Wednesday, October 30, 2019
Businese Law Essay Example | Topics and Well Written Essays - 2500 words
Businese Law - Essay Example By this time Karter had not parted with the money to purchase the paintings. Therefore Karter purchases the paintings knowing very well that Jimmy had repudiated his offer and was not going to make any good payment of them. 1 In Dickinson Vs Dodds, 1876, the defendant gave the plaintiff a written offer to sell him his house for 800 on Wednesday. The offer was to be left open until next Friday 9 a.m. On Thursday the defendant sold the house to someone else. On that very evening, the plaintiff was told of the sale by a third party, but before 9 a.m. on Friday the plaintiff delivered his acceptance to the defendant which the defendant refused to receive. It was held by the court that there was a proper revocation of the offer and the plaintiff could not accept it. 2 Even though Karter had revoked his offer of purchasing the paintings, the revocation / refusal was not procedurally done legally. Under the rules governing any revocation of an offer, that withdrawal must be committed to the person to whom it was made. It means that had Karter not taken the initiative of calling Jimmy would have continued to be silent of his withdrawn intention to purchase the paintings. 3 On the other hand, Karter would be to blame because he had acted outside the agreed terms of their agreement with Karter. According to their agreement Jimmy had expressly told Karter not to spend more than $ 1,000 USD. These terms were very certain but Karter ignored them and purchase paintings worth $5,000 USD. The expression by Jimmy to Karter to only spend $1,000 USD was in fact a term that was too "heavy" to be overlooked. This is because: - (a) Jimmy would not have entered into the contract if the statement was not made. The statement was important because it showed the maximum amount of money that he had and which he was willing to spend on paintings. (b) The statement was made immediately alongside the other agreements meaning that the representer highly regarded its importance. But Karter can still argue that he had thought that the statement was not a term of the contract since it was not followed by a written agreement. Jimmy could have reduced his oral expression into writing. Though he did not expressly state that he could not purchase the paintings if they cost over $1,000 USD, it was implied that he was not going to spend over $1,000 USD in paintings. These are implied terms that parties probably had in mind but did not bother to express. They have to be implied by the courts. Additionally, the parties would have expresses this agreement in writing if they had foreseen the difficulty occurring. Such terms the parties could have expressed in writing had they seen the difficulties are implied by the courts because of the court's view of fairness or public policy. Vincent acted in good faith in selling his painting and cannot be held responsible. He was made to believe in statements that were not true. He was in fact misrepresented by Karter who told him that he had been authorized to purchase the painting on behalf of Jimmy. Misrepresentation renders the contract voidable at the option of the innocent party. The statement was made are the time the contract was made and it induced Vincent into the contract. 4 Vincent could not have entered into the contract if: - (i) He knew that Karter's statement was false. (ii) He would have made the contract despite the misrepresentation. (iii) He did not know that there had been a misrepresentation i.e. after entering into the
Monday, October 28, 2019
Atlantic Slave Trade Essay Example for Free
Atlantic Slave Trade Essay A slave can be defined as a person who is the property of and wholly subject to another, a bond servant or a person entirely under the domination of some influence or person. Slavery was well recognized in many early civilizations. Ancient Egypt, Ancient China, the Akkad Ian Empire, Assyria, Ancient India, Ancient Greece, the Roman Empire, the Islamic Caliphate, the Hebrews in Palestine, and the pre-Columbian civilizations of the Americas all had either a form of debt-slavery, punishment for crime, enslavement of prisoners of war, child abandonment or birth of slave children to slaves. However, as the sixteenth century approached, so did the change in the way slavery would be looked at, for years to come. The Atlantic slave trade became the name of the three part economic cycle that involved four continents for four centuries and millions of people. The Atlantic slave trade or the middle passage, triangular trade and slavery affected the economy of Europe, Africa and the Americas in both negative and positive aspects. Starting in the 1430ââ¬â¢s Portuguese were the first to sail down the coast of Africa to search for gold and jewels. The Portuguese had to extend their power across the co+ast because Sub-Saharan Africaââ¬â¢s trade routes were controlled by the Islamic Empire. By 1445, The Portuguese conquered three African countries and created trading posts. This allowed them access to Europe across the Sahara. Initially, the Portuguese traded copperware, cloth, tools, wine and horses for pepper, ivory and most importantly gold. The first slave purchase is said to have taken place in 1441 when the Portuguese caught two African males while they were along the coast. The Africans in the nearby village paid them in gold for their return. Eventually, they developed the idea that they could get more gold by transporting slaves along Africaââ¬â¢s coast. The Muslims were enticed by the idea of slavery as they used them as porters and for profit. Portugal had a monopoly on the export of slaves in Africa for more than two hundred years. This encounter is the beginning of one of the most tragic events in history, the Atlantic triangular trade (Thomas 1997). A triangular trade evolves when a region has export commodities that arenââ¬â¢t required in the region which its major imports come and provides a method for trade imbalances. The triangular trade is named for the rough shape it makes on a map. It worked like a triangle between all the colonies that were involved. For centuries the world was took part in its most successful trading system. There where nearly fifteen million Africans were shipped to both North and South America for more than three-hundred. Slaves, cash crops and manufactured goods were the most traded between the Americas, Europe and Africa. The Europeans controlled the first stage of the trade by carrying supplies for sale and trade such as, cloth, spirit, tobacco, beads, shells, metal goods and guns. This was their method of which were used to help expand empires and capture more slaves. These goods were exchanged for purchased and kidnapped African slaves (www. nmm. ac. uk/freedom/viewTheme. cfm/theme/triangular). African kings and merchants would capture the slaves or organize campaigns ran by the Europeans. The motives of the Europeans were based on one thing; they lacked a major source, a work force. It was stated that the Indigenes people were unreliable and Europeans were unsuited to the climate. However, Africans had experience in agriculture, keeping cattle, content with the climate. Africa soon became reliant on the slavery of their people and the profits that came along with it. The next stage involved the slaves being transported by voyage to the Americas and Caribbean, the middle passage (PBS. ââ¬Å"The African Slave Trade and the Middle Passage. â⬠http://www. pbs. org/wgbh/aia/part1/1narr4. html). The middle passage was a perilous, horrendous journey slaves made across the Atlantic Ocean to the Americas. The final stage of the Atlantic slave trade was the return to Europe from the Americas with the produce from the slave-labor plantations. Most regions of North and South America were used to provide these raw materials to Europe for manufacturing. This wasnââ¬â¢t the first or only slave trade, but it was the cruelest. What began as a quest for gold ended as a quest for slaves, leaving a major stamp on African and American history (Thomas 1997). Before undergoing the middle passage, slaves faced human misery and suffering. Kidnapped slaves were forced to walk shackled in slave caravans to European coastal forts. Due to the lack of food and energy, half of the slaves became sick and were killed or left to die. Some had the strength to make it so they were left in underground dungeons. For years, Africans were stranded in these dungeons across the coast of Africa.. There, they wait on the embarked horrid encounter of the entire slave trade, the middle passage. None of the previous passengers returned to their homeland so none of the Africans knew what they were about to endure. The voyages were generally organized by companies and investors because they were a huge financial burden(ââ¬Å"The African Slave Trade and the Middle Passage). Two theories show the packing of slaves in the European ships; loose and tight packing. Loose packing carried less slaves with the hopes of more room and more slaves making it to the Americas alive and in fair condition. This was exchanged for tight packing. Captains believed despite more casualties, this would yield a greater profit. On occasion, veterinarians inspected the slaves before the voyage to determine which slaves could make it across the Atlantic Ocean. The enslaved Africans were chained together by hand and foot, not even being able to lie on oneââ¬â¢s side. They ate, slept, urinated, defecated, gave birth and died all in that one spot. There was overcrowding, inadequate ventilation and little to no sanitation. Twenty percent of every hundred died along the way from either suffocation, starvation, amoebic dysentery, scurvy or a disease such as small pox. The slaves that died were thrown overboard as well as the slaves that showed illness. Some threw their self-overboard risking their life rather than deal with these horrific measures. Approximately fifteen million captured Africans were sent to the Americas. The middle passage was the longest, most dangerous part of the Atlantic slave trade (ââ¬Å"The Middle Passage Experienceâ⬠). From the seventeenth century on, slaves became the focus of trade between Europe and Africa. Europe had already colonized North and South America as well as the Caribbean islands from the fifteenth century onward. This created an insatiable demand for African laborers, who were deemed ââ¬Å"more fitâ⬠to work in the tropical conditions of the New World. The numbers of slaves imported across the Atlantic Ocean steadily increased, from approximately 5,000 slaves a year in the sixteenth century to over 100,000 slaves a year by the end of the eighteenth century (www. mariner. org/captivepassage). Upon their arrival to the Americas, the slaves were washed, greased and placed inside dungeons. The grease added a more appealing look making the slaves appear healthier so the profit would be much higher. European slave traders made sure all of their potential properties were in well condition before bidding. They were branded with a hot iron to keep their identity as a slave. There were two main types of slave auctions; highest bidder or grab and go auctions. Highest bidder was a bidding process which the buyer with the highest bid would get the slave. Grab and go auctions was the process in which the buyer would give the trader an agreed amount of money in exchange for a ticket. This process was where the slaves were released from their dungeon and the buyers would rush and grab the slave they wanted, Each slave would be sold to an owner who owned a great deal of land and worked on either a plantation or mine and there, the living conditions were still only barely better (Curtin 1969) A prominent African, author and a major influence on the enactment of the Slave Trade Act of 1807, Olaudah Equiano was well aware and very familiar with the Atlantic slave trade. At the age of eleven, Equiano and his sister were kidnapped from his village in Nigeria. He survived the middle passage, and taken to the West Indies. He tells how he was bought by Captain Pascal, a British naval Officer as a ââ¬Å"presentâ⬠for a cousin. He tells how was enslaved in North America for ten years, working as a seaman. In 1766, he bought his freedom and wrote an autobiography, ââ¬Å"The Interesting Narrative of the Life of Olaudah Equiano,â⬠Equiano gave a firsthand look of the conditions enslaved Africans were forced to live. This document was one of the first documents that explained, thoroughly, the terrible human cruelty of the Atlantic slave trade (Wright et al. 001). Although many lives were taken or at risk, The Atlantic slave trade fulfilled its major goal, profit and change the three continents. Europe, America and Africaââ¬â¢s economy were all affected by the slave trade. Europeââ¬â¢s economy was suffering before the slave trade. The Atlantic slave trade was during the time of recovery for Europe and completely recovered their economy. Because of the success of the trade, they needed more people to manufacture raw materials and export them to Africa. The great supply of jobs created many exports and the income to buy imports. By the end of the slave trade, Europeââ¬â¢s economy was in well standings as one of the wealthiest continents in the world. The Americaââ¬â¢s economies rose too. They were honored with a free workforce that provided many resources from sugar to cotton. The free labor allotted for them to received one hundred percent of the profit. They were importing more slaves and exporting the goods made by them to gaining wealth. Americaââ¬â¢s economy became agriculturally stable and soon industrialized. Europe and the Americas economies were affected in a positive way. However, Africaââ¬â¢s economy received a negative effect. Many, for years lived in fear due to slavery. African villages became small and poor. All of the kingdoms that were strong at one time, collapsed and were conquered. They received raw material goods from the slave trade but with nothing shown. The African kings prospered only because they were heavily involved in the slave trade. As the kingsââ¬â¢ wealth grew, their economy was at a standstill and eventually failed. The Atlantic slave trade, human cruelty and evil at its finest, had a substantial effect on Europe, the Americas and Africa (www. understandingslavery. com).
Saturday, October 26, 2019
Children With Behavioral Disorders in Single Parent Homes Essays
Unfortunately, we live in a world were economic times are tough. It can be a struggle for parents to adequately support children - especially if there is only one parent. According to Organization for Economic Cooperation and Development about 15.9 percent of children world wide live in single-parent households. In the United states alone there are approximately 13.7 million single parents today, and those parents are responsible for raising 21.8 million children (approximately 26% of children under 21 in the U.S. today). The question we must ask is, What struggles and psychological effect does separation and divorce have on the parents as well as the children? Divorce is the final termination of a marital union, canceling the legal duties and responsibilities of marriage and dissolving the bonds of matrimony between the parties. In most countries divorce requires the sanction of a court or other authority in a legal process. The legal process for divorce may also involve issues of spousal support, child custody, child support, distribution of property and division of debt. Shared custody is awarded in approximately twenty percent of all divorce child custody cases. When shared custody is not awarded, the court will award one parent sole custody of the child. A court may also award a parent joint custody. Joint custody is a court order whereby custody of a child is awarded to both parties. In joint custody both parents are "custodial parents" and neither parent is a non-custodial parent; or, in other words, the child has two custodial parents. Seventy percent of all child custody cases name the mother as the custodial parent. A ââ¬Å"b roken familyâ⬠will effect the mother, father and child in different ways; with mothers usua... ...1%) as likely to have one or more total problems than those from two-parent families, twice as likely to have an emotional disorder, etc(National Longitudinal Survey of Children and Youth ). Works Cited See e.g., Cal. Fam. Code sect. 3004 http://www.leginfo.ca.gov/cgi-bin/displaycode?section=fam&group=02001-03000&file=3000-3007 1988 Census "Child Support and Alimony: 1989 Series" P-60, No. 173 p.6-7, and "U.S. General Accounting Office Report" GAO/HRD-92-39FS January 1992 Center for Disease Control National Principals Association Report on the State of High Schools Fulton County Georgia Jail Populations and Texas Dept. of Corrections, 1992 GROWING UP IN CANADA, National Longitudinal Survey of Children and Youth (Human Resources Development Canada, Statistics Canada, Catalogue no. 89-550-MPE, no.1, November 1996, p. 91) Available from StatCan.
Thursday, October 24, 2019
Colloid Cysts, Physical and Personal Impacts on Patient and Spouse :: Medical Medicine Papers
Colloid Cysts, Physical and Personal Impacts on Patient and Spouse Introduction: The patient is a 45 year old male who was in a car accident that involved alcohol on July 29, 2004. I have known the patient for three years and will be referring to aspects of the patient that I know to be true, but am unable to cite all details due to learning them via the dynamics of the relationship. The patient and the patientsââ¬â¢ spouse have requested complete anonymity for the purpose of this paper. The car accident resulted in a series of injuries for the patient which were a fractured pelvis, a lacerated bladder, internal organ bruising, a moderate concussion, and sciatic nerve palsy (nerve damage). The moderate concussion was determined by a computerized axial tomography (CAT) scan which also showed the colloid cyst. The patient believes he was made aware of the cyst; however his memories are not absolute and the spouse was not made aware at the same time. The cyst was mentioned (again) at the end of September and the brain surgery happened on February 13, 2005, six and a half months later. This series of interviews has occurred during the two months after the surgery. (Patient, Patient Spouse, personal communication, April, 27, 2005) Symptoms: The patient was suffering from intense dizzy spells for a year prior to the car accident. The patient is a licensed chiropractor and as he put it, ââ¬Å"Doctors make the worst patientsâ⬠, so he rationalized the dizziness and never expressed a need or desire to medically investigate it. The patient had not been experiencing the most common symptom, a headache. (Patient, Patient Spouse, personal communication, April 28, 2005) In the literature about colloid cysts there is a high prevalence of symptomatic headaches in the patients, often it is the headaches the patients are trying to resolve when the colloid cyst is discovered. (www.healthcentral.com/encyclopedia) The car accident fractured the patientââ¬â¢s pelvis so the treating physicians rebuilt his pelvis and began physical therapy before they scheduled the colloid cyst surgery. It was at this time the patients spouse learned about the cyst; it had been two months since its discovery. After becoming aware of the cyst, the patient presented with mild headaches. (Patient Spouse, personal communication, April 28, 2005) Surgery: The surgery occurred six and a half months after the CAT scan.
Wednesday, October 23, 2019
Database Implementation Plan for Riordan Manufacturing
Database Implementation Plan for Riordan Manufacturing Riordan Manufacturing has asked our firm, LTB and Associates, to develop a web-based plan to be used as a Business-to-Business web site in order to purchase materials from their vendors. We have examined Riordanââ¬â¢s products and business systems, interviewed Riordanââ¬â¢s employees, and have determined the best course of action to implement the plan. Riordan Manufacturing is a plastics manufacturer based in several locations across the world. With three plants based in the continental US, which are located in Albany, Georgia; Pontiac Michigan; and in San Jose, California, which is the company headquarters. A fourth plant is located in Hangzhou, China will not be part of the plan as they purchase materials locally. This where we explain how the database will be set up. Refer to the ERD, Sequence diagram, Use Case diagram, and Class Diagram that follow [pic] [pic] The following paragraphs will describe the considerations that Riordan Manufacturing will need to make in implementing the database plan.Database Management System and Data Where ever it is possible to for our firm to do so, LTB and Associates will make a recommendation on the choice to make. In order to implement the database properly, these recommendations should be implemented in order to offer the tightest amount of security that will be possible. Type of Online Processing Riordan Manufacturing will need to decide between real-time asynchronous processing and batch processing. Real-time asynchronous processing is applicable when the processing must be performed immediately or when the results must eventually be communicated back to an on-line user. One of the problems with real-time processing is that real-time timers and events are required; they are expensive as the computer resources that are used to raise, maintain and check events. Another problem with timer or even processes is that they create locking problems as they may contend with on-line processes for resources and for access the same data. Batch solutions are ideal for processing that is not real-time event based. Batch processes are data-centric and can efficiently process large volumes of data off-line without affecting the companyââ¬â¢s on-line system. Batch processing will allow business function to execute on a periodic or recurring basis; or it can operate over data that matches a given criteria. After studying Riordan Manufacturingââ¬â¢s Inventory and Supply Chain processes, the recommendation is for the company to go with batch processing for replenishment of raw materials for the operations. With daily reporting of the materials used at the end of each manufacturing run as the current method of inventory control, batch processing will work well. While real-time processing works well for online shopping, it is not the best approach to take for this application. Access Privileges Normally it is not considered a good security risk to grant access to individuals/companies who are located outside of the normal company network and/or firewall. But in order to provide a better integration of the database between Riordan Manufacturing and vendors/suppliers it is necessary to allow limited access. Riordan shall determine the types of privileges to grant to vendors. These privileges include (a) view, (b) insert, (c) update, and (d) delete (logical deletion only). Riordan shall also determine the type of data vendor should be able to access. The data should only relate to the materials that have been used in the daily manufacturing run; materials that have been previously placed on order; and the estimated projections of materials needed for the upcoming week. This will allow both Riordan Manufacturing and the suppliers to determine the present and short-term inventory needs. Bandwidth High speed access of the Internet has decreased in cost in recent years and the increased utility and the increased ease of use versus the cost of acquiring and maintaining the access has become more financially feasible. LTB and Associates recommend that Riordan acquire the appropriate bandwidth that will allow for the effective flow of information and which will support concurrent access of the company database. Security With the ever-growing threats that are present in the web-based global economy, there is an increased awareness of security. This includes both corporate and political terrorism as well as the knowledgeable lone user bent on mischief. LTB and Associates recommend that the administration plan should ensure that there are methods of data security implemented as information travels over the internet. An effective firewall should be implemented to deny access to unauthorized people. Data should be encrypted. Whenever possible, a Virtual Private Network be established between Riordan Manufacturing and the larger and more critical suppliers Database Administration Plan To ensure the productivity, continuity, and performance of the database for Riordan, proper maintenance, database backup, and change management procedures must be developed and implemented. The database must be backed up regularly in case the system needs to be restored due to data corruption or the loss of the data center due to natural or man-made disasters. Database backups are also critical for testing upgrades, fixes, and enhancements that will need to be migrated into production. Periodic maintenance is also a key to database performance and continuity. Applying operating system patches and security updates to the servers that house the databases help keep the software updated and the servers performing efficiently. Consistent re-indexing of the database can help keep performance high as the database grows in size. Another very important part of administering a database is change management. Database upgrades, fixes, and enhancements must be tested and implemented in a manner that minimizes potential errors, disruption to users, and preserves an audit trail for troubleshooting and compliance issues. Database Backup Plan In order to minimize potential data loss and downtime, the database will be backed up each night and stored in a secure location on the network. Storing the backups on the network will help facilitate transferring the backup to the disaster recovery site. Once the backup is created and stored on the network, a copy will be encrypted and transmitted to the disaster recovery ite. The backup can then be easily restored at the disaster recovery site as needed, or used in a development environment for testing upgrades, fixes, and enhancements. Database administrators will also have the ability to create backups as needed for testing or emergency purposes. Database backups will be restored to the disaster recovery database at least bi-monthly to verify that the backups are generating correctly and that the disaster recovery-restore process is working as it should. Maintenance Plan Once a month, the database servers will undergo scheduled maintenance. Operating system patches, security updates, and database application patches will be applied to the hardware housing the database in order to ensure the system is kept up to date. Database hardware will also undergo diagnostic checks to ensure everything is working properly. At this time the database will also be re-indexed to preserve performance as the database grows. The patches, security updates, and database application patches will be applied to the development servers one week prior to implementation on the production server. Applying the maintenance related patches to the development system a week prior to implementation in the production system will allow time to monitor the development systems for any issues resulting from the patches and ensure the patches are safe to install into production. For emergency maintenance issues such as hardware failures or power outages, the disaster recovery database will be restored from the latest production backup and work should be closely coordinated with the server team to ensure proper procedures are followed. Change Management The backbone to any administration plan is change management. Maintenance, database backups, upgrades, and other events must be carefully tested, planned, and executed to minimize potential consequences including data corruption and downtime, and changes must be closely tracked to preserve the integrity of the database, maintain a log of changes for troubleshooting potential issues, and ensure proper testing and compliance controls are met. The database team will use Microsoftââ¬â¢s Visual Source Safe (VSS) as the main tool for version control. Patches, fix scripts, and any other code that applies to the databases will be stored in VSS and roper code check in and check out procedures will be followed to ensure the proper code changes are migrated to the database. Only database administrators will have the ability to migrate changes to the databases. Developers can check out and modify code, but cannot implement any changes in the databases. All changes will be properly tested in a development database and signed off on by the appropriate par ties. A network of IT and business ââ¬Å"approversâ⬠will be established for each business area (for example: accounting, procurement, sales, etc. ) and will be responsible for signing off on changes that affect their particular areas. There will be at least one main approver and one backup approver that are subject matter experts for their respective business areas so that all areas utilizing the database will have a representative. Approvers will be the preferred testers, but other users may test changes as long as the approvers review the test results prior to signing off on the test. Signoff for changes will be obtained via email using a template that details the change to be made, a tracking number for the change, and the location in VSS where the change is stored, so that the database administrators will be able to pull the change directly from VSS for implementation. Database administrators will not proceed with migration of a change until all appropriate approvers have responded in the affirmative. Disaster Recovery Plan (DRP) While preparing a disaster recovery plan (DRP), it is essential to think about the hardware, software and data that will be used to allow for an organization to continue operations in the event of a natural disaster or a disaster caused by human hands. In considering the idea of protection of the database, this plan will not only help preserve the companyââ¬â¢s investment but also secure the customers faith in Riordan. Some companies spend some 25% of their information technology budget on disaster recovery plans. LTB and Associates recommends the implementation of a DRP. The cost of implantation and the subsequent maintenance versus the cost of a data loss is negligible in the impact it would have. The first step in drafting a disaster recovery plan is conducting a thorough risk analysis of the database systems. Make a list all the possible threats to system operation and evaluate the likelihood of their occurrence. The threats can include electronic-based; such as virus attacks or data deletions, deliberate or accidental; and natural disasters, such as fire, flood, storm or earthquake. Once the threats have been identified and ranked in likelihood of occurrence; what can be done to minimize or limit the impact from these disasters. The more preventative actions we can establish in the beginning the better. It is better to take a proactive rather than a reactive approach in determining and documenting the DRP. The recovery procedure will be written in a detailed plan defining the roles and responsibilities of the IT staff. Defining how to compensate for the loss of various aspects of the network (databases, servers, communications links, etc. ) and specify who will arrange for these repairs and how the data recovery process will occur. Communication Plan During a disaster situation, all parts of the communication plan should be cleared with a central location. All information should be reviewed by management before being released. LTB and Associates recommend that the following steps be implemented. 1. Communication methods need to be established in advance. (Wireless or satellite telephone systems, email address, etcâ⬠¦) 2. Develop templates for press releases, and include the skill sets of key employees, customer information, supplier information. Include maps of locations that may be difficult to communicate in. Develop logs that can be used to track incoming and outgoing communications. 3. Make sure that these processes are easy to understand. 4. Develop a contingency plan should the computer network where data is stored is damaged. Use text files and several copies in different storage devices and store this information in a remote server or on removable media which is then stored offsite. 5. Determine what is to be considered as privileged/proprietary information; establish which levels of management and the key personnel to have access to the information; and the approvals for accessing the information 6. Develop a set of detailed documents and instructions that can be shared with employees. . Establish a set of technology based tools. 8. Develop a detailed training plan; be sure to include all key personnel, top management and support personnel that can interface with customer and/or suppliers. 9. Develop relationships with News Service agencies. 10. Establish and train employees as observers to watch for individuals with microphones and notepads; make sure they are aware of the proper channels of communications. 11. D o plan periodic mock scenarios and drills of disasters in order to review the DRP. LTB and Associates recommends that the follow items be purchased, maintained, implemented, and stringently adhered to at every Riordan Manufacturing plant in the continental USA. â⬠¢ Prevention Plan â⬠¢ An electronic manual. â⬠¢ A printed hardcopy manual. â⬠¢ Data and Software Backups â⬠¢ Daily backups, local to each plant and stored offsite. â⬠¢ Weekly backup, to be performed system-wide by the Atlanta, Georgia plant and stored offsite. â⬠¢ Storage area networks. â⬠¢ Surge Protectors and Power Supply Fault Switches. â⬠¢ Anti Virus, Firewall and Security Software. â⬠¢ Fire Prevention and Detection Smoke detectors and fire alarm systems. â⬠¢ Fire extinguishers. â⬠¢ Review and update insurance policies for all facilities and equipment. Disaster Recovery Process. In the event of a disaster occurring at any Riordan Manufacturing plant the following steps should be taken to restore the operation of the system to normal operation. The steps c an apply to any and all sites. 1. Contact the proper level of management and notify pertinent personnel a. Determine if the equipment is functional and has suffered no damage. b. Repair or replace the equipment as needed per the situation. 2. Retrieve the latest weekly backup from the Atlanta, Georgia server and/or facility. (Note ââ¬â if the Atlanta plant is the affected plant, retrieve the last weekly back up from the offsite storage facility) 3. Restore the database to the server. Perform a system check for proper operation. 4. Retrieve the latest daily backup from the offsite storage facility. 5. Restore the database to the server. Perform a system check for proper operation. 6. Retrieve and key in any pertinent data that was recorded on hardcopy sources from the affected plant and double check accuracy with personnel if possible.
Tuesday, October 22, 2019
Biology Dissertation The Key Points to Consider When Writing
Biology Dissertation The Key Points to Consider When Writing One of the most challenging academic tasks is to write a dissertation. It is very complex, and you should be fully engaged in the process of writing. It becomes even more complex if the problem is difficult or not interesting to you. Thus, it is quite important to choose the topic you like. A biology dissertation may be a bit troublesome. Nonetheless, if you have a good command of the discipline and know how to compose it properly, you will definitely achieve success. Here are some essential prompts on how to complete all stages of your dissertation in biology: Write the title page. It should contain the dissertation title, the name of a researcher, the main reasons for submission of the project, the name of the educational institution, departmentââ¬â¢s name, the month and year of publishing. This is a special page, which contains your appreciation to those people who helped you to compose your research in biology. Abstract. This is a compulsory element of any dissertation, which covers the major points of the research. Its length ranges from 100 to 150 words. It should include the background of your topic, the objective of the research, its outcomes, and table of contents. Mind that all parts and chapters ought to be enumerated. Introduction. This section should kindle a desire to read your dissertation. Make it catchy, show the importance of your study. Implement a thesis and clearly describe your main purpose and objective to conduct a study. Informative sources. This section is not compulsory. This is the number of articles youââ¬â¢ve read that are related to your paper. Nevertheless, it will only benefit your project. Thus, your readers will see the whole scale of your work and what sources you used. Methodology. You cannot skip this section. A researcher ought to show the methods that were used to conduct the study. Moreover, you should explain why you have preferred these methods. Outcomes. The next step is to represent the outcomes of your research. Evaluate the information you have received. Use all related statistic figures. Itââ¬â¢s important to remember that a researcher should not provide his/her personal opinion. Keep it for the section devoted to the discussion. Discussion. This part centralizes the outcomes of your research question. You should analyze and evaluate the findings you have received during the study. This is when you should likewise express your own opinion about the obtained results. Recommendations. Now, you should offer some recommendations in the regard of the obtained results. Interpret your findings and comment on the future of your project. Point out the probable improvements in the field you have selected. Bibliography. This is the full list of all information resources that were used and have contributed to the development of your project. These sections are the inevitable parts of the entire research project. You should find out how to accomplish each quickly and effectively. Take this matter seriously and donââ¬â¢t forget to use some facts to make the paper more catchy. The final evaluation of your biology dissertation is dependent on every stage. Make an effective outline and complete each stage in turn.
Monday, October 21, 2019
United States War on Terror Policy Paper
United States War on Terror Policy Paper Executive Summary Combating terrorism is an operation that demands strategic attention and direct accountability in order to enhance national and global security. It is notable that terrorism has become a global issue that has been perceived as a threat to international security and relations. In this case, the United States as a world super power has risen to wage war on terror groups in order to enhance both national and global security.Advertising We will write a custom proposal sample on United States War on Terror Policy Paper specifically for you for only $16.05 $11/page Learn More Currently, the US administration has adopted a policy of military installations all over the world in order to foster its national security as well as safeguard is territorial integrity. Nevertheless, this policy has proved to very costly and to some extent; measures taken have increased the vulnerability of acts of terror than ever before. In order to bring about positive c hange in the management of international peace and security, it is recommended that better polices should be applied by its Administrators to fight terrorism. These policies include use of military forces, detaining as well as prosecution of terror suspects. Needless to say, the three polices have vivid pros and cons as they will be addressed in this policy report. However, it is crucial to mention that each of the policies identified is successful in its own way. In line with this, one of the merits that is common in the policies that have been adopted so far is the centralized legal authority that has endeavored to make the new rules and regulations more effective. Nevertheless, it is imperative to note that war on terror needs a multidisciplinary approach in order to be successful. In this case, the policies must be applied concomitantly, a factor that will largely assist in covering up the impending weaknesses. Besides this, all the above three polices of arresting and prosecuti ng terror suspects have been highly recommended. This is due to the fact that the policies have been proven to be very effective in destabilizing, disrupting and demoralizing terror groups that are both emerging and also existed for long. Introduction It is imperative to note that the topic on war against terror is important since it enhances global understanding, appreciation as well as insurgency against such acts (Romaniuk 2012, p. 151). For instance, the United States of America is one of the global powers that has a been major commentator of strategies and policies meant to suppress terrorism and all acts or intentions related to the vice. It is apparent that the US is the only world super power whose foreign policy needs to be changed in order to make its military power less vulnerable to terrorism. As a matter of fact, the US administration has adopted myriads of strategic policies and responsibilities in order to enhance national and global security.Advertising Looki ng for proposal on political sciences? Let's see if we can help you! Get your first paper with 15% OFF Learn More Research has revealed that terror acts have posed threat not just to the US security but also at the global level. Needless to say, Murray (2011, p. 84) asserts that the previous administration under President George Bush was largely counterproductive in fighting terror acts both nationally and globally. Some political analysts argue that the use of open force ideology the Republican government under President George Bush was not fruitful at all in yielding the much expected results in the fight against acts of terror. Nevertheless, it is worth to note that terrorism is very dynamic and there is need to take a leap of imagination in order to come up with policies that will help to end terrorism (Murray 2011, p. 84). It is against this backdrop that this policy paper intends to address current and viable polices that can be employed by the US government in the war on terror. Background of the current situation (current policy) From a careful review of literature, it is imperative to note that the contemporary policies used to fight terror have been perceived as counterproductive (Swain 2012, p 237). In this case, instead of suppressing terror acts, these policies tend to aggregate the situation at hand. Therefore, it is essential to note that there are three essential polices that can be used by the US government in the war against terrorism. In a nutshell, disaggregation approach is a crucial framework that can be used as a legal strategy in US to fight terrorism. In any case, this is one of the grand strategies that the US authority has employed for some decades now to break ties between local and global players who are associated with terrorism. Orr (2012, p.93) reiterates that this strategy is meant to separate terror groups and make them turn against each other; a factor that makes it easy to monitor as well as curb their operat ions. From this strategy, one can derive three important policies that can be used by the US administrators in the war against terror. To begin with, one of the most effective polices entails the approach whereby the US government can seek methods of detaining terror suspects once they have pleaded guilty (Homolar 2011, p. 705). Moreover, another policy that has been perceived to be effective is the prosecution of terror criminals in state departments. Additionally, the policy on the use of military force is effective in suppressing various terror groups that are spread across the globe. In order to understand the rationale and effectiveness of these polices in curbing terrorism, it is important to discuss each one of them in details.Advertising We will write a custom proposal sample on United States War on Terror Policy Paper specifically for you for only $16.05 $11/page Learn More Option 1: current policy of War on Terror Detaining terror suspects in the countries where they are captured is an effective policy since it will help in dispersing and curtailing any form of cooperation by various terror groups. Notably, geographical distance makes it quite cumbersome for terror gangs to spearhead local insurgency (Romaniuk 2012, p. 152). Needless to say, there should be strict domestic and global rules that can be followed to ensure that this policy does not result into political unrest at some point. For instance, certain countries may counteract on realizing that their citizens who have been held as suspects have been detained in foreign countries. In this case, this will ensure that the attitude of the public and perception is not affected by the policy. Nevertheless, this policy has some shortcomings since it becomes quite difficult to detain suspects in countries that are unstable such as Afghanistan, Somalia and Yemen (Morris Crank 2011, p. 219). Therefore, this prompts for centralized locations that have the potential to withhold such suspects from connecting with other terror groups. It is worth to note that the policy of detaining terrorists in countries where they have been arrested can provide an ample ground to aggravate vicious terror acts and thereby causing more harm than good (Tosini 2012, p. 115). In this case, the US government should device legal frameworks and strategies that can be used to determine centralized locations where suspected terrorists can be detained as they await being prosecuted. In addition to this, research has revealed that detaining terror suspects on vulnerable regions has adverse effects towards fighting acts of terror. For instance, numerous countries that have been perceived as failed states counteract against the policy and this makes it hard to achieve positive results. Needless to say, this is a successful option of war on terror even though it can be made effective when reinforced by other policies in addition to political will by the affected countries to arrest and detain terror suspects. The second option According to Swain (2012, p. 237), prosecuting terror suspect is one of the option polices that can help to end terrorism. One of the merits of this policy is that it helps to prevent terror groups from expanding. For instance, when chief suspects are arrested and prosecuted, it largely demoralizes the low-ranking members and often breaks the terror networks. Research has revealed that arresting and prosecuting chief suspects disrupts local and global terrorist operations making it impossible to commit predicate crimes. Nevertheless, Romaniuk (2012, p. 152) argues that one of the demerits of this policy is that it requires the administrators to have sophisticated skills of detecting and arresting terror suspects. This is due to the fact that terrorists often have dynamic skills that are easy to replace with new ones.Advertising Looking for proposal on political sciences? Let's see if we can help you! Get your first paper with 15% OFF Learn More In this case, it is probable that the administrators will only be able to arrest and prosecute low-level members leaving behind chief organizers of terror acts. Despite the fact that this policy might be faced by numerous challenges, is definite that it is effective in fighting terror acts. This is due to the fact that it might not wholly help to eradicate terrorism but will highly contribute to decimating the vice (Tosini 2012, p.115). It is imperative to mention that the policy has been amended to boost its effectiveness whereby it targets not merely terror suspects but also those individuals or governments and organizations that fund terrorist activities. The heavy support that terrorists receive mainly through monetary funding is indeed a great threat towards fighting the vice. The third Option In spite of the above options of fighting terror, the US authority should legalize the policy of using military force in countering terrorism. In a more succinct manner, the US administra tion should use legal authority to wage war against organizations, states and individuals who support terror groups (McCrisken 2011, p. 781). It is essential to note that capturing and fighting suspects will not be effective if the policy does not target to paralyze radical clerics who are responsible for training and recruiting terror groups (Tosini 2012, p. 115). From a careful review of history, the US military has waged war against terror in Iran and Afghanistan but this has been more of a losing strategy since the army targets suspects leaving behind the main protagonists (Berkowitz 2012, p.104). Nonetheless, use of military force in terror prone countries will help to disrupt and down-size insurgent networks of terrorism. Needless to say, this policy has proved to be successful in countries such as Afghanistan and Iraq which have been viable breeding grounds for terrorism (Swain 2012, p 237). Nevertheless, it is imperative to take note that this policy can cause deadlier effec ts especially in a case whereby the terror groups decide to avenge in terms of waging war to the opponents. This has been witnessed in Iraq where terror groups counterattack the US army (Orr 2012, p.93). Historical scholars criticize this policy since they claim that it targets to treat the symptoms rather than the cause of acts of terror. In addition to this, this policy can cause catastrophic effects such as mass destruction as it has been witnessed in North Korea and Iran (Anderson 2011, p. 216). In line with this, it has been noted that the public in US has been pessimistic on the military force policy due to the fact that it is expensive and that the operation claims treasure and lives of innocent people. Essentially, this policy is effective especially when there exists an ample data base that can be used to track down and fight terror groups and their associates (Aldrich 2009, p. 122). From a theoretical perspective, the option is successful since it has been used previously in terror prone countries and positive outcomes have been realized. Which policy option do you recommend? According to Orr (2012, p.93), war on terror requires the US administrators to use numerous polices to counter both local and global operations. Needless to say, the identified policies call for myriads of legal frameworks in order to achieve positive results. One of the most effective options of fighting terrorism involves the use of wide ranging authority to arrest and prosecute terror suspects (Buffton 2011, p. 116). In addition, this policy will help to curb local and global terror groups who are responsible for causing insurgency. Moreover, in order to promote long-term interests, the US administrators should use sophisticated strategies to ensure that individuals who are responsible for funding terror groups get prosecuted under legal justification of the rule of law (Anderson 2011, p. 216). References Aldrich, J 2009, US-European Intelligence Co-operation to Counter-Terro rism: Low Politics and Compulsion. The British Journal of Politics and International Relations, vol. 11 no. 1, pp.122-139. Anderson, B 2011, ââ¬Å"Facing the Future Enemy: US Counterinsurgency Doctrine and the Pre-insurgent.â⬠Theory, Culture Society, vol. 28 no. 8, pp.216-219. Berkowitz, P 2012, ââ¬Å"Shawcross on Terror ,â⬠Policy Review, vol. 1 no. 171, pp.103-109. Buffton, D 2011, ââ¬Å"War on terror, inc.: corporate profiteering from the politics of fear.International.â⬠Journal on World Peace, vol. 28 no. 3, pp.115-118. Homolar, A 2011, ââ¬Å"Rebels without a conscience: The evolution of the rogue states narrative in US security policy.â⬠European Journal of International Relations, vol. 17 no. 4, pp.705-711. McCrisken, T 2011, ââ¬Å"Ten years on: Obamas war on terrorism in rhetoric and practice. International Affairs, vol. 87 no. 4, pp.781-801. Morris, T. Crank, J 2011, ââ¬Å"Toward The phenomenology of Terrorism.â⬠Implications for research a nd policy, vol. 26 no. 3, pp. 219-228. Murray, N 2011, ââ¬Å"Obama and the global war on terror.â⬠Race Class, vol. 53 no. 2, pp.84-86. Orr, A 2012, ââ¬Å"Terrorism: A Philosophical Discourse.â⬠Journal of Applied Security Research, vol. 7 no.1, pp. 93-98. Romaniuk, S 2012, ââ¬Å"Slaying the Dragon: Combating Al-Qaeda and the Threat of Militant Islam.â⬠Journal of Politics and Law, vol. 5 no. 1, pp.151-166. Swain, R 2012, ââ¬Å"U.S. Army Doctrine From the American Revolution to the War on Terror.â⬠The Journal of Military History, vol. 76 no. 1, pp. 237-242. Tosini, D 2012, ââ¬Å"The autonomy of law in the war on terror: A contribution from social systems theory.â⬠International Journal of Law, Crime and Justice, vol. 40 no. 2 pp.115-118.
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