing. _Web. 08 Apr. 2010. â€Å"Fact Sheet – Marijuana. † The WELL – The Birthplace of the Online Community Movement. Web. 08 Apr. 2010.

Wednesday, October 23, 2019

A Personal Story

In my essay I am going to share a personal story with you that will tell you how I had to face hardships in order to pursue my studies. It’s all basically related to my education.So my story starts off from the time when I was studying at school. I was an above average student in the junior classes but once I started getting promoted to higher classes, my grades were affected and they started declining.Things worsened for me when I reached the tenth grade. I was in my O-levels at that time and so I had to leave school as my family was also facing a financial crisis.Once I left school, I appeared for my O-levels exams as a private candidate and after completing my O-levels, I joined a local school as an English teacher.Teaching English was not my only subject, I was also assigned to teach some of the other English subjects such as General Knowledge, Geography, History, etc. along with mathematics to the students of grade two, three and four. Although I was not much satisfied wi th the compensation I was getting but it was indeed a good start as I did not have any previous experience of teaching before and even my qualifications were not much as I had just done my O-levels at that time.Side by side, I started preparing to sit for A-levels examinations for which I choose three subjects. However, teaching was a hard job but along with teaching I decided to prepare for my exams but mostly due to lack of time I could not study.Other than that, as it was my first experience of working anywhere, I had to learn a lot as to how to respond or react to certain situations as I am a kind of person who very frequently gets angry at things and gets irritated by any small thing but at work, I had to control my impatience.This was the time when I started taking things in a different way. Although I was still impatient and fussy about things but I had to accept things that I was being told by my seniors to do. Therefore, I learnt to be patient and how to respond to things. In the world outside it’s usually that you always cannot say the things in a way that you really feel. However, one has to be very much careful due to the persisting politics in an organization and same was for the school I was working at.Moreover, working here made me learn new things that were proved to be helpful for my career and for my future. During this time, I became fussy about some things and I did plan to resign but my resignation never used to be accepted as the principal wanted me to continue working for her. Months passed and the date of my A-levels examinations came nearer and nearer that created a tension for me.As I mentioned above, I am not a brilliant student who could understand the concepts just by reading the books once. Therefore, to prepare for my examinations, I talked to my employer and asked him for an early off every day so that I could go home early and I could study. There were just three months left for my examinations when I started studying fo r my examinations and that too along with the work load of the place I was working at.Finally, the date of my examination came and I appeared for my A-levels examinations. The result was supposed to be announced a couple of months later. Meanwhile, I was still working at the school and during that time I also started preparing for my entrance test for my bachelors degree that was to be held a month after my A-levels examinations.Therefore, I gave my entrance test and was glad to know that I had cleared it. A few days later, I had my interview at my university and I cleared that as well. This was the time when I finally resigned and left the job as my university was to start within a month. I worked at the school for more or less a year.Meanwhile, I prepared for my university that started soon. I used all my savings to pay my university tuition fee and in the end I was left with nothing. Therefore, to cope up with my financial expenses, I decided to give home tuitions to the students .These students basically used to be from primary level classes and the basic subjects that I used to give tuitions for were English and Mathematics. I kept on giving tuitions to different students throughout as I was supposed to pay my university tuition fees as still my family was facing a financial crisis. Therefore, to continue my studies, I had to continue giving tuitions to the students.At university, I was enjoying my life although studies at this level got a little tougher and I had to study hard in order to achieve good grades in the courses I appeared for. Besides the academics, I took part in the extra circular activities at my university such as in sports, declamation contests, drama, etc. and this was the fun part of the time I used to spend at the university besides the stress of the studies.

Tuesday, October 22, 2019

Near Death Experiences essays

Near Death Experiences essays I love you and always will.(Ring, 37) One of the great many mysteries of all time is the mystery of what lies beyond life as we know it. What is really out there after we die and leave this world? This question has been asked and attempted to be answered for thousands of years. Religions try to answer it, even human logic tries to answer this question. Sociologists are possibly one of the most skeptic groups of people when it comes to the Near Death experiences. And they are most likey one of the main groups of professionals exploring near death experiences. Some Sociologists believe that there is not an efficaent way to diagnose NDEs as NDEs. One such sociologist is Bruce Grayson. He believes that there must be a more developed scale in which to test the depth of a NDE. Though NDEs differ from person to person, as of present research there are many acknowlged similarities that keep the experience consistent. They are: 1. Alertness during the cause of death and into the actual NDE 2. Hearing the news of ones own death while somewhere other than the body These stages of NDE can be in any order or can be completely omitted, but through study the most common occurrence during NDE are the above. Though some sociologists have intensely studied NDEs the patteren of the occurances sometimes still do not convince all researchers. It is the job of sociologists to further explore the behavior of these people and what happens durring the NDE. Though the stages of NDE have been doucumented they are still studied. Some of the more familiar research is explained further on in this paper. The most common first stage of NDE is the conscious experience of dying followed by such peace and tranquility that many patients claim there is no way of explaining it. A man who nearly died as a result of a motorcycle crash said as he lay dying in the hospital: I felt peaceful. I felt calm. No pain...extremely peaceful (R...

Monday, October 21, 2019

WATCH How to create personal boundaries at work

WATCH How to create personal boundaries at work We spend A LOT of time at work. Â  And colleagues can quickly become friends. Â  But if you find yourself working with someone who has mistaken your friendliness for flirtation, then it’s time to re-establish your personal boundaries. Â  Today’s Bossy Skirt clip offers three actionable and drama-free ways to keep things professional (and comfortable) at work. Source: [Daily Fuel]

Sunday, October 20, 2019

Learn More About the History of Lasers

Learn More About the History of Lasers The name LASER is an acronym for Light Amplification by the Stimulated Emission of Radiation. It is is a device that emits a beam of light through a process called optical amplification. It distinguishes itself from other sources of light by emitting light in a spatially and temporally coherent manner. Spatial coherence keeps the beam within a narrow and tight path over long disances. This allows the energy generated to be used in applications such as laser cutting and laser pointing. Having temporal coherence means that can emit light within a narrow spectrum to generate a light beam of a specific color. In 1917, Albert Einstein first theorized about the process which makes lasers possible called Stimulated Emission. He detailed his theory in a paper titled Zur Quantentheorie der Strahlung (On the Quantum Theory of Radiation). Today, lasers are used in a wide range of technologies including optical disk drives, laser printers and barcode scanners. They are also used in laser surgery and skin treatments as well as cutting and welding. Before the Laser In 1954, Charles Townes and Arthur Schawlow invented the maser (microwave amplification by stimulated emission of radiation) using ammonia gas and microwave radiation. The maser was invented before the (optical) laser. The technology is very similar but does not use visible light. On March 24, 1959, Townes and Schawlow were granted a patent for the maser. The maser was used to amplify radio signals and as an ultra sensitive detector for space research. In 1958, Townes and Schawlow theorized and published papers about a visible laser, an invention that would use infrared and/or visible spectrum light. However, they did not proceed with any research at the time. Many different materials can be used as lasers. Some, like the ruby laser, emit short pulses of laser light. Others, like helium-neon gas lasers or liquid dye lasers, emit a continuous beam of light. The Ruby Laser In 1960, Theodore Maiman invented the ruby laser considered to be the first successful optical or light laser. Many historians claim that Maiman invented the first optical laser. However, there is some controversy due to claims that Gordon Gould was the first and there is good evidence backing that claim. The Gordon Gould Laser Gould was the first person to use the word laser. Gould was a doctoral student at Columbia University under Townes, the inventor of the maser. Gould was inspired to build his optical laser starting in 1958. He failed to file for a patent his invention until 1959. As a result, Goulds patent was refused and his technology was exploited by others. It took until 1977 for Gould to finally win his patent war and receive his first patent for the laser. The Gas Laser The first gas laser (helium-neon) was invented by Ali Javan in 1960. The gas laser was the first continuous-light laser and the first to operate on the principle of converting electrical energy to a laser light output. It has been used in many practical applications. Hall's Semiconductor Injection Laser In 1962, inventor Robert Hall created a revolutionary type of laser that is still used in many of the electronic appliances and communications systems that we use every day. Patel's Carbon Dioxide Laser The carbon dioxide laser was invented by Kumar Patel in 1964. Walker's Laser Telemetry Hildreth Walker invented laser telemetry and targeting systems. Laser Eye Surgery New York City ophthalmologist Steven Trokel made the connection to the cornea and performed the first laser surgery on a patients eyes in 1987. The next ten years were spent perfecting the equipment and the techniques used in laser eye surgery. In 1996, the first Excimer laser for ophthalmic refractive use was approved in the United States. Trokel patented the Excimer laser for vision correction. The Excimer laser was originally used for etching silicone computer chips in the 1970s. Working in the IBM research laboratories in 1982, Rangaswamy Srinivasin, James Wynne and Samuel Blum saw the potential of the Excimer laser in interacting with biological tissue. Srinivasin and the IBM team realized that you could remove tissue with a laser without causing any heat damage to the neighboring material. But it took the observations of Dr. Fyodorov in a case of eye trauma in the 1970s to bring about the practical application of refractive surgery through radial keratotomy.

Saturday, October 19, 2019

Look at the the instruction (2) Essay Example | Topics and Well Written Essays - 750 words

Look at the the instruction (2) - Essay Example In solution, ethanol reacts with the potassium dichromate, reducing the dichromate ion to chromium(III) ion. This reduction results in a change of the solution’s color from red orange to green. The extent of the color change, precisely measured by photoelectric cells revealed the amount of alcohol in the sample (Willet, 1996). This chemical analysis though, is not very accurate due to the presence of interfering compounds which are similar in structure with alcohol. Since potassium dichromate is a strong oxidizer, numerous alcohol groups can be oxidized by it, thereby producing false positive results. New models include breathe analyzers using the fuel cell and infrared technologies. In a fuel cell, two electrodes are immersed in an electrolyte – a substance that conducts electricity. Fuel, typically hydrogen, is provided to one electrode, and oxygen to the other. The result is a flow of electricity between the electrodes . In a breathe analyzer, the alcohol in the breathe becomes the fuel for the fuel cell, the higher the concentration of alcohol in the breathe, the more electricity is generated. The measure of the strength of the current being generated will determine the concentration of alcohol in the breathe sample (Willet, 1996). The fuel cell technology may be considered as chemical sensor even if it is the electricity generated that is being measured. The electricity generated is proportional to the amount of fuel supplied by the alcohol group to the fuel cell. This means that the electricity generated is dependent on the fuel or the amount of alcohol supplied. The limiting factor or the sensor is the alcohol compound in the breathe sample. When the alcohol in the breathe sample is already exhausted, generation of electricity will also stop. Thus, the alcohol from the breathe sample is considered as the chemical sensor since the electricity generated is

Friday, October 18, 2019

Next Generation 9-1-1 Research Paper Example | Topics and Well Written Essays - 2500 words

Next Generation 9-1-1 - Research Paper Example Information on the occurrences of these types of emergencies or crimes were getting reported but due to the lack of a sophisticated communications system, there always seemed to be a lapse of time between the occurrence of the incident and information to the authorities and their ultimate arrival on the scene. The result was that there was a lot of loss to life and property damaged which sometimes ran into billions of dollars. Efforts made to curb this loss only resulted in greater losses and crime and violence continued unabated. With a view to bring this situation under control and effect a sense of coordination in to the system people became aware that there was an urgent need in finding suitable solutions to end this problem and therefore, in 1957, at a conference called the National Association of Fire Chiefs, it was mooted that a SINGLE telephone number be made available to the general public, that could be used for reporting fire accidents which would significantly bring down the loss of time between communication. This idea was wholeheartedly accepted and duly recommended by all. Ten years later (1967) the President’s Commission on Law Enforcement and Administration of Justice was so taken up with this idea that it was suggested that a â€Å"single number† should be established countrywide, for any emergency and not limiting it to reporting of fires alone. It was the general opinion and rightly so, that the use of different telephone numbers for a variety of incidents, would only increase time lapse. This suggestion received huge support with the result that the task of identifying and implementing such a number that would be convenient and acceptable to all was entrusted to the Federal Communication Commission (FCC) The FCC set out on the task without any further delay, once they had been entrusted with the assignment of locating such a number. The FCC met and had extensive discussions with the American

Document Analysis oin the Holocaustand the Nazis Coursework

Document Analysis oin the Holocaustand the Nazis - Coursework Example He addressed the Jews in order to unite them as one during the trying times. Weltsch blamed the Nazis for their chauvinism addressing the events that took place on 1 April 1933 calling this an important date for the Jewish people. In his article, he expresses the sad presentation of not only political and economic inconsideration, but also the spiritual and moral injustices shown by the Nazi people. The article notes that on this day â€Å"German-Jews learnt a lesson which penetrates far more deeply than even their embittered and now triumphant opponents could assume†¦Ã¢â‚¬  According to the article, this was a Jewish rebirth or awakening. The author advised the fellow German Jews not to lose their heart urging them to analyse the situation without deceiving themselves. Currently, the document alleged to be the cradle of Zionism should be distributed to everyone whether Jews or non-Jews according to the author. Weltsch explained that the Nazis called the Jews enemies of the state leaving them defenceless arguing that they never betrayed anyone. The author wrote this document as a wakeup call for the Jews who suffered the great humiliation. The article intended to bring the German Jews together, while encouraging them to walk with their heads high despite the frustrating boycott of their shops. The author wanted the Jews to prove to the German-Nazis unity and power brought to this dishonoured community. For this reason, a reader may argue that this document’s purpose was to remind the fellow German-Jews what they stood for meaning peace and unity. This document is credible considering the events that took place in German especially during the Holocaust. Study shows that the German-Jews suffered greatly under the Nazis. In addition, it is clear according to the article that some German Jews tended to leave their community to benefit from personal positions, and this betrayed

Exam answer Essay Example | Topics and Well Written Essays - 1250 words

Exam answer - Essay Example This a special type of field-effect transistor that is made by depositing thin layers of an active semi-conductor and dielectric layers contacts over a supporting substrate that is commonly glass. c)OLED: organic light-emitting diode. It is a LED where in response to a current, the emissive electroluminescent layer which is a film of organic compound emits light. OLEDs are used in the creation of digital displays in TV screens as well as computer monitors. Figure 1 shows the occurrence of visual distortion when anti-aliasing it not used. The image is hard to recognize, and it is not appealing. In figure 2, the edges appear smoother. Anti-aliasing is used in the blending of the pixels of a graphic. As s result, it is applied in rendering the text on a computer screen have a smooth contour for easy visibility. 4.Technology: many public-use touch screens such as kiosks make us of projective capacitive touch since it is a representation of only a flat glass surface. This assists in cleaning along with aesthetics. 6. It is almost impossible to accurately approximate the contrast ratio of the monitor by making use of the naked eye. As a result, the manufacturers usually inflate the numbers to some unrealistic values. The saturated colours are generated by having full or zero reflectance at any given wavelength. In the CIE chromaticity diagram, the U-shaped area that is surrounded by the dotted lines shows the range of colours that are visible to the human being’s naked eye. 9. A radiance meter measures the amount of light given off by a source. As a luminance, one needs to adjust the levels of light to the source as well as the whole surface area of the source of light. As a result, the value that represents all the light that is given off at a particular time. As chrominance meter, adjustments need to be made so that the meter would only detect specific ranges of wavelength and establish their values independently. This is because the white light emitted

Thursday, October 17, 2019

The Impact of Technology on Today's Society Research Paper

The Impact of Technology on Today's Society - Research Paper Example The research is based on data gathered from secondary sources. Technology is the application of science to solve a problem. However, there is no definite definition of technology. As technology advances its definition changes. No one definition can describe technology without limiting it. This is because technology evolves each and every day to become more complex and sophisticated. Different types of technology work in different ways for example, we use information technology like the internet for creating and securing data, learning and communication. The scope of this paper is to establish the impact of technology on society.  As the report declares  the goal is to find out the impact of technology on society socially, politically, economically and its influence on health and the environment. The general thing about the different types of technology is that people use them to make life better.  Technology has existed for as long as man. The technology that existed in the pas t may not be as sophisticated and complex as it is today. The introduction of this paper defines technology as the use of science to solve problems and make life better. Computers and the internet may not have existed in the past but science was used to progress man, for example; pyramids of the Egyptians existed in the past.  The technology that exists today may not have existed in the past but there were innovations and inventions then that can also be termed as technology.

Sport mgmt Essay Example | Topics and Well Written Essays - 1250 words

Sport mgmt - Essay Example This paper then aims to create a career plan focusing on sports based on learning and insights on the career path of Cristiano Ronaldo in football. He has been chosen due to his recognition and performance in this sports field. A section of the paper will allocate a discussion of his career as the basis for creating the personal five year career plan. The plan will include specific goals and methods on how this can be achieved. Football in the World and Qatar Football was recognized to come from Britain, which is widely played during the 1700s in from courts to narrow streets of the urban communities (Murray B. and Murray W. 2). However, historical accounts suggest that the game was played in Asian countries and the United States. This means that football is already a global sport long before the founding of the world cup tournaments. It can be associated that this is a primary reason for the world’s increasing interest in the sport. In UAE, the football association exerted en ormous effort in promoting the sport (Al Abed et al. 302). Despite the current ranking in FIFA World Cup, Qatar invested its wealth on football as evident in the UAE’s success, completed tournaments, and sponsorship deals. In implication, Qatar and UAE encourage the increase of interest in the sport, and inculcate it to be part of their culture and education. Hence, it is not unexpected that many enthusiasts would aspire to pursue a career in football. In relation to the career plan, it is important to be aware of the facts and the roots of the game to understand the impact and significance of the sport to a person and to the world. Moreover, this will provide a view of opportunities for becoming a player. Cristiano Ronaldo Cristiano Ronaldo has been selected to be an icon for this career plan due to his successful career in football. He has been identified as one of the top best football player of his time. This star is currently playing for Real Madrid, who is considered to be the best winger who has played in the world cup (Greaves and Giller). His skills are a combination of his own and that of other of acclaimed players. This Portugal-born player commenced his football career when he joined the Sporting Clube de Portugal (Coutinho 32). This player already shined in the Portugal team with 69 international games and 22 goals scored. However, Ronaldo has been a frequenter in the national games as he played for Under-17 and Under-20 to 22. These exhibit that even at an early age Ronaldo’s skills and abilities as a player has brought him to the international stage and a glorious high point. It was not until 2003 that he was transferred to Manchester United and Real Madrid in 2009. This paper deemed that his exposure to different teams further developed his skills and performance as it introduced various playing techniques. Ronaldo is equipped with speed and excellent ball control that shaped him as the world’s most fatal winger (Coutinho 3 2). His dexterity paved way for his nomination as FIFA World Soccer Player in the year 2008, and runner-up in 2009. Aside from his skills, he is also highly professional. His former coach (Jose Mourinho) admired Ronaldo for being the most professional player he has met (Richards, Coaching Ronaldo). This may be one of the factors that pushed Ronaldo’s growing career. Apparently, abilities should be coupled with right attitude to attain and retain success. Ronaldo also received a fair

Wednesday, October 16, 2019

The Impact of Technology on Today's Society Research Paper

The Impact of Technology on Today's Society - Research Paper Example The research is based on data gathered from secondary sources. Technology is the application of science to solve a problem. However, there is no definite definition of technology. As technology advances its definition changes. No one definition can describe technology without limiting it. This is because technology evolves each and every day to become more complex and sophisticated. Different types of technology work in different ways for example, we use information technology like the internet for creating and securing data, learning and communication. The scope of this paper is to establish the impact of technology on society.  As the report declares  the goal is to find out the impact of technology on society socially, politically, economically and its influence on health and the environment. The general thing about the different types of technology is that people use them to make life better.  Technology has existed for as long as man. The technology that existed in the pas t may not be as sophisticated and complex as it is today. The introduction of this paper defines technology as the use of science to solve problems and make life better. Computers and the internet may not have existed in the past but science was used to progress man, for example; pyramids of the Egyptians existed in the past.  The technology that exists today may not have existed in the past but there were innovations and inventions then that can also be termed as technology.

Tuesday, October 15, 2019

Music 100 Essay Example | Topics and Well Written Essays - 1000 words - 1

Music 100 - Essay Example The instrument used at the performance was violin and each was tasked in producing a specific performance and adding value to the day’s performance. Fusing the orchestra with the Chinese traditional instruments gave it a fusion that uniquely displayed diversity in the music world. The group gave an excellent show as it gave an instrument version of the song. As much as many pieces where displayed at the event, our focus will be on â€Å"Heaven Earth Mankind† by the symphony orchestra lead by Dr. Thomas Cockrell. It represented all genre and represented diversity in the performance an analysis of the performance showed how other pieces represented a single genre. The theme being the moon festival, the piece was ideal as a fusion with the Asian instruments gave it an excellent outcome. Other notable instruments where the Harps which played the harmony and the cellos which where tasked in ensuring the rhythm was as per planned. The Cockrell‘s led group utilized the three instrument in ensuring a success to their performance. The most notable of them all was the violin representing each voice category. An excellent event disserved an excellent performance and that is what the symphony orchestra gave. The instruments took turns in providing a breathtaking moment. Just like a sea wave, the violin variably changed the mood. The beginning was a little bit slower maybe to create attention. As the climax approached, the violin became louder and rapid representing a dancing mood. The bridge of the performance saw only the sopranos play their instruments. As the title of the performance suggests, a heavenly mood was engulfed into the room. Some minutes later, the other instruments joint the wagon. Two minutes later, they stopped and before the audience had applause, they picked again and this time they played them rapidly until the conductor signaled the end of the performance. Other pieces

Monday, October 14, 2019

Knowledge Carries An Ethical Responsibility Philosophy Essay

Knowledge Carries An Ethical Responsibility Philosophy Essay We began collecting new information from the day we were born through various ways of knowing such as emotion and perception. This is because we want to learn about life and we do this by interpreting the knowledge that we possessed and possession is the state of owning something. At first we may not know or care what the knowledge that we possess carries and we continue to live our lives without knowing what they are. But as we grow in age, we may begin to question ourselves are we free to own this knowledge? Then questions may appear in our brains about the duties of carrying such knowledge and are we obligated to act upon the things we know? Does the possession of any type of knowledge carry an ethical responsibility? I agree on the claim to be reasonable that the possession of knowledge carries an ethical responsibility. Knowledge carries an ethical responsibility. My thesis is that our knowledge is interpreted from things that are representative of our social values, therefore k nowledge comes with a certain level of responsibility accordingly to the social values. I believe ethics and moral are quite different, ethics is the standard behavior expected by a group for example the society. According to Albert Schweitzer, The first step in the evolution of ethics is a sense of solidarity with other human beings, solidarity is the bond shown by a society with people and those around them. We act because there is integration between us and those around us. If one holds the knowledge to another persons life, he/she is obligated to act upon it because of our social values. It is not ethical to watch the world burn if knowing you have the ability to stop it. But I will go into the knowledge issues that derive from this claim, in order to evaluate the ethical responsibility of knowledge in different Ways of knowing and Areas of knowledge. If one should take their own ethical responsibility for their knowledge then would a primary educated person measure the same standard of ethical responsibility as a professor? Should these ethical responsibilities be a fixed standard value or a scale standard value? The measurement of ethical responsibility should not be a fixed standard value because we perceive the values of the society differently but as soon as the knowledge is directly affecting someone else, regardless of it is positively or negatively, there should be a scale standard value. I am 18 years old and I am a heart transplant recipient. I am very thankful for organ donors. 4 years ago, I was diagnosed with a heart failure and in 2008 I was put on to the heart donation waiting list and for the whole year I was on the brink of death. But a family unknown to me agreed to donate an organ of their family member who had been in a very deep coma. That person has a small chance to wake up from the coma and reunite with his /her family. However, the family decided to give the patient a peaceful death and they pulled the plug. The family had the choice of donating the organs or not. Looking back at the knowledge question, does the possession of knowledge that can save lives of many people carry an ethical responsibility? In this case, the claim depends on the nature of the knower, they donated the organs to those who are in need because they think they are ethically responsible to help the society. They placed social value higher than the small chance of their family member waking up. They acted as a utilitarian, maximizing the happiness in the society on the consequences of their actions; therefore the family believed it is the right thing to do. However, if we are to look at this case with divine command theory where all morality is dependent on the will of God, the whole stand point in this case changes. Because at the very beginning, pulling the plug is an act of murder and it is against Gods will, therefore it is morally incorrect to do so, even though you know the result could save lives and the knower will not see the need of ethical responsibility. At the center of this questions lies the different ways of knowing. As we learn in life, we also start to identify and distinguish that what is ethical and what is not in our society. Some we accept without doubt, just as we did when we our parent told us that stealing things which do not belong to us is wrong or teachers telling us that cheating in an exam or test is not acceptable. We learn what knowledge carries ethical responsibility from authority figures because these authority figures are respected as we believe they are more experience and knowledgeable than us. But do these authority figures like scientist or a literature writer carry a higher responsibility than a normal person? I would argue that everyone should take their ethical responsibility of what they know or have done, therefore scientist or literature writer should take a higher responsibility because they are doing something that is influencing the society. But there is independence between knowledge and ethics. It is more of what ethics relies on. It can be argue that the responsibility of ethics relies on the ethical principle. For example if killing people in any situation must be wrong, then why do countries still have death penalty? What is the ethical responsibility in natural science? There was a very interesting movie released in the year of 2005 called The Island where groups of cloned humans are held captive in an isolated compound and they were told that the outer world is too contaminated for human to settle in. Every week the compound staffs will harvest the clones organs for the people in the outer world who are willing to pay for the organs. If this scenario was real life, where would the ethics in this natural science of cloning in this scenario be? The buyer is of course suffering from an organ failure and is in need of an organ, the buyer knows the organ is harvested from his clone, what is the ethical decision and responsibility in this? If we are to look at this at a social stand point, it is definitely wrong to do such thing, although it is a clone, our social value sees that killing another human for your own needs is unacceptable and should be punished but the knower, the buyer may not see the same because his ways of knowing is different to the society and the way he/she see the ethical responsibility will be different. The biggest WOK in this is the emotion, the person is buying organs because of his strong emotion to live on and he would reason that the clone is a clone of himself and he may not see the responsibility in this case of action. I believe that in natural science, the need of ethical responsibility is more significant than in other area of knowledge. Ethical responsibility in other Areas of knowledge can be a must have, such as business in human science where ethical responsibility is equally needed. If a business knows chemical wastes are being produced during the production of their products, do they have the responsibility to clean up the waste caused by them? There are responsibilities when it is directly affecting the society, this is why there are laws and restriction restraining how much pollution the business can cause, but it does not force the business to clean it up completely due to economic issues, but the business holds the final decision whether it should act ethically and clean everything. Again this depends on the owner of the business, the knower, to decide where he/she should act upon this. If he does, people may view the business as an ethical company, thus increasing the business image. Therefore, the business must have the ethical responsibility to not over pollute the environment but after that, the respons ibility helping the environment depends on the knower. To bring in some conclusions from the above arguments, should the possession of knowledge carries an ethical responsibility? Ethics is the standard behavior expected by the society and it makes our moral principle. Ethical responsibility is the principle that is restraining us from doing a certain things that would affect the order of the human society as a whole. So I agree on this claim to be reasonable that the possession of knowledge carries an ethical responsibility but there should not be a fixed standard to measurement these responsibilities.

Sunday, October 13, 2019

The Physics of Bowling Essay -- Physics Bowling Papers

The Physics of Bowling The definition of physics by some may be the science that deals with matter, energy, motion, and force. Therefore everything in the world uses physics in some way or another. One of the numerous things that deal with physics is bowling. Some of the major parts of physics bowling has is the motions, the ways that Newton’s laws apply, the different momentums, and the energy. Other physics topics include torque, pendulum theory and collisions. In the motion of bowling many things are going on that apply to bowling. There is displacement, velocity, gravity, and acceleration. There is also an opposition to motion, which is friction. The displacement would be the bowling ball going from the position of leaving the hand to where it rests at the back by the pin collector. The velocity of the ball would include the speed and direction of the ball. The equation to find the velocity of the ball would be the displacement divided by the time taken to reach the destination. Gravity affects everything on this planet. Bowling is no exception. If the bowling ball were thrown up out of the hand of a bowler, gravity would bring it down to the floor. If the pin and bowling ball fell at the same time from the same height they would hit the ground at the exact same time. This is one main reason everything deals with physics. The acceleration would be in a slowing down state or deceleration. It would decelerate because of the small friction f rom the ball to the floor. The opposition to the motion, called friction is the ball touching the floor. In bowling this is a great factor because it is used to spin into the pins in an exact location. As soon as the ball makes contact with the lane's surface, friction comes into ... ...f the physics world that most don’t take time to think about. In this sport it was noticed the many applied physics that happens. It includes the motions, the ways that Newton’s laws apply, the different momentums, and the energy. Some of the other physics topics include torque, pendulum theory and collisions. This sport as well as anything else is affected by physics. Even though physics is involved and it might not seem so complicated to hit down pins but physics affects everything so it would take a lot of luck and skill to not mess anything up with the physics. Works Cited: 1.Internet website, http://kingfish.coastal.edu/physics/projects/2000_Spring/bowling/ by Colleen Bryan Emily Butsic Bo Hu Adrienne Metz. 2.Book, â€Å"A World View fourth edition,† by Kirkpatrick and Wheeler, 1992. 3.Article, â€Å"The Physics of Bowling,† by Tim Burgess, vol.34, May 1996. The Physics of Bowling Essay -- Physics Bowling Papers The Physics of Bowling The definition of physics by some may be the science that deals with matter, energy, motion, and force. Therefore everything in the world uses physics in some way or another. One of the numerous things that deal with physics is bowling. Some of the major parts of physics bowling has is the motions, the ways that Newton’s laws apply, the different momentums, and the energy. Other physics topics include torque, pendulum theory and collisions. In the motion of bowling many things are going on that apply to bowling. There is displacement, velocity, gravity, and acceleration. There is also an opposition to motion, which is friction. The displacement would be the bowling ball going from the position of leaving the hand to where it rests at the back by the pin collector. The velocity of the ball would include the speed and direction of the ball. The equation to find the velocity of the ball would be the displacement divided by the time taken to reach the destination. Gravity affects everything on this planet. Bowling is no exception. If the bowling ball were thrown up out of the hand of a bowler, gravity would bring it down to the floor. If the pin and bowling ball fell at the same time from the same height they would hit the ground at the exact same time. This is one main reason everything deals with physics. The acceleration would be in a slowing down state or deceleration. It would decelerate because of the small friction f rom the ball to the floor. The opposition to the motion, called friction is the ball touching the floor. In bowling this is a great factor because it is used to spin into the pins in an exact location. As soon as the ball makes contact with the lane's surface, friction comes into ... ...f the physics world that most don’t take time to think about. In this sport it was noticed the many applied physics that happens. It includes the motions, the ways that Newton’s laws apply, the different momentums, and the energy. Some of the other physics topics include torque, pendulum theory and collisions. This sport as well as anything else is affected by physics. Even though physics is involved and it might not seem so complicated to hit down pins but physics affects everything so it would take a lot of luck and skill to not mess anything up with the physics. Works Cited: 1.Internet website, http://kingfish.coastal.edu/physics/projects/2000_Spring/bowling/ by Colleen Bryan Emily Butsic Bo Hu Adrienne Metz. 2.Book, â€Å"A World View fourth edition,† by Kirkpatrick and Wheeler, 1992. 3.Article, â€Å"The Physics of Bowling,† by Tim Burgess, vol.34, May 1996.

Saturday, October 12, 2019

My Teaching Style Essay -- Education Teaching Teachers Classroom Essay

My Teaching Style Pragmatist teaching style is the best way to describe my style of teaching. I will involve the kids in hands on learning. I want to be an educator because I want to make learning more fun for the children. I also love to work with children. I really like to work with children, and I would like to work with the children to help better them in school. Working with children in helping them learn makes me feel great. I am more of a progressive when it comes to my philosophy of education. I think you should have children based activities in the classroom. Children should have more hand-on activities to help them learn. I think the teacher should deal with the small problems there in the classroom, and not involve the office. Involving the office too much could result in losing control of your classroom. In my classroom I will have the seats arrange in a semi-circle because all the students can see you and the chalk-board easier. It also prevents the children that like to sit in the back of the classroom. It will involve everybody in the learning process. I will have bulletin boards up according to the time of the year it is. In the fall, I will put up leaves on the bulletin board to show the leaves are changing, and they are falling off the trees. For winter, I will put snowflakes on the board to show it is cold outside. For spring time, I will have the leaves coming onto the trees, and showing how the things outside are changing back to green. I will have projects going on throughout the year. I will have children play games to help them study for upcoming test. I will have items on a bulletin board to show how well the children are behaving. I will give ... ...elp me out in a lot of ways. I am planning to continue my education by going onto graduate school. I am hoping that furthering my education will have a positive effect on my teaching style. My mentor teacher will help me further my education in ways of them teaching me the ways of teaching in that school system. I will be willing to take in information from outside the classroom, and use it in my everyday teaching style. My development in the future will be helped out through my mentor teacher, and the efforts of the other teachers. I will bring my own ideas into how I teach in the classroom. I will bring in new stuff to teach the students of how or not how to do things. I will always explain to my students, like the 9/11 tragedy, of the importance of what just happened in the world. I will make everything clear that is happening in the world.

Friday, October 11, 2019

I.T. Tools for Remote Communication

CAPE INFORMATION TECHNOLOGY UNIT TWO MODULE TWO – I. T. TOOLS FOR REMOTE COMMUNICATION USE OF INFORMATION TECHNOLOGY TOOLS TO ACCESS AND COMMUNICATE WITH REMOTE INFORMATION SOURCES Information technology – the tools and techniques used to process and communicate information Remote information source – information held in or on a computer or other medium which is not located in the same physical location as the person wanting access to this information.In order to access remote information sources one will need a tool or a set of tools which are both hardware and software. The following is a list of such tools – some hardware, some software, some both: Communication software – programs used to provide remote access to systems, and exchange files and messages in text, audio and/or video formats between different computers or users. Communication software runs on computers, tablets, mobile phones and other specialized devices.Some examples of remote co mmunication software are terminal emulators, file transfer programs; instant messaging programs, real time chat programs (IRC), teleconferencing and video conferencing software, and email programs. Browsers – short for web browser – a software application used to locate, retrieve and also display content on the World Wide Web. The content handled by web browsers includes text, images and video. A web browser is made up of HTML code and operates under the HTTP (hypertext transfer protocol) Email systems – software for creating, sending, receiving and organizing electronic mail.Modern desktop email clients like Microsoft Outlook, Windows Live Mail and Mozilla Thunderbird offer advanced features for managing email, including WYSIWYG editors for composing email messages, anti-spam and anti-phishing security protection, advanced search capabilities, and rules and filters for more efficiently handling and organizing messages and email folders. A large number of online email services, called webmail, exist with features and functionality for managing e-mail similar to their desktop email software counterparts.Some of the more popular online email services are Yahoo! Mail, Gmail, Hotmail and AOL Mail. Email systems also need an email server which is a computer configured to be the email post office with the task of managing the email service. It receives stores and dispatches email messages to and from email addresses. Facsimile systems – A facsimile machine is a device that can send or receive pictures and text over a telephone line. Fax machines work by digitizing an image i. e. dividing it into a grid of dots. Each dot is either on or off, depending on whether it is black or white.Electronically, each dot is represented by a bit that has a value of either 0 (off) or 1 (on). In this way, the fax machine translates a picture into a series of zeros and ones (called a bit map) that can be transmitted like normal computer data. On the receivi ng side, a fax machine reads the incoming data, translates the zeros and ones back into dots, and reprints the picture. A fax machine consists of an optical scanner for digitizing images on paper, a printer for printing incoming fax messages, and a telephone for making the connection.Telephone – colloquially referred to as a phone, the telephone is a point-to-point telecommunications device that transmits and receives sounds, usually the human voice. It's most basic function is to allow two people separated by large distances to talk to each other. A business telephone system is a system where multiple telephones are used by businesses in an interconnected fashion that allows for features such as call handling and transferring, conference calling, call metering and accounting, private and shared voice message boxes, etc.A business telephone system can range from just a few phones in a small business up to a complex private branch exchange (PBX) system utilized by large busine sses. Business phone systems can function over the Public Switched Telephone Network (PSTN) and/or over the Internet (Internet telephony or VoIP). Business telephone systems can also be delivered as a hosted service (typically referred to as a centrex), which can free companies from having to invest in costly equipment.Mobile telephones – many individuals no longer have a landline and have turned to mobile computing for all their telephone needs. Young people especially do more than half there communicating using a cellular phone which allows them to not only have voice calls but to send text messages Pager – A pager is a small telecommunications device that receives (and, in some cases, transmits) alert signals and/or short messages. This type of device is convenient for people expecting telephone calls, but who are not near a telephone set to make or return calls immediately.A typical one-way pager fits easily in a shirt pocket; some are as small as a wristwatch. A m iniature, short-range wireless receiver captures a message, usually accompanied by a beep. The simplest one-way pagers display the return-call telephone number of the person who sent the message. Alternatively, a code can be displayed that indicates which of several designated parties is requesting a return phone call. Sophisticated one-way pagers can display short text messages. Until recently, pagers were designed as receive-only devices.However, despite the engineering challenge, a two-way pager, also called a two-way messaging device or two-way interactive system, has been developed. A typical unit is about the size of a pocket calculator and has a built-in, miniature keyboard and a liquid crystal display (LCD) screen that can display several lines of text and/or simple graphics. Mobile phones have replaced pagers for most users. However, because they are reliable in some situations where mobile phones are not, pagers are still widely used by essential services personnel, such a s those in the medical and emergency-related professions.New uses for pagers have also arisen. For example, restaurants often use pagers to let customers know when their tables are ready. Computer – The transmission of data from one computer to another, or from one device to another is called data communication. A communications device, therefore, is any machine that assists data transmission. The computer is one such principal machine. For the computer to assist in communications it must be running programs that make it possible to transmit data i. e. communication software.Word processor, spreadsheet, presentation software, desktop publishing software – these productivity tools can be used to create, edit, and print documents. While of all computer applications, word processing is the most common, the product of the others can also be printed. The output from productivity tools can be snail-mailed, emailed, uploaded to websites, and communicated using other www techn ologies Internet Tools Interactive online services – is a business that provides its subscribers with a wide variety of data transmitted over telecommunications lines.Online services provide an infrastructure in which subscribers can communicate with one another, either by exchanging e-mail messages or by participating in online conferences(forums). In addition, the service can connect users with an almost unlimited number of third-party information providers. Subscribers can get up-to-date stock quotes, news stories hot off the wire, articles from many magazines and journals, in fact, almost any information that has been put in electronic form.Of course, accessing all this data carries a price. Three of the largest online services are America Online, Compuserve and MSN. telnet – terminal emulation is a program for networks that connects pcs to the server on the network and allows one to enter commands on the pc and have them executed directly on the server as if one w as sitting in front of the server. This enables you to control and communicate with other servers on the network. Telnet is a common way to remotely control Web servers.As this is a service that allows local computers to control remote computers, technical personal in organizations can use it to troubleshoot problems in other branches and hackers use these kinds of programs to connect to and control servers on unsecured networks. ftp – Short for file transfer protocol, this is the protocol for exchanging files over the Internet. FTP is most commonly used to download a file from a server using the Internet or to upload a file to a server (e. g. , uploading a Web page file to a server). The owners of website rarely host them themselves.But maintaining the content of the website is still up to them. They create the new content for their websites on their local machines. They then use an ftp program to connect to and upload and download the files from their website on the remote server to and from their local machine. When they have completed this task we can then see the new pages on their websites. You can access FTP sites by two different methods: either directly through your web browser, or using an FTP application (such as Winsock FTP). Both methods require a logon procedure.Some FTP sites allow anonymous login and allow you to enter your email address as a password. Other FTP sites also allow anonymous login but require a special password (such as â€Å"guest†, â€Å"visitor†, or other password. ) Still other sites have restricted login and passwords limited to specific people or groups message boards aka bulletin board system (BBS) – An electronic message board is a computer running software that allows users to log in and perform functions such as uploading and downloading software and data, reading news and bulletins, and exchanging messages with other users.Message boards allow threaded conversations in which the comments on a posting are attached to that posting in an indented manner. Message boards for example can be for a class in which students get to communicate with each other and the teacher and discuss assignments and class material. It is often used in this manner in on-line courses. newsgroups – This is a special interest online discussion group or forum where one can post and reply to posted messages on particular topics.It is like a public message board but with the topic of interest pre-selected by the person who set up the newsgroup. Users are required to subscribe to a newsgroup. mailing list – while any individual or company can have a mailing list in their email the formal definition of a mailing list is a list of people who have subscribed to a particular service and have given permission for their contact information to be released to anyone who provides this service.Newsgroups e. g. will have a mailing list to whom they send notices when something changes in the newsgrou p. internet telephony refers to communication services such as voice, fax, SMS and/or voice messaging services which are transported via the internet instead of the public switched telephone network. VoIP – voice over internet protocol is a slightly broader term which covers voice communication over any IP network.

Thursday, October 10, 2019

How Luxury Brands Were Affected by Recession Essay

Bovis homes group PLC, a leading UK house builder, had to review its corporate plans as a result of the recession and major cuts in government spending on building projects. Gives the high level of change in economic and political environments, is there any point in corporate planning? Justify your answer with reference to the house building industry and/or other organisations or industries you know that have been affected by such changes. (40 marks) Post 2007, global economy has been reeling under recession. Recessionary pressure began with United States economy slowing down; however it has spread globally affecting all countries in some way or the other. Income level, employment have been affected badly. Consumption levels have gone down drastically, which affected consumer dependant countries, such as the UK. Traditionally, luxury brands have not been affected by recession so much, since they have been catering to the higher end class, which is not so affected by the economic downturn. However, in recent past, the luxury has been catering to the inspirational customers, whose consumption patterns are affected due to economic recession. During times like these, companies usually dependant on corporate planning. Some of them in order to grow, others – to survive. Corporate planning is the process of drawing up detailed action plans to achieve an organization’s goals and objectives, taking into account the resources of the organization and the environment within which it operates. Music and books retailer HMV Group became a company that was heavily affected by recession in 2008, as it had to close 60 UK stores in the next 12 months in response to declining sales. The 60 stores set to close represent roughly 10% of the group’s UK High Street presence, which comprises 285 HMV shops and 312 Waterstone’s outlets. The massive store closure of outlets was an attempt to survive, as they has been hammered by competition from digital downloads as well as supermarkets and online retailers undercutting it on price. As well as the store closures, HMV said it would implement other cost-cutting measures that would save it a further ? 10m per year. However HMV’s corporate planning hasn’t proved to be successful, as it turns out HMV’s share price has declined steadily throughout 2010, and the latest drop brings its cumulative fall to more than 75% over the last 13 months. Also the firm’s shares dropped 20% even further after it revealed the sales data, and admitted it was having trouble meeting the terms of a bank loan. As it turns out, HMV’s retail analyst didn’t expected music and DVD market falling that fast, despite their attempts to change their sales mix, offering iPods and live music in order to stay in the market. HMV is repeating Woolworths and Zavvi collapse during the recession. Fox described â€Å"extremely difficult† trading conditions with total sales of physical CDs and DVDs down 10% and 8% respectively against the same six-month period last year. Without a new console to fire the imagination the picture was even worse in video games where sales plunged 12%, a fall that was on top of the 30% slump seen in 2009. â€Å"It is not that value is moving from physical to the digital sales – it is just that value is being lost,† said Fox. Therefore the HMV is facing severe competition and tough times due to recession. Their corporate planning proved to be unsuccessful, they are trying to deal with already dead market, which don’t have any prerequisites to grow in the future. Poundland is complitely different business, with different approach and corporate plan, as they grow during the recession periods. They are aimed at consumer who requires value. Some of that is driven by the economy or the economic conditions, some of that is because the people have low disposable incomes and traditionally that’s been the case, and they have needed to seek value. During tough economic conditions, that was always the case. When US recession just took place, in 2008, poundland started to grow using external growth. At christmas 2008, when Woolworth post-administration 600 stores became available, poundland took 70 of those over three years. Big success from the very beginning was due to , very talented property team, who use a network of agents so they are are constantly searching for new opportunities of expansion. A number of other opportunities have arisen over the years as well and they have been able to convert those quite quickly because they had a new store opening team and a refurbishment programme, which really is about pie-cutting. So there’s a process. The average around 60 stores a year now, so over one a week, which I think is testament to the quality of the team, the sourcing of the stores and the continual improvement in the performance of the business, which of course helps finance those opportunities. In the recession – or difficult economic periods, all decisions needs to be discussed and implemented using professional team, which will make your business distinguish from arising competition. In the conclusion I would like to say that recession is not true for every business. As we have seen above, poundland did well during the recession period, as they targeting those on low-incomes and those, who willing to save, however a situation in a luxury industry differs: The wealthy are not much affected by economic downturn and to use luxury goods is a kind of addiction; it isn’t easy to change the lifestyle even if personal income dropped. The Geneva motor show 2013 is happening right now. Rolls Royce is selling better than they did last year, as is Lamborghini. The Middle East, Russia do not seem to be feeling the crunch for the time being. The general feeling is that desire for the super luxury brands remains high but purchases are being delayed. Lamborghini always under produce and have enough orders to remain keep production going for a long time whilst mass to mid luxury car factories are laying off workers, that is the trend that works in the luxury sector. However, the middle-class luxury brands will be heavily affected due to concept that was stated above with an example of poundland. Surely some of them could be richer during the trouble times, but most are struggling and haven’t the mind to spend freely money for luxury items as before. The wealthy never stop spending, they just change what they spend their money on. For example companies like Hermes, Alfred Dunhill, Vacheron Constatine, and Botega Veneta are designed to be recession proof. Marc Jacobs and Chanel on the other hand will feel the pain. As stated above its all about client base and how corporate plan was developed and implemented.

Wednesday, October 9, 2019

Job Analysis Process

All businesses have daily needs and challenges to everyday, which is why Human Resource managers and other managers’ turns to Job analysis to help them plan efficiently and effectively. Job analysis an important practice widely used in today’s business. A thoughtful and carefully constructed job analysis process gathers information about the duties, responsibilities, and essential skills required to ensure that the proper persons are placed in the appropriate positions with the right qualifications to fulfill and perform the required job demands.Thoughtful collaborative planning, led by the HR Manager and staff, lends flexibility to the dynamic and constantly changing needs of the organization and the people who labor within. The purpose, process and method of job analysis is the subject of further discussion here to help understand the critical nature creating a true value add within the HR function. The Purpose of Job AnalysisJob Analysis and the information obtained is crucial to recruiting, selection and retention; training programs; performance evaluation and managing compensation; job design and redesign; and above all supporting management to meet the demands of efficiency and productivity. It is essential for the organization’s HR to understand what is needed, where and when to help fulfill the company’s goals and objectives, yet remain responsive to changing needs and circumstances.Job analysis certainly provides this highly beneficial insight in the following key areas: Recruitment and Selection: HR management uses Job Analysis to select the ‘best’ fit of applicants to positions. Job analysis assists HR in carefully identifying the most capable candidates possessing the most suitable education, advanced knowledge, and appropriate proper skills necessary to perform a job, or better, function. Training and Development: Job Analysis is also essential in determining the type, depth and quantity of training and deve lopment needed to integrate new-hires, enhance organizational and personal job  proficiencies and maintain current awareness and understanding of changing workplace initiatives.Continuing training and development goals are particularly well served to improve the employees’ knowledge and understanding of the required job duties. A good The Job Analsis system provides detailed tools to assist management in deciding which systems, tools and materials are needed to help accomplish training and development goals.Evaluation of Employees Performance: Measuring employee performance and productivity is essential to aid management in meeting company goals as well as hiring and retaining quality staff at all levels of the organization. Thorough, thoughtful and monitored Job Analysis process can be used to flexibly and objectively measure metrics and objective s to make sure that goals are being met, productivity maintained ensuring continuing company success.Compensation and Benefits: Objective Job Analysis allows ‘fair’ standards to be set for salaries, wages and benefits paid. The process underscores the value of employee experience, skills and growth with particular job requirements. With a good process in place HR can capably assist management in setting career paths, employee development, incentives, promotions, raises and so forth. The Process of Job AnalysisThe Job Analysis process will help companies intelligently align tasks and functions with ‘most’ qualified applicants, hire and retain them, all the while promoting efficiency and flexibility to meet the demands of a competitive marketplace. Staffing plans are best managed and derived in large part by determining and knowing how many employees are required for particular positions, match qualifications with pay, while setting performance measures.Establishing a dynamic Job Analysis process requires several important parts to be effective in meeting company needs, including but not limited to the following: Understanding & Embracing Job Analysis: Understanding & embracing Job analysis, even in small companies will help a firm identify and recognize the different methods of job analysis and data necessary to establish a solid effective system best suited to the company environment. Input & Analysis: An important first step is to determine who will be primarily responsible for job analysis.While usually managed by the human resource department, company managers, consultants, and even customers will have vital input and contributions. Choosing the appropriate process pays dividends later and is a vital way to self-inform management and HR as to priorities, benchmarks and the labor market. Establishing objective criteria early on in examining particular jobs, skills, an company needs establishes a good basis for managing the system and adopting methods best suited to do so.Planning & Decision Making: Any business process or system is only as good as the infor mation gathered and provided and every level of the organization could be rendered ineffective by too much, too little or irrelevant information with which to make important HR decisions. Obtaining meaningful employee feedback has long proven to be helpful but often overlooked. How much information gathered from inside and outside the organization is key consideration along with how information and data are recorded, presented and weighted.HR management and company management must pay attention to letting Job Analysis get to embedded in old information or become irrelevant to management decision-making processes. A Job Analyst: Even in small companies where employees wear various hats, it is critical to have a properly trained Jobs Analyst. The Analyst should have a thorough up to date knowledge of various analytical methods, research skills, be organized and a good communicator. Innovative experience, if affordable or desirable, would be a big help. Cost effective consulting could be a ready complement or substitute.Even if this function is ‘as needed’ or part time, the Analyst’s role will enable the function to remain useful and dynamic. Job Analysis Process Overview: Project and process information is routinely communicated within the organization in many ways. Identifying the communication channels, throughputs and outputs is much more productive than asking people what they do all day long and there are many psychologically barriers of all employees regardless of rank to answer interview questions and questionnaires honestly.While there is a place for such investigative tools, there is no substitute for observing, discussing and analyzing the skills necessary for a specific position matched against realistic management expectations and using modern methods to match with company requirements. Collecting the Data: Job information and functional data, such as available applicant qualifications, skills and abilities, job activities, duties and responsibilities, are collated so that all such needed and important is readily available in an understandable format to all recipients.The HR manager and management should be constantly searching for enhancements to recruit talent at all levels of the organization, even if not immediately required. Planning flexibly and with foresight can pay huge dividends later. Review, Validation, Monitoring: Similar to hiring, a diligent effort must be made to ensure that data and details collected for analysis are up to date, relevant and realistic and in presentable format.Review of all positions should be made objectively and at all levels of the organization. Feedback from a variety of sources is helpful. Deriving and Implementing Job Descriptions & Specifications: Generally job descriptions are referred to as tasks, duties and abilities (TDA). At this stage, no one, supervisors, managers, or job seekers should have any significant questions about the position. About the company and be nefits, yes, about the ‘job’ – not with a fully functioning, flexible and objective Jobs Analysis.Recruiting and retention are vastly facilitated by selecting proper candidates for positions by matching properly described knowledge, skills, abilities and other characteristics, known as KSAO. The HR manager, and department, having followed the correct steps for their company can now use Job Analysis processes to assist company management in performance measuring, turnover (and reasons for), earnings/costs, productivity, incentive programs, and most important as a ‘budgeting tool’ for human resource allocation.Care, however, must be taken not to let the process run itself. Continuous monitoring and review is required by all levels of management with HR taking the lead. By utilizing Job analysis, a company can standardize and build a dynamic, thoughtful and above all a flexible Job Analysis process, usually with nominal investment, and by engaging in th e process significantly aid in the achievement of company goals.Establishing a thoughtful process at any time will save time and money, matching the changing needs of the organization with quality and qualified personnel. The HR function can take positive proactive steps to identify quality employees with desired skills and education that match the skills needed by the firm while allowing for a variety of other value-added features to meet future demands of the firm, all starting with a Job Analysis process.