937 resultados para working hours


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Não obstante ao aumento do número de equipes de Saúde da Família no território brasileiro há disparidade na implantação da Estratégia Saúde da Família (ESF) em municípios de grande porte. Outras dificuldades enfrentadas referem-se aos recursos humanos em saúde (RHS). Nesse sentido, esta pesquisa objetivou analisar o cenário atual da gestão do trabalho na ESF nos municípios do Rio de Janeiro e Duque de Caxias. Metodologia: Estudo exploratório, de investigação narrativa, bibliográfica e documental, de abordagem qualitativa. A coleta de dados se deu em duas fases: pesquisa de material bibliográfico nas bases: LILACS, PAHO e WHOLIS, e de editais de processos seletivos e concursos públicos dos anos 2000, com vistas à contratação de profissionais de saúde para a ESF e; entrevistas semiestruturadas com gestores da ESF. O período de coleta perdurou entre agosto de 2010 e dezembro de 2011. Os documentos foram analisados à luz da estatística descritiva e as entrevistas submetidas à análise de conteúdo. Resultados: Escassez de literatura sobre a ESF nos municípios de Duque de Caxias e Rio de Janeiro. As contratações no Rio de Janeiro obedeceram a dois momentos: prefeitura e Organizações Sociais (OS) como contratantes. Em Duque de Caxias a contratação foi exclusividade da Prefeitura. No Rio de Janeiro os salários dos profissionais variaram entre R$ 728,59 (Agentes Comunitários de Saúde - ACS) e R$ 7.773,69 (médicos), contrastando com a isonomia salarial adotada em Duque de Caxias, com vencimentos ao redor de R$ 700,00 para os ACS, R$ 800,00 para nível técnico e; aproximadamente R$ 5.000,00 aos profissionais de nível superior. Os gestores sugerem que a maior rotatividade entre os médicos é motivada por carga horária excessiva; más condições de trabalho e, localização da unidade em áreas de risco social. As estratégias para atração e fixação profissional incluem: processos seletivos; garantia dos direitos trabalhistas e; abonos salariais, no caso do Rio de Janeiro e; flexibilização de carga horária, melhorias em infraestrutura e estratégias de qualificação, em Duque de Caxias. Entrevistas revelaram as maiores dificuldades na gestão da ESF: alta rotatividade, formação médica destoante com o SUS e, infraestrutura precária. Acrescenta-se o baixo salário para médicos em Duque de Caxias e, vínculos e salários distintos entre profissionais que exercem mesma função no Rio de Janeiro. Conclusões: A expansão da ESF nos grandes centros urbanos encontra obstáculos relacionados à gestão do trabalho que fragilizam sua consolidação. O Rio de Janeiro mostra-se mais atraente para os profissionais da ESF. O único diferencial de Duque de Caxias, sobretudo para odontólogos e enfermeiros, refere-se à contratação direta pela Prefeitura com vinculação estatutária, ainda que, eventual aumento salarial esteja atrelado ao de todos os servidores municipais. No Rio de Janeiro, a contratação sob regime da Consolidação das Leis do Trabalho revela-se uma proteção, posto que diante da possibilidade de perda de profissionais as OS elevam seus salários. Dentre as recomendações para fixação profissional incluem-se: incentivos salariais para atuação em regiões vulneráveis, melhorias em infraestrutura e, acoplação entre Instituições de Ensino Superior e rede de saúde.

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O estabelecimento das Diretrizes Curriculares Nacionais do curso de graduação em Farmácia (DCNF) ocasionou muitas discussões acerca da formação dos farmacêuticos, visto que demandam mudanças significativas nessa formação. Essas mudanças envolvem, entre outros aspectos, o componente humanístico e crítico da profissão, o que significa repensar a formação do farmacêutico e até mesmo sua própria identidade como profissional, que apresenta um perfil eminente técnico. Este trabalho tem por foco o processo de implementação das DCNF no Estado do Rio de Janeiro. Buscou-se verificar com esta vem se desenvolvendo e identificar alguns dos embates, entraves e avanços nesse processo. Para a análise, foram realizadas entrevistas semiestruturadas com os coordenadores de um conjunto de cursos selecionados, além do exame dos currículos e projetos pedagógicos dos mesmos, com base nas DCNF. Os resultados demonstram que a construção das novas propostas de formação dos cursos, ocorreu a partir do currículo anterior. Houve uma baixa participação dos alunos e docentes no processo e também ocorreram conflitos entre departamentos, além da inadequação da estrutura universitária. A diretriz da formação voltada para atenção à saúde com ênfase no SUS estimulou a abertura para discussões acerca do Sistema de Saúde e conduziu a inserção dos alunos no mesmo, também causou questionamentos e preocupação, por se considerar essa formação restritiva em relação ao mercado de trabalho. A implementação das propostas enfrentou dificuldade que envolveram a carga horária docente, dificuldade de inserção dos alunos em estágio em algumas áreas de atuação e a falta de investimentos no setor público, tanto de infraestrutura, como de pessoal, além das dificuldades inerentes ao processo de transição entre os currículos. Nenhum curso promoveu iniciativas sistemáticas de desenvolvimento docente e a diversificação dos cenários ensino-aprendizagem (e parcerias como serviços de saúde) ainda são muito incipientes. Foram apontados pelos próprios coordenadores alguns desafios a serem superados para mudança do perfil do farmacêutico: ruptura da concepção tecnicista na formação; inserção do farmacêutico nas equipes multiprofissionais de saúde (exercendo seu papel de forma eficiente e resolutiva); e a sensibilização dos docentes para melhor compreensão e comprometimento com as mudanças necessárias para se alcançar a formação desejada. Em relação a avaliação do MEC e cobrança da implementação das DC, os entrevistados sugerem que os cursos privados, são mais pressionados pelo Ministério. Paradoxalmente as universidade privadas podem acabar por implementar as DC em seus cursos com mais rapidez do que as universidades públicas, e portanto estarem mais voltadas para atender as demandas do SUS, por serem mais sensíveis a esta pressão. De acordo com os resultados dessa pesquisa, considera-se que já ocorreram, alguns avanços em decorrência do estabelecimento das DCNF, que se refletiram em mudanças nos cursos estudados. Entretanto, faz-se necessário e urgente o desenvolvimento de estratégias que garantam avanços mais sistemáticos nas mudanças na formação do farmacêutico.

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Studies on job burnout have drawn more and more attentions for clinical nurses, however, investigations on specific nurse sample, those working in the Tibet Plateau, are few. In this study, we evaluated the job burnout of the nurses working in the Tibet Plateau and investigated the influence of organization intervention on the job burnout of nurses. The questionnaires applied in this study included MBI-General Survey and Distributive,Procedural and interactive Justice . The results were as follows, First, certain degree of job burnout undoubtedly exists in the nurse sample working in the Tibet Plateau, although it was not serious in general. The factors, such as age, being soldier or not , weekly working hours and the professional titles, had significant influence on the levels of job burnout in the nurse sample of this study; Secondly, emotional exhaustion was at a higher level for the nurses working in the Tibet Plateau,a high altitude area than in those working in the low altitude area, while it was easier for nurses in the low altitude area to achieve personal accomplishment; Thirdly, a correlation was observed in the organizational justice and job burnout. Organization intervention can alleviate or prevent from the feelings of job burnout by improving the organization justice; Finally, taken together, we thus suggest that prevention is the most effective measure to prevent the onset of job burnout, and an improvement in the social organization and personal skills and attitudes simultaneously are much appreciated.

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Purpose and rationale The purpose of the exploratory research is to provide a deeper understanding of how the work environment enhances or constrains organisational creativity (creativity and innovation) within the context of the advertising sector. The argument for the proposed research is that the contemporary literature is dominated by quantitative research instruments to measure the climate and work environment across many different sectors. The most influential theory within the extant literature is the componential theory of organisational creativity and innovation and is used as an analytical guide (Amabile, 1997; Figure 8) to conduct an ethnographic study within a creative advertising agency based in Scotland. The theory suggests that creative people (skills, expertise and task motivation) are influenced by the work environment in which they operate. This includes challenging work (+), work group supports (+), supervisory encouragement (+), freedom (+), sufficient resources (+), workload pressures (+ or -), organisational encouragement (+) and organisational impediments (-) which is argued enhances (+) or constrains (-) both creativity and innovation. An interpretive research design is conducted to confirm, challenge or extend the componential theory of organisational creativity and innovation (Amabile, 1997; Figure 8) and contribute to knowledge as well as practice. Design/methodology/approach The scholarly activity conducted within the context of the creative industries and advertising sector is in its infancy and research from the alternative paradigm using qualitative methods is limited which may provide new guidelines for this industry sector. As such, an ethnographic case study research design is a suitable methodology to provide a deeper understanding of the subject area and is consistent with a constructivist ontology and an interpretive epistemology. This ontological position is conducive to the researcher’s axiology and values in that meaning is not discovered as an objective truth but socially constructed from multiple realties from social actors. As such, ethnography is the study of people in naturally occurring settings and the creative advertising agency involved in the research is an appropriate purposive sample within an industry that is renowned for its creativity and innovation. Qualitative methods such as participant observation (field notes, meetings, rituals, social events and tracking a client brief), material artefacts (documents, websites, annual reports, emails, scrapbooks and photographic evidence) and focused interviews (informal and formal conversations, six taped and transcribed interviews and use of Survey Monkey) are used to provide a written account of the agency’s work environment. The analytical process of interpreting the ethnographic text is supported by thematic analysis (selective, axial and open coding) through the use of manual analysis and NVivo9 software Findings The findings highlight a complex interaction between the people within the agency and the enhancers and constraints of the work environment in which they operate. This involves the creative work environment (Amabile, 1997; Figure 8) as well as the physical work environment (Cain, 2012; Dul and Ceylan, 2011; Dul et al. 2011) and that of social control and power (Foucault, 1977; Gahan et al. 2007; Knights and Willmott, 2007). As such, the overarching themes to emerge from the data on how the work environment enhances or constrains organisational creativity include creative people (skills, expertise and task motivation), creative process (creative work environment and physical work environment) and creative power (working hours, value of creativity, self-fulfilment and surveillance). Therefore, the findings confirm that creative people interact and are influenced by aspects of the creative work environment outlined by Amabile (1997; Figure 8). However, the results also challenge and extend the theory to include that of the physical work environment and creative power. Originality/value/implications Methodologically, there is no other interpretive research that uses an ethnographic case study approach within the context of the advertising sector to explore and provide a deeper understanding of the subject area. As such, the contribution to knowledge in the form of a new interpretive framework (Figure 16) challenges and extends the existing body of knowledge (Amabile, 1997; Figure 8). Moreover, the contribution to practice includes a flexible set of industry guidelines (Appendix 13) that may be transferrable to other organisational settings.

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Background: Hospital clinicians are increasingly expected to practice evidence-based medicine (EBM) in order to minimize medical errors and ensure quality patient care, but experience obstacles to information-seeking. The introduction of a Clinical Informationist (CI) is explored as a possible solution. Aims:  This paper investigates the self-perceived information needs, behaviour and skill levels of clinicians in two Irish public hospitals. It also explores clinicians perceptions and attitudes to the introduction of a CI into their clinical teams. Methods: A questionnaire survey approach was utilised for this study, with 22 clinicians in two hospitals. Data analysis was conducted using descriptive statistics. Results: Analysis showed that clinicians experience diverse information needs for patient care, and that barriers such as time constraints and insufficient access to resources hinder their information-seeking. Findings also showed that clinicians struggle to fit information-seeking into their working day, regularly seeking to answer patient-related queries outside of working hours. Attitudes towards the concept of a CI were predominantly positive. Conclusion: This paper highlights the factors that characterise and limit hospital clinicians information-seeking, and suggests the CI as a potentially useful addition to the clinical team, to help them to resolve their information needs for patient care.

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This is a dissertation about identity and governance, and how they are mutually constituted. Between 1838 and 1917, the British brought approximately half a million East Indian laborers to the Atlantic to work on sugar plantations. The dissertation argues that contrary to previous historiographical assumptions, indentured East Indians were an amorphous mass of people drawn from various regions of British India. They were brought together not by their innate "Indian-ness" upon their arrival in the Caribbean, but by the common experience of indenture recruitment, transportation and plantation life. Ideas of innate "Indian-ness" were products of an imperial discourse that emerged from and shaped official approaches to governing East Indians in the Atlantic. Government officials and planters promoted visions of East Indians as "primitive" subjects who engaged in child marriage and wife murder. Officials mobilized ideas about gender to sustain racialized stereotypes of East Indian subjects. East Indian women were thought to be promiscuous, and East Indian men were violent and depraved (especially in response to East Indian women's promiscuity). By pointing to these stereotypes about East Indians, government officials and planters could highlight the promise of indenture as a civilizing mechanism. This dissertation links the study of governance and subject formation to complicate ideas of colonial rule as static. It uncovers how colonial processes evolved to handle the challenges posed by migrant populations.

The primary architects of indenture, Caribbean governments, the British Colonial Office, and planters hoped that East Indian indentured laborers would form a stable and easily-governed labor force. They anticipated that the presence of these laborers would undermine the demands of Afro-Creole workers for higher wages and shorter working hours. Indenture, however, was controversial among British liberals who saw it as potentially hindering the creation of a free labor market, and abolitionists who also feared that indenture was a new form of slavery. Using court records, newspapers, legislative documents, bureaucratic correspondence, memoirs, novels, and travel accounts from archives and libraries in Britain, Guyana, and Trinidad and Tobago, this dissertation explores how indenture was envisioned and constantly re-envisioned in response to its critics. It chronicles how the struggles between the planter class and the colonial state for authority over indentured laborers affected the way that indenture functioned in the British Atlantic. In addition to focusing on indenture's official origins, this dissertation examines the actions of East Indian indentured subjects as they are recorded in the imperial archive to explore how these people experienced indenture.

Indenture contracts were central to the justification of indenture and to the creation of a pliable labor force in the Atlantic. According to English common law, only free parties could enter into contracts. Indenture contracts limited the period of indenture and affirmed that laborers would be remunerated for their labor. While the architects of indenture pointed to contracts as evidence that indenture was not slavery, contracts in reality prevented laborers from participating in the free labor market and kept the wages of indentured laborers low. Further, in late nineteenth-century Britain, contracts were civil matters. In the British Atlantic, indentured laborers who violated the terms of their contracts faced criminal trials and their associated punishments such as imprisonment and hard labor. Officials used indenture contracts to exploit the labor and limit the mobility of indentured laborers in a manner that was reminiscent of slavery but that instead established indentured laborers as subjects with limited rights. The dissertation chronicles how indenture contracts spawned a complex inter-imperial bureaucracy in British India, Britain, and the Caribbean that was responsible for the transportation and governance of East Indian indentured laborers overseas.

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This paper analyses some of the factors that impact multinational companies' (MNCs) reaction to the global financial crisis. This paper reports the results from a large-scale study of its impact on MNCs in Australia, considering occurrences of site closures, offshoring, outsourcing, labour force reductions, reductions in working hours, salary reductions, and reductions in training and travel. Evidence showed that MNC reactions varied according to certain institutional and organizational effects. For example, MNCs originating from liberal-market economies are more likely to have offshored and outsourced production and reduced employment. The implications for understanding of MNC behaviour are discussed. © 2013 Copyright Taylor and Francis Group, LLC.

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Trabalho de projecto de mestrado, Ciências da Educação (Formação de Adultos), Universidade de Lisboa, Instituto de Educação, 2010

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Introduction: Coronary heart disease (CHD) is one of the leading causes of death in both men and women worldwide. Despite the common misconception that CHD is a ‘man's disease’, it is now well accepted that women endure worse clinical outcomes than men following CHD-related events. A number of studies have explored whether or not gender differences exist in patients presenting with CHD, and specifically whether women delay seeking help for cardiac conditions. UK and overseas studies on help-seeking for emergency cardiac events are contradictory, yet suggest that women often delay help-seeking. In addition, no studies have looked at presumed cardiac symptoms outside an emergency situation. Given the lack of understanding in this area, an explorative qualitative study on the gender differences in help-seeking for a non-emergency cardiac events is needed. Methods and analysis: A purposive sample of 20–30 participants of different ethnic backgrounds and ages attending a rapid access chest pain clinic will be recruited to achieve saturation. Semistructured interviews focusing on help-seeking decision-making for apparent cardiac symptoms will be undertaken. Interview data will be analysed thematically using qualitative software (NVivo) to understand any similarities and differences between the way men and women construct help-seeking. Findings will also be used to inform the preliminary development of a cardiac help-seeking intentions questionnaire. Ethics and dissemination: Ethical approvals were sought and granted. Namely, the University of Westminster (sponsor) and St Georges NHS Trust REC, and the Trust Research and Development Office granted approval to host the study on the Queen Mary's Roehampton site. The study is low risk, with interviews being conducted on hospital premises during working hours. Investigators will disseminate findings via presentations and publications. Participants will receive a written summary of the key findings.

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Dissertação apresentada ao Instituto Politécnico do Porto para obtenção do Grau de Mestre em Gestão das Organizações, Ramo de Gestão de Empresas Orientada por Prof. Doutora Maria Alexandra Pacheco Ribeiro da Costa Esta dissertação inclui as críticas e sugestões feitas pelo júri.

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Hospitals are considered as a special and important type of indoor public place where air quality has significant impacts on potential health outcomes. Information on indoor air quality of these environments, concerning exposures to particulate matter (PM) and related toxicity, is limited though. This work aims to evaluate risks associated with inhalation exposure to ten toxic metals and chlorine (As, Ni, Cr, Cd, Pb, Mn, Se, Ba, Al, Si, and Cl) in coarse (PM2.5–10) and fine (PM2.5) particles in a Portuguese hospital in comparison with studies representative of other countries. Samples were collected during 1 month in one urban hospital; elemental PM characterization was determined by proton-induced X-ray emission. Noncarcinogenic and carcinogenic risks were assessed according to the methodology provided by the United States Environmental Protection Agency (USEPA; Region III Risk-Based Concentration Table) for three different age categories of hospital personnel (adults, >20, and <65 years) and patients (considering nine different age groups, i.e., children of 1–3 years to seniors of >65 years). The estimated noncarcinogenic risks due to occupational inhalation exposure to PM2.5-bound metals ranged from 5.88×10−6 for Se (adults, 55–64 years) to 9.35×10−1 for As (adults, 20–24 years) with total noncarcinogenic risks (sum of all metals) above the safe level for all three age categories. As and Cl (the latter due to its high abundances) were the most important contributors (approximately 90 %) to noncarcinogenic risks. For PM2.5–10, noncarcinogenic risks of all metals were acceptable to all age groups. Concerning carcinogenic risks, for Ni and Pb, they were negligible (<1×10−6) in both PM fractions for all age groups of hospital personnel; potential risks were observed for As and Cr with values in PM2.5 exceeding (up to 62 and 5 times, respectively) USEPA guideline across all age groups; for PM2.5–10, increased excess risks of As and Cr were observed particularly for long-term exposures (adults, 55–64 years). Total carcinogenic risks highly (up to 67 times) exceeded the recommended level for all age groups, thus clearly showing that occupational exposure to metals in fine particles pose significant risks. If the extensive working hours of hospital medical staff were considered, the respective noncarcinogenic and carcinogenic risks were increased, the latter for PM2.5 exceeding the USEPA cumulative guideline of 10−4. For adult patients, the estimated noncarcinogenic and carcinogenic risks were approximately three times higher than for personnel, with particular concerns observed for children and adolescents.

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RÉSUMÉ: L’objectif de ce mémoire de recherche était double, soit de mesurer l’effet des conditions de l’organisation du travail sur la consommation de médicaments psychotropes ainsi que de mesurer l’effet modérateur de la famille sur cette relation dans la population de travailleurs canadiens. Les données utilisées pour mener à terme cette recherche sont des données secondaires provenant de l’Enquête sur la Santé dans les Collectivités Canadiennes (ESCC cycle 2.1) de Statistique Canada. La consommation de médicaments psychotropes fut mesurée sur une période d’un mois. La prévalence de consommation chez les travailleurs canadiens s’élève à 8.8%, plus particulièrement 6.3% pour les hommes et 11.7% en ce qui concerne les femmes. À l’égard des conditions de l’organisation du travail, le nombre d’heures travaillées est associé de manière négative à la consommation de médicaments psychotropes. Ainsi, plus le nombre d’heures travaillées augmente, plus le risque de consommer des médicaments psychotropes est faible. Quant à la situation familiale, le fait de vivre seul, ainsi que le fait d’avoir un revenu économique élevé sont tous deux associés à la consommation de médicaments psychotropes. Les résultats de cette étude suggèrent une influence de la part des conditions de l’organisation du travail et de la famille sur la consommation de médicaments psychotropes. Toutefois, il nous est impossible à cette étape de montrer un effet modérateur de la famille sur la relation entre les conditions de l’organisation du travail et la consommation de médicaments psychotropes. MOTS CLÉS : Conditions de l’organisation du travail, médicaments psychotropes, famille, population active canadienne

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Un nombre croissant de salariés ont aujourd’hui accès à l’Internet et à la messagerie électronique sur leur lieu de travail. Ils sont parfois tentés d’utiliser ces outils à des fins autres que professionnelles, ce qui constitue une source potentielle de conflits. En effet, sous prétexte d’assurer la protection de leurs biens et équipements, de vérifier que les salariés exécutent leurs obligations et de prévenir les risques de responsabilité, les entreprises contrôlent de plus en plus souvent – et parfois subrepticement – l’utilisation qui est faite des ressources ainsi fournies. Les employés, de leur côté, revendiquent leur droit à ce que leurs activités personnelles en ligne demeurent privées, même lorsqu’elles sont réalisées durant leur temps de travail et avec le matériel de l’employeur. Peuvent-ils raisonnablement voir leurs droits protégés, bien que le droit à la vie privée soit traditionnellement atténué en milieu de travail et que les entreprises aient accès à des technologies offrant des possibilités d’espionnage toujours plus intrusives? Comment trouver un équilibre viable entre le pouvoir de direction et de contrôle de l’employeur et les droits des salariés? Il s’agit d’une problématique à laquelle les tribunaux sont de plus en plus souvent confrontés et qui les amène régulièrement à réinterpréter les balises établies en matière de surveillance patronale, au regard des spécificités des technologies de l’information. Ce contexte conflictuel a également entraîné une évolution des pratiques patronales, dans la mesure où un nombre grandissant d’employeurs se dotent d’outils techniques et juridiques leur permettant de se protéger contre les risques, tout en s’aménageant un droit d’intrusion très large dans la vie privée des salariés.

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This thesis entitled “Child labour in india”Children are "supremely important assets" of the nation, India proudly asserts in the National Policy for Children (1974) gracefully acknowledging that they are future citizens on whose shoulders the destiny of our nation rests.Childhood is a time of discovery as the world and all it contains are new to children. It is a time of excitement and anticipation. lt is a time of dreams and fantasies. And it is a time of receiving love and appreciation. Paradoxically, a picture of contrast is a common experience in India as a vast majority of children who are starved of basic needs of nutrition, health and education are made to work at an early age in exploitative conditions. The specter of child labour is a glaring anomaly in a country graciously adorning human right. In an exposition of the problem involving human rights abuse, Chapters from Two to Five of this study have shot into focus the human rights jurisprudence with special reference to the rights of children. Children have a particular identity as children and they also have a universal identity as human beings.The concern for mankind expressed unequivocally and transcending the globe will be real and moving and not mere rhetoric and ritual if and only when it begins with children, as, to quote the words of Nehru, the human being counts much more as a child than as a grown up.The first three of these rights namely right to health, right to nutritive food and right to education are dealt with in Chapter Four. Finally, the positive effects of education have been sketched in that chapter to impress upon its significance in the development of human capitals.legitimization. The theme of legitimacy was rationalised on the ground of poverty as a strategy for achieving eradication of child labour ultimately by enforcing minimum wages, shorter working hours, leave compensation, non-formal education etc., as the employer would soon discover that child labour is not cheap and would be obliged to substitute adult labour. However, humanising the work life is only a promise to the detriment of children as the Act of 1986 enacted as a part of the new strategy is nearingcompletion of a decade of existence but nowhere near the fulfilment of the mission.As similar urge is more necessary and overdue, it has been suggested that a special body be established with all powers for cognisance of human rights abuse of children.It is proposed to conclude this study with a brief summary of the inferences drawn from the foregoing chapters along with a few suggestions emerging out of those inferences

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Arbeitszeitpolitik und Arbeitszeitgestaltung haben seit dem Tarifkompromiss im Jahre 1984 in der Metall-, und Elektroindustrie in der politischen und wissenschaftlichen Diskussion einen immensen Bedeutungszuwachs erfahren. Die Forderungen nach einer flexibleren Arbeitszeitgestaltung haben zeitgleich sowohl aus der Globalisierungsdiskussion und der Debatte um die Wettbewerbsfähigkeit des "Wirtschaftsstandorts Deutschland" heraus wie auch aus beschäftigungspolitischen Gründen neuen Auftrieb bekommen. Die Diskussion um die Arbeitszeit ist gleichzeitig von verschiedenen, meist gegensätzlichen Interessen geprägt: Auf der Beschäftigtenseite zielt die Arbeitszeitflexibilisierung nach wie vor auf Zeitsouveränität: d.h. auf eine bessere Vereinbarkeit der Arbeitszeit mit allen Aktivitäten außerhalb der Arbeitszeit ab. Demgegenüber stellt die Arbeitgeberseite den betriebswirtschaftlichen Aspekt in den Vordergrund. D.h. die Anpassung der Arbeitszeit an den tatsächlichen Arbeitsanfall. So soll durch aufeinander abgestimmte Gestaltung von Betriebszeit und Arbeitszeit die Erhöhung der Produktivität und die Sicherung der Wettbewerbsfähigkeit erzielt werden. Durch diesen Trend verlor das sog. Normalarbeitsverhältnis an Allgemeingültigkeit und die Flexibilisierung der Arbeitszeiten nahm seit langem kontinuierlich zu. Folge ist, dass mittlerweile eine breite Palette von Arbeitszeitmodellen existiert, in denen die gesetzlich und vertraglich vereinbarte Wochenarbeitszeit in den Dimensionen Lage, Länge und Verteilung flexibilisiert wird. Auch die Tarifverhandlungen und Auseinandersetzung der Tarifparteien zur Arbeitszeitpolitik sind dadurch gekennzeichnet, dass die Arbeitszeitflexibilisierung und Verlagerung der Tarifpolitik auf betriebliche Ebene einen Bedeutungszuwachs bekam und die Meinungsführerschaft in Sachen Arbeitszeitgestaltung von der IG Metall zu Gesamtmetall wechselte. Ziel der vorliegenden Dissertation war es, anhand einer empirisch-historischen Untersuchung über Einstellungen sowie Strategien von Gesamtmetall und IG Metall die Gestaltungsspielräume flexibler Arbeitszeitmodelle zu bestimmen und gleichzeitig die Defizite herauszuarbeiten. Die Untersuchung gründete sich in erster Linie auf die Dokumentenanalyse von Stellungnahmen der Gesamtmetall und IG-Metall-Leitungsgremien sowie Primär- und Sekundäranalyse von Befragungen der Beschäftigten. Die leitende Frage der Untersuchung war, ob es den Arbeitgeberverbänden und den Gewerkschaften gelingen konnte, die Erfordernisse eines Betriebes und die Belange der Beschäftigten weitgehend in Übereinstimmung zu bringen? Und (wenn ja) unter welchen Voraussetzungen die neuen flexiblen Arbeitszeitsysteme mit den betrieblichen und außerbetrieblichen Interessen der Beschäftigten zu vereinbaren sind. Den Hintergrund für diese Zielerreichung bildete der gesellschaftliche Konflikt zwischen Arbeit und Kapital. Denn die Schwierigkeit bzw. Komplexität lag in der Frage, wie die unterschiedlichen Interessen, die sich in der industriekapitalistischen Gesellschaft durch den Gegensatz "Kapital" und "Arbeit" bestimmen lassen, zu vereinbaren waren bzw. sind.