THE POLICE INTERNAL AFFAIRS SECTION

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1.0 Executive summary

The American Civil Liberties Union often do receive concerns and complaints concerning the local affairs and practices of the police from citizens who are not ready to file complaints, from others who have filed the complaints but they received no any response and also from the police officers who feel they were mistreated in an unfair way. Having a close look at the agencies and the records, it is evident that the entire process of citizens’ complaints against the internal affairs department in New Jersey is completely broken. In the state, the local departments are responsible for violating the law through denying the people a fair review to their complaints.  Majority of the police from New Jersey often violate the state law as they fail to follow the internal affairs statutory requirements. Most of the agencies hardly offer any resources or training that is critical to maintain an ethical and formal internal affairs facet which complies with the state laws. In most cases, tracking of the internal affairs investigations, complaints and resolutions is as a result of inaccurate data which stems from confusion and inattention on how to record and track cases. This report hence does make some recommendations which if adopted will maintain as well as put back the internal affairs section back on its robust course. It will describe the structure, procedures as well as the practices of the internal affairs and the final findings.

2.0 Introduction

The internal affairs section or unit is the branch in the police department which investigates and receives complaints on violation of standards and rules as well as the policies on the officers (George & Christopher, 2007, pp. 154). Controlling of the police department is a major internal matter in which the administrators ought to treat as the major top priority. The society ought to be fully confident that the entire police department has effectual procedures which will ensure that the officers do protect the citizens’ rights. However, the department complaints processes and procedures are usually designed in a way that discourages the citizens. Most people who have complaints are not fully certain that the police department will go ahead and take a meaningful action.

Depending on how the department is organized, even a single officer or the entire section is in a position to serve in the internal affairs unit which receives as well as investigates core complaints against the officers. Officers charged with any misconduct are liable to face a criminal prosecution or a disciplinary action which can lead to dismissal, suspension or resignation. Officers in the internal affairs department are responsible of investigating complaints against their fellow officers. Most of the dramatic investigations conducted by the internal affairs unit are drug dealing, sexual harassment, murder cases, and violations of the departmental policies as well as misusing force.

The internal affairs section has to receive sufficient resources in order to carry out their mission. (George & Christopher, 2006 pp. 228).  When such controversial issues happen, the administrators fail to get rational information in order to correct problems. The internal investigators do find their work quite stressful since their status does prevent them from having close relationships with other officers and problems mostly in the small departments become so severe.

Any impartial complaint procedure and process which allow the citizens to go ahead and air their grievances on police conduct and investigate complaints will enhance law in New Jersey. Effectual police executives do use the information from the complaints in order to correct misbehavior or poor performance and hence put in place effective systems which will prevent future catastrophes. Through improving the policies and practices of the police, effective internal affairs unit can hence head off costly litigation as well as free resources for the priorities of the police. Each complaint ought to be handled with a lot of sensitivity and professionalism in order to result to a thorough as well as a fair investigation. The investigators ought to keep the complainants fully informed on the progress of the entire investigation and the complainants should be in a position to feel that their worries and concerns were fully addressed and if appropriate the officers were held fully accountable for their acts. This is the only way to maintain public trust.

In the internal affairs unit and model, the police are allowed to investigate themselves and also use an internal system of disciplining (Larry, 2009, pp. 296).  This is completely ineffective as citizens are hence discouraged from complaining and also reporting grave issues. The police are seen as being ineffective as well as the approach system in discouraging misconduct and corruption.

3.0 Discussion

3.1 Structure and history of the New Jersey state police

The New Jersey police system commenced in 1921 with a major mission to furnish enough police protection to all the inhabitants of the rural sections (Law enforcement in New Jersey, 2010). This division got organized in a paramilitary fashion by the superintendent on grounds of a chain of command. Presently, the state police is vast and complex organization with diverse roles that comprise on the entire police services spectrum. The legislature has expanded its roles beyond its purpose.  The division is organized in eight sections. There is the administration, the division staff, internal affairs investigations, EEO and training investigations, technical and special services section, identification and records section, intelligence section, emergency management section, investigations section and the field services section.

In recognition of the importance behind having an immense internal affair (IA), in the year 1991 the attorney general issued an Internal Affairs Policy and Procedures (IAPP) which outlined the effective practices of the Internal Affairs operations. The statute required the local, county as well as the specialized police departments to adopt the IA practices that are fully consistent with IAPP. It also does require each police agency, regardless of the size to come up with an Internal Affairs function. It comprises of procedures that entails acceptance, disposition and investigation in order to maintain the public confidence.

3.2 The Present State of internal Affairs

Despite requirements from the law, most departments have not met the basic requirements of handling complaints. Most of the cases and complaints of the American Civil Liberties Union of New Jersey (ACLU-NJ) which does involve the Internal Affairs practices reveal on the inadequacy of the present system. Most of the known cases have focused on racial profiling and have led to alienation of the communities. Since police accountability is a major crucial issue, the ACLU-NJ has conducted a comprehensive analysis in New Jersey. The report has revealed that the Internal Affairs unit has failed in fulfilling its mission and is in major crisis. Though the police agencies do have immense internal affairs unit, others fall short of it.

3.3 Responsibilities and duties of the Internal Affairs unit

The main purpose of the internal affairs unit entails establishing of a mechanism in which there will be receipt, resolution as well as investigation of complaints (Michael, 2000, pp. 74).  Its main goal is to make sure that integrity of the entire department is highly maintained through an internal discipline system where justice and fairness are assured by impartial and objective review and investigation. The Internal affairs unit is also responsible of reviewing and investigating any allegation concerning the misconduct of an employee which reveals potential violation of the regulations and rules of the agency and which shows that the employee is unwilling, unable and unfit to perform their duties. The internal affairs investigations ought to be considered as crucial to the entire agency just as any criminal investigation.

3.4 Accepting of reports alleging misconduct from an officer     

All the complaints should be accepted from all persons who do wish to file complaints. This comprises of reports from sources, juveniles, anonymous people and arrested persons (Allyson & Human rights watch, 1998, pp. 17). Incase the internal affairs personnel is unavailable, then the supervisory personnel ought to report on officer misconducts. Citizens ought to be encouraged to submit complaints as soon as possible.

3.5 Comparison with other agencies/ sections and units

If we are to compare internal affairs unit and special investigations section in New Jersey, there are likely similarities between the two. The special investigations section is dedicated and responsible of carrying out specialized investigative and forensic needs of the state and division.  Their mission is to enhance the citizens’ quality of life and all the visitors to New Jersey through developing intelligence, investigating, deterrence as well as subsequent elimination of the criminal acts conducted by organized criminal individuals and elements. These are two sections that have been at the limelight as they discourage the citizens from complaining hence reforms need to be undertaken.

4.0 Methodology

The assessment of Internal Affairs Unit in New Jersey was conducted through  an on site observation of the internal affairs personnel, interviews, reviews of relevant literature, research, statutes regulations, experiences of the investigators, comparative evaluation of the internal affairs accepted standards and data collection.

Approximately five weeks were set aside for observing, interviewing as well as data collection for the report. In order to determine how the entire internal affairs process was working globally, there was analysis of over 500 police internal affairs annual reports from New Jersey law agencies.  There was a telephone survey of the police departments in order to get information concerning the procedures for complaints. We analyzed the records as well as the policies gotten from the county prosecutors to determine the rate of oversight prosecutors have or exercise over the police internal affairs complaints which are received in the office of the prosecutor.

The survey conducted determined on how easy or hard it was for an average citizen to acquire some basic information from the police agencies on how to file complaints against police officers. The main goal was to see if the employees of the police department understood fully on their own internal affairs complaint procedures and processes and whether or not their inquiries did comply with those of IAPP.

We telephoned approximately 500 law agencies across the entire state including the county, municipal, transit police departments and public police departments.  The survey questionnaires consisted of ten questions on the internal affairs complaint process basing on the law requirements. There was random selection of agencies who were questioned. All the survey calls were made during the working hours when all the internal affairs representatives were present. The people interviewed varied in sex, age as well as ethnic backgrounds.

5.0 Findings

The telephone testing that we conducted revealed that the average citizens do encounter numerous problems and obstacles when it comes to registering of complaints. Most of the police departments discouraged the juveniles to go ahead and file reports without their parents. Most of the departments were not even in a position to accommodate the non- English speakers. Most of the police employees who had fielded our calls were quite hostile and defensive. These are obstacles that discourage the members of the community from lodging complaints.

Getting information was challenging because of the automated answering systems that made it complex to reach on a live person. The systems hardly offer options to citizens’ complaints and only few options that were offered for Spanish speaking groups. Only few departments did meet the requirements of the law as far as making internal affairs section accessible. 65% of the agencies required the complaints to be filed in person while 51% never accept any complaints through telephone. It is only 5% of the agencies that asserted that they do accept complaints via online. 51% of the agencies did not accept complaints by anonymous people and of those that accept 17% of the complaints go uninvestigated.  70% of the agencies did not accept the third party complaints.

 

 

 

 

6.0 Recommendations

  • Mandatory training for all the police recruits to make sure they are aware of the IAPP requirements on citizens complaints
  • Training the police personnel on the procedures of accepting complaints in order for them to be aware that complaints can as well be accepted through mail, online, fax, anonymous people, immigrants, juveniles and third parties.
  • Outreach standards as well as language accessibility in the police departments in jurisdictions with immigrants
  • A national wide 24 hour internal affairs complaint hotline to all those with complaints
  • Instant testing of the skills as well as knowledge of the telephone receptionists as well as the intake officers by the police executives to avoid hostility.

7.0 Conclusion

While most of the police officers and the internal affair agents do follow the rules, the few who refuse to follow end up undermining the confidence of the community as far as law enforcement is concerned. The telephone surveys and the interviews showed that the citizens who tried to register complaints encountered numerous obstacles. The police departments ought to come up with accessible procedures for complaints, train personnel as well as investigate on grievances and release on all the information to the public. The citizens and generally the public ought to know that the public servants do work under guidelines and citizens which protect the citizens from numerous abuse and offer avenues to the public in which they can register their grievances.

 

 

 

 

 

8.0 Appendices

 

8.1 Appendix A: Questionnaire to the agencies

1)      How are complaints filed? Can they be filed via telephone, anonymously or a third party or a juvenile?

2)      Can a complainant immigration age or status preclude their complaint from getting accepted?

3)      Are there translators available to the non- English speaking citizens?

4)      When are the most convenient hours to present any complaint?

5)      Are there any given rules on the nature of the cases that needs to be addressed in a complaint?

8.2 Appendix B: Questionnaire to the New Jersey general citizens

1)      What do you think of the police internal affairs? Is it effective?

 

2)      Have you ever been handled inappropriately when complaining?

3)      What are some of the reforms that you would like to see with the internal affairs section?

4)      What are the main problems affecting this section?

5)      What do you think makes the citizens lose trust with these agencies?

What is an entrepreneur?

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An entrepreneur is any individual who does accept the financial risks as well as undertake new ventures in finance (Kenneth, 1988, pp. 25). Generally this is a term that is used to refer to any person who has an aim of starting a project or trying some new prospects.  Most societies do place an immense value to the entrepreneur. In order to encourage their activity they are hence offered access to cheap capital, exempt taxes as well as get advice from the management. This paper will hence focus on the characteristics of an entrepreneur, the reason why one should become an entrepreneur,  characteristics of successful entrepreneurs, some common myths about entrepreneurs  and finally the costs as well as the benefits of entrepreneurship.

Some of the characteristics of an entrepreneur are spontaneous creativity, the willingness as well as the ability to make comprehensive decisions in absence of solid data as well as a personality based on risk taking (Donald, 2008, pp. 140).  An entrepreneur can be driven by the need to built or create something that is tangible. Entrepreneurs are highly independent thus can cause diverse problems incase their ventures succeed. Generally entrepreneurs are individuals with immense energy, are self confident, set some long term goals and also view their money as well as the financial security as a major accomplishment measure.  They do persist in solving problems, learning from the failures, taking risks, accepting personal responsibilities as well as using the available resources in order to achieve success. The entrepreneurs do compete with themselves as they believe that failure or success does lie with influence or personal control.

Being an entrepreneur is rational as it gives one an opportunity to become their own boss.  It also helps one to pursue their ideas as well as dreams and be financially rewarded. The main characteristics of successful entrepreneurs are the fact that they have an immense passion for businesses that is consumer oriented. They also have tenacity despite failures since entrepreneurs are always trying new ventures and executing their intelligence. The main secrets of successful entrepreneurship are the fact that they have passion for their job, they are hard working and focused and also they have rational ideas.

However, there are various myths about entrepreneurs (Donald, 2008, pp. 5). The first myth is that entrepreneurs are born and not actually made. The fact is that everybody has an immense potential of becoming an entrepreneur and whether one becomes an entrepreneur or not is usually characterized by personal choices, the environment as well as life experiences. The other myth is that anyone is capable of starting a business. However the reality is that the entrepreneurs who do recognize the main difference between an opportunity and an idea and think vastly, they hence start businesses that are capable of succeeding. The other myth is that entrepreneurs are gamblers. However, successful entrepreneurs do take careful as well as calculated risks. They influence the odds through getting others share the risks with them as minimizing the risks incase they have no any choice.

Entrepreneurs are usually achievement motivated; they are alert, decisive, creative, energetic, self confident, promoters, visionary and other affirmative character traits.

The major benefits of entrepreneurship are the fact that they gain independence, are financially rewarded, satisfied and have high self esteem. The main costs of entrepreneurship are obstacles, loneliness, business failures, financial insecurities and hard work as well as working long hours.

Poland and the International Monetary Fund Policies

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The debt crisis of the 1980’s brought to the limelight the central role of the International Monetary Fund in the exchange rate policies of nations. Third world states had to devalue their currencies to an estimated 50% (Elekdağ, S., p 630). This condition was precondition for any nation to access any loan from the Institution. Unfortunately, this move led to the increases in prices and compressions in the real earnings of nationals.

The move seemed to ravage most states particularly those inAsia.ThailandandKoreafor example underwent a serious financial crisis resulting from the condition by the International Monetary Fund.   The crisis was further precipitated by the institutional speculators who deliberately manipulated the currency market to be tilted in their favour. These set precedence for the IMF bailout. The bailout was done in consultation with the Breton woods institutions (World Bank).

WhenPolandbroke away from the soviet dominated bloc, it transformed its mainly planned economy to a market economy. At the very onset, in 1990, the polish government developed the Economic Transformation Programme. The plan was meant to stabilize the economy through the transformation of the structures that would see the economy become a market economy parse.

The polish economy was the first in the region to become a capitalist state. This was resultant from the policies that were developed to effectively transform the economy to a market economy.Polandwas able to successfully transform without much recession and succeeded in getting a high GDP than had been experienced in the communist regime. The initial years were not characterised by positive development trends. However, years that succeeded the period soPolandtransform into one of the first developing economies in centralEurope. The growth was further precipitated by an expansion in the private sector, translating into a GDP growth of 20% in 1999 relative to that in 1989 (Beeson, M., Broome, A., p 399).

The policies introduced put the Polish economy on one that was ever-expanding. The polish economy was expanding with exceptional resilience and replete to the external environment with particular reference to the international financial crisis. Unlike countries such as theCzech RepublicandRussiawhich were ravaged by the crisis,Poland’s economic resilience was attributed to the consistent and balanced macroeconomic policies that had been initiated by the IMF.

While the economy exhibited the much resiliency mentioned above, the crisis affected the country’s demand for its exports. Nevertheless, the economy had strengthened enough to withstand the economic tide that was ravaging the neighbouring countries and was able to survive replete of the slowing GDP growth to 1.7% from the initial growth of 4%. The growth, however, rebounded in the third quarter of the year to 6% of GDP (Woods, N., p 380).

The intervention by the International Monetary Fund in the financial operation of states comes with mixed blessings. From the very psychological perception, it is argued that given that the IMF comes in, in the event of a crisis, tends to make the crisis more likely to occur. It is apparent credit institutions would otherwise offer crisis-prone states loans at a rate lower had it been that the IMF was not available. Within the precincts of the assertion of the critics of the loaning policies of the IMF, the knowledge of the presence of a salvaging institution makes governments fail to put in place sound policies for the regulation and supervision of financial management that would otherwise reduce the likelihood of a crisis.

InMexico, for example, the intervention of the IMF in the 1995 crisis prompted a massive bailout era. This bailout was characterized by high level risk taking ventures that set precedence for crises in the wider Eastern Asia andRussia.Brazilwas hit hard years later as a result of the crisis that was dogging the neighbouring countries. Given, the aspect of the IMF funding being hazardous should not be wished away so lightly.

In a way, the interventions by the IMF have mixed fortunes (Woods, N., 393). In some cases it is appreciable that the financing assists the country to pull away from the brink of collapse, assisting the countries mitigate the adverse effects of any down turn thereof. In some other cases, the interventions streamline the financial institutions and stabilises them altogether. Whole, with the intervention of the IMF, the moral hazard resultant is an unavoidable consequence.

Zambiawas largely devastated in 1975. The country had its per capita income drop to a quarter of the initial figure. In the same year the terms of trade for copper dropped by an estimated 50% (Beeson, M., Broome, A., p 407). Merchandise imports similarly dropped by 25%. The drop affected the production level plunging the country into a crisis. The external situation equally complicated the state that the country was under going especially given that it was beyond the control of the government.

The foreign debt forZambiastood at $4500 million. This debt was due to private companies, banks and foreign governments. The intervention of the International Monetary Fund through loaning and the conditional ties that saw the country restructure its financial institutions brought the country back on track after 13 years. This presents a success story for the intervention of the International Monetary Fund.

Vividly, one can attest to the fact that the interventions of the IMF significantly affect the incentives of any state putting into effect mitigating measures for any financial crisis. Most importantly, during liquidity crisis, the international monetary fund is able come in to compensate for the market failures (Woods, N., p 393). Where the effect could have been multifaceted, the victims of the crisis would definitely be cushioned. The victims would include creditors and trade partners that would have otherwise been distressed by the contagion.

In addition, the intervention, or rather the impending intervention by the International Monetary Fund tends to provide basic catalyst and certainty in international trade (Elekdağ, S., p 641). Creditors in international transaction are made certain of their payment where it appears definite that failure by the creditor to service the debt would have the International Monetary Fund come in to intervene. Overall this promotes international financial stability.

The aforementioned notwithstanding, one can easily observe that making extreme hypothesis on the hazardous or the beneficial nature of International Monetary Fund intervention is protracted. Hypothesizing that investors will obviously be bailed out in case of a crisis is equally extraverted. By any feasible standards, if this was a basis for evaluation and action, most countries would borrow at the very risk-free rates.

In conclusion, the overall intervention of the international monetary fund has been characterised by mixed blessings. These mixed blessings provide basis for the development of a global system that would be equipped in dealing with crises. Of particular essence will be the widened parameter within which regulations would be provided for the inclusion of all financial institutions. Besides, there is a dire need for incentives that would encourage all players to willingly take risks.

In as much as the players will be encouraged to take risks, similar efforts will be put in place to ensure the very risks are mitigated. It should be noted that extroverted regulation may equally hurt the market. This extraversion will be noted through stifled innovations. Subsequently, the benefits of integrating the global financial system will be limited to a large extend. Within the mandate of the aforementioned assertion, it will be tidal to develop a broad yet consistent framework that would consistent across the divide.

Fervently, the founding principles of the International Monetary Fund were quite articulate and were in line with the development agenda of the time, however, the developmental prospects world over have moved through stages and the need for restructuring and reorientation of the IMF is timely and inevitable.

 

 

 

 

 

 

 

 

 

Chapter Two

2.0 Literature Review

The international monetary fund has had pivotal roles in the 1970s, 1980s and the 1990s. The role the fund was play in the development of nations across the globe gave the institution much attention and much was written on the institution. The beginning of the 21st century has seen much being written on the need for the restructuring of the institution and much criticism on its performance.

Polandon its part, however, attracted much attention due to its prospects as one of the fastest growing economies inEurope. After breaking from the communistRussiathe country did away with communist policies and developed capitalists policies that so the economy transform very fast.

This chapter seeks to review any literature that would be incidental in establishing the role is any that the International Monetary Fund has played in the world economies and narrows to look at the polish economy. The literature reviewed also looks at the conditional ties that the institution puts on its funds before giving the funds to beneficiaries. Formative, it is hypothesized that the funding by the International Monetary Fund has mixed effects on any economy.

The great depression that ravaged the world in 1930s saw country seek to develop stringent barriers to international trade and subsequent devaluation of their currencies (Best, J., p 688). Citizens were curtailed fro holding any foreign exchange. The policies were self-defeating and could not alleviate the challenges that were seemingly becoming insurmountable by the day. During the period world trade plummeted considerably, coupled by increase in the levels of unemployment. Subsequently living standards in most states went low.

The devastated international monetary system necessitated the development of an institution that would oversee the international payment and transactions alike (Beeson, M., Broome, A., p 396). The developed outfit was to ensure that the there was stability in the exchange rate of the countries that were members. Besides, the outfit was to facilitate the purchase of goods and services from amongst citizens.

This breakdown in international monetary cooperation led the IMF’s founders to plan an institution charged with overseeing the international monetary system—the system of exchange rates and international payments that enables countries and their citizens to buy goods and services from each other. The new global entity would ensure exchange rate stability and encourage its member countries to eliminate exchange restrictions that hindered trade (Best, J., p 649).

The IMF has over the years been termed as the lender of last resort for countries that have had financial difficulties (Woods, N., p 380). The institution has over the years used its powers in the imposition of strict conditions that would make the countries access loans from the institution. The policies have been commonly referred to as structural adjustment programmes (SAPs). The institution has been very instrumental in the stabilization of countries that have had financial constraints, particularly in Latin America, Africa andAsia.

The World Bank did not prior to peg its lending on the structural adjustment programmes. However, the International Monetary Fund did set precedence. Today, most of the lending institutions require that country seeking for the loan put in place strategic structural adjustment programmes to access any loans. All loans have to be attached to some conditional ties.

The structural programmes require that labour laws are made less stringent. More often the policies for the adjustment of the structures tend to make the workers less unionisable. Besides, while the policies will see the country come back to the requisite track, the policies tend to do away with labour laws. In most cases countries that are loaned by the IMF have massive layoffs in the short run.

WhenMexico(Elekdağ, S., p 631) was bailed out in 1995 by the International Monetary Fund, it had to lay off most of its workers. An estimated 2million Mexicans lost their jobs in the wake of the bailout and the structural adjustment programmes. This layoff appeared to be in utter tandem with the policies of free trade that would liberalise the market and make possible the ease of access of labour (Archer, D., p 17). Subsequently, the loaned states have to embrace international trade policies that would allow for the free flow of resources across its borders. Overall, the International Monetary Fund policies are those that seem to be anti-workers. It is perhaps for this reason that most of the unions across the globe will be against funding by the International Monetary Fund.

The inception of the Bretton woods institutions was meant to not only revive capitalism but to also encourage international cooperation. This move was prompted by the currency competition that was prevalent in the 1930’s (Woods, N., p 390). The move was to tame the Soviet wave and shift to the market based alternative of economic development. By the time the IMF was coming into full force, theUnited Stateswas developing into the sole major economy.

The International Monetary Fund found itself functioning in a new economic order by the 1970’s with the sudden collapse of the Bretton woods institutions at the time (Dieter, H., p 346). The International Monetary Fund had t reinvent itself and become an institution that would provide economic surveillance and provision of policies that would assist nations that were tending to the doldrums to regain economic strength.

The challenge the IMF was facing in the 1990’s was resultant from the relationship the institution was having with theUnited States of America. It can to be argued that the IMF was in fact a tool for theUSto pursue its foreign economic policy. In deed, the policies of the IMF seemed to simply perpetuate the policies of theUSin the countries that were beneficiaries to the IMF funding (Seonjou K., p 705). However, many scholars are in agreement that theUnited Stateshas played a major role in the activities and the policy development and implementation prospects of the International Monetary Fund. One of the major examples cited is the use of the US dollar as the major transacting currency for the IMF.

The IMF also relies so much on theUSas the major shareholder. This has on many occasions made theUSto overlook the board and go ahead in lobbying for the adoption of the policies that theUSfavours. Most scholars argue that theUStreasury has some sort of special relationship with the International Monetary Fund. This intimated relationship was evident particularly with the handling of the crisis inAsia. Besides, theUStreasury played a pivotal role in the negotiations for the loan packages for bothThailandandKorea.

While the IMF is supposed to focus on individual economies as the singular and basic unit of analysis, the institution appears inclined to some political bloc (Archer, D., p 16). Through the IMF, the adoptions of international unified monetary policies have been largely advocated for. The move has been furthered through the sponsoring of the retraining of officials from the member economies. TheUnited Stateshas played a central role in the training of these officials.

The interest byChinain the IMF policies seemed to make theUnited Statesto develop some cold feet. This was sufficient show that theUnited Stateshad some hidden agenda for pursued through the IMF. The intervention of china through the use of exchange rate control witnessed high opposition from theUnited States(Elekdağ, S., p 629). TheUnited Statesput much pressure in 2007 to review or clarify its surveillance of the exchange rates. This made the IMF to adopt external stability policies that would seek to have countries have their economy stabilised through external forces.

Despite the restructuring by the IMF, critics argue that the IMF has not executed satisfactorily its mandate as an economic surveillance institution. The fund has been struggling to redefine and reposition itself towards measuring to this responsibility. The invention of the Financial Stability Forum in 1999 by the G-7 seemed to further devastate the institution. The aftermath was characterised by the reduced popularity of the IMF amongst countries such as theUnited States of America(Microfinance Network). By any standards the usefulness of the institution seems to be dwindling by the day.

Clearly the institution has over the years undergone a cycle since the exit of the Bretton Woods. The fund has been the central salvage institution during crisis for ravaged countries. However, this popularity notwithstanding the fund has rare and unpopular reputation because of sovereignty costs which it was imposing on the various governments. This can be traced clearly in its actions during and after the Asian financial downturn of the 1997-98 (Dieter, H., p 349).

While the Asian economies were state-led the IMF policies were geared towards having the economies towards market led economies. The IMF termed the unprecedented development in the Asian economies as the real essence of globalisation. The director argued that the development was merely neoliberal (New African p 16). However, when the crisis in Asia took toll, the IMF and theUnited Statesso it as a loophole for the introduction of market economy into the crisis-hit nations.

The IMF roles appear to be divided into two models, one that embraces dialogue and the other that is interested in the auditing. However, if the fund is insulated from any political pressure its surveillance role would be adequately delivered to the member countries. According to Gordon Brown, theUKChancellor in the exchequer, with sound management of the international monetary fund, the fund would live above partisan ideologies and become independent and credible in its mandate.

The IMF has had countries rejecting its advice on monetary issues outright. This rejection has made the institution lose its credibility.Malaysiafor example rejected the IMF’s and chose to reintroduce control on the inflow of capital (Archer, D., p 10). Ultimately, this move seemed to show that the IMF was not credible enough. Perhaps it is for this reason that the critics blame the IMF for the pre-crisis and post-crisis challenges that faced the ravaged states.

Clearly, the politics of accepting the policies of the international monetary fund seems to put most states off their feet.  Within any earnest assertions, the autocracy of nations seems largely impeded by the intervention of the international monetary fund (Seonjou K., p 700).

When focus is put on the democratic ideals of IMF funded nations there is evidence that the countries make efforts to democratise, however the efforts seem to last for as long as the International Monetary Fund lasts.

Though it is universally acceptable that the IMF intervention comes in handy when states have economic difficulties, the conditional ties attached to the fund cause much political upheaval. Similarly, the fund is seen a cause of stagflation within nations that receive the fund. Unless structures within the recipient countries are restructured prior to the receipt of the funds, the corruption and inefficiency within the public services impedes the objective of the fund.

Camdessus (Camdessus, M., 363) argues that though the adjustment programmes mentioned earlier would be a good step towards the attainment of the objectives of the fund, the success of the implementation depends on the electoral cycle. In regimes where there are impending elections, the regimes tend to work very well. However, in regimes undergoing a post election era, structural adjustment programmes of the International Monetary Fund are flawed in their implementation.

Camdessus (Camdessus, M., p 363) agrees with the argument by Kaufman and Haggard who assert that the implementations of the SAPs are a success particularly in countries that are in a state of democratic transition. In these countries, they argue, the political class are conscious of the need integrity and sobriety in the management of the affairs of the public offices which they have interest or the ones they are holding.

While it is regrettable that most of the authors on this topic tend to examine at length the polity type regarding the failure or success of the IMF programmes. A thorough examination of countries such asMexico,ArgentinaandBrazil, tends to imply that only countries that have authoritarian rule would successfully implement the strategies and programmes of the International Monetary fund. Kaufman argues that the ideologies postulated and pursued by the IMF would not be implemented by technocrats. Overall, the impact under technocratic implementation would be less felt than would be the case in authoritarian states.

In her examination, Önis (Önis, Z., p 251) finds a lot of fault in the implementation of the policies by the International Monetary Fund both in democracies and in autocracies. She does this with particular reference toLatin America. Her central concern was to ascertain whether the programmes by the IMF posed any risk to the autocratic governments and if autocracy was a sufficient condition for the successful implementation of the IMF programmes. According to her, democracies had an edge in the implementation process.

 

 

 

 

 

 

 

 

CHAPTER TWO

2.0  Theoretical Framework: Neoliberalism

The polish government had to undertake a thorough restructuring process to have a smooth transition process from a communist economy to a capitalist economy. Theorists and policymakers had to go back to the drawing board to have a thorough review of the prior market state relation that existed across the board over the communism period.

The privatisation process had to be put under a thorough scrutiny (Grzegorz W. K., p 48), deregulate certain economic arrangements and perhaps sturdily deal with the challenges that appeared abound with the onset of globalisation. The postWashingtonconsensus also needed to be reviewed with renewed gait to ensure the effects of the charter would not eat into the transitioning economy.

The aspect of public utility privatisation became very palpable prompting the development of a draft legislation that would make the transfer effective. While the council activists were opposed to the transfer and commercialisation of the utilities, the government went ahead to privatise the firms (Camdessus M., p 363). The basis of the rejection was based on the fact that the privatisation implied recentralisation power, particularly those related to the economy.

In 1990, the legislation on the privatisation and commercialisation of the public utility firms was passed by government. This gave the process a green light to go ahead and have the utilities transferred to private ownership without much ado. However, the council which had been opposed to this arrangement was given powers by the government to vet the plans for privatisation. Stocks were used as the central medium of transfer. Further, with the review of the provision, the council was given the leeway to have their firms dissolved and leased off or its assets sold to new corporations. Besides, the new corporation developed were allowed to have its employees own its shares. This however, seemed to give loopholes related to employee ownership.

The year 1991 saw the transfer of most of the firms to the private sector. However, this transfer witnessed a shift from public transfer to mass transfer of the utilities. The transfer was done in phases with the ministry first identifying 500 utilities that it deemed a priority in the privatisation process. The government also developed a mutual fund whose shares were to be given to the public.

The ministry did not have the going that smooth. Most firms were not willing to be privatised that easily. However, an estimated 250 (Önis, Z., p 240) firms were made joint-stock companies by the end of 1991. The ministry’s central objective of having the firms privatised was to have the firms’ performance improved. Contrary to these expectations, this was not to be; the firms’ performance is said to have actually deteriorated.

The firm managers on their part had expected better treatment from the government. This never came to be the case and hence they seemed to develop some resentment. They argued that the move was a probable scare for customers (V Calomiris, C. W., p 347). They argued that until the owners were identified the restructuring was inconsequential. The directors of the boards that were put in charge seemed to lack the moral and legal mandate to have the managers change this behaviour.

At the very point and period of transition; the trade unionism was on the verge of collapse. This collapse was precipitated by the ascension across the globe of economic Neoliberalism. This policy became a common tenet of the Polish economic policies and dominated the economic orthodoxy ofPoland.

During the transitional period financial institutions from the west played a pivotal role inPoland. The success of Neoliberalism (Woller, G. M, Hart, D. K., p 20) was largely pecked on the western economies. The institutions are largely credited for the shaping and reforming the economy ofPoland.  The efforts by persons particularly those in the labour unions played a central role in the establishment of a market economy inPoland. In retrospect, the role of the international institutions had a major influence on white collar jobs.

The increase in the role played by the international financial institutions from the west had much influence on the role of trade unions inPoland. Common during the transitional period was the transfer of the ownership of state owned premises to private proprietors from the west (Önis, Z., p 251). Most of these unfolding were precipitated by the collapse of theSoviet Unionand the subsequent dissolving of the Council for Mutual Economic Assistance.

The very period within whichPolandwas undergoing a transition saw the development cultural trends such as pop culture and consumerism. Apparently, this largely affected the solidarity culture which had relied largely on patriotism, social solidarity and sacrifice. While solidarity had during communism existed as a trade union, it had turned into a social outfit. However, the inception of globalisation saw concept of solidarity decline to its very knees.

Though the nomenklatura capitalism would have played a gigantic role in the development of the present dayPoland, it is argued that it did the last blow on the solidarity. The capitalism introduced looked at solidarity as a central support for socialism which was largely discredited. The aftermath of the incessant struggle saw the full embrasure of capitalism by workers and trade unionists alike.

The rejection witnessed during the neoliberal period seemed to be an aspect of neoliberal reform. The strategy was adopted by the polish post communist reform proponents. Privatisation was not only perceived as a sine non quo for the systematic reformation of the economy but was also viewed as a way through which the influence of workers was to be trimmed (Calomiris, C. W., p 347). On addition, devoid of any surprises, the government did not develop any framework within which the workers would be appreciated at their place of work and how they would participate in any emergent issues.

Nevertheless, the neoliberal strategy inPolandencountered massive challenges and hostility (United Nations Development Program). The hostility was particularly witnessed in the plant based representation of workers. Clearly, the only strategy that worked successfully during the neoliberal time was largely dependent on proactive participation of the councils of employees and their support. Though the councils stood changes of losing support after the privatisation process, most of them were named to head the formed corporations.

The Polish government later realised that the pronounced industrial relations was after all a liability towards industrial reform. Overall (Bullard, N.,Bello, W., Mallhotra, K. p 514) the government ofPolandin the neoliberal period had the least option but to have some regulations on the negotiation of workers at the plant level.Polandwas ideally at the risk to replace the then inherent institutions for any such incidental negotiations. The prevailing structure of industrial association seemed to have lost its competitive advantage for the negotiation of the affairs of the workers.

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Chapter Three

3.0  Methodology

To evaluate the success of any programmes, considerations have to be given to variables that are qualitative and those that are quantitative in nature. Qualitative evaluation will address the issues of how well the programmes may have served the set goals and objectives. Within this context, in checking the success of the programmes, one has to consider the predetermined objectives and evaluate the success of the policies based on the extent of the success of the policies.

The evaluation can also be done on the basis of how much has been achieved through the review of the figures vis-à-vis the target figures (Trudel, R., p 936). This quantitative analysis is capable of indication the effectiveness of the implementation process. In quantitatively evaluating the success of the international monetary fund this paper will look at the gradual increase in the disbursement and the effect of the loans on the GDP of the recipient countries.

The relationship betweenPolandand the international monetary fund have all the relevance to transitional economies, particularly those undergoing restructuring and stabilisation programmes (Cooper, R N., p 138). Equally, the case ofPolandrepresents the benefits that recipient country of IMF funds would enjoy. The IMF was more receptive givenPoland’s economic state.Poland’s outstanding success in its relation with the IMF was evidenced in the successful negotiation of debt forgiveness and subsequent acquisition of the $1billion loan.

The polish government equally reduced the debt consistently. The London Club and Paris Club had reduced the Polish debt from 30% and 50% respectively (Microfinance Network). This was largely influenced by the successes the government was reaping from its investment resultant from the IMF. The debts did in no way threaten the viability of any recessionary policies. However the Polish case seems relatively exceptional assisting the economy to move from recession to a sustained reduction in the rates of inflation and an inflow of foreign investment.

It is appreciable thatPolandmost of the time triumphed over the IMF during negotiations, in the long run the Polish government was able to access much loan without stringent criteria. The Polish (Bullard, N.,Bello, W., Mallhotra, K. p 525) government had, through Balcerowicz, developed a stabilisation model reminiscent to that of the International Monetary fund. This eased the IMF-Polish negotiation strains.Polandhas enjoyed much leverage from western debt relief measures, hence providing further financing for the polish government for transitional purposes.

In appreciating the milestones in the Polish economy, it needs to be appreciated that not all beneficiaries of bilateral aid should expect to be relieved off the external debts. In this way, the merits the Polish economy accrues from the bilateral agreements should be treated as exclusive. While it is also notable that the Polish economy could have also reaped much from the euphoria of the collapse of theSoviet Union, the symbolic position held by the Polish economy then was so novel.

The impact of any policy has to catapult the efforts of any state towards prosperity. The evaluation of the success of the policies would be established through a quantitative process or a quantitative process. Equally, the successes of the international monetary fund inPolandwill be ascertained through the qualitative and quantitative review of the impact of the fund on the Polish economy.

The polish economy with a population of an estimated 38 million people has had a stable growth over the years. Since its joining of the European Union, the polish economy has remained very healthy.Polandjoined the European Union in 2004. Thereafter, the polish economy has witnessed a steady growth trend, 6.7% in 2007 and 4.8% in 2008. The projected economic growth for the country over the coming years has been projected at an increase of between 0.3 to 1.9% (Bird, G., Rowland, D., p 864).

To a reasonable extend the IMF has been able to meet its stipulated objectives. Though it can be attested that it has been an institution with mixed fortunes, it qualitative and quantitative evaluation of performance over time proves that its performance has relatively served the objectives, particularly in the 1980s and the 1990s.

The economy ofPoland(Dreher, A., p 286) was experienced deterioration for a period of time. This was a result of recession that had been precipitated by the economy’s transformation from a controlled economy to a free market economy. The government had concentrated its efforts towards the curbing of social security expenses that had earlier required increase in the subsidy from the general revenues. The trimming of the expenditure was achieved within a short period of time; thanks to the conditions by the International Monetary Fund

The cutting of the expenditure had been a condition of the International Monetary Fund and had been put on the Polish government in the wake of a loan it had received from the IMF. Within the same period the International Monetary Fund had demanded that most of the public utilities be privatised.

In its reform process, the polish government set ceiling for the earning levels. This criterion was to be equally used in the determination of the pension of the workers. Besides, the same period witnessed a stream of retrenchments (Best, J., p 267). This retrenchment was faced by stiff competition from the Trade Unionists. The unionists went to court over the issues. Subsequent, pensioners were awarded shares in the privatised companied by the government rather that the payment in cash of their pension.

The IMF has shortly suspended funding to the polish government and the government was forced have the social security fund cut down so that the IMF would revert to the lending (Chaudhry, P K., Kelkar, V L., Yadav, V., p 67). To have the trust of the International Monetary Fund the government was expected to have the social security cut down. The internationals monetary fund was to in turn reassure the investors of the feasibility of their investment inPoland.

The polish government instituted a few measures towards the attainment of the objectives. Most importantly, it introduced cutbacks on the unemployment benefits, expenditure on cash benefits. Earlier, these costs had seen the expenditure increase from 11.17% of the Gross Domestic Product to 15.3% of the Gross Domestic Product (Microfinance Network). This was attributed to the increased pension benefits relative to the average wages. This seemed to reverse the trend experienced in the 1980’w in total.

The programmes of the IMF have been very particularly relevant to the Polish government. The structural adjustment programmes saw the government ofPolandreview its management policies that saw the economy pick up. Through the structural adjustment programmes, the adjustment programmes saw the government improve the delivery of services to its citizens through the firms that were privatised (Trudel, R., p 930). Though layoffs were a common scenario, the overall delivery of services to the public was catapulted through the adjustment programmes.

The conditionality placed on the on the aid and loans saw the improvement in the overall governance ofPoland.  The fund also increased international cooperation and financial surveillance through the monitoring of the central bank functioning and the linking of the banks. Overall this seemed to enhance international integration that is incidental in political, social and cultural development.

Because of the sound macroeconomic policies that were initiated by the International Monetary Fund, the Polish economy has remained robust and is among the only countries in Europe that were not hard hit by the global economic crisis. The Polish government has been able to avoid recession because of the well developed institutions that were founded in the 1980’s.

Most important to be noted is thatPolandis the only economy inEuropethat managed to have some economic growth in 2009. This has been attributed to the good policies and sound management of its institutions. The international monetary fund’s credit has been seen as playing a central role in the stability ofPoland.Polandhad been awarded a grant of $20.8 billions which was very instrumentals in its maintenance of the zloty’s stability (Bird, G., Rowland, D., p 846). The sound relationship betweenPolandand the Bretton Woods institution has been able to putPolandon the right economic track over the years.

In attaining the central objective of cushioning the country against any shocks, the economy ofPolandsought to get a loan from the IMF (Heritage Foundation 2005, p 76). The loan was to increase the polish central bank’s reserve by an estimated one third. This was done through Free Credit Line from the International Monetary Fund. This was intended towards cushioning the Polish government against any attacks from speculators and the probable virus from the crisis.

Relatively, the Polish economy was doing very well compared to the other ex-communist state. The ex-communist states such asLatvia,HungaryandRomaniawere getting economically devastated over the time.  Though this economies had received funding from either both IMF and/or the World Bank. WhilePolandhas over the years been reluctant seeking extra funding because it suffered from capital evaporation that had been precipitated by the credit crunch.

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Chapter Five

5.0 Analysis: Economic Background of Poland

After the Second World War, the Polish government adopted a centrally planned system of economic planning (International Labour Organization).  The adoption was undertaken with the least consideration of the differences in the levels of economic development between the two countries. Similarly, there was the least regard for the resources endowment among the countries (Trudel, R., p 935). Ideally, consideration for the social, political and cultural levels of the countries ought to have been given due considerations.

The thieving of the Polish economy was largely catapulted by the rich natural resources endowment. Polandwas the largest producer of food in the eastern part of Europe. The industrial sector of Polandwas based on the richness in the endowment of coal. Food production industries and equipment manufacturing firms were founded on the availability of coals for energy production. Then, in the 1990’s, Polandwas the 4th largest producer of coal (Khan, S. R., p 1092).

After the Second World War the Polish leadership established socialist model of economic development. The result of the reorganisation was the establishment of large enterprises, heavy industry and a heavily centralised bureaucracy. The centralised bureaucracy controlled the production process, ignoring the capitalist practises of employee job satisfaction and the demands of the consumers.

Polandhad abundance of agricultural resources that remained mainly in the hands of the private sector. At the same time of communist dominance, the states influence on the sector was mainly through taxation. The state also controlled the use of the materials. Besides, the state tried to limit the amount of the private plot any individual would own. Nevertheless, most of the industries and craft firms remained in the ownership of private ownership with minimal state control.

Poland’s economy was equally delineated from the rest of the world mainly because of the nationalised foreign trade. However, (Ministry of Finance,RepublicofPoland Basic Information) there were numerous reforms undertaken in the 1970’s and the ‘80’s that saw individual trade activities, including foreign trade activities. The trade with the international community was further curtailed by the obligations that were laid down by the Council for Mutual and Economic Assistance.

Further, given that the association was largely controlled by theSoviet Union, as a break away states the Polish economy remained disadvantaged (New African p 14). The Polish economy nonetheless gained to some extend some advantage in its balance of payment. On the other hand,Polandexperienced increased inefficiencies in its production process, besides the low quality of production that did hamper increased international trade with other countries.

The years between 1970 and 1980 saw the upsurge of social unrest (Heritage Foundation 2005, p 36). This was resultant from the failure by the state to inspire incidental economic growth from its lopsided economic plans. The installation of the non-communist government in the 1989 saw a paradigm shift in the economic trend ofPoland.  Inherently, the government was mainly inspired by the popular support it was enjoying. Consequently, the populist government introduced the western economy system of the market economy.  The government policy was dominated by the privatisation of most of the state corporations.

Within the fist two years of its installation the government had put the economic prospects ofPolandon the right track. While the prospects appeared quite uncertain in 1992, economic indicators were rife that the economy would pick up after all. Consumer goods were made readily available (Payne, A., p 311). The positive economic indicators were backtracked by the inefficiencies in the state enterprises. This inefficiency led to the decreased productivity increase in unemployment and transitory stagflation. This was relatively treacherous as the inflation had earlier been reduced to almost zero.

The Polish government had to get means of gaining international support particularly from financial institutions. While the Polish economy would have been boosted by the writing of its hard-currency debt, the communist management system remained a partial hindrance to the economy prospects of the Polish economy. The communist policies largely affected the prospective foreign investment that would have been incidental in the country’s prospects. In 1992 what had been planned as a period of economic adjustment turned out to become a longer nightmare with very mixed returns (Bird, G., Rowland, D., p 879).

Polandmade much effort in trying to make its economy western (Microfinance Network). This forced the Polish to largely depend n international financial support and expertise. However, the adoption of the western policies that were capitalist in orientation assisted the polish economy towards gaining economic stability. The economic growth and development ofPolandhas remained on course over the years, succumbing to the least international economic pressure.

The economic freedom of Polandas at the beginning of 2010 was put at 63.2, being ranked the 71st in the ranking for free economies. These score represents an increase of 2.9 points from that of 2009 (Ministry of Finance, Republic of Poland Basic Information). According to the ranking Poland is the 33rd of the 43Europe countries. This ranking represents an above average global ranking.

Notably, the Polish government has had a continued enhancement of an entrepreneurial environment. This has made the Polish economy gain an estimated 15 score in the 2010 index.

The economy has over the last 5 years recorded a sustainable growth of 5%. The monetary policy of the Polish government has remained very stable. Besides, the finance sector has been able to withstand the tide in the international crisis relatively well (International Labour Organization). The rates of tax have become quite competitive coupled with sound implementation corporate taxes policies that are relatively flat. Individual taxes have equally been reduced.

The Polish government has also reduced the levels of corruption and strengthened its legal framework. This has improved the domestic environment that has been incidental in the encouragement of foreign investment (Grzegorz W. K., p 48). The high expenditure by the government has been able to hold down the economic freedom ofPolandabove board. In addition the Polish economy has been able to maintain a sound pension scheme for its workers.

This scheme has remained a central target for further reforms. Relatively high government spending holds down overall economic freedom inPoland. The government ofPolandhas also made relentless efforts towards limiting its expenditure and check the ever-rising fiscal deficit. Consequently, the Polish government has seen the property right as another central target for meaningful reforms. While the judicial system has been fairly reliable, it is inefficient and needs partial overhaul.

The business freedom in the economy ofPolandhas been limited under the regulatory policies developed by Polish government. The application for business operation permits have been reduced to 32 days. This is relatively commendable relative to the world’s average which is estimated at 35 days.

Polandshares similar trade policies as those embraced by the European Union. The country has an average tariff rate of 1.3% as at end of the year 2008 (Chaudhry, P K., Kelkar, V L., Yadav, V., p 60). The hindrance has been that the EU member states have had very high tariffs on agricultural and manufactured products. Besides the MFN code for most of the EU states has been relatively complex. These restrictions notwithstanding, there have been manufacturing and agricultural subsidies and quotas. Overall, this has limited the economic operations of the Polish government.

The European Union has a lot of restriction on biotechnology and pharmaceutical products. Intellectual property rights have also been key challenges in the EU and subsequently to the Polish government. Subsequent, the ranking had to deduct ten points to carter for these restrictions. This was meant to account for the non-tariff barriers. The polish government has had a relatively high income rate of about 40%. Commendably, the rate has been reduced to 32% (Chaudhry, P K., Kelkar, V L., Yadav, V., p 71). This has been a relief on the part of corporate prospective.  The Polish economy has a rate of 19% of corporate tax rate which is comparatively low with the European League. Other notable taxes are inclusive of inheritance tax, transfer tax and value added taxes. The few past years have had an average of 33.5% of Gross Domestic Product as the overall tax revenue (Payne, A., p 318).

The privatisation that had been a common feature of the inception of the capitalist policies has been stalled. Besides, the expenditure of the government, inclusive of the consumption and the transfer payments has been relatively high. This high government expenditure, estimated at 42.1% has been able to stimulate the economy growth (Bird, G., Rowland, D., p 238).

In the period between 2006 and 2008, the Polish economy has had an average inflation of 3.5% (Griesgraber, J M., p 354). Being a member of the European Union, this has led to the distortion of the prices of goods from the agricultural sector. The government has been monitoring the prices of pharmaceutical products and medical products. The government has deemed this a necessary and almost sufficient condition for the effective functioning of the economy (Ryder, P M., p 419). In view of the foregoing, the Polish ranking had to have reduction in its monetary freedom scores by ten points to carter for the adjustment in the distortion in the measure of the domestic prices.

The Polish government has treated domestic and foreign capital investment as of equal significance in its prospects. The government has refrained from screening investment and does allow for 100% private foreign ownership of businesses and firms (Dreher, A., p 238). Nevertheless, all the investments and business need a valid permit and concession from the government.

Businesses engagements may be deterred by regulatory unpredictability and administrative red tapes. The Polish court systems are equally low in their pursuit for legal redress; this hampers the prospects of business engagements. Both the non-residents and residents can open foreign exchange accounts with minimal government restrictions.

The effecting of payments and transfers and transactions has to be conducted through a domestic bank (Trudel, R., p 928).  However, transaction of capital orient particularly with the European Union member states are subjected to a number of restrictions and has to get government approval. The ownership of land by foreigner is subjected to a number of controls and restrictions.

The financial system ofPolandhas been growing over the years. The availability of credit has been made a success at the market terms. Foreigners are also able to access domestic financials markets. This has been affected to make possible foreign investments. The banking sector inPolandhas experienced tremendous competition. The banking sector controls most of the assets (particularly commercial banks), estimated at about 90% of the assets (Payne, A., p 321).  Foreign owned banks account for approximately two-thirds of the banking sector inPoland.

The Polish government retains majority control in particularly two banks with relatively low-interest rate loans for the Polish homeowners and farmers. The process of privatising government owned firms has been relatively low, particularly in the insurance industry. Apparently, the Polish capita market has become relatively intricate, with the Warsaw Stock Exchange experiencing tremendous expansion (Bird, G., Rowland, D., p 849). With this stability and as has been already mentioned, the economic turmoil has had the least effect on the polish economy, or at most the effects has been quite mild.

The rights for the ownership of property have been well protected. The legal framework provides for the acquiring and disposal of property at will with minimal restrictions. Piracy of the intellectual property is still perpetuated in the Polish despite government efforts in improving their protection. Corruption is a significant indicator in any economy. The regulations relating to labour inPolandare fairly rigid, the cost, non-salary, of employing workers is high, and the dismissal is very stringent making the employment prospects lower

Polandis ranks 58th of the 179 (Griesgraber, J M., p 286) countries ranked in the Transparency International’s Corruption Perceptions Index of 2008.  In evading the fears related to this menace, the government has established an office to combat the scourge. The rate of corruption has reportedly declined as a consequent, particularly in public service and goods procurement.

 

 

 

 

 

 

 

 

 

 

 

 

 

Chapter Six

6.0 Empirical Studies of the Impact of IMF Conditionality Program on Poland.

The international monetary fund undertakes very elaborate negotiation process before accepting to advance loans and aid to beneficiary countries. Countries with extended balance of payment yet incapable of accessing loans from commercial banks from foreign countries normally opt for the IMF as their lender of last resort (Ryder, P M., p 410). During the prequalification discussions, the IMF may come up with conditions that are to be met before the loan is advanced.

In return to financing its balance of payment the country will always be compelled to agree on the implementation of certain adjustment programmes that may not be readily adaptable by the recipient nation. These programmes are meant to assist the nation in question to undertake stabilisation. Inevitably, the programmes may involve stringent measures that may be full of austerity (Ministry of Finance,RepublicofPoland Basic Information). Overall the negotiation may be termed as such yet they tend to be largely ultimatums. However, the option for the applying country may be either limited or not available at all. The country seeking the loan/grant has to embrace the programmes to salvage its dwindling economic prospects.

When the Polish government sought a loan for stabilisation from the International Monetary Fund, the condition was to embrace structural adjustment programmes. InherentlyPolandto privatize all the state owned corporations (Khan, S. R., p 1079). While the world over the prospects of privatisation is largely positive, the adjustment comes with numerous challenges such as mass worker lay-off and restructuring of the overall management of the various firms. This tends to increase the rates of unemployment. Besides, the government may loss its popularity among the electorates (Khan, S. R., p 1080). This may bring about mass action and in the long run some sought of anarchy

The Polish relationship with the International Monetary Fund was a clear indication of the diktat theory where there is the existence of the superior and the subject. The IMF programmes adopted by the IMF were mainly of economic imperative or most importantly had much to do with the economic imperative and with Polish political inclination. This principle orientation demonstrates the cardinal and manipulative role that the Western countries have on the policies and decisions of the International Monetary Fund.

The ultimate relationship between IMF and the Polish government has been best depicted not as an opposing relation but as a trans-national pact that has effectively and efficiently lobbied other incidental actors towards attaining economic stability inPoland(Kirkpatrick, C., Önis, Z., p 347). The actors are inclusive of the Western creditors and its domestic constituencies geared towards achieving common incidental policy goals. The Polish government has accepted albeit passively, the IMF prescriptions.Polandhas used its political strength and domestic vulnerability to push the western states to support its financial prospects.

Though the IMF stresses that its role is a politically neutral one, concerned particularly with the regulation of the international monetary system, it takes into consideration issues of political nature; these are captured in the conditions for the advancement of the requested loans (Trudel, R., p 929).  In deed, during the negotiations, the IMF does this strictly with the governments which are expected to be politically impartial. Nevertheless, politics and the economy can not be treated in isolation.

The negotiations of the IMF are ordinarily centred on the economic policy of the country in question. However, unlike in the cases of bilateral aid, the financing by the International Monetary Fund is not pecked on the fulfilment of the specific political conditions. This assertion notwithstanding, it should not be construed that the IMF financial aid of loans is devoid of conditions. The financing has much of political input from the receiving country.

To begin with each of the criteria used by the IMF used in the scrutiny of the legibility of any nation is normally attached to the country’s budget deficit or its exchange rate. These two aspects have a very close correlation with the country’s political debate. It is argued that the policies that are at the core of any country’s economic transformation are always at the core the country’s political epicentres and life.

Secondly, approval of the agreement with the International Monetary Fund is always prone to influences from the national governments which are always subjected to political evaluation and reproach.  Countries with large contribution to the IMF such as theUnited StatesandGermanyhave to have their votes cleared by their governments. Ultimately, this makes the fund very political (Payne, A., p 317). Countries such as theUnited Statesnormally require that its executive director does take stock of the recipient country’s human rights records. Where government to be advanced the aid/loan have records of human rights violation, theUnited Statesmay not approve of the loan advancement. This makes the fund full of non-economic curtailments.

The Polish relationship with the IMF and the World Bank can be traced back to the cold war period.Polandis one of the first members of both institutions. However the increasing intensity of the Cold War saw the relationship of the World Bank andPolanddeteriorates (Khan, S. R., p 1093). Not only did the relationship with the World Bank go awash but also the Polish relation with other International Financial Institution, the IMF inclusive.

Conditionalities (Moore, W., Scarritt, J R.,  p 49) imposed by the International Monetary Fund do not necessarily auger well with all the states.  The structural adjustment programmes introduced by the IMF inPolandhad mixed returns. Workers (International Labour Organization) were against the policies as there was massive employee layoff. While the policies were well intentioned, anarchy was not one of the central objectives of the policies. The devaluation of the currency, a common policy tool used by the international monetary fund, may also, unless effectively and efficiently managed present mixed blessings. Most commonly, the floating of the exchange rate is also largely speculative and may not present the desired results.

The SAPs (Moore, W., Scarritt, J R., p 52) may be also characterised by the abolition of monopolies and state owned enterprises in both the production and the market sectors. Inherently, the state may opt to reform the banking policies, including the rates of interest, reduction in the government budget and money supply which hurts to a reasonable extend the injection by the government into the economy. Where such injections are low, the investment becomes restricted and hence hurts the civilians (Dreher, A., p 230). Besides, the removal of consumer subsidy which also characterises the SAPS may dwell a blow on the standards of living the large populace.

It should not perturb therefore that some of the impacts of the structural adjustment programmes have lead to much criticism of the World Bank and the IMF (Bird, G., Rowland, D., p 243). However, it is remarkable that at the time the Polish government needed the intervention of the both the IMF and the World Bank and the IMF, the policies were followed to the letter and largely put the Polish economy on tracks as it still stands out to this day.

By all standards conditions that are applied by the International Monetary Fund are inevitable. The fund has to ensure that the resources that it receives from the member states are safeguarded (Bird, G., Rowland, D., p 872). The only sure avenue of reaching this end is through the attachment of stringent conditions on the loans and aid that is advanced. Besides, these conditions assist the recipient states to attain the objectives for which they sought the loan or the aid.

The polish government utilised the fund in the development of infrastructure that was a central incentive for the foreign investment that saw the Polish economy back on the track. The road infrastructure opened up the rural area ofPolandto both the foreign and domestic investment hence reducing the level of unemployment and increasing the country’s GDP (Ministry of Finance,RepublicofPoland Basic Information).

The education sector has also been a major beneficiary of the International Monetary Fund. The Polish government has been able, over the years to reduce the level of illiteracy considerably. This has been a key ingredient in the prospects ofPoland’s development. The introduction of the universal basic free education inPolandsaw the literacy level increase from an estimated 69% to 89% in 1994 (Payne, A., p 320).

The agricultural sector was also a major beneficiary from the fund as the development of infrastructure opened the productive area and made the transportation of agricultural proceeds relatively fast (Dieter, H., p 345). Besides, the industries were able to reach the areas easily to access the raw materials for the products. Besides, the developed infrastructure, electricity and road network made it possible for the development of industries in the rural area and created jobs for the residents. In addition, this led to the decrease in the rates of rural urban migration.

6.1 Utility of the Ordinary Least Squares

To find the efficacy of the loan and the aid advance by the International Monetary Fund to any country, we find the best line that fits the data that is derived from the two variables that are provided. In the context of the IMF funding the Polish government two variables can be picked to see the efficiency effects of the fund. Given that employment is a key variable in any state we consider varied levels on the IMF funding with the respective levels of employment.

Letting the funding function be

Y=bo + b1E

Where the

Y- Funding by the IMF

bo – Autonomous employment level

b1 – Employment propensity

E – Employment

Once the data has been plotted and the best line of fit is derived, it is possible to project future employment prospects given a certain level of funding.

 

The graph shows a clear correlation between the amount that the Polish government and the rates of employment at varying periods from the year 1995 to the years 2010. Clearly the increase n the level of employment depends on the amount that the government does injects into the economy (Trudel, R., p 921). An increase in the government injection leads to an increase in the level of employment.

From the data we can determine the responsiveness of employment to the level of the employment. This can be done by determining the change in the amount of funding and the respective change in the levels of employment.

Responsiveness of employment to external funding = δY

δE

Once the Responsiveness of employment to external funding has been established, a singular point can be used to establish the autonomous employment rate in the absence of any funding. The two constants can then be used in projecting the levels of employment given any funding level.

The Ordinary least squares assist any statistician to establish the true levels of unemployment given any government injection (Griesgraber, J M., p 354). The injection within this context is resultant from the funding from the International Monetary fund.  The funding from the International monetary fund in this case is treated as the independent variable, while the level of employment is seen as dependent on the level investment which are treated as the amount of money that is funded by the international monetary fund.

6.2 Results of the test

The test clearly shows that the funding by the International Monetary Fund will have a positive correlation with the levels of employment (Dreher, A., p 234). If the conditions are followed to the letter by the recipient country, the result would produce positive returns. However, the initial stages may experience some teething problems. The teething problems would take the form of mass action from workers resisting the lay-offs and the restructuring process.

Lying off workers may also mean a reduction in the levels of employment. The level of employment may therefore seem to drop tentatively but then will pick up in the long run. This will be if the policies are effectively implemented. Overall, the efficiency of the programmes introduced depends on their feasibility; political, social, economic, cultural and social.

 

 

 

 

 

Chapter Seven

7.0 Conclusions and Recommendations

7.1 Conclusions

It can be adduced from the foregoing discussion that the IMF funding of the Polish government produced the requisite results (Heritage Foundation 2005). This is because since the implementation of the SAPs by the polish government, the economy ofPoland has remained on track through the years. The economy was even able to withstand the economic downturn that hit the world in the years of 2008/09 (United Nations Development Program).

The institutions that were restructured at the same time have remained incidental in the economic prospects of the Polish economy to date. One can therefore comfortably argue that the success of the Structural Adjustment Programmes largely depends on the suitability of their formulation and the efficiency and the effectiveness of their subsequent implementation.
7. 2 Recommendations

Subject to the foregoing discussion the recommendations can be made for not only the government ofPolandand the International Monetary Fund, but also any state or government that wishes to access IMF funding (Microfinance Network). This recommendation would see the general public see the essence of IMF intervention and change the presence perception on the institution.

First, the IMF should supervise and lobby for the accumulation requisite foreign exchange reserves by the member states. This will reduce the vulnerability of states to economic slowdown. Besides, the development of the policies for pecking on the conditions should be done with due consideration of the country’s political and economic environment.

The International monetary fund should also advice states like it was in the case forPolandon the best level of interest rates that would be appropriate for the domestic market. This will reduce the chances of excess money supply or money demand (Bird, G., Rowland, D., p 860). The interest rates should be held lower than is appropriate in the domestic market to sustain and stabilise the demand for the local currency.

The IMF should devise ways through which it can encourage countries to increase its export levels and reduce the amount of goods and services being imported. This will go a long way in ensuring that the amount of foreign reserves remains with the requisite limits (Ministry of Finance,RepublicofPoland Basic Information). Beside, the intensity of controls on the amount of capital imports should be increased. This can also be done through artificial promotion of capital exports. Overall this will assist in the stabilisation of economies,Polandinclusive.

Grades Encourage Students

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Education is among the crucial factors in the development of each nation. Therefore, there have been various suggestions which have been used in order to enhance the quality of education as well as help students to have scholastic achievements. Almost in any modern society, grades do play a very major role when accessing the students’ academic aptitude. The discussion on this issue among the society and individuals has become a very debatable issue. Some people allege that if students’ get unsatisfying grades, their interests and confidence will be hurt. However, grades encourage students to learn as long as the right method is used and they are treated well.

To start with, students’ grades are usually given through a scoring system and designed testing with objective criteria. Helping the students to know their strengths and weaknesses through marking and grading is the main function of the system. High marks always show that the student grasped what they learnt while the low marks triggers the students and the teachers to improve or use a different style of learning in order to attain knowledge. Grading the students appears to be the main methods in measuring student’s abilities in their studies. For example in colleges, there are always many students in a class. Thus, lecturers can only evaluate these students through examination and tests. By looking at the marks, students get to know those subjects that they are good at as well as the areas that they need to improve. Moreover, during the final exams, the lecturers usually give them problems that cover everything that they learnt in the term. If they focus on what they were taught and read more they will end up getting very high grades. On the other hand, those students who hardly attend classes as they use their time for other activities will end up getting low marks. These show that grades teaches the students to be responsible enough and put their priorities right. It encourages immense learning and promotes the students autonomy (Mark, 1995, pp. 289-300).

Secondly, the students acquire a competitive nature which is inspired by marks. Human beings always long to win and the will power to have the highest score intimates most students to work harder. During the competition process, all students improve. If there were no marks, students would never have the motivation to learn. Moreover, grades usually give the students a patent goal. They always have something to hope for come the next semester as they make resolutions to perform better. If a student decides and promises to get grade A in the next test, they always know the amount of time that should be spent in studying to reach that goal.

Thirdly, good grades always help the students find wonderful jobs in their future career. If a certain company wants employers and looks at resumes of more than one person, it is quite obvious that the students with scholastic achievements will end up receiving much attention. Getting of high marks does prove that this student has an appropriate method of studying and may be more intelligent or attentive than the others thus he will be even more responsible and efficient when they are hired. On that effect, he will be given a crucial position with a vast salary. In addition, students with effective grades receive high affection from people who surround them. For example a soccer player who ends up scoring a lot of goals in one season has got very many admirers from the fans as well as a businessman who end up earning dollars annually is considered to be very successful. This is the same case with the students as they end up being offered the best environment to advance their education since they have shown interest. This is a motivation for them to work harder and not only in education but also in their daily chores as they have learnt that life is all about rewards and punishments.

Fourthly, it has always been argued that the marks do make most students stressed especially those who are not performing well. However, research on education has revealed as well as indicated that the grades let the students to clearly comprehend their performances as well as let them know their pros and cons (Patricia, Helen & Jean, 1992, pp. 88)).  For example, without these grades, how would the students ever know the talents that they do possess? Grades are the main indicator of the students’ aptitude to master knowledge. Through grades the teacher clearly masters every student’s talent and gives divergent advice to them according to their needs. Each student wants to excel in their studies and get excellent marks on their cards. Grades help the students to have a grip on some courses and make rational decisions in their future.

The students end up figuring out on what they are good at through having a look at their grades in the report cards. Incase there was no grading system; the students would never know where to focus their efforts and which ones they have more command on. They can never understand which subjects need more attention than the rest. Grading therefore makes the students more aware of whom they are academically and cluster themselves (Paul, Stephen & Kevin, 1996, pp. 239-250).

Fifthly, the students plan on their future by looking at their grades. If there was no grading system, how would we ever have doctors, lawyers, teachers, writers…does it mean we would be anything we feel like being? For instance, it is possible to have a great admiration for doctors and aspire to be one, but after some time after evaluating your grades you realize you can never be because you are better in the art subjects that the sciences. Therefore, the grades will encourage the students to realize their potential early and plan for their future dreams and inspirations.

Sixthly, the grades amplify the self esteem. The feeling of success is very satisfying and all people like to feel successful. Through grading, the students who end up performing well are accorded rewards that higher their self esteem and for those who have low grades they feel guilty and promise to work harder next time so that they can also be rewarded and recognized. Affirmative reinforcement is always an important part in development and students as well as the children need to be reminded that they are doing pretty well or they need to improve. This will make them own up to their responsibilities and be good citizens even in future.

Grades are very imperative as they always encourage the students to work towards the subject though we can never say that we fully learn what is required since in class we only learn theoretically and we never learn how to apply it in the real world.

Essentially, grading makes students always perform better and feel appreciated (Paul, 2008, pp. 135). When the teacher applauds a student for doing well in class, in other words they are telling these students that they are good in that particular subject. This usually makes the students to develop a strong liking for the subject which they might decide to major in future.

However, to sum up, it is not just the good grades that do encourage the students to go ahead and learn. If a student learnt extra hard to appease the parents or the teacher or just in the name of emerging the best, then it is possible that they might never be really excellent students indeed. It is crucial to learn on how to gain better grades but it is also crucial to learn how to accept even the bad grades and try harder next time. In fact being a responsible person and generally good is much better than just being a remarkable grades collector.

Finally, the grades function as a stimulus and an encourager for study. They usually indicate the student’s level of comprehension as well as achievement in their studies so that they can end up advancing academically without any complexes. They simulate the student to work harder and effectively by comparison with their fellow students. They generally encourage the students to learn more.

Centennial Exposition

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The Centennial Exhibition in 1876 was a great time for divergent cultures, races, ethnicity as well as social classes globally to come together. The Americans started to pay close attention to traditions and heritage as the exhibition celebrated divergent things for example industrial power, technology and the  USA taking its own unique place among the leading countries globally. This is a year that marked the anniversary of USA independence and it emphasized on national progress as well as national unity that hence defined the racial relations for generations to come. The African Americans also saw a need to come up and demonstrate their togetherness, contribution as well as speak. That Exhibition and fair gave vast numbers of the Americans exposure to European art and contributed to a period of vast American admiration with the European sculpture and paintings. It gave a deep impetus to the identity of Americans. It is therefore crucial to analyze some of the aspects of American History and culture the fair highlighted, how it portrayed the nation’s future, how it shaped the event, some of the events and displays that characterized the celebration and some of the narratives that were on display at the fair.

            The world fairs were a major force as far as shaping the substance and form of the modern world was concerned. They served as the main vehicles in introducing new technologies, scientific discoveries, and portraying the pride of the country as far as culture was concerned. The fairs also gave the manufacturers access to the mass markets for their products and as proving grounds for marketing strategies as well as advertisements. The fairs also helped inspire the creation in museums and to the countries that hosted the expositions, the fair sites turned into public parks.

The Centennial Exhibition of 1876 was the first as well as official World’s Fair in USAwhich was held in Philadelphiain celebration of the 100th anniversary in signing of declaration of independence. There was exhibition of products, manufacturers, mine and soil. There were approximately 10million visitors who attended (Gary, 2006, pp. 270). The exposition comprised of publications, poems and the centennial was also set up to show the entire world thatUSA had innovative as well as industrial prowess. Some of the technologies that were introduced in the fair were Pennsylvania Railroad, Corliss steam engine, screw making machineries and others (Popular mechanics, 1976, pp. 78).  Some of the consumer products that were displayed were Remington typewriter, Heinz ketchup, Hires root beer, Alexander Graham telephone, and Wallace farmer electric Dynamo and Kudzu control erosion plant species.

The reconstruction of the colonial kitchen with a spinning wheel as well as costumed presenters symbolized the era during colonial revival in the American architecture as well as house furnishings. This fair examined the development of the American progress and its increased connection with the scientific racism that was seen in the anthropological and ethnographic displays that were put for both profit and education. It demonstrated racial superiority in the political, intellectual and economic spheres inAmerica.

The visitors to Memorial Hall at Philadelphia Centennial Exposition of 1876 got confronted by a vast marble sculpture which possessed some unique qualities of interpretation and inventiveness. Death of Cleopatra and the work was a creation of expatriate sculptor which was named Mary Edmonia Lewis which embodied the difficulties of intent as well as origin that immensely intertwined with her sense of culture and racial identity. It dispelled the myth that the blacks were devoid of creativity and imagination and was not just mere house servants and manual laborers. It also portrayed women of color as capable of ascending in the artistic relevance in a profession that was dominated by unsupportive, inflexible and skeptical white males.

The fair began with immense hope and fanfare. After all the years of tensions and war most of the Americans aimed at forgetting all the dark moments of the past and recall the accomplishments.  The civil war which ended eleven years earlier had put the nation into great tremor and the wounds were still quite fresh. There were political scandals and the women were gravely fighting for equality.  There was booming of manufactured products from all angles and all the country needed was celebrations. To most citizens, the exhibits revealed thatUSAwas basically a land of enterprise, innovation, progress and vigor.USAeven at 100 year was a nation that was still on the move and could boast of dazzling past as well as a promising future.

The exhibition was meant to canonize as well as disseminate the minted and fresh elements of the national mythology that comprised a doctrine of American exceptionalism as well as the beliefs on virtue of theUScitizens and their entire institutions. It was a mirror where by the Americans would gaze and observe nothing else but glory, progress and hope for the future.

The centennial acted as the main product of ten years of hard work and planning and there were astonishing results.  There were 30,000 exhibits that filled more than 240 massive halls of exhibition which spread to more than 284 acres inPhiladelphiaFairmountPark(Ray & Lawrence, 2003, pp. 101). Almost each nation had exhibited at this fair. All the exhibits were classified under departments namely metallurgy, manufacturers, mining, science, education, art, agriculture as well as horticulture.

There was also women’s pavilion t which was an innovation exposition that exhibited some feminine products and showed the emancipation of women inAmerica.

The major impact of the exposition was on portraying the image of theUSApeople. Before 1876, continents like Europe had consideredUSAas just an up starting country and not yet eligible to join the high ranks of all the first class nations. However, the fair revealed otherwise as creativity, progressiveness and productivity was witnessed. It was hailed as a progressive country in the economic ladder and gave the Americans pride in their present as well as confidence in a better future. It was a great prospect and opportunity for the Americans to highlight their agricultural and industrial abilities as representatives from other nations had opportunity to see what they could purchase from the firms inAmerica.

Most of the exhibitions showed that American culture was longing for stability through practical dominance. It also showed that Americans had a sentimental fixation when it came to nature mostly when it came to horticultures.   The exposition was a wonderful display of the global products as well as the changing perceptions.  However one thing that was missing is the fact that little attention were given to the events and details of the revolutionary era. The historical importance ofUSAwas immensely present at the exhibition and fuelled nationalism and ignited the patriotic values and sentiments. There were orchestra and choirs that marked the American Revolution and traced the development ofUSAfrom a journey of nostalgia. The music was celebrating the flag, liberty but omitted the main strife to civil war. It was a fair that never portrayed severed relationship but one that was full of development and growth. The Centennial exhibition looked clearly at the history ofUSAthrough lens of development. It showed that the country had grown from infancy to a strong nation which looked forward for a far better future ahead.

The Glass Ceiling Effect

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Glass ceiling concept originally depicted women’s blocked promotion opportunities in a companies. Later this concept was applied to the ethnic minorities.  Glass Ceiling effects is a term used to refer to invisible barriers that limit minorities or women advancement in organization hierarchy. This barrier confronts minorities and women in their effort to reach higher management levels in many organizations. Glass ceiling is different from formal barriers such experience requirements and educations which greatly determines an employee advancement in the organization. According to Glass Ceiling Commission established by the U.S. Department of Labor Glass ceiling are artificial barriers based on attitudinal or organizational bias that prevent qualified individuals from advancing upward in their organization into management-level positions’. The aspects of the race and gender have continued to influence corporations hiring, promotion, job assignment at all education levels- subtle gender and racial discrimination still exist. In some cases, glass ceiling has been in form of discrimination such as sexism. Additionally, it has also been evident in performance evaluations as well as salary and benefits systems. (Burke & Martis 2007 p130; Morrison etal 1987; Dubek.1979)

Previous studies assert that glass ceiling effect is greatly witnessed by well educated labor force as compared to the less educated or skilled ones. According to Federal Glass Ceiling Commission 95-97% of senior managers in fortune 1000 industrial and Fortune 500 are male, 97% are white, while the ethnic minorities and women contributed to 57% of the workforce. The study also found there were great remuneration disparities among Hispanic, Asian Americans who held comparable positions. Additionally it was found that African Americans earned 21% less as compared to their white counterparts. (Hester 2007; Department of Labor USA 2010; Becker 1997; Schuler 2003)

In their study where they studied data from panel Study of Income Dynamics to examine gender and race inequalities, Cotter etal (2001) found out that there existed glass ceiling effects for women, but found no similar pattern on racial inequalities among men. They also asserted that not all systems of differential work systems depict glass ceilings.

B. How Women Are Affected by The Glass Ceiling Effect.

The historical believes that men are more worthy than women continues to intimidate women efforts in proving this wrong. The fact that the Citigroup Inc. board of directors constitutes of men only is a clear indication how the Glass Ceiling effect has adversely affected women effort to reach a higher level of management in many corporations. Women face sexism based discrimination in many organizations, both profit and non profit organizations as well as in government sector. A board of directors, constituting of men only, shows how this company has continued to dwell in olds days where men are considered more capable than women. The Glass ceiling effect has continued to place barriers against women endeavor in achieving success in their careers and participation in their work place. Despite women having a great contribution to the economy they have continued to face the Green Ceiling barriers that have hindered their effort to be managers and CEOs to big companies in the world.  Generally, women lag behind in terms of reward and promotion as compared to their men counterparts as it is clear with the management in the Citigroup Inc. The Glass Ceiling barriers placed by organizations, which are usually led by men, can be blamed for this undesirable condition. (Reynolds1999: Cotter etal 2001)

Women have not been able to realize their potential in their work places since they are not offered equal chances as compared to their men counterparts who enjoy great opportunities in organizations. A decision made by men only is likely to ignore the interests of women in the organization. This adversely affects their performance in business since they only get limited chances to learn, and limited job assignments that will enhance their skills. Low skills and experience lowers their productivity. (Reynolds1999: Cotter etal 2001)

The Glass Ceiling effect has also affected women career development plans. The unwillingness of many corporations to offer them with opportunities that will enhance their experience, educate them in line with their career plans, can be cited as the main cause of this problem. Women are perceived as people who are incapable of being good leaders in the organizations. This limits their chances of developing and achieving their career objectives. Consequently, their competitiveness has remained low as compared to their men counterparts. (Reynolds1999: Cotter etal 2001; Gable 1993; Burke & Mattis (2007).

Glass Ceiling effect has greatly affected women participation in business environment. There exists a great disproportion in number of women involved in economic activities as compared to the value they add to economy. The Glass Ceiling effect has led to women having less knowledge and experience on how to manage certain businesses. This has been a disincentive to them as far as starting and running their own business is concerned.

(Reynolds1999: Cotter etal 2001; Klenken 2004)

C. Glass Ceiling effect On Minorities.

In USA, Hispanic Americans, American Indians, Asian and Pacific Islanders Americans, African Americans are some of the minority groups. The issues surrounding Glass Ceiling effect tend to vary widely as per every racial and ethnic minority background. Glass Ceiling effect has greatly hindered advancement of workers from these groups to high level positions of authority and responsibility in corporate America.  Minorities’ participation in business, education and in government spheres has been lagging behind as compared to that of White Americans. Many corporate on employing workers from the minority groups, they prefer to place them in highly specific technical or staff positions rather than managerial levels which can be a stepping stone to a top level management position. Despite many corporate stating to be committed to supporting inclusive hiring and promotion policies, they are reluctant to implement them in their corporations.  Participation of minorities in private sector has also been very low as compared to how they have been participating in government and non profit sector. However, it still worrying that people from these groups continues to have limited chances for career promotion as compared to their white counterparts who has comparable qualifications. .(Federal Glass Ceiling Commission report1996 ;Walsh 2001)

The Glass Ceiling effect also affects the minorities’ workers relationship with their colleagues at work place. In some corporations there exist poor relationship between minorities and their white counterparts. This adversely affects their morale, career success and satisfaction at work place. In such an environment where workers perceive they are not valued and not motivated, their performance is adversely affected. The minority also face prejudices, biases and stereotypical views from the white colleagues who may feel threatened by the minorities’ success at work place. Minorities have also not been able to access resources available in their workplace for the development of their careers. Most of them have been unable to access the relevant information about career success which should be provided to all employees. The psychohistorical and psychosocial factors have played a great role on this issue. (Federal Glass Ceiling Commission 1995a ;Walsh 2001; McGuire etal 1996)

Conclusion

It is apparent that the Glass Ceiling effect has continued to be practiced by many big organizations in the world. Citigroup Inc. has not been exceptional. Despite its efforts to promote women and minority hiring, it still has a long way to go and allow workers from these groups to be part of the top management. There is also a need for all corporations’ leaders to have a will to combat this practice. They should appreciate that the minorities and women are equally capable as compared to the white and men counterparts.

Pet Therapy

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Abstract

The likelihood of using pets as a therapy offers relieve to the medical fraternity. This therapy if developed to reliability levels offer such worth and stress free alternative (Kaminski, M., Pellino T., Wish, J, p328). Nevertheless from the very onset, the company of pets offers peace of mind to the owner; Perhaps, a consolation too to the owner in times of stress. This paper looks at the benefits accrued both medically and socially from the interaction with pets with particular interest to the disabled persons.

 

 

The Treatments of certain ailments have been very elusive. The advent of the pet therapy has been a major milestone in the treatment of psychological ailments. Besides, the treatment offers the only alternative that has the least side effects if there are any at all. People with disability require more empathy and care (Servodidio C, p 20). Pets are believed to be very emphatic. Given that research shows the psychological orientation of the brain contributes to the healing process of the patients.

It is apparent from research that those children who come from families that have pets are more empathetic than those who are from families without any. This shows that pet have more emphatic feeling and therefore those who tend to associate with them more develop similar feelings.

Nursing founders such as Nightingale (Brodie, S. J; Biley, F. C., Shewring M 448) argue that the integration of pets into the hospital system is very important and has a positive contribution towards the healing process of the patients. However Nightingale feels strongly that the integration of the same has been relatively slow.

Similarly there is sufficient evidence that those who integrate with pets are better placed to recuperate than those who are away from the pets. Besides, it has been generally appreciated that those who have pets within their vicinity have high chances of having better health than those that are far from pets. Pets tend to provide psychological comfort for both the aged and the invalids.

Available literature equally shows that there numerous animal induced benefits are immense (Brodie, S et al). These formative assessments provide sufficient proof that the returns of pets within the setting of a medical facility were immense and therefore there was sufficient reason to have the pets incorporated within the medical system. Within the strength of this assertion, the nursing fraternity should front for the adoption of the pets within the medical facilities.

This is only reminiscent of the past history in which pets have played a key role in the lives of human beings. The relationship between pets and humans dates far back in over 12000 years. However, discoveries have shown that the relationship dates as far back as 30000 years.

In theUK, about 60% of the households have pets. Ideally 78% of the people in theUnited Kingdomhappen to own pets at one point through their lives (Whitaker J, p 8). This relationship has in the past been treated as mutual, however, presents research shown that the relationship is more symbiotic than it is mutual.

Native Americans Indians have been believed to have utilized the pets in nursing and taking care of the young ones (Brodie, S et al). This is one of the most ancient applications of the pet therapy in Medicare. From the researchers children within the native Indian Americans who were exposed to the pets were generally emphatic and were able to recuperate faster than those who were not exposed to pets.

Scientific research equally (Kaminski, M., Pellino T., Wish, J., p 329) shows that the relationship between people and animals is stronger and quite enduring. This is unlike the relationship that exists between other living things. The animals kept within the home setting would be for some other reason other than being pets, however, during times that are stressful for either parties, it has been found out that the parties tend to have empathy for each other (Servodidio C, p 20). Besides, the presence of either party during these stressful times tends to provide sufficient comfort for the parties. Overall, the psychological peace of mind for the parties provides sufficient leverage for the recuperation process.

The animal-human bond seems to be very strong and quite sentimental. This bond has developed over time and become very strong. The green revolution, perhaps, provides sufficient reason for why the bond is growing strong with every day count. Similarly, the inherent relationship between the parties provides the central reason for which the bond has to be maintained between humanity and the environment.

Research amongst patients equally shows that the most frequently missed item from the patients household while at the hospital is the pets. In addition, from another research does show that 99% (Netting, F. E et al p 64) of the households considered their pets as family members and were dully missed whenever they were absent.

Different schools of thought cite different grounding for the relationship. Nevertheless, the most common ones are affection, compassion and friendship. Brodie finds immense potent benefits from the relationship. The relationship is quite important for the social wellbeing of the parties (Brodie, S et al). The relationship between animals and pets is believed to be more mutual and reciprocal than the relationship that exists between human and humans. The relationship between animals and humans is less demanding and less complicated than that that exists between either the animals or humans.

Apparently humans are more predisposed to get attached to fellow humans, particularly children; when animals exhibit similar traits children will tend to take them as preference. Furthermore, pets seem to have a large ability to initiate and respond adequately to attachments. Besides, pets seem to embrace such attachments sooner than most of the humans can.

Subsequent to the aforementioned the introduction of animals in the healing and treatment process of patients seems to provide an alternative side-effect-free medical intervention (Whitaker J, p 8). The pet would simply be introduced in the environment of the patient with a therapeutic intent. This approach is taken as an interdisciplinary approach, where the nurses are allowed to take a central yet mere facilitative role in the overall administration of the therapy.

While this approach to Medicare would be seen today as a new invention, the application dates back to the 9th century. This application was used in Gheel, Belgium, where handicapped people were allowed to have time with pets that were believed to give them both physical and psychological comfort. In the 1960’s the use of animal therapy become more pronounced with appreciable health and physical benefits. Prior to, animals had been used in the 18th century in epileptic homes for the treatment and consolation of the patients.

In the York Retreat, animals were used in the treatment of patient. Apparently, the animals tended to replace the traumatic feelings of the patients with love, understanding, kindness and trust during asylum. Similarly, during World War II, pets were introduced in convalescent hospitals (Netting, F. E, p 63). Today, there are numerous programs for the patients to visit animals’ orphanages in lieu of the fact that they may just get well faster and sooner.

Presents e does indicate that pet therapy would make hospital wards appear less antiseptic and more natural in orientation. Perhaps, the research argues, this type of setting provides a better recuperation environment for the patients and the convalescents within the medical facility (McColgan, G., Schofield, I, 24). In addition, the antiseptic nature of the hospital seems to be more doomed and provides a very sickly and hopeless environment than a recuperating one. Further, this setting provides a more preserved natural setting and normality within the life of the patient hence offering more hope.

Pets would be used in the stimulation of interaction and the provision of immense pleasure for the patient. Subsequently, this gives the invalid or the convalescent peace of mind for the recuperation process. In 1991, (Kaminski, M., Pellino T., Wish, J, 335) when a very ill old man who was awaiting for surgery was visited with a relation accompanied by pet dog, he was apparently reconnected with his pre-hospital life; he become less withdrawn and less angry. The man become more relaxed and was quite happy.

A thorough examination of 40 elderly people who were visited weekly by puppies showed that the patient had improved psychosocial interactions, better interactions, had better social competencies and improved psychological wellbeing. Further, the research reveals that the patients had their depression tremendously improved.

It is believed that pets would form non-threatening reassurance, tactile comfort and non-verbal comfort, which help in breaking the cycle of loneliness social withdrawal and hopelessness witnessed in hospitals. The pets are brought into the life of the patients as an intervention to alter the environment and subsequently reduce the feeling of being isolated and being lonely.

According to Whitaker (Whitaker J, p 8), the application of pet therapy has tremendous health benefits. The benefits according to them include the provision of pleasurable activities and companionship. The pets also assist in the facilitation of laughter and play; facilitate exercises because the presence of the pets make the patient feels sufficiently secure. Ideally, the animals provide a link with reality that makes the patients emotionally stable.

Frank (McColgan, G., Schofield, I, p 24) argues that animals can be confidantes, admirers, servants, toys, teammates, friends, mirrors, trustees and even defenders. Besides, Franks views animals as outlets for the ancient primate grooming urges. This, Frank argues improves the sense of the patient’s well-being. Inherently, animals provide a more natural sense of humor for the patient.

Nettings (Netting, F. E, p 61) argues that the usefulness of pets are insurmountable stating that domesticated animals tend to offer the patients unconditional affection, an ever present listeners and a constant companion, though Francis believes this benefits are more than can be believed in the world where there is increased fragmentation alienation due to the increased trust in the sterile technology. While much of the benefits are apparently disputable, the aspect companionship and affection seem more indisputable both in sickness and in health.

Controlled studies (Brodie, S et al) have shown that the absence of companions tend to affect the activity levels of individuals. Besides, research shows that the behavior of individuals also has been determined by the presence of pets in the lives of individuals.  Subsequently, this stature tends to influence the progress of the illnesses within the individual. The study contacted on 96 patients who were hospitalized with myocardial infarction shows that those patient with exposure to pets had a high likelihood of survival that those who were left to recuperate on their own.

Michael in his research found out that the risk factors for cardiovascular ailments within pet owners and those without pets. The blood pressure, plasma cholesterol and triglyceride values of 5741 (Michael O) pets owners and non pets owners who were being screened at a cardiovascular disease risk clinic were compared. Patients who had pets owners had significantly lower systolic blood pressure and plasma triglycerides than patients who did not have pets.

Research has shown that people who owned pets had low levels of cholesterol than those who did not have the pets at all. This was despite the social behavior of the pet owners; some of whom even smoked and had lower economic status. However, researchers urges the general public to ensure that they don’t have to engage in activities that would lead to the contraction of ailments in the name of having pets that would have help in the healing process (Kaminski, M., Pellino T., Wish, J, p 331). Habits such as smoking should be refuted at costs to reduce the likelihood developing infections that are resultant from this habit.

While it appears apparent that pet owners have equal chances of remaining health despite their economic status and their unhealthy lifestyles. The investigations show that the pet owners had low blood pressure and low plasma level compared to those in lower social economic and unhealthy traits.

In Katcher’s study, the investigation did show that the interaction between humans and animals was quite healthy. Pet owners had significantly reduced blood pressure than those that did not have pets at all (Servodidio C, p 20). In another study Baun et al established that blood pressure, respiration and heart beats were more regulated well particularly for individuals with pets. It was evidenced that petting tended to reduce the systolic and diastolic blood pressures. The response was equated to that of a relaxed reader who used reading as a therapy.

In another research on the skin temperature, blood pressure, muscle tension heart rate and muscle tensions, it was found out that the skin temperature increased and muscle tension reduced amongst individuals who were petting with bonded and non bonded pets. The study shows that petting a dog would have relaxing effect on the individual or on the patients. This would be attained through the reduced blood pressure and increase in the peripheral skin temperature.

Though Gaydos and Farnham found reading as the most relaxing therapy, the intervention that induced greater levels of relaxation. In Oetting’s study (Whitaker J, p 8), the association between petting a companion dog, practicing a relaxation technique and a combination of the two. No empirical distinction was found between the treatments in the changes in peripheral temperature of the skin, blood pressure, and the heart rate

There are other general benefits that are resultant from the interaction with the pets. On acquisition of a pet, a dog and a cat, it emerged that dog owners had reduced cases of minor ailments. Besides, dog owners recorded increases in the number of walks that were taken by the dog owners. Cat owners exhibited changes but the changes disappeared after a period of six month (Maleske M, p 24). It was apparent that the dog owners had a high link, and undertook more recreational walks and had improved health stature than those who did not have pets.

Siegel (Kaminski, M., Pellino T., Wish, J, p 326) found out that pet owners had less doctor contacts than those individuals who did not have pets at all. Dog owners saw the least need for seeing the doctor compared to those who did not have dogs. Apparently, income, pet ownership and health status were the key determinants for the contact with the doctor by any individual. However, pet owners seemed to make less visits to the doctor than those individuals that did no have pets. There is sufficient indication that pet ownership influences psychological and social processes other than jut the physical health. Ideally pets reduce life stresses and should be embraced at all possible costs.

In a longitudinal research (Michael O) to investigate pet ownership, it emerged that those who had pets had lower chances of developing depression. Though this finding was not uniform, it did provide insight into relationship between health living and the ownership of pets. In conflict Akiyama et al found out that people who were widowed had fewer psychophysical and physical symptoms of bad health. It appeared from the research that the relationship between the pet and the owner did not determine the health of the owner of the pet.

It has emerged that the social support an individual had determined their health status (McColgan, G., Schofield, I, p 21). Companionship promoted health through buffering of any imminent stressful events in life. Pets animals are therefore advocated for as companions that would provide strong attachment bonds that can help in the alleviation of stress. Pets therefore provide alternative companions to further this end.

Research shows tat married people are less prone to stress related ailments (Netting, F. E, p 64). This is attributed to the fact that they tend to provide companionship for each other. Consequently, it is believed that the introduction of pets in the lives of single people can assist them reduce their stressful experiences as the pets may provide alternative companions. The pets are seen as sources through which the gap can be filled in the absence of a companion. Research has clearly shown that pets mad a great different in the lives of those who were lonely or perceived to be lonely.

In addition, the research showed that the morale of those who were lonely was largely boosted in the presence of pets (Maleske M, p 24). Besides, the ownership of pets is believed to have contributed to the improvement in the dissatisfaction score of their owners. The study gives insight into the import of pets in the lives of people. Pets are very significant in the lives of individual who seem to be quite disillusioned.

In a longitudinal research that was carried out to ascertain the social benefits of pet ownership, it emerged that the first and the second group owned televisions, the third and the forth did not own any of the aforementioned (Servodidio C, p 20). The fifth had an equal number of television owners and non-owners. Members in the first and second were allowed to have budgerigar while two and four were given pot plants. It did emerge from the research that the existence of a budgerigar gave a positive change in attitude the ownership of a television not withstanding. Birds were focal point for those who owned the televisions and were such a social lubricant.

In another research (Whitaker J, p 8) that was aimed exploring the effect of inanimate and animate extrinsic stimuli on the sociability behavior of patients that are critically ill and those that were predominantly aged. This therapy was particularly applied in long term palliative care. Observations were made on the verbalization looking, the opening of eyes and leaning forward was observed.

This was done during a time when the patients were presented with wine bottles. The research showed that maximum social behavior per resident were noticed when puppy there was the presence of a puppy (Servodidio C, p 20). During the interaction repetitive statements and hostility capsized, the puppy proved that it was indeed a social catalyst which assist bring about more verbalization.

Many studies have shown that animal human interactions have been use don adult population to show that their presence in the lives of the aged made a grant difference in their health. This does not mean the use of the pets is restricted to the aged, but their utility has also been established in diverse ages.

In children Guttmann et al. and Mugford (1980) acknowledged that the importance of pets is not restricted to the socialization and the lives of children. However they did establish that caring for children led to the development of feeling and attitudes for others. It increased the tolerance of the child and led to overall self control and self acceptance. They argue that interaction with pets introduced the children to the reality of living and dying.

According to Guttmann (Netting, F. E, p 62), animals acted as socializers and a source of security. Besides, Guttmann asserts that the companionship of the pets was very incidental in the development of emotions and their subsequent enhancement. This companionship, Guttmann argues, helped in the reduction of heart complications and stress; which he argues reduced the life expectancy by at least 10 years.

Disabled people have also been found to reap a lot of benefits from their interaction with animals. Hart argues that the interaction of people with disabilities increased considerably when they were kept in constant interaction with animals of their particular interest. Hart noticed that visually challenged persons with a guide dog experienced more conversation and interactions compared to those using alternative mobility aids. Vividly for Hart, animals tended to dissolve barriers that inhibited interactions.

The aforementioned seemed to be a continuation of Lockwood’s(Whitaker J, p 8)  work in which he explored the possibility of animal presence altering the perception of other people. He asked students to depict the mood inherent in certain drawings of individuals and groups in a number of interactions and the pictures that had animals. It was emerged that pictures that contained animals were perceived positively and individuals in the interaction were seen as friendlier, less threatening and quite relaxed (Brodie, S et al). From this it could be concluded that animals promoted positive perceptions and images which in turn facilitate interactions that are healthy.

Animals also improve the psychological wellbeing of persons who interact with them. Katcher (Michael O) established that subjects who had pet dogs had seemed to have a relatively low blood pressure reading than individuals who read aloud to other people or who were conversing with a researcher. In another study on the relaxation effect of pets, Katcher explored the effect of animals that could not allow to be touched on the blood pressure. He established that stroking animals reduced the blood pressure of the individual who was stroking the animal.

In another research involving 15 hypertensive persons and twenty normotensives who were asked to watch a blank wall for an estimated 20 minute and their baseline pressures monitored (Servodidio C, p 20). Their attentiveness was then turned to an aquarium full of brightly colored fish. There as a Significant decrease in the blood pressure of both groups. Individuals, who read aloud after watching a tank elicited increases in their blood pressure, however did not return to the previous levels (Whitaker J, p 8). The study was indicative of the fact that fish had protective buffering effect on the future stressors.

Cole (Maleske M, p 24) explored the worth of aquariums in improving relaxation, by measuring the levels of stress of patients who were awaiting heart transplants. A tank with 4 brightly colored fish was put in the patient’s room. The level of the stress of the Patient, heart rate and blood pressure were measured. The results indicated that fish were positive visual stimulus that instilled a sense of control, providing distraction from the vehicle and the hospital for relaxations.

While majorities of available literature show positive results, some studies have found the relationship to be non existent. There feel there is no substantive relationship between pet ownership and health improvement. Lago found no touchable relationship between the morale and the ownership of pets. He argues that morale is more extrinsically and intrinsically motivated.

Cameron (Michael O) concluded that there was no relationship between animal ownership and enhanced psychological health. In a comparison by Friedmann of the psychological stature amongst 309 pet-owners and non pet-owner students, they were no specific correlation between pet ownership and health. However, other studies have not produced much significant relationship.

Besides the social, physical and psychological benefits amongst the population, animals are reported as having positive effects on a smaller, more discriminative group particularly those who have sexual troubles and those considered infertile (Kaminski, M., Pellino T., Wish, J, p 329). It also appeared to be more applicable to those who were mentally handicapped. Animals were also seen as having a significant impact on children who were very violent.

Conclusion

It is clear that there are a numbers if challenges that arise from methodological difficulty in the analysis of the pet assisted therapy. However, psychiatrists and physicians are in dire agreement that the interaction with animals have insurmountable health benefits and should be encouraged.

In addition, animals are seen as contributors to the improvement of the social interactions that translate to harmony and social happiness for a larger segment of the population; with particular interest to persons with disabilities (Netting, F. E, p 61). Pets decrease loneliness increase the social interaction of individuals and improve their overall morale in undertaking chores (McColgan, G., Schofield, I, p 22). Given the low costs of integrating the pets into the medical and the lives of individuals it should be encouraged highly that individual adopt pet facilitated therapy.

EDUCATIONAL REFORMS

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Abstract

Society that lives devoid of any meaningful change is doomed to fail. School, like any other societal unit is bound from time to time to embrace change that is meaningful and attainable. Reforms in school setting go in line with the present technological and economic changes taking place world over (Echevarria J., p 198). These changes would be in the manner in which the management of the institution is undertaken or the way in which the curriculum is formulated and implemented.

Though there exists the aforementioned categorization for probable reforms within the school setting, it needs to be appreciated that none can come in isolation. The implementation and inception of one brings into play the reformation of the other. To implement any meaningful reforms in the school setting, the inclusion of all stakeholders is imperative and inevitable.

 

Educational Reforms

There have been relentless pursuits in the transformation of the teaching learning process from teacher centered to a leaner centered approach (Khemmani T, p 123). However, it is apparent that this well intended changes are only effective on paper. The practical aspect of the implementation has been quite elusive and far from attainment. Perhaps the solution to this challenge would be a change of guard.

This paper seeks to find alternative practical and realistic means and ways through which the learner centered approach of curriculum implementation can be made a reality within the schools. First, the learners should be put central in the development of the curriculum and the curriculum materials. Besides, the materials developed should incorporate teachers and instructors who are taking the active role of implementation (Carl H). Perhaps the failures that have been experienced in initial policy guidelines have been due to the top down approach of policy formulation. The formulation process of the curriculum materials should be bottom up.

The formulation of the curriculum and the implementation is not enough, the supervision of the implementation and the evaluation of the progress are of equal importance and should equally be given due emphasis. Past failures of the implementation process could have been largely curtailed by the extraversion of one of the stages. For the implementation to be in a continuum the interaction between the stages should be well coordinated.

Overall, the hitherto proposed school reforms have been in all ways worth the requisite change, however, the implementation gap has made them appear retrogressive and retardant (Echevarria J.,, p 205). Attractively coined and developed, the policies have ended up not serving the purpose for which they were intended to achieve. Nonetheless, the past failed and successful reform agenda form the basis for the development of new and successful reform policies.

First, for the attainment of a fully learners centered implementation process internal supervision should be not only continuous but also objective (Carl H.). Interaction with the implementing agents show that the provision for the appropriate supervision of the process would go a long way in ensuring that the there is continuous efficiency and effectiveness in the implementation process.

The supervisions undertaken should not only be amicable but also flexible to allow for imminent variations. The supervision should allow for the adjustment of teacher’s behavior and paradigm changes.  In the formative stage, it needs to be appreciated that teachers are hardly comfortable with the ideals of the learner centered approach and they tend to take it as a logical impossibility (Kidron Y., Darwin, M J, p 19). Perhaps the changing of the teacher’s attitude should take the center stage in the implementation process. If the attitudes are not changed, there is a high likelihood that the teachers may contribute to the failure of the policy through sabotage (Bull, B, p 67).

If the supervisor fails in winning the teachers’ support, the implementation would be met with resistance from the supposed custodians of the very curriculum reform. The teachers should be made dully aware of the benefits and values of the new teaching learning approach. This will assist in winning the hearts of the teachers towards supporting and being part of the implementation process.

The supervisor should embrace respect, friendliness; positive thinking such as can make the teachers see the essence of being supervised. Consultation should also take a central role in the supervision process (Viteritti, J P, p 233); the supervisor should be able to tactfully explain concepts and make meaning appropriately, supporting the implementation course. Profoundly, the supervisor should understand the implementation objectives and process and be able to explicitly explain the subject content to the teachers to understand.

The supervision of the implementation process should employ the cognitive process that would ultimately result into the change of behavior (Carl H.). This supervision should not only involve consultation but should also help those that are being supervised in their thinking process and their actions; this would help the implementers change their overall perceptions. In addition, this would trigger intrinsic motivations (Kidron Y., Darwin, M J, p 13). The research from the field reveals that that supervision through the development of thinking, skills learning skills and furthered self-improvement boosts the overall performance of the teachers in their curriculum implementation process.

The supervision undertaken in the implementation process of the learner centered approach to teaching and learning should be based on the passed experiences. During this approach to supervision, there is a side-by-side and continuous consultation that ensures that the experience of each individual, both the teacher and the learner are closed monitored to evaluate the process. If this approach is adopted, meaningful change would be visualized within a period of two years.

The approach adopted in the provision of advice and leadership kills should be done purely on a one on one basis (Echevarria J., p 209). The atmosphere should be relaxed to allow for effective interaction between the supervisor and the teacher. Fervently, the supervision should be done on individual basis. Teachers should be allowed to share their experiences through the implementation process.

The reform agenda will be driven further through the involvement of the community. The parents and guardians of the learners should be involved in the reformation process. This makes reforms an all-inclusive agenda, not only for the school but also the society at large.  In addition, given that there are parents who also educate their children at home, uniformity in approach of teaching would make the reform process a community affair, school inclusive.

The reform process would further be beefed up through printed matter and meeting that would have parent made aware of the impending changes. Besides, members of committees that represent the interests of parents would be dully sensitized to assist in bringing parents on the reform board.

School Reform Work Plan

To effectively achieve the desired reform objectives, the following stages should be adopted towards and before the start of the implementation of the desired school reforms.

Formulation of Reform Objective

The objectives of the reform agenda should be formulated clearly in SMART terms and made articulate through printed materials to the stakeholders. The objectives should be specific in their orientation without any ambiguities (Bull, B., p 73). The extent of attainment should be put in terms that are measurable and be attainable. Similarly, the formulated objectives should be realistic and attainable within a specified duration of time (time bound).

 

Sensitization of the Stake Holders

Teachers and parents should be sensitized on the essence of the adoption of the reforms that have been proposed. This would be done through organized meeting that will have the reform policies articulated and elaborated for the stakeholders (Viteritti, J P, p 233). The stakeholders should be given a chance to make their ardent contributions towards the effective, efficient and successful implementation of the proposed reforms. Learners should also be prepared through guidance and counseling sessions.

Implementation of the Reforms

The administrators should provide the material and administrative support. This will be done through the purchase of requisite materials. The teachers on the other hand should read through the proposed reforms and interpret them adequately, ensuring consultation where there seems to be interpretation loopholes (Bull, B., p 66). Any challenges met during implementation should be noted and articulated during brainstorming meetings that need to be organized often. Though this may be seen as an evaluation process, it reveals the efficiency of the varied implementation approaches.

Evaluations of the Reform Implementation Process

The implementation process should be coupled with continuous evaluation by both the teachers and the other stake holders. Parents should monitor closely any change in attitude of the learners (Khemmani T, p 121). Teachers and administrator can also monitor the process through the views of the learners. This will be used in the review of the reform agenda if the need does arise (Carl H.).  Evaluation will also be undertaken during the supervision process, noting the response and interaction during applications of the reforms.

In conclusion, it needs to be appreciated that change is inevitable. However, unless the change is handled with due diligence, it can turn out to be very counterproductive. In view of this assertion, any reforms that are envisaged for implementation should be planned well to reduce the adverse effects of its counter productivity in the case of failure.

GRIEVE AND MOURNING

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Abstract

Life is such that it only makes meaning when we are satisfied with our undertakings. If whatever gives or significantly contributes to this satisfaction is withdrawn suddenly, emotions are bound to glare and be rife. Perhaps this is an ardent show of attachment to the object. It therefore beats logic in all senses refuting and demonizing mourning. It is worth it and should be seen as a positive gesture in times of loss. This paper looks at the essence of grieving and mourning, from a religious and philosophical perspective.

 

 

 

 Appreciating Loss

            Humanity can hardly control their emotions. Where they seem to be controlling them, is a sheer show of suppression and not control. These emotions will be noticed elsewhere in a more pronounced and perhaps treacherous way. Within the strength of this assertion, it need be appreciated that grief and mourning are simply the immediate sign of feeling of loss; in no way should they be suppressed or looked at as a weakness.

Though the Christian will argue of the existence of life after death, the very tenets of eternal existence promulgates the presence of two destinations. These destinations are based on the deeds of the person while alive (Thompson). Here is where the paradox that rises the emotions found due grounding. How sure are we that we have not lost after all? Perhaps the deceased might get to heaven and we might miss it, indeed this does show imperatively the loss and the uncertainty inherent in the whole aspect of death.

Even Jesus wept, the bible does record (John 11: 35). Yet he is the savior of humanity. When Jesus was told about the death of Lazarus, he felt he had lost and therefore weeping showed his emotional attachment to the Lazarus family. If the Christian argue that there is no need for grieving and mourning, then they are not being Christ like: Christian. Within the light of this Christ like act, mourning and grieve are modes through which we show affections.

The Religious believes should only assist in the reduction of extensive grief and mourning, given the beliefs that there is hope beyond the ordinary life on the world. Across the faiths, it is believed that life is a continuous cycle involving life, death and rebirth (Stone, G). The likelihood of meeting the people that pass away is what remains as shear speculation. More often, humanity have joyous tears when the have a rejoinder with their loved one. This is because of the uncertainty in the rejoinder. It is therefore this uncertainty that elicits grieve both in believers and non believer: feeling of having utterly lost their dear ones.

Humanity has strong faith, particularly those who worship (Thompson).  However, loss of a dear one is a matter of physique and does not require faith to believe. Grieving is therefore embedded in the fact that one is not able to see the future but is able to see and feel the loss. Besides, there is no scientific or empirical basis for the existence of life after death, after all.

If friends lose their dear ones, then the only way of demonstrating our concern and sharing in their grief is through mourning along with them.  Psychologically, the act of mourning tends to reduce the grief and anger resulting from the loss. Some of the individuals who avoid showing their despair through grieving and mourning tend to show it through suicide. According to Durkheim (Rando, T A) mourning tries to avert the possibility of individual engaging in treacherous acts such as suicide. This will not only, according to Durkheim, arise from death but other losses such as the loss of a girlfriend.

Mourning is also a strategy for consolation. According to Plato, when the bereaved sees those around them mourning and grieving, it was a sign that they equally felt the loss (Benjamin J. S., Harold I. K., Virginia A. S). This is sufficient proof of the friends’ equal feelings on the loss that has befallen the individual. This helps in the reduction of extreme shock by the person who has lost.  Plato also argues that those who suppress their feelings of grief tend to engage in extreme acts of suicide as a show of deep loss. Plato argues that this would result into multiple tragedies and is better if the individual mourned their hearts out.

According to Durkheim (Stone, G), it is worthy courses if individual takes parts in mourning than have them undertake altruistic suicide because of the loss of a loved one.  Through mourning and grieving, the individual feels appropriately and dully linked to the person who has past on. Durkheim therefore fronts for the supportive grieving that would alleviate these extreme acts.

Through mourning Rando (Rando, T A) argues that the subconscious is made clean and therefore makes the individual stress free. This state assists the person to have peace of mind and to live on despite the loss. If the person does not mourn, Rando argues that bitterness remain hidden within them which act as time bombs that can erupt with far reaching loss than was initially perceived. It is therefore as much as possible encouraged that the bereaved person be encouraged to mourn and grieve. Rando argues that this type of grieve is short lived with long lived effects.

In conclusion, the act of mourning is (Thompson) health and has strong foundation both religiously and socially. While there is hope that eternity may make it possible for rejoining with the people we have lost, perhaps our destinies may not be same. The various faiths believe in the life beyond death, however, the destinies are very varied. This means despite the life after death, the aftermaths are not uniform. This further complicates the overall certainty of rejoinder, hence the justification for grieving and mourning.

Given that mourning and grieving has the least effects on the live of the affected, the person should be encouraged to dispel the bitterness out of their subconscious. This will assist alleviate the likelihood of adverse effects such as suicide and trauma resulting from excessive recall of the loss.

Tourism in Haiti

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The Haiti earthquake was not only one of those humanitarian catastrophes that have been witnessed in the recent years but it was among the most devastating and hopeless blows to all the efforts that were meant to put back Haition the main tourism map. The main disappointment and irony of all this is that the earthquake came just as soon as Haiti was recovering and showing some signs of recovery from its usual myriad criminal and political crises as well as achieving stability so that the visitors could be welcomed back again. Haiti hence had no choice than to deal with loss of thousands of its citizens as well as the destruction of the infrastructure for example utilities, buildings and roads that were quite far from what can be termed as ideal even before the earthquake. Haiti was in its verge of capitalizing on its clear weather as well as the tropical scenery in order to attract the tourists when the 7.0 magnitude of earthquake rocked the country killing many people and living others homeless(LLC, 2010). Tourism can be the main vehicle which will helpHaitipeople to refute from going back to their usual condition and hence go into a much better condition than the one they were. Because of the incident,Haiti now has a reputation for instability and danger. The country has hence being given the worst rap. Environmental problems, crimes as well as the urban decay all have a place to call home at Haiti. It is therefore imperative to come into terms with the effect of the disaster on tourism industry in Haiti as well as the theories of restoring destinations to see Haiti back to its peak.

           Haiti’s tourism was one that bustled 25 years ago. The exotic locale as well as the untamed scenery were the best legendary that the country could be proud of. It attracted the movie stars as well as the business moguls globally. It was hence replaced by a complete different trend of drug trafficking, dictatorship, violence and vast poverty. The recent history aboutHaitihowever is neither here nor there as despite everything that has happened it is one of the countries that have immense beauty to offer. The people ofHaitias well as its government are putting enormous efforts to restore this island into a tourist haven it ought to be. The gingerbread houses as well as the palm trees are one of the things that make this city to be the most beautiful and exciting destination in theCaribbean. The voodoo artwork as well as the fading buildings givesHaitithe exoticism which does remind them that this was one of the best tourist attractions inCaribbean.

Haitican be well described as the biblical Job in the Western hemisphere as it has the unfortunate distinction of having most crises. The earthquake that destroyed most of the capital port au prince is one of the vastest calamities that have happened in an immense line of some natural disasters which this country has so far experienced.  Bearing the fact that it is also coupled with immense political instability, chronic poverty, and environmental degradation because of deforestation, massive inequalities and crimes then from a glance it seems thatHaitiand tourism is completely at immense odds.

TheHaitidestruction has hence placed most developments at hold asHaitineighbors are focused on rescue as well as relief programs in order to deal with the massive rate of deaths as well as injuries, the vast destruction of infrastructure and property and the disrupted telecommunications and transport. The extent of this catastrophe inHaitialmost parallels the worst that was experienced in the 2004 Indian Ocean Tsunami. After 2004 Indian Ocean Tsunami, the United Nations World Tourism Organization hence convened on an emergency meeting that was held in Phuket  in order to come up with a plan to recover tourism in all the affected areas and most of the plan that were developed were adopted by Sri Lanka and Thailand (Marcia, 2008pp. 55).

However, the situation atHaitiis more challenging than that experienced bySri LankaandThailandas the tourism infrastructure during this period was at the embryonic level. In Haiti there ought to have some sustainable master plan which will address the environmental degradation which will help in reforestation and the establishment of the infrastructures which would only focus on those simple as well as the tourism resorts and accommodation which will involve the local people to construct as well as manage. The transplanting of the western style as far as the tourism infrastructure is concerned inHaitiwill help in creation of wealth to some Haitians though it might not be a real encompassing solution.

It is imperative to focus on the damages that the disaster atHaiticaused before embarking on the strategies that need to be undertaken in order to improve the situation. The integration of disaster management is crucial given the fact thatHaitiis among the smallestIslandand among the developing states. It is also relevant to note thatHaitiis the poorest country as far as the Western hemisphere is concerned. The reconstruction that is needed should be seen as one of the main prospects that are aimed at rebuilding the country with enhanced structures and standards. This will provide a prospect for health facilities as well as schools in both the private and the public domain that were destroyed to be rebuilt in a more resilient manner to avoid future disasters.

What is most striking when one embarks on the major situation both before and after 2008, is the extent in which occurrence of disasters have potential to change everything that have been so far being achieved as far as development is concerned. There are various issues that did contribute to Haitians more prone to losses and damages. One of them is the social vulnerability. The fact that the country is affected by immense poverty and a majority of Haitians are living in precarious conditions and it’s highly populated thus the catastrophe worsened the events.

There is also an issue of economic vulnerability as many people are unemployed. The immense as well as the intense deforestation has led to soil erosion.Haitihas been going through soil and environmental degradation due to abuse of trees.

Agriculture as well as the climate which is a major tourist attraction is the major productive sectors inHaitithough it was one of the most affected after the natural hazard in the year 2008. The productivity in the agricultural sector has been decreasing for the last 15 years and has made food security inHaitito be a very worrying concern. The tourism sector was one of the most affected by these disasters. Because of the tragedy; various houses were built in those areas that were prone to flooding. The 2008 hurricane disaster left thousands of people with no accommodation thus there ought to be better construction standards as one of the ways to manage disasters.

In order to reduce or curb the effects of the natural disasters, priority ought to be given to enough prevention and preparation policies as one of the most integral issue of development strategies.Haitipeople need to cope with the existing weaknesses and make use of experience and knowledge that have been acquired over many years in order for preparedness and prevention to become the major elements of the future and current sustainable policies for development.

In the Indian Ocean Tsunami just like inHaiti, the solid wastes as well as the disasters debris remained the most adverse environmental catastrophe that the country faced (Phil, 2009, pp. 266).Haitishould follow the same management policies like those of the Indian Ocean Tsunami. In the Indian Ocean Tsunami, a strategy was implemented to make sure that all the wastes were recycled in a fair manner and the wastes were also recycled where necessary to produce the aggregate for building and road construction.

Tourism has so far proven to be the main pillar as far as economic development in most regions in the world is concerned. In the year 2003, the tourism sector was the vastest business sector in the global economy that employed more than 200 million and generated 3.6 trillion in the entire economic activity and accounts for 1 in 12 jobs globally (Milena, 2009, pp. 71). Across theCaribbean, the relevance of tourism for gaining income, sustaining and creating jobs, encouraging the foreign investment as well as facilitating the trade opportunities that can never be denied.

Today, tourism still stands as the main primary source for the foreign exchange in most countries. The vulnerability nature in the tourism sector to divergent disasters always triggers. The tourism sector has been highly affected by ranges of divergent disasters which are biological, natural, man made and also technological.

TheIndian Oceantsunami of the year 2004 revealed how the global tourists were caught in unfolding natural disasters. Thousands of the tourists from the western were victims of tsunami. It caused the vastest loss of lives as far as the numbers of tourists are concerned. The other is the effects of Hurricane Katrina on theNew Orleansin the year 2005 which left over 80% of theNew Orleansunderwater and hence blew the state’s vastest revenue source and in which in the year 2004, drew over 10 million visitors creating 80,000 related jobs (Ronald, 2006, pp. 59).            Because of the disasters that have been paramount inHaiti, these have hence threatened the lives and the safety of the tourists. There has been a downturn as far as the tourism products are concerned for obvious reasons.

There is no doubt that tourism is one of the most valuable industries which is worth protecting. In order to achieve the goal of protecting the tourism product, the tourists as well as the tourism employees; we need to hence determine from all past experiences the approaches that are needed in managing crisis from familiar events like earthquake or hurricane as well as from the unfamiliar events like tsunamis.

The Indian Ocean Tsunami of the year 2004 demonstrated how tourism sector despite all its technological advances as well as the sophisticated buildings turned out to be one of the most vulnerable sectors in the coast. For example because of the high demand for the sceneries instead of safety, the tourism was one of the least sustainable environmental form of the human settlement on Thailand coast and the least that was integrated to the natural ecology.

The Indian Ocean tsunami should teach theHaitipeople that keeping of a decent registry as far as clientele is concerned is quite critical. The security and the management functions for example the safety boxes, reservation desks and the offices should hence be relocated to upper floors in order to function during as well as after disasters.

People need to be more prepared in a more bottom up style during disasters. The role of the knowledgeable, enthusiastic staff that is willing, able and ready to make effectual responses should never be underestimated.  The tourism industry should be prepared to assist themselves during emergencies and maintain good relations with neighbors in order to get the necessary aid.

There should be development of safety rules like the ones that were developed in the Tsunami tragedy whichHaitishould follow in future to avoid too much losses. These safety hazards will help in alerting those who are asleep and does warn on the man made as well as the natural hazards. Some of the Tsunami safety rules are in case one feels the earth shake, they should hence move to higher grounds without waiting for an announcement of a warning.

Also residents need to stay away from the streams as well as rivers incase of these catastrophes. Also for those who are already on water, they should avoid returning to the main port as harbors and ports can trigger more problem. For the people who are already on land, they should hence evacuate their houses incase they live in hurricane storms zones. The other strategy they should emulate is evacuating vertically in case they have no any time to leave the zone as well as following advices from law enforcers and emergency management.

On Phuket, the government of Thai  begun to come up with some tsunami warning towers that do contain some loudspeakers to the broadcast warnings on possibility of Tsunami.Haitipeople should think of coming up with such devices too in future. The other measure it should come up with is the vertical evacuation policy whereby the buildings are constructed in a way which they can tolerate forces of tsunami waves (Jack, 1984).  Tourism globally is quite vulnerable to the changes in the public perception. When news on the earthquakes, violent conflicts or may be a contagious disease hits the media, tourists end up canceling their holidays. There ought to be destination crisis management in the tourism industry.  They should follow the five steps process which include identification of all the risks as well as the hazards, accessing the community which are vulnerable to the risks, developing of a mitigation and a preparedness plan and then monitoring as well as evaluating and revising the entire plan.

When managing disaster risks at the tourism destinations, the first step is to establish a group that will coordinate which will arrive at a consensus on the mission, vision as well as plans and schedules with the allocated budget (Rajib, 2006, pp. 82). The group should analyze after studying the disaster risks and hazards to avoid future reoccurrence.Haitipeople through implementation of the preparedness plan and applying the theories of restoring destinations in crisis will be in a good position to avoid future tragedies.

Experience, knowledge as well as learning are the major facets of plan implementation which should be discussed immensely during the post events adjustments and analyses. This is a major step when reducing the future disasters as well as enhancing resiliency. TheHaitipublic should always be kept educated and informed in the formulation of the plan. The tourism society also have numerous interests that ought to be educated on plan objectives as well as the requirements.

Mainstreaming the reduction of risks as tourism destinations means the creation of a pervasive culture that will aid in disaster preparedness. It also will presuppose a combination of leadership and political will with the disaster goals and management as well as the resources and actions that will strengthen the management operation and infrastructure in the name of achieving resilience.