215 resultados para supply planning


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Sähkömarkkinalakimuutokset ovat ohjanneet useita verkkoyhtiötä muuttamaan investoin-tistrategioitaan. Kiristyneet toimitusvarmuusvaatimukset edellyttävät useilta verkkoyh-tiöiltä aiempaa suurempaa panostusta jakeluverkon kehittämiseksi. Toimitusvarmuusvaa-timusten täyttäminen edellyttää myös merkittäviä muutoksia verkkoyhtiöiden käyttämiin verkostotekniikoihin. Suurhäiriöille alttiita ilmajohtoja muutetaan verkkoyhtiöissä totuttua nopeammalla aikataululla maakaapeleiksi tiukentuneiden toimitusvarmuusvaatimusten täyttämiseksi. PKS Sähkönsiirto Oy:n 20 kV sähköverkko on ollut suurimmalta osalta avojohtoverkkoa jossa toimitusvarmuus ei ole nykyisellään muuttuneen sähkömarkkinalain asettamalla ta-solla. Tämä on johtanut verkostostrategian luomiseen, jossa yhtenä toimena toimitusvar-muuden lisäämiseksi vaaditulle tasolle on avojohtolinjojen korvaaminen maakaapeleilla. Maakaapelointien nopea rakennusaikataulu tuo monia haasteita verkkoyhtiöille. Maakaa-pelointien korkea maasulkuvirran ja loistehon tuotto verrattuna avojohtoverkkoon tulee huomioida yhtiössä verkkoa rakennettaessa. Tässä diplomityössä selvitetään PKS Sähkönsiirto Oy:n verkostostrategian mukaisten maakaapelointien vaikutuksia sähköverkolle. Työssä on arvioitu tavoiteverkon mukaisten maakaapeleiden aiheuttamaa maasulkuvirran ja loistehon tuoton tasoa. Tulosten perusteel-la on tehty johtopäätökset mihin verkkoyhtiön on kiinnitettävä huomioita kaapelointeja suunnitellessa ja toteuttaessa.

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Growing awareness in corporate responsibility and issues related to sustainability is seen to increase innovativeness in a company as well as in its supply chain. The stakeholders’ awareness on sustainability has increased, and they demand the companies to identify sustainability risks and adapt procedures for mitigating them. The purpose of this thesis is to examine how risks are managed in sustainable supply chain. Definition of sustainability risks and risk management procedures construct the framework of the study. It is done through an empirical study conducted on 95 Finnish companies operating in the manufacturing industry. The data is acquired via an online questionnaire. The research has been conducted as a quantitative study utilizing the methods of statistical analysis, such as correlation analysis and factor analysis. The essential results of this thesis are identified risk-procedure connections, and the importance of different risks and procedures in the respondent companies.

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This master’s thesis considers wholesale company’s inventory value reduction and its effects to the operative working capital. The aim is to reduce inventory value by Enterprise Resource Planning System SAP in a controlled manner and without reducing the service level. This thesis contains a theory chapter of inventory management, operative working capital and benefits of ERP sys-tems in inventory management. These theory chapters are applied to practice, and the result is a lower inventory value in the case company. This releases more operative working capital to other more profitable subjects. With more accurate sales forecasts and by using SAP in the supply chain management average stock value can be reduced by 700 k€ which, in turn, reduces Cash Conversion Cycle by 7 days.

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Finnish Defence Studies is published under the auspices of the National Defence University, and the contributions reflect the fields of research and teaching of the University. Finnish Defence Studies will occasionally feature documentation on Finnish Security Policy. Views expressed are those of the authors and do not necessarily imply endorsement by the National Defence University.

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Diplomityön tavoitteena on tutkia valmistusstrategian muodostamista rajaten tarkastelu yhteen tuoteperheeseen. Työn teoriaosuudessa suoritaan kirjallisuuskatsaus, jonka keskeisempänä tuloksena luodaan teoriaviitekehys valmistusstrategian muodostamisesta. Valmistusstrategian osa-alueiksi rajataan toimitusketjun rakenne, tuotantomuodon valinta, kapasiteetin suunnittelu sekä materiaalinohjaus. Työn soveltavassa osuudessa muodostetaan esitetyn teoriaviitekehyksen avulla valmistusstrategiaehdotelma Case – yrityksen uudelle tuoteperheelle. Valmistusstrategian tavoitteet sekä rajoitteet tunnistetaan tarkastelemalla yrityksen ylemmän tason strategioita, markkinavaatimuksia, valmistuksen resursseja sekä päivittäistä toimintaa. Kokonaisuudessaan diplomityö käsittelee valmistusstrategian muodostamista aikaisempaa kirjallisuutta yksityiskohtaisemmin ja käytännönläheisemmästä näkökulmasta. Case – yrityksen uudelle tuoteperheelle ehdotettu valmistusstrategia todetaan seuraavan yleisesti hyviä toimitusketjun johtamisen periaatteita.

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The purpose of this work was to describe and compare sourcing practices and challenges in different geographies, to discuss possible options to advance sustainability of global sourcing, and to provide examples to answer why sourcing driven by sustainability principles is so challenging to implement. The focus was on comparison between Europe & Asia & South-America from the perspective of sustainability adoption. By analyzing sourcing practices of the case company it was possible to describe main differences and challenges of each continent, available sourcing options, supplier relationships and ways to foster positive chance. In this qualitative case study gathered theoretical material was compared to extensive sourcing practices of case company in a vast supplier network. Sourcing specialist were interviewed and information provided by them analyzed in order to see how different research results and theories are reflecting reality and to find answers to proposed research questions.

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The purpose of this thesis is to find out how outbound logistics process can be improved by reducing unnecessary waste in a globally dispersed make-to-order (MTO) supply chain. The research problem was addressed by a multinational corporation that aims to find a solution for reducing unnecessary waste in their outbound logistics process. The focus is on customized products that are delivered via sea transportation. Theoretical framework for improving outbound logistics processes in globally dispersed MTO supply chain was created based on business process management, Porter’s value chain theory, value stream mapping and current reality tree. The empirical research was conducted by using constructive approach due to its ability to research a practical problem and to improve the existing practices. The data was collected from ten semi-structured interviews and three non-participant observations. By analysing the data and applying the theoretical framework, five types of waste were detected in the process that were seen to derive from six root causes. Practical solution was constructed to reduce the waste in the process by combining the existing literature with the ideas raising from empirical data. The results of this thesis suggest that a MNC with a globally dispersed MTO supply chain can improve its outbound logistics process by applying activities that enhance internal and external integration, collaboration and coordination, and increase predictability of the process. This research has practical relevance both for the case company as well as for other MNCs with globally dispersed MTO supply chains that aim to improve their outbound logistics processes. This research contributes to the BPM and CRA research by providing an evidence for their applicability in the new context.

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Teräsvalimon toimitusprosessissa toimitusvarmuus on tärkeä tuotannon tunnusluku. Valimotuotannossa olevien lukuisten muuttujien vuoksi tuotannonsuunnittelu ja läpivirtauksen hallinta on haasteellista. Tuotteiden, valumateriaalien ja näiden yhdistelmien suuri yhtäaikainen määrä tuotannossa vaikeuttaa tuotannon ennustettavuutta sekä vaikuttaa läpivirtaukseen ja toimitusvarmuuteen. Lisäksi tuotannon eri työvaiheissa ilmenevät kapeikot rajoittavat läpivirtausta ja kasvattavat läpimenoaikoja. Kapeikkoja voidaan hyödyntää tuotannonohjauksessa jos kapeikot ovat selkeästi havaittavissa. Kapasiteetin siirtäminen ei-kapeikosta kapeikkoon lisää tuotannon läpivirtausta. Pelkkä kapeikkojen hallinta ei paranna toimitusvarmuutta jos keskeneräisen tuotannon määrä on suuri ja järjestys väärä. Tuotannon työkuormien visuaalisuuden parantaminen kaikilla työvaiheilla antaa mahdollisuuksia ohjata tuotantoa tehokkaammin. Kandidaatintyössä on tarkasteltu teräsvalimon valmistusprosessia ja selvitetty tuotannon eri vaiheissa ilmeneviä kapeikkoja. Selvitystyössä hyödynnettiin TOC-analyysiä. Keskeneräisen tuotannon määrää mitattiin useilla otannoilla eri työvaiheiden kohdalla. Tuloksia analysoimalla löydettiin tuotannon ongelmakohdat ja niihin tarvittavat kehitystoimenpiteet.

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Tämän diplomityön tavoitteena oli selvittää hyödyttääkö Stora Enso Metsää tietojärjestelmien siirto perinteisistä konesalipalveluista pilvipalveluihin. Stora Enso Metsällä on paljon erilaisia suunnitteluun liittyviä eräajoja. Joitakin niistä ajetaan vain muutamia kertoja vuodessa kuten tehtaiden puuntarve, toisia muutaman kerran kuussa kuten kuljetusten malliajot tai muutaman kerran viikossa ajettava korjuun suunnittelu. Niissä tapauksissa palvelimet voidaan käynnistää erikseen ja käyttää niitä vain silloin, kun niitä oikeasti tarvitaan. Työn lopputuloksena havaittiin, että pilvipalveluiden käyttöönotto tuo kustannussäästöjä ja palveluiden hallintaan joustavuutta. Itsepalveluna toteutettuna palvelimia voidaan hallinnoida joustavasti kustannusten säästämiseksi. Pilvipalveluilla voidaan nopeuttaa projektien läpimenoa ja kohdentaa käyttökatkot tarkemmin koska siihen ei välttämättä tarvita toimittajan työtä lainkaan. Loppujen lopuksi asiakkaan on erittäin vaikea tietää kuinka paljon kustannuksia on jaettu eri tavalla eri palvelujen välillä.

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The investments have always been considered as an essential backbone and so-called ‘locomotive’ for the competitive economies. However, in various countries, the state has been put under tight budget constraints for the investments in capital intensive projects. In response to this situation, the cooperation between public and private sector has grown based on public-private mechanism. The promotion of favorable arrangement for collaboration between public and private sectors for the provision of policies, services, and infrastructure in Russia can help to address the problems of dry ports development that neither municipalities nor the private sector can solve alone. Especially, the stimulation of public-private collaboration is significant under the exposure to externalities that affect the magnitude of the risks during all phases of project realization. In these circumstances, the risk in the projects also is becoming increasingly a part of joint research and risk management practice, which is viewed as a key approach, aiming to take active actions on existing global and specific factors of uncertainties. Meanwhile, a relatively little progress has been made on the inclusion of the resilience aspects into the planning process of a dry ports construction that would instruct the capacity planner, on how to mitigate the occurrence of disruptions that may lead to million dollars of losses due to the deviation of the future cash flows from the expected financial flows on the project. The current experience shows that the existing methodological base is developed fragmentary within separate steps of supply chain risk management (SCRM) processes: risk identification, risk evaluation, risk mitigation, risk monitoring and control phases. The lack of the systematic approach hinders the solution of the problem of risk management processes of dry port implementation. Therefore, management of various risks during the investments phases of dry port projects still presents a considerable challenge from the practical and theoretical points of view. In this regard, the given research became a logical continuation of fundamental research, existing in the financial models and theories (e.g., capital asset pricing model and real option theory), as well as provided a complementation for the portfolio theory. The goal of the current study is in the design of methods and models for the facilitation of dry port implementation through the mechanism of public-private partnership on the national market that implies the necessity to mitigate, first and foremost, the shortage of the investments and consequences of risks. The problem of the research was formulated on the ground of the identified contradictions. They rose as a continuation of the trade-off between the opportunities that the investors can gain from the development of terminal business in Russia (i.e. dry port implementation) and risks. As a rule, the higher the investment risk, the greater should be their expected return. However, investors have a different tolerance for the risks. That is why it would be advisable to find an optimum investment. In the given study, the optimum relates to the search for the efficient portfolio, which can provide satisfaction to the investor, depending on its degree of risk aversion. There are many theories and methods in finance, concerning investment choices. Nevertheless, the appropriateness and effectiveness of particular methods should be considered with the allowance of the specifics of the investment projects. For example, the investments in dry ports imply not only the lump sum of financial inflows, but also the long-term payback periods. As a result, capital intensity and longevity of their construction determine the necessity from investors to ensure the return on investment (profitability), along with the rapid return on investment (liquidity), without precluding the fact that the stochastic nature of the project environment is hardly described by the formula-based approach. The current theoretical base for the economic appraisals of the dry port projects more often perceives net present value (NPV) as a technique superior to other decision-making criteria. For example, the portfolio theory, which considers different risk preference of an investor and structures of utility, defines net present value as a better criterion of project appraisal than discounted payback period (DPP). Meanwhile, in business practice, the DPP is more popular. Knowing that the NPV is based on the assumptions of certainty of project life, it cannot be an accurate appraisal approach alone to determine whether or not the project should be accepted for the approval in the environment that is not without of uncertainties. In order to reflect the period or the project’s useful life that is exposed to risks due to changes in political, operational, and financial factors, the second capital budgeting criterion – discounted payback period is profoundly important, particularly for the Russian environment. Those statements represent contradictions that exist in the theory and practice of the applied science. Therefore, it would be desirable to relax the assumptions of portfolio theory and regard DPP as not fewer relevant appraisal approach for the assessment of the investment and risk measure. At the same time, the rationality of the use of both project performance criteria depends on the methods and models, with the help of which these appraisal approaches are calculated in feasibility studies. The deterministic methods cannot ensure the required precision of the results, while the stochastic models guarantee the sufficient level of the accuracy and reliability of the obtained results, providing that the risks are properly identified, evaluated, and mitigated. Otherwise, the project performance indicators may not be confirmed during the phase of project realization. For instance, the economic and political instability can result in the undoing of hard-earned gains, leading to the need for the attraction of the additional finances for the project. The sources of the alternative investments, as well as supportive mitigation strategies, can be studied during the initial phases of project development. During this period, the effectiveness of the investments undertakings can also be improved by the inclusion of the various investors, e.g. Russian Railways’ enterprises and other private companies in the dry port projects. However, the evaluation of the effectiveness of the participation of different investors in the project lack the methods and models that would permit doing the particular feasibility study, foreseeing the quantitative characteristics of risks and their mitigation strategies, which can meet the tolerance of the investors to the risks. For this reason, the research proposes a combination of Monte Carlo method, discounted cash flow technique, the theory of real options, and portfolio theory via a system dynamics simulation approach. The use of this methodology allows for comprehensive risk management process of dry port development to cover all aspects of risk identification, risk evaluation, risk mitigation, risk monitoring, and control phases. A designed system dynamics model can be recommended for the decision-makers on the dry port projects that are financed via a public-private partnership. It permits investors to make a decision appraisal based on random variables of net present value and discounted payback period, depending on different risks factors, e.g. revenue risks, land acquisition risks, traffic volume risks, construction hazards, and political risks. In this case, the statistical mean is used for the explication of the expected value of the DPP and NPV; the standard deviation is proposed as a characteristic of risks, while the elasticity coefficient is applied for rating of risks. Additionally, the risk of failure of project investments and guaranteed recoupment of capital investment can be considered with the help of the model. On the whole, the application of these modern methods of simulation creates preconditions for the controlling of the process of dry port development, i.e. making managerial changes and identifying the most stable parameters that contribute to the optimal alternative scenarios of the project realization in the uncertain environment. System dynamics model allows analyzing the interactions in the most complex mechanism of risk management process of the dry ports development and making proposals for the improvement of the effectiveness of the investments via an estimation of different risk management strategies. For the comparison and ranking of these alternatives in their order of preference to the investor, the proposed indicators of the efficiency of the investments, concerning the NPV, DPP, and coefficient of variation, can be used. Thus, rational investors, who averse to taking increased risks unless they are compensated by the commensurate increase in the expected utility of a risky prospect of dry port development, can be guided by the deduced marginal utility of investments. It is computed on the ground of the results from the system dynamics model. In conclusion, the outlined theoretical and practical implications for the management of risks, which are the key characteristics of public-private partnerships, can help analysts and planning managers in budget decision-making, substantially alleviating the effect from various risks and avoiding unnecessary cost overruns in dry port projects.

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In this bachelor’s thesis are examined the benefits of current distortion detection device application in customer premises low voltage networks. The purpose of this study was to find out if there are benefits for measuring current distortion in low-voltage residential networks. Concluding into who can benefit from measuring the power quality. The research focuses on benefits based on the standardization in Europe and United States of America. In this research, were also given examples of appliances in which current distortion detection device could be used. Along with possible illustration of user interface for the device. The research was conducted as an analysis of the benefits of current distortion detection device in residential low voltage networks. The research was based on literature review. The study was divided to three sections. The first explain the reasons for benefitting from usage of the device and the second portrays the low-cost device, which could detect one-phase current distortion, in theory. The last section discuss of the benefits of usage of current distortion detection device while focusing on the beneficiaries. Based on the result of this research, there are benefits from usage to the current distortion detection device. The main benefitting party of the current distortion detection device was found to be manufactures, as they are held responsible of limiting the current distortion on behalf of consumers. Manufactures could adjust equipment to respond better to the distortion by having access to on-going current distortion in network. The other benefitting party are system operators, who would better locate distortion issues in low-voltage residential network to start prevention of long-term problems caused by current distortion early on.

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Enterprise resource planning (ERP) software is used to combine all the functions happening inside the organization with the help of one software. All the data is centralized which makes it easy to manage information for all participants. The literature on ERP is studied thoroughly the whole process of adoption till the implementation and final evaluations. But studies that focus on small and medium sized enterprises are limited in number when compared to the large scale enterprises. In case of Pakistan, research is very limited. In this thesis, the author tries to analyze the current status of SMEs usage of ERP system. The benefits obtained and challenges faced by SMEs of Pakistan are studied. Framework presented by Shang and Seddon (2000) is used to understand the benefits obtained by the SMEs in Pakistan. This is a comprehensive framework that classifies the benefits obtained by the ERP adoption, into five categories: operational benefits, managerial benefits, Strategic benefits, IT benefits, and Organizational benefits. The results show that SMEs of Pakistan are also getting many benefits after adoption of ERP. Most of the firms had implemented SAP software. Operational benefits were mentioned by all the firms. The most important benefits were report generation, quick access to critical information, better product and cost planning. Respondents also mentioned that they had reduced corruption as a result of ERP implementation. It is also an important benefit considering high corruption rate in Pakistan. Along with benefits, challenges faced by Pakistani SMEs included infrastructure problems like electricity, difficulties with integration of one module with other module, costs of adoption and lack of skilled ERP consultants. Further studies in this regard can be conducted on cloud based ERP which is fast growing all around the world.

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Työn tavoitteena on kehittää kohdeyrityksen hankintatoimea sekä varaston- ja materiaalienhallintaa kokonaisvaltaisesti. Pääpaino kehittämisessä kohdistuu materiaalitarvelaskennan systematisointiin ja parantamiseen sekä oikeiden varastonohjausmuotojen valintaan ja implementointiin. Teoreettisesti työ perustuu näin ollen erityisesti varastonohjauksen sekä materiaalitarvelaskennan kirjallisuuteen. Keskeiseksi kehityskohteeksi tunnistetaan varastotietojen ajantasaisuuden ja oikeellisuuden vaatimus. Tältä pohjalta työssä voidaan kehittää materiaalitarvelaskentajärjestelmä sekä tunnistaa ja implementoida valitut varastonohjausmuodot. Tärkeimmät toimittajat/nimikeryhmät käsitellään työssä tarkemmin ja kokonaiskustannusten analyysilla tunnistetaan, kuinka niiden hallintaa tulee jatkaa ja jatkokehittää. Kokonaisuutena, työn tuloksena saavutetaan kohdeyritykseen systemaattisesti ja taloudellisesti toimiva hankintatoimi, joka perustuu tehokkaaseen materiaalitarvelaskentaan ja perustellusti valittuihin varastonohjausmuotoihin. Tuotannonsuunnittelun tärkeys tunnistetaan erittäin suureksi ja se onkin jatkokehityskohteista kohdeyritykselle merkittävin tässä yhteydessä.