This is dedicated, once again, to our readers. The true work of balance in our lives is to create pleasure and meaning for ourselves and others while pursuing justice, freedom, and mercy for all. For Bedford/St. Martin’s Executive Editor: Erika Gutierrez Developmental Editor: Karen Schultz Moore Associate Editor: Ada Fung Production Associates: Sarah Ulicny, Samuel Jones Marketing Manager: Adrienne Petsick Text Design: Books By Design, Inc. Project Management: Books By Design, Inc. Cover Design: Donna L. Dennison Cover Art: Frank Stella, Tahkt-I-Sulayman Variation II © 2009 Frank Stella / Artist Rights Society (ARS), New York. Composition: Books By Design, Inc. Printing and Binding: RR Donnelley & Sons Company President: Joan E. Feinberg Editorial Director: Denise B. Wydra Director of Development: Erica T. Appel Director of Marketing: Karen R. Soeltz Director of Editing, Design, and Production: Marcia Cohen Assistant Director of Editing, Design, and Production: Elise S. Kaiser Manager, Publishing Services: Emily Berleth Library of Congress Control Number: 2009928646 Copyright © 2010, 2007, 2004 by Bedford/St. Martin’s All rights reserved. No part of this book may be reproduced, stored in a retrieval system, or transmitted in any form or by any means, electronic, mechanical, photocopying, recording, or otherwise, except as may be expressly permitted by the applicable copyright statutes or in writing by the Publisher. Manufactured in the United States of America. 4 3 2 1 0 9 f e d c b a For information, write: Bedford/St. Martin’s, 75 Arlington Street, Boston, MA 02116 (617-399-4000) ISBN-10: 0-312-57486-X ISBN-13: 978-0-312-57486-4 Acknowledgments Acknowledgments and copyrights are continued at the back of the book on pages 363–65, which constitute an extension of the copyright page.
SIXTH EDITION
Organizational Communication Balancing Creativity and Constraint ERIC M. EISENBERG University of South Florida
H. L. GOODALL JR. Arizona State University
ANGELA TRETHEWEY Arizona State University
Bedford / St. Martin’s Boston ♦ New York
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Preface
“May you live in interesting times” is purportedly a Chinese curse, although no evidence exists that the curse is Chinese in origin. No matter. The phrase speaks to the tensions and general tenor of our times. These are indeed strange times for our world and for the study and practice of organizational communication. As we set out to write this latest edition of our textbook, many of the natural and social systems we had for decades taken for granted were embroiled in global economic and ecological crises. The reality of global warming hit home for affected populations as well as concerned scientists; the housing and banking industries, after a period of inflated values and bad lending practices, coalesced to produce worldwide economic downturns; and the United States and its allies were engaged in what seemed destined to be a protracted war against a series of loosely connected networks of ill-defined enemies in the Middle East. As scholars, we look at these events and circumstances as rich and meaningful opportunities to discuss the ways in which organizing and communicating affect the world — in both personal and global ways. Yet we’re often surprised that our students initially fail to see the connection between the world around them and the study of organizational communication. For many students, “org comm” is something that accountants working for Fortune 500 companies “do.” It involves organizational charts, agendas, and difficult supervisors. As teachers, we believe that helping our students think critically about the state of all types of organizations from a communication vantage — and showing the communicative linkages from the university level to the national and international levels — can generate profound conversations inside and outside the classroom and can serve as an impetus for positive change. We trust that effective communication is the key requirement for creating and sustaining a democratic society in a decidedly diverse and changing world. This book, therefore, distills what we have learned about the role and importance of organizational communication within today’s rapidly evolving social context, and we proudly share it with you. From its inception to this sixth edition, our text has evolved to meet the demands of the field and the organizational communication
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Preface classroom. Its overarching model, however, has remained the same. We continue to emphasize a balance of creativity and constraint — that is, the ability to simultaneously consider the enabling and constraining aspects of communication. Striking this balance helps people to achieve their professional and personal goals. As humans we struggle to be individualistic and heroic (asserting our creativity) yet still belong to a group (responding to social and institutional constraints). Our model examines this struggle through the lens of everyday communication practices as they play out in the workplace.
OVERVIEW OF THE BOOK Part I of the text, “Approaching Organizational Communication,” includes two chapters that provide readers with an overview of the discipline and the concepts they’ll need to master the ideas and methods presented throughout the rest of the text. Chapter 1, “Communication and the Changing World of Work,” introduces the idea of organizational communication, provides reasons for its study, and describes in detail the nature of the work today. Chapter 2, “Defining Organizational Communication,” examines four definitions of the concept and offers the notion of ethical and mindful dialogue as a productive way to think about communication at work. Part II of the text, “Theories of Organizational Communication,” covers five distinct theoretical perspectives on organizational communication that motivate research and practice. Chapter 3, “Four Perspectives on Organizations and Communication,” reviews classical organizational theories as well as systems theories and explores their implications for communication. Chapter 4, “Cultural Studies of Organizations and Communication,” uses a metaphor borrowed from anthropology and adopted by many organizations to examine the role of communication in the creation, maintenance, and transformation of organizational reality. Finally, Chapter 5, “Critical Approaches to Organizations and Communication,” takes a different approach altogether, starting with the premise that research should be directed at illuminating and correcting inequalities at work. Particular attention is paid to how privilege is distributed unevenly across race, gender, and class differences. Part III of the text, “Contexts for Organizational Communication,” explores the various practical settings in which the theories described above can be applied. It starts with Chapter 6, “Identity and Difference in Organizational Life,” which recasts organizations as the site of multiple and intersecting identifications and explores multiple ways of organizing difference. Chapter 7, “Teams and Networks: Collaboration in the Workplace,” takes a specific look at incremental and more radical attempts to organize through the use of teams and networks, along with a review of those factors that most influence their success. Chapter 8, “Communicating Leadership,” reframes leadership as a communicative activity, reviews relevant research, and presents a summary of practical forms of effective leader communication. Chapter 9, “Organizational Alignment: Managing the Total Enterprise,”
Preface argues that for an organization to be truly effective, good communication must be accompanied by many other changes to an organization’s current alignment. Finally, the Appendix, “A Field Guide to Studying Organizational Communication,” provides students and instructors with a helpful step-by-step process for planning, researching, participating in, and writing a qualitative account of an organization’s communication practices.
ENDURING FEATURES OF THE TEXT Our goal for this text has always been to help students bridge the gap between what they learn in school and what they experience outside the classroom. Toward this end, we continue to offer several unique features that help students think critically about the world of work, the organizations in their personal lives, and the larger global issues that undoubtedly affect their present and future. As always, we are pleased to offer new examples of each feature in the sixth edition of our text. • Case studies link theory with practice. One or two case studies in every chapter challenge students to put what they’ve learned into practice. In Chapter 5, students help a fire department prevent firefighters from taking unnecessary risks; in Chapter 7, they help a fledgling garden business find an appropriate organizational structure. Questions follow each case study, encouraging student involvement and lively class discussion. • What Would You Do? boxes in every chapter help students to appreciate complex ethical decision making, presenting them with a variety of dilemmas they may well face in their lives as students, employees, and citizens. • Everyday Organizational Communication boxes in every chapter help students to recognize the ways in which organizational theory is already at work in their lives, bridging the gap between academic research and everyday experiences. From scientific management at the gym to creativity and constraint in online dating, students will recognize the relevance of the material to life outside the classroom. In addition, we continue to offer “A Field Guide to Studying Organizational Communication,” which introduces basic observational methods to prepare students to assess real-life organizational problems.
NEW TO THIS EDITION Whenever we approach a new edition of Organizational Communication we are guided by our colleagues’ suggestions as well as a desire to provide our readers with the most current and relevant research available. We also care a great deal about
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Preface finding new and innovative ways to offer students practical applications of organizational communication’s theories and concepts, particularly in light of today’s pressing ethical, political, financial, and environmental issues. As such, we have made the following improvements to this sixth edition: • Simplified, succinct coverage of the history of organizational communication. A new Chapter 3, “Four Perspectives on Organizations and Communication,” combines discussions of classical management, human relations, human resources, and systems theories into one teachable chapter. • Expanded coverage of communication ethics in Chapter 2 ensures that students appreciate the critical importance of working with integrity and engaging in mindful dialogue in a diverse world. • New research and examples, including coverage of discursive leadership, the global economic crisis, and Michelle Obama’s advocacy for work/life policies, highlight organizational communication’s evolving achievements while keeping the material fresh and relevant for today’s students. • A new, comprehensive online and print supplements program offers students more opportunities than ever before to practice and apply what they’ve learned. Instructors also benefit from a revised Instructor’s Manual and a brand new test bank.
INSTRUCTOR AND STUDENT ANCILLARIES Over the past three years, we’ve noticed an increased demand for additional instructor support and online student support to accompany our textbook. This need makes sense given the changes in the organizational classroom. Increasingly we’re seeing organizational communication courses taught entirely online. We’re also seeing many new instructors step up to teach this exciting course. In response, we’re excited to offer a robust ancillary package to support and complement our text. Teachers and students of organizational communication will benefit from the following: • Online Instructor’s Manual. This highly praised, thoroughly updated manual offers a wealth of support for busy professors, including useful lecture outlines, thought-provoking classroom activities, suggestions for useful and relevant movie and television clips, and thoughts on using the book’s pedagogy with students. Please visit our catalog page www.bedfordstmartins .com/orgcomm/catalog to download this resource. • Print and Computerized Test Bank. This brand new test bank ensures that instructors have options to assess their students’ understanding of the material, including a variety of multiple-choice, true-false, short-answer, and
Preface essay questions. To order a copy of the test bank, please visit our catalog page www.bedfordstmartins.com/orgcomm/catalog. • Free Book Companion Site. Our new companion site offers students the opportunity to study from useful chapter outlines and to assess their own understanding of material through online quizzing. Visit www.bedfordstmartins .com/orgcomm.
ACKNOWLEDGMENTS Textbooks are published with the authors’ names listed on the cover, but in every way publishing a textbook is a team effort. We are especially grateful for the strong support that this edition of Organizational Communication has received from Bedford/ St. Martin’s. In particular, we want to thank Erika Gutierrez, executive editor; Karen Schultz Moore, developmental editor; Ada Fung, associate editor; Emily Berleth, manager of publishing services; and Herb Nolan at Books By Design. All of these fine professionals contributed to this project in ways that have made the sixth edition of this text the best book it could have been. We also want to thank our colleagues and friends at other universities and colleges who reviewed our textbook and offered insightful suggestions for improvement: Meredith Marko Harrigan, State University of New York at Geneseo; Jonathan R. Slater, State University of New York at Plattsburgh; Mary Wilson, La Sierra University; Theresa Castor, University of Wisconsin at Parkside; Axel Westerwick, Ohio State University; Willona Olison, DePaul University; Kathleen J. Krone, University of Nebraska; Bethany Goodier, College of Charleston; Amy O’Connor, North Dakota State University; Beverley D. Sypher, Purdue University; Linda Dickerhoof, George Mason University; Faye Mangrum, Southeastern Oklahoma State University; and Matthew Walker, Northwest Missouri State University. In addition, we are personally and professionally indebted to a number of colleagues, students, and staff members for their support of this project, specifically Pete Kellett of the University of North Carolina at Greensboro; Steve Corman, Jess Alberts, Sarah J. Tracy, Bob McPhee, and Ed Palazzolo of the Hugh Downs School of Human Communication at Arizona State University; Cliff Scott of the University of North Carolina at Charlotte; and Patricia Riley of the University of Southern California. Thanks also to Marianne LeGreco at the University of North Carolina at Greensboro for her fine work on the ancillary material for this edition. Finally, we could not have written this edition without the enthusiastic and loving support of members of our immediate families: Lori Roscoe, Evan and Joel Eisenberg, Sandra and Nic Goodall, and Jeff and Anna Brown. We are also grateful for our extended families — especially Clarence and Martha Bray, and Karner, Candy, and Allyson Trethewey — and our close friends.
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Preface As always, we are grateful to those individuals who, despite the intellectual, social, political, economic, and spiritual turmoil of our time, remain committed to continuing the dialogue. Eric M. Eisenberg University of South Florida H. L. Goodall Jr. Arizona State University, Tempe Angela Trethewey Arizona State University, Tempe
Contents
Preface
iii
About the Authors
PA RT I
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Approaching Organizational Communication
CHAPTER 1
PERSPECTIVE
Communication and the Changing World of Work
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THE CHANGING WORLD OF WORK The Inevitability of Change
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New Developments in the World of Work Beyond Space: The Global Economy Questionable Labor Practices
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EVERYDAY ORGANIZATIONAL COMMUNICATION Globalization and You! Multicultural Management
WHAT WOULD YOU DO? Religious Differences in the Classroom Communication Technology
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Beyond Time: Competition and the Urgent Organization Beyond Loyalty: The New Social Contract Shifting Power Bases
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Contents New Values and Priorities 20 The Meaning of Work 21 WHAT WOULD YOU DO? Organizational Structure and Employee Well-Being 22 Who Can Afford to Prioritize?
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23 SUMMARY QUESTIONS FOR REVIEW AND DISCUSSION 24 KEY TERMS 24 CASE STUDY: THE CASE OF THE “ITALIAN” SHOES
CHAPTER 2
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Defining Organizational 26 Communication
APPROACHES TO ORGANIZATIONAL 26 COMMUNICATION Communication as Information Transfer
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Communication as Transactional Process Communication as Strategic Control
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WHAT WOULD YOU DO? Sudden Flags: Organizational Ambiguity in Action 31
Communication as a Balance of Creativity and Constraint
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EVERYDAY ORGANIZATIONAL COMMUNICATION Online Networking Profiles: Balancing Creativity and Constraint 33
ORGANIZATIONS AS DIALOGUES
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Dialogue and the Situated Individual
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Definitions of Dialogue
40 Dialogue as Mindful Communication 41 Dialogue as Equitable Transaction 43 Dialogue as Empathic Conversation 43 Dialogue as Real Meeting 44
INTEGRITY AND ETHICS IN ORGANIZATIONAL 46 COMMUNICATION THINKING TOGETHER: MINDFUL AND 50 ETHICAL DIALOGUE 51 SUMMARY QUESTIONS FOR REVIEW AND DISCUSSION KEY TERMS 52 CASE STUDY: THE MANY ROBERT SMITHS
52 53
Contents
PA RT I I
Theories of Organizational Communication
CHAPTER 3
Four Perspectives on Organizations 59 and Communication
WHY THEORY?
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Theories Are Partial
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Theories Are Partisan
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Theories Are Problematic
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CLASSICAL MANAGEMENT APPROACHES From Empire to Hierarchy
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From Resistance to Domination The Industrial Revolution Scientific Management
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Fayol’s Classical Management
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EVERYDAY ORGANIZATIONAL COMMUNICATION Scientific Management at the Gym 67
Bureaucracy
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Implications for Organizational Communication
THE HUMAN RELATIONS APPROACH Historical and Cultural Background What Is Human Relations? The Hawthorne Studies
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Reflections on Human Relations
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THE HUMAN RESOURCES APPROACH Maslow’s Hierarchy of Needs
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McGregor’s Theory Y Management
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Likert’s Principle of Supportive Relationships
THE SYSTEMS PERSPECTIVE What Is a System?
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WHAT WOULD YOU DO? The Politics of Middle Management
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Contents Environment and Open Systems Interdependence 82
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WHAT WOULD YOU DO? Locavores, Sustainability, and Systems Goals 85 Processes and Feedback 85 Openness, Order, and Contingency
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THE APPEAL OF SYSTEMS THEORY FOR ORGANIZATIONAL 87 COMMUNICATION Peter Senge’s Learning Organization Karl Weick’s Sense-Making Model Retrospective Sense Making Loose Coupling 92 Partial Inclusion 92
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SUMMARY 92 QUESTIONS FOR REVIEW AND DISCUSSION 95 KEY TERMS 95 CASE STUDY I: RIVERSIDE STATE HOSPITAL 97 CASE STUDY II: CRISIS IN THE ZION EMERGENCY ROOM
CHAPTER 4
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Cultural Studies of Organizations 103 and Communication
THE CULTURAL APPROACH
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Cultures as Symbolic Constructions Cultural Elements
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HISTORICAL AND CULTURAL BACKGROUND Competitive Pressures
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Interpretive Methodology Social Trends
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THREE VIEWS OF ORGANIZATIONAL CULTURE A Practical View
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An Interpretive View
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WHAT WOULD YOU DO? “Shooting” Employees with Motivation
Critical and Postmodern Views Integration 121 Differentiation 121 Fragmentation 122
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Contents
SOCIALIZATION: INTEGRATING NEW MEMBERS INTO 123 ORGANIZATIONAL CULTURES Anticipatory Socialization
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Organizational Assimilation
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Socialization and High-Reliability Organizations Socialization and Technology
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EVERYDAY ORGANIZATIONAL COMMUNICATION Socialization, Technology, and University Students 129
A COMMUNICATION PERSPECTIVE ON 130 ORGANIZATIONAL CULTURE 130 SUMMARY QUESTIONS FOR REVIEW AND DISCUSSION 131 KEY TERMS 132 CASE STUDY I: STUDYING THE CULTURE OF MEETINGS 133 CASE STUDY II: CULTURAL CONSTRUCTIONS OF GENDER AND SEXUALITY 135 IN COLLEGE FRATERNITIES AND SORORITIES
CHAPTER 5
Critical Approaches to Organizations 136 and Communication
CRITICAL THEORY
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Historical and Cultural Background
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The Rise of Critical Theorizing in the United States The Centrality of Power
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POWER AND IDEOLOGY
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The Hidden Power of Culture: Myths, Stories, and Metaphors 144 EVERYDAY ORGANIZATIONAL COMMUNICATION Gender, Ideology, and Power in Career Paths 145 WHAT WOULD YOU DO? Metaphors Can Suspend Critical Thinking
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The Hidden Power of Legitimation: Manufactured Consent and Concertive Control 149
DISCOURSE AND DISCIPLINE
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The Hidden Power of Knowledge: Surveillance, the Panopticon, and Disciplinary Power 151 The Technological Panopticon
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Contents
RECENT TRENDS IN CRITICAL ORGANIZATIONAL COMMUNICATION SCHOLARSHIP: ORGANIZING 154 HEALTHY ORGANIZATIONS WHAT WOULD YOU DO? Unintentional Surveillance?
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Resistance: Challenging Organizational Power and Control The Role of the Critical Researcher
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165 SUMMARY QUESTIONS FOR REVIEW AND DISCUSSION 166 KEY TERMS 167 CASE STUDY I: RISKY BUSINESS: CONSENT, SAFETY, AND FIREFIGHTER CULTURE 168 CASE STUDY II: THE BRILLIANT ENGINEER 170
PART III
CHAPTER 6
Contexts for Organizational Communication Identity and Difference in Organizational Life
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THE HISTORY OF IDENTITY IN ORGANIZATIONAL 174 COMMUNICATION ORGANIZING DIFFERENCE IN ORGANIZATIONS Frame 1: Gender Differences at Work Gender Differences in Work/Life
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Frame 2: Gender Identity as Organizational Performance Performing Gender Identity in Work/Life Frame 3: Gendered Organizations
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Gendered Organizations and Work/Life
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Frame 4: Gendered Narratives in Popular Culture Gendered Narratives of Work/Life
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INTERSECTING IDENTITIES IN ORGANIZATIONS
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EVERYDAY ORGANIZATIONAL COMMUNICATION “Framing” Your Identity in College 196
Contents Negotiating Multiple Identities
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WHAT WOULD YOU DO? The Secret Identity of an English Professor
Communicating Multiple Identities
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202 SUMMARY QUESTIONS FOR REVIEW AND DISCUSSION 203 KEY TERMS 203 CASE STUDY: RX FOR SALES: RECRUIT CHEERLEADERS!
CHAPTER 7
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Teams and Networks: Collaboration 206 in the Workplace
PARADOXES OF PARTICIPATION
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DEMOCRACY IN THE WORKPLACE COMMUNICATING IN TEAMS
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Types of Teams
212 Project Teams 212 Work Teams 213 Quality-Improvement Teams
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WHAT WOULD YOU DO? The Dilemmas of Participative Management at a University 216 Virtual Teams
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Communicative Dimensions of Teamwork Roles 218 Norms 220 Decision-Making Processes 221 Management of Conflict and Consensus Cultural Diversity in Teams 224
Team Learning
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A Retreat from Teams?
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COMMUNICATING IN NETWORKS
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Small-Group Communication Networks
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Emergent Communication Networks
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Analyzing Communication Networks
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Patterns of Interaction 235 Communication Network Roles
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Contents EVERYDAY ORGANIZATIONAL COMMUNICATION Networking on Campus: Communication, Identity, and Empowerment 237 Content of Communication Networks
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Interorganizational Communication Networks The Networked Society
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CREATIVITY AND CONSTRAINT IN TEAMS 243 AND NETWORKS 244 SUMMARY QUESTIONS FOR REVIEW AND DISCUSSION 245 KEY TERMS 245 CASE STUDY I: SPELLMAN GARDENS 247 CASE STUDY II: THE NETWORKED COMMUNITY 248
CHAPTER 8
Communicating Leadership
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LAYING THE FOUNDATION: USEFUL INSIGHTS 250 FROM PRIOR THEORETICAL FRAMES Trait Leadership
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Leadership Style
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Situational Leadership®
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Transformational Leadership Discursive Leadership
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LEADERSHIP RECONSIDERED: EFFECTIVE 258 LEADERSHIP HABITS Habits of Mind
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Habits of Character
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Habits of Authentic Communicative Performance
LEADING THE ORGANIZATION: COMMUNICATING WITH EMPLOYEES Openness
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Supportiveness Motivation
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Empowerment
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Contents
THE DARK SIDE OF LEADERSHIP: BULLYING 267 AND HARASSMENT Bullying in the Workplace
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EVERYDAY ORGANIZATIONAL COMMUNICATION Making the Most of an Internship 268
Harassment and Sexual Harassment
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WHAT WOULD YOU DO? Effective Responses to Bullies, Harassers, and Bosses Who Mistreat Subordinates 272 276 SUMMARY QUESTIONS FOR REVIEW AND DISCUSSION KEY TERMS 278 CASE STUDY: THE STYMIED CEO 279
CHAPTER 9
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Organizational Alignment: Managing 281 the Total Enterprise
POSITIONING THE ORGANIZATION Competitive Strategy
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Types of Business Strategies
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Strategy and the Business Life Cycle
STRATEGIC ALIGNMENT HUMAN RESOURCES
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Talent
292 Targeted Selection 293 Performance Management Training and Development
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EVERYDAY ORGANIZATIONAL COMMUNICATION Human Resources in the Greek System 296
Organizational Development
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ORGANIZATIONAL LEARNING Learning Basic Skills
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Learning New Technologies
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EFFECTS OF COMMUNICATION TECHNOLOGY
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Contents WHAT WOULD YOU DO? Blogaholics
Synchronicity and Media Richness Secrecy and Privacy
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Mediated Interpersonal Communication 308 SUMMARY QUESTIONS FOR REVIEW AND DISCUSSION KEY TERMS 310 CASE STUDY I: HACKED OFF 311 CASE STUDY II: THE UNIVERSITY START-UP
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APPENDIX
A Field Guide to Studying Organizational 315 Communication
References
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Author Index
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Subject Index
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About the Authors
Eric M. Eisenberg first learned about the field of Communication from his father, Abne Eisenberg, a Communication Professor at Queens College. Abne enlisted Eric’s help in grading exams and papers, and over the next fifteen years, despite numerous detours (e.g., microbiology, poetry, and pre-med), Eric kept returning to his first love. He graduated Phi Beta Kappa with a bachelor’s degree in Communication from Rutgers University, having survived and at times even enjoyed a yearlong simulation of a media marketplace called INTERACT. When selecting graduate schools, Eisenberg went in search of quality training in communication research methods to complement his fine education in communication theory at Rutgers. Michigan State University was purported to be a methodological Mecca, so Eisenberg packed up his old yellow Ford Fairlane 500 (with no heater!) and headed west. It was at MSU that he discovered that the research that interested him most had a decidedly practical bent. He received his master’s degree in Communication working with Dr. Cassandra Book on an experiment evaluating the most effective uses of simulations and games in the classroom. Dr. Book was a superb mentor and master teacher who encouraged Eisenberg to complete a second master’s degree in Education in 1980. Book also gave him his first taste of organizational research — they conducted a needs assessment and communication network analysis of the American Dietetic Association. He got rid of the Ford the first winter in Michigan. Having been raised in a household with no links to corporate America, Eisenberg was intrigued by the possibility of learning about the “real world” of organizational communication. Determined to become fluent in both management and communication, and under the expert guidance of Dr. Peter Monge, he immersed himself in management theory and practice, publishing work on organizational communication networks and superior-subordinate communication. Eisenberg received his doctorate in Communication from Michigan State University in 1982. He now owned two suits. The city boy had learned to love the Midwest, but it was time to head east again. Intrigued by the original and expansive writings of Dr. Art Bochner (who
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About the Authors had spent a fortuitous semester at MSU), Eisenberg took his first academic position in the Department of Speech at Temple University in Philadelphia. It was there that he wrote his award-winning paper on the strategic uses of ambiguity in organizations and, with the support of his colleagues at Temple, turned his attention more closely to the uses of language and symbols in organizational life. He stayed connected to business practice by launching and directing the Applied Communication master’s program at Temple and teaching at the downtown campus. During this period, he married Lori Roscoe (whom he had met at Michigan State) and they started building a life together. In 1984, Eisenberg left Philadelphia to join the Communication faculty at the University of Southern California. Over the next decade, he was promoted to Associate Professor with tenure, published numerous studies of organizational communication and culture, and received recognition as University Scholar and Outstanding Teacher. His paper “Jamming: Transcendence through Organizing” received the NCA research award for the best publication in organizational communication in 1990. At the same time, Eisenberg worked closely with Dr. Patricia Riley on numerous grants and contracts aimed at applying cutting-edge knowledge about communication to organizational practice across a variety of industries (e.g., aerospace, health care, electronics, and manufacturing). Meanwhile, Evan and Joel were born at Good Samaritan Hospital in downtown Los Angeles. Eisenberg published his bittersweet poems from this period in a collection called Fire and Ice: Fiction as Social Research (A. and S. Banks, ed.). USC was a world-class institution, but Los Angeles was a hard place to raise a family. Eisenberg took a position as Full Professor at the University of South Florida in 1994, staying true to his lifelong pledge to remain within driving distance of a Disney amusement park. He was attracted to USF for its extraordinary faculty, the energy of a young school with a new doctoral program in Communication, and his old friend Art Bochner. Immediately he knew he had found his home — an eccentric but winning department where experience and philosophy were privileged over theory and method. More publications followed, including his first textbook (this one!) and other strange forays into the world of communication and organizational change. Once in Florida, Eisenberg’s consulting work shifted toward the hospitality and health care industries. In 1996, Eisenberg was elected Chair of the Department of Communication at USF, where he recently completed his second five-year term. In 2008, he was challenged by the Provost to put his knowledge of organizational communication to use as Interim Dean of the College of Arts and Sciences, a role he continues to hold today. In addition to this version of his textbook, Eisenberg published a “greatest hits” collection of his writings entitled Strategic Ambiguities. Eisenberg and his family love the Tampa Bay area, and he is grateful for the opportunities to teach and learn from exceptional people whenever and wherever he finds them.
About the Authors Harold Lloyd (Bud) Goodall Jr. has been both a subject and a student of organizations since his birth in King’s Daughters Hospital, in Martinsburg, West Virginia, in 1952. Reared in a traditional family; educated in public and private schools and universities; employed by large and small businesses in occupations/professions as diverse as a short order cook, a college professor/department chair/graduate director/school director, a rhythm guitarist in a rock band, an organizational detective, an account executive for a broadcasting company, a member of a counterterrorism and public diplomacy research group; participant and volunteer in community and political activities; and the co-owner of a publishing house and partner in a consulting firm — all of these organizational experiences have shaped his approach to studying, writing about, and living his many and varied organizational lives. He first became interested in researching and writing about organizational communication while a new faculty member at the University of Alabama in Huntsville. As a resident “communication specialist,” he was asked to develop training sessions in “effective communication” for scientific and engineering firms that supported NASA’s “Space Shuttle,” the U.S. Army’s Redstone Arsenal, and the federal government’s “Star Wars” project. Later, as his interest in organizations grew from training to consulting, and his scholarly interests shifted from traditional social science to interpretive forms of inquiry, he applied detective methods to various hightechnology firms and government agencies. These interpretive methods included his going undercover in the organizations to experience firsthand the lives that were lived there. The result of those years of study and writing were captured in his first two organizational ethnographies, Casing a Promised Land: The Autobiography of an Organizational Detective as Cultural Ethnographer (1989) and Living in the Rock n Roll Mystery: Reading Context, Self, and Others as Clues (1991). Goodall received his B.A. from Shepherd College in 1973, his M.A. from the University of North Carolina at Chapel Hill in 1974, and his doctorate in Speech Communication from Pennsylvania State University in 1980. He has taught at the University of Alabama in Huntsville, the University of Utah, Clemson University, the University of North Carolina at Greensboro, and currently serves as Professor in the Hugh Downs School of Human Communication at Arizona State University. In four of his academic positions — UAH, Clemson, UNCG, and ASU — he applied his understanding of organizational and learning theories to lead communication departments and curricula in which vision, mission, values, and coursework are strategically aligned and students are better served. His work in the academic community was honored with the Gerald M. Phillips award for Distinguished Scholarship in Applied Communication by the National Communication Association. Goodall’s primary scholarly mission has been to change the way texts about organizations and communication are written in an effort to make them more accessible, more representative of everyday life, and more creatively engaging. His ethnographies have received laudatory reviews and awards from both academic and nonacademic sources, and over two hundred colleges and universities worldwide
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About the Authors have adopted his textbooks. He has been consistently featured in the popular press and media from coast to coast for his trade books. Most recently for the trade market he authored A Need to Know: The Clandestine History of a CIA Family (Left Coast Press, 2006), a work that combines personal narrative with Cold War history and an organizational study of secrecy, power, and a family during an “enduring war.” As a founding member of ASU’s Consortium on Strategic Communication, he is also actively involved in analyzing and developing message strategies deployed in the current “overseas contingency operation.” In that work, with coauthors Steve Corman and Angela Trethewey, he wrote Weapons of Mass Persuasion: Strategic Communication to Combat Violent Extremism (Peter Lang, 2008). The work of the Consortium on counterterrorism and public diplomacy was honored with the 2009 Applied/Public Policy Research Award by the International Communication Association. Overall, Goodall is the author or coauthor of nineteen textbook, trade, and scholarly volumes and over one hundred journal articles, book chapters, and scholarly presentations. He is listed in Contemporary Authors, Dictionary of American Scholars, and Who’s Who International. “Dr. Bud” is married to Sandra Goodall, who, as this edition goes to press, is completing her PhD in American History from Arizona State University. Together they have a son, now a college student at the University of Arizona, Nicolas Saylor Goodall. They make their home in Chandler, Arizona. As a Critical Communication scholar, Angela Trethewey believes she is a discursive production of several intertwining and sometimes contradictory cultural, institutional, organizational, familial, and relational narratives. Trethewey was born into a long line of strong women in Washington State in 1965, during the early days of the second wave of the feminist movement. Her great-grandmother, an immigrant homesteader, spent her life working the family farm. Her grandmother defied the conventions of both her immigrant parents and the social mores of the day by moving off the farm and into the big city (Seattle), where she eventually supported her husband and three daughters as a jazz pianist. She instilled in her daughters a love of music and books and modeled self-sufficiency in an era that did not encourage women to combine work outside the home and family, let alone “balance” those two worlds. Trethewey’s research on women’s struggles to negotiate effective and efficacious identities in the workplace is both a homage to and a continuation of her foremothers’ trailblazing, but very different, lives. Trethewey spent her childhood in a small town in Northern California in a family in which education was understood to be life’s work — both literally and figuratively. She was raised by two public school teachers who embodied the sheer joy and the practical utility of continuous, lifelong learning. Neither her mother nor her father told her that education was inextricably linked to living a rich, full, interesting and productive life; that message was simply evident in all that they did. Today, Trethewey strives to model that same message for her students at Arizona
About the Authors State University. That teaching philosophy was honored when she received the Master Teacher Award from the Western States Communication Association. Trethewey received her undergraduate and master’s degrees from California State University, Chico. She earned her doctoral degree in organizational communication at Purdue University, where she had the good fortune to work with two of the brightest minds in the field — Dr. Linda Putnam and Dr. Dennis Mumby. She was first introduced to the field of communication in an undergraduate gender and communication course. She was so intrigued by the subject matter that she changed her major from business administration to communication. It was in that same course that she first encountered her future husband, Jeff Brown. Nearly twenty years later, she continues to delight in exploring the complexities and organization of gendered communication — both in her research and in her marriage. Trethewey is currently an associate professor and the director of the Hugh Downs School of Human Communication at Arizona State University, where she teaches classes in organizational communication, communication theory, and critical research methods. She has published two books and thirty articles and book chapters. She is involved in the Project for Wellness and Work-Life at ASU, a working group of scholars, whose mission is to conduct research and inspire policy and practice that enable employees to experience richer, fuller, and healthier work/ lives. As a critical scholar interested in how organizations shape who we are and who we might become — for good and ill — as individuals, communities, and even nations, Trethewey has recently turned her scholarly focus to the problem of violent extremism. She is a member of the Consortium for Strategic Communication (CSC), an interdisciplinary research group that explores how critical organizational communication concepts, including ideology, strategic ambiguity, narrative, and culture, can be leveraged to stop the spread of violent extremism. As a member of the CSC, Trethewey is a coprincipal investigator on a multimillion-dollar grant designed to apply those concepts to the real-world problems of countering ideological support for terrorism and violence. Trethewey can trace the impact of her narrative roots as she continues to craft her current story in her everyday life. Today, her own work/life is often complicated by, but always joyful as a result of, her relationship with her delightful daughter, tenyear-old Anna Trethewey Brown. Each day, Trethewey lives the sometimes energizing, sometimes draining, identity of a working mother in contemporary organizational and family life in an era dominated by economic uncertainty and global tensions. She uses those experiences to help her reflect on and ultimately change the ways that our culture, organizations, and even family systems, however unwittingly, constrain women’s and men’s ability to live their lives to their fullest potential. At the end of the day and at the end of her career, Trethewey hopes to leave Anna with new versions of the narrative gifts she has inherited from her mothers — resiliency, intellectual curiosity, gratitude, laughter, joie de vivre, and, of course, a rich, productive, and empowering communicative repertoire! It is in that same spirit that she embraced the writing of this book.
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PA R T I
Approaching Organizational Communication
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CHAPTER 1
Communication and the Changing World of Work
PERSPECTIVE From the moment we are born, we are surrounded by people. As we seek to understand the people on whom we rely most, we learn many related things at once — a language, a culture, and, most important, a sense of self. We discover who we are through our communication with others. Although each of us experiences this discovery process, no two people come out the same. Even small differences in genetics or upbringing result in marked variations in character and perception. Over time, we each develop habitual ways of seeing the world — called worldviews or perceptual sets — that reflect our inclinations and experiences. Tall or short, male or female, African or Eastern European, people perceive the world differently in accord with their worldview, and no two are exactly alike. Where do these worldviews come from? Which life experiences are most influential in shaping who we become? We spend our lives as members of numerous social groups: family, church, school, business, and country. Our membership in these groups shapes our sense of self. At the same time, participation in these groups requires interaction with others who are often quite different from us. To both have a self and be a functioning member of a society, we must learn how to communicate with diverse others. In primitive times, humans banded together to hunt, gather, and grow food, as well as to propagate the species. Human survival has always hinged on our ability to work together. The history of human civilization is fundamentally a history of organizing.
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While collaborating with diverse others is unavoidable, it is by no means easy, though it is easier to organize around some tasks than others. In sports, for example, where there are clearly defined rules, roles, and goals, coordination is relatively unproblematic. Simple bank transactions, mail delivery, and traffic patterns on an interstate are other examples of continuous coordination around clearly defined rules that are not open to interpretation. In each of these instances, people know what they want and have a well-defined notion of what it will take to get it. Unfortunately, many organizing challenges are far more complex and ambiguous. For example, how does one build a successful business? What is the best structure for local government? What kind of communication characterizes successful work-life balance? We are on very different ground here: Goals, rules, and roles are negotiable and open to interpretation. Particularly in contemporary societies (as opposed to traditional ones), there are few givens in social life — almost everything is negotiable. In school, the dreaded group project provides an emotionally charged example of the challenges inherent in organizing. On the surface, the assignment seems straightforward, and we tend to assume that our fellow group members have ideas and work habits similar to ours. In time, however, it often becomes clear that people have very different goals, values, motivations, and worldviews. For each group member who seeks perfection, there is someone who has no problem settling for a grade of C; for every person who likes to get work done in advance, there is someone who prefers finishing the project the night before it is due. Organizing people in business is equally challenging. In any setting, organizing takes work, and the special challenge of organizing is to collaborate in ways that both acknowledge and bridge differing worldviews. The interaction required to direct a group toward a set of common goals is called organizational communication. Nothing about this process is automatic or easy; certain knowledge and skills are required to succeed. Moreover, as we go about our lives, we enter into one interaction after another, always in the shadow of multiple large organizations, whether at a school, a hospital, or a local restaurant. In each of these interactions, we are occasionally satisfied, but more often frustrated by incompetence, insensitivity, lack of coordination, and red tape — all a result of ineffective organizational communication. A deeper understanding of communication permits us to better comprehend the factors that contribute to successful organizing. We designed this book to help you develop this deeper understanding.
THE CHANGING WORLD OF WORK What kinds of communication are required for survival in the world of work? To answer this, we must first understand how this world has evolved and the conditions to which we must adapt and respond to be successful. These conditions have changed significantly in recent years, so it is important that we reexamine our
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assumptions about what is most likely to be effective as we strive to create a successful work life.
□ The Inevitability of Change Students embarking on careers often harbor misconceptions about the world of work. Many expect their first “real” job to be far more serious and orderly than it turns out to be. Likewise, they expect competent and fair managers. They are often disappointed. Once on the job, they may expect a relatively stable career with a company, only to be surprised by the steady stream of mergers, acquisitions, and joint ventures that change their job duties and add to their workload. It’s common in many companies for employees to joke about the number of new bosses they’ve “trained.” The near universal feeling of continuous change is disturbing to some, and each of us, regardless of industry, is challenged to find ways to deal with it. How can we deal with constant change in the world of work? There are no easy answers. Even seemingly straightforward questions like “What is the best way to supervise employees?” or “How does one attract and keep customers?” don’t permit a simple response. As a result, the definition of effective communication necessarily varies by company and industry, the particular people involved, and the organization’s unique culture. Put another way, answers to questions about organizational communication are highly situated and perishable. By “situated” we mean that communication that works well for an online T-shirt distributor like Digital Gravel may be inappropriate for a mature film-production company like Paramount Pictures. By “perishable” we mean that patterns of interaction that were effective last year may be outdated today due to changes in customer tastes and technology. Companies that fail to recognize the need for change may perish. One example from our experience involves a machine shop in California. The general manager, a Marine Corps veteran, modeled the shop’s management systems and structures on the military. Although this approach may have been effective for selected industries in the past, it did not work for this machine shop. Neither the managers nor the employees were comfortable with the rigid hierarchy or his intimidating management style. Eventually, employee resistance turned into open hostility, and the general manager was ousted by the board of directors and replaced by an outsider with a more participative approach. The rapid changes taking place in today’s world demand speedy, flexible responses. Flexibility is not characteristic of the traditional hierarchical model. In a historic company-wide restructuring in the 1980s, IBM escaped obsolescence by creating numerous independent business units to meet the demand for greater flexibility. More recently, Apple Computer put potential employees through numerous rounds of interviews aimed at identifying those candidates who would fit best with its challenging, dynamic corporate culture. When we first taught classes in organizational communication over thirty years ago, the banking, air transportation, and
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fast-food industries were considered to be relatively stable. Today, these are among the most highly competitive industries in the world. Rapid change also means that the nature of organizational communication in the business world of even five years ago no longer applies. Moreover, what we believe to be true today may have limited relevance in the future. For this reason, our focus here is on enabling you to ask good questions about organizations, the specific answers to which may change over time. As a successful executive, consultant, researcher, manager, or employee, you must develop a talent for asking good questions about organizational communication situations. Over time, your actions will be guided by how you see and make sense of such situations, by keeping an open mind to the various interpretations, and by remaining committed to a lifetime of learning. Flexibility enables you to adapt more readily to a turbulent business environment. You will be able to reinvent yourself and your organization both in response to and in anticipation of changing times.
□ New Developments in the World of Work In the last edition of this book, we began this section by expressing our outrage with the massive financial misconduct perpetrated by trusted executive officers and their accountants (e.g., Enron, WorldCom, Tyco, Arthur Andersen). Incredibly, these enormous ethics abuses were only the opening act in what has become a worldwide economic meltdown. As the disastrous stock market decline of 2008 snatched billions from investors’ portfolios, the executives in the financial services industry at the root of the decline escaped with millions in bonuses (e.g., Merrill Lynch, Countrywide Financial, Lehman Brothers, Washington Mutual). What some hoped to be the result of a few “bad apples” in the industry now appears unequivocally to be a systemic problem showcasing the dangers of unregulated capitalism. As governments around the world work feverishly to bail out companies that are “too big to fail,” two conclusions are inescapable: (1) The economy is irrefutably global, as actions and events in one country immediately affect all others, as was evident in the recent credit crisis; and (2) the idea that “free markets know best” and should be permitted to operate with minimal oversight is a dangerous fiction. Three years ago, people were shocked by the staggering abuses of corporate and government power, and the intensity of these feelings continued to grow. But alongside these hopeless feelings there was also some slim sense of a possible rebirth, of a desire to rediscover and recommit to the things that matter most: our core values and beliefs. Some scholars regard the 2008 U.S. presidential election as an endorsement of a new degree of humility on the part of American leaders and a willingness to better acknowledge our political, economic, and physical impact on the world and its inhabitants. The administration of Barack Obama claims to endorse greater government oversight of economic dealings both at home and abroad; if these individuals are effective, they may help to reestablish public confidence in governance of all kinds, both federal and corporate.
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Another ray of hope in the search for value-driven work lies in the proliferation and increasing sophistication of not-for-profit organizations (Eisenberg & Eschenfelder, 2009; Eisler, 2008). Although these types of agencies were traditionally founded to address specific social problems, governments are increasingly relying on them both to provide needed social services and to promote elements of the common good. Two notable examples are homeless services and environmental advocacy. In the Tampa Bay area, not-for-profit agencies like Mustard Seed receive federal and state funding to provide services to the homeless population. Less formally, concerned Tampa citizens formed the Hillsborough River Greenways Task Force as a not-for-profit whose mission is to ensure a positive future for the river (Andrews, 2000). While neither organization operates for profit, both provide advocacy for important issues and direct public service. In this way, not-for-profits serve by emphasizing the importance of community within our increasingly individualist, capitalist society. All told, the massive changes in the realities of organizing in the twenty-first century can be characterized using three critical dimensions: space, time, and loyalty. In the remainder of this chapter, we discuss each dimension and provide examples of how it has changed the nature and meaning of organizational communication.
□ Beyond Space: The Global Economy Toward the end of the twentieth century, remarkable changes in global politics — the end of the Cold War, the breakup of the Soviet Union, the destruction of the Berlin Wall in Germany, and the forging of a unified European Community — altered or dissolved divisions that once seemed insurmountable. Many saw in the collapse of old structures the promise of new alliances striving to end poverty and suffering worldwide and the potential to adopt a universal, indeed planetary, code of human rights. This is one version of globalization, defined as: the closer integration of the countries and peoples of the world which has been brought about by the enormous reduction of costs of transportation and communication, and the breaking down of artificial barriers to the flows of goods, services, capital, knowledge and (to a lesser extent) people across borders. (Stiglitz, 2002, p. 9)
Many aspects of globalization, such as artistic exchange and easier access to medical care, are universally welcome. More controversial have been the economic issues, specifically the policies, agenda, and effectiveness of the international institutions that have emerged to regulate the global economy: the World Bank, the International Monetary Fund (IMF), and the World Trade Organization (WTO). Both the World Bank and the IMF were formed in 1944 to rebuild a war-torn Europe and to prevent future international economic depressions. (Note the focus on Europe: Many of today’s so-called Third World countries were colonies of European nations at the time, and their development was clearly a secondary concern.) The same 1944 agreement called for the formation of a facilitating body that would
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encourage the free flow of goods through measures such as lowering tariffs. More than fifty years later, the World Trade Organization came into being, and its conferences have become a lightning rod for those protesting the negative economic effects of globalization on the environment and the world’s poor. Violent protests accompanying WTO meetings (in Washington, D.C.; Seattle; and Genoa, Italy, during 2001 and 2002) highlighted for the first time opposition to aspects of economic globalization. Before 2008, there was a growing feeling among social commentators that the institutions promoting a global economy had made a number of serious errors. The most critical mistakes involved the pace at which it is possible for a country to make the transition to a market economy where prices and wages are determined mainly by the laws of supply and demand, rather than being regulated by the government. An unreasonably optimistic belief in the self-regulating power of a market economy has led the IMF in particular to force nations needing its help to privatize their industries and open their markets before adequate regulatory frameworks were in place. Such changes brought disastrous results in some countries. For example, in Russia, the poor are in some ways worse off under market capitalism than they were under their prior socialist regime. A second problem with the current approach has been the failure to recognize that there are multiple models for a market economy and that other versions — for example, the Japanese, German, and Swedish models — have advantages that may be more useful and a better fit for developing countries than the American model. Those countries that have not relied on the magic of selfregulation but have recognized the role government can play in the transition to markets (e.g., Thailand, Indonesia) have been more successful (Stiglitz, 2002). The question of the appropriate role of governments in the operation of the global economy became more urgent during the global economic collapse of 2008. As happened with security after the terrorist attacks of September 11, 2001, governments came roaring back, and the IMF “went from broken to heroic, brokering rescue packages for Pakistan, Iceland, Hungary, and the Ukraine. . . . Whatever form globalization takes next, it will not be despite governments but because of them” (Malcomson, 2008). Blind faith in market capitalism as a model for organizing has been replaced by a more balanced approach that sees an important role for government and international government agencies. Amidst this struggle, the number of organizations that operate globally has grown exponentially. Nearly two-thirds of all U.S. companies conduct business internationally, which includes having foreign customers, suppliers, and employees. Participation in the global economy has increased dramatically as a result of tremendous advances in communication technology and e-commerce. While more than half of Xerox’s 110,000 employees work overseas, over half of Sony’s employees are not Japanese. The United States enjoys imported music, and American music, films, and television command large markets abroad. Three regions will dominate the global marketplace during the next few decades: the Pacific Rim (China, in particular), North America (Canada, especially),
Chapter 1: Communication and the Changing World of Work
and the European Union (EU). Although globalization gives the United States an expanded market for its products and services, it also threatens to erode U.S. business because of increased foreign competition. At one time, U.S. consumers could respond meaningfully to these challenges by “buying American,” but the globalization of business has made this slogan almost meaningless. Many new automobile buyers who wish to remain loyal to American brands have discovered that what they thought were “American” cars are in fact manufactured or assembled in foreign countries. Similarly, it is harder to define precisely what is foreign. Consider that Jaguar and Land Rover, once British manufacturers, are now a subsidiary of Tata Motors of India and that Volvo, once a Swedish company, is now owned by Ford. But globalization has provided far more challenges to our way of thinking and working than simply complicating how we define the origin of a particular product or service. It has also brought new issues concerning questionable labor practices, multicultural management, and communication technology (see Everyday Organizational Communication on page 10).
Questionable Labor Practices The emergence of a new world labor pool has encouraged businesses to search the globe for the lowest possible labor costs and to move jobs wherever cheap labor can be found, a practice known as outsourcing. Although such practices have a checkered history in textiles and manufacturing, they were once confined almost exclusively to blue-collar jobs. Today, white-collar jobs in most industries are also affected by this trend. For example, most U.S. software designers employ engineering and call-center staffs in India and the Philippines. It is even likely that the final manuscript for this textbook was prepared by keyboarders in Asia. Outsourcing was a $6 trillion business in 2008. Some researchers believe that the recent economic meltdown will lead the United States to pursue outsourcing opportunities closer to home (e.g., Latin America) as a less expensive alternative to Asia. Chief information officers at companies ranging from General Motors to Applied Materials to McGraw-Hill outsource as much as 50 percent or more of their IT budget dollars. Not all outsourcing of work leads to the loss of U.S. jobs, however. In some cases, European and Asian companies have set up operations in the United States (a practice known as “insourcing”). As of 2008, U.S. subsidiaries of companies headquartered abroad employed 5.1 million Americans. The top five insourcing companies today are from the United Kingdom (British Petroleum and Royal Dutch Shell) and Japan (Toyota, Honda, and Nissan). Many of these jobs — like those at the Honda plants in Ohio — pay higher wages than the many jobs that are outsourced to other countries. The potential consequences of U.S. jobs being moved overseas were at the center of the debate over the North American Free Trade Agreement (NAFTA), an attempt to reduce restrictions on trade between the United States, Canada, and
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EVERYDAY ORGANIZATIONAL COMMUNICATION
Globalization and You! Although many of us are uncomfortable with the more damaging and controversial effects that globalization has had on the environment, communities, and employees (both domestic and international), we can also feel overwhelmed and are unsure about how to respond. After all, how can one person have an impact on such a massive international challenge? Luckily, several organizations have begun campaigns to involve average citizens, from college students to CEOs and retired grandparents, in the effort to counter the negative effects of globalization. Oxfam America, an international development and relief agency, has developed a student action group that offers “young people a wide range of opportunities to become better educated and join the fight against global poverty and injustice around the world” (Oxfam America, 2006). Such education is achieved through workshops and training aimed at students and through the publication of campus action guides that offer specific plans — such as fighting for fair-trade coffee on campus — to combat problems associated with globalization. The organization also highlights stories of everyday people who are attempting to have a positive impact on the world, including the six-year-old boy who went doorto-door passing out brochures on world hunger to educate his neighbors, and the students at Cornell University who organized a fair-trade carnival featuring such games as “bowl for subsidies” and “pin the tail on the CAFTA” (Central American Free Trade Agreement) to call attention to important global issues (Oxfam America, 2006). The point behind these strategies and stories remains consistent: You can make a difference on a daily basis by educating yourself about the effects of globalization, sharing this information with friends and colleagues, and committing yourself to small but positive lifestyle changes, such as supporting a local, independent grocery store. Several websites offer additional strategies that individuals can pursue to curb the negative consequences produced by globalization. Point your browser to a few of the following websites and consider their suggested actions. • http://www.usft.org • http://www.unionlabel.org • http://www.howtobuyamerican.com • http://www.globalexchange.org/campaigns/sweatshops • http://www.oxfamamerica.org/whatyoucando/act_now
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Discussion Questions 1. Generate a list of strategies recommended by antiglobalization advocates (e.g., participating in Adbusters’ Buy Nothing Day campaign, asking for fairtrade coffee at Starbucks, buying locally, recycling, and urging your campus decision makers to contract with fair-trade suppliers). Which strategies would you be willing to participate in regularly? 2. Which strategies, if any, do you think have the greatest potential to bring about positive social change? Why? 3. Can you envision any unintended negative consequences that may result from these suggested actions? 4. Do you think that the efforts of individuals or activist groups can make a difference in the way multinational organizations operate? Why or why not?
Mexico. On the one hand, an expanded labor pool makes U.S. companies more competitive by allowing them to hold down costs. By hiring people from less developed countries (thereby putting money in their pockets), U.S. companies gain new consumers for their products and services. On the other hand, sending work elsewhere may lead to the destruction of U.S. communities that are unable to withstand plant closings or massive job losses. Furthermore, the low wages paid to workers in less developed countries — as little as 10 to 15 percent of U.S. wages — raise questions about exploitation. But exploitation is not limited to offshore ventures. One domestic statistic neatly reflects the nature of management-labor relations in the United States today. According to the advocacy group United for a Fair Economy, the average annual CEO pay for top companies in 2007 was $10.5 million, or 344 times that of the average U.S. worker (see http://www.faireconomy.org/issues/ceo_pay). The Corporate Library, a corporate governance research firm, puts the figure even higher at $14.2 million (http://www.aflcio.org/corporatewatch/paywatch/pay/index.cfm# _ftnref12). In 2000, the United States became the Western industrial nation with the largest percentage of the world’s rich and the biggest gap between rich and poor (Phillips, 2002). Barbara Ehrenreich’s book, Nickel and Dimed: On (Not) Getting by in America (2001), offers numerous dramatic examples of what this discrepancy looks like in real life, revealing how difficult it is to get by while working a low-end job (or two or three). Offshore it can be worse. Many workers in the new global economy do not operate with the safeguards that American organizations often provide, including fair wages, health benefits, and safe working conditions. Immigrants in America,
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both legal and illegal, often work in subpar conditions for considerably less than minimum wage as piece-rate workers in the garment industry or as farm laborers who follow the harvest across the country, all the while living in cramped, un-air-conditioned, and inhospitable camps. The American economy could not function without these underpaid and undervalued employees who come to this country in search of a better life. In fact, most middle-class Americans can scarcely get through a day without consuming the fruit of the working poor’s labor, whether it’s vegetables from the grocery store or shoes from the mall (Shipler, 2004). Another very troubling trend is the expanding sex-trafficking industry across the globe, and particularly in Southeast Asia. Trafficking refers to the illegal trade of human beings across borders. The United Nations estimates that over two million people are trafficked each year, and most of these are women and children who are sold into the sex trade (Omelaniuk, 2005). Many vulnerable and poor women and children are lured by traffickers who offer promises of a better life, legitimate work, or an education, while others are sold by family members or acquaintances for a profit. These young women and girls often end up working in brothels where the need for money “overpowers basic human rights” (Flamm, 2003, para. 3). Victims of trafficking are physically confined, their travel or identity documents are taken away, their families are threatened if they do not cooperate, and they are made dependent on their traffickers for basic needs such as food and shelter. While the United Nations and other organizations are working to curb the illegal trafficking of women and children, it continues to be a significant problem in our increasingly global world.
Multicultural Management Yet another challenge associated with globalization involves the multicultural management of customers, suppliers, and employees. Multicultural management is the ability to adapt one’s leadership style to both respond to and make the most of pervasive cultural differences in values and practices among a diverse employee population. Globalization does not eliminate differences in language and culture. When expanding business across cultures, it is essential to introduce a product or service that is an identifiable example of the brand but still reflects local tastes and tolerances. McDonald’s, for example, has many locations in India, where cows are sacred. In a great example of flexibility, the company’s “Maharaja Macs” are made with mutton or chicken. Success across national boundaries requires highly sophisticated, global communication skills (Dalton, Ernst, Deal, & Leslie, 2002). At a minimum, this means that employees must speak the language of their customers and suppliers and, preferably, understand the subtleties of the other cultures. Finland has relied on export markets throughout much of its history, and consequently many Finns speak four or more languages.
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An infamous example of botched multicultural management is Disneyland Paris (formerly Euro Disney). After achieving outstanding success with Disneyland in Japan, where the meticulously designed theme park was consistent with the local culture, Disney opened a park in France. In this case, however, the park ignored important aspects of French culture and climate. For instance, the American-style hotels built around Disneyland Paris with rooms that cost $300 a night were not practical for the typical French family, which takes a three- to six-week vacation. In addition, when the park first opened, it did not serve alcohol, which conflicted with the French custom of drinking wine at lunchtime. More recently, it appears that Disney has learned its lesson; the appointment of a French citizen to run Disneyland Paris and the serving of alcoholic beverages on the property have noticeably eased tensions. With the acquisition of global markets, businesses have no choice but to acquire a more culturally diverse workforce. At Sheraton’s Vistana Resort, an awardwinning hotel in Orlando, Florida, the company’s environmental services department meets regularly to address communication issues pertinent to the multiethnic staff, which is mainly Latino, Anglo, and Haitian. At computer hardware supplier Kyocera America in San Diego, California, a Japanese management team struggles to communicate effectively with the mostly male African American supervisors and mostly female Filipino employees on the line. As these examples show, effective organizational communication today must address a host of multicultural and multinational concerns. An increasingly important element of diversity in the workplace is religion. In the United States, organizations regularly struggle to define the line between work and personal beliefs, understanding that people with dramatically different worldviews must work side by side. Some institutions only select and promote employees with certain belief systems (Ehrenreich, 2005). In some cases, rules concerning the “right” beliefs are stated overtly, but more often they are subtle and covert. For example, a colleague of ours reports on her difficulties in getting tenure at a university with a unique religious affiliation. While no one ever said outright that she had to be a practicing member of the sect to be promoted, she was frequently asked by administrators about her personal religious beliefs. Although the subject has not yet received much research attention, we predict that the role of religion at work will be a hot topic in the future (see What Would You Do? on page 14). Being able to manage across cultures can be useful even within the same country. In one case, software managers at Lucent Technologies (the high-technology company that spun off from AT&T in 1996) were challenged to create an incredibly complex product (a fiber-optic phone switch called the Bandwidth Manager), using five hundred engineers scattered over three continents and thirteen time zones. The work process was called “distributed development,” and the managers found that the technology was the easy part. The hard part was agreeing on the meanings of basic words, like test, and reaching consensus on procedures and protocols, since
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WHAT WOULD YOU DO?
Religious Differences in the Classroom One of the most challenging issues facing organizations today is how to honor and accommodate religious differences among their members. In a recent (2005) meeting of the Hillsborough County School Board in Tampa, Florida, a proposal by Muslim citizens to add their religious holidays to the school calendar (as days off) was met with resistance. A committee of the board advanced a counterproposal eliminating all religious holidays, granting students “personal days” instead that they could make use of however they wished. But this proposal also met with resistance. As our societies, schools, and organizations diversify, to what degree must they adapt to the religious beliefs of their members? Another good example of the rising challenge of religious diversity occurred recently between a communication professor and her student at a state university in the United States. The student refused to purchase the required text for her “Women and Communication” class because she objected to the coarse language in the book title (a feminist critique of characterizations of women, it is called Bitches, Bimbos and Ballbreakers: The Guerrilla Girls’ Illustrated Guide to Female Stereotypes). She explained, “I am a pastor’s daughter. I don’t swear, and I don’t expose myself to this kind of material. And I won’t be seen around town purchasing or carrying a book with that title.”
Discussion Questions 1. To what extent are organizations responsible for creating an environment that supports the religious diversity of their members? Is there a difference between accommodating, tolerating, and encouraging religious differences? 2. Have you experienced a time when your own religious beliefs came into conflict with those of an institution of which you were a member? What did you do about it, if anything, and why? 3. What should the instructor’s response be to the pastor’s daughter? What are the trade-offs between validating individual belief systems and standing up for the value of a more secular and critical approach to education? 4. How might your response to question 3 be translated into policy and practice in a broader range of noneducational organizations? What problems would you anticipate, and how might you address them?
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each location had its own culture and traditions. Personality tests revealed that Lucent’s New Jersey employees, who were mostly former professors, exhibited a highly rational style of thinking. In contrast, Massachusetts employees (who were mostly manufacturing engineers) were more in tune with values and the human impact of decisions. In the end, the managers’ ability to work with these differences and across these vast distances paid off handsomely. The switch shipped on schedule, was within budget, and was technically superior to what was expected. The project is now described as a success story showing the potential of distributed development. The Center for Creative Leadership, a research and development firm in North Carolina, studied the factors that lead global managers to succeed and identified four pivotal skills: (1) international business knowledge; (2) cultural adaptability; (3) ability to take the perspective of others; and (4) ability to play the role of innovator (Dalton et al., 2002). The thread connecting these capabilities is effective communication, the ability to forge relationships with others in an open, informed way.
Communication Technology Although we will detail the role of communication technology in contemporary organizations later in this text, it is important to say at the outset that the global business community — and the global markets, economy, and joint ventures that we have been describing — is in large part made possible by recent advances in communication technology. By communication technology we mean any type of electronic tool or device that may be used to enhance or enable information sharing or person-to-person interaction. Globalization requires companies to communicate in ways that transcend space and time. For example, software and hardware manufacturer Texas Instruments has operations in Texas, Ireland, and Indonesia that allow it to conduct business continuously. Before the workday ends in Indonesia, employees forward their work electronically to employees in Ireland, who are just starting the workday. The employees in Ireland, in turn, transmit their work to their counterparts in Texas before they sign off for the day. Communication technologies also both require and invite organizations to use information in new and often complex ways. In an increasingly dynamic environment, organizations are challenged not only to discover what they know, but also to catalog, package, and utilize their knowledge productively. Knowledge management refers to the ways organizations make use of knowledge as a resource and commodity. There are two broad approaches to knowledge management: information-based and people- or interaction-based knowledge management (Iverson & McPhee, 2002). Information-based knowledge management is concerned with tracking, cataloging, managing, and displaying knowledge products, which might include organizational documents and records, speech (“this call may be recorded for quality-assurance purposes”), and behaviors. People-based knowledge management assumes that organizational knowledge is comprised not of “information,” but of networks of
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“knowers” who transform data into knowledge by making it meaningful and sharing it with relevant others in a larger social context. To be truly successful, organizations must link the information-based know-how with people-based “knowwho,” or knowledge of who knows what within the organization (Canary & McPhee, 2010). New communication technologies are helping organizations do just that. Information, not bricks and mortar, is the new load-bearing structure of organization. More specifically, we have witnessed a surge in social-networking programs that eliminate the need for bulky information clearinghouses and instead provide easy access to others who have the information you need. The explosion of interest in Facebook, MySpace, Wikipedia, and similar sites reflects a fundamental shift in how people both visualize and access their social networks. These programs remove many traditional barriers and offer numerous tools to promote unprecedented levels of collaboration across time and space. The shift is so significant that many older people have trouble appreciating it. At a recent dinner party in Tampa, a prominent business leader and philanthropist was complaining about what he saw as increasing reliance on computers, when a twentysomething medical student quietly commented, “Wikipedia got me through medical school.” What these programs offer people is extensive, near-instantaneous access to global networks of individuals facing similar challenges and possessing potentially useful information for addressing them. An additional impact of new communication technology on organizations within the last decade has been the legitimate emergence of electronic commerce as a viable way of doing business. Today, an enormous number of consumer products and services are available for purchase over the World Wide Web, and for those products and services that cannot be purchased that way, the Web often enables the consumer to learn about and preview the product. Consumer hesitation associated with security and privacy are no match for the convenience of online shopping. One consequence of this shift is that store (along with bank and library) does not necessarily refer to a physical place. Reverberations of this are also being felt in colleges and universities; hundreds of educational institutions now offer virtual degree programs that can be completed anywhere. Special mention must also be made of how the music business has struggled to reinvent itself in the age of digital downloads. The initial reaction to music file sharing was to shut it down at all costs, resulting in a number of high-profile prosecutions of college students. Over time, however, media organizations of all types have seen the need to experiment with multiple distribution systems and pricing models that make use of the reality of social networking. The Fox Corporation’s acquisition of MySpace and the movement of nearly all media organizations to some form of digital media are ample evidence of this change. Naturally, all of this increased network traffic has some drawbacks. You have likely heard about the phenomenon of identity theft, whereby someone steals your identifying information and impersonates you in transactions with various stores
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and institutions. Universities are in the process of taking extraordinary precautions to secure student information. Recently at the University of South Florida, all student I.D. numbers were changed from Social Security numbers to better protect students’ identities. In 2005 alone, there were twelve instances in which large financial institutions (e.g., Citigroup, Bank of America) “lost” the private data of millions of customers to hackers who infiltrated their databases. The threat posed by such thefts puts significant pressure on corporations to secure access and use of customer information.
□ Beyond Time: Competition
and the Urgent Organization Profound changes have also taken place with regard to time. In fact, we see most businesses today as urgent organizations, companies whose main challenge is to shorten the time in which they develop new products and respond to customer demands. A trend that began with fast food, fax, and overnight mail continues today with the proliferation of ATMs, virtual libraries, and customer service call centers that are open twenty-four hours a day, seven days a week. The main motivation for all this emphasis on speed is increased competitiveness. Customers now expect to get exactly what they want, exactly when they want it (Gleick, 2000). The volume of calls to 911 has prompted some communities to create 912 numbers for serious conditions, reserving 911 for true emergencies. If quality was the watchword of the last decade, velocity is ruling this one (Gates, 1999). Moreover, this increase in velocity is often accompanied by extreme customization; Web 2.0 applications such as those used by Amazon.com and Netflix allow these companies to better meet and even anticipate their customers’ wants and needs. Speed conveys a number of advantages to one company over another (Stalk, 1998). Consider three examples. First, companies vie to see how quickly they can bring a new product or service to market. Often, the first company to release a new product has an edge and, in computers and electronics, can sometimes set the standard by which future products are measured. Second, businesses today compete over who can provide the quickest response time to customer inquiries and concerns. In the personal computer industry, Dell has made an enormous investment in next-day, on-site service if needed, but most problems can be resolved over the phone through a customer service representative. Finally, companies today strive to shorten delivery times so that the product or service is available to you as close to the moment of purchase as possible. In the past, it was common for delivery to take six to eight weeks for a simple order; today people are demanding that customized products be both assembled and shipped within a few days at most. One impact of organizations’ viewing time as a competitive advantage is greatly increased pressure on managers and employees to work faster and to be available around the clock to keep their customers and, ultimately, their jobs. Technology
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makes this easier all the time. At a recent executive development program we attended, senior leaders split their attention between the invited speakers and the messages on their BlackBerry smartphones for the full two days of the meeting, revealing why some call them “CrackBerries” to reflect their addictive nature. While 24/7 access to employees has a clear upside for customers, its downside is the toll it may take on the health of employees and their relationships. One useful way of thinking about how organizations are changing their relationship with time and space is to introduce the concept of an organization’s environment. An organizational environment is defined as the sum total of people, institutions, and activities that exist outside of the organization’s boundaries but exert actual or potential influence over the company’s internal operations. The character and complexity of organizational environment are influenced by customers, competitors, suppliers, relevant governments, and the physical setting. From a biological perspective, we typically think of successful organisms as effectively adapting to changes in their environment. The same can be said for organizations — only in this case, the changes could be happening anytime, anywhere in the world. Who could have predicted the struggles of Levi Strauss, an otherwise superb organization, when millions of young people abandoned classic “501” jeans for brands and styles inspired by hip-hop culture? Often, companies don’t know the extent of the changes brewing in their environments until a crisis reveals it to them. Perhaps the simplest, although often overlooked, way to keep in touch with environmental conditions is through boundary spanners, company employees who have direct contact with the public (Adams, 1980). Bank tellers, telephone receptionists, repair technicians, market researchers, salespeople, and customer service representatives can provide important information about the outside world. Boundary spanners serve at least three functions: (1) They can access the opinions of people outside of the organization and can use that information to guide organizational decision making; (2) their awareness of subtle trends in the environment can serve as a warning system for environmental jolts; and (3) they serve as important representatives of the organization to its environment (Adams, 1980). An interesting tension emerges from the twin pressures to provide responsive service, on the one hand, and to remain speedy and flexible as a company, on the other. The ability to provide instantaneous, customized responses — or what one observer calls “just-in-time, just-for-me” service — requires an enormous investment in people, training, and technology. As a result, only very large companies with sufficient financial resources have the ability to compete. Since size is itself an obstacle to flexibility and innovation, these large firms are seeking to provide more responsive service through consolidation — by purchasing smaller companies with proven technologies and a loyal customer base. One consequence of this pattern is that it is nearly impossible to compete in any industry today as a midsize company. Midsize companies have neither the entrepreneurial swiftness of the small companies nor the megacapital and reputation of the big firms to sustain them. Although we do not necessarily welcome this change, it seems inevitable that in most indus-
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tries we will soon have three or four major players that control the vast majority of the market.
□ Beyond Loyalty: The New Social Contract Over the last hundred years, people have left their homes, farms, and communities to work for large companies in exchange for wages. Many worked all their lives for a single company and were rewarded with job security and a decent pension. The old social contract stipulated that acceptable performance and good behavior would be rewarded with lifetime employment. At the close of the twentieth century, this relationship between organizations and employees became obsolete, both in the United States and abroad. With global competition came plant closings, downsizing, and cutbacks. As economies picked up, people were rehired under different terms, as either temporary or short-term contract employees. This change has had a dramatic impact in Japan, where individual identity is closely tied to corporate membership; layoffs there have caused stress levels to skyrocket and have contributed to an increase in the suicide rate. Today, few employees believe that their employer will remain loyal to them, and indeed the feeling is mutual. The new social contract is a different kind of employment relationship wherein “job security” is fleeting and tied expressly to whether one’s skills fit the organization’s needs at that time. Owners jump at the possibility of selling out for a tidy profit, and employees are always on the lookout for a better opportunity. Many business schools teach their students to think of themselves as a small business and to see their careers as a series of finite contracts with corporations. In this new environment, employees must engage in continual learning to remain in demand; at the same time, businesses must strive to attract and retain the best talent. In this spirit, one of Pfizer’s senior human resources managers is now director of “talent management,” with the job of continually “rerecruiting” the best employees, making sure that they are challenged, satisfied, and likely to stay with the firm. Perhaps the greatest challenge to employee loyalty in recent years has been the extraordinary number of corporate officers (e.g., CEOs, CFOs), corporate directors, and corporate accountants who either are being investigated for or have been indicted for criminal behavior. The most storied of these cases is Enron, now synonymous with grievous ethics violations. In 2001, as the company was clearly moving toward bankruptcy, it paid out $681 million in cash and stock to its 140 most senior managers (nearly $5 million per manager), while most of Enron’s former employees received a maximum of only $13,500 in severance pay (“Managing to make money,” 2002). The documentary film Enron: The Smartest Guys in the Room (2005) chronicles one perspective on the spectacular rise and fall of the Enron Corporation, foreshadowing the trials of Enron’s most senior leaders (Kenneth Lay and Jeff Skilling), which resulted in their convictions. Lay died before he could be sentenced; Skilling was convicted in 2006 of multiple federal felony charges relating to
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Enron’s financial collapse and is currently serving a twenty-four-year prison sentence at the Federal Correctional Institution in Waseca, Minnesota.
Shifting Power Bases In nineteenth-century America, power was measured by a person’s tangible assets: land, equipment, oil, and even slaves. Not surprisingly, those in control of these resources wielded the greatest power. By the second half of the twentieth century, information resources replaced tangible resources as a measure of power. By the year 2000, more than half of the U.S. labor force was involved in the transfer, reprocessing, or transmittal of information, a figure that is predicted to increase significantly by 2010 (U.S. Department of Labor, 2002). A growing number of people can be classified as “knowledge workers,” and those with the best access to information are the most likely to succeed. However, some observers argue that having the right information is not sufficient for achieving and maintaining power. According to Rosabeth Kanter (1989), informal communication networks — relationships with trusted coworkers characterized by quick, verbal communication — are the most dynamic source of power in contemporary organizations because of the role they play in responding to a turbulent business environment. In this challenging environment, the formal reporting relationships specified by the organizational chart (for those companies that still have organizational charts!) are far too limiting to be effective. Informal relationships allow employees to get things done across functions within organizations, across organizations, and among business, government, and other stakeholders. And as mentioned earlier, new communication technology has made social networking extremely easy, even across great physical distances. Finally, under the new social contract, the career ladder (an expectation that one’s career will follow an orderly progression of increasingly responsible jobs in the hierarchy) has been replaced by the opportunity to work on an expanding set of challenges to hone one’s skills and the strategic application of those skills through a web of work opportunities and projects. Since careers no longer follow predictable paths, personal connections and interpersonal relationships have become essential for success.
New Values and Priorities At the same time that competition has increased and managers demand more from employees, new values and priorities about home and family have emerged. Many if not most workers struggle to succeed at work while also attending to the care of their children and parents (Drago, 2007). The desire for balance between work and family is increasing among many workers; at the same time, people seek more meaningful, involving work experiences. American workers in particular are altering their definition of success to include not just a career, but also a deeper involvement with family and community.
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Two primary factors have contributed to this shifting of priorities. First, with fewer high-paying, unionized manufacturing jobs available in the United States, two-career families are prevalent. According to the latest census figures, more than 67 percent of the workforce consists of dual-earner couples. Second, because grandparents and other members of extended families rarely live nearby, child care is in high demand. As a result, family issues have become a big part of the national political agenda. It was not that long ago that the model American employee came to work early, stayed late, and was willing to travel anywhere at a moment’s notice. Being a success meant putting one’s job ahead of almost everything else, leading many to become “workaholics” (see What Would You Do? on page 22). Today’s men and women are seeking to redefine the work ethic of the past. Although some are willing to work as hard as needed to get ahead, others seek more balanced lives. Some businesses are moving to accommodate these needs by providing child care, flexible hours, and parental leave (Moskowitz & Townsend, 1991; Zedeck & Mosier, 1990). While flexible working programs have been hailed as a low-cost means of recruiting and retaining employees and enhancing productivity, recent trends reveal a surprising pattern. Organizations are offering fewer flextime schedules today than they were just a few years ago. One study conducted by the Society for Human Resource Management reports that 64 percent of organizations offered flextime in 2002. In 2006, that number dropped to 57 percent (2009). Analysts suggest that the current labor market does not require employers to offer flextime and other work-life programs to attract employees. Moreover, many employees are hesitant to ask for or demand flexible schedules because they believe it may signal a lack of commitment to the organization that could put their careers in jeopardy. In sum, today’s organizations acknowledge the importance of the employee’s quality of life. Broadly speaking, an employee’s quality of life is overall satisfaction with his or her work experience in the context of other life experiences, constraints, and aspirations. This value, however, is easier to espouse than to enact given varying definitions and priorities among employees. For example, an unmarried colleague of ours confided that he resents “family-friendly” company policies because they favor the personal lives of families over those of singles (Kirby & Krone, 2002). On-site day care is seen as a boon by many but is resisted by some who see it as further encroachment by business into employees’ personal lives. In the end, probably the best any organization can do is to treat employees as whole people while allowing them latitude in how they establish balance in their own lives.
The Meaning of Work Some of the values being espoused today about work signal not a retreat from it but a transformation of its meaning — from drudgery to a source of personal significance and fulfillment. Employees want to feel that the work they do is worthwhile, not just a way to draw a paycheck. This trend is increasingly pervasive. For example, while white-collar workers and college students tend to view blue-collar workers
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WHAT WOULD YOU DO?
Organizational Structure and Employee Well-Being Workaholic is a term used to describe a person who is unnaturally preoccupied with work. Typically, a workaholic spends long hours at work, including nights and weekends. Family relationships and friendships are often abandoned in favor of relationships with coworkers or other workaholics. Some workaholics truly enjoy their work, but most worry obsessively about getting unfinished work done. Workaholics are often viewed as people who choose to dedicate themselves to their work at the expense of their health, family, and friends. Some organizations consider the behavior of workaholics desirable — a sign of the employee’s dedication to the job and the company and a source of increased productivity. Moreover, new developments in communication technology have led many people to be “always on call” in unprecedented ways. Several organizational theorists propose a new interpretation of workaholism as a disease, a condition brought about by the profound influences that organizations have over how people define themselves through their work (Alvesson, 1993; Deetz, Tracy, and Simpson, 2000). In this view, organizational power structures may destabilize the employee’s personality and produce an unhealthy level of dependence. The causes and symptoms of workaholism are, in a sense, ethical problems. As organizational theorist Stan Deetz argues, “It is wrong to knowingly do physical or psychological harm to others” (1991, p. 38). This raises several ethical questions.
Discussion Questions 1. To what extent do organizations intentionally reward unhealthy but productive behavior as a way of maximizing employee output? 2. What role does communication technology play in promoting workaholic behavior? 3. If you were a manager in a company that rewards workaholic behavior, how would you counteract the problem? What questions would you ask? Who in the company would you consult? 4. If you were an employee of a company that rewards workaholic behavior, how would you address the problem? Who would you discuss it with? 5. As employee or manager, would you have an ethical obligation to help a coworker who is a workaholic? Explain. 6. Can a student be a workaholic? What might this term mean in an educational environment? Do you know anyone who fits the description? 7. Can you identify any generational differences in the likelihood of someone becoming a workaholic? Explain.
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as being motivated primarily by money, job security, and benefits, the most important incentives for workers at all levels include positive relationships with coworkers and managers. Also important are opportunities to participate in organizational decision making. Without these major determinants of job satisfaction, worker stress and burnout may occur. Work has considerable social significance for Americans, who, despite increased concerns for balance, as a rule spend more time on the job than they do with their families.
Who Can Afford to Prioritize? For many people, prioritizing work, family, and other needs is a luxury. “Sure,” they say, “I want all those things — more meaningful work, more time for myself, more time with family and friends. But most of all I really need this job to survive!” This is especially true in light of the recent credit crisis, which has resulted in an unprecedented number of home foreclosures and record unemployment in the United States. Any discussion of the quality of work life must take into account the millions of U.S. workers who are either unemployed or underemployed and live below the poverty line. As we struggle to make work more meaningful, we must also seek to improve the education, living standards, and working conditions of those at the bottom of the economic ladder by setting priorities that include everyone. More specifically, we must recognize that traditionally disadvantaged groups — for example, people of color and women — are disproportionately represented among the working poor. This awareness must lead us to redouble our efforts to fight both racism and sexism on the way to establishing economic parity.
Summary Defining organizational communication for the twenty-first century requires the identification of important social trends and the repositioning of communication practices in an ever-changing landscape. In the present turbulent environment, traditional ways of doing business — and of communicating — are no longer effective. Instead, new principles of effective organizational communication must be developed to reflect the new environment — principles that transcend time and space and that acknowledge the formation of a new social contract between owners and employees. Dissatisfaction with current forms of economic globalization and corporate corruption on an unprecedented scale have created conditions for a new activism around the nature of work. As we stated at the outset, the history of humanity is the history of organizing, which is in turn accomplished through communication. In the next chapters we will consider more specifically the theories and definitions that will guide us toward a better understanding of organizational communication today.
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Questions for Review and Discussion 1. Explain what is meant by the idea that organizing always involves bridging diverse perspectives. How is this idea directly related to the study and practice of communication at work? 2. What do we mean by the statement “Answers to questions about organizational communication are highly situated and perishable”? How is the answer to this question directly related to the idea that there are no hard-and-fast rules for effective communication? 3. Why is it more important to learn how to ask good questions than it is to have set answers about communication in organizations? 4. Describe how the global economy, changing management practices, and information technologies have reshaped the world of work. Then explain how each of these changes has affected the study and practice of communication in organizations. 5. Describe the concept of the urgent organization. Explain how this concept relates to the idea of today’s business being done in a “turbulent environment.” 6. What is meant by the “new social contract”? What social changes have helped create it? 7. How can studying organizational communication prepare you for the world of work, regardless of your future professional plans?
Key Terms Boundary spanner, p. 18 Communication network, p. 20 Communication technology, p. 15 Globalization, p. 7 Identity theft, p. 16 Knowledge management, p. 15 Multicultural management, p. 12 New social contract, p. 19
Organizational communication, p. 4 Organizational environment, p. 18 Outsourcing, p. 9 Quality of life, p. 21 Trafficking, p. 12 Urgent organization, p. 17 Worldview, p. 3
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CASE STUDY
The Case of the “Italian” Shoes Affluent and aspiring “fashionistas” worldwide put a premium on owning luxury brands of shoes, handbags, and accessories that have long been designed and manufactured in Paris, Milan, and London. Brands like Prada and Burberry conjure scenes of the European countryside and generations of handcrafted excellence. Recently, however, many of these high-end companies have quietly made the choice to manufacture large parts of their products in China. There are many economic incentives for doing so. In addition, however, the European owners (speaking with anonymity, of course) draw a striking contrast between work attitudes and capabilities in China and in Europe. Specifically, they describe European employees as demanding and inflexible and Chinese employees (and organizations) as speedy, responsive, and highly adaptive. Moreover, these same business leaders describe the craftsmanship coming from Chinese suppliers as increasingly on a par with that of western European workers. These high-end companies continue to label their wares as “made in Italy” or “made in Paris” because local laws allow such labeling even when only a small portion of the work (typically the final assembly) is completed in the designated country or city. As this situation comes to light, few people can agree about its meaning and appropriateness.
Assignment 1. Do you see a difference between what these companies are doing and the illegal production of counterfeit (“knockoff”) products fraudulently stamped with a designer label and sold on street corners? 2. What are the communication ethics of labeling a product as made in a country (typically for marketing reasons) when it is only minimally true? Do you think that companies should have to disclose all of the various locations where their products are made? Why or why not? 3. What effect will the globalization of the workforce, and in particular the rising capabilities of China, likely have on Western countries with more traditional, less flexible workforces and often more complicated labor rules? 4. Do you foresee a future for products that feature a specific location as a selling point? What is your prognosis for expressly “local” production (e.g., food or goods from a particular location) in a global economy?
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Defining Organizational Communication
As stated in the last chapter, as long as there have been humans, there has been organizing, and with organizing comes a concern about how to do better, whether the task is hunting, coaching a sports team, or running a multinational corporation. Unfortunately, those with practical interest in improving organizational communication have not always adopted the same definitions and assumptions. For example, when engineers speak of the importance of communication, they often (but not always) refer to its role in promoting clarity and consensus. In contrast, a group of clergy calling for improved communication would likely focus on the evocative and emotional power of discourse. In this chapter, we describe some common approaches to organizational communication, including models of communication as information transfer, transactional process, strategic control, and a balance of creativity and constraint. We conclude with a model of communication as mindful dialogue as well as a discussion of integrity and ethics.
APPROACHES TO ORGANIZATIONAL COMMUNICATION Of the various conceptions of organizational communication, four have attracted the greatest number of adherents: (1) communication as information transfer, (2) communication as transactional process, (3) communication as strategic control, and (4) communication as a balance of creativity and constraint.
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□ Communication as Information Transfer The information-transfer approach views communication as a metaphoric pipeline through which information flows from one person to another. Managers thus communicate well when they transfer their knowledge to subordinates and others with minimal “spillage.” According to Steven Axley (1984), this version of communication assumes the following: 1. Language allows us to transfer thoughts and feelings from one person to another. 2. Speakers and writers insert thoughts and feelings into words. 3. Words contain those thoughts and feelings. 4. Listeners or readers extract those thoughts and feelings from the words. The information-transfer approach sees communication as a tool that people use to accomplish their objectives. This view, popularized in the early to mid1900s, compared human communication to the flow of information over a telegraph or telephone wire. Clear, one-way communication was emphasized during this period as a means of impressing and influencing others. Along these lines, communication is typically defined as “the exchange of information and the transmission of meaning” (Dessler, 1982, p. 94). Here the process of transmission is not seen as problematic — that is, “If I say it and you can hear it, you ought to understand it” (Feldman & March, 1981). An analogy can be made to the classroom teacher who relies completely on lectures, never stopping to engage with students. The underlying belief is that since the professor said it, you should get it. According to this perspective, miscommunication occurs when no message is received or when the message that is received is not what the sender intended. Typical communication problems include information overload, distortion, and ambiguity. Information overload occurs when the receiver becomes overwhelmed by the information that must be processed. Three factors can contribute to information overload: (1) amount, or the quantity of information to be processed; (2) rate, or the speed at which the information presents itself; and (3) complexity, or the amount of work it takes to process the information (Farace, Monge, & Russell, 1977). Information overload situations can vary in intensity and type. A government worker in a severely understaffed bureaucracy, for example, may have to deal with mountains of simple, steady work. In contrast, a police officer on patrol may be faced with varying amounts of complex information that presents itself at a fast rate. Distortion refers to the effects of noise on the receiver’s ability to process the message. Noise can be semantic (the message has different meanings for the sender and the receiver), physical (the sound of static on a telephone line or of a jet plane passing overhead), or contextual (the sender and the receiver have different perspectives that contribute to the miscommunication). A typical example would be trying to communicate with a coworker who is experiencing a personal crisis;
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although you may be saying important things, the coworker’s emotional “noise” may prevent him or her from hearing your message. Finally, ambiguity occurs when multiple interpretations of a message cloud the sender’s intended meaning. Abstract language and differing connotations are common sources of ambiguity. When a manager asks two employees to work “a little harder,” for instance, one might put in an extra half hour a day, and the other might work all night. The information-transfer approach is summarized in David Berlo’s (1960) SMCR model. In it, communication occurs when a sender (S) transmits a message (M) through a channel (C) to a receiver (R). The sender encodes an intended meaning into words, and the receiver decodes the message when it is received. The information-transfer model, while dated, remains a useful way to explain certain communication situations in organizations, such as the giving and receiving of technical instructions, e-mail, instant messages, or Twitter exchanges among employees. We have also found this model to be useful in teaching health-care providers how to hand off information about a patient to a colleague (e.g., a nurse ending her night shift at a hospital passes a patient’s chart to the nurse just beginning his morning shift). Rather than simply handing the information off and heading out the door, senders promote effective communication when they pause and make sure that the receiver “gets” the message. This is also an opportunity for the receiver to clarify and ask questions — questions that could be important for the health and safety of the patient (Mahar, 2006). Critics of the information-transfer approach argue that it is simplistic and incomplete, painting a picture of communication as a sequential, linear, and even automatic process (i.e., “I throw you a message, then you throw one back”). It assumes that the receiver remains passive and is uninvolved in constructing the meaning of the message. Still, it persists in many people’s understanding of organizational communication. For example, the general manager of a large aerospace company hired several pilots to fly over his manufacturing plant and drop hundreds of flyers with the message: “Satisfy your customer with first-time quality.” When one of your authors met with this manager a month after this event, he was dumbfounded to learn that employee attitudes and behaviors had not changed to comply with the message. His exact words were “I told them what to do, so why aren’t they doing it?”
□ Communication as Transactional Process Dissatisfaction with the information-transfer approach to communication led to the development of the transactional-process model. It asserts that in human communication, clear distinctions are not made between senders and receivers. Rather, people play both roles simultaneously. “All persons are engaged in sending and encoding as well as receiving and decoding messages simultaneously. Each person is constantly sharing in the processes, and each person is affecting the other” (Wenberg & Wilmot, 1973, p. 5). The transactional-process approach highlights
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the importance of feedback, or information about how a message is received, and particularly nonverbal feedback, which may accompany or substitute for verbal feedback. Consider, for example, the nonverbal messages that students send to instructors during a lecture to indicate their degree of attention and comprehension. While the members of one class may be on the edge of their seats and making consistent eye contact with the teacher, the members of another class may be slouching, fidgeting, and avoiding the instructor’s gaze. Rightly or wrongly, most teachers will imbue these nonverbal behaviors with meaning and interpret the first class as more engaged and intelligent. The importance of nonverbal communication is captured by the famous axiom “You cannot not communicate” (Watzlawick, Beavin, & Jackson, 1967, p. 49). In other words, a person need not speak to communicate; nonverbal messages are conveyed through a person’s silence, facial expressions, body posture, and gestures. As a result, any type of behavior is a potential message (Redding, 1972). The transactional-process model differs from the information-transfer approach in terms of the presumed location of the meaning of the message. In the informationtransfer model, the meaning of a message resides with the sender, and the challenge of communication is to transmit that meaning to others. In the transactionalprocess model, in contrast, meanings are in people, not words (Richards, 1936). The model focuses on the person receiving the message and on how the receiver constructs the meaning of that message. As a result, says Steven Axley (1984), “Miscommunication is the normal state of affairs in human communication. . . . Miscommunication and unintentional communication are to be expected, for they are the norm” (p. 432). One area to which the transactional-process model may be applied is organizational leadership. Ideas about leadership have evolved from the simple belief that certain people are born with leadership skills to the acknowledgment that leadership involves a transaction between leaders and followers. Thus, successful leaders can shape the meanings that followers assign to what leaders say or do. In this sense, then, leadership is the transactional management of meaning between leaders and followers. Compare this to the information-transfer model, which gauges a leader’s effectiveness solely on his or her ability to “put across” an inspirational message. In contrast, the transactional-process model predicts that a common understanding will emerge between a leader and his or her followers over time through communication. Many experts criticize the transactional-process view for its emphasis on the creation of shared meaning through communication. This bias toward shared meaning may be based more on ideology than on empirical research. The degree of shared meaning between people can never be verified; all one ever has as proof is people’s reports about what they mean, which can be manipulated and unreliable. Shared meaning implies consensus, and it is commonly observed that organizational communication is more typically characterized by ambiguity, conflict, and diverse viewpoints.
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□ Communication as Strategic Control Unlike the transactional-process model, which assumes that effective communicators are clear and open in their efforts to promote understanding and shared meaning, the strategic-control perspective regards communication as a tool for controlling the environment (Parks, 1982). It recognizes that, due to personal, relational, and political factors, greater clarity is not always the main goal in interaction. The strategic-control perspective sees communicators as having multiple goals. For example, in a performance review, a supervisor might have two primary goals: to be understood and to preserve a positive working relationship. In this view, a competent communicator is one who chooses strategies that are appropriate for accomplishing multiple goals. In addition, the strategic-control approach to communication recognizes that while people may have reasons for their behavior, they cannot be expected to communicate in ways that consistently maximize others’ understanding. Communicative choices are socially, politically, and ethically motivated. We all recognize that others may violate the communicative expectations of clarity and honesty when they believe it is in their interest to do so. The limits of general statements about what constitutes “effective” communication led to a focus on communication as goal attainment, as a means to accomplish one’s ends through adaptation and saying what is appropriate for the situation. Communicators must be able to recognize the constraints of the situation and to adapt to multiple goals simultaneously, such as being clear, assertive, and respectful of the other person (Tracy & Eisenberg, 1991). In organizational communication, strategic ambiguity is an important concept that describes the ways in which people may communicate unclearly but still accomplish their goals (Eisenberg, 1984). While common sense may dictate that effective communicators speak clearly, Eisenberg notes that clarity is not always, nor should it be, a primary communicative goal. Rather, there are several instances in organizational life when ambiguous messages may be productively deployed. Specifically, strategic ambiguity • • • •
Promotes unified diversity Preserves privileged positions Is deniable Facilitates organizational change
First, strategic ambiguity takes advantage of the diverse meanings that different people can give to the same message. For example, Nike’s mission statement “Just Do It” is sufficiently ambiguous to allow all Nike consumers to read their own meanings into it. Second, strategic ambiguity preserves privileged positions by shielding those with power from close scrutiny by others. A seasoned diplomat or a professor emeritus giving a speech, for example, is traditionally given the benefit of the doubt by supporters who may have to fill in some gaps in their understanding. Similarly, by being less than precise (e.g., in providing a lukewarm reference for a
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mediocre colleague), employees can protect confidentiality, avoid conflict, and conceal key information that may afford them a competitive advantage. In this sense, strategic ambiguity is said to be deniable; that is, the words seem to mean one thing, but under pressure they can seem to mean something else. Finally, strategic ambiguity facilitates organizational change by allowing people the interpretive room to change their activities while appearing to keep those activities consistent. For example, with the advent of air travel, transatlantic ocean liner companies that provided overseas passage by ship were faced with a major challenge to their service. The firms that defined themselves as transportation companies did not survive, whereas those that interpreted their business more broadly (and ambiguously) as entertainment went on to develop leisure cruise businesses. An example of the pros and cons of strategic ambiguity appears in What Would You Do? below. WHAT WOULD YOU DO?
Sudden Flags: Organizational Ambiguity in Action The strategic uses of ambiguity can have positive or negative influences on the quality of organizational life. Viewed positively, strategic ambiguity can encourage members of an institution to unite around common symbols (such as a college mascot or tradition) without requiring people to hold the same meanings for those symbols. Viewed negatively, strategic ambiguity can be used to mask and even suppress important differences between individuals. An interesting example of this dynamic occurred in 2005 when the Florida state legislature voted to place American flags in every classroom in the state. The intent of the law was to remind students of their citizenship as part of their education. Nearly overnight, thousands of inexpensive flags mounted on plastic PVC pipes were affixed to the walls of classrooms at every level of education in Florida.
Discussion Questions 1. Flags are a classic example of ambiguous symbols. If you were a student in one of these classrooms, how would you react to the appearance of the flag? 2. How would you react if you were the teacher? 3. How should teachers react to students who have varied views of the flag and may even oppose its presence in the classroom? 4. Outline a conversation that you might have with your class on the first day the flag appears. How would you solicit multiple interpretations of its meaning, and how would you handle strong differences in beliefs?
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Unlike other models of communication, the strategic-control approach challenges the idea of shared meaning as the primary basis or motivation for communication. Rather, it holds that shared meaning is an empirically unverifiable concept (Krippendorff, 1985) and that the primary goal of communication should be organized action (Donnellon, Gray, & Bougon, 1986). If we accept that the meaning one person creates may not correspond to the meaning that another person gives to the same message, it is less important that the two people understand each other than it is that they act in mutually satisfying ways (Weick, 1995). Although the strategic-control perspective advances our appreciation of the subtleties of communication, it is not without problems. First, it minimizes the importance of ethics. While strategic ambiguity is commonplace in organizations, it is often used to escape blame. Particularly when called upon to testify about their actions in a court of law, many if not most executives will make good use of the “wiggle room” afforded by vague or ambiguous language. That way, when they succeed they can claim credit, but when they fail they can quickly identify an interpretation of events that lets them off the hook. Another limitation of the strategic-control approach is its emphasis on the behavior of individuals (or on individuals controlling their environment through communication), often at the expense of the community. As such, it clouds issues related to cooperation, coordination, power and inequality, and the interdependent relationships of individuals and groups. The strategic-control model suggests that the world is composed of independent communicators, each working to control his or her own environment, and that meaning exists only within people’s minds.
□ Communication as a Balance of Creativity
and Constraint Our definition of organizational communication in this text is that communication is a balance of creativity and constraint. We believe that communication is the moment-to-moment working out of the tension between individual creativity and organizational constraint. The phrase “moment-to-moment working out of the tension” refers specifically to the balance of creativity (thinking innovatively, being willing to reexamine taken-for-granted routines and practices, encouraging new ideas, and so on) and constraints (the constructions of reality that limit the individual’s choice of strategic response, such as deadlines, financial limits, organizational rules, and so on). Since the late 1960s, the central focus of social theorists has been the relationship between individuals and society, which in our case translates to the relationship between employees and organizations. Two competing perspectives examine this relationship. The macro perspective sees individuals as being molded, controlled, ordered, and constrained by society and by social institutions. In contrast, the
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EVERYDAY ORGANIZATIONAL COMMUNICATION
Online Networking Profiles: Balancing Creativity and Constraint Balancing creativity and constraint, the metaphor we conceived of as an analytical framework, may also be used to make organizations and individuals more successful. Let’s consider the usefulness of the metaphor in an arena that you may already be familiar with: that of successful online networking and self-promotion. If you are a student who wants to meet new people on campus, a single person who wants to find a date, or a member of a new band that wants to be discovered, you may not need to look any further than online networking sites like Facebook, Match.com, and LinkedIn. These sites allow groups and individuals to market themselves to a desired audience (whether a social group, a date, or a company) by posting online profiles that reveal personal and professional information. As individuals grow increasingly comfortable with the use of technology, however, more profiles appear on these sites, increasing the competition for “hits” and possible connections. As such, profiles have had to become increasingly unique to attract attention, while still offering the requisite information desired by wouldbe readers. The authors of successful profiles have to walk the line between creativity and constraint to market themselves appropriately and effectively. In this chapter, we discuss Anthony Giddens’s (1984) theory of structuration and offer the example of a designer of a new advertisement. A successful advertisement must be bound by the rules and norms of a given industry while remaining open to the possibility of creatively transcending those structures. The same can be said for successful advertising and marketing in the virtual world. The developed norms of online networking pressure individuals to offer key pieces of information. Successful dating profiles, for example, typically describe the author’s age, height, weight, hair color, profession, and personal interests as well as desired traits in a prospective date. Without this information, a profile will be entirely overlooked or considered suspect for its glaring omissions. Despite the constraint to offer this requisite personal information, dating experts agree that profiles that are too constrained and lack creativity are not likely to receive many hits. As dating expert Evan Marc Katz states, “If you’re writing a profile, you have one job and that is to sound different than everybody else” (cited in Dykstra, 2006). In other words, profile authors must go beyond offering the standard bits of information. Sites like Match.com do allow room for these spots of creativity. Catchy profile titles attract visitors, as do personal photographs and open responses that allow the author — in his or her own words — to relate additional information from an explanation of a favorite hobby to a description of the ideal vacation.
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(continued, Online Networking Profiles)
Discussion Questions 1. If you have ever viewed online profiles, consider which ones stand out the most. What characteristics do they share? In what ways are they different? 2. What are some of the other everyday contexts in which your life is organized through your own attempts to balance creativity and constraint? Consider the choices you make about how you dress in various contexts (school, social events, work) or the way you interact in meetings (whether at work, at a religious institution, or in a campus organization). 3. In which organizational environments do you organize your self-presentation in ways that favor creativity? In which environments do you accommodate organizational constraints? Why do you make those choices?
micro perspective sees individuals as active agents who create society and its social systems. Our definition of communication assumes both perspectives are true — simultaneously. This dichotomy has obvious implications for organizational communication, depending on whether the emphasis is on how employees communicate to create and shape organizations or on the constraints organizations place on that communication. In other words, while we no doubt conform to social pressures, rules, laws, and standards for behavior, “we are rule and system users and rule and system breakers as well” (Wentworth, 1980, p. 40). Although many writers have contributed significantly to this line of thought, Anthony Giddens’s (1984) theory of structuration is especially relevant to students of organizational communication. In discussing the relationships between individual communication and social systems and structures, Giddens simultaneously focuses on the creative and constraining aspects of structure, or what he calls the duality of structure. In this view, the designer of a new product advertisement is both bound by the rules, norms, and expectations of the industry and open to the possibility of transcending those structures by designing a creative ad. In this sense, creativity is the design and modification of social systems through communication. The communication process is not viewed as what goes on inside organizations but as how people organize (Barnard, 1968; Farace et al., 1977; Johnson, 1977; Weick, 1979). People create social reality or organize through communication in an ironic sense: They rarely get the reality they set out to create (Ortner, 1980). The process of designing a new retail store, for example, is necessarily a series of compromises among differing dreams and worldviews; rarely does one individual get to call all the shots. Both the physical design and the interpretations of that design are the result of overt and covert negotiation.
Chapter 2: Defining Organizational Communication
The theory of structuration thus sees human behavior as an unresolvable, productive tension between creativity and constraint. William Wentworth (1980) reminds us that thinking of people as either inherently constrained or inherently creative does not offer a complete characterization of the relationships between individuals and society. Instead, he argues, social life is a balance of creativity and constraint — of constructing social reality and of being constrained by those constructions — and it is through communication that the balance is achieved. As an example of how the tension between creativity and constraint is constructed through communication, we can cite the meetings we attended at a company that manufactures hydraulic lifts. These staff meetings were controlled by the company president according to an agenda that he prepared. Most discussions were marked by short briefings on various topics (such as new sales, personnel changes, and capital equipment expenditures) and little actual decision making. Although the executives in attendance were experienced decision makers, they knew that the president viewed any opposing viewpoint as a sign of disloyalty. Nicknamed “Little General,” the president routinely embarrassed employees who disagreed with him or who attempted independent action. Over time, employee nonconfrontation was taken for granted, and what had started out as a human construction came to be accepted as an organizational reality (Berger & Luckmann, 1967). Despite the strong constraints on communication and the norm of nonconfrontation at the company, however, occasionally the urge to be creative emerged during meetings. An employee might, for instance, introduce a topic that was not on the president’s agenda or present new data that conflicted with data given by the president. By observing communication in these ways, we saw both creativity and constraint in action, as the company’s norms were applied or challenged. Notice that this balancing act stimulates creativity as a strategic response to organizational constraints. In our example, the staff members acted on information they already had to guide their choices of when to speak and what to say. Unfortunately, however, the organizational reality of nonconfrontation limited their strategic choices and their ability to respond. Because the president seemed unable to respond to their initiatives positively and because they were unable to alter his construction of reality, the balance was tipped toward constraint and away from creativity. It was this lack of balance that made the staff meetings relatively unproductive, one-sided affairs. Fortunately, the balance does not always tip in favor of constraint, although some degree of structure is always necessary. A great example of an organization known for encouraging idiosyncratic behavior on the part of its employees is Southwest Airlines. From its inception, Southwest has cultivated an organizational culture that values individual creativity and initiative, most keenly manifested in the employees’ dress, informal attitude, and use of offbeat humor. To better understand the two approaches, reflect on the different classroom climates that you have experienced. More than likely, you will be able to place each on a continuum between
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TABLE 2.1
Organizational Communication: Preliminary Perspectives Communication as Information Transfer
Communication as Transactional Process
Communication as Strategic Control
Communication as a Balance of Creativity and Constraint
Metaphor: Pipeline or conduit
Metaphor: Process
Metaphor: Control
Metaphor: Balance
Goal: Using communication as a tool to accomplish
Goal: Adapting messages to the needs and expectations of listeners.
Goal: Deploying ambiguous messages to take advantage of the diversity of meanings people often give to the same message to control environments and achieve multiple goals.
Goal: Working out the tension between individual creativity and organizational constraint in moment-to-moment interactions.
Measure of effectiveness: Receiver of communication understands (or does) what the speaker intended.
Measure of effectiveness: Senders and receivers share meaning.
Measure of effectiveness: Coordinated action is accomplished through diverse interpretations of meanings.
Measure of effectiveness: A balance between satisfied individuals and a cohesive community.
those that emphasized constraint (strict rules, centralized control) and those that stressed creativity (flexible rules, tolerance for a range of acceptable behaviors). Having now reviewed the high points of organizational communication theory — communication as information transfer, transactional process, strategic control, and a balance of creativity and constraint — we use the best concepts from each perspective to develop our own model of organizations as dialogues. A summary of the perspectives appears in Table 2.1. A specific representation of the “balance” metaphor for understanding organizational communication is shown in Figure 2.1.
ORGANIZATIONS AS DIALOGUES As we have discussed, human beings are both social and private beings. As such, we establish a sense of self that is apart from the outside world (an identity) and that engages in a lifelong conversation with another sense of self that is a part of the
Chapter 2: Defining Organizational Communication
FIGURE 2.1
Communication as a Balance of Creativity and Constraint Metaphor: Balance Assumptions 1. The duality of structure: Individuals are molded, controlled, ordered, and shaped by society and social institutions; individuals also create society and social institutions. 2. Communication is the moment-to-moment working out of the tensions between the need to maintain order (constraint) and the need to promote change (creativity). As such, communication is the material manifestation of a. institutional constraints b. creative potential c. contexts of interpretation
Representative Model
Constraint
Creativity Communication Description
Creativity
Communication
Interpretations of meanings; all forms of initiative; new ways of organizing tasks and understanding relationships; resistance to institutional forms of dominance; uses of storytelling and dialogue to alter perceptions; uses of social constructions of reality to forge new agreements and to shape coordinated actions at work
Reveals interpretations of contexts; asks questions about resources for creativity and the presence of constraints; suggests the possibility of dialogue
Constraint Social and institutional forms, laws, rules, procedures, slogans, and management styles designed to gain compliance and limit dialogue at all costs; top-down decision making and problem solving
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outside world (membership in a community). If we could somehow construct reality all on our own — as a monologue — we would then be totally alone. Conversely, if our contexts for interpretation came entirely from others, we would lose our unique identity. In other words, our very selves can be understood as a result of the balance between (social) constraints and (individual) creativity. Our self-concept is formed in part from the social relationships we have with others and from others’ responses to what we say and do (Bakhtin, 1981; Blumer, 1969; Jackson, 1989). According to George Herbert Mead (1934), the self consists of two interrelated “stories”: (1) the story of “I,” or the creative, relatively unpredictable part of a person that is usually kept private, and (2) the story of “me,” or the socially constrained, relatively consistent part of a person that is more openly shared with others. The “I” is impulsive, whereas the “me” strives to fit into society’s rules and norms. The creative aspect of the self (the “I”) desires meaningful action with others. The constraining aspect of the self (the “me”) guides this action by anticipating responses and applying social rules of behavior. For our purposes, we are interested in how organizations provide a context for interesting conversations that we have about ourselves, others, and our social realities. In the next section, we discuss how our participation in dialogue is always informed by the contexts in which we find ourselves, as well as the necessary key features of dialogue that cross all contexts.
□ Dialogue and the Situated Individual We grow up and learn about life in multiple organized contexts, each of which has its own constraints (rules, norms, and expected understandings) that make it unique. These constraints play two roles: (1) They limit creativity and individual freedom, and (2) they suggest particular constructions of reality that assist in interpretation. For example, if a coworker leans over and kisses you (against your wishes), it would be clear from the business context that such behavior is inappropriate and that a strong negative reaction on your part is warranted. If a family member does the same thing, the meaning would be entirely different, as would your likely response. Consider also how interpretation is complicated by multiple contexts in the typical family business or when spouses work together in the same company. You can imagine the conversations: “Dad, you can talk to me that way at home, but not here in front of the other employees!” or “How could you, my own wife, vote against me at the faculty meeting!” Different contexts suggest different rules for action and interpretation. Even within a small organization, multiple contexts are always available for interpretation. Similarly, in conducting performance appraisals, how tough should supervisors be on marginal performers? Seen in the context of the business as a financial entity accountable primarily to shareholders, the supervisor should be direct and tough. In a context that emphasizes the supervisor-employee relationship, however, the
Chapter 2: Defining Organizational Communication
supervisor could justify being more understanding. Interpreting and communicating in multiple contexts is the tough stuff of organizational life. This brings us to our key point: All individuals are situated in multiple contexts. In a broad sense, this means that behavior is both guided and constrained by the types of organizations with which we affiliate, whether they are capitalist enterprises, voluntary associations, nation-states, or families. More specifically, all behavior is situated in smaller, or more local, contexts: The situated individual is a person who is conducting the everyday business of constructing and maintaining the social realities in which they live. The situated individual is connected to others through a network of shared, mutually negotiated, and maintained meanings. These meanings provide location, identity, action, and purpose to the individual. They tell me where I am, who I am, what I am doing, how to do it, and why. . . . The network of meanings is not independent of the situated individual. It is the product of the interaction among situated individuals. (Anderson, 1987, p. 268)
Difficulty is encountered when the multiple contexts impinging on an individual suggest inconsistent or conflicting communication or behavior. A study of Disneyland’s corporate culture provides a detailed example of multiple conflicting contexts for interpretation (Smith & Eisenberg, 1987). In the early days of the theme park, employees used two metaphors, “the show” and the Disney “family,” which were keyed to larger contexts. The first metaphor — Disneyland as a show — suggested that employees were actors who played important roles. They could thus be told by the “director” to act in particular ways because of “box office concerns” (e.g., to smile more or to style their hair differently). The other metaphor — Disneyland as a family — suggested a different and sometimes opposing context in which management, like a concerned parent, took care of its employees and provided a nurturing environment. These conflicting contexts for interpretation had very different consequences for Disney policy, and in the mid-1980s, company employees actually called a strike in response to a pay cut that was being sold by management as a “sacrifice families are sometimes called upon to make.” In fact, recent case studies suggest that the drama metaphor — so compatible with business — has in fact won out. The situated-individual model of organizational communication may be summarized as follows: 1. The individual is an actor whose thoughts and actions are based on the interpretation of contexts. 2. More than one context always exists to guide the individual’s actions and interpretations. 3. Communication is a practice that includes both interpretation and action; as such, it can reveal sources of creativity, constraint, meaning, interpretation, and context.
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A final example can help clarify this notion of the situated individual. One of the authors of this textbook became involved with a problem facing a customer service manager at a large travel agency. The manager (we’ll call her Laura) sought to convince management of her need for a full-time accountant to manage the record keeping of customer service billings. Laura’s initial request was met with assurances from her boss that an accountant would be hired, but then management decided suddenly to deny her request. The problem, then, was how to interpret the denial and what, if anything, to do about it. There were various possible ways to contextualize (make sense of) the situation. From Laura’s point of view, the problem was the lack of expertise in her department and the need to address it by hiring an accountant. The finance department saw the situation differently. Because it had sought for several years to hire its own accountant, it strongly resisted the idea that one might now be hired in customer service. As a result, rumors surfaced among the finance department staff about Laura’s competency as a manager, suggesting that she would not need the new position if she were doing her job properly. Still another view of the situation came from the general manager of the travel agency. He resisted the new hiring simply because none of the companies he had worked for in the past had had an accountant in customer service. The board of directors based its disapproval on economic concerns. Any new hires in a recession would not please shareholders. Finally, Laura’s peers perceived her as aloof and a loner, rather than as a team player. Consequently, no informal group within the company was inclined to support Laura’s agenda to hire an accountant. Laura might not have faced this problem if she had been more involved in informal communication networks or if the company had ways of considering multiple interpretations side by side in conversation — that is, in some form of dialogue. Keep in mind that this is a simple example of how multiple contexts can inform the interpretation of selves, others, and action. Although the facts relating to the issue of whether to hire an accountant remain the same, the meanings of those facts are constructed differently depending on which context is applied. Because no one individual has access to all potential contexts, each individual’s interpretation is based on a limited understanding of the reality being constructed. The information drawn on to build a context for interpretation is varied, multiple, and always limited. All interpretations, therefore, are partial, partisan, and problematic (see Chapter 3). Fortunately, however, the limitations of one person’s interpretations are usually offset by others’ perspectives. Because dialogue and sense making are social activities, more than one person is always involved in the construction of reality. When individuals work to coordinate their contexts, interpretations, communication, and actions, they are said to be organizing. One way of viewing this organizing process is as dialogue.
□ Definitions of Dialogue In our working definition of communication as a balance of creativity and constraint, we maintain that dialogue is balanced communication, or communication
Chapter 2: Defining Organizational Communication
in which each individual has a chance to both speak and be heard. Dialogue has four features representing an increasing degree of collaboration and respect for the other: dialogue as (1) mindfulness, (2) equitable transaction, (3) empathic conversation, and (4) real meeting.
Dialogue as Mindful Communication While many people believe that communication is mostly a conscious activity, studies have demonstrated that this is not the case. (For a comprehensive overview, see Langer, 1998; see also Motley, 1992.) In fact, communication and cognition researchers believe that most of us are somewhat mindless — communicating without conscious, purposeful intent — most of the time. This is because we rely on forms of talk that are easy to perform and whose likely outcomes are well known to us. An advantage of being able to speak mindlessly is that the brain reserves energy for more challenging situations (King & Sawyer, 1998). The disadvantage is the tendency to get “locked into” rigid habits of mind. Physicist and dialogue theorist David Bohm (1980) underscores this tendency in his distinction between thinking and having thoughts. Most of the time, we mindlessly draw upon the stories we have been told throughout our lives to make sense of new situations (i.e., we “have thoughts”). The risk in doing this is that we will misapply what we believe we know. Alternatively, thinking involves genuine reflection on the nature of the situation and a conscious choice of appropriate frameworks. Unlike having thoughts, thinking implies a willingness to listen and be open to beliefs beyond what one already knows. Consider, for example, the following mindless exchange: “Hello, how are you?” “Fine. And you?” “Good. . . . So what’s new?” “Not much. And you?” “Same old, same old. . . . I have to get back to work.” “Yeah, me too.” “See you later.” “Okay, see you later.” This example is one of phatic communication — a form of small talk that helps us appear to be social and gives the impression that we are interested in others. However, phatic communication also shows disregard for each other because nothing that is said really matters to either person. Regular reliance on these kinds of routines may prevent us from finding newer, more interesting, and ultimately more satisfying conversations at work. Of course, mindless communication could never be eliminated entirely; all of us employ phatic communication and scripts much of the time. We are, however, concerned about how effective we can be in our work and home lives when we rely too much on these forms. Stephen Covey’s The Seven Habits of Highly Effective
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People (1990) argues that to be successful requires becoming more goal oriented, focused, and strategic in our dealings with others. His prescriptions for success in the workplace prompt us to become more conscious of our communication and more reflective about the outcomes we wish to achieve. A mindful approach to organizational communication enables us to understand talk “as a mental and relational activity that is both purposeful and strategic” (Goodall & Goodall, 2006, p. 52). Elaine Langer (1998) found that when we become more conscious of our communication, we become more mindful and that when we become more mindful, we will likely behave with more integrity as well. We will learn to recognize that we are responsible for our communication goals, our communication choices, and our performance relative to achieving them. We are less apt to act thoughtlessly toward others. But how can people become more mindful, or what organizational theorists Karl Weick and Kathleen Sutcliffe (2001) describe as “heedful,” in their communication? Research has shown that we “naturally” become more mindful under the following conditions: • There is a conflict between perceived message goals. • Undesirable consequences are expected from the use of a particular message strategy. • There are time delays between messages and mental-processing difficulties, such as interpreting the meaning or intention of the message. • Communication situations are particularly troublesome or unique (Motley, 1992). In other words, we naturally become more mindful when we sense danger, are confused, or perceive a negative outcome. When these things happen, we become more attuned to our surroundings, more alert, and more focused on the situation. We become more creative and at the very least think carefully before selecting a course of action. We become conscious of how we are being perceived and attended to by others, and we are more likely to interpret the messages of others meaningfully. Becoming more mindful in the workplace requires one to • Analyze communication situations and develop strategies for accomplishing goals. • Think actively about possible communication choices (especially those that don’t seem like choices!) as well as the potential organizational, relational, and personal outcomes of those choices. • Adapt messages in a timely and thoughtful manner when seeking to inform, amuse, persuade, or otherwise influence listeners and audiences. • Evaluate the feedback or responses we receive as an indication of how successful we were in accomplishing our purpose (Goodall & Goodall, 2006). Mindful communication requires discipline and regular practice. It begins when we catch ourselves behaving mindlessly and decide to become more conscious of our interactions. It improves as we find that by not using phatic commu-
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nication or scripts as much, we see new possibilities in our relationships with others. It provides us with a foundation for building trust and behaving authentically with others, which, in turn, encourages others to act with greater integrity toward us. Becoming more conscious communicators affords us one additional, crucial benefit: It promotes an environment in which dialogue is possible.
Dialogue as Equitable Transaction An equitable transaction from a communication perspective is one in which all participants have the ability to voice their opinions and perspectives. In defining dialogue this way, we call attention to the fact that not everyone in an organization has an equal say in making decisions or in interpreting events. In the traditional organization of the early twentieth century, people in low-level jobs were discouraged from “interact[ing] with anybody in the organization unless [they] got permission from the supervisor, and then he wanted to know what [they] were going to talk about. So there’s this notion in an organization that talking to people is not what your job is, that talking to people [means] interfering with . . . productivity” (Evered & Tannenbaum, 1992, p. 48). Even in some of the most progressive companies, certain people’s voices are valued more highly than others’ as these individuals can back up what they say with rewards or sanctions. One way to learn about how individuals participate in organizational dialogues is to ask questions about voice (who does and does not get to speak on organizational issues) and to pay close attention to when, where, and for how long individuals speak. Voice manifests itself in the ability of an individual or group to participate in the ongoing organizational dialogue. In most organizations, a few voices are loud and clear (e.g., those of the owners or senior managers), while others are muted or suppressed (e.g., those of the janitorial and clerical staffs). In the literature on organizations, voice has a more specific meaning: It refers to an employee’s decision to speak up against the status quo rather than keep quiet and stay or give up and leave (Hirschman, 1970). In an ideal world, voice is the preferred option because it raises important issues and encourages creativity and commitment. In most companies, however, many barriers to voice exist. The suppression of employee voice within organizations can lead to whistle-blowing, wherein frustrated employees take their concerns to the media, the courts, or others outside of the organization (Redding, 1985). In extreme cases of suppressed employee voice, the results may include sabotage and violence in the workplace (Goodall, 1995). At a minimum, then, dialogue requires that communicators be afforded equitable opportunities to speak. While the notion of dialogue as equitable transaction is a good starting point for thinking about organizational communication, it does not explicitly address the quality of that communication.
Dialogue as Empathic Conversation In defining dialogue as empathic conversation, we refer to the ability to understand or imagine the world as another person understands or imagines it. Achieving
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empathy is difficult for people who believe that their view of reality is the only correct view and that others’ perceptions are misinformed or misguided. Indeed, Western communication is largely based on assumptions of what is “right.” As a result, it becomes much more difficult to accept the validity of a different perspective, especially a radically different one. However, empathy is crucial in organizations. It promotes understanding among different departments, makes managing diversity possible, and acknowledges that although individuals and groups have different perspectives on the organization, no single perspective is inherently better than others. In this way, we can focus on common problems without immediately turning those who have a different view of these problems into enemies. The challenge, of course, is in learning to appreciate differences in interpretation without feeling pressured to either demonize the other or strive for complete agreement. Put differently: “Can I recognize the value of your [perspective] . . . without us having to somehow merge into something that’s less rich than the community of differences?” (Evered & Tannenbaum, 1992, p. 52). Researchers at the Massachusetts Institute of Technology (MIT) take a similar view of organizational dialogue in their efforts to create learning communities (Isaacs, 1999; Senge, 1990; Senge, Roberts, Ross, Smith, & Kleiner, 1994). Building on the work of physicist David Bohm, the researchers define dialogue as a kind of “collective mindfulness” in which the interactants are more concerned about group effectiveness than about individual ego or position. From this perspective, dialogue affords new opportunities for people in organizations to work together. Not merely a set of techniques, dialogue requires that people “learn how to think together — not just in the sense of analyzing a shared problem or creating new pieces of shared knowledge, but [also] in the sense of occupying a collective sensibility, in which the thoughts, emotions, and resulting actions belong not to one individual, but to all of them together” (Isaacs, 1999, p. 358). The MIT dialogue project has attracted the attention of business because it links the fate of whole systems of individuals (e.g., organizations, societies, species) with dialogue, flirting with the idea that our relationships with others can possess a spiritual quality. We know that treating people like objects is inappropriate, but are understanding and empathy enough? This question recalls the work of contemporary philosophers Martin Buber and Mikhail Bakhtin, whose critique of empathy as the goal of dialogue leads us to yet another definition.
Dialogue as Real Meeting In defining dialogue as real meeting, we mean that through communication, a genuine communion can take place between people that transcends differences in role or perspective and that recognizes all parties’ common humanity. John Stewart (2000) refers to this state as “letting others happen to you while holding your ground.” The notion of dialogue as empathic conversation is insufficient because it assumes that one individual experiences the other as a kind of object, rather than as
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a fellow interpreter. In other words, even empathic communicators, once the conversation has ended, may continue to view the dialogue as mainly instrumental in accomplishing their personal and professional goals. Therefore, one’s performance of empathy may be false or even a means to a personal strategic end. Certain types of dialogue are valuable in and of themselves. Buber distinguishes between interhuman dialogue, which has inherent value, and social dialogue, which has value as a route to self-realization and fulfillment. According to Buber, “We are answerable neither to ourselves alone nor to society apart from ourselves but to that very bond between ourselves and others through which we again and again discover the direction in which we can authenticate our existence” (as cited in Friedman, 1992, p. 6). From this perspective, since life exists only in communion with other humans, dialogue is a fundamental human activity. How do meetings in organizations resemble Buber’s ideal? Buber sees meeting as a relationship between “I and Thou,” wherein two individuals acknowledge that each is an interpreter and that neither reduces the other to an object of interpretation within a context that has already been constructed. For example, we have seen senior managers who have struggled to understand each other deeply move to an even higher level of trust and coordination in which their respect and regard for the others appear as the foundation of each of their conversations. This respect for another’s subjectivity and worldview is the key ingredient in real meeting. Seeking dialogue because it has value for itself can often result in positive consequences for the organization: [Dialogue] is one of the richest activities that human beings can engage in. It is the thing that gives meaning to life, it’s the sharing of humanity, it’s creating something. And there is this magical thing in an organization, or in a team, or a group, where you get unrestricted interaction, unrestricted dialogue, and this synergy happening that results in more productivity, and satisfaction, and seemingly magical levels of output from a team. (Evered & Tannenbaum, 1992, p. 48)
This definition of dialogue combines the abstract or spiritual with the more practical aspects of how we communicate. Are we open to the voices of others? Do we recognize that all views are partial and that each of us has the right to speak? Are we open to the possibility of maintaining mutual respect and openness of spirit through organizational communication? Such questions are not easily answered by people in organizations today. Although people may desire to maintain an open dialogue, they are too often constrained by learned behaviors that guard against intimate disclosure; by the social, professional, and political consequences of those disclosures; and by the habit of separating emotions from work. To establish dialogue as real meeting, we must learn to interpret communication as a dialogic process that occurs between and among individuals, rather than as something we do to one another. All parties are responsible for the dialogue as well as for the risks taken; only together can they make progress. We engage in dialogue to learn more about the self in context with others. Dialogue helps us attain new
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appreciations for the multilayered dimensions of every context: “The crucial point is to go into a dialogue with the stance that there is something that I don’t already know, with a mutual openness to learn. Through dialogue we can learn, not merely receive information, but revise the way we see something. Something about the dialogue honors inquiry and learning from the inquiry” (Evered & Tannenbaum, 1992, p. 45). Dialogue as real meeting is difficult to achieve, which is why it does not characterize most relationships inside or outside of organizations. Most organizations readily acknowledge the importance of equitable transactions and are pleased to create increased empathy across hierarchical levels and professional groups. Still, dialogue as real meeting is an important communicative goal because it can transform organizations into energetic and dynamic workplaces. Such organizations are both effective and enjoyable because they encourage the kinds of communication required for real human connection. There are advantages and limitations associated with promoting dialogue in organizations. It can increase employee satisfaction and commitment, reduce turnover rates, and lead to greater innovation and flexibility within the organization. However, it is also time-consuming, requiring that issues be screened in terms of the amount of dialogue they warrant. In addition, promoting dialogue may lead communicators to assume that their ideas and opinions will be implemented. Although there may be an equitable distribution of power and voice in the group, within a capitalist system the owners and their agents will still make the final decisions. Finally, dialogue may lead to a lack of closure or to the feeling that “no right answer” can be found. This problem is related in part to the nature of Western society, in which people expect definitive answers from science, medicine, politics, and technology. In an increasingly complex world, the drive for the one “right” answer may give way to making decisions well in the search for “good” answers. Specifically, dialogue may encourage communicators to attend more closely to the ethical implications of their communication practice. In the next section, we address two potential outcomes of dialogue: integrity and ethical communication.
INTEGRITY AND ETHICS IN ORGANIZATIONAL COMMUNICATION Integrity is a mindful state of acting and communicating purposefully to fulfill the promises and commitments you make to others. We associate integrity with honesty, openness, commitment, and trust. We also associate it with women and men who consciously make choices about treating others fairly and equitably and who understand that in today’s turbulent business and social environment, those who lead have obligations to those who follow them as well as to stockholders and to the bottom line.
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There are some excellent examples of people who have acted with integrity. Time magazine’s “Person of the Year” issue for 2002 was, for the first time, shared by three brave women: Cynthia Cooper (WorldCom), Coleen Rowley (FBI), and Sherron Watkins (Enron). Each of them “blew the whistle” on unethical or irresponsible actions in her respective organization. Each risked her job and reputation to do what she believed was right for her coworkers and for her company’s stakeholders. In the case of Watkins, it also meant standing up for the interests of a nation. Each woman made a conscious choice to act in the best interests of others, regardless of the cost to herself. Because these women were willing and able to speak up, their organizations were given a valuable opportunity to learn from past mistakes and to create a better system going forward. Another person who acted with integrity was Aaron Feuerstein, the owner of Massachusetts fabric maker Malden Mills. He chose to keep his three thousand employees on the payroll and rebuild his company after a devastating fire that destroyed three company buildings. Feuerstein, the grandson of the founder of the company, said that he never considered shutting down the business after the fire. He believed that his employees deserved to be treated well because without their dedication and hard work the company would not have grown. He made a conscious decision to honor his commitments to them even though it represented a huge personal loss for himself. The point we are making is simple yet profound. Rather than being an abstract aspect of character, integrity is a core business principle that requires dialogue and considerable courage to enact (Beckett, 2005). Integrity is a necessary, but not sufficient, component of ethics. Ethics refers to the systems of rules, duties, and morality that we use to guide our behavior. Put simply, ethics refers to “doing things right” and “doing the right things” in organizational contexts (Kauffman, 2008, p. 10). In organizational communication, this approach to ethics means that we have to consider both the process (how we communicate) and the product (the material and symbolic results of our communication behaviors). As you will see as you read through this book, ethics figures into organizational communication from everyday interpersonal interactions at the office to how organizations make use of natural resources or how they treat laborers in multinational corporations. In all instances, we believe that ethical communication is fundamental to responsible thinking, decision making, and the development of relationships and communities within and across contexts, cultures, channels, and media. Moreover, ethical communication enhances human worth and dignity by fostering truthfulness, fairness, responsibility, personal integrity, and respect for self and others. We believe that unethical communication threatens the quality of all communication and consequently the well-being of individuals and the society in which we live. (National Communication Association, 1999)
Ethical communication is clearly better than unethical communication. But what does it mean in practice? Where are the “rules” for ethical communication?
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Some rules exist in the form of cultural aphorisms like the golden rule. The golden rule, which is found in many world religions, demands that we treat others as we want to be treated. This abstract rule is designed to guide our behavior as we move through our lives. In an organizational context, the golden rule might translate into a very simple bottom line for business relationships: DWYSYWD (Do What You Said You Would Do). In other words, follow through on your commitments, and make sure that others in your organization do the same. This, however, is easier said than done. Bruce Hyde (1995) asks his students to keep track of their verbal commitments over the course of a week and to try to honor each one (which he calls “being your word”). The students are shocked by how often they fail to follow through on their commitments. Ideas about ethical behavior are somewhat culturally bound. In North American business cultures, the organizational values associated with ethical communication suggest that we should • • • • • • • • •
Trust one another Treat one another with respect Recognize the value of each individual Keep our word Tell the truth; be honest with others Act with integrity Be open to change Risk failing in order to get better Learn; try new ideas (Harshman & Harshman, 1999, p. 30)
In keeping with these broad guidelines, many professions, including members of our discipline, have developed a professional code of ethics that serves similar functions (Table 2.2). For example, you may be familiar with the Hippocratic oath, the medical profession’s code of conduct. It speaks to process issues when it states, “I will remember that there is art to medicine as well as science, and that warmth, sympathy, and understanding may outweigh the surgeon’s knife or the chemist’s drug,” and it speaks to products or consequences when it says, “I will prevent disease whenever I can, for prevention is preferable to cure.” Abstract rules (e.g., “Do no harm”) also serve as guidelines and goals for behavior. And yet these abstract guides are always subject to the demands of particular situations. In other words, ethical positions, like communication, have to be worked out in momentto-moment decisions that are always framed by a balance between creativity and constraint. Consider, for example, the physician who has taken the Hippocratic oath and has internalized the oath as a commitment to keeping patients alive. What happens when he or she encounters a terminally ill patient whose disease cannot be cured and who will die within a short time? The physician may be tempted to offer treatments that offer no medical benefit to avoid the “failure” that the patient’s death may represent given the strict interpretation of the oath. A more comfortable and realistic approach is to interpret the oath as requiring physicians to help
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49 TABLE 2.2
NCA Credo for Ethical Communication Questions of right and wrong arise whenever people communicate. Ethical communication is fundamental to responsible thinking, decision making, and the development of relationships and communities within and across contexts, cultures, channels, and media. Moreover, ethical communication enhances human worth and dignity by fostering truthfulness, fairness, responsibility, personal integrity, and respect for self and others. We believe that unethical communication threatens the quality of all communication and consequently the well-being of individuals and the society in which we live. Therefore, we, the members of the National Communication Association, endorse and are committed to practicing the following principles of ethical communication. • We advocate truthfulness, accuracy, honesty, and reason as essential to the integrity of communication. • We endorse freedom of expression, diversity of perspective, and tolerance of dissent to achieve the informed and responsible decision making fundamental to a civil society. • We strive to understand and respect other communicators before evaluating and responding to their messages. • We promote access to communication resources and opportunities as necessary to fulfill human potential and contribute to the well-being of families, communities, and society. • We promote communication climates of caring and mutual understanding that respect the unique needs and characteristics of individual communicators. • We condemn communication that degrades individuals and humanity through distortion, intimidation, coercion, and violence and through the expression of intolerance and hatred. • We are committed to the courageous expression of personal convictions in pursuit of fairness and justice. • We advocate sharing information, opinions, and feelings when facing significant choices while also respecting privacy and confidentiality. • We accept responsibility for the short- and long-term consequences for our own communication and expect the same of others. Source: http://www.natcom.org/index.asp?bid=514
patients to the extent possible, in light of the reality that all patients die. In this case, it is likely that the supposed conflict in duties will be resolved by the patient and the physician agreeing on goals of care such as keeping the patient comfortable and maintaining quality of life (Lee, 2008). For most of us, ethical communication does not typically involve negotiating life-or-death choices, but it does involve balancing and negotiating often competing demands. George Cheney (2008), a scholar of ethics and workplace democracy, points out that research, done well, requires that communication scholars constantly navigate between often equally compelling ethical demands or dialectics.
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One such ethical dialectic is “privilege versus equality.” In the case of a researcher, it is important to be able to offer expertise and value-added findings to the organization or community the researcher is studying. On the other hand, if researchers want to understand the organization from the members’ perspective, they must be able to interact with and experience the organization from the members’ point of view, as a peer or equal rather than as an outside “expert.” Managers, like researchers, must also work to find and communicate an (always shifting) balance between their roles as organizational “experts” and “equal” partners with their employees in the organization’s goals. There is no easy solution, no one right way to achieve that ethical balance; instead, skilled and knowledgeable communicators recognize that ethical communication is a lifelong pursuit that is enacted in everyday communication choices in our interactions with others.
THINKING TOGETHER: MINDFUL AND ETHICAL DIALOGUE One of the most important lessons of living more mindfully and communicating ethically at work is the idea of “thinking together” rather than “having thoughts individually” (Bohm, 1996). This is because when we think together we are truly engaging in a dialogic process. In the West, dialogue is often depicted as a “peak experience” for humans (Goodall & Kellett, 2004; Maslow, 1994). This is because it is experienced as a rare event between or among people born to highly individualistic cultures. Our pride in “thinking for ourselves” is too often manifested as a fear of engaging the most intimate, deep, spiritual, or profound thoughts of others. We may confuse honest attempts at self-disclosure with a hidden desire to move a relationship to what may be perceived as an inappropriate level. Some of us may also believe that if we listen carefully to what others are really saying, we may be influenced to change our minds, something that people reared to be “self-sufficient” often avoid at any cost. Increasingly, one of the problems of democracy is that few people are willing to engage the ideas of others who differ from them. Recently, scholars have suggested that our inability to communicate mindfully in organizations may even impede our ability to anticipate and respond effectively to occupational hazards (Scott & Trethewey, 2008). Dialogue, as we have observed in this chapter, is based on a profound willingness and ability to engage differences without judgment (Hammond, Anderson, & Cissna, 2003). But it is also far more than that. It is also a cultivated, conscious ability to value the thoughts, passions, and actions of others who differ from us, and to work with those ideas, feelings, and behaviors in new ways. This is what Bohm means by “thinking together.” The point of dialogue is to produce thoughts that neither party in a relationship — nor any participant in a group, team, or network — could have produced alone. This is the hopeful promise of organizations in a global age. This promise may only be fulfilled if the members of those collectivi-
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ties learn together, speak and listen together, and move forward in new and creative ways. In the chapters that follow, we offer concepts and tools to enable you to be on the vanguard of those who are using communication ethically and effectively to solve organizational problems, create solutions and growth opportunities, and empower members.
Summary Researchers commonly encounter four definitions of organizational communication in the literature: communication as information transfer, transactional process, strategic control, and a balance of creativity and constraint. This list is roughly chronological and reveals an increased interest in feedback and two-way interaction as key to organizational sense making. Our own view of organizations as dialogues extends this trend. Recasting organizations as dialogues (in contrast, say, to economic or political models) places our focus on the interplay between self and other in multiple, changing contexts and situations. Each of these foundational elements arises in relationship with the others, culminating in the idea that every individual is “situated” in flows of communication. When situated individuals come together to organize, they may vary considerably in the sort of communication in which they engage. On one end of the spectrum is discussion, wherein people seek to dominate others. At the other end is dialogue. Writers on dialogue (Isaacs, 1999) have outlined what we categorize as four levels that increasingly reveal people with a fundamental respect for the subjectivity and differing worldview of the other. The four levels are dialogue as mindful communication, equitable transaction, empathic conversation, and real meeting. Although dialogue in contemporary organizations is rare, our experience suggests that some level of dialogue is indeed possible and can serve as a foundation for integrity and ethics. Dialogue is a strategy that can enable us to work with integrity. Working with integrity is important to the well-being of individuals, organizations, society, and the planet. As we have shown in this chapter, working with integrity means refusing to rely on old, mindless scripts and instead making informed choices about how you think, communicate, and act. Working with integrity is primarily enabled by your willingness to learn how to think together and to discipline yourself to the habits and practices of ethical communication. In this way, working with ethics asks you to apply the lessons of balancing creativity and constraint through dialogue. It asks you to respect others and to respect yourself, to reach out to others while standing your ground. It asks you to live and work honorably by accepting full responsibility not only for what you say and do, but for your human connection to the outside world and to people whom you have never met but nevertheless are now — and will always be — affected by the choices you make, the decisions you reach, the words and actions you offer to the world.
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Questions for Review and Discussion 1. What are the four major approaches to communication discussed in this chapter? What insights does each approach provide? 2. Explain what we mean by our definition of organizational communication. What are the sources of individual creativity? What are the sources of organizational constraint? 3. Strategic ambiguity is discussed as a way to encourage empowerment by allowing employees at different levels within the company to interpret the meaning of statements in relation to their own jobs. However, it doesn’t always work out that way. What potential problems are associated with using strategic ambiguity? 4. What is dialogue? Of the four types of dialogue described in this chapter, which ones do you believe are most likely to be available to organizational employees? Why? 5. How would you characterize the kinds of communication that are most prevalent in university life, both in and outside the classroom? For example, do students of the humanities and the social sciences follow different definitions of communication than their counterparts in the natural sciences? 6. Under what circumstances do you behave most mindfully? Think of situations in jobs or classes that required a great deal of mindfulness from employees or students. Did the expected degree of mindfulness cause any problems? 7. What is the relationship between organizational communication and working with integrity?
Key Terms Balance of creativity and constraint, p. 32 Duality of structure, p. 34 Empathic conversation, p. 43 Equitable transaction, p. 43 Ethics, p. 47 Information-transfer approach, p. 27 Integrity, p. 46 Mindful, p. 42 Mindless, p. 41
Phatic communication, p. 41 Real meeting, p. 44 Self, p. 38 Situated individual, p. 39 Strategic ambiguity, p. 30 Strategic-control perspective, p. 30 Theory of structuration, p. 35 Transactional-process model, p. 28 Voice, p. 43
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CASE STUDY
The Many Robert Smiths Jason, the Janitor “Smith is a tidy man. I pass by his desk at night when I’m cleaning up, and his area is the only one that’s perfect. Nothing is ever out of place. I’ve made a kind of study out of it. You know, paid lots of attention to it on account of it being so unusual. So I’ve noticed things. “I’d say Smith must be a single man. There are no pictures of family on his desk or on the walls. Most people leave keys to their personal life in the office — photographs, items they picked up during vacations, stickers with funny sayings on them. But not Smith. In Smith’s area, there is no trace of anything personal. Just some books and the computer. The books never change positions, which tells me he never has to look things up. So I think Smith must be a smart man, too. “I’ve never met him. Or if I did, I never knew it. But I see him in my mind as a tall, thin guy with glasses who doesn’t smile too often. He may be shy, too. Fastidious people are often shy. Maybe he’s an accountant or a computer programmer. It’s hard to say. But Smith makes my job interesting. I look at his desk every night to see if anything has changed.”
Catherine, the Receptionist “Smith is okay, a little shy maybe. He says ‘hello’ to me every morning. Just a ‘hello,’ though — nothing more, not even my name. I didn’t know his name for months. But then, I didn’t say much to him either. “Then one afternoon he had a visitor. It was a woman — a beautiful woman in her late twenties or early thirties. She asked to speak to Bobby. ‘Bobby who?’ I asked. She looked confused; then she smiled and said, ‘Bobby Smith, I thought everyone knew.’ Well, this was interesting. I mean, I suddenly realized Smith had a first name — Robert. I had never thought of him as anyone’s ‘Bobby’ before. “I paged Smith, and he came downstairs. When he saw the woman, his face turned white like he’d seen a ghost. She called his name, and he stood still. I thought he was about to cry or something, but instead he just shook his head, as if to say, ‘No.’ He didn’t say anything. Just shook his head. Then he turned and walked back upstairs, slowly. The woman just watched him. Then she turned around and walked out. I never saw her again. I don’t know if she was a girlfriend, sister, or friend. Smith never said anything about her. “In this job, I meet all kinds of people. I’ve learned a lot about people while working here as a receptionist. But Smith is still a mystery to me. I don’t know
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(continued, The Many Robert Smiths)
much about him. All I know is that his first name is Robert but that some people call him Bobby, that he says ‘hello’ to me every morning like clockwork, and that there was once a beautiful woman in his life. Oh yeah, and he’s about 5 feet, 7 inches tall, has short hair and a big mustache, wears an earring, and obviously works out a lot.”
Wilson, the Boss “Smith is a strange guy, but a good worker. He never misses a day and is even willing to work nights or weekends to get the job done. His work is always neat and well organized. Personally, I wish he would get rid of his earring and mustache, but that’s just him, I guess. “I hired him five years ago as an entry-level accountant. His work in that position was good. He was promoted to a senior accountant position very quickly, as if someone up there in the company ranks were watching out for him. Usually it takes the best accountant five to seven years to make it to senior status; Smith made it in three. Last fall I asked him to take charge of a major audit, and he’s been diligently working on that project ever since. “Smith never talks about his life outside of work. And I never ask him. He seems to like it that way. But from the way he is built, I’d say he spends a lot of time working out at a gym. He drives a vintage black sports car, a Speedster, and it is always clean. He leaves it open during the day with a pair of Ray-Bans on the dash, always in the same position. “I figure he comes from a wealthy family. He graduated from Stanford. But he doesn’t act like a Californian. I’d say he’s from Pittsburgh. I don’t know why I say that. Actually, to be honest, Smith scares me a little bit. I don’t know anyone who’s as calm and collected and perfect as Smith is. In movies it’s always the mass murderer who’s like that. Not that I think Smith is that way. But I wouldn’t be surprised, either. I wish his starched shirts would just one time come back with a rip in them or something. I know that sounds small. I can’t help it. Smith does that to me.”
Felicia, a Coworker “Robert is my good friend. He’s a warm, sensitive person with a heart of gold. He and I have talked a lot over the past couple of years — mostly about our dreams. We both want to work hard, save a lot of money, and be able to do something else with our lives while we are still young enough to enjoy it.
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“Robert came from a poor family. He grew up moving around from town to town while his mother looked for work in construction. He had two brothers and a sister, all older. He was the baby. His father was killed in the Vietnam War. His older brothers are both in the military and don’t have much in common with Robert, and his sister is a successful lawyer in Washington. Robert showed me a picture of her once; she’s a beautiful woman. They had a big argument a while back. He wouldn’t say much about it, except that he hasn’t seen her since. His mother died of lung cancer two years ago. “Robert worked hard in school but won an athletic scholarship to Stanford. He was a gymnast. Or still is, because he spends two or three nights a week working with underprivileged kids downtown, teaching them gymnastics. And he is big in Adult Children of Alcoholics, which I took him to. That’s a whole story in itself. He has a lot of hobbies, which, when he does them, aren’t exactly hobbies anymore. He is such a perfectionist! Like that car of his, for instance. He built it himself, out of a kit. And you should see his apartment.”
Jenkins, the Retired CEO “Robert Smith is one of the company’s finest employees. And he is an exceptional young man. I recruited him at Stanford when I was teaching there right after I retired. Since then, I’ve followed his career. I asked him not to say much about our relationship because a lot of people might get the wrong idea. I want him to make it on his own, which he has. I put in a good word for him here and there, but never anything too pushy. “I knew his father in Vietnam. He served in my command and was a good soldier. He was due to be shipped home later in the week when he was killed. It was sad. I wrote the letter to his family myself. When I got out of the Army, I moved into the private sector. You can imagine how odd it was for me to walk into that accounting class at Stanford and see Robert Smith, who looks just like his dad except for the mustache and earring, sitting in the front row. I couldn’t believe it. Still can’t. “In a way, I feel related to Robert. He still comes to visit us on the holidays. I like that.”
Assignment 1. You are the executive recruiter (or headhunter) who compiled the preceding information about Smith from interviews with his colleagues. You also have Smith’s résumé and performance appraisal reports to supplement the interviews. Your job is to prepare a personality profile of Smith for a firm that may
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(continued, The Many Robert Smiths)
be interested in hiring him. What would you write? How would you explain the different perspectives on Smith? If you were Robert Smith, what would you say about the interview statements? 2. We live complex (and often contradictory) lives as situated individuals in organizations. This should make us sensitive to the various ways in which meanings are constructed through communication. Construct an investigation of yourself, using interview statements by others describing who you are. Supplement these statements with your own résumé. What do the statements tell you about yourself? About your construction of others? About yourself as a situated individual in an organization? About the complexities of interpreting meaning? 3. As a student of communication, you are interested in finding ways to improve your own and others’ interpretations of meanings. Review the case study as if you were the communication consultant working with the executive recruiter. Your job is to help the headhunter construct better follow-up questions and produce a complete report on Smith. What questions would help explain the different views of Smith?
PA R T I I
Theories of Organizational Communication
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CHAPTER 3
Four Perspectives on Organizations and Communication
We have so far discussed the pervasiveness of organizational communication in society and have provided you with definitions for thinking about the process of communication in general. In this chapter, we home in on the organizational context and discuss in some detail four early theories of organizing. We begin with these theories because the ways they defined communication have had an enormous impact on organizational practice and continue to inform us today. The four organizational perspectives are • • • •
Classical management Human relations Human resources Systems perspective
Before we launch into detail about the importance of these perspectives, however, we want to make sure that you have an understanding of what is meant by “theory.”
WHY THEORY? Theories of human behavior run the gamut from simple ideas to formal sets of principles and hypotheses that aim to explain, predict, and control aspects of social life. All theories share two features: They are historical and metaphorical. Any theory of organizational communication is historical in that it is a product of the time in which it emerged, reflecting the concerns and interests of the culture that produced it. A theory is metaphorical in that it uses language to suggest comparisons
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between organizational communication and other processes. For example, scientific management theory, which we will discuss in this chapter, compares organizations to machines. Theories function as resources or thinking tools. They enhance our ability to explain and to act on a variety of practical issues, such as what motivates people to work. The way we talk about an issue or a problem influences the solutions we can propose. But theories are also historical and cultural narratives. They are goaloriented stories that emerge during particular historical circumstances and reflect the beliefs and concerns of particular cultures. They develop and are shared for the purpose of explaining those circumstances to other members of the culture. As cultures change, so too do theories purporting to explain them. We approach theory by considering the three P’s of historical writing: that historical writing is partial, partisan, and problematic. These points provide an important perspective on communication and reveal the limitations of any account. All talk is partial, partisan, and problematic, and theories of organizations and communication are no exception.
□ Theories Are Partial An argument could be made that any attempt to trace the history of organizational communication is necessarily incomplete and therefore misleading. Obviously, we have chosen to write this chapter anyway. Our primary condition is partiality: Our account tells only part of the story. However, the inability to articulate a “complete” account of the history of organizational communication is not unique to our field, nor is it disabling. As French philosopher Jacques Derrida (1972) notes, all thought is inscribed in language, and language is rooted in an inescapable paradox: There is no point of absolute meaning outside of language from which to view — or to prescribe — the truth of the world. Furthermore, it is logically impossible to say everything about anything; new perspectives are always possible. Because all language is partial, there can be no absolute history, no full account, and no complete story of organizational communication. Therefore, our account is necessarily partial, as are the theories themselves.
□ Theories Are Partisan The story we tell is partisan: It is the one that we favor. Until recently, the history of organizational communication typically emphasized the interpretations of dominant white males in Western culture, with little attention given to how members of oppressed, marginalized, or subjugated groups like women and minorities would tell the story. Why is this important? Compare, for example, how a Native American might interpret the nineteenth-century expansion of railroads, mining, and manufacturing interests across the Great Plains with the account given in many U.S. history
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textbooks. Depending on one’s interests (partisanship), this story can be seen as one of tragedy or opportunity. Although there may be disagreement about how the story gets told and who should tell it, there is likely to be agreement on at least some of the story’s events and characters. Everyone agrees that Native Americans considered the Great Plains their natural hunting grounds and that westward expansion by white settlers took place. Partisanship, then, is not so much about identifying facts as it is about interpreting their meanings. All thought is partisan. When we read about theories, then, it is useful to think of each theory as telling a particular story. Because each story represents the interests of the storyteller, it is a partisan perspective on broader, more complex stories about the world. In this sense, many theories make up the complex story of organizational communication.
□ Theories Are Problematic Finally, we write this chapter knowing that any story is problematic: Our account asks more questions than it can answer, and the answers it does provide are based on what is currently known rather than on all that could be known. In admitting the problematic nature of our narrative, we also invite dialogue, asking our readers to bring to our account their experiences and understandings. Consider how this concept can inform our understanding of everyday organizational communication. Rather than making definitive statements, it encourages us to ask questions and to invite others into the dialogue. Rather than assuming that we know the whole truth about any issue, it urges us to ask for the input of others who may hold different perspectives. Now that you have a clearer understanding of our three-P perspective on theories, let’s examine the specific theories of organizations and communication: classical management, human resources, human relations, and the systems perspective.
CLASSICAL MANAGEMENT APPROACHES Classical management approaches share the underlying metaphor of organizations as efficient machines. This section discusses the evolution of this idea from the eighteenth century to more recent times, beginning with the nature of preindustrial organizations and concluding with the apex of the classical era, the Industrial Revolution.
□ From Empire to Hierarchy From the eighteenth century to the early twentieth century, organizations in the developed world functioned much like empires. Corporations were viewed as extensions of governments; they expanded trade, provided employment for the masses, and contributed to economic and social development (Rose, 1989). Cities
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in North America were even mapped according to the appropriation of territories by organizations. In the mid-eighteenth century, Benjamin Franklin (1706–1790) popularized some early notions of empire in his Poor Richard’s Almanac. It is primarily a collection of parables and quotations that elevate hard work (“industry”), independence (the accumulation of wealth on individual, corporate, and national levels), and the virtues of planning, organizing, and controlling one’s life through work. Here are some sample axioms from Franklin’s almanac (1970): • • • • •
Industry need not wish — There are no gains without pains. God gives all things to industry. God helps them that help themselves. Sloth makes all things difficult, but industry all easy. Early to bed, early to rise, makes a man healthy, wealthy, and wise.
Although Franklin was not the only writer to express these ideas (similar sentiments are found in Japanese and Chinese proverbs, the Old Testament, and the Talmud), he was the first to popularize them as the foundation for an American work culture. During this same period, Frederick the Great (1712–1786), the king of Prussia, organized his armies on the principles of mechanics: ranks, uniforms, regulations, task specialization, standardized equipment, command language, and drill instruction (Morgan, 1986). His success served as a model for organizational action, one based on dividing labor and utilizing machinelike efficiency. Adam Smith (1723–1790), a philosopher of economics and politics, published Wealth of Nations in 1776, which praised dividing labor in factory production. As Karl Marx (1818–1883) would demonstrate, this was essential to organizing corporations and societies along class lines. By 1832, a blueprint for such an organizational form had emerged. Characterized by a strict division of labor (the separation of tasks into discrete units) and hierarchy (the vertical arrangement of power and authority that distinguishes managers from employees), it would later be called the “classical theory of management.” As shown in Figure 3.1, the classic bureaucratic organization privileges a topdown or management-oriented approach. Two assumptions of this perspective are worth noting. First, the emphasis on developing scientific methods for production is politically and socially linked to providing that information only to managers and supervisors, who will in turn use it to organize and control workers. Second, the model endorses the need to foster a passive audience in the workplace. In other words, workers are viewed as silent receptors of management information, incapable of responding, interpreting, arguing, or counteracting this subtle but persuasive form of control. Thus, effective communication in the nineteenth century meant giving orders and emphasized the downward transmission of information. The top-down flow of information in hierarchies also led to the emergence of domination narratives, which ascribed particular readings of how truth, power, and control were reproduced in everyday conversation. The next section discusses these narratives.
FIGURE 3.1
Organizational Charts Illustrating the Principles of Classical Management Theory and Bureaucratic Organization Chart A Organizational Structure of a Manufacturing Firm Board of Directors
President
R&D
Product Engineering
Production
Personnel & Industrial Relations
Marketing
Finance
Legal
Chart B Detailed Structure of the Production Department President
Production Manager
Plant Manager 1
Process Engineering
Planning
Purchasing
Maintenance
Plant Manager 2
Manufacturing
Forging
Plant Manager 3
Quality Control
Stamping
Shipping
Machining & Drilling
Administration
Assembly No. 1
Assembly No. 2
Source: Morgan, G. (1986). Images of organization. Newbury Park, CA: Sage. Reprinted by permission of Sage Publications, Inc.
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□ From Resistance to Domination The rapid expansion of industrialization in nineteenth-century northern Europe and North America created the need to organize and manage labor in ways that mirrored dominant social and political values. In the United States, slavery both supplied the laborers for agricultural work in the South and mirrored a view of hierarchy that was based on the racial divisions sanctioned by white slaveholders. One result of the deep divisions between ways of organizing labor and the social values that supported them was the Civil War (1861–1865). The outcome of that war is an interesting, but often overlooked, part of the history of organizations and communication in this country. Whereas the South supported a racial hierarchy, the increasingly industrial North favored one governed by social class. This accounts for the observation on the part of some freed, but poor, slaves that the hidden “slavery” of the northern factories was in many ways as bad as or worse than the overt slavery practiced by plantation owners in the South. At the same time, employees were not always willing to passively accept the authority of their managers and supervisors. Resistance to domination can be defined as any action on the part of oppressed individuals to lessen the constraints placed on them by those in power. Such resistance takes many forms. For example, there are narratives of the less powerful and the powerless, of those who ordinarily have little or no voice in organizational and societal dialogue. They provide different accounts of events and the meanings those events had for the participants (Freire, 1968). James Scott (1990) points out how the accounts of the powerless can function as hidden transcripts of “the other side of the story.” Hidden transcripts include themes and arguments that are well known by members of the oppressed group but kept out of the public eye for fear of reprisal from those in power. One kind of hidden transcript is the resistance narrative, like those that gave slaves a way to express their outrage among others who were caught in the same situation. Their stories reversed the order of things, placing slaveholders in inferior intellectual, moral, and performance positions. In this “world turned upside down” (Scott, 1990; Stallybrass & White, 1986), those without power could take control of the story and use it as a “performative space for the full-throated acting out of everything that must be choked back in public” (Conquergood, 1992, p. 91). By looking at the dominant narrative alongside the slave narrative, we get a sense of the potential dialogue that might have occurred between the two groups. Unfortunately, however, that dialogue remained mostly implicit because the dominant group’s narrative was told in public, and the slave’s narrative in private.
□ The Industrial Revolution Although organizations and communication existed before the steamboat, railroad, and cotton gin, it was not until the Industrial Revolution that modern machinery and methods of production emerged, and with them came the rise of the factory bureaucracy (Perrow, 1986).
Chapter 3: Four Perspectives on Organizations and Communication
The rise of the modern factory during the industrial period was an extension of a social (and racial) class structure that sought to stabilize power relations among people by controlling the means of production and consumption in society (Foucault, 1972, 1979). The organization of work and communication in the early factories was highly influenced by the then-emerging concepts of division of labor and hierarchy. The rationale was that the work institution should mirror the organization of the ideal society. The Industrial Revolution is also associated with the rise of science. With science came much more than a highly ordered method of explaining phenomena: From explanation emerged the ability to predict, and from the ability to predict came the potential to control. Thus the underlying theme of the classical management approach to organization is the scientific rationalization of control. Organizations are viewed as the primary vehicle through which our lives are rationalized — “planned, articulated, scientized, made more efficient and orderly, and managed by experts” (Scott, 1981, p. 5).
□ Scientific Management The years 1880 to 1920 were characterized both by significant racial and class prejudice and by unprecedented economic expansion in the United States. With massive industrialization came the ruthless treatment of workers by owners who subscribed to a “survival of the fittest” mentality. Those employees who succeeded were deemed to be morally strong; those who failed were deemed to be unworthy of success (Bendix, 1956). From this era arose the middle-class engineer Frederick W. Taylor (1856–1915), a pioneer in the development of scientific management. His book The Principles of Scientific Management (1913) is based on the assumption that management is a true science resting on clearly defined laws, rules, and principles. Taylor’s time and motion studies led to improved organizational efficiency through the mechanization of labor and the authority of the clock. Work was divided into discrete units that were measured by how long it took a competent worker to accomplish them. This principle was then used to plan factory outcomes, to evaluate worker efficiency, and to train less-skilled workers. The production system thus required divisions of labor, carefully developed chains of command, and communication limited to orders and instructions. More specifically, Taylor’s model ushered in a systematic approach to the division of labor that has gone far beyond the design of work for which it was originally developed. Scientific management created a firm division between managers, whose task was to plan and control the design of work, and employees, whose job was to implement those plans. In short, scientific management assumed that some employees are better suited to “thinking” work and some to “doing” work, thus laying the groundwork for the class-based distinction between white-collar and blue-collar employees that we know today. Other divisions would follow. Male employees (who were also white and middle-class) were believed to be better managers because they
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were more “rational” and less “emotional” than their female counterparts. Men also came to be seen as better suited to the demands of public work because they were not burdened with private domestic responsibilities. Women, who were largely written out of Taylor’s theory, soon appropriated scientific management for use in the domestic realm. The emphasis on science and mechanization, the production of new household technologies and so-called conveniences, and the “cult of domesticity” combined to create a scientific management approach to home life at the turn of the century. In 1913, Christine Frederick, an editor for the popular magazine The Ladies’ Home Journal, wrote a how-to book for women called The New Housekeeping. In it, she outlined the twelve principles of scientific efficiency that applied to the home, including ideals (or “the one best way” to complete a task), standardized operation, and scheduling. Further, she encouraged women to adopt the correct attitude toward efficiency because not only the household but also the mind must be “managed” and “organized.” While they may not use the label, many working families today adopt a scientific management approach in their efforts to bring order to their busy lives. Consider the working mother who checks her personal digital assistant (PDA) to scan her color-coded itinerary of work, family, and volunteer commitments as she leaves work to pick up her children from school before depositing them at their various activities. Or to organize her workout at the gym (see Everyday Organizational Communication on page 67). Her constant desire to find the most efficient way to control her work and personal lives extends Taylor’s theory into the present era. Scientific management, then, is a management-oriented, production-centered view of organizations and communication. Its ideal, the efficient machine, holds that humans function as components or parts. It also assumes a fundamental distinction between managers and employees: Managers think, and workers work (Morgan, 1986). The ideal of scientific management is best realized in straightforward task situations that require no flexibility in responding to contingencies and that offer no opportunities for initiative. This description of an organization does not take into account human motivations for working, personal work relationships, and the flexibility required by the turbulent nature of organizational environments. Moreover, efforts to improve efficiency by raising production levels often alienate workers, as in Henry Ford’s automobile plant, which experienced a turnover rate of 280 percent annually under scientific management (Morgan, 1986).
□ Fayol’s Classical Management At roughly the same time that Taylor was working on scientific management in the United States, the French industrialist Henri Fayol (1841–1925) was developing his influential theory of “administrative science,” or classical management. Fayol (1949) was a highly successful director of a French mining company, and his management principles became popular in the United States and elsewhere in the late 1940s. He is perhaps best known for articulating the five elements of classical
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EVERYDAY ORGANIZATIONAL COMMUNICATION
Scientific Management at the Gym For many people, exercise is a therapeutic means of escaping the daily grind and a way to work out on-the-job and other stresses. We often hear students vocalizing the need to hit the gym during finals week as a way of dealing with building pressure and anxiety. Increasingly, however, gyms and exercise routines are becoming as carefully managed (or as “Taylorized”) as many work environments. This is not to say that exercise is becoming less enjoyable or relaxing, but rather that gyms and fitness instructors are becoming increasingly savvy about utilizing and marketing a key attribute of scientific management: identifying the most effective way to complete a task (getting fit or losing weight) in the shortest amount of time while conserving the most energy. Consider the example of Curves, a women’s gym established as a franchise in 1995. Curves is known for its thirty-minute workout, which includes “all five necessary [exercise] components: Warm-up, Aerobic exercise, Strength training, Cool down, and Stretching” (Curves, 2006). Women work out in a circuit on machines and aerobic exercise mats, performing exercises that target different areas of the body: “You move from machine to mat, where you walk, jog, jump, dance, or move in place in any way for another 30 seconds to keep up your heart rate. The entire rotation through the circle of machines and mats takes place in these 30-minute intervals. The idea is to go through the circuit twice, with stretching afterwards” (“A Gym,” 2004, para. 8). The ultimate goal of this routine is, of course, to offer maximum benefit in a minimal amount of time — especially as would-be gym members often cite “lack of time” for their decision not to commit to regular exercise. The appeal of scientific management has also affected the very machines that you come across at your local gym. An increasingly popular machine in the fitness world, the Pilates Reformer, takes the stretching exercises and breathing techniques made famous by Joseph Pilates in a new direction with a system of strings, pulleys, and movable carriages that help to ensure proper body alignment and, therefore, increased effectiveness during exercise. Similarly, weightlifting machines are purposefully designed for users to practice the “one best way” to do an exercise with maximum benefit, and stair-climbers, treadmills, and stationary bicycles display the number of calories burned per hour, offering users the chance to track and improve their efficiency in ways that would have made Taylor himself proud.
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(continued, Scientific Management at the Gym)
Discussion Questions 1. With these examples in mind, what do you feel are the benefits and burdens of a “Taylorized” approach to fitness? 2. If you work out, do the principles of scientific management influence your workouts? What steps do you take to ensure maximum benefit with minimal time commitment? 3. If you do not currently work out, are you attracted to the idea of scientific management at the gym? Would a scientifically managed approach to fitness inspire you to exercise more regularly, or would it make you less likely to work out? Why? 4. Consider other ways in which scientific management plays out in your life. Have you held a professional or volunteer position that stressed maximum benefit in minimal time? What ways did you benefit from such a system, and in what ways did you find it frustrating? What were the pros and cons for the organization or company that employed you?
management: planning, organizing, commanding (goal setting), coordinating, and controlling (evaluating). He was even more specific in detailing how this work ought to be done. Katherine Miller (2009) groups Fayol’s principles into four categories: structure, power, reward, and attitude. Regarding structure, Fayol prescribed a strict hierarchy with a clear vertical chain of command; he called this the “scalar principle.” He believed that each employee should have only one boss and should be accountable to only one plan. Like Taylor, Fayol advocated division of labor through departmentalization (the grouping of similar activities together). The resulting organizational structure is the classic hierarchical pyramid. In terms of power, Fayol advocated the centralization of decision making and respect for authority. He held that authority accrues from a person’s position and character and that discipline and obedience could be expected only if both were present. Moreover, he viewed discipline as a respect for agreed-upon rules and not solely a respect for position. Mirroring Taylor’s view of rewards, Fayol advocated fair remuneration for welldirected efforts, foreshadowing the potential of profit sharing as a compensation system (Tompkins, 1984). Most concerned about the employee’s perception of equity in pay and other issues, Fayol believed in the value of a stable workforce. He was thus a proponent of stable tenure for employees as a means of avoiding high turnover rates and recruitment costs.
Chapter 3: Four Perspectives on Organizations and Communication
Finally, regarding organizational attitude, Fayol held that employees should subordinate their personal interests to those of the organization. He also saw rational enforcement of agreements through fair supervision as the method for ensuring this organizational attitude. At the same time, Fayol encouraged employee initiative, or the capacity to see a plan through to completion, and believed that supervisors should work hard to build positive employee morale. Fayol intended to develop a set of guidelines for organizational administration that would be useful across a variety of situations. Some of his principles, most notably those related to unity of command and centralization, are especially relevant for students of communication (Tompkins, 1984). However, as Fayol cautioned, “There is nothing rigid or absolute in management affairs, it is all a question of proportion. Seldom do we have to apply the same principle twice in identical conditions; allowances must be made for different changing circumstances” (1949, p. 19).
□ Bureaucracy The final key element of the classical approach is the idea of bureaucracy. In the harsh working conditions of the early twentieth century, job security did not exist, young children worked long hours for meager wages, and workers were hired and fired for reasons that had to do with their race, religion, sex, attitude, or relationship to the boss. This method of dealing with employees, called particularism, was expedient for owners and managers but had dire consequences for employees. Particularism also presented an ideological conflict in the United States: “On the one hand, democracy stressed liberty and equality for all. On the other hand, large masses of workers and nonsalaried personnel had to submit to apparently arbitrary authority, backed up by local and national police forces and legal powers, for ten to twelve hours a day, six days a week” (Perrow, 1986, p. 53). It was this conflict between ideology and practice that gave rise to a system that protected employees better than particularism. We now call that system bureaucracy. According to W. Richard Scott (1981), organizational bureaucracy has the following characteristics: • • • • •
A fixed division of labor among participants A hierarchy of offices A set of general rules that govern performances A rigid separation of personal life from work life The selection of personnel on the basis of technical qualifications and equal treatment of all employees • Participants’ view of employment as a career; tenure protecting against unfair arbitrary dismissal Although the well-known German scholar Max Weber (1864–1920) was not a blind advocate of bureaucracy, he saw it as technically superior to all other forms of organization available at the time. Furthermore, he was a strong advocate for
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“universalism,” or equal treatment according to ability. Most people today associate bureaucracy with the red tape and inflexibility of public agencies. However, in his famous defense of bureaucracy, Charles Perrow (1986) argues that the machine itself ought not be blamed, but rather the people who misuse it to further their own interests. The ideal bureaucracy cannot be fully realized for several reasons: (1) It is not possible to rid organizations of all extraorganizational influences on member behavior; (2) bureaucracy does not deal well with nonroutine tasks; and (3) people vary in terms of rationality (Perrow, 1986). These inadequacies of bureaucracy were the impetus for the creation of alternative theories about organizations and communication.
□ Implications for Organizational
Communication Classical management approaches view communication as unproblematic. They posit that communication is simply a tool for issuing orders, coordinating work efforts, and gaining employee compliance. Moreover, in a hierarchical world, the primary function of communication is the transfer of information through the proper channels. In the classical management approach, any attempt at achieving a balance between individual creativity and organizational constraint through dialogue will tilt in favor of constraint. It is important to recognize, however, that many of the tenets of the classical approach to management are alive and well in organizations today. The military still maintains strict divisions of labor and a scalar, chain-of-command hierarchy. Taylor’s ideas about designing jobs scientifically, making work routine, and hiring people fit to accomplish a specific task can be found in contemporary corporate concerns with organizational efficiency. In applications ranging from software design to fast-food sales to the creation of computerized accounting systems, the goal of reducing the number of steps involved to reliably produce a quality result is still paramount (Miller, 2003). Additionally, the classical management objective of fitting the right person to the right job is now called “individualizing the organization” (Lawler & Finegold, 2000), wherein physical criteria have been replaced by psychological profiles that focus on individual differences in abilities, needs, and career aspirations. In the next section, we will explore the origins of many of the challenges to, and modifications of, the classical approach.
THE HUMAN RELATIONS APPROACH Noted theorist Kenneth Burke (1897–1993) was once asked how he became interested in the study of human communication. Burke replied, “People weren’t treating each other very well. I wanted to help find a way to make relationships better”
Chapter 3: Four Perspectives on Organizations and Communication
(cited in Goodall, 1984, p. 134). Burke’s comment was made during the Great Depression, when models of bureaucracy were questioned and theories of human relations first emerged.
□ Historical and Cultural Background Two major events — the Great Depression and World War II — came at a time when the perceived limitations of scientific management were at their peak. The Great Depression created economic and social hardships for millions of people and led to major changes in government policies regarding Social Security, public assistance, and the funding of public improvement projects. A surplus of available workers and a lack of employment opportunities meant keen competition for work and widespread abuse of workers by employers. It is not surprising, then, that this period was also marked by the expansion of powerful labor unions. These organizations advocated human rights, fair wages, and improved working conditions. Divisions between managers and workers became more intense during the Depression. Demands for improved working conditions were accommodated only when the improvements increased productivity and profits. Wages were determined by factory output, but increased output tended to increase work-related injuries, illnesses, and deaths. In addition, the typical twelve-hour workday, six days a week, with one half-hour meal break, contributed to the strained relationship between workers and managers. With World War II, however, came an enormous expansion of new jobs in both the military and the private sector. The war also placed academic researchers, managers, and military personnel in direct communication with one another for the first time. W. Charles Redding (1985), a pioneer of organizational communication and one of its leading historians, refers to this threesome as the “Triple Alliance.” He argues that through the alliance, managers and military officers benefited from new ideas about organizing work and developing trust among workers, while academic researchers benefited from their access to industrial plants and their involvement in training workers, military personnel, and managers. The effects of this war-formed alliance would have a lasting impact, particularly on the subdiscipline that was created out of that alliance: organizational communication (Redding, 1985).
□ What Is Human Relations? In the 1920s and 1930s, Mary Parker Follett, Elton Mayo, and Chester Barnard examined the employee-manager relationship in an entirely new way. Their work would provide the foundation for the human relations approach, which emphasizes the interpersonal and social needs of individuals and assumes that all people “want to feel united, tied, bound to something, some cause, bigger than they, commanding them yet worthy of them, summoning them to significance in living” (Bendix, 1956, p. 296).
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Mary Parker Follett (1868–1933) was a Boston social worker who used her experience running vocational guidance centers to develop new ideas about leadership, communication, social processes, and community. In contrast to the dominant scientific management preoccupation with efficiency and strict divisions of labor and decision making, Follett was a democratic pragmatist who believed that only cooperation among people working together in groups under visionary leadership produced excellence in the workplace, the neighborhood, or the community (Dixon, 1996; McLarney & Rhyno, 1999). She advocated what we would consider today a feminist view of management that focused on empowering workers by sharing information with them, emphasizing cooperation to solve problems, and organizing teams to accomplish tasks. She believed that “genuine power can only be grown . . . , for genuine power is not coercive control but coactive control” (cited in Hurst, 1992, p. 57), and that workers at all levels in any organization were sources of creativity whose loyalty “is awakened . . . by the very process that creates the group” (cited in Hurst, 1992, p. 58). The democratic ideal, she believed, was achieved by integrating organizations, neighborhoods, and communities through teamwork and by encouraging individuals to live their lives fully. These ideas, considered radical in their time, marked the start of a new way of thinking about leadership, groups, communication, and relationships between managers and workers that still holds sway today (Graham, 1997). Elton Mayo, a Harvard professor, also set out to critique and to extend scientific management. Instead, Mayo stressed the limits of individual rationality and the importance of interpersonal relations. In contrast to scientific management, Mayo (1945) held that society is comprised of groups, not isolated individuals; that individuals are swayed by group norms and do not act alone only in accord with their self-interests; and that individual decisions are not entirely rational, but are also influenced by emotions. Chester Barnard, a chief executive at Bell Telephone in New Jersey and the author of the influential book The Functions of the Executive (1938), was very much influenced by Mary Parker Follett. He asserted, “Organizations by their very nature are cooperative systems and cannot fail to be so” (Perrow, 1986, p. 63). The key to cooperation, he argued, lay in persuading individuals to accept a common purpose, from which all else would follow. For Barnard, the role of management was largely communicative and persuasive. Unlike Taylor’s emphasis on economic inducements, Barnard believed that effective managers strived to communicate in ways that encouraged workers to identify with the organization. For the first time, then, the purpose of management was seen as more interpersonal than economic.
□ The Hawthorne Studies While Barnard was in charge of New Jersey Bell, a landmark event was taking place at the Hawthorne plant of Western Electric in Cicero, Illinois. Mayo and his colleague F. J. Roethlisberger were called into the plant by W. J. Dickson, a manager
Chapter 3: Four Perspectives on Organizations and Communication
and industrial engineer concerned about widespread employee dissatisfaction, high turnover rates, and reduced plant efficiency. Previous efforts to correct these problems by using principles of scientific management had failed. Perrow (1986) picks up the story: The researchers at Western Electric took two groups of workers doing the same kinds of jobs, put them in separate rooms, and kept careful records of their productivity. One group (the test group) had the intensity of its lighting increased. Its productivity went up. For the other group (the control group), there was no change in lighting. But, to the amazement of the researchers, its productivity went up also. Even more puzzling, when the degree of illumination in the test group was gradually lowered back to the original level, it was found that output still continued to go up. Output also continued to increase in the control group. The researchers continued to drop the illumination of the test group, but it was not until the workers were working under conditions of bright moonlight that productivity stopped rising and fell off sharply. (pp. 79–80)
Mayo and his colleagues realized that the productivity improvements they had measured had little to do with the degree of illumination or other physical conditions in the plant. Instead, they found that the increased attention given to the workers by management and researchers was the key to increased productivity. This finding — that increased attention raises productivity — has come to be known as the Hawthorne effect.
□ Reflections on Human Relations It is difficult to criticize the primary goal of the human relations approach: to restore whole human beings and quality interpersonal relationships to their rightful place in what had become an overly mechanical view of organizations. In this spirit, the work of Chris Argyris (1957) continues to be influential. According to Argyris, the principles of formal organization, such as hierarchy and task specialization, are incongruent with the developmental needs of healthy adults. But do real alternatives exist? Critics have labeled Argyris and others who share his views “romantics,” arguing that alienation is an inherent part of organizational life (Drucker, 1974; Tompkins, 1984). Indeed, there is little empirical evidence to support the effectiveness of the human relations approach, particularly the claim that positive employee morale fosters productivity (Miller & Form, 1951). Nevertheless, the approach, reflecting the romantic ideals of the time, has played an important role in further research on organizational behavior. (Table 3.1 summarizes the move from classical management to human relations in the study of organizations and communication.) Research applying human relations thinking to the relationship between management and organizational effectiveness has been inconclusive and disappointing. Its underlying ideology has been interpreted as an unacceptable willingness to trade profitability for employee well-being. William Whyte (1969) criticizes the human relations approach for attempting to replace the Protestant work ethic and
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TABLE 3.1
Summary of Historical and Cultural Influences on the Classical Management and Human Relations Approaches to Organizations and Communication Classical Management
Human Relations
Theme: Scientific rationality leads to improved efficiency and productivity
Theme: Improved human relations leads to improved efficiency and productivity
Enlightenment ideals
Romantic ideals
Industrial Revolution
Development of psychology
Scientific methods
Social scientific methods
Dominant metaphor: Organization as an efficient machine
Dominant metaphor: Organization as the sum of relationships
Supporting principles: Ideal form of society is authoritarian and values hierarchical organization
Supporting principles: Ideal form of society is democratic and values open and honest relationships
Divisions of labor/social classes/races/sexes/nations; if “the rules” were applied equally to everyone, individuals who worked hard and obeyed instructions could better themselves
Divisions of labor/management honored; negotiation of differences through open communication valued
Conflict based on divisions; dialectical relationships between management and labor based on power and money
Conflict based on lack of shared understanding; dialogic model of relationships between management and labor based on trust, openness, honesty, and power
Application of the principles of mechanics to organizations and communication led to operationalizing the machine metaphor (e.g., “This business runs like clockwork.”)
Application of humanistic and behavioral psychology to organizations and communication led to operationalizing relational metaphors (e.g., “This business is like family.”)
Communication is top-down and procedurally oriented; following “the rules” is valued, and opposing them calls into question the whole moral order
Communication is relational and needs-oriented; self-actualization is valued if it occurs through work
Dominant form of organizing: Bureaucracy
Dominant form of organizing: Teams or groups within bureaucracies
Stability best obtained through adherence to procedural forms of order
Stability best obtained through relational and personal happiness
Limitations: Too constraining; encourages mindless adherence to details and procedures and discourages creativity
Limitations: False openness, abuse of trust and/or honesty; equation of employee happiness with efficiency or productivity
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entrepreneurialism with a social ethic of complacency that emphasizes dressing well, acting nice, and “fitting in.” Another critic has referred to human relations as “cow sociology”: “Just as contented cows [are] alleged to produce more milk, satisfied workers [are] expected to produce more output” (Scott, 1981, p. 90). Finally, an emerging line of historically based research asks how much of human relations theory is best understood as a manifestation of the Cold War mentality. The Cold War (circa 1947–1991) was a time of high tension (underscored by the threat of nuclear war) among the former Soviet Union, China, and the West. It was characterized not only by a fear of nuclear annihilation and a war in Southeast Asia, but also by a preoccupation with psychological assessments of identity, anxiety, relationships, leadership, and hierarchy, particularly as these concepts related to decision making and emotional states. As we noted earlier, theories are as much a product of the times in which they were produced as they are the “natural” extensions of existing lines of scientific research. Hence the resurgence of national interest in common human relations themes — identity, anxiety, relationships, and leadership — in post-9/11, Global War on Terror discourse about organizations and society deserves assessment with its historical predecessor, the Cold War. It also begs the question: What topics in organizational communication would seem important to us today if the Cold War and the War on Terror had not intervened to shape our thinking (see Trethewey & Goodall, 2007)?
THE HUMAN RESOURCES APPROACH In retrospect, the human relations approach identified many important issues but fell short of truly valuing employee perceptions, worldview, and voice. Whereas human relations encouraged employee communication mainly to “blow off steam,” it took another set of thinkers to fully assert the crucial role all employees can play in promoting organizational effectiveness. While incorporating most of the assumptions of human relations, the human resources approach is concerned with the total organizational climate as well as with how an organization can encourage employee participation and dialogue. Three theorists best capture the spirit of the original human resources movement: Abraham Maslow, Douglas McGregor, and Rensis Likert.
□ Maslow’s Hierarchy of Needs According to Abraham Maslow, people’s basic needs for food, shelter, and belonging must be satisfied before they can move toward achieving their full human potential, which Maslow calls “self-actualization” (Figure 3.2). In Maslow’s model, the lowerlevel needs cease to be motivating as soon as they are fulfilled. If, for example,
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FIGURE 3.2
Maslow’s Hierarchy of Needs
SELF-ACTUALIZATION SELF-ESTEEM (salary, rank, status, opportunities, responsibilities) LOVE (belonging, affection, respect by colleagues) SAFETY (shelter, security, employment) PHYSIOLOGICAL (food, clothing)
someone is satiated, food will not serve as a motivating force. Self-actualization, however, continues to motivate even as the need is being satisfied. In Eupsychian Management (1965), Maslow poses the question, “What kinds of management and what kinds of reward or pay will help human nature to grow healthily into its fuller and fullest stature?” He concludes that the conditions that foster individual health are often surprisingly good for the prosperity of the organization as well. He thus defines the problem of management as that of setting up social conditions in the organization so that the goals of the individual merge with those of the organization. A quick perusal of corporate websites reveals that many organizations recruit the best and brightest candidates by highlighting opportunities for personal growth, fulfillment, and possible self-actualization. For example, Nordstrom’s website touts the company’s culture, which seeks to make employees feel empowered, challenged, and recognized for their achievements http://careers .nordstrom.com/company/our-culture.asp. Maslow’s ideas permeate contemporary management theory and practice. Jim Collins (2001), a best-selling management author, argues that managers, entrepreneurs, and CEOs in great organizations are never satisfied with the status quo;
Chapter 3: Four Perspectives on Organizations and Communication
rather, they yearn to be the best of the best. If designed correctly, the workplace becomes a site where individuals can realize their full potential and remain continually motivated to do so. Employees of award-winning organizations who work in rewarding and challenging positions may indeed find it possible to align their personal development goals with customer service, intelligence gathering, or software engineering. However, it is unlikely that all employees will have the opportunity to self-actualize. The maintenance crew, the cafeteria employees, and the mail room staff, for example, may find it difficult to “be all that they can be” while working monotonous, mindless, or otherwise unsatisfying jobs. Underlying Maslow’s theory, then, is an undercurrent of the same class-based divisions that characterized Taylor’s thinking, namely the rather elitist notion that some members of society and organizations are more likely to become self-actualized than others. The tension between the “non-actualized masses and the actualized few” permeates Maslow’s work (Cooke, Mills, & Kelley, 2005, p. 134). In many ways, Maslow’s work still has currency and has paved the way for more recent theories of performance, including work on employee emotional intelligence (Sala, Druskat, & Mount, 2005).
□ McGregor’s Theory Y Management Sharing Maslow’s view that classical management theory fails to address important individual needs, Douglas McGregor (1960) argues that classical approaches are based in part on an assumption that the average employee dislikes work and avoids responsibility in the absence of external control. He calls the control-oriented, bureaucratic style of management Theory X, which he summarizes as follows: • The average human being has an inherent dislike of work and will avoid it if he [or she] can. • Because of [their] . . . dislike of work, most people must be coerced, controlled, directed, [or] threatened with punishment to get them to put forth adequate effort toward the achievement of organizational objectives. • The average human being prefers to be directed, wishes to avoid responsibility, has relatively little ambition, and wants security above all. (pp. 33–34)
Although Theory X may seem quite limited, it helps identify some of the implicit and explicit assumptions of the traditional organization. McGregor (1960), however, advances an alternative set of assumptions or principles in his Theory Y: • The expenditure of physical and mental effort in work is as natural as play or rest. • External control and threat of punishment are not the only means for bringing about effort toward organizational objectives. [People] will exercise self-direction and selfcontrol in the service of objectives to which [they are] committed. • Commitment to objectives is a function of the rewards associated with their achievement (including the reward of self-actualization).
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• The average human being learns, under proper conditions, not only to accept but [also] to seek responsibility. • The capacity to exercise . . . relatively high degree[s] of imagination, ingenuity, and creativity in the solution of organizational problems is widely, not narrowly, distributed in the population. • Under the conditions of modern industrial life, the intellectual potential . . . of the average [person is] only partially utilized. (pp. 47–48)
In Theory Y, McGregor builds on the best of the human relations approach to offer a fundamentally different view of employees and of their relationship with management. He views employees as possessing a high capacity for autonomy, responsibility, and innovation. Unlike the Theory X manager, the Theory Y manager has a more participative and facilitative management style that treats employees as valued human resources. Optimistic about incorporating the individual’s desires in an organizational framework, McGregor argues that “the essential task of management is to arrange things so people achieve their own goals by accomplishing those of the organization” (Perrow, 1986, p. 99).
□ Likert’s Principle of Supportive Relationships Continuing the trend toward employee participation in decision making, the work of University of Michigan professor Rensis Likert has contributed to our understanding of high-involvement organizations. Likert’s (1961) principle of supportive relationships holds that all interactions within an organization should support individual self-worth and importance, with emphasis on the supportive relationships within work groups and open communication among them. Likert divides organizations into four types, or “systems,” based on degree of participation: System I — exploitative/authoritative System II — benevolent/authoritative System III — consultative System IV — participative The principle of supportive relationships considers open communication to be among the most important aspects of management. It also favors general oversight rather than close supervision and emphasizes the role of the supportive peer group in fostering productivity. Therefore, Likert’s principle supports System IV: participative management. Research on Likert’s systems has been inconclusive (Perrow, 1986). Many studies have shown that good classical changes in organizations (e.g., improved work procedures and plans) are as important as participation in increasing organizational effectiveness. The human resources approach continues the human relations tendency to treat all organizations as similar, which opponents in the institutional school and the cultural approach view as inappropriate (see Chapter 4).
Chapter 3: Four Perspectives on Organizations and Communication
Moreover, while human resources emphasizes employee participation in organizational decision making, it does not explain the pragmatics or politics involved in establishing such a voice for employees. (See What Would You Do? on page 80 for an example of these complexities.) As a result, its prescriptions for participation tend to have limited use. Nevertheless, the quest for effective forms of participative decision making continues (Miller & Monge, 1986).
THE SYSTEMS PERSPECTIVE A classic advertisement for luxury automaker BMW poses this question: “What makes the BMW the ultimate driving machine?” Is it the car’s superb handling and braking, its aerodynamic design, or its powerful engine? According to the advertisement, no single feature makes the BMW special; rather, the car is unique in the way that all of its qualities work together as a whole to create “the ultimate driving machine.” This advertisement nicely illustrates the systems approach to organizations, which emphasizes the difference between a disconnected set of parts and a collection of parts that work together to create a functional whole. That functional whole is called a “system,” and in a system the whole is more than the sum of its parts. Sociologist Walter Buckley (1967) translates this expression as follows: “The ‘more than’ points to the fact of organization, which imparts to the aggregate characteristics that are not only different from, but [also] often not found in the components alone; and the ‘sum of the parts’ must be taken to mean, not their numerical addition, but their unorganized aggregation” (p. 42). In other words, organization makes a social system more than just its components. In a marriage, family, team, or business, the relationships that exist among people are what make the group a system. The initial popularity of the systems approach to organizational communication studies was enormous. Daniel Katz and Robert Kahn’s The Social Psychology of Organizations (1966), a landmark application of systems theory to organizations, argued that organizations are fundamentally open systems that require a constant flow of information to and from their environment. In the field of organizational communication, then, systems theory provided a new connection between communicating and organizing.
□ What Is a System? As you can tell from the preceding discussion, a system may be defined as a complex set of relationships among interdependent components or parts. In the study of organizational communication, we are concerned with both the nature of those components in organizations and the relationships among them.
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WHAT WOULD YOU DO?
The Politics of Middle Management A key assumption of the human resources approach is that happy employees are also productive employees. However, in the act of defining happiness, there is the potential for tyranny. Consider the following perspectives on happiness (Shorris, 1984, pp. 17–34): 1. The most insidious power is the power to define happiness. Happiness cannot be described, and what cannot be described cannot be attained. So it is that we create imagined happiness as the opposite of what we can describe: dissatisfaction. 2. All leaders must have the ability to define happiness. In the absence of absolute happiness, we content ourselves with relative happiness. 3. There are three ways in which capitalism and the bureaucratic society conspire to use happiness as a source of fear and reward: a. The merchant offers happiness in the immediate future. Commodity purchases offer material rewards; failure to consume commodities suggests material poverty and, therefore, a lack of relative happiness. b. The manager offers happiness in the future. According to human relations theory, the manager’s power is largely symbolic (kind words, generous deeds, a pat on the back). Because being in management is a source of symbolic attainment in our society, the manager represents what the rest of us aspire to. As such, the manager is the enforcer of our moral code. c. The despot offers happiness in the historical future. By making prophetic claims about the historical future, the despot is like a secular god and lacks only immortality to be a god. The despot combines displays of material and symbolic happiness and suggests that others may attain them only if they do as they are commanded. 4. When work becomes rationalized and bureaucratized, the resulting order symbolizes levels of happiness. The manager has the power to define happiness as the next step up the career ladder. The manager’s definition of happiness creates the moral system in which white-collar workers and some managers live, but the despot’s definition, with its ultimate promises and religious demands, has a greater effect on the middle manager’s life. In return for happiness, middle managers agree to the abolition of their freedom, thereby becoming a part of the organization and accepting the notion that any sin against the organization may cast them out of heaven and into the limbo of the unemployed.
Chapter 3: Four Perspectives on Organizations and Communication
Discussion Questions Given these thoughts, consider how you would handle the following situations. 1. Your supervisor explains that you will be promoted if you can find ways to cut costs by one-third in your department. You know this will mean cuts in personnel, even though your boss never says so directly. However, you are already working with a limited staff, and stress is high among employees as a result of the heavy workload. In addition, you fear that any further reduction in staff may affect employee morale and lower productivity in your department. At the same time, you personally are heavily in debt and in need of the promotion to make ends meet. How will you handle the situation? Should you gain some happiness at the expense of others? Is the short-term gain of a promotion worth the long-term risks of negative morale and reduced productivity? 2. What role do teachers and professors play in shaping the happiness of their students? How do you respond to a teacher’s encouragement to do something that may mean a lot to him or her (e.g., conducting extra research on a topic) but that you find uninteresting? Is there a hierarchy in higher education, and if so, how does it affect your experience as a student? What role does graduate or professional school play in this hierarchy?
Environment and Open Systems According to systems theory, organizations do not exist as entities isolated from the rest of the world. Rather, organizations exist in increasingly turbulent environments that both provide inputs to the organization and receive outputs in the form of products and services. For a company to succeed, some of its members must spend a significant amount of time engaged in environmental scanning, the careful monitoring of competitors, suppliers, government legislation, global economics, new technologies, political developments, and consumer preferences. Failure to do so leaves an organization open to unexpected environmental jolts, which can have disastrous consequences. An organization’s relationship with its environment, however, is not limited to scanning. As open systems, organizations must also work with their environments to be successful (e.g., by establishing joint ventures and strategic partnerships). This is a significant change from traditional “us-against-them” theories of competition. In today’s global marketplace, it is difficult for companies to know who is a potential enemy or friend, so the best strategy is usually a blend of cooperation and
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competition that tries to reap the best of both worlds (Brandenburger & Nalebuff, 1996). A landmark example is SEMATECH, a semiconductor consortium formed by the U.S. federal government to improve the global competitiveness of the entire semiconductor industry (Browning & Shetler, 2000). At first, participating companies (e.g., Intel, HP, Motorola) were very uncomfortable sharing information with their “enemies”; they later came to the important realization that their individual competitiveness was enhanced, not hindered, by cooperation. Open-systems theory encourages individual members (whether they be people, departments, or organizations) to be mindful of the importance of the overall health of their industry “ecosystem” (Lewin, 1997). For an example of how this theory applies to the local food movement, see What Would You Do? on page 83. As Walter Buckley (1967) explains, “That a system is open means, not simply that it engages in interchanges with the environment, but that this interchange is an essential factor underlying the system’s viability, its reproductive ability or continuity, and its ability to change” (p. 50). Therefore, an open system that interacts productively with its environment tends to create structure or, more simply, to organize, whereas in a closed system there is little or no interaction with the environment, and the organization may approach entropy or disorder.
Interdependence Another essential quality of a system, interdependence, refers both to the wholeness of the system and its environment and to the interrelationships of individuals within the system. These relationships can vary in terms of their degree of interdependence. For example, a student’s refusal to acknowledge the legitimacy of a particular instructor would have a negative effect on the student’s performance in the course but only a minimal effect on the instructor because of the lopsided nature of the student-teacher relationship: The student is dependent on the instructor, but the instructor is only minimally interdependent. In contrast, because most marriages are characterized by a high degree of interdependence, the decision of one partner to withdraw emotionally from the relationship puts the whole system at risk. In systems theory, then, the interdependent relationships between people are established and maintained through communication. In organizations, division of labor can cloud people’s perceptions of the interdependent nature of their work. For example, when we toured a company that manufactures high-technology radio transmitters, we asked employees to describe the various kinds of jobs available in the company and whether they had considered cross-training or moving to a different department. We found that most employees in the company were ignorant of the nature of their coworkers’ jobs. Even employees within the same work group had little knowledge of one another’s jobs, despite their daily contacts. In an interdependent system, no part of the system can stand alone; each relies on the other parts to do its job effectively. One example of such a breakdown is described in The 9/11 Commission Report (National Commission on Terrorism, 2004). Despite decades of warnings from
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Locavores, Sustainability, and Systems The term locavore was coined in 2005 by four women in San Francisco who organized a sustainability group on behalf of locally grown foods, or foods grown within a 100-mile radius of the city. By 2007, the word locavore had become so popular that Oxford University Press named it “Word of the Year.” This is certainly a testament to how quickly the organic and systemic approach to encouraging local food production and consumption grew into a global social movement contributing to sustainable environments. (http://www.time.com/ time/magazine/article/0,9171,1595245-3,00.html). As the world becomes more conscious of the real costs — the “carbon footprint” — created by importing and marketing food grown thousands of miles from home, there has been increasing interest in finding better ways of protecting our environment and improving our health. For example, “shipping a strawberry from California to New York requires 435 calories of fossil fuel but provides the eater with only 5 calories of nutrition” (Cloud, 2007, p. 3). Furthermore, the longer food — even organic food — remains in transit or on the supermarket shelf, the lower its nutritional value. Adding to the strong appeal of consuming natural foods grown from known sources close to home is the fact that many people now routinely shy away from vegetables and fruits that have been genetically modified or grown with pesticides and avoid farm stock that has been injected with hormones. There is a practical payoff for understanding yourself in relation to the ecological and market systems in your community and for applying the insights of interconnectedness and the complexities of systems theory. In fact, there are several websites that allow you to measure your carbon footprint as well as to gauge how you can lower it by making a few changes in your lifestyle, including your food-purchasing habits. (For example, you can take a sample test at http://www.nature.org/initiatives/climatechange/calculator.) Locavores are having a significant impact on the ways we learn about the complex relationship of our daily bread to sustainable environments, economics, nutrition, and health. By emphasizing the interdependent and evolving connections among environment, goals for health, goals for the ecology of the planet, and the processes necessary to achieve them and by making use of local feedback networks, locavores enact the basic tenets of a systems approach to organizing and problem solving. Their arguments also serve as an example of how to apply systems thinking to the food we produce and consume. However, just as systems theories are often perceived as “difficult to apply” because of their complexity, changing our lives and our eating habits to reduce our carbon footprint may be perceived as interesting as science but unattainable in practice.
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(continued, Locavores, Sustainability, and Systems)
Discussion Questions 1. One failure of the sustainability movement in general has been, until recently, the lack of a coherent and compelling story. Most Americans, for example, did not take global warming very seriously until former U.S. vice president and environmental activist Al Gore released his documentary film, An Inconvenient Truth. The same could be said about food ecology, which, until recently, was not associated with a narrative interesting enough to attract widespread public attention or personal consideration. In that regard, what is the story you tell your friends about what you eat? Does that story connect your eating habits to larger environmental or health issues? If so, what effect does that connection have on listeners? If not, what might you do to connect your story to those concerns? 2. One common objection to relying on local foods is that imported varieties are often more aesthetically pleasing and sometimes just “taste better.” Let’s admit it: Those large, red, genetically modified strawberries do look better on a plate, particularly when compared to their smaller organic cousins whose skins are a pale pink. And they’re cheaper too. Given what you have read about systems theories and sustainability, does personal preference for taste, color, and even price trump ecological concerns? Are there ethical implications for what we choose to eat that go beyond our ability to pay for food? 3. Explain how the five characteristics of a system (environment and open system; interdependence; goals; processes and feedback; openness, order, and contingency) apply to locavore thinking. In what ways might locavores adjust or improve their movement with the organizing tools offered by a systems approach?
military leaders, intelligence sources, and State Department officials, and even direct communication by the terrorists with the American people (such as Osama bin Laden’s interview on ABC News), few Americans fully appreciated how the interdependence of global economics, religion, technology, transportation, and ideology could result in the horrors of September 11, 2001. Even with the more recent expansion of knowledge about what made those tragic events possible, our ability to successfully combat global terrorist networks depends on our ability to promote effective communication among increasingly complex and diverse stakeholders. Specifically, government agencies unaccustomed to sharing data and their analysis must learn to do so; governments, police departments, businesses, and religious organizations must learn to cooperate.
Chapter 3: Four Perspectives on Organizations and Communication
Goals Organizational goals are defined in various ways in theories of organization and communication. From a scientific management perspective, goals are central: Both individuals and organizations direct their activities toward particular achievements. From an institutional perspective, organizations and their members may espouse goals, but rarely do their goals guide their behavior (Scott, 1981). From the opensystems perspective, however, goals are negotiated among interdependent factions in the organization and are heavily influenced by its environment. Michael Keeley (1980) makes an important distinction regarding organizational goals. Examining the traditional view of organizations as being mobilized around common goals, he distinguishes between the goals that individuals have for themselves, which are personal and highly variable, and the goals that individuals have for their organization, which are more likely to be shared. Furthermore, Jim Collins (2001) reveals that “big, hairy, audacious goals” (BHAGs) for the organization that are clearly articulated and broadly shared distinguish successful and enduring organizations from their less effective competitors. Goals can differ across system levels. For example, a unit at one level within a large corporation may seek the goal of profitability. At the next level, however, the corporation may be under pressure from stakeholders to raise cash; this corporate goal may cause it to try to sell the business unit (a decision that is unfavorable to the unit). At the same time, the business unit’s goal of profitability may conflict with the individual goals of workers or managers within the unit, who may advocate such goals as improving product quality or focusing on strategic products at the expense of others. Thus, systems theory emphasizes that what is good for one level of the system may or may not be good for the other levels.
Processes and Feedback A system is not simply an interdependent set of components; it is also an interdependent collection of processes that interact over time. For instance, the production of this textbook is the result of many rounds of development and revision. Editors respond to customer concerns and must somehow bring together the authors as well as the marketing and production teams. Moreover, these collaborative processes involve numerous handoffs, the timing and quality of which will shape if not determine the nature of the finished product. Where classical theories directed our attention to the individual employee, systems approaches lead us to focus on core processes. Suppose that an instructor is dissatisfied with the new edition of a textbook and calls to cancel future orders, or that a consultant is generally pleased with a product but suggests changes in its design. These are examples of feedback, which can be defined as a system of loops that connect communication and action. Individuals provide messages to others, who then respond to those messages in some way. In systems theory, there are two main types of feedback: negative and positive.
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Negative, or deviation-counteracting, feedback is illustrated by the instructor’s complaint about the new edition. The negative feedback seeks to reestablish the goals or quality levels that were initially established for the book. The other type of feedback — positive, or deviation-amplifying, feedback — is illustrated by the consultant who suggests changes in the design of a product. It seeks to find new avenues of growth and development. In their work on learning organizations, Chris Argyris and Donald Schon (1978) assert that businesses need both positive and negative feedback to achieve success. While negative feedback encourages adherence to an established strategy or course of action, positive feedback ensures that alternative strategies or courses of action are considered. Argyris calls the latter practice “double-loop learning,” or the ability to “learn how to learn” by using feedback to reexamine established assumptions and decision premises. An intriguing contemporary application of this sort of complex thinking is found in organizational communication scholar Steve Corman’s notion of “counternetworking.” The term refers to “any approach that seeks to decrease performance of an adversary organization by identifying and seeking to modify its communication network” (2006, p. 93). Corman’s interest is in countering terrorist networks by using “reverse organizational science,” which means turning around the usual advice given to business leaders about making their organizations more successful. In this way, counter-networking uses a systems approach to create negative feedback, which is used to promote “un-learning” and chaos among terrorists. One example is the introduction of urgently needed but false information (e.g., the time of a scheduled rendezvous prior to a suicide bomber attack) through a credible source within the terrorist network. The misinformation would then travel throughout the network, the ability of the terrorist team to coordinate its work would be impaired, and the ability to track the message backward through the network increases the likelihood of capturing the terrorists.
Openness, Order, and Contingency Systems theory evokes the image of a complex, interdependent organization that operates within a dynamic environment and is engaged in an ongoing struggle to create order in the face of unpredictability (Clegg, 1990; Thompson, 1967). In retrospect, it is indeed surprising that classical management theories paid so little attention to an organization’s environment, focusing instead on treating organizations equally and directing management to conduct careful studies of the “one best way” to accomplish work within the boundaries of the organization. By contrast, today’s open systems are less reassuring and more unpredictable. Environmental openness helps organizations see themselves as part of a dynamic system of intricate interdependencies and relationships. Openness in the organizationenvironment relationship also has implications for some of the more prescriptive aspects of organizational theory. The existence of diverse environments across in-
Chapter 3: Four Perspectives on Organizations and Communication
dustries, companies, and even geographic regions means that the same organizing principles and solutions cannot be applied in all situations; rather, they are contingent on various factors. For example, the health of our global economy continues to be a major challenge for governments and organizations worldwide. The complexity and interconnectedness of the global economic system was made frighteningly apparent by the bursting of the falsely inflated global housing bubble during 2007, which in turn led to an unprecedented, rapid insolvency among banks and investment houses during 2008. These banking and financial failures, an inability of leading nations to generate credible solutions, and repeated calls for multibilliondollar bailouts, combined with massive layoffs and a dramatic downturn in consumer confidence, in turn spawned a deep recession worldwide. What to do? Clearly the weakness of our global economy is unlikely to be resolved by the actions of any one government or industry, however well intentioned. Because this is a systems problem, it requires a systems solution that involves input from coalitions of governments and industries, as well as a general rethinking of how best to create wealth and prosperity, manage resources and businesses, and position governments and regulatory agencies in our complex global economic environment. Yet as systems theory has taught us, the term equifinality means that the same goal may be reached in multiple ways. Jay Galbraith (1973) summarizes the two basic tenets of contingency theory as follows: 1. There is no one best way to organize. 2. All ways of organizing are not equally effective. These principles imply not only that the forms of organizing that will work best depend on the environment, but also that the match between certain organizational approaches and specific environments should be explored because some approaches will work better than others. Organizations that exist in complex and highly turbulent environments require different forms of leadership, interpersonal communication, decision making, and organizational structure than those in relatively predictable environments (Lawrence & Lorsch, 1967; Weick & Sutcliffe, 2001).
THE APPEAL OF SYSTEMS THEORY FOR ORGANIZATIONAL COMMUNICATION Systems theory appeals to those who are interested in organizational communication because it highlights the importance of communication processes in organizing. In addition, it is theoretically capable of capturing much of the complexity of these processes. While experience teaches us that communication is complex and takes place over time, earlier theories were based on the overly simplistic idea that communication involved the sending and receiving of messages (see Table 3.2 on page 93).
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Research on systems theory has been disappointing. Researchers have had difficulty translating the concepts of systems theory into research designs. Scholars unable to create dynamic systems theories of communication often lack the methodological tools needed to analyze complex systems of communication and feedback. Systems theories are ideally tested using statistical methods that accommodate multiple factors interacting over time. Unfortunately, few people studying social systems are well trained in how to use these new statistics. As a result, studies of complex systems often apply the wrong analytic techniques or remain untested at the theoretical level. Because actual studies of complex social systems are rare, systems theory has been characterized as an appealing but abstract set of concepts with limited applicability to actual theory or research (Poole, 1996). Recently, however, efforts have been made to reinvigorate systems theory in ways that are compatible with organizational communication. We are referring specifically to the innovative theories of Peter Senge and Karl Weick, which we discuss next.
□ Peter Senge’s Learning Organization Management theorist Peter Senge (1990) has succeeded in bringing systems thinking to those who manage corporations under the umbrella idea he calls “the learning organization.” Learning organizations exhibit five features: 1. Systems thinking. Combining holism and interdependence, systems thinking claims that for any one member to succeed, all members must succeed. 2. Personal mastery. All members share a personal commitment to learning and self-reflection. 3. Flexible mental models. Mental models are those patterns of belief that shape and limit an individual’s interpretations and actions. In a learning organization, members engage in self-reflection, allowing them first to understand and then to change the mental models that tend to guide their thinking. 4. A shared vision. In learning organizations, tight hierarchical control is replaced by “concertive control” (Tompkins & Cheney, 1985), whereby members act in concert because they share a common organizational vision and understand how their own work helps build on that shared vision. 5. Team learning. Team members in a learning organization communicate in ways that lead the team toward intelligent decisions, with an emphasis on dialogue as the key to team learning. According to Senge (1990), developing a learning organization requires a major “shift of mind” toward a more participative and holistic notion of effective organizing. What one does with differences in mental models — and how one moves on to team learning — is critical to Senge’s approach and our interest in it.
Chapter 3: Four Perspectives on Organizations and Communication
As mentioned in Chapter 2, Senge (1990) and his colleagues at the MIT Dialogue Project (Isaacs, 1999) build on physicist David Bohm’s (1980) work on the role of consciousness in communication problems. Bohm is critical of the human tendency to see ourselves as separate from the rest of the world. He argues that the result of such thinking is discussion, or “participative openness,” wherein we feel free to advocate our opinions, but because we are unwilling to suspend our certainty about our own worldview, no real learning takes place. In contrast, dialogue, or “reflective openness,” “starts with the willingness to challenge our own thinking, to recognize that any certainty we have is, at best, a hypothesis about the world” (Senge, 1990, p. 277). From this point, dialogue progresses through a combination of advocacy and inquiry, wherein we collectively offer and expose our ideas to tough scrutiny by others. The primary distinction between dialogue and the typical problem-solving meeting in business is that the former places more value on the communication process. Group members are thereby more willing to distance themselves from their own opinions and ideas.
□ Karl Weick’s Sense-Making Model Karl Weick’s exploration of sense making, developed in his books The Social Psychology of Organizing (1979) and Sensemaking in Organizations (1995), has greatly influenced the fields of organizational behavior and communication. In particular, his work has reinvigorated systems theory by connecting it with issues of sense making, meaning, and communication, while also providing a bridge for the development of cultural studies of organizations (see Chapter 4). According to Weick (1979), organizations exist in highly complex and unpredictable environments. The job of organizing involves making sense of the uncertainties in environments through interaction, a process that Weick calls “equivocality reduction.” In the process of identifying the meaning of a given situation or event, the same facts can be interpreted in various ways by different observers. How the members of an organization communicate to make sense of equivocal situations is central to Weick’s approach. As illustrated in Figure 3.3, Weick’s (1979) model of organizing has three parts: enactment, selection, and retention. In enactment, organizational members create environments through their actions and patterns of attention, and these environments can vary in terms of their perceived degree of uncertainty. For example, college presidents and their staffs are struggling these days to decide what to include in their enacted environment. The usual list of current students and alumni is now being augmented by local communities, governments, senior citizens, and technology companies running virtual universities. School administrations vary greatly in the degree to which they pay attention to each of these forces. Once an environment is enacted, the organizing process requires the participants to select the best explanation of the environment’s meaning from a number of
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FIGURE 3.3
Weick’s Model of Organizing (+, –) (+, –)
Enactment
Selection
Retention
+
Ecological change
Enacted equivocality +
+
Perceived amount of equivocality in input –
Cycles assembled
– –
Assembly rules
+
Perceived amount of equivocality in input –
Cycles assembled
– –
Assembly rules
Source: Weick, K. (1979). The social psychology of organizing (2nd ed.). Reading, MA: Addison-Wesley. Reprinted by permission.
possible interpretations. In selection, then, collective sense making is accomplished through communication. In the case of higher education, some universities have chosen to interpret their purpose and mission in close partnership with the local community and have redesigned their reward systems to align with this interpretation. For example, the mission statement of UNCG begins with the words “The University of North Carolina at Greensboro is a student-centered university, linking the Piedmont Triad to the world through learning, discovery, and service” (UNCG Undergraduate Bulletin, 2002–2003, p. 9). As a result of establishing “learning, discovery, and service” connections to the Piedmont Triad (e.g., the communities of Greensboro, Winston-Salem, and High Point) as first and foremost in its mission, the faculty and administration also revised promotion standards to include a track based primarily on service to the Triad area. Finally, in retention, successful interpretations are saved for future use. In the case of UNCG, time will tell what lessons are learned from their choice; success will not only reinforce their selection, but also allow others to see this as a legitimate option for their institutions. Retained interpretations also influence future selection processes, as indicated by the feedback arrow in Figure 3.3. Weick thus represents sense making as a set of interdependent processes that interact with and
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provide feedback to one another. In this sense, his model connects systems thinking with interpretation. Weick extends his model of organizing through three important concepts: retrospective sense making, loose coupling, and partial inclusion.
Retrospective Sense Making An underlying assumption of Weick’s model is retrospective sense making. In other words, although people in organizations think they plan first and then act according to the plan, Weick argues that people act first and later examine their actions in an attempt to explain their meaning. He sums this up in what he calls a “recipe”: “How can I know what I think until I see what I say?” (1979). Weick (1995) goes on to identify seven “properties of sense making”: 1. Identity construction. Who I am is indicated by how and what I think. 2. Retrospection. To learn what I think, I look back over what I said earlier. 3. Enactment. I create an object to be seen and inspected when I say or do something. 4. Socialization. What I say, single out, and conclude are determined by who socialized me and how I was socialized, as well as by the audience I anticipate will audit the conclusions I reach. 5. Continuation. My talking is spread across time, competes for attention with other ongoing projects, and is reflected on after it is finished (which means my interests may already have changed). 6. Extracted cues. The “what” that I single out and embellish as the content of the thought is only a small portion of the utterance that becomes salient because of the context and personal dispositions. 7. Plausibility. I need to know enough about what I think to get on with my projects, but no more, which means sufficiency and plausibility take precedence over accuracy. (pp. 61–62) The seven properties also apply if we change the pronouns in the recipe to reflect collectively: “How can we know what we think until we see what we say?” However, Weick’s theory of retrospective sense making does not take into account that some people do act first and interpret later while others strive to act only in accordance with predetermined plans. Perhaps both processes are always at work. The important point in Weick’s argument is that the balance between planned and unplanned behavior is often the reverse of what we assume it to be. For example, as Malcolm Gladwell demonstrates in the case studies that make up his book Blink (2007), having ample time available and a wealth of resources and technologies at our fingertips to plan for decisions doesn’t always mean a better decision will be the outcome. Instead, it may be our “adaptive unconscious” (Gladwell, 2007), which allows us to focus on what’s most important and respond accordingly, that provides a better result.
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Loose Coupling Weick also points out that the communication connections among people in organizations vary in intensity and are often “loose” or “weak.” Weick’s (1976) concept of loosely coupled systems has had a major impact on our understanding of organizations as communication systems. Consider, for example, the typical college or university, in which a great deal of interaction occurs within departments but not across various fields of study. The activities of the history department have little effect on those of the engineering department, for example. Similarly, loose or weak connections usually exist among the university’s nonacademic units (staff and administration). Whereas strictly rational approaches maintain that loose connections deter people from working together to achieve a common goal, Weick (1979) argues that such connections can sometimes be advantageous. The multiple goals of an organization can be coordinated without extensive communication or consensus (Eisenberg, 1984, 1986, 1990, 1995). In addition, a loosely coupled system is better able to withstand environmental jolts. In a system of close or tight connections, environmental jolts can affect the entire system, whereas in a loosely coupled system, the whole is less affected because of the weak connections among units. Although it is subject to redundancy and inefficiency, a loosely coupled system may still be more effective in the long term.
Partial Inclusion In analyzing the balance between work and other activities, Weick (1979) uses the theory of partial inclusion to explain why certain strategies for motivating employees are ineffective. He holds that employees are only partially included in the workplace; that is, at work we see some but not all of their behaviors. An unmotivated employee at work may be a church leader or a model parent, whereas the top performer at a company may engage in few outside activities. In either case, simple theories of organizational behavior are limited when they fail to consider the employee’s activities, roles, and interests outside of the workplace. Every individual is a member of multiple systems, and this multiple membership shapes and limits their degree of commitment to any one particular system.
Summary Four general approaches — classical management, human relations, human resources, and systems approaches — have had a great impact on the development of communication theories and organizational practice and continue to shape current thinking. When striving to understand organizational communication, remember that all historical narratives and all human communication exhibit the three P ’s: They are partial, partisan, and problematic.
TABLE 3.2
Comparison of Scientific Management and Systems Theories Scientific Management
Systems Theories
Metaphor: Machines
Metaphor: Biological organisms
Theme: Efficiency — a machine is the sum of its parts
Theme: Complexity — a system is greater than the sum of its parts
Influences: Industrial Revolution, modernity, capitalism, and empire; assembly-line production and management; division of labor, interchangeable parts, coordination of many small, skilled jobs
Influences: Einstein’s theory of relativity; McLuhan’s global information society; Miller’s biological systems; von Bertalanffy’s general systems; information engineering model of communication
Focus of management principles: “The only things that count are the finished product and the bottom line”; time and motion studies
Focus of management principles: “Everything counts”; studies of interdependent processes, information flows and feedback, environments and contingencies
Management of individuals as interchangeable parts
Management of relationships among components; focus on groups and networks
Planning the work, working the plan
Planning the work, using feedback to correct the plan
Motivation by fear and money
Motivation by needs and contingencies
Theory of communication: S e n d e r
M e s s a g e
Theory of communication: C h a n n e l
R e c e i v e r
Sender— Message— Channel—Receiver
Feedback S
M
C
R
Noise
Sender— Message— Channel—Receiver Noise
Theory of leadership: Trait (tall, white males with blond hair and blue eyes, who come from strong moral backgrounds)
Theory of leadership: Adaptive (rhetorical contingency) — anyone can learn the skills of leading by attending to the requirements of behavioral flexibility
Limitations: (1) Forgets that humans are more complex than machines; (2) encourages individual boredom and deep divisions between managers and employees; (3) discourages communication, individual needs, job initiative, task innovation, personal responsibility, and empowerment
Limitations: (1) Forgets that humans are symbolic as well as biological; (2) encourages mathematical complexities that are difficult to put into everyday practices; (3) equates communication with information
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The classical management approach emerged during the Industrial Revolution, a period characterized by a quest to adapt the lessons of science and technology to make perfect machines. These early organizations were built on the model of the efficient machine, and so-called scientific management was characterized by a machinelike dependence on hierarchy, divisions of labor, strict rules for communication between management and workers, and formal routines. The term bureaucracy is often used to describe the structure of these early organizations. In some industries, similar attempts to rationalize organizations continue today. In the classical management approach, any attempt at achieving a balance between individual creativity and organizational constraint through dialogue will tilt in favor of constraint. The individual needs of workers are largely ignored, communication is limited to the giving of orders, and the strict imposition of rules and routines seeks to maintain order above all else. When such strict adherence to hierarchical power remains in place for too long, underground opposition or resistance is likely to emerge. The human relations approach to organizations and communication emerged against the cultural and economic background of the Great Depression. Studies demonstrating a positive correlation between managers who paid attention to workers and improved productivity led to new theories about the role of communication at work. The balance in the organizational dialogue thus tipped back toward a concern for individual creativity and the satisfaction of needs. Refinements in human relations theory led to the human resources approach. Through this approach, advances were made in our understanding of the relationship between individual needs for creativity and organizational structures. In the period following World War II, studies of leadership style, decision making, and organizations as institutions served to redefine the individual in organizations as socially situated and rational only within limits. This view of the individual suggests a new role for communication: the construction of definitions of the situation and of decision premises that shape individual behavior. It also suggests a new view of employee motivation and performance: The employee’s motivation is derived from his or her interests, which constitute the individual’s definition of the situation. The broad term systems approach encompasses many theories with various assumptions and implications for action. Adopting a systems approach requires acknowledging the openness and complexity of social organizations as well as the importance of relationships among individuals over time. A systems perspective can also reveal important interdependencies, particularly the connections with organizational environments that can affect an organization’s survival. Despite its focus on communication and relationships, however, systems theory does not help to explain the meanings constructed by interactions. It can identify the potential participants in a productive organizational dialogue, but it cannot tell us about the content of that dialogue. It is in this area that Weick augments systems theory with issues related to sense making, arguably the central process of organizing. Systems theory is likely to continue to exert significant influence
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on the field of organizational communication. Particularly in organizations that produce complex products or provide complex services, systems theory is evident in discussions of work-flow analysis, internal customers, and cross-functional work groups, as well as in the use of control charts and process maps.
Questions for Review and Discussion 1. Why do we need theory to study organizational communication? What do we mean by the idea that all theories are historical and metaphorical? 2. Why is all communication partial, partisan, and problematic? 3. What is the classical management approach? What does the machine metaphor imply about communication in organizations based on classical management? What is “scientific” about Henri Fayol’s approach to decision making? 4. Why do you think Mary Parker Follett’s ideas about management were considered radical in her day? What specific influences of her work can you see in human relations and human resources theories? 5. What are the principles of the human relations and human resources approaches to organizational communication? What was the influence of the “Triple Alliance” on the historical development of organizational communication? Why do you think Elton Mayo’s work had such a great impact? 6. Why do you think Abraham Maslow’s hierarchy of needs has had such farreaching implications for the development of human resources approaches to management and communication? What are the fundamental differences between Douglas McGregor’s Theory X and Theory Y when applied to human communication at work? 7. In what ways is organizational learning connected to the processes associated with systems thinking? 8. How has the sense-making model reinvigorated the application of systems theory to organizational communication?
Key Terms Bureaucracy, p. 69 Classical management, p. 61 Division of labor, p. 62 Equifinality, p. 87
Feedback, p. 85 Goal, p. 85 Hawthorne effect, p. 73 Hidden transcript, p. 64
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Hierarchy, p. 62 Human relations, p. 71 Human resources, p. 75 Interdependence, p. 82 Learning organization, p. 88 Loosely coupled, p. 92 Open-systems theory, p. 82 Partial inclusion, p. 92 Partiality, p. 60 Particularism, p. 69 Partisan, p. 60
Principle of supportive relationships, p. 78 Problematic, p. 61 Resistance to domination, p. 64 Retrospective sense making, p. 91 Scientific management, p. 65 Systems approach, p. 79 Theory, p. 59 Theory X, p. 77 Theory Y, p. 77
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CASE STUDY I
Riverside State Hospital Background Riverside State Hospital is a five-hundred-bed, state-supported psychiatric facility located along the scenic banks of the Tennessee River. Admission to the facility requires a physician’s order or a court referral. The hospital staff consists of physicians, psychologists, psychiatrists, nurses, dietitians, pharmacists, therapists, technicians, and general housekeeping and groundskeeping personnel, all of whom are state employees. The hospital is run primarily as a bureaucracy, with levels of authority and salary based on seniority and rank. All employees hold a government service (GS) rank, the lowest being GS-1 (groundskeeping trainee) and the highest GS-15 (administrator or CEO). In addition, within each rank are seven to ten steps, which are determined by seniority and achievement. Performance reviews are conducted annually, at which time promotions in steps or in GS rank may occur. Employees are given annual salary adjustments for inflation or cost-of-living increases. Full state benefits are provided to all workers. Riverside employees work an eight-hour shift. Employees below rank GS12 (head or chief) take a thirty-minute lunch break and two fifteen-minute breaks during their shift. Members of the professional staff (physicians, nurses, pharmacists, and the like) work on a three-shift schedule: 7 a.m. to 3 p.m., 3 p.m. to 11 p.m., and 11 p.m. to 7 a.m. The hospital operates year-round.
The Problem A few days ago, a resident patient at Riverside State Hospital was killed when part of the wall next to his bed collapsed. Horace James Wilcox Jr. was fifty-six years old when he died. He had no family and had been a resident at the hospital for three years. He suffered from traumatic amnesia and scored in the borderline range on intelligence tests. He was otherwise in good health. He was also well liked and seemed to be responding to treatment. In statements made to state investigators and the news media, hospital administrators called the accident a “tragedy.” They explained, “There had been no indication that the wall was weak or that Wilcox was in any danger.” You are the government investigator assigned to the Wilcox case. Your job is to determine whether any evidence exists that would make Riverside State Hospital liable for Wilcox’s death.
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(continued, Riverside State Hospital)
The Investigation You learn from your investigation that Wilcox was a quiet man who tended to keep to himself, although he did join the other patients on the ward for scheduled games and activities. During these times, he talked a lot about current news events. Watching the cable news channel was his favorite source of entertainment. He was known among the staff as the most informed patient on the ward. Your investigation also reveals that Wilcox’s amnesia was complicated by his belief that he was directly affected by whatever he saw on television. News events — particularly family tragedies — affected him deeply. The hospital staff had tried reducing his television viewing time to prevent further complications, but he became depressed. His television privileges were restored as a result, and the staff tried instead to use the emotions he displayed about news shows in his therapy. Perhaps, they reasoned, some family tragedy had produced the traumatic amnesia. In addition, for the past month Wilcox had repeatedly exclaimed, “The sky is falling,” especially when he was confined to his bed at night and in the mornings upon awakening. He would also point at the ceiling and walls of his room and cry out, “There is trouble here, trouble from the sky.” On several such occasions he had to be physically restrained and calmed with drugs. During this same month, an Air Force fighter plane had exploded in the sky during an air show, and videotape of that event had appeared frequently on the television news. Given Wilcox’s past history of responding emotionally to tragedies reported in the news, the staff linked his most recent behavior to the air show disaster. However, you think there may be more to it. Considering Wilcox’s unwillingness to go to bed at night, his complaints about an impending tragedy may have had an altogether different meaning: Perhaps “the sky” was a reference to perceived structural defects in the walls and ceiling of his room. You wonder whether Wilcox was trying to direct attention to the actual physical deterioration of his room. Moreover, his psychiatric history may have led those in charge of his care to dismiss his allegations. Upon further investigation, you learn that the walls and ceiling in Wilcox’s room had been repainted three times during the past twelve months due to stains from a leaking water pipe. You think the leak may have seriously weakened the wall, and you feel that hospital personnel should have followed up on this situation. You also discover that state funding for maintenance had been cut back severely during the previous summer and that although there was structural damage to the wall, there was no indication that it was unsafe. From the hospital administrators’ perspective, then, the culprits were an aging building
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and insufficient state funding to repair it. Even so, they maintain that the collapse of the wall was “an unforeseeable accident.” You obtain copies of the building inspection reports for the past three years. You note that in the past year, state inspectors recorded the deteriorating condition of the wall and ceiling that eventually collapsed. These forms are signed by Hillary Hanks, the head of resident life. In an interview with Hanks, you discover that although her name appears on the state inspection forms, she did not actually sign them. She explains that her secretary, Nancy Ellis, regularly signs her name on state forms to save time. She adds, “There are so many forms to sign that if I signed them all, I wouldn’t get any real work done.” When you speak to Ellis, she confirms Hanks’s story. Furthermore, Ellis is annoyed because the man who delivered the forms to her was supposed to point out any problems that required attention. The problem with the walls and ceiling in Wilcox’s room had not been reported verbally to Ellis, and therefore she didn’t notify Hanks. Now Hanks is in trouble with her superior, and that means Ellis will lose her chance at a promotion. Any trouble for Hanks generally means trouble for Ellis, too. Ellis admits that she regularly avoids telling her boss any bad news for exactly that reason, but this time, Ellis claims, she was unaware of the bad news. You ask Ellis what she did with the inspection report. She points to the overstuffed filing cabinet behind her. “That’s where I put it,” she says, “along with all the other paperwork that never gets read around here.” You find out that the report was prepared by state inspector Blake Barrymore, who gave it to a groundskeeper for delivery to the appropriate hospital administrator because “it was raining that day, and I was late for another inspection.” He adds that it is not his official responsibility to deliver the report himself or to follow up on it. You discover that the inspection report was delivered by Jack Handy, a reliable and well-liked groundskeeper, but you also discover that Handy is illiterate. He did not know what the forms contained because he could not read them. He did not report any problems with the walls or ceiling because Barrymore didn’t tell him there were any problems. Besides, Handy added, “Nobody listens to a groundskeeper anyway. I could tell the administrators that there was a bomb in the hospital, and because I’m just a groundskeeper, they’d let it pass. So I just do what I’m told to do.” You file your report. The insurance company claims that gross negligence on the part of Riverside State Hospital indirectly caused the death of Horace James Wilcox Jr. At a press conference, the hospital spokesperson places the blame for Wilcox’s death on Nancy Ellis, claiming that it was her responsibility to report the problem to her superior, Hillary Hanks. He adds that Hanks has been “reassigned” to other duties and is unavailable for comment. In a final statement, the spokesman says, “The hospital deeply regrets this tragic accident, and reminds the state legislature that until the requested funds for structural repairs are made available, the hospital administration cannot be held accountable for structural defects that are beyond its control.”
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(continued, Riverside State Hospital)
Assignment 1. What management approach does Riverside State Hospital’s style of management most resemble? 2. How does the management approach influence communication at the hospital? 3. Should Ellis be held responsible for Wilcox’s death? Why or why not? In what ways did the hospital’s organizational structure contribute to Wilcox’s accidental death? 4. What recommendations would you propose to help Riverside State Hospital avoid similar occurrences in the future? How can organizational communication be improved?
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CASE STUDY II
Crisis in the Zion Emergency Room Recently, U.S. News & World Report declared the nation’s emergency rooms (ERs) to be in crisis. Part of the problem is a lack of qualified nurses. Nurses everywhere are in short supply, and those who can work effectively in the emergency environment are even rarer. But there are other reasons for the widespread overcrowding of ERs. A large and growing population of people without medical insurance continues to make use of them for primary care needs. Emergency rooms, staffed primarily to serve the victims of trauma or acute illness, are increasingly overburdened by mothers and infants without adequate prenatal and pediatric care; the chronically ill and disabled; patients with HIV/AIDS; individuals with mental illness or drug or alcohol addiction; and the homeless. The end result is excessive wait time, angry patients, and substandard care. The ER at Zion Hospital is no different. On any given night, Zion’s ER looks like a war zone. The halls of the ER are lined with twenty to twenty-five patients on gurneys, lying in limbo until one of the forty-five regular ER beds opens up. Just walking through the ER can be tricky. The overcrowding of the ER creates a distinct lack of privacy, and more important, it creates confusion about the location and status of patients, which increases the potential for serious errors. You have recently accepted the position of director of emergency medicine at Zion. Expectations are high that you will be able to do something quickly about the dreadful patient satisfaction ratings that have appeared in recent months. Your initial assessment of the situation, however, is discouraging. For the reasons just described, there appears to be an endless and growing stream of new patients into the ER, and the hospital financial committee looks unfavorably at turning people away. Meanwhile, all of your beds are taken, half of them by people who have already been admitted to Zion but have yet to be assigned a bed upstairs in one of the hospital wards/units. Your staff has to find a way of serving these bored and hungry patients while handling the more critical patients lined up in the hall. Further investigation reveals that your patients are waiting for beds for a number of reasons: (1) Other units in the hospital, such as the heart center and the pediatric unit, have priority over the ER in getting beds; (2) all of the beds in the hospital are full, and those that are physically empty are locked in units that have been temporarily closed due to the lack of qualified nurses to staff them; and (3) there are long delays from the time a viable bed actually becomes empty to when housekeeping can clean the room for the next patient to when floor nurses can accept the new patient to their unit.
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(continued, Crisis in the Zion Emergency Room)
The situation is miserable and deteriorating. The nursing shortage is not going to end anytime soon, your current nurses are all threatening to quit, patients are furious, and hospital administration is urging you to “think outside the box” to find some relief.
Assignment Using what you know about systems theories of organization, answer the following questions. 1. How would you define the problem systemically? How does your choice of definition affect your likely course of action? 2. Using the language of systems theories, what “realities” in this case would be most difficult to change, and which are more malleable? 3. What role does communication play in perpetuating the current situation? How does your understanding of the systems approach help you identify specific communication issues? 4. Using your knowledge of systems, what kinds of communication might you use to address the situation? What obstacles would you expect to encounter, and how would you deal with them? Wouldn’t dealing with those obstacles — in whatever way you choose to deal with them — also necessarily create new systemic issues? Given your choice of how to deal with the obstacles, what might these new issues be? 5. What role might communication technology play in developing a systems approach to your solution or solutions?
CHAPTER 4
Cultural Studies of Organizations and Communication
This chapter introduces the idea of organizations as cultures. The cultural approach departs from the more rational and formal approaches that preceded it (such as the systems approach) and brings a new focus on the language of the workplace, the performance of managers and employees, the formal and informal practices that mark an organization’s character (such as rites and rituals), and the display of meaningful artifacts like architecture, interior design, posters, and furniture. Moreover, the cultural approach foregrounds the human desire to see organizational life as an opportunity to do something meaningful (Gendron, 1999). In this chapter, we trace the history of the cultural approach; explore the practical, methodological, and social reasons for its popularity; and look at some of the ways researchers and managers have applied it. Finally, we outline a communication view of organizational culture to show how an organization’s unique patterns of interaction and sense making work together over time to create its culture.
THE CULTURAL APPROACH When you hear the term culture, you most likely think about it in a broad sense, such as the differences between American culture and French culture. A closer view, however, reveals that within every national culture there are thousands of smaller cultures based on religion, ethnicity, geography, and a myriad of other factors. Whenever people create groups or communities, a culture inevitably develops. The same is true for organizations. But what precisely do we mean by “culture”? How can one word serve to describe so many different kinds of social groups?
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Anthropologist Marshall Sahlins (1976) defines culture as meaningful orders of people and things. Thus, we learn about a culture not only by what its members say, but also by what they do on a regular basis (e.g., staff meetings, performance reviews, bowling leagues) and the things they choose to display in connection with their work. Sloan Fellows Professor of Management Emeritus Edgar Schein (1994) offers this variation: “An organizational culture is a pattern of shared basic assumptions that have been invented, discovered, and/or developed by a group as it learns to cope with problems of external adaptation and internal integration” (p. 247). A culture is also something like a religion. According to T. S. Eliot (1949), “No culture has appeared or developed except together with a religion . . . [and] the culture will appear to be the product of the religion, or the religion the product of the culture” (p. 13). Put another way, a culture is like a religion in that both locate a set of common beliefs and values that prescribes a general view of order (the way things are) and explanation (why things are that way). The tie between religion and culture is important to organizational studies because it indicates how the search for order and explanation compels beliefs. However, not all members of a culture accept or practice those beliefs in the same way. Culture is never as much about agreement as it is about a common recognition or intelligibility. Like religions, most cultures include various sects or subcultures that share the common order but whose ways of understanding or carrying out their beliefs differ. This point underscores the importance of understanding an organization’s culture or cultures as a dialogue with many different voices.
□ Cultures as Symbolic Constructions To say that a word or thing is “symbolic” means that it stands for something other than itself. This is easy to see with words, which as symbols refer to ideas and things in the world (referents). But symbols also take other forms, such as office size and design, trophy displays, how managers and employees dress, and what hangs (or is absent from) the walls. For our purposes, then, the term organizational culture stands for the actions, ways of thinking, practices, stories, and artifacts that characterize a particular organization. We study the culture of an organization through close examination of its environment (e.g., the arrangement of parking lots, office cubicles, and conference rooms) as well as through its use of symbols (e.g., topics of conversation, key vocabulary and jargon, and treasured accomplishments and awards). The study of organizational culture involves interpreting the meanings of these symbols. Viewing organizations as symbolic requires several assumptions. First, all cultural studies begin with a focus on the centrality of language in shaping human perception. Consequently, a large part of any cultural analysis devotes considerable attention to the names of things and how these names are invoked in conversation. For example, from a cultural perspective it is very significant when an organization refers to its people as “human resources” or even more dramatically as
Chapter 4: Cultural Studies of Organizations and Communication
“heads” to be added or cut. Relatedly, a company that speaks of facing its competition using the language of war is very different culturally from one that makes broad use of spiritual metaphors (Goodier & Eisenberg, 2006). In much the same way that we have come to appreciate the importance of nonsexist language in shaping basic assumptions, the terms that organizational members use to describe their worlds are both crucial and largely unexamined. A cultural approach brings them into the light. A comprehensive guide to studying organizational cultures is offered in this text’s appendix, “A Field Guide to Studying Organizational Communication.” Another source of inspiration for viewing organizations as symbolic constructions involves defining human beings as symbol-using animals, as Kenneth Burke does in his classic essay “Definition of Man” (1966). Burke’s view helps us understand why symbols both represent other things and evoke other symbolic possibilities. For example, an organizational chart simultaneously provides information about hierarchy and relationships (e.g., formal lines of communication and formal status relations) and suggests possibilities for future action (e.g., getting promoted). That is, symbols do not only stand for other things; they also shape our understandings of those things and help us to identify their meanings and uses. As such, symbols are instruments of human understanding and action. A company that anticipates being sold, for example, begins to “talk” differently to itself, and these new ways of communicating in turn affect action, as a culture of apathy or cynicism may develop. The culture of an organization induces its members to think, act, and behave in particular ways.
□ Cultural Elements Organizational cultures emerge from members’ individual and collective symbolusing practices. These various symbolic expressions combine to create a “unique sense of place” that defines an organization’s culture (Pacanowsky & O’DonnellTrujillo, 1983). Scholars and practitioners often focus on one or more of those symbolic expressions, referred to here as cultural elements, to learn more about or to transform an organization’s culture. Cultural elements include the following: • Metaphors. Metaphors are figures of speech that define an unfamiliar experience in terms of another more familiar one. From a cultural perspective, when members describe their organization as a “family,” a “machine,” or a “ship” or compare their approach to decision making to “improv comedy” as the folks at Pixar do, they are not simply using flowery language; instead, they come to construct and experience their organizations in relation to those metaphors (Smith & Eisenberg, 1987). • Rituals. Rituals “dramatize” a culture’s basic values and can range in scope from personal, day-to-day routines for accomplishing tasks to annual organization-wide celebrations of top performers (Deal & Kennedy, 1982; Pacanowsky & O’Donnell-Trujillo, 1983). New product launches, office
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•
•
•
•
•
birthday celebrations, sales conferences, and performance evaluations are all aimed at reinforcing organizational values. Nonprofit organizations have many of the same rituals plus regular events that involve fund-raising and the recruitment and development of volunteers. One recent study explored how Benedictine sisters transformed their church’s culture, and in particular the culture’s view of women as subordinated and disempowered, by adapting and changing some key rituals, including liturgy and the Eucharist (Hoffman & Medlock-Klyukovski, 2004). Stories. Storytelling is an important cultural activity because stories convey to members what and who the culture values, how things are to be done, and the consequences for cultural compliance or deviation. Stories have been described as a particularly powerful means of creating and recreating cultures (Smith & Keyton, 2001). The Disney Corporation, for example, uses formal organizational texts, advertising, and informal channels to narrate a sense of community among its stakeholders. Artifacts. Artifacts, or the tangible and physical features of an organization, contribute to its culture. Office decor, spatial arrangements, corporate art, dress codes, and even graffiti are markers of culture (Scheibel, 2003). For example, the creativity and innovation that Pixar holds dear are evident in the fact that employees are permitted to decorate their office space any way they choose. Heroes and heroines. Heroes and heroines are members of an organization who are held up as role models. They embody and personify cultural values. Heroic figures often are organizational founders or hail from managerial ranks (Deal & Kennedy, 1982; Fairhurst & Sarr, 1996). Apple Computer and Pixar CEO Steve Jobs, who began his climb to the top when he and his partner created their first computer in his family’s garage, is legendary as an innovative leader who embodies a passion for making technology accessible. Performances. Members often engage in dynamic, ongoing, and creative communication behaviors as they construct cultures. Performances center on rituals, passion, sociality (or organizational etiquette), politics, socialization of new members, and identity (Pacanowsky & O’Donnell-Trujillo, 1983). A great example of the performance of identity can be seen during hospital rounds, where less experienced physicians are called on to describe specific cases and receive immediate feedback regarding how well they are able to “talk like a doctor.” Values. Values represent a (more or less) shared set of beliefs about appropriate organizational behaviors. They are often derived from charismatic leaders or founders or from organizational traditions (Schein, 1991). For example, Southwest Airlines values a fun, casual work environment most, while General Electric values innovation above all else. Commitment to these cultural values can be very powerful in boosting employee loyalty and satisfaction as long as the values are aligned with company goals.
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These elements of culture are understood differently depending on the approach one takes. To understand the ways various scholars and practitioners unpack and make use of these cultural elements, we must first consider the historical and social trends out of which the cultural approach emerged.
HISTORICAL AND CULTURAL BACKGROUND The first known reference to organizational culture appeared in a 1979 article by Andrew Pettigrew published in Administrative Science Quarterly. The concept became immediately popular for a variety of reasons, including competitive pressures, the coming of age of interpretive research methods, and trends in the wider society. Each of these is discussed in turn in the following sections.
□ Competitive Pressures The business climate of the 1970s was characterized by a significant increase in global competition that highlighted productivity problems in the United States. Although for many years the United States had been the world leader in several industries, it suddenly found itself eclipsed by other nations, most notably Japan. In many industries, Japanese manufacturing techniques threatened to prevail, and many wondered what made Japanese companies so successful. Based on observations of management techniques that were commonly used by Japanese organizations in the 1970s, William Ouchi’s (1981) Theory Z holds that the survival and prosperity of organizations depend heavily on their ability to adapt to their surrounding cultures. He uses the term culture to refer to national standards of organizational performance. In comparing those standards in the United States and Japan, he found some major differences. For example, he contrasted the American emphasis on individual achievement with the Japanese emphasis on the performance and well-being of the collective. Ouchi thus proposed a Theory Z type of organization that would integrate individual achievement and advancement while also developing a sense of community in the workplace. Theory Z organizations, according to Ouchi, would be capable of reducing negative influences and segmented decision making by incorporating new cultural values into the work environment. However, the economic troubles of Asia at the close of the twentieth century came as a surprise to most people and caused many theorists to question the seemingly “magical” Japanese formulas. In hindsight, it appears that much of Japan’s success was gained the old-fashioned way — through spectacular individual efforts, close informal contacts and partnerships, research and development of new products and services, and clever competitive tactics and strategies. By the mid-1980s, many traditional organizations in the United States were failing financially or were soon in danger of doing so. The old prescriptions — more
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hierarchy, bureaucracy, division of labor, and standardization — were no longer effective, and it became clear that radical changes were required for companies to remain competitive. As business leaders began speaking of organizational change — in attitudes, values, and practices — they also began thinking about a holistic transformation in terms of organizational culture. One of the authors of this textbook (Eric Eisenberg) received a phone call in 1983 from a CEO in search of someone who could “install a new culture” at his company. Managers were attracted to the idea even without much knowledge of how culture develops, much less how it could be altered. Many questions remained: What types of cultures are most productive? What aspects of culture are most closely associated with business success?
□ Interpretive Methodology At the same time that practitioners were looking for new models of effective organizations, scholars were becoming disenchanted with the overly rational, mechanistic view of communication that characterized the field of organizational communication. As a result, research in organizational communication took an “interpretive turn” in the early 1980s (Putnam & Pacanowsky, 1983). Previously, the dominant vocabulary — derived from the fields of psychology, sociology, and management — covered such topics as performance, motivation, and rewards, as well as work units, hierarchies, and the outcomes of group problem solving, decision making, and leadership. Interpretive theorists became less concerned with these specific topics and more interested in understanding the complex, dynamic nature of organizational life as members experience it. The new focus on organizational cultures required a new vocabulary and new approaches for analyzing organizations and communication. The anthropological vocabulary of the cultural approach gave organizational researchers, managers, and members new ways of viewing organizations, applying long-standing cultural concepts like values, rituals, and socialization (Table 4.1). Today, organization members themselves commonly use this language. It has both broadened the scope of what is considered important about organizations and communication and complicated our thinking about organizational communication processes. For example, the study of an organization’s values is no longer limited to those stated in the company’s formal publications; values may also be found in artifacts and cartoons, in the layout of work space, and even in the arrangement of cars in the employee parking lot (Goodall, 1989). Moreover, interpretive researchers are not interested in treating culture as simply another variable that the organization has; culture is not a variable that can be managed or manipulated by leaders. Rather, interpretive researchers are driven to treat culture as something an organization is. As a culture, an organization requires exceedingly detailed and nuanced observation of daily life to produce what pioneering anthropologist Clifford Geertz called a “thick description” of the culture (Geertz, 1973). These highly descriptive accounts provide rich and complex portraits of members’ organizational sensemaking experiences.
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109 TABLE 4.1
Cultural Terms Applied to Organizational Communication Studies Symbols
Language
Metaphors
Words/actions
In-group speech Technical terms Jargon Jokes Gossip Rumors Gendered usage
Determined by use within the culture
Artifacts Objects Cartoons
Arrangement of the physical work space Personal meanings Humor in the workplace Social/political commentary
Power/status Irony/contrast Resistance to domination
Routines
Rituals/Rites
Communities
Repetitive behaviors
Individual performances Group performances New employee orientation Acceptance into group Promotions Annual celebrations Shunning/exclusion Retirement/layoffs
Continuity Acculturation
Difference
Use of Objects
Employee Handbooks
Representation
Logos
Company brochures Annual reports Identification Reward
Symbolic unity Enhancement
Awards
How does one analyze organizational culture in a systematic way? The most common methodology has its roots in anthropology and is called ethnography, or the writing of culture (Clifford & Marcus, 1985). Because anthropologists have long studied cultures, researchers sought to integrate anthropological research methods into cultural studies of organizations and communication (Goodall, 1989, 1991a; Van Maanen, 1979, 1988). Successful organizations (e.g., Xerox) hire ethnographers
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to review and evaluate their company cultures. In writing an ethnographic account of Disneyland, John Van Maanen (1991), a management professor at the Massachusetts Institute of Technology with an interest in anthropology and communication, relied on his recollections of working there while he was a student as well as his more recent observations of and interactions with employees and guests. Unlike traditional research methods in the social sciences, in which the researcher maintains distance from the group under study, ethnography requires the researcher to become immersed in the culture by experiencing it firsthand. Organizational ethnography provides “thick” descriptions of organizational life, often capturing subtle points that are overlooked by traditional research methods. For example, consider the difference between a traditional written survey of patient satisfaction in a hospital and an ethnography of a hospital unit (Eisenberg, Baglia, & Pynes, 2006). Whereas the findings of the survey would likely be cut-anddried and limited to the questions the researchers posed in advance, the ethnography — told in the form of a story — would reveal more about the communication and sense-making processes of all parties involved, including many observations and findings that might surprise the researcher. Ethnography is a stimulus for cultural change and dialogue as it exposes sources of power and resistance and reveals values and beliefs that might otherwise be taken for granted. Moreover, organizational ethnography encourages us to look beyond the managerial and profitability aspects of organizations and toward a definition of the workplace as a community. Office parties, softball games, provocative e-mail, rumors, and jokes can reveal as much or more about the nature of an organization as a community as can employee satisfaction surveys, annual reports, and formal organizational policies. While there are many ways to conduct interpretive research, the best studies capture the spirit and diversity of an organization’s values and practices through evocative vocabulary or metaphor. For example, Van Maanen (1991) uses the metaphor of a “smile factory” in his cultural study of Disneyland. The image of smiles (friendly, fun, courteous) being manufactured (e.g., the products of a rigid factory assembly line) establishes the tensions of a cultural dialogue between Disney management and Disney employees. By using this language, Van Maanen delineates the interplays of a staged performance: Employees are “members of a cast” who wear “costumes,” not uniforms, and who exhibit onstage, offstage, and backstage behaviors. He also uses the image of the factory to discuss the production of smiles: formal rules about informal behaviors, and the prevalence of supervisory spies who note every infraction. The result is an account of a strong culture whose everyday use of language constructs a metaphor that, in turn, becomes its unique sense of place. Culture can also provide a unique sense of identity. In H. L. Goodall’s (2004) study of the culture of Ferrari owners on Long Island, New York, he discovered a strong culture of exotic car enthusiasts whose privileged way of life shaped and informed their unique understanding of themselves in relation to the marque. He also revealed how important acquisition and display of Ferrari baseball caps,
Chapter 4: Cultural Studies of Organizations and Communication
T-shirts, coffee mugs, and other items were to their perceived place in the elite social order of “Ferraristi.” Finally, his study emphasized the vital role of coming together in fun-filled organized events, particularly car rallies, wherein the risk to their automobiles far outweighs the value of the trinkets they win. Organizational culture is the result of the cumulative learning of a group of people. This learning manifests itself as culture at a number of levels. According to Edgar Schein (1991), culture is defined by six formal properties: (1) shared basic assumptions that are (2) invented, discovered, or developed by a given group as it (3) learns to cope with its problems of external adaptation and internal integration in ways that (4) have worked well enough to be considered valid and, therefore, (5) can be taught to new members of the group as the (6) correct way to perceive, think, and feel in relation to those problems.
□ Social Trends The economic environment in the United States after World War II also contributed to the popularity of the cultural approach to organizations in the Western nations. As sociologist Todd Gitlin (1987) explains, By 1945, the United States found itself an economic lord set far above the destroyed powers, its once and future competitors among both Allies and Axis powers. Inflation was negligible, so the increase in available dollars was actually buying more goods. Natural resources seemed plentiful, their supplies stable. . . . The Depression was over. And so were the deprivations of World War II, which also brought relative blessings: While European and Japanese factories were being pulverized, new American factories were being built and old ones were back at work, shrinking unemployment to relatively negligible proportions. Once the war was over, consumer demand was a dynamo. Science was mobilized by industry, and capital was channeled by government as never before. The boom was on, and the cornucopia seemed all the more impressive because the miseries of the Depression and war were near enough to suffuse the present with a sense of relief. (p. 13)
As Gitlin goes on to point out, these sources of renewal and promise were balanced by powerful threats of nuclear holocaust in an atomic age. The tension created by these opposing influences helped shape the values of the new generation. Social, ethnic, racial, political, sexual, and economic tensions contributed to the complexity of the post–World War II climate, as did the new role of science in society, industry, and ideology. Since the Enlightenment, science had delivered on its promise of creating a more progressive and rational society. In the twentieth century, however, science demonstrated a new ability to create weapons that could destroy humanity. Although industry (since the Industrial Revolution) had delivered the products and services that made life easier and more humane, it also sanctioned inequalities between women and men and among ethnic and racial groups. At the same time, fierce competition for scarce natural resources and commodity markets contributed to worldwide tension. Similarly, new communication technologies like
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radios, stereos, televisions, and satellites made information more accessible as well as more open to commentary. Ideological battles among capitalism, socialism, and communism threatened world peace and led to the Cold War (Taylor, Kinsella, Depoe, & Metzler, 2005; Taylor, 2003). In many ways, our current historical moment shares much with its post–World War II predecessor (Goodall, 2008). We are witnessing sources of renewal and promise in the form of green organizations, sustainable products, and the hope for renewable energy, yet we are also facing threats of terrorism, global warming, and economic unrest. After World War II, the political landscape was changing as well. The mid1960s are commonly referred to by anthropologists, historians, and literary critics as the end of Western colonialism; European countries like England were forced to give up their colonies in Africa and elsewhere (Greenblatt, 1990; Said, 1978, 1984). With the end of colonialism came a redefinition of the role of Western interests in the political and economic subordination of Third World countries (Bhabha, 1990; Clifford & Marcus, 1985; Marcus & Fischer, 1986; Minh-Ha, 1991). New global economic and political concerns also increased critical scrutiny of organizations. The emergence of multinational firms and a world economy dominated by capitalism and a dependence on cheap labor in Third World countries exposed global problems and inequities, and the management of cultural differences in the workplace became important to firms doing business in other countries. Finding ways to improve cross-cultural understandings and communication skills was an integral component of the cultural approach to organizational communication. In this turbulent social environment, new questions about organizations addressed such topics as power, participation, domination, and resistance in the workplace. For example, men exerted power over women by defining “real work” as that which was done outside of the home (by men) and “housework” as less worthy of compensation or respect. Housework was not valued for its major contributions to the ideals of family and society. As a result, housework brought women less status than men received for performing “real work.” Furthermore, when women began to assert their right to work outside of the home and to assume positions of responsibility in the workforce (in secretarial, food preparation, elementary school teaching, and custodial jobs), they encountered widespread opposition by men. Similarly, in the 1950s to 1970s, members of minority groups posed serious challenges to the Anglo elite that had long controlled their access to equality (the civil rights movement in the United States being a well-known example). These groups included people whose racial, ethnic, or religious heritage distinguished them from the dominant white majority, people with physical and mental disabilities, people who had served in the armed forces, and the elderly. They protested against unfair social and professional practices, discrimination, and oppression. The social climate in which cultural studies of organizations emerged, then, was characterized by increased participation, globalization, diversity, and resistance to domination on the part of minority groups. The popularity of the cultural approach was thus tied to its focus on cultural differences within an organization or a society.
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THREE VIEWS OF ORGANIZATIONAL CULTURE As we have shown, competitive pressure, interpretive methodology, and social concerns contributed to the rise of the cultural approach. These concerns are more specifically reflected in three broad perspectives — practical, interpretive, and critical and postmodern — that characterize culture studies in organizations today.
□ A Practical View The practical view responds to managers’ desire for practical advice and specific communication strategies for enhancing competitiveness and increasing employee satisfaction. From the practical perspective, culture is an organizational feature, like technology or management style, that managers can leverage to create more effective organizations. Adherents believe that quasi-causal relationships can be created between cultural elements (like stories or rituals) and organizational outcomes (like employee commitment). Two successful books, both sponsored by the McKinsey Corporation (a management consulting firm), provided the foundation for this view. The first, Terrence Deal and Allan Kennedy’s Corporate Cultures: The Rites and Rituals of Corporate Life (1982), defined the elements of strong cultures as (1) a supportive business environment, (2) dedication to a shared vision and values, (3) well-known corporate heroes, (4) effective rites and rituals, and (5) formal and informal communication networks. The other book, In Search of Excellence: Lessons from America’s Best-Run Corporations (1982) by Thomas Peters and Robert Waterman Jr., made the New York Times best-seller list for nonfiction. Its authors studied sixty-two financially successful companies and found eight common characteristics of their cultures: 1. A bias for action. Top-performing companies are characterized by active decision making; they are not characterized by thinking about decisions for long periods of time or relying on a lot of information to make decisions. If a change occurs in the business environment, they act. 2. Close relations to the customer. Top-performing companies never forget who makes them successful: their customers. One of the basics of excellence is to remember that service, reliability, innovation, and a constant concern for the customer are vital to any organization. 3. Autonomy and entrepreneurship. Top-performing companies empower their employees by encouraging risk taking, responsibility for the decisions they make and the actions they perform, and innovation. If an organization is too tightly controlled and the worker’s performance is too tightly monitored, initiative, creativity, and willingness to take responsibility all tend to decay. 4. Productivity through people. A quality product depends on quality workers throughout the organization. Good customer relations depend on valuing
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5.
6.
7.
8.
service throughout the organization. Top-performing companies recognize these factors and rally against us/them or management/labor divisions. Hands-on, value-driven. Top-performing companies are characterized by strong core values that are widely shared among employees and by an overall vision — a management philosophy — that guides everyday practices. Achievement is dependent on performance, and performance is dependent on values. Stick to the knitting. Top-performing companies tend to be strictly focused on their source of product and service excellence. They tend not to diversify by going into other product or service fields. They expand their organization and profits by sticking to what they do best. Simple form, lean staff. Top-performing companies are characterized by a lack of complicated hierarchies and divisions of labor. None of the companies surveyed maintained a typical bureaucratic form of organizing. Many of them employed fewer than one hundred people. Simultaneous loose-tight properties. Top-performing companies are difficult to categorize. They encourage individual action and responsibility and yet retain strong core values; they encourage individual and group decision making. They are neither centralized nor decentralized in management style because they adapt to new situations with whatever is needed to get the job done.
In addition, management theorists Jim Collins and Jerry Porras (2002) suggest that an organization’s longevity can be sustained by a culture that preserves its core purpose and values while remaining open to change and opportunity in a dynamic world. This type of corporation creates a strong, “cultlike” culture, characterized by the following: • Fervently held ideology. Cultlike cultures explicitly articulate their overriding goals and values and ensure that employee behavior is guided and consistent with the ideology. Nordstrom’s core ideology, for example, centers on customer service, and employees are expected and empowered to provide stellar service. • Indoctrination. Cultism requires that organizations instill their core ideology through orientation programs, training, company newsletters and other publications, corporate songs, organization-specific language, and socialization by peers into the culture. At Disney, “cast members” are steeped in Disney’s history, special language, mythology, wholesome image, and core ideology. • Tightness of fit. Cultlike cultures employ an extensive screening process to ensure that those hired fit with the culture. They also have very clear norms of behavior. Those who fit with the culture are attracted to it and supportive of it; those who do not fit with the culture are penalized and are “ejected like a virus” (p. 121).
Chapter 4: Cultural Studies of Organizations and Communication
• Elitism. Belonging, specialness, superiority, and secrecy are the hallmarks of cultlike cultures. The elitism at Procter & Gamble is reinforced by its secretive culture. Employees are prevented from discussing work in public or working on airplanes where other travelers may see company information. One stock option plan even stipulated that if an employee revealed “unauthorized information” about the company, his or her stock options would be revoked. Cultures built on these principles can be seen as effective or “strong” because they reproduce the core ideology for their members to see, feel, and internalize in very concrete, explicit, and purposeful ways. In all the examples above, culture is “a rational instrument designed by top management to shape the behavior of the employees in purposive ways” (Ouchi & Wilkins, 1985, p. 462). PepsiCo, Hyatt, McDonald’s, Microsoft, and Disney, for example, are noted for their strong corporate cultures. Each invests tens of millions of dollars annually in the selection and indoctrination of employees into the company’s way of doing things. Companies with strong corporate cultures tend to encourage a strong sense of commitment among their employees. However, such companies may require employees to give up significant freedoms (even in the area of personal appearance) in exchange for membership. Strong corporate cultures can lead to positive or negative consequences for employees and other stakeholders. For example, many successful companies today are in the process of replacing top-down management processes with management that is driven by a vision of the future and a set of corporate values. Under this scenario, leadership’s main role is to help employees understand and work according to the organization’s vision and values (Deetz, Tracy, & Simpson, 2000; Eisenberg & Riley, 2001). When this approach succeeds, the result is an organizational culture characterized by attention to process improvement as well as employees’ supervision of their own behavior. In a multisite study relating corporate culture to performance, John Kotter and James Heskett (1992) found that value consensus can enhance organizational performance, but only when all of the following conditions are met: 1. When people agree on the importance of adapting to a changing environment (i.e., continuous learning or improvement) 2. When a strong entrepreneur is present who also adapts well to change 3. When an effective business strategy is in place to supplement the organization’s vision and values Of course, left unchecked, strong or cultlike cultures can become dangerous and dysfunctional. Indeed, the indoctrination practices of terrorist and other ethically questionable groups look very similar to those outlined by Collins and Porras (Arena & Arrigo, 2005). A worst-case scenario is a company culture that supports
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unethical behavior. The following kinds of cultures are most likely to encourage questionable ethical practices: 1. A culture of broken promises 2. A culture where no one takes responsibility 3. A culture that denies participation and dissent In our current economic environment, organizational leaders may well need to rethink the ethical dimensions of developing strong cultures, particularly in terms of responsibility and accountability. Over the past several years, many organizations have used lush “recognition events” to celebrate their star performers and to reinforce their organizational values. Rarely have those organizations had to provide a public accounting for those lavish, private celebrations. However, in late 2008 and early 2009, many financial institutions were chastised for their businessas-usual approach to corporate celebrations after they had received federal bailout monies. Specifically, the American International Group (AIG) was publicly called out for spending over $440,000 on an executive retreat at the St. Regis Resort on the coast of California just days after it received an $85 billion loan from the federal government to avoid bankruptcy (Whoriskey, 2008, p. D01). Similarly, Wells Fargo & Co. executives were forced to cancel their executive retreat, a casino junket to Las Vegas, after receiving $25 billion from the federal government. “The conference is a Wells Fargo tradition. Previous all-expense-paid trips have included helicopter rides, wine tasting, horseback riding in Puerto Rico and a private Jimmy Buffet concert in the Bahamas for more than 1,000 of the company’s top employees and guests” (Wagner & Apuzzo, 2009, para. 3). While Wells Fargo officials initially insisted that such recognition events were integral to maintaining the organizational culture, they later reversed their decision and canceled the event. Despite sustained criticism of the practical view as too controlling and reminiscent of Douglas McGregor’s Theory X (1960), it clearly continues to have currency in contemporary organizations and has brought certain benefits, such as introducing a useful vocabulary for directing managers’ attention toward communication practices and the human side of business (Alvesson, 1993; Smircich & Calas, 1987).
□ An Interpretive View While the practical assumption that culture can simply be imposed from above or engineered by well-meaning managers may be appealing to organizational leaders, interpretive organizational scholars believe that culture is too complex, holistic, and pervasive to be managed or controlled by any single individual or management team. The What Would You Do? box, “‘Shooting’ Employees with Motivation,” asks you to assess how well managers can, in fact, impose a culture from the top down. Those who subscribe to an interpretive view treat culture as a process that is socially constructed in everyday communicative behaviors among all members of the organization. They “find it ridiculous to talk of managing culture.
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WHAT WOULD YOU DO?
“Shooting” Employees with Motivation Management consultants and trainers who deal with improving an organization’s culture often try to bring current scientific research into their work, usually by creatively linking those findings to “best practices,” but sometimes by extending a scientific study to unwarranted generalizations about the workplace. For the past several years, neuroscientists have been interested in seeing how the brain functions at work. The findings they report are still preliminary in most cases, but they are also quite appealing as potential keys capable of unlocking the secrets of everything from handling stress to stimulating employee motivation. An article in the March 2008 HR Magazine, for example, shared some interesting research about employee motivation and its link to brain function. It said that if a manager shows interest in employees, supports them, and praises them genuinely, the manager is essentially “shooting” serotonin into the employee’s brain. Serotonin is the chemical that makes us feel good. It opens our minds to new ideas and creates a desire to support others. Serotonin leads to enhanced levels of motivation. Likewise, a manager can inadvertently “shoot” the chemical cortisol into an employee’s brain by treating the employee unfairly or by diminishing his or her efforts. In turn, the cortisol leads the employee to shut down any willingness to help or to be open to new ideas. It’s a demotivator. This brain research naturally leads us to ask, How can a manager consistently “shoot” motivation into an employee? A few suggestions might be to add some fun and variety into the daily routine, such as starting an American Idol pool or beginning each staff meeting with a “fun fact”; provide employees with input and choices to help them feel more empowered and more in control of their own work; and develop goals and challenges for employees so that they are clear about what they are working to achieve and what steps they need to take to get there. Managers should be aware that just a little “shot” can make a big difference in the daily lives of employees. Let’s say that you are an organizational consultant and an expert on organizational culture. An organization approaches you to provide insight into how best to motivate its employees in the wake of mandatory pay cuts and layoffs due to the disastrous economy. The organizational leaders are particularly interested in discovering how to motivate employees and reward high-performing staff without using monetary incentives. They are clear that they want you to help them make their office environment more “fun and cool.” The corporate culture has always been somewhat formal, which once worked perfectly well for the employees and the organization. What should you do?
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(continued, “Shooting” Employees with Motivation)
Discussion Questions 1. Would you be concerned about using the preliminary scientific results on “shooting” motivation to help this organization find alternative ways of motivating employees? Why or why not? 2. Can you dictate “fun” in an organization? If so, how? If not, why not? Is there a difference between “organic” fun and “prescripted” fun? Do you think managers can install culture (in this case, “shoot” motivation) from the top down? Should they? 3. In the context of a general economic downturn and in the absence of real material rewards, how can leaders inspire and motivate a positive work environment? What tools and resources might be productively deployed toward that end? Source: See Fox, A. (2008, March). The brain at work: Science is shedding light on why people behave the way they do and how to better manage them. HR Magazine, 37–42.
Culture cannot be managed; it emerges. Leaders don’t create cultures; members of the culture do” (Martin, 1985, p. 95). From this perspective, culture emerges in the symbolism or discourse of everyday organizational life (Fairhurst & Putnam, 2004). Where the practical view was primarily interested in the meanings of such things as corporate logos and value statements, interpretive scholars focus on a broader view of symbolism in organizations. They focus on the subtle ways in which communication works to build, reproduce, and transform the taken-for-granted reality of organizational culture. How people dress, the stories that they tell repeatedly, the layout of offices and parking areas, the design of security badges, and the length and tenor of staff meetings each communicate richly about an organization’s unique culture. Research taking this perspective can be traced to a group of management and communication scholars who first met in Alta, Utah, in 1983. Organized by Linda Putnam and Michael Pacanowsky, this conference and a resulting book, Communication and Organizations: An Interpretive Approach (Putnam & Pacanowsky, 1983), helped legitimize interpretive and cultural studies of organizational communication. Around the same time, an influential article by Pacanowsky and Nick O’Donnell-Trujillo (1983) helped establish organizational communication as a form of cultural performance. Some writers have argued that organizations are mainly storytelling systems (Boje, 1991, 1995). The stories or narratives about the organization’s culture convey information about its current state of affairs, and as such the stories serve as
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resources for everyday sense making (Wilkins, 1984). As noted in Chapter 3, when an organization is viewed as a system — in this case, a storytelling system — modifications represent feedback. Paying attention to stories and how they change can be important for employees and managers alike (Mitroff & Kilmann, 1975). Organizational stories may be found in speeches and casual conversations, as well as in employee newsletters, company brochures, strategic planning statements, corporate advertisements, fund-raising campaigns, and training videos (Goodall, 1989; Pacanowsky, 1988; Smith & Keyton, 2001). These forums provide opportunities for the organization to talk about its values and aspirations. However, different stories about the organization are told by different narrators. The corporate or official story about the organization may be told by advertising agents working in conjunction with high-level managers and stockholders. The inside stories are told by employees of the organization, who may offer different accounts. In two recent investigations into the working conditions of fruit pickers and manufacturing plant workers in the Carolinas, the accounts given by the business owners and managers differed greatly from the accounts given by the employees. The story told by the owners and managers focused on the number of people employed by the companies, product quality, and reasonable cost to consumers. In contrast, the story told by employees focused on low wages (sometimes paid in the form of crack cocaine or alcohol) and unsafe workplaces. Clearly, organizational stories represent the interests and values of the storytellers. In the preceding example, neither side’s narrative captured the whole story. Usually, multiple stories or interpretations are needed to describe an organization’s culture. These stories represent different voices as well as potential dialogues among individuals and groups within the organization. Therefore, we can think of an organization’s culture as a potential dialogue of subcultures or as a many-sided story (Boje, 1995). The interpretive approach to understanding culture has shifted our focus toward how people communicate and create meaning in dialogue. However, symbolic displays must be considered in practical contexts, not as isolated events. Just as a joke, a story, a choice of words, or a ritual can be misleading out of context, symbols should be studied in ways that link them to the realities of work (Alvesson, 1993). In so doing, this view of culture gives us access to the social construction of meaning as well as its consequences. As a case in point, in 1993, Gideon Kunda, professor of labor studies at Tel Aviv University, published an award-winning interpretive ethnographic study on the power relationships affecting workers’ lives in a high-tech engineering firm. His study challenges many of the practical assumptions about corporate culture identified earlier by Peters and Waterman (1982). From interviews, observations, and a close reading of the culture’s everyday activities, Kunda concludes that the control and commitment features of strong cultures are the most problematic. Specifically, leadership’s attempts to “engineer culture” to look a certain way are flawed. Over time, workers may come to question the authenticity of any emotions
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and beliefs associated with company slogans and proclamations. Moreover, workers may learn the lessons of strong cultural performances so well that they seem driven to make irony “the dominant mode of their everyday existence” (Kunda, 1993, p. 216). In such an organization, employee talk is uniformly cynical and sarcastic, reflecting a deep discomfort with commitment to the “party line” that is continually pushed and endorsed by the organization. This has happened to a degree in the way some Disney employees talk about their “loyalty” to “the mouse.” Kunda’s interpretive study is valuable because it offers balance to what can seem at times to be a one-sided conversation about the benefits of a strong culture. In his study, Kunda also describes the time-consuming, iterative process he used to both study and “write up” the culture. He makes clear that as symbols or texts, cultures can be interpreted in many different ways, and thus there are often many potential tales to be told about the same culture (Van Maanen, 1988). Interpretive scholars are particularly interested in the form their studies take because they believe that the “tale” is as important as the culture it represents (Goodall, 2000). A volume edited by Purdue University organizational communication professor Robin Patric Clair (2003) highlights the “novel” approaches to ethnography that interpretive scholars employ to bring organizational cultures to life on the page. Authors describe, in artful detail, how social and organizational cultures impact the birthing process and the stories mothers are able to narrate about their experience of childbirth, how corrections officers manage the dilemmas that characterize their everyday work worlds, and even how one workplace and community site, Comiskey Park, provided a context for and shaped a family’s relationships (Krizek, 2003; Tracy, 2003; Turner, 2003). These cultural tales offer their readers new, engaging, and meaningful ways of “studying and speaking about culture” and, in turn, our lives (Goodall, 2003, p. 63). Though interpretive studies provide insightful accounts, some have been critiqued for failing to adequately explore the power dimensions of organizational cultures, to address the relationship between the larger social context and the particular culture in question, and to offer prescriptive guidelines for improving cultural performance or facilitating change. Critical and postmodern scholars take up these criticisms directly.
□ Critical and Postmodern Views Research on organizational culture has moved significantly in the direction of the critical and postmodern views, each of which focuses on challenges to power relationships and the status quo (which is why Chapters 5 and 6 are devoted to more detailed discussions of these topics). Two researchers who have made significant contributions to this line of work are Stanley Deetz and Joanne Martin. Stanley Deetz and others (Atkouf, 1992; Smircich & Calas, 1987) argue that the managerial bias in culture research reinforces the “corporate colonization of the lifeworld” through which the interests of corporations frame all aspects of daily
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living for their employees (Deetz, 1992, 1995). These critics call for organizational ethnographers to examine issues of power and domination associated with the development, maintenance, or transformation of a particular culture. To do so, critics must expose how cultural elements, including stories, rituals, jokes, and mission statements, function to support and reproduce the power structure that privileges the interests of dominant organizational groups over others. Specifically, critics must reveal the cultural processes through which one particular and privileged social construction of reality comes to hold sway over other equally plausible constructions — that is, how the party line gets established and why employees accept it (Mumby, 1987). Further, they believe the transcripts chronicling the lives of those with less power in organizations should be exposed and read, so that alternatives to the dominant culture can be considered. Communication scholar Joanne Martin has developed a taxonomy of perspectives on organizational culture that takes into account the movement toward a postmodern view. According to Martin (1992), perspectives on culture can be characterized as highlighting integration, differentiation, or fragmentation. Although studies of organizations typically take one perspective, most organizations contain all three. Each perspective reveals a different orientation to three key features of cultural study: orientation to consensus, relations among divergent manifestations, and orientation to ambiguity. Let us consider each perspective in detail.
Integration The integration perspective portrays culture in terms of consistency and clarity. From this perspective, it appears that cultural members agree about what they need to do and why they need to do it. There appears to be no room for ambiguity. In addition, an organization’s culture is portrayed as a monologue, not a dialogue (May, 1988). This tradition in the cultural study of organizations is evident in Tom Peters and Robert Waterman’s (1982) descriptions of excellent companies with strong cultures that adhere to a narrow set of shared values, meanings, and interpretations. Similarly, studies that analyze the influence of the organization’s founder tend to trace those influences throughout the organization (Barley, 1983; Pacanowsky, 1988; Schein, 1991), sometimes to the neglect of competing values within the company (McDonald, 1988). Indeed, the integration perspective typically favors the story of those in power over other competing stories.
Differentiation Whereas an integration perspective focuses on agreement, a differentiation perspective highlights differences across organizational units or subcultures. The differentiation perspective portrays cultural manifestations as predominantly inconsistent with one another (such as when the responsible party on an organizational chart is different from the person whom “everyone knows” is in charge). Furthermore, when consensus does emerge, the differentiation view is quick to point out
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its limitations (e.g., that agreement may only exist among a group or subculture of members). From the standpoint of the total organization, differentiated subcultures can coexist in harmony, conflict, or indifference to one another. These subcultures are viewed as islands of clarity, and ambiguity is channeled outside of their boundaries (Frost, Moore, Louis, Lundberg, & Martin, 1991). In addition, the differentiation perspective sees organizational cultures as contested political domains in which the potential for genuine dialogue is often impaired. The various subcultures may seldom speak to one another, instead reinforcing their own accounts of organizational meanings without seeking external validation. As a result, they do not actively participate in the broader interests of the organization. For example, one study revealed that a computer software firm had created barriers to the communication of its subcultures when it moved to a new location (Goodall, 1990). Work groups were physically separated from one another, promoting competition for resources among them. In another study, a conflict between managers and employees over a pay freeze was masked at an annual breakfast by a group of speakers hired to create a story that favored management’s position (Rosen, 1985). The ploy was unsuccessful and deepened the division between the two groups. Divisions among classes of employees often occupy the interests of subcultures, and the differentiation perspective can show how conflict among subcultures may be avoided, masked, or neglected.
Fragmentation From a fragmentation perspective, ambiguity is an inevitable and pervasive aspect of contemporary life. Studies in this area focus on the experience and expression of ambiguity within organizational cultures, wherein consensus and dissensus coexist in a constantly fluctuating pattern of change. Any cultural manifestation can be interpreted in a myriad of ways because clear consensus among organizational subcultures cannot be attained. Consistent with newer theories of organizations and society (see Chapter 6), the fragmentation perspective replaces certainty with ambiguity, contradiction, tension, and irony as models for interpretation. Furthermore, ambiguity can be manipulated by management to support management’s interests and by disempowered employees to cope with their interests (Ashcraft & Trethewey, 2004; Eisenberg, 2007; Harter, 2004; Myerson, 1991; Stohl & Cheney, 2001; Trethewey, 1999b). Researchers have applied ambiguity to organizational communication in a variety of ways. For example, it has been used to explain the divergent accounts of an airline disaster given by eyewitnesses (Weick, 1990) and the ways in which farmers in Nebraska negotiate their simultaneous but competing needs for rugged independence and collective interdependence and survival (Harter, 2004). The meaning of ambiguity for our concept of organizational cultures as dialogue depends on how we define dialogue. If dialogue is viewed as a means of gener-
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ating consensus, then ambiguity makes dialogue unlikely. Conversely, if dialogue is thought of as embodying a respect for diversity — and perhaps a form of consensus based on acknowledgment of differences — then ambiguity is a necessary component of dialogue. Furthermore, unlike ambiguity about shared meanings or interpretations of culture, multiple meanings are inevitably found in ambiguities about shared practices (Taylor, Irvin, & Wieland, 2006). Recall that in the interpretive perspective, shared practices and multiple interpretations of meaning for those practices are highly valued. For us, then, ambiguity is a necessary component of dialogue. Indeed, genuine dialogue probably would not exist without ambiguity, for if everything were clearly understood, there would not be much left to talk about (Boje, 1995). An ethnography focusing on how one university selected its chief academic officer shows the usefulness of Joanne Martin’s taxonomy (Eisenberg, Murphy, & Andrews, 1998). In this yearlong study, various interpretations of the university’s search process were offered by both the participants and the researchers, and these accounts are shown to reflect all three of Martin’s perspectives. Some saw the search process as highly rational, with the choice of the leading candidate an inevitable result. Others described the process as highly political, a struggle for power among competing groups on campus; still others saw it as rife with ambiguity and confusion from the outset, lacking explicit decision-making criteria from the beginning of the process. A traditional researcher might ask, “Who is right?” The authors chose instead to describe the ways in which participants selected their interpretation with their audience in mind and felt free to offer differing interpretations at different occasions. They concluded that using all three perspectives provided a richer view of the search process and the organization’s culture than any one view taken alone.
SOCIALIZATION: INTEGRATING NEW MEMBERS INTO ORGANIZATIONAL CULTURES A cultural approach acknowledges that transitioning new members into the organization requires much more than simply providing necessary task information. Successful socialization demands that organizations help new members feel integrated into the culture. “Workers who remain apart from the prevailing culture rather than becoming a part of it are unlikely to be as effective or as satisfied with the job as they could be” (Hess, 1993). Socialization is a process by which people learn the rules, norms, and expectations of a culture over time and thereby become members of that culture. We are all, to some extent, assimilated into a national and local culture. As children, we were taught by parents and others how to become members of a family, community, religion, or country. Thus socialization involves learning the
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rules that guide what members of a culture think, do, and say. Socialization of members is essential in any culture and begins at an early age. For example, in the United States, children learn much about American culture during dinnertime conversations with family members (Ochs, Smith, & Taylor, 1989). In organizations, describing the socialization process helps us understand how the new employee learns about and makes sense of the organization’s culture (Jablin, 1987; Kramer & Miller, 1999). Although the employee’s first week on the job is filled with surprises, over time the employee learns the formal and informal rules that govern behavior in the organization. This learning process has broad stages including anticipatory socialization and organizational assimilation.
□ Anticipatory Socialization Some of the lessons about the nature of work are learned long before the job begins. In the anticipatory socialization stage, people learn about work through communication. There are two forms of anticipatory socialization: vocational and organizational. The vocational type, which begins in childhood, involves learning about work and careers in general from family members, teachers, part-time employers, friends, and the media. Children and adolescents acquire a general knowledge of accepted attitudes toward work, of the importance of power and status in organizations, and of work as a source of meaningful personal relationships (Atwood, 1990; Gibson & Papa, 2000; Jablin, 1985). Later in life, the organizational type of anticipatory socialization involves learning about a specific job and organization. It takes place before the first day of work and is typically accomplished through company literature, such as brochures, personnel manuals, and websites, as well as through interactions between job applicants and interviewers. Through such communication, individuals develop expectations about the prospective job and organization. However, their expectations are often inflated and unrealistic due to interviewers’ tendency to focus on positive aspects of the job and the company.
□ Organizational Assimilation The experience of organizational assimilation involves both surprise and sense making (Louis, 1980). As new employees’ initial expectations are violated, they attempt to make sense of their job and the organization. “The newcomer learns the requirements of his or her role and what the organization and its members consider to be ‘normal’ patterns of behavior and thought” (Jablin, 1987, p. 695). For example, it is common for presidents and CEOs of companies to attend orientations for new employees and to deliver the message that their “door is always open” to employees who want to talk. In most cases, the employees who take this invitation seriously are surprised by the likely reality that the president or CEO
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is either unavailable or unhelpful or that such conversations are not much appreciated by line and middle managers. After a few weeks, these employees come to make sense of “how things really work around here.” Newcomers’ search for information carries a sense of urgency. Typically, new employees have some difficulty performing their jobs and getting along with others until they reach a level of familiarity. Potential sources of useful information for newcomers include (1) official company messages (e.g., from management, orientation programs, and manuals), (2) coworkers and peers, (3) supervisors, (4) other organizational members, including administrative assistants, security guards, and employees in other departments, (5) customers and others outside of the organization, and (6) the employee’s assigned tasks. Newcomers thus attempt to “situate” themselves in an unfamiliar organizational context, but to do so they must first learn a great deal about how existing members define the organization’s culture. To solicit the information they need, new employees tend not to rely on direct questioning because substantial risks may be associated with asking irrelevant questions. Instead, they use other tactics to solicit information about the organizational culture (Miller & Jablin, 1991) (Table 4.2). One of the more interesting tactics, “disguising conversations,” involves making jokes about people, procedures, or activities and watching to see whether others think they’re funny. Over time, employees may evolve from newcomer status into full-fledged members of the organization (Jablin, 1987). This period of transition may or may
TABLE 4.2
Newcomer’s Information-Seeking Tactics Tactic Example • Overt question: “Who has the authority to cancel purchase orders?” • Indirect question: “I guess I won’t plan to take a vacation this year.” (Implied: “Do we work through the holidays if we don’t finish the project?”) • Third parties: (To a coworker) “I’m making a presentation to the president. Does she like it if you open with a joke?” • Testing limits: Arriving at work wearing casual clothes and observing others’ reactions. • Disguising conversations: “That safety memo sure was a riot. Can you believe the gall of those guys?” (Waiting for reaction to see whether others also think it was funny.) • Observing: Watching which employees get praised in meetings and emulating those who do; paying attention to specific individuals. • Surveillance: Eavesdropping on peer conversations; paying careful attention at office parties; monitoring the environment for clues.
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not be lengthy, depending on the organization and the industry involved. In hotels and restaurants, for example, employees may feel like old-timers after only six months on the job, whereas in universities and professional associations, the transitional period may last nearly a decade. Of course, not everyone makes the transition to member. If there is a poor fit, either the organization or the individual may opt out of the relationship. Moreover, the assimilation process is rarely as neat as these “stages” make it sound; large organizations in particular often make room for numerous diverse voices and definitions of membership (Bullis, 1999). During the transitional period of organizational assimilation, employees begin to differentiate between rules and norms that must be followed and those that can be ignored. Feeling more comfortable with the rules of the organization, employees begin to individualize their job, develop their own voice, and behave in ways that both conform to and transform the existing rules. For example, a new supervisor who makes minor changes in how work is delegated distinguishes his or her department from others in the organization. Whereas newcomer behavior focuses on discovering constraints, the transition toward assimilation is marked by a greater degree of creativity. The degree of balance between the two — and of the employee’s satisfaction with his or her role in the organization — largely determines patterns of cooperation, resistance, and exit.
□ Socialization and High-Reliability
Organizations Successful socialization efforts can serve as a means of reproducing and reinforcing an organization’s culture. In high-reliability organizations (HROs), such as nuclear reactors or air traffic control towers, members continually operate in dangerous conditions where even a small misstep can lead to disaster. HROs avoid catastrophe by adhering to meticulously planned and coordinated safety rules and cultures; hence successful socialization can literally mean the difference between life and death. In practice, this means a combination of technical training and interpersonal tests to ensure a newcomer’s trustworthiness (Myers, 2005). University of California, Santa Barbara organizational communication professor Karen Myers’s (2005) study revealed how one HRO, a large metropolitan fire department, emphasized its cultural values of trust and member reliability through its extensive socialization programs in two ways. First, the fire department made membership contingent on a rigorous anticipatory socialization process. Second, the culture required new members to adopt a specific role, “the humble boot,” before they were finally accepted and integrated into the culture. Long before new firefighters enter their fire stations as probationary firefighters, they are required to demonstrate their commitment to firefighting. There are formal hurdles the potential recruit must overcome before he or she can enter the twelve-week training academy. Candidates must pass a comprehensive exam on firefighting and rescue
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knowledge as well as physical endurance tests. Then they must successfully navigate two rounds of interviews, where they are asked pointed questions to assess how they will fit in the organization’s culture. Of course, successful responses require candidates to familiarize themselves with the culture by spending time in fire stations and performing ride-alongs on fire trucks. Many candidates supplement their direct knowledge of the culture through indirect knowledge obtained from family members — up to 70 percent of new recruits have relatives or close friends who are firefighters. Of the forty-five hundred candidates who apply each year, only the forty to fifty who demonstrate their commitment to and compatibility with the culture are invited to participate in the training academy. Once the recruits graduate from the rigorous training academy, they become, in the language of the culture, “blue shirts.” Even though they are able to wear the coveted “blue shirts” that symbolize their movement from recruit to firefighter, they must still spend their first year proving themselves as “booters” at the station. The “humble boots” are expected to continually demonstrate a good work ethic, be the last ones to sit down to eat and the first to get up to clean, speak only when spoken to, earn a good reputation, have a good attitude, and haul equipment, all the while showing deference to senior members. These behaviors, enacted at the fire station and explicitly included in socialization efforts, lead more seasoned members to trust the booters in the context of a life-threatening fire. In this way, HRO culture, one based on trust, is reinforced and upheld. Some scholars argue that organizations can exert significant control over their members through socialization. Although the control and high degree of member conformity may be productive for some organizations and occupations, it may be counterproductive in others (Gibson & Papa, 2000).
□ Socialization and Technology The intensive efforts to socialize firefighters into HROs result in a familylike culture of trust and a clear and shared understanding of the nature of the organizational rules and ropes. The socialization process that works for the fire department is not likely to work for virtual organizations (whose employees are dispersed geographically and rely on communication technology to stay connected) or those that hire contract or temporary workers. The nature of the workplace is changing, and socialization efforts have to keep pace. According to communication technology scholars Andrew Flanagin and Jennifer Waldeck (2004), advanced communication and information technologies (ACITs) such as websites, intranets, chat groups, instant messaging, personal digital assistants (PDAs), videoconferencing, online databases, and electronic bulletin boards impact socialization processes in two important ways. First, they offer potential and new employees a greater variety of channels to seek information about and communicate with organizations and their members. Second, the move toward virtual organizing means that new members may have fewer
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opportunities to engage in more traditional forms of socialization, including faceto-face meetings and orientation programs and casual conversations with peers. Understanding the role that new communication technologies play in socializing new members is particularly important in traditional contexts, but it is also useful in organizations that use ACITs. One consistent finding across studies of organizational socialization is that newcomers are rarely satisfied with the amount of information they receive during socialization. According to Flanagin and Waldeck (2004), “the increased use of communication and information technologies may expand opportunities for individuals to obtain information that may contribute to successful socialization” (p. 141). Indeed, a thorough review of an organization’s website may help potential recruits to self-select, saving the organization time and money in recruitment and retention. Of course, not all cultural information is amenable to transmission via electronic media. Information about the “acceptable” but informal standards, practices, and values of a particular culture may be impossible to convey over mediated channels. In fact, a study by Jennifer Waldeck, Dave Seibold, and Andrew Flanagin (2004) of the University of California, Santa Barbara found that the most important predictor of effective socialization is still face-to-face communication, and the least important predictor is traditional technologies, including handbooks, other written materials, or telephone conversations. Advanced communication technologies still fall between face-to-face communication and traditional channels in terms of their effectiveness in helping new members to assimilate into their new organizational cultures. This finding highlights the “growing acceptance and reliance on more advanced technologies in the workplace” (p. 177). The 2004 study by Jennifer Waldeck and her colleagues reveals that members are likely to use technology when they perceive their communication tasks to be relatively complex and ambiguous or when interpersonal interaction cues are required. This study has several practical implications for organizations hoping to use technology effectively as a socialization tool. First, many employees are more comfortable learning about their new culture in the context of ACITs rather than from more traditional media like handbooks or memos. Second, organizations should match the complexity of the new members’ communication tasks with an appropriate technology. Relatively simple tasks such as asking questions, staying in touch with other members, or exchanging information can be handled effectively with traditional media (e.g., phone calls or e-mail exchanges). Complex and ambiguous tasks including exchanging confidential information, negotiating or bargaining, getting to know someone, generating ideas, resolving disagreements, or making decisions more likely require face-to-face conversations or the use of advanced communication and information technologies. Over the next several years, we are likely to witness the increasingly central role technology will play in new members’ socialization experiences because technology is an important component of an organization’s culture (Waldeck & Myers, 2007). See Everyday Organizational Communication on page 129.
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EVERYDAY ORGANIZATIONAL COMMUNICATION
Socialization, Technology, and University Students When we were applying to colleges, universities would stuff our mailboxes with letters, postcards, and glossy “view books” in the hopes that we would take the time to visit their campuses and even apply for admission. All of these advertising pieces contained essentially the same information: accolades about the university’s academics, details on the student organizations that awaited us, and beautiful photographs of students laughing on their way to class or some fabulous activity. We would look at these photographs and wonder: Would we fit in at University X? The days of such mailers as the university’s primary way of communicating with students are long gone. The vast majority of schools have invested an incredible amount of time and money to develop elaborate websites that offer every possible detail about the school — from class offerings and dorm policies to professor profiles and drop-in tutoring hours. But how do universities go about crafting messages that are compelling to students and that present “the best” of the school now that they are not restricted to the page count of the view book? How does a college’s website send a message about the school’s culture and the potential student’s likelihood to fit in? Let’s consider an example. In January 2009, New York University’s home page www.nyu.edu highlighted the university’s research, academics, and history. Yet none of these topics stood out as much as the vibrant images of the university’s New York City setting. The surrounding text reminded viewers that New York is the city that never sleeps — a dizzying array of activities awaits NYU students, from lectures, art exhibits, and dance recitals to poetry readings and book signings. And that’s just on a Tuesday! Consider what you have read about the ways that organizations use advanced communication and information technologies to create messages and disseminate information, and respond to the following questions.
Discussion Questions 1. What does the NYU home page suggest about the image the institution is trying to promote? What clues does it give you about the likely culture at the university? How would you describe the mission of the school, judging solely by its Web presence? 2. Think back to your experiences browsing through university websites as you were deciding where to apply to college. How did your university’s efforts to recruit you as a new student through its website, e-mail correspondence, and
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other communication technologies influence your decision to enroll? What was it about your university’s culture, as expressed through its website, that led you to believe that you would be a good “fit” for the school and vice versa? 3. After you enrolled at your university, did you find that the culture and values of the school matched what was presented on the institution’s website? Do you believe that your university makes adequate and accurate use of advanced technology for socializing new students into the culture?
A COMMUNICATION PERSPECTIVE ON ORGANIZATIONAL CULTURE Reviewing the body of research on organizational culture is a tantalizing and confusing task. Just about anything is regarded as culture, and studies purporting to study culture do so in dramatically different ways. As a result, no consistent treatment of communication has emerged in the culture literature. For this reason, we propose a perspective in which theories of organizational culture have the following characteristics: 1. They view communication as the core process by which culture is formed and transformed and see culture as patterns of behavior and their interpretation. 2. They acknowledge the importance of everyday communication as well as more notable symbolic expressions. 3. They encompass not only words and actions, but also all types of nonverbal communication (such as machinery, artifacts, and work processes). 4. They include broad patterns of interaction in society at large and examine how they are played out in the workplace. Therefore, they view each organization’s culture as a cultural nexus of national, local, familial, and other forces outside of the organization (Martin, 1992). 5. They acknowledge the legitimacy of multiple motives for researching culture, from improving corporate performance to overthrowing existing power structures.
Summary Cultural approaches bring the symbolic life of organizations to the forefront. Organizational cultures are constructed through language, everyday practices, and members’ sense making. Several cultural elements combine to create an organization’s unique sense of place, including metaphors, rituals, stories, artifacts, heroes and heroines, performances, and values.
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The focus on culture and its constitutive elements developed in response to three trends. First, competitive pressures from Japanese companies that were thought to have mastered building strong and responsive organizations by developing strong and unified cultures provided a model for many American corporations. Second, the increased use and acceptance of ethnographic and interpretive methods among communication scholars created a critical mass of research that sought to better understand members’ cultural experiences. Third, the social climate that was beginning to value participation and diversity and recasting work as a more meaningful experience looked to culture as a vehicle for such change. Three broad approaches characterize the study and practice of organizational culture. The practical view treats cultural elements as tools that managers leverage to build more effective organizations or “cultlike” cultures. Using ethnographic methods, the goal of the interpretive view is to develop richer understandings of how cultures emerge through the everyday interactions of all organizational members, not just managers or leaders. Finally, critical and postmodern approaches unpack the power and politics that underlie organizational cultures and recognize that cultures are not always integrated, but can be differentiated and fragmented. Recent scholarship in organizational culture highlights the importance of socializing new members into ongoing cultures through face-to-face and, increasingly, computer-mediated communication. Effective socialization, as a cultural practice, has been found to be particularly important for high-reliability organizations that operate in dangerous environments. While several different and sometimes competing approaches to organizational culture exist, we suggest that a communication perspective on organizational culture provides a useful, but complicated and dynamic, framework for understanding, participating in, and transforming organizational culture. In conclusion, then, we offer the following thoughts on organizational culture and research: A culture — any culture — is like an ocean. There are many wonderful things and creatures in it that we may never understand; they change and so do we, regardless of the depth or perspective of our study. But the ocean is also made up of waves that are as regular as the cycles of the moon, and just as mysteriously musical, powerful, and enchanting. The top millimeter of the ocean is a world unto itself, and a vital one, in which the broader secrets of biological and evolutionary life . . . are contained. But even their meanings must be read in a vocabulary that is separate and distant. . . . So it is that within that millimeter, among those waves, we find clear and recurring themes. Like the great questions about culture that we pursue, those themes are always with us and not yet fully understood. (Goodall, 1991, p. 108)
Questions for Review and Discussion 1. What is culture? What makes studying an organization’s culture different from studying French or British culture? 2. Why are symbolic action and metaphor central to the study of organizational cultures?
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3. What were the historical, political, and social trends that contributed to the development of cultural studies of organizations? 4. What major questions are posed by viewing organizations as cultures? 5. Compare and contrast the major characteristics of the three approaches to organizational culture (practical, interpretive, critical, and postmodern). 6. Describe the various tactics that a new employee might use to learn more about an organization’s culture. What is the role of advanced communication and Internet technologies in this socialization process? 7. What are the advantages and limitations of studying organizations as cultures? 8. What are the characteristics of a communication perspective on organizational culture?
Key Terms Advanced communication and information technology (ACIT), p. 127 Anticipatory socialization, p. 124 Artifact, p. 106 Critical and postmodern views, p. 120 Differentiation perspective, p. 121 Ethnography, p. 109 Fragmentation perspective, p. 122 Hero and heroine, p. 106 High-reliability organization (HRO), p. 126 Integration perspective, p. 121
Interpretive view, p. 116 Metaphor, p. 105 Organizational assimilation, p. 124 Organizational culture, p. 104 Performance, p. 106 Practical view, p. 113 Ritual, p. 105 Socialization, p. 123 Story, p. 106 Theory Z, p. 107 Value, p. 106
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CASE STUDY I
Studying the Culture of Meetings Helen Schwartzman asserts in Ethnography in Organizations (1993) that “nothing could be more commonplace than meetings in organizations,” yet most studies of organizational cultures fail to look closely at the exchanges of talk at those meetings (p. 38). She argues that close readings of those exchanges can tell us much about various aspects of a company’s culture: power; domination; resistance to domination; gender, race, and class divisions; concepts of time and money; and regional differences, among others. Her argument is compelling.
Assignment As a student of organizational communication and a member of an organization (your class, college, sorority or fraternity, or place of employment), you are likely intrigued by the idea that meetings hold important clues to organizational cultures. For this case study, you will immerse yourself in a culture to understand, analyze, and write about it in the form of an ethnography. You will collect the data to be analyzed and then write about it using what you have learned in this and other chapters. Here are some guidelines for conducting your cultural study: 1. Record and transcribe the exchanges between members of the group, team, or organization at one or more of its meetings. Use the following questions and illustrations to guide your work: a. Who opens the meeting? Who takes notes? Answering these questions should tell you something about the leadership of the meeting, as well as the role of one or more of the group members. b. In general, who says what to whom and with what effect? Answering this question may help you isolate particular relationships and power structures. c. Pay close attention to exchanges of conversation — both on-topic and offtopic — that occur during the meeting. What are the exchanges about? What do they say about the role and relative power of the group members? What is the role of silence in the group? Is anyone excluded from the talk? d. What is the function of humor in the group, if any? e. What clothing do the group members wear to the meeting? Is there a relationship between their clothing and the conduct of the meeting (e.g., formal, informal)?
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f. Does the group use a particular style of language? For example, is it highly technical? Does it contain a lot of jargon or slang? Can you tell “who is in the know” just by listening? Can you tell who isn’t? Is there any attempt to mentor newer group members? Are there any metaphors that recur in the group and seem to suggest a common understanding? g. What other affiliations or associations can you assume characterize these group members’ lives outside of this meeting? How much of those extrameeting cultures are brought into the culture of the meeting? h. How do the meetings end? Are assignments made? Are they equitably apportioned? How much does expertise play a role in the assignments? How about friendship? 2. Decide how you will analyze the data based on your reading in this and other chapters. For example, a. What management or communication approach (e.g., scientific management, human relations, human resources, systems, cultures, etc.) best characterizes the meeting? b. Does the group operate like a system? If so, how? If not, why not? c. What is the role of leadership in the group? d. How are power relations established and maintained? How are they challenged? e. What is the role of gender, race, class, or sexual orientation in the group? How do you know? 3. Perform your analysis. a. Write a narrative account (i.e., a story) about the group meeting. Be sure to include as much detail about the conversations and your impressions as you can. Make sure your story has an identifiable beginning, middle, and ending. b. Where possible, apply material from the chapters you have read to the story. When you are finished with a draft, add an introduction that theoretically frames the story and a conclusion that attempts to “sum up” what you have learned about this culture from the study. 4. Share your ethnography with your class.
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CASE STUDY II
Cultural Constructions of Gender and Sexuality in College Fraternities and Sororities Alan DeSantis and Audrey Hane (2004) provided a detailed and shocking ethnographic analysis of the cultural constructions of gender and sexuality in college fraternities and sororities. In their study, they highlighted the terminology used by both sexes to differentiate the sexual proclivities of undergraduate students. They showed how labels developed based on perceptions of bodies and the frequency of supposed (or real) sexual activities. They further described the influences these labels have on the meanings of gender and sexuality among women and men in fraternities and sororities.
Assignment If you are a member of a sorority or fraternity on your campus, write a brief account of the language used to describe gender and sexuality. If you are not a member of one of those social organizations, select a group that interests you or in which you are a member, and write a brief account of the language used in that group to describe gender and sexuality. In either case, allow your writing to be guided by the following questions: 1. What specific terms (and definitions for those terms) derived from gender and sexuality are used to differentiate among members of the organization? How are those terms used to socialize new members? How are they used to control perceptions? How do they organize hierarchies within the organization? 2. What is the relationship of body size, shape, and habits of dress to perceived value and meaning within the organization? How do those values transfer into other aspects of academic life? 3. What activities are used in stories about group members to construct their gendered identities? Do the activities need to be true to be used? 4. How do rumors and gossip about sexual activities figure into the social and cultural construction of identities within the organization? 5. Who benefits from these constructions? Who suffers? What are the communication mechanisms for countering a negative construction? 6. How much of the everyday “work” of identity management in the organization is associated with management of gender, sexuality, and reputation?
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Critical Approaches to Organizations and Communication
The approaches to organizations discussed in prior chapters pose questions from within the dominant frameworks of Western capitalism, behavioral science, and modern organizational studies, but they do not for the most part challenge these frameworks. While more recent cultural approaches have been more critical, blurring the distinction between cultural and critical approaches, even more subversive approaches exist. The perspectives considered in this chapter examine, challenge, and offer alternatives to the assumptions of the dominant frameworks. Critical organizational theory reveals the hidden but pervasive power that organizations have over individuals and over our society. It questions the assumed superiority of market capitalism and its organizational structures, norms, and practices. Critical approaches, as we will see, pose difficult and important questions about power and control.
CRITICAL THEORY Over the past three decades, critical approaches have emerged as one of the most vital areas of scholarship in organizational communication studies. The questions critical scholars pose in their explorations of the workings of power address broad concerns about the relationship between communication in organizational contexts and issues of justice, democracy, equity, and freedom. In this way, critical approaches appeal to our interests as employees and managers, as well as citizens of an increasingly connected world community. Before we turn to those cutting-edge issues, we will spend a moment explaining where critical ideas originated.
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□ Historical and Cultural Background When we think of someone as “critical,” we imagine them as challenging some action or decision that they consider inappropriate or unfair. This is what critical theory and critical approaches to organizations do: They challenge the unfair exercise of power. Critical theory first emerged in response to the growing power that a small but elite segment of society held over the rest of the public during the Victorian period (1837–1901). This era was marked by a brutally abusive system of low wages, squalid working conditions, and wealthy, isolated business owners (Mead, 1991). Child labor was common, particularism was the rule, and employees had little protection from the cruel whims of their employers. Women, children, and minorities were paid far less than adult white men for performing the same work, and their opinions about how work should be done or how workplaces could be improved were ignored (Banta, 1993). The roots of critical theory can be traced to Karl Marx (1818–1883). Marx viewed the division between business owners and paid laborers as inherently unfair, and he predicted that it would lead inevitably to a violent overthrow of the owners as workers seized the means of production. The world has since witnessed many practical adaptations of Marx’s ideas (e.g., China, Cuba, and the former Soviet Union), none of which proved successful as well-intentioned egalitarian ideals were quickly usurped by autocratic dictators. Nonetheless, the impulse to challenge the abuses of power remains important.
□ The Rise of Critical Theorizing
in the United States Critical theory gained considerable popularity in the United States during the 1980s (Strine, 1991). Today, given the rapid and sustained development of critically oriented scholarship, it no longer makes sense to refer to critical theory as a unified and singular approach. Scholars and activists use a variety of theoretical and conceptual tools to help transform the way we think about and enact organizational life. Both practical and intellectual reasons account for the current interest in critical theory in the United States, and we discuss these next. At the turn of the twentieth century, U.S. industrialists broke from traditional capitalism, which funneled the lion’s share of wealth and responsibility to the elite owners. For the first time, a connection was made between the wages paid to employees and their ability to be active consumers. At Ford Motor Company in the 1920s, for example, workers were paid $5 a day — a high wage at the time. Ford reasoned that to sell his cars to the masses, workers had to earn enough to buy them. This strategy, known as progressive capitalism, dominated U.S. industry from the Industrial Revolution until the early 1970s, when the average, inflationcorrected weekly wage of Americans reached its peak. Throughout this period, both individuals and corporations experienced significant increases in economic
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well-being (Mead, 1991). In addition, for the first time in human history, a majority of individuals worked for someone other than themselves. Decades of progressive capitalism eventually gave way to revolutionary changes in the world of work. With the globalization of labor and markets, “a phenomenon that has remade the economy of virtually every nation, reshaped almost every industry, and touched billions of lives,” employers had the option of hiring low-wage workers overseas (Rosenberg, 2002, p. 28). Although this practice led to humanrights abuses reminiscent of early capitalism, they occurred far enough away from home that most people ignored them until recently. Critical scholars from a variety of academic disciplines have called for organizational leaders, policy makers, and consumers to pay closer attention to the ways unchecked globalization may lead to the exploitation of vulnerable groups, including children (Aaronson & Zimmerman, 2007) and those who occupy positions with little or no job security, particularly during economic downturns (Schwartz, 2009). Pulitzer Prize–winning journalist and National Book Award winner Tina Rosenberg (2002) investigated the impact of globalization around the world. In Latin America, she found that although globalization has indeed produced additional jobs, it has also led to dramatic increases in crime, the rise of new dictatorships, the economic collapse of Argentina, the financial panic that continually haunts Brazil, and the new economic woes of Uruguay and Venezuela. In India, Rosenberg discovered that the recent influx of new money to support high-technology investments by American firms has led to further economic and social division between the literate (30 percent) and illiterate (70 percent) populations, rekindling cultural and religious tensions over the importation of Western capitalist values. The same story has generally been true throughout Southeast Asia, where, over the past two decades, the widespread use of child sweatshop labor by large American firms (e.g., Nike) has created a public outcry and has led to some reforms. Beginning in the 1980s, elected leaders of both the United States and Britain adopted an economic philosophy that was opposed to decades of progressive capitalism (du Gay, 1995). With this approach, more resources and support were given to big business (e.g., tax exemptions and reduced regulatory fines and controls) than to struggling individuals, with the expectation that increased profits would “trickle down” to the needy population. (This approach has also been labeled “supply-side economics.”) Instead of promoting a more equitable sharing of wealth, however, the result has been a steady decline in the average employee’s real wages, benefits, and standard of living. Today, many people work at one or more low-paying service jobs and struggle to make ends meet. And in the recent global economic downturn, many people who are tenuously employed bring home smaller paychecks while facing increased health-care and child-care costs (Lim, 2008). In one notable investigative study, Barbara Ehrenreich (2001) decided to live as a minimum-wage earner in Florida, Minnesota, and Maine by working as a waitress, hotel maid, nursing home aide, house cleaner, and Wal-Mart salesperson. She discovered, along with the estimated 12 million women who were moved off wel-
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fare rolls into minimum-wage jobs as a result of the welfare reform legislation of the 1990s, that the work was physically, mentally, and emotionally exhausting and that one needs at least two of these jobs in order to live indoors. The gap between people who own things (homes, cars, stocks, and stock options) and, as Ehrenreich (2008a) indicates, those who do not is big and getting even bigger. In addition, those who do have access to the trappings of a middleclass life are finding it increasingly difficult to maintain it. Never in our history has it been this hard for families, even those with two working adults, to secure health insurance, job stability, and affordable housing — the three basic elements of progressive capitalism and the American Dream (Kamp, 2009; Shipler, 2004; Warren & Tyagi, 2003). As the divide between rich and poor has widened, new information technologies exacerbate the problem by offering companies unprecedented opportunities to send jobs overseas. By outsourcing to poorer nations and increasing their reliance on temporary workers, these firms maximize profits for shareholders while at the same time contributing to the widening income gap worldwide (Townsley & Stohl, 2003). These trends have squeezed the middle class by creating fewer jobs that support a living wage, while the ranks of the working class have swelled. And that is true around the world; in fact, the global economy is predicted to shrink in 2009 for the first time since World War II (Andrews, 2009). Together, these changes have had a revolutionary impact on all of our lives. The critical approach to organizational communication seeks to advocate for the interests of working people rather than the interests of corporate leaders and shareholders, who are typically favored by management theory and practice. For many readers, critical approaches seem at first glance to pit people against profits. Particularly in a growing economy, critical approaches are often criticized for not taking a pro-profits stance and for underestimating the need for companies to remain profitable in an increasingly competitive global market. One way the tension between people and profits plays out in real life is between similar companies that take differing positions on the matter. Many describe Wal-Mart, the nation’s largest retailer, as the epitome of the pro-profit position, while describing Costco Wholesale as occupying the pro-people position (Friedman, 2005). Wal-Mart’s revenue in 2003 was $256 billion. Of that, the company spent $1.3 billion (or 0.5 percent) on health-care coverage for its employees. At the time, Wal-Mart offered health care to 45 percent of its workforce. In contrast, Costco insured 96 percent of its full-time and part-time employees. Wal-Mart’s pretax profit margin is 5.5 percent of revenue. Costco’s is only 2.7 percent of revenue. Stockholders and consumers value Wal-Mart’s “flattening” process, which takes all the “fat” (including labor costs, of course) out of its business practices. Yet as employees we may prefer to have some of the “fat left on the bone,” particularly when it affects health-care coverage (Friedman, 2005, p. 220). Perhaps due to such criticism, Wal-Mart announced a plan to make health care affordable to more of its workers (Barbaro, 2005). According to some reports, their plans are working, and Wal-Mart is becoming an innovator in health-care coverage (Connolly, 2009).
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Rather than framing the debate as an either-or choice between profits and people, we find it more productive to ask how the varied needs of all organizational stakeholders — including managers, workers, workers’ families, host communities, the environment, and shareholders — can be adequately addressed. Profitability is essential to the success of nearly all organizations, but it should not be maximized at the expense of other equally important social needs, including living wages, sustainable development, quality of work/life, and self-determination. In this chapter, we examine ideology, manufactured consent, concertive control, and the power of discourse as conceptual tools to better understand how our taken-for-granted beliefs about organizational life may inhibit our individual and collective abilities to balance the needs of people with the needs of profit. Central to this tension are notions of power.
□ The Centrality of Power Early attempts to define power were based on the assumption that it is something a person or group possesses and can exercise through actions. In a classic paper on the subject, Robert French and Bertram Raven (1968) described five types of social power, following the assumption that person A has power over person B when A has control over some outcome B wants: 1. Reward power. Person A has reward power over person B when A can give some formal or informal reward, such as a bonus or an award, in exchange for B’s compliance. 2. Coercive power. Person A has coercive power over person B when B perceives that certain behaviors on his or her part will lead to punishments from A, such as poor work assignments, relocation, or demotion. 3. Referent power. Person A has referent power over person B when B is willing to do what A asks in order to be like A. Mentors and charismatic leaders, for example, often have referent power. 4. Expert power. Person A has expert power over person B when B is willing to do what A says because B respects A’s expert knowledge. 5. Legitimate power. Person A has legitimate power over person B when B complies with A’s wishes because A holds a high-level position, such as division head, in the hierarchy. French and Raven’s approach to power is further reflected in some research on compliance-gaining (Kipnis, Schmidt, & Wilkinson, 1980) and behavior-altering techniques (Richmond, Davis, Saylor, & McCroskey, 1984). Examples include research on how supervisors can persuade subordinates to do undesirable tasks, how employees can persuade supervisors and coworkers to give them desired resources, and even how teachers can encourage students to complete assignments. This traditional approach to understanding power, however, is incomplete. By focusing on the overt or superficial exercise of power by individuals, we learn little
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about the more covert or deep structures of power (Conrad, 1983). Unlike overt power, which is easy to spot and can in principle be resisted (though often at great cost), covert or hidden power is more insidious. Critical approaches focus on the control of employers over employees (Clegg, 1989) wherein power “resembles a loose coalition of interests more than a unified front. Critical theory is committed to unveiling the political stakes that anchor cultural practices” (Conquergood, 1991, p. 179). In short, critical theorizing seeks to expose the underbelly or dark side of organizational life by actively questioning the status quo — how it came to exist, whose interests it serves, and how it marginalizes and devalues some people while privileging others. Consider, for example, just how much invisible power is exerted over your choice of major or, for that matter, of your even being in school. Since the Industrial Revolution, nations have funded “public schools” mainly to prepare society’s youth for a lifetime of work in organizations. In 1862, the U.S. Congress passed the Morrill Land-Grant Act. The act enabled states to sell federal land, invest the proceeds, and use the income to support colleges “where the leading object shall be, without excluding scientific and classical studies . . . to teach agriculture and the mechanic arts [engineering] . . . in order to promote the liberal and practical education of the industrial classes in all the pursuits and professions of life” (“A Short Penn State History,” 2002, para. 2). One such land-grant institution, Pennsylvania State University, further defined its goal as to “apply scientific principles to farming, a radical departure from the traditional curriculum grounded in mathematics, rhetoric, and classical languages” (para. 1). Today’s educational reforms are largely evolutionary and build upon this notion: The question everyone shares today is how to best prepare students for the new world of work. Critical approaches maintain that our system of education — and our outmoded assumption of lifetime employment with a company — are long overdue for reform.
POWER AND IDEOLOGY An ideology is a system of ideas that serves as the basis of a political or economic theory (as in Marxist or capitalist or feminist ideology). In conversation, the term ideology refers to our basic, often unexamined, assumptions about how things are or ought to be. During the era of classical management, for example, the dominant ideology about work was based on various assumptions: that men (especially white men) were better suited to assembly lines than were women; that white men could learn faster than women and minorities and therefore should hold supervisory positions; that the U.S. system of work was second to none in the world; that Americans had a right to use the world’s natural resources to build their cities, roads, and systems of commerce and industry; and that the American form of government was superior to all other forms (Banta, 1993).
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Ideology touches every aspect of life and shows up in our words, actions, and practices. The existence of ideology helps us to understand that power is not confined to government or politics, nor is it overt or easy to spot. Because ideology structures our thoughts and interpretations of reality, it typically operates beneath our conscious awareness. Ideology is the medium through which social reality is constructed — it shapes what seems “natural,” and it makes what we think and do seem “right” (Deetz & Kersten, 1983). Ideology tells us what exists, what is good, and what is possible in organizational life (Therborn, 1980). In so doing, it limits our socially constructed realities by preventing other equally plausible meanings for organizational life from coming to fruition. By constraining and limiting the possibility of alternative meanings and experiences, ideology can also contribute to oppression and domination. One of the first efforts to investigate the relationship between ideology and everyday organizational culture is University of North Carolina, Chapel Hill, organizational communication scholar Dennis Mumby’s (1987) critique of an oft-told cultural narrative from IBM. The story, about a new employee’s encounter with IBM’s CEO (Thomas Watson Jr.), goes as follows: The supervisor was a twenty-two-year-old bride weighing ninety pounds whose husband had been sent overseas and who, in consequence, had been given a job until his return. . . . The young woman, Lucille Berger, was obliged to make certain that people entering security areas wore the correct identification. Surrounded by his usual entourage of white-shirted men, Watson approached the doorway to an area where she was on guard, wearing an orange badge acceptable elsewhere in the plant, but not a green badge, which alone permitted entrance at her door. “I was trembling in my uniform, which was far too big,” she recalled. “It hid my shakes, but not my voice. ‘I’m sorry,’ I said to him. I knew who he was alright. ‘You cannot enter. Your admittance is not recognized.’ That’s what we were supposed to say.” The men accompanying Watson were stricken; the moment held unpredictable possibilities. “Don’t you know who he is?” someone hissed. Watson raised his hand for silence, while one of the party strode off and returned with the appropriate badge. (pp. 117–118)
Organizational culture scholars interpret this story as providing two important messages to IBM members. For higher-status members, the story says, “Even Watson obeys the rules, so you certainly should.” To lower-status members, the story’s message is “Uphold the rules, no matter who is disobeying” (Martin, Feldman, Hatch, & Sitkin, 1983, p. 440). In his analysis, however, Mumby moves beyond illustrating how shared meanings are produced to expose how ideology functions through seemingly benign organizational narratives to suture or “fix” the meaning of the culture in ways that reinforce the power of dominant organizational members and oppress or marginalize organizational others. Specifically, he argues that ideology functions in four different ways to support the power of organizational elites: 1. Ideology represents sectional interests to be universal. In other words, ideology works to make the interests or concerns of the managerial elite appear to be
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the interests of all organizational members. The story seems to suggest that all “IBMers” should be concerned with upholding the rules. What is obscured, however, is that the rule system was created by the corporate elite to protect both core technologies and their own interests. After all, managerial elites are much better served by security rules than are line workers. 2. Ideology denies system contradictions. Mumby claims that system contradictions are inherent in capitalistic organizational life. Foremost among those contradictions is the fact that we live in a democracy where one of our highest decision-making values is “one person, one vote,” but at work we often willingly leave our democratic ideals at the door and operate under the assumption that “a few vote for everyone else.” Mumby explains that the IBM story itself is contradictory because it suggests that at IBM “no one is above the law,” but if Watson really was subject to the same rules as other employees, this story would have little significance. The story is only interesting and worth retelling because Watson chooses to obey the rules he could have clearly decided to break. 3. Ideology naturalizes the present through reification. Reification refers to the process whereby socially constructed meanings come to be perceived and experienced as real, objective, and fixed, such that members “forget” their participation in the construction of those meanings. In the IBM story, the rules, the organizational hierarchy, and traditional gender roles are reified such that they appear “just the way things are.” (See Everyday Organizational Communication on page 145.) 4. Ideology functions as a form of control. By creating an unquestioned agreement regarding the way the world “really” is, ideology furthers the control of dominant groups. Power and control are not explicitly exercised as much as embedded in routine thoughts, actions, and organizational processes. Ideological control is subtle and indirect, but highly effective. Known also as hegemony, ideological control “works most effectively when the world view articulated by the ruling elite is actively taken up and pursued by subordinate groups” (Mumby, 1988, p. 216). By enforcing a rule, Lucille Berger actively perpetuates the rule system that is created by and for the organizational elites. We see hegemony operating when the organization’s interests and rules are maintained from the bottom up rather than having to be imposed from the top down. The four functions of ideology — representing sectional interests as universal, denying contradictions, reification, and control — are often most evident in organizational narratives. Critical scholars recognize that organizational stories are quite literally “power-full” because they provide members with a “vision of the organization which is relatively complete, stable and removed from scrutiny” (Mumby, 1988, p. 125). Mumby’s analysis provides a model for understanding how other cultural elements, such as jokes, rituals, or mission statements, can be critiqued to reveal the underlying ideology that privileges the interests of dominant organizational
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groups over those of others. More recently, organizational communication scholars have successfully applied Mumby’s work to explain how violent extremists use ideological narratives to recruit new members, justify their actions, divide audiences, and further their causes (Corman, Trethewey, & Goodall, 2008).
□ The Hidden Power of Culture:
Myths, Stories, and Metaphors As Mumby’s analysis of organizational ideology indicates, organizational culture, including the myths, stories, and metaphors that reproduce it, can be viewed as ideological outcroppings. Myths, stories, and metaphors are the day-to-day, commonplace surface-level forms of communication that contain implicit, hidden, and taken-for-granted ideological assumptions that reside at a deep structure level of power. Because ideology rarely announces itself, we must unpack ideological assumptions and functions as they are manifest in everyday elements of organizational culture. Myths contribute to the strength of a culture’s ideology and its sources of power. These specialized narratives often reveal the beliefs and values of a culture as they tell the stories of legendary heroes, of good and evil, and of origins and exits. In myths, we find evidence of basic metaphors that structure “our” view of things. For instance, in American culture, the myth of Horatio Alger is one that infuses our shared understanding of organizational life. Specifically, the myth suggests that anyone — no matter his or her personal identity or circumstances, can through luck and pluck “make it” in the workplace. The popularity of Donald Trump’s television show, The Apprentice, relies on this myth for its very premise. Another pervasive myth in American culture is the idea of what constitutes (and fails to constitute) a “real job” (Clair, 1996). Although the phrase has the effect of naturalizing the idea that some jobs are more “real” (important, fulfilling, worthy) than others, it can also be seen as a way of privileging certain kinds of work. Specifically, most people think of a real job as one that involves collecting good wages from an organization. This relegates all kinds of important work — artistic, nonorganizational, unpaid, home-based, odd-hours, service-oriented — to the margins. Similarly, our culture has supported the idea of a “career” being tied to societal norms or to a “social contract.” As Purdue University professor and communication scholar Patrice Buzzanell (2000b) points out, when the old social contract (that idealized individual commitment, hard work, and loyalty to a company in exchange for lifetime employment and a good retirement program) was replaced with the new social contract (that promises only a series of work contracts over a lifetime to those able to keep abreast of technological change), the career aspirations of many “marginalized workforce members (people of color, white women, poor and lower class persons, and the less educated)” were sacrificed (p. 211). The What Would You Do? box on page 148 asks you to explore how everyday metaphors can interfere in or suspend our ability to think critically.
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Gender, Ideology, and Power in Career Paths Ideologies are pervasive in nearly every aspect of daily life, though they often remain implicit and unquestioned. Consider, for example, how ideologies about gender may affect the very activity in which you are currently engaged: studying and preparing for a career. Ideological constructions encourage us to consider particular kinds of work (whether in a professional organization or in a major course of study in college) as appropriate for men or women. For example, we might think that it is “natural” for women to choose to study elementary education, nursing, or social work and to enter the “caring” fields, such as teaching young children. Men, according to such constructions, might find a better fit in the engineering, science, or business departments at the university and become tomorrow’s scientific researchers, industrial engineers, and CFOs. Have you ever considered the ways in which your own choice of major or professional aspirations might have been influenced by gendered ideology? Critical scholars would remind us that such seemingly “natural” and “normal” assumptions about gender, college majors, and career paths are often grounded in ideologies that support the interests of those in power. If our ideologies prompt us to associate men and masculinity with power, then we also come to associate “masculine” majors and professions with power, influence, and prestige. Is it more prestigious to be a third-grade teacher or a cardiologist? Whose starting salary will be higher: the social worker’s or the engineer’s? The power associated with masculine professions is further evidenced in examples of men and women making career choices that run counter to ideological assumptions about gender. Even if women are not thought to be a “natural” fit for careers in science and engineering, they are often considered “trendsetters” and “role models” for pursuing careers in these prestigious fields. Dozens of organizations from the Women’s International Science Collaboration Program to the Committee on Women in Science and Engineering aim to support women in overcoming ideological boundaries that keep them from entering such fields in larger numbers. But is the same true for men who wish to enter less-powerful, less-prestigious feminine professions? Consider the example of Steve France, a recent college graduate, who chose to leave behind a powerful masculine career (in this case, the “corporate ladder”) to have more regular working hours as a personal secretary. The ideological assumptions of his colleagues and supervisors often posed substantial challenges for Steve. He had to beg for his first job and prove himself capable by working for free while learning PowerPoint and Excel. The
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(continued, Gender, Ideology, and Power in Career Paths)
other secretaries — all women — frequently questioned him about his career choice: Why would he want to be a secretary (Pendele, 1999, para. 12)? Male nurses often face similar obstacles. Family members often ask, “Why would you become a nurse when you could be a doctor?” Gene Tranbarger, associate professor of nursing at East Carolina University, notes that “male nurses who wish to work in obstetrics/gynecology still face obstacles and often have to resort to legal remedies” (Chung, 2000, para. 4).
Discussion Questions 1. Consider the four functions of ideology described in this chapter. How does ideology operate in the examples of male secretaries and male nurses? 2. Ideologies are often difficult to recognize and articulate because they often come to be seen as natural, normal, and just “the way things are.” It is often when we encounter an exception to the ideological “rule” that we are forced to think critically about power. How are male secretaries and male nurses the “exception,” and more important, from a critical perspective, why are their stories exceptional? 3. Now consider your daily life. What experiences have you had or heard that have caused you to think critically about power and how it operates, especially in organizational contexts? Have you confronted exceptions to the rule (e.g., female airline pilots, male preschool teachers) that have given you pause? What do your responses to those exceptions tell you about our taken-for-granted assumptions of organizational life? Why do those ideologies persist? 4. Finally, consider your choices. Is it possible that your own choices about your major and your career goals are influenced by gendered ideologies? How? Do your choices extend the reach of hegemony? In other words, have your choices supported and reinforced gendered assumptions that maintain the power of dominant groups in organizational life? Alternatively, in what ways might your choices resist or transform those ideologies?
Critical approaches seek to understand why organizational practices that maintain strong controls over employees are considered legitimate and hence are not resisted (McPhee, 1985). This kind of legitimation is maintained, as we saw earlier, through such symbolic forms as cultural myths. Specific organizational stories also legitimate and naturalize organizational power. Southwest Airlines, for instance, has been able to offer lower fares to its customers while consistently maintaining profitability in an industry that has been plagued by bankruptcy, labor
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strife, and other problems. A cornerstone of Southwest’s success is its employees, who accept the company “LUV” story. Part of that story can be read in its mission statement: We are committed to providing our Employees a stable work environment with equal opportunity for learning and personal growth. Creativity and innovation are encouraged for improving the effectiveness of Southwest Airlines. Above all, Employees will be provided the same concern, respect, and caring attitude within the organization that they are expected to share externally with every Southwest Customer. (Southwest Airlines, 1988)
The power of this story is evidenced in Southwest’s recent history. Southwest Airlines employees have twice taken voluntary pay reductions, once after the first Gulf War to offset rising fuel costs, and once again after September 11, 2001, so the company would not have to cut back on its flight schedule as other airlines did. In return, their loyalty has been rewarded. From 2002–2005, the five union contracts were negotiated, and “fresh pay raises” were awarded to all employees, according to a Southwest vice president, Donna Conover (“100 Best Corporate Citizens,” 2005, para. 20). Even in the current economic downturn, Southwest Airlines is still an industry leader and is expanding into new markets (Maxon, 2009). Additionally, Southwest completed another round of successful negotiations with pilots, mechanics, and flight attendants that increased wages, retirement contributions, and job security. Thom McDaniel, a union representative, reinforced Southwest’s LUV story: This round of negotiations was conducted with a spirit of cooperation and partnership that demonstrates the legendary culture of Southwest Airlines. . . . Times are tough in the airline industry, but labor relations don’t have to be. (“Southwest Airlines Signs Tentative Contract,” 2009, para. 2–4)
Southwest’s senior vice president of customer services made a similar claim: We are pleased with this mutually beneficial contract that delivers enhancements to pay and benefits for our hardworking flight attendants. . . . This agreement demonstrates [the union’s] commitment to maintain Southwest’s unique culture, competitive position and financial strength during these challenging economic times. (“Southwest Airlines Signs Tentative Contract,” 2009, para. 2–4)
Organizational stories like these are regularly employed to justify managerial decisions regarding hiring, firing, promotions, and raises. In Southwest’s case, these stories are largely empowering. In other organizations, where employees’ interests may be less likely to be supported, employees generally accept these controls as part of the “story” that distinguishes the organization and its culture. Over time, such myths, metaphors, and stories can come to define appropriate behavior and may suspend employees’ critical thinking (see What Would You Do? on page 148). Once again, a critical perspective helps us see how our taken-for-granted ways of thinking and speaking can mask important power relationships (Clair, 1996; Mumby, 2000).
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WHAT WOULD YOU DO?
Metaphors Can Suspend Critical Thinking Communication scholars have explored how the metaphors that researchers use to describe the organizational communication process can limit our understanding. In organizations, metaphors can also constrain our ability to think “outside the box” (yet another metaphor) and can reinforce existing power relations (Cornelissen, Oswick, Christensen, & Phillips, 2008; Putnam & Boys, 2006). Family is a common metaphor used by companies in the United States. For some companies like entertainment giant Disney, the metaphor has been very useful. The ideal family includes a warm, wholesome, caring, mutually supportive set of interdependent relationships characterized by open and honest communication. Viewed in this way, family is a positive metaphor for any firm. Not all families conform to this ideal, however. Do the terms for describing the ideal family sometimes obscure dysfunctional power relationships between parents and children, among siblings, and with relatives? Should all families strive to achieve the same ideals? Are all successful organizations alike in this regard? Consider these questions as you respond to the following situations: 1. You dislike your supervisor’s frequent use of the family metaphor to explain his behavior (e.g., “Yes, I yelled at you about that report, but even in the best families that sometimes happens” and “We’re all family here, so if you have personal problems, you can tell me about them”). You believe your supervisor uses the family metaphor as an excuse for his irrational behavior as well as to gain unwarranted access to employees’ private lives. What is wrong with the supervisor’s behavior? What should you do? 2. Your company has just announced that at its annual holiday party, skits will be performed by employee work teams. Your team has been asked to write, produce, and perform a skit that portrays the company as a family. You view this as an opportunity to reveal both the positive and negative aspects of the organization’s use of power and informal relationships. However, two members of your team argue against your proposal; they agree with your ideas, but they fear management’s response to the negative portrayals. How will you argue your case at the next team meeting? 3. What other metaphors can be used to describe and to organize work relationships? Describe at least one such metaphor and its ethical dimensions.
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□ The Hidden Power of Legitimation:
Manufactured Consent and Concertive Control The hidden power of organizational systems and structures has been a central focus of critical theory. German philosopher and social theorist Jurgen Habermas (1972) argues that social legitimation plays a major role in holding contemporary organizations together. According to Habermas, capitalist societies are characterized by manufactured consent, in which employees at all levels willingly adopt and enforce the legitimate power of the organization, society, or system of capitalism. Furthermore, only when this perceived legitimate power is challenged might the basic order face a crisis. The fact that this kind of power is hard to see only increases its strength. Practically from birth, Westerners are immersed in capitalism and are trained to be consumers first and citizens second, if at all. Most of our activities are structured around either consuming or finding ways to “add value” to ourselves and our families (Carlone & Taylor, 1998; Nadesan & Trethewey, 2000). Moreover, employees have, for some time now, accepted the odd label of “human resources,” which suggests an objectification of people that in turn makes it easier to either mold or get rid of them. The magic of consent is that the people themselves buy into the vocabulary and, despite how it casts them as disposable objects, have difficulty imagining an alternative reality. Manufactured consent has recently become unmoored from its bureaucratic heritage. Even in flatter organizations with ostensibly “democratic” aims, power and control feature prominently. Jim Barker is a professor of organizational theory and strategy at the University of Waikato in New Zealand. His research on selfmanaging teams (1993, 1999) reveals the power of “concertive control” in seemingly more humane and democratic organizational forms. Concertive control occurs when employees police themselves, developing the means for their own control. “Workers achieve concertive control by reaching a negotiated consensus on how to shape their behavior according to a core set of values, such as the values found in a corporate vision statement” (Barker, 1993, p. 411). Workers in these systems do not need supervisors to create and maintain rules; rather, rules are created collaboratively among members themselves. Barker’s ethnographic study of one communications company indicates that concertive control systems can become even more stringent and less forgiving than their traditional, bureaucratic predecessors. Their (self-generated) system of rational rules constrains them even further as the power of their value consensus compels their staunch obedience. Manufactured consent is evident when an employee or manager says, “I was just doing my job,” to justify a decision or action. As Dennis Mumby (1987) points out, domination involves leading people to organize their behavior around a rule system. The system, not individual managers or actors, can then be blamed — but
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not held accountable — for actions taken in its name. A recent law aimed at correcting this situation makes the senior management of large corporations personally responsible for any criminal actions taken on behalf of the company. Similarly, both Exxon and Union Carbide were held (somewhat) financially accountable for, respectively, a major oil spill in Prince William Sound, Alaska, and the release of deadly gas in Bhopal, India. In the wake of the accounting scandals of 2002, the Securities and Exchange Commission (SEC) proposed holding corporate officers — CEOs and CFOs — personally responsible for the truthfulness, timeliness, and fairness of all public disclosures, including their financial statements. As a result, in 2005 Bernard Ebbers, the former chief executive of WorldCom, was sentenced to twenty-five years in prison for his role in an $11 billion accounting fraud case, the largest in our country’s history. Likewise, John Rigas, founder of the cable company Adelphia, was sentenced to fifteen years in prison, and his son Timothy, the former chief financial officer, was sentenced to twenty years in prison after being convicted on fraud and conspiracy charges in that same year. Concertive control makes it difficult to hold on to the idea that organizational elites, namely managers, shape organizational meanings, rules, and structures to support their own interests at the expense of labor. A study by organizational communication professor Greg Larson at the University of Montana and University of Colorado, Boulder professor emeritus Phil Tompkins revealed that “managers who implement a concertive-control system for employees may themselves come to be controlled by that same system” (2005, p. 15). Larson and Tompkins thus render problematic the “neat dichotomy” between managers and employees that is often the basis for explaining relationships of power and control in organizational life.
DISCOURSE AND DISCIPLINE Critical approaches that focus on ideology are mainly interested in how dominant groups influence subordinate groups, treating power as a repressive force that is somehow “held” by these powerful groups or individuals. This view of power has recently been revised through a widespread turn toward postmodern understandings of power (Ashcraft & Mumby, 2004). Borrowing heavily from French philosopher Michel Foucault (1978, 1979), many critical scholars now view power as a widespread, intangible network of invisible forces that weaves itself into subtle gestures and intimate utterances. As such, power does not reside in things or in people but “in a network of relationships which are systematically connected” (Burrell, 1988, p. 227). In this view, power operates primarily in and through discourse. For Foucault, discourse is more than simply a shared system of meanings; rather, discourse is a site of power, a site of struggle over competing versions of knowledge, truth, and the self. What we understand to be true, what counts as a legitimate knowledge claim, and even our very identities are constituted or produced through discourse: “Discourses are more than ways of thinking and producing meaning.
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They constitute the ‘nature’ of the body, unconscious and conscious mind and emotional life of subjects which they seek to govern. Neither the body nor thoughts and feelings have meaning outside their discursive articulation” (Weedon, 1997, p. 105). As a discursive force, power works not to actively “repress” individuals or deny their “real” interests, but to literally “produce” them in a way that aligns with a preferred ideology. In organizational contexts, a focus on discourse encourages questions like these: “How is ‘truth’ or knowledge produced through organizational discourse?” “Whose ‘truth’ counts?” and “With what effect?”
□ The Hidden Power of Knowledge:
Surveillance, the Panopticon, and Disciplinary Power Foucault’s (1979) work on the history of prison systems reveals how contemporary penal discourses articulate and literally create the “subject” of punishment — namely the prisoner. The prisoner becomes defined and controlled through communication about and practices related to punishment. At the same time, discourse establishes the prisoner’s relationship to society. Foucault’s analysis suggests that a central feature of current modes of power is surveillance, or constant supervision. Such supervision is a structural feature of modern power systems, epitomized in eighteenth-century English philosopher Jeremy Bentham’s panopticon. The panopticon, which literally built surveillance into the design of an ideal prison, consisted of a central core that housed the guards and was surrounded by individual backlit cells such that the inmates were constantly visible. But because the inmates could not see the guards in the central core, they never knew if they were in fact being watched, only that the possibility existed. Bentham’s design assumed that power should be visible and unverifiable. “Visible: the inmate will constantly have before his eyes the tall outline of the central tower from which he is spied upon. Unverifiable: the inmate must never know whether he is being looked at at any one moment; but he must be sure that he may always be so” (Foucault, 1979, p. 201). This created a system of disciplinary power in which inmates internalized the “gaze” of the guard by keeping a watchful eye on their own behavior. While Bentham’s prison never came to fruition during his lifetime, Foucault offers the panopticon as a useful metaphor to explain modern-day systems of power, including those found in most workplaces. Organizational members are increasingly subject to systems in which a real and present possibility of surveillance exists, whether it is in the form of “secret shoppers” who monitor customer service or recording devices that monitor telephone calls for “quality-assurance purposes.” As a result, employees often behave as if they are being monitored, even when they are not. They correct, modify, and discipline themselves in the name of the organization. Thus the primary effect of the panopticon is that the members are “caught up in a power situation of which they are themselves the bearers” (Foucault, 1979,
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p. 201). Critical scholars have examined the communicative dimensions of disciplinary power, the impact of discipline in the creation of scientific knowledge in a research laboratory, and the mutually reinforcing effects of technology and disciplinary power among workers in a call center, among other topics (Barker & Cheney, 1994; Brannan, 2005; Kinsella, 1999). Yet it is the expanding potential of technology to survey and discipline organizational members that has received the most attention from critical scholars and activists alike.
□ The Technological Panopticon Certainly, critical scholars recognize the benefits that technology affords individuals and organizations in their everyday lives. Who among us has not conducted our banking online, downloaded music from the Web, or “Googled” someone or something? However, critics warn that the taken-for-granted ideology that glorifies technology in general, and knowledge management systems in particular, frames technology as “universally desirable” (Chan & Garrick, 2003). Critical scholars encourage a more complex understanding of technology that reveals both its benefits and its burdens. Several features or by-products of technology have garnered attention from critical scholars. For example, for all their advantages, new communication technologies keep employees more tightly tethered than ever before. The proliferation of smartphones, laptops, and cell phones means that many workers have difficulty creating boundaries between work and the other spheres of their lives (Edley, 2001). Knowledge management (KM) systems such as searchable databases and interactive expert systems have been similarly critiqued. These systems (designed to “enhance and increase the value of the generation, sharing, and application of knowledge”) effectively ensure that in order to “count,” an employee’s contribution to organizational knowledge must be in a form that the system recognizes, be compliant with the system, and be able to be coded and digitized in a way that the system can use (Chan & Garrick, 2003, p. 292). Alternative ways of knowing (e.g., intuition, insights from other industries) are often rendered invisible and useless, and only the official “scorecard measures” adopted by the firm are found to be acceptable. Thus the important, but not easily codified, knowledge that is necessary to perform vital “care” work (e.g., that which is regularly performed by nurses, day-care workers, and others) becomes easily overlooked and devalued in KM systems. Finally, although the control of employees has always hinged on oversight and observation, technology, including KM systems, has created conditions for heightened, continuous, and more insidious forms of control. Indeed, one recent study indicates that more than 80 percent of workplaces now employ some form of employee surveillance (D’Urso, 2006). Technology is now in place that can monitor employees’ speech, their every keystroke, and even their hygiene habits in the company washroom. The challenge organizations face is to build surveillance systems
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that are both productive and ethical. Critical organizational communication scholars are advancing precisely those sorts of models. For example, Angela Trethewey and Steve Corman (2001) have proposed a model that articulates two ethical dimensions that can be used to assess any particular KM system, the inclusivityexclusivity dimension and the transparency-opacity dimension (see Table 5.1). The first dimension centers on the degree of participation that KM systems enable and encourage. Those systems that are inclusive or designed with input from a variety of stakeholders toward a collective good are more ethical than those that are exclusive. Exclusive systems are designed for and by a certain segment of the organization. The second dimension refers to the degree to which KM systems and their uses are transparent or visible versus opaque or hidden from members who are affected by them. In transparent systems, employees know when and how information is being collected and/or generated about them and their work, how those data are being used, and the consequences of such monitoring. The least ethical systems are those that most closely mirror the panopticon and are both opaque and exclusive. The most ethical are those systems that are inclusive and transparent. Trethewey and Corman warn that the trend toward the commodification of knowledge, efficiency, and managerial control will lead to KM systems that are located at the opaque/exclusive ends of the continua unless participatory decision TABLE 5.1
Ethical Dimensions of Knowledge Management Applications A Model for Knowledge Management
Transparency
Opacity
Inclusivity
Active consent. Example: Technical support forums that use threaded discussion to share/collect problems, reports, and solutions.
Passive consent. Example: Data-mining forums that scour sources for discussion to share/ collect information on relevant problems, reports, and solutions.
Exclusivity
Technical/behavioral control. Example: Notification of employees of possible monitoring of their systems and phone calls for training and qualityassurance purposes.
Panoptic control. Example: E-mail monitoring systems that are installed and used without employees’ knowledge.
Source: Trethewey, A., & Corman, S. (2001). Anticipating K-Commerce: E-Commerce, knowledge management and organizational communication. Management Communication Quarterly, 14, 619–628.
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making is enacted at all levels of the organization. Such decision making ensures that those who are most immediately affected by both the opportunities and the challenges of technological systems are represented in dialogue about what “counts” as organizational knowledge and how such knowledge can and should be used (see What Would You Do? on page 155).
RECENT TRENDS IN CRITICAL ORGANIZATIONAL COMMUNICATION SCHOLARSHIP: ORGANIZING HEALTHY ORGANIZATIONS One area of organizational life that is commanding increased attention from critical scholars is employee health and well-being. Scholars have long been concerned with the devastating health consequences that work can have on employees. Hazardous working conditions, industrial accidents, and occupational disease take an alarming toll on human life in the United States each year. According to the Occupational Safety and Health Administration’s “Healthy People 2010” report, each day in the United States 15 occupational fatalities occur, 130 employees die from work-related illnesses, and 11,000 workers become disabled from work-related injuries (Beato, 2004). Critical scholars suggest that workplace accidents, occupational disease, and other work hazards are often a direct consequence of organizing practices that value efficiency and productivity over employee safety and health. For example, organizations often choose to pay higher insurance premiums rather than redesign the workplace and work processes with an eye toward employee safety (Zoller, 2003). Those who escape physical harm at work may still find their health negatively affected by the growing strain of occupational stress. Nearly 80 percent of U.S. employees report that work is their biggest source of stress. The consequences of stress include decreased physical and mental health (Farrell & Geist-Martin, 2005). Because critical scholars are fundamentally interested in the well-being of employees, health has emerged as an important focus for scholarship. Assuming that our health is organized by a variety of everyday communicative practices, organizational communication researchers have explored the ideology that undergirds doctor-patient relationships, employees’ consent to unhealthy work practices, and the social construction of risk at work, among other topics. An example of critically oriented scholarship is organizational communication scholars Patricia Geist and Jennifer Dreyer’s (1993) critique of the dominant ideology of health care in the United States. They explore this model’s ability to define and control what is considered appropriate, professional, or ordinary health-care communication through the routine doctor-patient interview. The result often gives less weight to the patient’s perspective because the doctor is assumed to be the
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WHAT WOULD YOU DO?
Unintentional Surveillance? Allyson Payne, a district sales manager for Pyramid Printing, was recently promoted to regional manager. Allyson has worked for Pyramid for several years, moving up the ranks from a local sales representative to her current position as a middle manager. She is eager to make her mark on the company, to make a favorable impression on her superiors, and to advance even further into organizational leadership positions. However, she also wants to maintain a positive relationship with her former colleagues in her sales district and keep abreast of what is happening in her old haunts. As is common for many midlevel managers, Allyson often feels divided loyalties between her former colleagues and her current colleagues. This feeling is often exacerbated by the ongoing conflict that has characterized Pyramid’s culture. Those at the very top levels of the organization increasingly believe that there should be uniform policies and procedures in both regional and district offices. Such policies would ensure that each unit is accountable and would make it easier for the corporate office to evaluate how effectively and efficiently resources are being used across units. Those at the regional level have been tasked with ensuring that the district offices are in compliance with the new policies. As a result, one of Allyson’s new roles is to enforce the new policies among her old colleagues. It is a role that she is not particularly comfortable with, but one she is willing to perform in order to impress her bosses. She feels she is uniquely able to keep an eye on her charges, particularly in her old district office, because she is still on the office’s electronic mailing list. When she sees a potential issue emerge — as it is discussed online — she can intervene before the issue becomes a problem, thus saving her former colleagues any “heat” from the corporate office. However, the sales force at Pyramid Printing believes that it could be much more effective if the corporate office would simply “get out of the way” and not try to hamstring what they see as their creative and innovative efforts with bureaucratic rules. Sijai, one of Allyson’s former colleagues and one of the district’s top sales reps, claims: Every time I try to do something creative for one of our clients, corporate comes down on me. Just last week, I sent an e-mail message to my colleagues to let them know that I scored a huge sale after I agreed to offer one of my clients tickets for the playoff game in Pyramid’s corporate suite if he would sign on the dotted line. I was thrilled with my results and wanted to share the good news with my team. But just an hour later, I had a note from Payne telling me that corporate needs to approve all requests to offer “swag” to clients prior to any salesperson making a particular offer to
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(continued, Unintentional Surveillance?) a client. Failing to do so, she said, was a violation of corporate policy. Ever since she moved up to the regional office, frankly, Payne is becoming, well, a bit of a pain. It almost feels like she’s spying on us.
While Allyson enjoys her connection to her former colleagues via the electronic mailing list, her former coworkers are finding her presence oppressive. The sales team at the district level has a long history of using e-mail as a vehicle to connect with one another — to share success stories, their gripes about corporate, job-related information and news, and even occasional jokes. With their former peer now viewing their exchanges from a new vantage point, the sales team is becoming increasingly wary of using e-mail. They are not sure how to proceed. One solution would be to remove Allyson from their electronic mailing list, given that she is no longer a peer. However, Sijai warns, “It’s not a good idea to offend the new boss and make her feel like she’s not wanted.” Another solution might be to find another channel for group communication, though the group likes the convenience of e-mail. Allyson, too, could help by simply removing herself from the conversations so as not to, even unwittingly, exploit her new more powerful role. What should this team do?
Discussion Questions 1. How would you characterize this situation using Angela Trethewey and Steve Corman’s (2001) ethical dimensions of knowledge management applications? What might be done to move the situation described above toward inclusivity and transparency? 2. Does Allyson have the right to use the electronic mailing list as a window into her former district when she does not have the same access to other district sales teams in her region? 3. What might be gained by moving sensitive discussions “offline”? What might be lost?
knower and the patient is reduced to an object or case (e.g., disease, symptom) to be known. Using dialogic theory (Bakhtin, 1986), Geist and Dreyer propose an alternative model for communication encounters between health-care providers and their patients. By refocusing the dialogic encounter on what is created in communication (as opposed to what is given through scientific authority), Geist and Dreyer aim to empower those who seek medical treatment through the deliberate inclusion of the patient’s voice in the doctor-patient interaction. Two major challenges to the power of received ideology are present in their research agenda: (1) the power of the traditional medical model of scientific information gathering
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and (2) the power of traditional models that distance researchers — and research practices — from the people they study. More recently, health communication scholar Mohan Dutta (2007) has explored how power, ideology, and hegemony often affect how health campaigns are designed and implemented in ways that tend to reproduce the power of medical professionals over those “in need” of medical attention. As an alternative to dominant models, Dutta offers a culture-centered approach to health communication processes and practices that begins with a “bottom up” rather than a “top down” orientation. Specifically, the individuals who are most affected by health concerns are given a strong voice in determining and articulating the scope, structural implications, economic implications, and possible remedies to their own health care. As an example, Dutta points to one particularly successful program that involved commercial sex workers in designing a program to address HIV/AIDS, condom use, STD treatment, and HIV testing. Driven by a critique of traditional medical ideology, the program “acknowledged the ability of the sex workers to resist and act within the constraints of their marginalized spaces and to fundamentally shape the course of action of the health promotion effort” (Dutta, 2007, p. 319). The program’s effectiveness was evidenced by the increase of condom use among sex workers from 3 percent to 90 percent over a five-year period. Medical ideology can also serve to reify class- and race-based inequities in health-care provision. The many ways that a patient’s socioeconomic status may affect his or her ability to comply with medical recommendations are often erased by existing medical ideology that treats the patient as a diseased body rather than a contextually bound individual. Professor Renée Gillespie’s (2001) study of Medicaid patients’ experiences navigating managed care for asthma treatments is telling in this regard. She notes: Left in the inner city by those who fled to the new, affluent suburbs decades ago, low income families live in older homes filled with lifetimes of dust and molding timber. They breathe air polluted by factories that never cease production and by the cars of daily downtown professionals who sleep in clean, suburban air each night. Often depressed, they are more likely to smoke and less likely to eat well. Many sleep on the floor, knowing that the asthma this triggers could kill them, but afraid that a stray bullet shot through the window will do so sooner. . . . Without this knowledge, frustrated doctors and bureaucrats, certain their instructions are clear and motivating, may make sense of patient “non-compliance” as selfish resistance to efforts to help them. (p. 114)
Other researchers have addressed the difficulty many women have getting their health-care needs taken care of, and the even greater difficulty women of color have getting quality health care (Ellingson & Buzzanell, 1999). The problems that women of color encounter in the context of doctor-patient interactions are highlighted in Bowling Green State University professor Lynda Dee Dixon’s (2004) research. In her study, she follows the twists and turns of a conversation between an aging African American woman and her white male physician. She reveals how inadequate intercultural communication results in a substandard health-care practice,
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as each party maintains a very different view of what constitutes health and illness. For many doctors, compliance, or the patients’ willingness to follow doctors’ orders, is often framed as a simple personal choice on the part of the patient. For many patients, however, compliance has much more to do with structural or environmental obstacles that cannot be removed by simple “choices.” Gillespie’s (2001) research on Medicaid patients reveals that the doctor’s wishes that patients better manage “environmental” factors that affect asthma, such as replacing old carpeting or draperies, are not feasible. On a more hopeful note, some researchers are exploring how patients are resisting dominant medical discourses in ways that afford them opportunities to receive better treatment and to create medical encounters that are more satisfying (Armstrong, 2005; Ellingson & Buzzanell, 1999; Wheatley, 2005). And other scholars are working with physicians to develop communication strategies that respond more effectively to the patient and his or her particular context (Eisenberg et al., 2005). Through the combined efforts of critical scholars, patient advocates, and more progressive elements of medical institutions, the dominant medical ideology is currently undergoing a transformation that moves away from treating patients as passive receptors of medical directives to more active and knowledgeable agents who collaborate, communicate, and share in decision making with their health-care providers (Yedidia et al., 2003). Although some patients are becoming more vocal advocates for their own wellbeing in the context of health-care organizations and relationships, many employees still remain relatively silent when it comes to advocating for healthier workplaces and work processes. As sobering as the statistics on workplace fatalities, injuries, and illnesses are, those numbers only reflect the incidents that were “officially” reported. Power relations and concertive control processes begin to explain why many workplace injuries and illnesses go unreported (Collinson, 1999; Zoller, 2003). Heather Zoller is a scholar of organizational and health communication at the University of Cincinnati. Her (2003) ethnographic study of an automobile manufacturing plant revealed that nearly every worker either experienced a physical ailment resulting from work or knew someone who did. Yet those same workers rarely reported injuries or work-induced health problems to management. As a result, the plant’s injury rates decreased, and workers then used those rates to “prove” that the workplace was safe. Understanding communication processes, particularly those related to concertive control, can help to explain the contradictions between workers’ actual experiences of health and safety and their reported or official injuries. Although Zoller revealed the subtle pressures that organizational leaders exerted to reduce the number of injuries reported to the Occupational Safety and Health Administration, employees themselves communicatively created norms that discouraged workers, or management, from addressing the systemic health implications of their work and workplace. Instead, the workers consented to risky work because they valued the active, “physical” nature of their work (particularly in relation to management work), and they defined “good workers” as those who could “take” the demands of the job
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and not let the job get them down. The workers also respected colleagues who didn’t complain. They felt that because they were paid relatively well, the organization deserved their gratitude despite the risks of their employment. Zoller’s study brings into focus the problematic and dangerous ways that employees consent to health risks. In a similar way, University of North Carolina, Charlotte, professor Clifton Scott’s (2005) ethnographic study reveals how individual firefighters, despite their leaders’ adamant and repeated admonishments, often engage in high-risk behavior. Firefighters, who pride themselves on acting manly and heroically, often put themselves in harm’s way, even when there is no immediate need to do so. The case presented at the end of this chapter is drawn directly from Scott’s work and speaks to the very real and pressing ways that employee consent can negatively affect health and well-being. Future work in this area will undoubtedly continue to explore how organizing processes affect the health and wellbeing of individuals, organizations, and communities.
□ Resistance: Challenging Organizational
Power and Control The emphasis in critical organizational communication studies on organizational power, control, and domination foregrounds the many ways that individuals are controlled by modern-day organizational forms and practices. Critical scholars call attention to the ways in which corporate ideology and managerial discourse have seeped into and shaped our daily lives, not just at work, but at school, at home, and through the media. University of Colorado professor Stanley Deetz (1992), a pioneer of critical studies in the communication discipline, calls this form of control the “corporate colonization of the life world” and believes it leads to the eventual breakdown of families, schools, and other social institutions. Issues like childbirth, education, and even morality have been removed from the domain of the family and turned into externally purchased goods and services (Lukes, 1986). People’s decisions about where to live, when to have children, and how to spend their leisure time are increasingly based on career-related concerns. Alienation and loss of identity result when people can no longer turn to the social institutions (e.g., school, church, neighborhood) that once fostered a sense of belonging to a family or community and turn instead to their work. As noted, schools and the media also play a role in normalizing corporate colonization. For example, education reinforces the notion that corporate domination is both practical and acceptable as schools are increasingly concerned with training students for occupations. Indeed, corporate spending on training now outpaces government investment in public education. The media, too, sponsors a corporate vision of success through its literal (e.g., product placements in films and television programs) and figurative representation of the “good life,” grounded in material wealth and consumption (Deetz, 1995). In sum, we consider again Deetz’s words:
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With such institutional domination in place, every other institution subsidizes or pays its dues for the integration given by the corporate structure, and by so doing reduces its own institutional role. The state developed for public good interprets that as the need for order and economic growth. The family that provided values and identity transforms that to emotional support and standard of living. The educational institution fostering autonomy and critical thought trains for occupational success. (1992, p. 17)
Under the enormous and ubiquitous weight of market-driven, corporate colonization of our everyday lives it is hard to imagine a way to push back. Yet what often remains “hidden” but is always present is resistance to organizational and increasingly corporatized power and control (Scott, 1990). Despite the best efforts of organizations to fully control their members, those members often engage in resistance — distancing and defending themselves from organizational power (Fleming, 2005). Resistance to organizational domination can take a variety of forms, ranging from large-scale social movements, including boycotts and strikes, to individual tactics designed to carve out a small but satisfying space of agency, action, and autonomy (Holmer Nadesan, 1996). Shiv Ganesh, Heather Zoller, and George Cheney (2005) are critics who urge organizational scholars to devote increased attention to global transformation (see also Mahuya & Dutta, 2008). The term transformation highlights how local social movements attempt to “effect large-scale, collective changes in the domains of state policy, corporate practice, social structure, cultural norms, and daily lived experience” (p. 177). These social movements often begin as locally based and loosely organized groups of people who are working toward change. The Internet has become a valuable tool in mobilizing grassroots campaigns against corporate domination. These resistance movements have real and material effects. Ganesh, Zoller, and Cheney point to several successful examples: • The protesters involved in the “Battle of Seattle” claimed a significant role in halting the Multilateral Agreement on Investment during the World Trade Organization meeting in 1999 (Ganesh et al., 2005). • In 2000, poor Bolivians took to the streets in Cochabamba to resist Bechtel Corporation’s purchase of their national water system (Ganesh et al., 2005). • In November 2005, thousands of individuals in Argentina gathered in Mar del Plata, site of the Summit of the Americas, to protest free trade agreements that are thought by many to “enslave” Latin American workers (Bash, Mirian, & Newman, 2005). • In February 2008, millions of protesters took to the streets of Bogotá, Colombia, in an anti-FARC (Rebel Armed Forces of Colombia) demonstration that was started by one man’s plea, “No more kidnapping, no more lies, no more deaths, no more FARC,” on his Facebook page only one month earlier (Markey, 2008). Organized activist movements like these that center on issues like fair trade, social justice, and corporate responsibility are one means through which individuals can effect change. Many organizational members, however, find themselves
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hard-pressed for the time and energy it takes to participate in organized activism. Moreover, as forms of workplace control and surveillance have increased in both “strength and ubiquity,” the possibility for collective, confrontational forms of worker resistance has waned (Mumby, 2005, p. 38). Instead, many members now turn to more subtle, covert, and hidden tactics to create momentary, but potentially transformative, “resistant spaces” (Gabriel, 1999). Critical scholars have documented how members have used humor, irony, “bitching,” “hidden transcripts,” and cynicism in pursuit of some measure of autonomy (Bell & Forbes, 1994; Collinson, 2002; Fleming & Spicer, 2003; Martin, 2004; Mulholland, 2004; Murphy, 1998; Sotirin, 2000; Trethewey, 1997, 1999b). Consider the following examples: • The firefighter who, in his dislike of performing emergency medical treatment rather than fighting fires, refers to clients who call 911 for seemingly illegitimate medical reasons as “bull[!@%$] callers” and the ambulance as the “[!@%$] box” (Tracy & Scott, 2006, p. 20) • The McDonald’s employee who wears a shirt with the phrase “Mc[expletive]” emblazoned across his chest under his official uniform (Fleming & Spicer, 2003) • The flight attendant who wears her high heels only in the concourse where she knows supervisors are looking, then quickly changes into comfortable loafers once she’s in an unsupervised zone (Murphy, 1998) • The client who “performs” an appropriately subservient role in order to receive material assistance from a social service agency (Trethewey, 1997) • The worker who privately relates a representative story about an alienated, displaced, anxious, or angry worker; this story can function as a therapeutic tool for relieving job pressure, assessing work-related situations, and regaining control over emotions (Goodall, 1995) • The working-class secretary who decorates her cubicle with cartoons that decry, albeit in a humorous way, her overworked state (Bell & Forbes, 1994; see Figure 5.1) What these organizational members share is the desire to assert control in an oppressive context. Of course, what is notable about all these forms of resistance is that they operate under the managerial radar screen. These tactics make clear that resistance is never enacted outside of dominant forms of power; rather, resistance is always performed in direct response to power. Resistance emerges in the everchanging and contestable space between accepting and revolting. A Malaysian proverb illustrates this dialectical relationship between control and resistance: “When the great lord passes, the wise peasant bows deeply and silently farts” (quoted in Mumby, 2005, p. 21). Critical organizational scholars, then, should not focus only on the “bow (an ostensible act of obeisance to power),” nor should they focus exclusively on the “fart (a covert act of resistance to power),” but rather on the “complex ways in which these intersect in the moment to moment to produce complex and often contradictory dynamics of control and resistance” (Mumby, 2005, p. 21).
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FIGURE 5.1
Cartoons as Micropractices of Resistance
Source: Bell, E., & Forbes, L. C. (1994). Office folklore in the academic paperwork empire: The interstitial space of gendered (con)texts. Text and Performance Quarterly, 38, 187.
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Importantly, these small-scale forms have the capacity to bubble up into larger organizational changes and transformations. DePaul University professor Alexandra Murphy’s (1998) research, for example, demonstrates how flight attendants’ resistance to body regulations eventually led the airlines to drop some of their more stringent weight requirements. Critical scholars, despite their rather dire descriptions about the oppressive state of organizational life, hold out hope of change at the individual, organizational, and cultural levels. Resistance to organizational oppression is necessary if we hope to reclaim and retain the democratic potential of our contemporary lives. According to Deetz, the basic problem is not a lack of awareness about what to do; much help is available there. After all, communication scholars and students, in particular, are armed with communication tools (e.g., listening, decision making, persuasion, leadership) that can enable them to be active change agents through resistance. Rather, the problem is wanting to do it, seeing the necessity of change, and taking the risks that accompany change (Deetz, 1995). This chapter may challenge you to consider the ways you might resist organizational power and control to create more empowering and enabling opportunities for yourself and others. In so doing, you may decide that you are interested in taking on the role of the critical theorist/activist.
□ The Role of the Critical Researcher In many respects, research from a critical perspective is similar to that of the cultural approach (see Chapter 4). To discover the deep structures of power, the investigator must look for details about not only what happens in the organization and why it happens, but also how it is shaped by economic, political, and social forces worldwide. From a critical perspective, the cultural approach moves in a useful direction by focusing on meaning and sense making, but it neglects to ask in whose interest certain meanings and interpretations lie. A critical theorist, then, gathers interpretive cultural data about race, class, gender, age, language, motives, and actions and makes judgments about the power relationships that exist in all aspects of organizing. This is a very subjective enterprise; not only can critical theorists be criticized for all of the same faults as cultural researchers (e.g., narrow samples and bias in selecting participants and events), but they can also be called “elitists.” Critical theorists have been classified as elitists because, in practice, they must be willing to argue that certain individuals or groups are oppressed but are unaware of their oppression. This is the most serious problem with asserting the existence of hegemony. In a marked departure from the cultural approach, critical theorists may maintain that people do not know their own minds (Clegg, 1989). Perhaps this is one reason why more recent critical studies of organizations openly embrace an advocacy role and political agenda (Cheney, 2007) and why critical and cultural studies theorists often rely on passionate, highly personal experiences and arguments to make their cases.
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As champions of organizational “underdogs,” critical scholars have often conceived of their task as one more closely aligned with social activism than with traditional objective science. The role of the critical scholar has been described in terms of critiquing dominant discourses; educating organizational members, leaders, and the larger culture on the inequities of contemporary organizations; and emancipating organizational members from oppression through the articulation of positive and transformative alternatives to present structures and processes. Deetz (2005) claims that critical theory means more than adopting a particular role; rather, it is a way of life characterized by three tension-filled, critical modes of being: • Being filled with care. Caring for and directing attention to others characterizes this way of being. At its root, it involves efforts to understand others on “their own terms,” and in so doing, the self’s “values become exposed as partial and incomplete” (pp. 101–102). Of course, when we begin to take seriously the “other,” our understanding of our own self and our world becomes much more complicated, complex, and sometimes problematic. Barbara Ehrenreich and David Shipler are two popular writers who embody this ethic of care in their respective texts, Nickel and Dimed: On (Not) Getting By in America (2001) and The Working Poor: Invisible in America (2004). Both authors were invested in telling the story of the working poor from the perspective of the diverse individuals who make up the largest cadre of employees in our country. Both texts are grounded in the lives, meanings, and everyday experiences of the working poor in our country. Shipler’s text, for example, follows several working-class workers over several years as they attempt to pull themselves out of poverty, often repeatedly, and only occasionally with any success. Hearing the stories of these individuals’ lives, told from the perspective of their complex and difficult lived experience, makes it hard for the reader to do anything but care about their plight. Being empathetic is only one aspect of living life as a critical scholar. • Being filled with thought. Moving from caring about or empathizing with individuals to considering and acting on the larger social and political ramifications of seemingly “individual” stories is a hallmark of being filled with thought. For example, both Ehrenreich and Shipler’s texts move beyond revealing personal stories to address the systematic and structural causes and consequences of class divisions in our country. Additionally, both texts invite middle-class readers to recognize their often-unwitting complicity in systems that perpetuate the deep class divisions in our country and to work toward changing those systems. • Being filled with good humor. While care and thought require seriousness, a critical way of being also requires a willingness to recognize the ironic and contradictory aspects of life. Good humor means accepting uncertainty and embracing a willingness to “make it up as we go” (Deetz, 2005, p. 103). It means realizing that we can never “fix” social problems with a singular or final response, but we must act anyway to provide solutions (which are
Chapter 5: Critical Approaches to Organizations and Communication
inherently partial, partisan, and problematic). Although some may feel that despair is the most appropriate response to this ontological insecurity or fundamental openness, we believe that good humor, even laughter, is a more appropriate response. The critique of organizational inequities and laughter can go hand-in-hand (Trethewey, 2004). Critical scholars have explored the ways marginalized organizational members, including women, middle managers, secretaries, female clients in social service agencies, and male shop floor workers, have used humor to resist oppression and to create spaces of empowerment at work (Bell & Forbes, 1994; Collinson, 1992; Martin, 2004; Trethewey, 1997). These three modes of being can be harnessed in service of organizational empowerment and justice.
Summary Critical theories emerged when scholars recognized a lack of attention in previous scholarship to the pervasiveness of power and control in shaping members’ experiences of organizational life. The principal observation is that power in organizations is important because it is often exercised inequitably, resulting in the reproduction of organizational haves and have-nots. Critical approaches have moved away from economic explanations of power inequities to address the myriad ways that power operates through everyday communication practices like storytelling, language use, and the establishment of routine. With the collapse of progressive capitalism, critical approaches have become an ever-more-necessary counterbalance to organizational theorizing that privileges those who already possess some form of power (e.g., reward, coercive, referent, expert, or legitimate power), including managers, leaders, white-collar employees, and professionals. Critical approaches remind us, however, that power is more than simply the ability to get someone else to do one’s bidding. Power and its attendant inequities are also reproduced through ideology. Ideology both shapes and limits our social constructions of reality by providing a sense of what is good, right, and possible. Critical theorists point out that ideologies are never neutral; rather, ideologies serve some organizational groups and interests better than others. The functions of ideology include (1) representing sectional interests to be universal, (2) denying system contradictions, (3) naturalizing the present through reification, and (4) serving as a form of control. Ideologies rarely announce themselves, so critical scholars often tease out ideologies as they are manifest in organizational myths, metaphors, stories, and other cultural practices. Moreover, critical theorizing suggests that ideology is not only imposed on members from those in power; rather, through processes of manufactured consent and concertive control, employees often willingly participate in power systems that are not necessarily in their best interests.
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Recent trends in organizational communication research have focused attention on the power of organizational discourses and on the knowledge they enable and create. Borrowing from French social philosopher Michel Foucault, scholars have revealed how knowledge gathering and knowledge-management practices have increased the opportunity for organizational surveillance and discipline. Such heightened surveillance strategies find their most problematic expression in the technological panopticon. Critical scholars warn that we must find ways to use technology ethically if we are to avoid the most dangerous features of the technological panopticon. In addition to technology, critical scholarship has also emerged in the area of health communication to better understand, challenge, and transform how ideology and consent shape health-care encounters and employee wellness programs. While critical theorists are quick to point to the many problems and power imbalances in organizational life, they are also interested in how members of society and members of organizations can bring about positive change. The study of organizational resistance centers on challenges to power and control in contexts ranging from global social movements to individualized “micropractices.” And it reminds us that the role of the critical researcher is one that embraces care, thought, and good humor in service of organizational empowerment and justice.
Questions for Review and Discussion 1. What are the advantages and disadvantages of viewing organizational communication in terms of power? 2. Trace the historical roots of critical approaches. Do you think critical theorizing is still relevant today? Why or why not? 3. What are some different views of the nature of power in organizations? 4. What is ideology, and how does it both enable and constrain communication in organizations? 5. What roles do metaphors, myths, and stories play in maintaining and transforming existing power relations? 6. What is concertive control? What are some examples of concertive control that you have experienced as an employee or a consumer? 7. What is discourse? How are discourse and organizational knowledge related to one another? 8. What elements, if any, of the panopticon still exist in contemporary institutions? 9. What role does electronic surveillance play in the exercise of power at work? 10. Why is health care an important context for critical inquiry? What concepts from the chapter might provide the most leverage in terms of creating change in health-care contexts?
Chapter 5: Critical Approaches to Organizations and Communication
11. Of the forms of resistance discussed in the chapter, which ones have the greatest potential to effect change? Given what you have read in this chapter, why do you think resistance movements are not widespread? 12. What modes of being are encouraged by critical approaches to organizations? As a critical student of organizational life, what is the one issue or problem you are most concerned about? How is that issue or problem an outgrowth of ideology, hegemony, or concertive control? What can you do to transform that issue or problem?
Key Terms Concertive control, p. 149 Critical mode of being, p. 164 Critical organizational theory, p. 136 Discourse, p. 150 Global transformation, p. 160 Hegemony, p. 143 Ideology, p. 141 Knowledge management (KM) system, p. 152
Manufactured consent, p. 149 Myths, stories, and metaphors, p. 144 Panopticon, p. 151 Power, p. 140 Progressive capitalism, p. 137 Reification, p. 143 Resistance, p. 160 Surveillance, p. 151
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CASE STUDY I
Risky Business: Consent, Safety, and Firefighter Culture The Bay City Fire Department (BCFD) provides fire and emergency medical service to a major U.S. city and is widely regarded in the fire service community as one of the most advanced in the country. However, department leaders have become increasingly concerned about safety issues. For example, a firefighter was recently killed in a fire at a hardware store, two clients were killed in ambulance accidents, and several firefighters were injured when two fire engines collided. What most disturbs administrators is that all of these injuries and deaths could easily have been prevented if members had followed the standard operating procedures in which they were trained. For example, the firefighter who died did so when he and his peers were still trying to put out the fire from the inside even though they knew that potential victims had been rescued and that the building was already a total loss. The fire engines that collided were racing each other to a fire scene, competing to be the first truck on the scene, a common scenario. It’s not as if BCFD has failed to be “safety minded.” Many of the safety reforms implemented in fire departments nationally and internationally were first developed at BCFD, and members regularly participate in a variety of safety training exercises. However, there has been some resistance to the increased dialogue about safety. Some members actually believe that the department is too conservative in the way it manages fires. They want to stay in fires longer, fighting “the beast” and “getting it on” from the inside rather than using the “surround and drown” approach from outside. The union chief complained, “Don’t they call 911 because they want us to put out the fire?” Newer firefighters who have received the most safety training and claim to be more safety-conscious than senior members seem to be the biggest violators. Both of the ambulance deaths occurred while a second-year firefighter was driving, and two novice firefighters were nearly killed recently after disobeying orders to leave a burning building for safety reasons. Internal investigations revealed that the two stayed in the fire because they had been trying to melt their helmets. In the culture of the fire service, a disfigured helmet is a sign that one is a “real” firefighter because he or she can “take it.” Investigations have also revealed that novice firefighters have broken driving regulations in an effort to prove themselves as “real” firefighters, attempting to shield themselves from the “care bear” label often applied to those who staff the department’s ambulances.
Chapter 5: Critical Approaches to Organizations and Communication
Similarly, the investigation concluded that the two fire engines collided because the drivers were racing one another for the chance to arrive first on the scene of the fire and enter the blaze at its peak. The fire chief and his assistants aren’t sure how to handle these problems. The fire chief recently said in a staff meeting, “We are killing our customers as we try to help them, and we are killing firefighters for empty buildings that are going to be torn down anyway. I shouldn’t have to tell our guys that it’s not okay to die in a fire.” After years of trying to fix the problem with better training, they are beginning to think that training deficiencies are just a small part of the problem. Source: Scott, C. (2005). The discursive organization of risk and safety: How firefighters manage occupational hazards. Unpublished doctoral dissertation, Arizona State University.
Assignment 1. Why do you think firefighters are violating standard operating procedures? How might your response be informed by an understanding of ideology, manufactured consent, or discipline? 2. How does organizational discourse enable and constrain the occupational behaviors of these employees? 3. If you were an organizational communication consultant hired to increase firefighters’ compliance with safety procedures, what would you do?
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CASE STUDY II
The Brilliant Engineer Carl McKnight is an electrical engineer with twenty-seven years of experience at a major aerospace firm in California. During his long career, Carl has played many pivotal roles in the company, particularly in its contributions to the space program. He is well respected by his peers and has received a number of awards from both the company and government agencies for his work. Other than reading scientific journals and attending an occasional conference, Carl does not need to do much else to stay current in his field. He came to it as an electrical engineering genius. Even in college, he did not have to work as hard as other students to succeed. Recently, however, Carl has sensed that his technical expertise seems to carry less weight. In the past, his colleagues regarded his role in designing a new satellite or spacecraft component as crucial. Now, however, his comments are often met with groans. Carl is not sure what to make of this change, but he suspects that it may be related to changes in what customers are looking for in electrical and aerospace design. Carl feels that the customers are too willing to forgo cutting-edge design in exchange for lower cost. He is offended because his expertise, in a sense, has become irrelevant.
Assignment Apply what you have learned in this chapter about critical theory and related concepts to envision a future for Carl McKnight. When responding to the following questions, be sure to address the connections among sources of expertise, sources of overt and hidden power, and processes of overt and covert communication. 1. From his manager’s point of view, what plans should be made for Carl’s future? How can he best be made a part of the changing situation? 2. From his peers’ perspective, what is the best possible future for Carl? 3. From Carl’s point of view, what has happened, and what should happen next?
PA R T I I I
Contexts for Organizational Communication
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CHAPTER 6
Identity and Difference in Organizational Life
Organizations are primary sources of meaning in contemporary life. Through our attempts to coordinate our activities with others, we come to understand both who we are and who we might become. As we argued in Chapter 5, organizational communication often serves to create partisan meanings that privilege the interests of elites over the interests and concerns of the relatively powerless. Thus organizational meaning-making processes tend to create, emphasize, and value “differences that make a difference” as they are constructed around issues of race, sexuality, class, age, and gender. In this chapter, we take up meaning-making processes that center on difference in more detail. Specifically, we explore how some socially constructed differences (including gender, race, and class) are produced through everyday organizing. We will also examine the symbolic and material consequences of those socially constructed differences for organizational members. Our understandings of how we are both similar to and different from others shape our very sense of self, and this is particularly true in the context of organizational life. In short, this chapter centers on the concept of organizational identity. Identity is defined as how individuals position themselves in the world through language and action. First, however, we provide a historical context for current understandings of identity.
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THE HISTORY OF IDENTITY IN ORGANIZATIONAL COMMUNICATION The degree to which organizations have influenced and permeated personal life has varied throughout history. Prior to industrialization, notions of the self were largely fixed and unified; an individual’s self-definition came largely from his or her craft, locale, and family and did not vary much throughout the course of life. In contrast, classical management theories regarded the individual as an inhuman cog in a complex machine, a state accomplished through the bureaucratic separation of the personal and public selves. Bureaucracies sought to establish control over the public side of each employee, or the side related to work. This realm was called the individual’s “zone of indifference.” Consequently, throughout the industrial era (most of the twentieth century), employees identified their so-called real selves as existing mainly outside of the work setting and appearing only when the artificial rules and roles of work life were loosened. In recent years, powerful organizations have lost a great deal of their ability to directly control what individuals can become, thus allowing for a broader range of employee identities. Interestingly, many young people are seeking to reintegrate their work selves with their personal selves, producing a greater continuity of identity across public and private contexts. This trend is propelled by a growing desire for authenticity, or for being real and honest in how we live and work with others. Whereas earlier notions of identity referred to an individual’s ability to look inside oneself (or outside of one’s professional work) to find one’s real self, contemporary ideas of authenticity focus much more on the ethics and consistency of one’s behaviors. In other words, we must reveal our true selves not only in personal relationships and during our personal time, but also through our choices of professional and organizational affiliations. The motto for those who hold such beliefs might be something along the lines of the popular career guidance advice to “Do what you love!” Despite our attempts to achieve consistency across contexts, we are continually bombarded by media images from popular culture that offer infinite examples of competing identities. Think of the plethora of ways that the identity of “working mother” is represented in the media; clearly, there is no single or preferred identity represented across magazines (parenting magazines, fashion magazines, O: The Oprah Magazine), television programs (from soap operas to Desperate Housewives), films (Baby Mama, The Nanny Diaries), and books, such as Allison Pearson’s I Don’t Know How She Does It (2003). While there may be some common themes in all these representations — namely that women bear the burden of balancing work and life — there is no clear, consistent, and consensual model available. The same could be said for working fathers, organizational leaders, and successful employees. Thus most westerners’ identities tend to be both fluid and multiple, or what Swarthmore College psychology professor Kenneth Gergen (1991) describes as a state of “multiphrenia.” For most of us, this situation is complex, stressful, and at times tenuous
Chapter 6: Identity and Difference in Organizational Life
as we seek to establish core values that will serve us as we perform multiple, varied roles (e.g., student, parent, citizen, employee, fan, congregant, girlfriend, etc.). The proliferation of multiple possible identities makes it even more critical that we select some “horizons of significance” toward which to orient ourselves (Taylor, 1991). These horizons are the most critical values or beliefs about which we may be authentic; to paraphrase Dr. Martin Luther King, they are the content of our character. Not all identities, however, are equally welcome in the world of work. For many reasons, organizational members use identity markers to create and highlight differences between people. They then use these marked differences as reasons for treating them differently. The next section begins the discussion of how difference is created in organizations and its implications for individual and organizational well-being.
ORGANIZING DIFFERENCE IN ORGANIZATIONS As mentioned earlier, a significant goal of many organizations is to regulate and control their members’ identities. Matts Alvesson and Hugh Wilmott (2002), two European critical management scholars, describe several specific practices that organizations use to “make” members’ identities: 1. Defining the person directly. Those who are described as midlevel managers, as opposed to senior-level managers, have their leadership capacities curtailed, by definition. 2. Defining a person by defining others. Many organizational members create positive identities by contrasting their positions with the positions of others. For example, low-level hospice care providers who have little organizational status or authority often describe themselves as providing real, hands-on care, while describing registered nurses as paper pushers. 3. Providing a specific vocabulary of motives. Organizations often explicitly describe the motivations that drive their ideal employees. An elementary school that recruits and retains only those employees who care passionately about children and education provides employees with a road map for successful identities. For example, a “successful” teacher is one who does not request a higher salary or a stipend to buy items for his or her classroom. A successful teacher is “in it for the kids.” 4. Explicating morals and values. As discussed in Chapter 4, organizational cultures routinely offer employees an explicit set of guiding values, such as innovation, customer service, and efficiency, that they may use to craft or regulate their identities at work. 5. Knowledge and skills. Having specific knowledge (of the law or of medicine, for example) or having the skills necessary to execute a specific process
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6.
7.
8.
9.
or practice enables organizational members to define themselves in particular ways. Group categorization and affiliation. When organizations foster feelings of “us” and, often less explicitly, “them,” they generate feelings of community, belonging, and loyalty. Students, for example, who are integrated into the fabric of the university are more likely to retain spirited connections to their alma maters. Hierarchical location. One of the central ways that we answer the question “Who am I?” is by figuring out the superiority/subordination dynamics between ourselves and others. Those relations are often both symbolically and materially reinforced in organizations. Establishing and clarifying a distinct set of rules of the game. Organizational communication creates and naturalizes rules and taken-for-granted ways of doing and being. For example, specific ways of being a “team player” (e.g., working without complaint, not outdoing a superior, protecting teammates from mistakes) often serve to regulate employees’ behavior. Defining the context. Organizational leaders often define the environment in which employees operate. When globalization, excessive competition, and rapid and unpredictable change are said to mark the environment, then organizations tend to value those who are adaptable, aggressive, and entrepreneurial.
While organizations do, in fact, make explicit attempts to manage diverse identities, those efforts are not always entirely successful or seamless. For example, gender is a difference that makes a difference in organizational life, pointing to the complexities of identity construction. One group that has provided considerable insight into those complexities are feminist organizational scholars who study the impact of communication on public and private gendered identities. One of the key reasons that feminist organizational communication scholars have been interested in the question of identity at work is because of the marginalization women have experienced historically in public and organizational life, particularly through wage, access, and mobility inequities. In response, feminist research has attempted both to explain women’s marginal position and to develop alternative organizational structures, policies, and identities that enable women to participate more fully in organizations. Recent feminist scholarship also explores the intersections among gender, race, class, sexuality, and other aspects of individual and social identities. Most feminist scholarship on identity, particularly in the context of organizations, assumes that the socially constructed (and ideological) split between the public sphere of work and the private sphere of home has led to significant symbolic and material consequences for both men and women. Historically, men and men’s work have been linked to the public sphere and public organizational life, while
Chapter 6: Identity and Difference in Organizational Life
women and women’s work have been associated with the private or domestic realm. The public-private split has resulted in several implications for men and women in contemporary organizational life, including these: • The exclusion and control of women in the public sphere • The denial of women’s domestic work as legitimate and valued labor • The devaluation of feminized labor in the public sphere (e.g., nursing, teaching, and other caring professions) • The reduction of men’s participation in domestic work and family life • The construction of work-family conflicts as a private problem rather than a public or social issue (Ashcraft, 2005, pp. 153–154) Recently, feminists have adopted a number of different approaches to explore the implications of the public-private split of gendered identity. One direct outgrowth of their interest in this divide is focused attention on work-family conflict or, more recently, work-life conflict (Kirby, Golden, Medved, Jorgenson, & Buzzanell, 2003). The term work-life conflict refers to the simultaneous influence of work on members’ lives away from work — at home, at leisure, and in families and communities — and the influence of personal life responsibilities and aspirations on members’ experiences at work. Work-life conflict has been of interest to feminist scholars because women’s ability to successfully negotiate work-life balance and to craft satisfying identities is hampered by social constructions of gender that encourage women to take on significant duties in the private sphere, such as child care and domestic labor, once they get home from work (Hochschild, 1989). As feminist scholars are a diverse group, they approach this important topic in a variety of ways that offer a number of potential solutions for working women and men. Karen Ashcraft (2004), a leading feminist organizational communication scholar, outlines four approaches, or “frames,” that are particularly relevant to questions regarding the public and private spheres, work-life balance, and gender concerns. Work-life identities are ongoing accomplishments that are continually informed and constructed by discourses of gender, power, and organization. Yet each frame adopts a different way of considering the relationships among communication, gendered identity, and the organization. Each frame also constructs the “problem” of gender in a particular way and, in so doing, suggests a potential solution to the “woman question” at work. Interestingly, Ashcraft’s frames serve as a useful tool for discussing other differences that make a difference in the workplace — in particular, race and the way it is organized through communication. In the following sections, we take a close look at Ashcraft’s four frames of identity (gender differences at work, gender identity as organizational performance, gendered organizations, and gendered narratives in popular culture), using examples of work-life conflict research to highlight the ways that identities — both at home and at work — are affected, created, and transformed by organizational communication.
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□ Frame 1: Gender Differences at Work The popularity of certified family therapist John Gray’s (2002) book Men Are from Mars, Women Are from Venus attests to the cultural belief that men and women communicate in fundamentally different ways. The first frame assumes that gender is “a socialized but relatively fixed identity . . . organized around biological sex and which fosters fairly predictable communication habits” (Ashcraft, 2004, p. 276). Men and women’s communication styles, therefore, are outgrowths of gendered socialization and are made manifest in organizational contexts. The scholarship on gender communication differences supports this frame. Sociologist Deborah Tannen’s (1990) book You Just Don’t Understand: Women and Men in Conversation provides a comprehensive view of how gendered identities, learned in childhood, drive men’s and women’s conversational styles. Men treat conversations as a hierarchically ordered space in which they can demonstrate and vie for status; women treat conversations as a weblike space in which they can demonstrate and vie for connections. Men seek status by engaging in report talk, a style of speaking that emphasizes • • • • •
Demonstrations of knowledge, skill, and ability Instrumentality Conversational command Direct and assertive expressions Abstract terms over personal experience (Tannen, 1990)
Women use conversations to build relationships using rapport talk. Rapport talk emphasizes • • • • •
Demonstrations of equality through matching experiences Support and responsiveness Conversational maintenance Tentativeness Personal, concrete details (Tannen, 1990)
According to this literature, these different conversational orientations can lead to misunderstandings between men and women, who often experience the same conversation in very different ways. “Troubles talk,” or discussion of personal or professional problems, is one arena where men and women tend to adopt distinct approaches. Tannen claims that when women share their troubles with a conversational partner, they often hope to hear messages of support (“That must be difficult for you”), reciprocity (“I know how you feel; I remember when something similar happened to me”), and connection. When sharing their stories with other women, they often receive precisely those messages. However, when sharing problems with male conversational partners, women often receive solutions and directives (“You should just confront your colleague”). A woman might interpret a man’s instrumental approach to troubles talk as a move to cut her off or to diminish her experience.
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Similarly, when men engage in troubles talk with women, they are often disappointed with women’s tendencies to immediately match troubles. Such a conversational move is interpreted by men as simply wallowing in self-pity or complaining without taking action. Tannen (1990) suggests that the trick to conversational success is for men and women to learn to interpret one another’s speech styles in new ways and to develop a larger conversational repertoire so that it becomes easier to be heard by those who occupy different gendered speech communities. Early research on gender in organizational contexts sought to document men’s and women’s different communication styles and their effects on organizational processes and outcomes. In such studies, women’s seemingly tentative, self-deprecating, and inclusive speech was initially assumed to be ill-suited to the hard-driving demands of organizational life, and management in particular. Women’s communication style was perceived as preventing them from forming networks and moving up the career ladder (see, for example, a study by Reardon, 1997). More recent research suggests that women do not ask for things (e.g., raises, promotions, etc.) or negotiate on their own behalf as often or as forcefully as their male counterparts. The lack of this specific communication behavior can lead to fairly dramatic and troublesome outcomes. Consider the following example: Suppose that at age 22 an equally qualified man and woman receive job offers of $25,000 a year. The man negotiates and gets his offer raised to $30,000. The woman does not negotiate and accepts the job for $25,000. Even if each of them receives identical 3 percent raises every year throughout their careers (which is unlikely, given their different propensity to negotiate and other research showing that women’s achievements tend to be undervalued), by the time they reach age 60 the gap between their salaries will have widened to more than $15,000 a year, with the man earning $92,243 and the woman only $76,870. While that might not seem like an enormous spread, remember that the man will have been making more all along, with his extra earnings over the 38 years totaling $361,171. If the man had simply banked the difference every year in a savings account earning 3 percent interest, by the age of 60 he would have $568,834 more than the woman — enough to underwrite a comfortable retirement nest egg, purchase a second home, or pay for the college education of a few children. This is an enormous return on investment for a one-time negotiation. (Babcock & Laschever, 2003, p. 5)
Linda Babcock, an economics professor at Carnegie Mellon University, and Sara Laschever, a journalist, argue that women need to follow the assertive man’s lead and ask for what they deserve (2003). Failure to do so results in “molehills” (a one-time missed negotiation) becoming “mountains” (lack of a comfortable retirement). While much of the early research treated women’s communication style as a deficit or a liability at work, some scholars attempted to demonstrate the utility, perhaps even the superiority, of “women’s ways” of knowing, being, and leading. For example, women tend to think of organizations in terms of networks or webs of relationships, with leadership at the center of the web rather than on top of a pyramid (Helgeson, 1990). Further, in contrast to traditional models, narratives by and about women tend to value the following:
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• • • • • • •
Fluid boundaries between personal life and work life Relational aspects of work A balanced lifestyle A nurturant approach to coworkers A network of relationships within and outside the organization A service orientation to clients Work as a means of developing personal identity (Buzzanell, 2000c; Grossman & Chester, 1990; Helgeson, 1990; Lunneborg, 1990; Rosener, 1990)
With some notable exceptions (e.g., women’s asking behaviors), it is important to note here that the research on gender differences over the last three decades has yielded little empirically supported behavioral differences between men’s and women’s communication in organizational contexts (Canary & Hause, 1993). Yet even when men and women engage in similar behaviors, it is often made meaningful or interpreted in very different ways. What persists is a well-entrenched ideology of “gender differences” that continues to hold sway in the popular imagination. As a result, even when men and women engage in the same behaviors, those behaviors are interpreted differently in organizations that often privilege masculinity over femininity. As noted, this frame also provides a useful base for a discussion of race and difference in organizations. For example, over the past two decades, scholars have also explored communication differences between African Americans and European Americans. For example, Professor Michael Hecht and his colleagues explored African Americans’ perceptions of the features of successful and satisfying interethnic communication (Hecht, Larkey, & Johnson, 1992; Hecht, Ribeau, & Alberts, 1989). They found that African Americans desire expressiveness and authenticity, or “being real,” as important features of communication encounters (Hecht et al., 1989, p. 392). In a similar vein, Judith Martin, Sherri Moore, Michael Hecht, and Linda Larkey (2001) outline seven issues derived from previous research on African Americans’ and Mexican Americans’ accounts of satisfying and dissatisfying features of interethnic conversations. Those communication issues are presented in Table 6.1. Martin and her colleagues (2001) found that African American men and women faced these issues routinely in their organizational interactions and adopted a variety of conversational strategies in the workplace to make their interactions more productive and satisfying. For example, all the respondents said they had experienced the issue of stereotyping in the workplace. Their European American colleagues “assumed they could dance, were athletic, were from rough neighborhoods, or had experience with guns” (p. 15). In response, one participant said she, in turn, used the conversational strategy of educating her coworkers, since “White people often judge Black people (or rather all minorities) based on television portrayals.” Most African American participants indicated that because they were seen
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Communication Issues 1. Acceptance is described as a perception that the other accepts, confirms, and respects opinions and self. 2. Understanding is described as a mutual perception that meaning is successfully conveyed. 3. Expressiveness refers to the communication of feelings by both partners, reflected verbally and nonverbally. 4. Stereotyping involves communication in which the communication partner racially categorizes, rather than treating the other as an individual. 5. Powerlessness is described as feelings of being controlled, manipulated, and trapped as a result of the other taking charge and interrupting. 6. Authenticity refers to a feeling of genuineness and truthfulness communicated by meaningful exchange of messages on the part of both the interactants. 7. Goal attainment is the mutual realization of objectives through learning or listening, or obtaining desired ends from the communication. Source: Martin, J. N., Moore, S., Hecht, M. L., & Larkey, L. (2001). An African American perspective on conversational improvement strategies. Howard Journal of Communications, 12, 1–27.
as “different” in organizational contexts, their communication strategies were often designed to help them succeed in workplaces that are based on European American expectations and communication norms. Other studies suggest that there are significant differences between white women’s and African American women’s communication behaviors at work. In 2001, Professors Ella Bell and Stella Nkomo, from Dartmouth College and South Africa’s UNISA Graduate School of Business Leadership, suggested that African American women and white women both struggle to be successful in the workplace but that they take “separate paths” toward success. Similarly, Lynn Turner and Robert Shuter (2004) found that African American women and European American women use very different metaphors to describe their experiences of workplace conflict. One recent study summarizes some of the challenges black women face in the workplace, saying “because both their race and gender are beyond the norm in corporate America, black women, like other women of color, face the burden of being ‘double outsiders’” (Lott, 2009, para. 2). Black women are still understood as “different” in organizational contexts, but that “difference” may be a vitally important resource for organizations. According to Ancella Livers, executive director of the Executive Leadership Council’s Institute for Leadership Development and Research, black women’s inclusion at senior levels can “help heighten the chance for broader and more innovative approaches throughout the organization” because they “champion new viewpoints to companies mired in status quo thinking” (Lott, 2009, para. 5).
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□ Gender Differences in Work/Life The assumption that men’s and women’s communication styles are fundamentally different has implications for the ways that men and women negotiate their work and personal lives. Because women are assumed to be more nurturing and relationally focused, women’s caregiving at home has been viewed as a “natural” outgrowth of women’s love for their partners and children. As a result, women have often assumed greater responsibility for domestic labor, even when they work as many hours outside the home as their partners (Coltrane, 2000; Erickson, 2005). Sociologist Arlie Hochschild (1989) labeled this phenomenon the second shift. The term captures the significant labor that women perform in the private sphere for which they receive little compensation or gratitude (Hochschild, 2003). Current research suggests that women who work outside of the home typically still do twice as much routine housework as their male partners, despite the fact that men’s participation in household labor has increased slightly over the past several years (Coltrane, 2000). Not surprisingly, working women participate in fewer hours of leisure activity, including exercise, than their male partners, particularly in families with young children (Nomaguchi & Bianchi, 2004). Even in occupations with more flexible hours, gender inequities persist in the division of domestic labor. The new knowledge- and service-based economy and the development of the Internet have enabled many changes in the way employees accomplish their work lives. Communication technologies can free employees from working onsite, thus “extending the range of locations [and times] from which paid work can be carried out,” but technology can also be a “means of work invading the home” (Perrons, 2003, p. 69). Thus negotiating work-life balance becomes even more complicated as the boundaries between public life and private life become blurred. In one study, some women who used communication technology to perform their work found it to provide greater flexibility and “time sovereignty” that enabled them to combine “interesting, enjoyable, intellectually challenging and highly satisfying work with family life” (Perrons, 2003, p. 88). Yet the majority of women still experienced significant tensions between work and life, particularly among women with children or other caring responsibilities. So while communication technologies have created new ways of working, our ways of living have not caught up. Most families still rely on the female parent to negotiate child care and domestic labor, men are still wary of taking parental leave and using other familyfriendly policies, and children are still treated as an individual choice rather than a public good. These assumptions prevent many working women (and men) from creating the flexibility that is so sorely needed and desired by much of the current and future workforce (Stork, Wilson, Wicks, Sproull, & Vena, 2005). First Lady Michelle Obama has made work-family balance one of her causes and has focused public attention on the difficulty that women of all races have in juggling the demands of work and home. Perhaps not surprisingly given Mrs. Obama’s persuasive arguments, the first piece of legislation that President Obama
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signed made it easier for women to file discrimination claims against their employers. The first lady applauded the legislation, saying that it addressed “the needs of working women who are looking to us to not only ensure that they’re treated fairly, but also to ensure that there are policies in place that help women and men balance their work and family obligations without putting their jobs or their economic stability at risk” (Lewis, 2009, para. 4). In addition to her advocacy for work-life policies, Mrs. Obama also fights media stereotypes of African American women as “different” by her very presence as a successful working mother (Lewis, 2009). While this frame has the deepest roots in organizational communication research, it is problematic because it assumes that perceived differences between men and women or whites and nonwhites are innate, highlights those differences rather than similarities, and often reinforces the idea that white males’ ways of speaking and being are more powerful than others’, particularly in organizational contexts.
□ Frame 2: Gender Identity as
Organizational Performance While early research assumed that identity was a relatively fixed and stable effect of biology or socialization, later approaches treated gender as a communicative accomplishment or performance. Treating gender as a fixed biological or learned source of communication behavior overlooks the ways individuals create their gendered identities through communication in everyday interactions. Karen Ashcraft’s second frame foregrounds gender as an ongoing accomplishment, as an identity that is accomplished through “doing” rather than “being” (West & Zimmerman, 1987). Feminist scholar Judith Butler (1999) suggests that we do gender in and through everyday performances, or micropractices, that are carried out on the organizational stage. Micropractices are the moment-to-moment behaviors, actions, and communication messages that we use to bring ourselves into being in everyday life. Like actors who create their characters for the audience, organizational members enact a gendered self on the organizational stage, using gendered norms and expectations as scripts from which they improvise in everyday contexts (Goffman, 1959). From this angle, gender is not an essential or “natural” or fixed aspect of our identities, “but practices learnt and enacted in appropriate occasions” (Bruni, Gherardi, & Poggio, 2004, p. 407). Similarly, race can be conceived as a socially constructed and “artificial” identity category that members learn to enact and perform in their everyday organizational lives (Allen, 2007). In fact, Frame 2 suggests that gender and race — as well as sexuality and age (Fox, 2007; Trethewey, 2001) — are aspects of our identity that are negotiated and renegotiated anew each and every day, across a variety of contexts. Thus how a person performs masculinity or femininity, race/ethnicity, or sexuality will change, depending on the context. A study by Alexandra Murphy (2003) reveals how exotic dancers perform multiple forms of femininity in multiple contexts. On the stage, dancers (literally)
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embody a highly stylized and overtly feminine identity that is based on a caricature of male desire. As one dancer commented, to be successful, “you become whatever they [the customers] want you to be” (p. 314). Murphy reminds us that “she is not saying that the strippers are what the customers want them to be. They become or they perform what the customers want them to be” (p. 314). While clearly a job that requires a staged performance would demand that employees negotiate their gendered identity regularly, Murphy’s work also points to how dancers have to negotiate their identities in “backstage” contexts as well. For many dancers, negotiating an acceptable identity as a “good girl” with friends and family becomes equally complex. Dancers find ways of describing their work in strategically ambiguous terms (e.g., telling children that mommy works in a “big people’s place,” avoiding conversations about their work, or simply lying about what they do). Murphy’s research raises the question, why do organizational members go to such lengths to perform “appropriate” gender identities? The answer is that successful gendered performance is richly rewarded. Dancers who enact a “proper” feminine gender identity are rewarded with higher tips, and male oil rig workers who demonstrate stoicism in the face of work hazards and even injuries are more likely to retain their often precarious jobs (Collinson, 1999; Murphy, 2003). Those who fail to perform their gender correctly are routinely punished (Butler, 1988). Indeed, there are severe penalties for failing to enact or perform an appropriate organizational gender, including lack of upward mobility and less access to employment. Employees who embody a preferred gender identity and are more attractive than their average counterparts are more likely to receive job offers and higher starting salaries (Watkins & Johnston, 2000). While much of the research on gendered organizational performances has focused on white, middle-class women’s identity performances (Ashcraft, 1999; Brewis, Hampton, & Linstead, 1997; Murphy, 1998), scholars are also beginning to explore how women’s gendered identity performances are complicated at work by issues of race (Allen, 2005; Parker, 2003), class (Hughes, 2004), age (Trethewey, 2001), and sexuality (Spradlin, 1998). Patricia Parker (2003) documents the contradictions that African American women often experience between their own empowered self-definitions of African American womanhood and the social and organizational constructions that relegate them to a position of “difference” or “marginality” in organizational life. To craft successful identity performances, African American women must often • Seek and gain high-visibility projects • Exceed performance expectations • Use an acceptable (i.e., white, middle-class, professional) communication style • Obtain an influential mentor or sponsor (Parker, 2003) Because prejudice and discrimination are still unfortunate features of many organizations, these tasks are often challenging for African American women. Relying on
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other African American women in the community for support is another strategy for crafting successful identities at work (Parker, 2003). Many African American women develop networks outside their workplaces to help them navigate the difficulties of operating in dominant-culture organizations. Those external social support groups become a place where African American women can find emotional and social support and engage in authentic, less guarded conversations about work life. Another area of current inquiry that points to the performed character of identity is emotion labor. Emotion labor, a term made popular by Arlie Hochschild, refers to “a type of work wherein employees are paid to create a ‘package’ of emotions” (Tracy, 2000, p. 91). Hochschild’s early study of flight attendants (1983) revealed that the organization prescribed “feeling rules” for the flight attendants that made explicit the particular emotional displays or performances that the attendants were required to enact. Flight attendants’ main tool for ensuring that passengers enjoy the ride is their “happy face,” and flight attendants are encouraged not to drop this “tool,” even in the event of an emergency (Murphy, 2001, p. 34). From Hochschild’s perspective, emotion labor can be damaging over time as employees become estranged from their “real” feelings after performing “fake,” commodified, instrumental, and organizationally controlled feelings. Moreover, extensive emotion labor has been linked with increased stress and burnout (Tracy, 2000, 2005). Communication scholars have extended Hochschild’s early research by demonstrating that performed emotions, and their resultant organizational identities, are no less “real” than their seemingly “authentic” counterparts. Sarah Tracy studied the emotion labor performances of cruise ship employees and corrections officers. Her research revealed that in a very real sense employees, over time, become the characters they perform. Employees who are asked to “put on a happy face” at work, like cruise ship employees, come to understand themselves and their identity in those terms (Tracy, 2003). In one particularly troubling incident onboard, a female employee withstood rather blatant sexual harassment from a male customer because she wanted to maintain her “happy, smiling,” and gendered emotional display. Similarly, corrections officers, who are primarily men, are explicitly asked to demonstrate a suspicious and detached demeanor at work. These individuals often continue to embody that persona at home (Tracy, 2005).
□ Performing Gender Identity in Work/Life For many employees, emotion labor is a primary means through which they perform a gendered work(ing) identity. However, gendered performance continues after the workday comes to a close; it seeps into employees’ home lives as well as the “third spaces” between work and home (e.g., the gym, communities of faith, the Laundromat) (Oldenburg, 1999). David Collinson, a British critical scholar, found that shop floor workers embodied distinct performances of masculinity at work and at home. At work, the shop floor workers demonstrated a very public form of working-class masculinity that is characterized by cursing, reinforcing the value of physical labor
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as a symbol of honesty and integrity, emphasizing their (hyper)sexuality (e.g., telling tales of prowess), and “piss taking,” a form of macho joking with one another (Collinson, 1992, p. 115). At home, those same men enact a very different private role, however. They continue to perform what they believe to be the role of a real man, but they do so using different private strategies. They do not curse, many do not reveal their salaries or “wage packets” to their wives because to do so would undermine their breadwinner role, and they try to maintain strict boundaries between their lives at work and their lives at home. Unlike salaried managers, the shop floor men resisted and denigrated those (managers) who would “take work home” (p. 95); rather, as “masculine breadwinners,” they describe themselves as “free,” at least from the burden at work, once they clock out. Interestingly, however, those men described feeling much more comfortable and relaxed with their fellow workers in public interactions than with their own wives in private ones. Collinson concludes that such gendered identity performances tend to reproduce traditionally gendered scripts at home and class-based scripts at the office. Gendered performances may even be part of the work contract, as we saw in Hochschild’s study with the flight attendants who performed emotion labor. While Hochschild treated emotion labor exclusively as part of paid employment, others now suggest that emotion labor, though often overlooked, is a regular part of domestic labor at home (Erickson, 2005). Given cultural understandings of gender that position women as “naturally” caring, it is not surprising that women tend to bolster the emotional well-being of their partners and families as well as manage the “emotional climate” in relationships (Erickson, 2005, p. 338). One study found that those who construct their gender in feminine terms tend to do significantly more emotion work in their personal lives. Moreover, in that same study, the tendency “to conceptualize emotion work as work suggests that women recognized that they are held accountable for the performance of this work in ways that men are not” (p. 348). Like emotion labor at work, emotion work at home is a gendered performance that “does not just emanate from within, but must be managed, focused, and directed so as to have the intended effect on the care recipient” (p. 349). This important aspect of family work has often been excluded from studies of the division of household labor, and yet it is an ongoing and demanding gendered performance. This frame shines a spotlight on the everyday performances that make up gendered identities. The organization, however, remains a neutral stage on which those performances are enacted.
□ Frame 3: Gendered Organizations Frame 3 brings the gendered character of organizations themselves into sharp relief. Here, the assumption is that organizational forms or structures, “like gender identity,” are “constantly in process, brought to life, sustained and transformed by interaction among members. Simultaneously, organization guides interaction, predisposing and rewarding members to practice in particular ways” (Ashcraft, 2004,
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p. 281). The organization acts like an agent or a character that both produces and is a product of gendered scripts or discourse. Here, gender is a fundamental feature of organizations that affects identities in a variety of taken-for-granted ways. In a foundational essay, sociologist Joan Acker (1990) argued that far from being “neutral” backdrops, organizations are themselves gendered structures that reflect and reproduce patriarchy or the systemic privileging of masculinity. To say that an organization is gendered means that “advantage and disadvantage, exploitation and control, action and emotion, meaning and identity, are patterned through and in terms of a distinction between male and female, masculine and feminine” (p. 146). The gendered organization emerges out of at least five processes: • The social construction of divisions of labor, positions, and types of work along gendered lines. The types of work that women and men do are often differentiated in organizations such that women assume support roles and men assume leadership roles. • The social construction of symbols and images that reinforce gender divisions. Images of leadership often rest on a masculine model. • The mundane communication interactions between men and women, men and men, and women and women often reproduce gender divisions in ways that reinforce men’s (relatively) powerful position. Women’s speech is often presumed to be ill-suited to organizational life. • The ways in which individual actors often take up identities that reinforce the three processes described above. Career choices, style of dress, interaction patterns, and everyday performances result in gendered identities. • Gender is, then, a fundamental element in “organizational logic” or a “gendered substructure that is reproduced daily in practical work activities” (Acker, 1990). Through these processes, organizational structures, jobs, and even bodies are gendered in specific ways. For example, Acker argues that the dominant organizational logic creates a preference for a “male worker whose life centers on his full-time, lifelong job, while his wife or another woman takes care of his personal needs and children” (p. 151). Even management theory has often assumed that career paths unfold in upward, linear, sequential, and cumulative ways, with few breaks, disruptions, or interruptions. Feminist scholars suggest that, as such, the very notion of career has been biased in ways that have favored men (Ashcraft, 1999; Marshall, 1989). For women, embodying the “ideal” worker is difficult, as that which is associated with the private sphere and domesticity is excluded from organizational logic. Thus, “women’s bodies — female sexuality, their ability to procreate and their pregnancy, breast-feeding, and child care, menstruation, and mythic ‘emotionality’ — are suspect, stigmatized and used as grounds for control and exclusion” (p. 152). When domesticity, the private sphere, and femininity are devalued and assumed to be abnormal or less than ideal, organizational hierarchies come to reflect and reproduce those values. It is not surprising, then, that many positions involving
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care and support (e.g., administrative assistants, nurses, and human resources professionals) are treated as “women’s work” and often located near the bottom of organizational hierarchies. And even men who demonstrate a commitment to their family or other nonwork activities may be perceived as having less career potential. Acker’s model of the gendered organization has influenced many communication scholars who have studied its consequences. Patricia Parker’s (1997, 2003) research extends Acker’s model by suggesting that, in addition to being gendered, organizations are also “raced” and “classed” in ways that reflect and reproduce inequitable divisions in everyday organizational life (see also Allen, 2004, 2007; Allen & Ashcraft, 2003). Recruiting and promoting practices, for example, contribute, however unintentionally, to job segregation along gendered, raced, and classed lines. For example, young African American women may receive negative or indifferent messages about academic and career achievement from their teachers, counselors, and school administrators and are thereby discouraged from pursuing careers where African American women are underrepresented. If African American girls do successfully negotiate raced and classed school environments, empirical evidence suggests that they are often confronted with race-based discrimination during initial employment interviews (Holzer, 1996). One recent study suggests that while racial discrimination has decreased somewhat over the past two decades, African American men are still disadvantaged compared to similarly skilled white men, particularly when applying for jobs in organizations that assess social skills according to “ambiguous evaluative criteria” (Kim & Tamborini, 2006). The organizational logic that defines “whiteness” as the unspoken but pervasive norm also requires that African Americans prove to potential employers that they do not conform to racial stereotypes by adopting a “middleclass” persona, including appearance, style of dress, and manner of speech (Kim & Tamborini, 2006). Communication professors Mark Hopson and Mark Orbe (2007) examined the tensions that frame African American men’s experiences of organizational life as it is represented in three key historical texts, including Twelve Years a Slave, Invisible Man, and Rage of a Privileged Class. The tensions are largely the result of a normalized foundation of whiteness that characterizes our culture in general and most professional organizations. In other words, when whiteness and white masculinity, in particular, is the taken-for-granted backdrop, African American men’s identities and experiences are often filled with tension. To negotiate the tensions, African American men are encouraged to “Play the game, but don’t believe in it — that much you owe yourself. Even if it lands you in a strait jacket or a padded cell. Play the game, but play it in your own way — part of the time at least. Play the game but raise the ante” (Ellison, cited in Hopson & Orbe, 2007, p. 83). Organizations are a raced game that African American men must learn how to play, and “victory is constantly negotiated and never definitive” (Hopson & Orbe, 2007, p. 83). The gendered, raced, and classed character of organizations sometimes enables and often constrains the identities that employees and employers perform in their
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daily organizational activities. The gendered organization also extends its reach into nonwork arenas.
□ Gendered Organizations and Work/Life The gendered organization exists at an abstract and theoretical level, but it is manifest in very specific, material, and codified ways at the level of organizational policy. Policies centered explicitly on work-life issues, including family leave, flextime, and the “mommy track,” dictate both the organization’s and the employee’s rights, responsibilities, and privileges. Far from being simply legalistic and neutral, policies, too, can be read as gendered narratives and outgrowths of the gendered organization. Communication scholars Lori Peterson and Terrance Albrecht (1999) point out that maternity leave is often framed as a “benefit.” In so doing, policies treat maternity leave as a bonus rather than an automatic right, such as sick leave or vacation time. Whereas some employees can forgo sick leave or vacation time in favor of pay, “it would be a rare occurrence, indeed, that an employee would be paid for not taking a maternity leave” (p. 174). Moreover, pregnancy is often cast in policy texts as a sickness, disability, or limitation, rather than an important family and life event or process. This clinical, rational approach to pregnancy is further evidenced by the language of organizational documents. As Peterson and Albrecht note, “The neutral, rational tone of the text symbolizes the language of the public domain. . . . The language of emotion and nurturance . . . is part of the private domain and thus inappropriate for an organizational document” (p. 177). Peterson and Albrecht also note that leave policies — while involving the mother, the father, and the child — tend to focus on the mother/employee. Fathers and children are largely written out of the story. So rather than being “benign” documents, policies are a “discursive site where gendered identities are produced and reproduced” such that pregnancy is associated with organizational abnormalities, parenting is treated as a “women’s issue,” and domestic life is rendered less central than organizational life (p. 179). Professors Patrice Buzzanell and Meina Liu (2005) examined the experience of several women during their maternity leaves and found that many had difficulty maintaining a gendered identity that was valued, recognized, and rewarded. In their study, the authors suggest that organizations could develop more gender equitable policies by • Establishing an advocate in the human resources department who would assist women in their negotiations for leave, special accommodations, and career opportunities with their supervisors • Making parental leave policies unambiguous, automatic, and streamlined, so that they serve as a “baseline” from which case-by-case negotiations can proceed
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• Rewarding and promoting competent women while they are pregnant or on maternity leave or during their return to work • Providing flexible work schedules and [rewarding] employees for efficiency rather than extensive “face time” at work (Buzzanell & Liu, 2005) Fortunately, there are some organizations that are making system-wide changes to better accommodate and serve the diverse needs of their working men and women. Deloitte & Touche, an international accounting and consulting firm, recognized that the gendered character of their organization was resulting in a high turnover rate among its most highly qualified women and dissatisfaction among many of its employees, who felt they could not effectively balance work and life responsibilities. In response, the organization made large-scale changes in eight areas: child care, organizational culture, flexible schedules, generous parental leave policies, women’s advancement programs, total compensation, work-life culture, and family-friendly programs. As a result, the company has won numerous awards, including being named to Working Mother magazine’s “100 Best Companies for Working Mothers” for fifteen consecutive years (“2008 100 Best Companies,” 2008). These instrumental changes have nearly eliminated the gender gap in turnover and serve as a model for other organizations hoping to reduce gender inequality. As this example suggests, an important implication of Frame 3 is that it demonstrates that identities can usually not be changed simply through individual choices or performances; rather, the organizational systems, structures, and policies that reflect and reproduce gendered inequities must change. Feminist scholars and activists continue their attempts to design and implement equitable organizational structures and policies (Ashcraft, 2001; Martin, 1990, 1994). While fully feminist organizations are difficult to maintain, many of the principles they advocate have found their way into more mainstream organizations. At this time in our discipline’s development, we know little about how women and men of color negotiate work/life. As Professor Brenda J. Allen (2007) points out, “Organizational communication scholars rarely and barely investigate race” (p. 263).
□ Frame 4: Gendered Narratives
in Popular Culture Frames 1 and 2 focus on gendered individuals within organizations, and Frame 3 is centered on the gendered organization itself. Frame 4 directs our attention outside the organizational context to the broad social discourses that shape both gendered identities and gendered organizational forms. This frame “shifts attention from communication in organizations to communication about organization, or how a larger society portrays and debates its institutions and the very notion of work” and workers (Ashcraft & Mumby, 2004, p. 19). The assumption is that
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social texts that exist outside the organization, such as those found in popular culture, reveal and reproduce cultural understandings about the nature of work, life, and identity. In other words, the meanings we assign to ourselves, our work, and our organizations are significantly influenced by the texts — films, books, television shows, news reports, magazines, fashions, and even scholarship — we consume in our everyday lives. Social texts like these provide us with discursive fragments or raw materials for constructing our own gendered identities in everyday life. Think, for example, about how television programs like The Apprentice might influence a young viewer’s ideas about superior-subordinate relationships, the seemingly competitive character of work life, and the gendered nature of leadership (“You’re fired!”). Of the frames we have addressed thus far, Frame 4 is the most recent development in organizational communication theorizing and research. The few studies using this approach have traced representations of executive women and whitecollar masculinity in film and representations of working women in magazines (Ashcraft & Flores, 2003; Schuler, 2000; Triece, 1999). The most comprehensive study to date that adopts this framework is Karen Ashcraft and Dennis Mumby’s (2004) project that explores the historical emergence of contemporary understandings of airline pilots as (largely) white, male, middle-class professionals. Through a critical reading of diverse texts, including historical texts and images, museum displays, poetry, films, government documents, and personal interviews, the authors track the shifting identity position of pilots from the end of World War I to the beginning of the twenty-first century. After the war, popular images portrayed pilots as “hard-living, hard-drinking playboys” who “embodied distinctively masculine themes of physical and sexual prowess, individualism, debonair courage and rugged adventure, peppered with a dash of science” (Ashcraft & Mumby, 2004, p. 135). While romantic, appealing, and fascinating, the images did little to alleviate the public’s fear of flying, which was shaping up to be a new mode of public transportation. Perhaps not surprisingly, a new discourse emerged to ease the public’s concern. This discourse featured “lady-fliers,” “ladybirds,” or “lipstick pilots” who took up flying as a “graceful sport” and managed to fly airplanes while maintaining their physical grace and beauty. During the late 1920s and early 1930s, this discourse, which was reproduced in advertisements for beauty products and cigarettes, reassured the public that flying was easy (since women could do it!) and that planes were trustworthy. However, this discourse also proved risky and threatening to prevailing gendered assumptions. The lady-flier raised the possibility that, at least in the air, men and women could be equals. Rather than questioning the assumption that there really were few differences between male and female pilots, the public perception was that flying was simply easy or that it was not real work. The move to reestablish flying as a masculine activity emerged in the late 1930s and early 1940s. At that time, the airline industry was struggling to become
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profitable and was looking for ways to ensure long-term viability. The lipstick pilot heightened interest in flight, but not necessarily as a safe and reliable form of transportation. So the airline industry created a public relations campaign designed to give pilots a “makeover” (Ashcraft & Mumby, 2004, p. 147). The body of the pilot was remade in the image of the authoritative sea captain, complete with uniform. The new bureaucratized pilot was explicitly white, male, professional, and disciplined. Indeed, fearing that nonwhite pilots would damage the image of the “cleancut Anglo-American type” pilot that the airlines were trying to create, the Air Line Pilots Association adopted a “formal whites-only clause until 1942, retaining a tacit prohibition against pilots of color for sometime thereafter” (p. 147). This new image commanded professional privilege that is, in many ways, still unmatched. While the professionalized, racialized, and masculinized pilot garnered public and federal support, secured a professional monopoly, and institutionalized high salaries, the lady pilot did not disappear entirely from view. She simply was moved from the aptly named cockpit to the cabin, where she was transformed into a domesticated and feminized stewardess. It is that model that still frames current understandings of gendered relations, identities, and the division of labor in the aviation industry. Ashcraft and Mumby’s analysis using the fourth frame productively moves between historical and contemporary texts and between micro- and macro-discourses as they affect, in material and symbolic ways, individual and collective identities.
□ Gendered Narratives of Work/Life In an increasingly media-saturated world, we are routinely bombarded with cultural texts that offer representations of work, workers, and work lives. A Frame 4 approach to work/life explores how popular texts shape identities in the larger culture and how those culturally conditioned identities affect work life. For example, many scholars suggest that a growing force in popular culture is consumption (Schor, 1998). Consumption is a cultural practice through which individuals craft a self. Our consumptive choices regarding work (e.g., cell phones, PDAs, laptops, vehicles, dress) speak volumes about how we wish to show ourselves to family, friends, and colleagues. In another example of culturally conditioned identity and its impact on work/ life, Majia Nadesan and Angela Trethewey (2000) examined how the discourse of the burgeoning self-help industry — as revealed by the growing number of books on women’s workplace success — articulates the internal (cognitive) and external (embodied) “barriers” that prevent women from achieving their full potential while offering advice on what women can do to overcome these obstacles. These popular success texts often presume that young women are wary of power, conflict, and success in professional environments. Thus women are encouraged to develop strategies to overcome their internal barriers and also to mold their external images,
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through dress, makeup, and comportment, to match or approximate the organizational ideal. In addition to revealing the prescriptions offered to working women in the popular success literature, Nadesan and Trethewey’s (2000) study also described how individual professional women often reinforce and sometimes resist the identity positions outlined by such literature in their everyday practices. Several women in their study, for example, bemoaned the fact that women, unlike men, have never learned to separate business and friendship, confront conflict, or engage in competition. Thus the participants claimed that women get bogged down in relationship maintenance at work in ways that their male counterparts do not. In so doing, these women reproduced the notion that is so common in popular success texts that men are more “naturally” suited to the demands of organizational life. And yet, even while expressing misgivings about “feminine” relational orientations, many of these same women also value themselves and others for building relationships, despite the fact that it takes time, energy, and effort and is not often explicitly valued either in the popular success literature or in their workplaces. This research indicates that popular texts are identity resources that real women employ in their attempts to perform appropriate, successful, and “entrepreneurial” workplace identities. Through a variety of popular texts, employees are increasingly encouraged to treat the self as an enterprise, an ongoing project, and even a brand that can be managed (Gill & Ganesh, 2007; Lair, Sullivan, & Cheney, 2005). The entrepreneurial self, so pervasive in popular culture, “relies upon the image of an independent, resourceful, creative, and aggressive professional. This person is expected to be agile in a fluctuating job market, responsive to any opportunities, self-motivating and self-promoting” (p. 318). And the best way to do this is to literally turn one’s self into a value-added commodity, or a personal brand. Even stay-at-home mothers are adopting this strategy by defining themselves as “family CEOs,” developing family “mission statements,” and treating the family as an enterprise (Medved & Kirby, 2005). While this model may, in fact, increase the likelihood of workplace success, it has rather problematic implications for success in other spheres. First, the entrepreneurial self, in a constant bid to enhance one’s personal brand, often sacrifices family and relationships to work. Second, while the popular texts that espouse personal branding imply that everyone is equally able to create a successful “brand,” personal branding encourages women to get ahead at work, work as hard or harder than their male counterparts, and reach for the top but also to look womanly, take care of their external appearance, be there for their children and husbands (if a woman has them — but recognize that if she does, she may not be viewed as a 100% company woman), and routinely act in the caretaker role at work. (Lair, Sullivan, & Cheney, 2005, p. 328)
This is a tall order that few can achieve, and yet the popular narrative places the blame squarely on the woman’s shoulders if she fails to achieve the entrepreneurial ideal.
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One recent study by critical media scholar Amy Hasinoff (2008) unpacks how African American women are encouraged to embody the entrepreneurial ideal in ways that are perhaps more complicated than they might be for their white counterparts. In her analysis of the television program America’s Next Top Model, Hasinoff argues that race is made hypervisible, but in a very specific way — as an aspect of a model’s identity that can and should be managed and treated as a “malleable commodity” for sale. While the show is one of the most racially diverse on television, it also tends to “commodify and sexualize women of color,” while promoting “the models’ transformation of their racial identities through . . . discourses of personal responsibility, choice and flexibility” (Hasinoff, 2008, p. 326). Specifically, Hasinoff demonstrates how Danielle, an African American from the rural South, is admonished by the judges to refashion her identity into one that reflects urban “hip hop glam” by dropping her accent and proving her ability to compete and overcome obstacles. When Danielle wins and becomes “America’s next top model,” the moral of the story for viewers is that race is “structurally irrelevant” and, instead, that “individual responsibility, the necessity for workers to become flexible to the demands of the market, and the need to continually undertake projects of individual self-improvement” are the means to success at work/life. These popular texts rarely address the ways that culture, organizations, and families make many unrealistic demands on working women. The personal branding texts and programs like America’s Next Top Model similarly ignore the difficulties that aging, disabled, minority, or working-class individuals may face in creating a “winning” personal brand that is based on a white, middle-class, male model. Indeed, it is often the case that successful entrepreneurs rely on working-class, third-world individuals to take on the burdens of the domestic sphere — including child care, housework, and yard maintenance — so that they can focus on success in the public sphere (Flanagan, 2004). Thus backstaged others often make significant, though undervalued and unrecognized, contributions to what appears to be an individual’s success at work. Finally, Frame 4 assumes that although popular culture affects individual identities by offering resources through which individuals can craft identities, those narratives are rarely adopted wholesale. Moreover, this frame develops a historic and holistic understanding of gendered discourse as it encourages scholars to trace the emergence of particular identities in popular culture. Such analyses of popular culture may encourage individuals to be more critical consumers of cultural identity narratives. In short, individuals have the power to adopt, reject, and even transform the social narratives that guide them. Or, as H. L. Goodall (2004) asks, are you a character in someone else’s story, or are you the author of your own? The Everyday Organizational Communication box on page 196 asks you to explore how you “frame” your identity as a college student. Table 6.2 summarizes the four frames. Clearly, these frames provide four very different models of identity. We believe that having a broad repertoire of models to apply to organizational life provides a wider set of possible points of intervening, transforming, and crafting empowering identities in organizational contexts.
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TABLE 6.2
Four Frames for Communication, Organization, and Gendered Identity Frame
View of Communication
View of Gender
View of Organization
Illustrative Scholarship
1. Gender Differences at Work
Communication styles are an effect of gender
Individual identity is socialized and stable
Physical site of work where predictable communication patterns are manifest
Gender differences in organizational communication styles; women in management
2. Gender Identity as Organizational Performance
Everyday interaction is influenced by social scripts and narratives
Individual identity is constantly negotiated; an effect of discourse
Physical site of work where gender identities are continually produced and reproduced
“Doing gender” at work; routine performance of masculinity and femininity in organizational life
3. Gendered Organizations
Gendered narratives are embedded in organizational systems, structures, and policies and enacted in everyday interactions
Individual and collective identity is a process and product of organizing
Subject and object of gendered discourse; physical site of work
Organization as gendered; feminist forms of organizing
4. Gendered Narratives in Popular Culture
Gendered narratives are embedded in cultural/societal representations of organization
Identity is a process and object of gendered social discourses
Gendered labor relations are produced in sites external to the organization, particularly popular culture
Popular culture as gendered; cultural studies of gendered organizations
Source: Adapted from Ashcraft, K. (2004). Gender, discourse, and organization: Framing a shifting relationship. In D. Grant, C. Hardy, C. Oswick, & L. Putnam (Eds.), The Sage handbook of organizational discourse (pp. 275–291). London: Sage, p. 286.
INTERSECTING IDENTITIES IN ORGANIZATIONS While the four frames provide a useful set of lenses to better understand and dissect questions of identity in organizational life, their focus on gender tends to eclipse the importance of other social identity categories and the ways those categories intersect in interesting ways. While we may choose to focus attention on gender, race, age, or sexuality as analytic categories, in practice, as we have indicated
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EVERYDAY ORGANIZATIONAL COMMUNICATION
“Framing” Your Identity in College The following quotation is an excerpt from a blog written by a recent college graduate who returned to her alma mater to find a large-scale campus reconstruction project in the works: When I think about how I changed in college, about the person I was when I started versus the person I was when I finished, it’s fitting that I was there to witness and participate in such a reconstruction. Because, those four years brought on a rebuilding project of my own. At every turn, it seemed, ground was being broken on an old site of my ignorance or my immaturity. And while the reconstruction process was costly and painful, the end result is something that is more functional, more useful, a more practical structure for its intended purpose. It was messy but oh, so necessary. (“How Now, Wit?” 2006)
As this recent graduate indicates, college can be a time of great transition for many students as they learn new perspectives and develop new interests and friendships; some may even begin to experience adult responsibilities for the first time; still others learn a new juggling act in balancing work, family, and school. Given these changes, it is not surprising that college is also a time when many students begin to develop new facets of their identities and shed others. A resource guide to the first-year experience at Minnesota State University at Mankato puts it best: As students ask themselves, “Who am I and who do I want to become?” they may also try out new values and experiment with new roles. They may seek out new challenges or take risks, small and large, that they have not tackled before. For some students, this means adopting a new image — different clothes, different friends; for others it may mean testing out new behaviors. Still others will be confronted with new views on politics, morality or religion and may consider adopting a new view for a short time or for longer. (“College Transition,” 2006)
Think back to your first few days on campus. How are you a different person today? How are you similar to the person you were that first day on campus? In the discussion questions below, use the four frames we have discussed in this chapter to help you analyze how your own identity was influenced by your new environment and how you actively enacted and embodied a work-life identity in your new context.
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Discussion Questions 1. Frame 1 Questions: What were the key differences that made a difference to you in your interactions with others on campus? Did those differences center on gender, age, race, ethnicity, sexuality? What assumptions did you bring to your interactions that were based on presumed differences? 2. Frame 2 Questions: How did you perform your identity in a new environment? What aspects of your identity did you foreground in your interactions with your new peers? What aspects of your identity did you highlight in your interactions with your friends at home, your colleagues, your family, or your professors? Did those performances always mirror one another, or were they quite varied across contexts? How were your identity performances scripted for you by the new context? How did you challenge those taken-for-granted scripts? 3. Frame 3 Questions: What about your university’s policies and practices influenced your emerging identity? How did the dominant organizational narrative, as manifest in structures, policies, and practices, create conditions for you to develop new facets of your identity? How did the organizational narrative prevent you from developing new facets of your identity? 4. Frame 4 Questions: How did you develop preexisting ideas about what it meant to be a student? What cultural texts did you rely on to help you craft a narrative of the self when you arrived on campus? Did those cultural representations of student life enable or constrain your ability to create a successful identity? How does your own identity work reproduce and/or challenge the texts of student life that are found in popular culture?
throughout this chapter, organizational members live, experience, and negotiate particular aspects of their identities in relation to a variety of other identities, including aged, raced, classed, and sexed identities (see What Would You Do? on page 198). In our discussion of the four frames, we saw examples of ways that race and class complicate an easy analysis of gender in organizational contexts. In this section, we explore the concept of intersecting identities, or the complex, fluid, and sometimes contradictory ways in which multiple social identity categories (including gender, race, class, age, ability, sexuality, and others) combine.
□ Negotiating Multiple Identities Power and ideology affect how various aspects of one’s social identity are valued. Within most organizational settings, “members tend to enact dominant norms and
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WHAT WOULD YOU DO?
The Secret Identity of an English Professor It’s Thursday morning and Michael Carter, an assistant professor of English at a large research university in the Midwest, sits at his desk and looks at the mounting pile of student papers that he needs to grade. But Michael is not resentful — he loves his work and was overjoyed at landing a tenure-track position in a competitive, overcrowded field. Even though he has two Ivy League degrees, numerous teaching awards, and several prestigious publications, Michael knows that he is lucky to have any job at all — let alone one at a solid school located only two hours from his wife’s family. Michael vows that he will never again face the exhausting academic job search and interviewing process. He must work hard to earn tenure. It is the only way to secure a permanent academic position. Fortunately, Michael is well on his way to making himself an invaluable member of the English department. He is well respected by his colleagues and his students, and he has earned a reputation for being dedicated and hardworking. Michael frequently volunteers for academic committees and departmental projects while still teaching three courses a semester (one of which he designed from scratch) and working on a book project that he hopes will end in a prestigious publication with a university press. He works long hours grading papers, advising students, and socializing with department faculty. But Michael has a secret. Approximately three years ago, while he was finishing his dissertation, he began to experience episodes of trembling, dizziness, and blurred vision. He attributed these episodes to stress (and to staring at a computer screen all day!), but gradually the bizarre symptoms began to increase — and new ones formed. Fearing that his job was destroying his health, Michael sought professional help to learn to control the symptoms. He was, however, met with an extremely shocking and upsetting diagnosis: multiple sclerosis (MS), a disease of the central nervous system that can, in some cases, lead to paralysis, difficulty in communication, and cognitive challenges. Michael’s doctors informed him that he should, by all means, continue to work and lead a normal life. But they warned him that he may suffer from fatigue (particularly as MS treatments can sometimes cause flu-like symptoms) and that he may need to cut back on a few of his time-consuming commitments. Thinking about the possible progression of the disease, Michael knows that he may also need to request special accommodations from his employer, as guaranteed by the Americans with Disabilities Act. In his mind, Michael knows that his university cannot discriminate against him for suffering from an illness. But he also knows that his job is not secure
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until he receives tenure, and he worries that his colleagues will view him as useless if he doesn’t volunteer for committees and develop new courses. He worries that his teaching evaluations will suffer if he takes too long to return papers — even if he has a valid, medical reason for taking time for his personal health. He considers keeping his news a secret from his colleagues and supervisor, hopefully until after he is tenured or until a time arises that they need to know his situation. What should he do? What would you do if you were in his position?
Discussion Questions 1. Consider the positions of power that Michael has enjoyed. He is a young, white, heterosexual man with a prestigious education and job. How might his sense of power change when his privileged position intersects with an illness or disability? 2. Should Michael tell his supervisor and his colleagues about his condition? Should he tell his students? Why or why not? If you were Michael’s friend, how would you advise him? 3. If Michael shares his condition at work, what types of struggles might he find in negotiating multiple identities? If he keeps his news a secret, will he encounter similar struggles?
communication styles during everyday interactions. As a result, organization members may negatively judge persons who do not meet (or do not seem to meet) expectations related to white, middle-class values and attitudes” (Allen, 2003, p. 86). While organizations have traditionally favored masculinity, issues of class, race, age, and ability also affect how individuals are able to enact a valued identity at work. An aging middle manager who has had a fairly successful career may find that he is increasingly compared to younger men who are described as being more “hungry” and having more energy, drive, and fire. Likewise, while a white, professional manager may find her femininity challenged in some organizational contexts, her privileged class status, ethnicity, and heterosexuality may enable her to negotiate a successful and (relatively) powerful identity at work. In many ways, her ability to embody a satisfying and valued sense of self is enabled by an ideology of white supremacy or an institutionalized though often unintentional belief in white superiority (Allen, 2003). Similarly, a Latino middle manager may have access to structural power as a decision maker but may also find that he has to carefully guard his personal life as a gay man of color so as not to lose status at work, where white heterosexuality is the assumed norm (Spradlin, 1998; Ward & Winstanley, 2004).
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These examples point to the complexity of identity negotiations in organizational contexts. Clearly, relying on simple binary categories (e.g., men/women) fails to capture the dynamic, fluid, communicative, and “crystallized” character of contemporary workplace identities (Tracy & Trethewey, 2005). Intercultural communication professors Judith Martin and Tom Nakayama (1999) remind us that identity can be better understood as a dialectical and sometimes simultaneous process of privilege and disadvantage that is produced and reproduced in everyday conversations, organizational practices, and cultural texts. Negotiating multiple identities simultaneously is an ongoing project for most individuals. That negotiation process often takes on heightened importance for some organizational members, particularly for those who are other than the assumed norm. First-generation college students are one such group. Mark Orbe, a professor of intercultural communication and women’s studies at Western Michigan University, studied the complex ways that first-generation college (FGC) students negotiate their identities. Often, though not always, FGC students are more economically disadvantaged than their second-generation counterparts. They also tend to have lower SAT scores, make the decision to attend college later in their high school careers, choose less selective colleges, receive less support from their parents, tend not to participate in student groups, and tend to work more hours outside school than second-generation college students. Not surprisingly, college often feels like an “alien culture” to many FGC students (Orbe, 2004, p. 132). Moreover, those students must also negotiate the issue of marginality, or feeling like their identities are not like those in the “center” or the dominant group both at school and at home as they “work to bridge the worlds of their homes/families/ neighborhoods and college life” (Orbe, 2004, p. 132). In the context of home, many of the FGC students in Orbe’s study enjoyed special attention from friends and family members when they visited for weekends or school breaks. At the same time, however, many (particularly African American FGC students) felt the burden of being “the one who made it out” of a disadvantaged neighborhood or family situation, having moved on from the community to “bigger and better things.” While their privileged status as a college student can bring accolades, it can also generate jealousy and make others back home feel threatened. Thus FGC students must walk a fine line between highlighting and downplaying their college status at home in their everyday micropractices or performances of identity. Despite being known as first-generation students at home, FGC students tended to keep this information private in the context of campus (or work). Being the first in the family to attain a higher education is not noted as a position of privilege; it is not an identity category that is immediately “marked” by others. In fact, many study participants felt that first-generation status is imbued with negative connotations and were therefore unlikely to foreground that aspect of their identities in interactions with peers and professors (Orbe, 2004). While Orbe (2004) did not employ the four frames we have used to discuss identity in organizational and home contexts, those frames may prove useful in fur-
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ther explorations of college students’ identity challenges and opportunities. This study attended most closely to identity performances among college students (Frame 2). Other research conducted from a Frame 3 perspective might explore how universities and colleges are structured in classed ways that assume students are familiar with, are equipped for, and have the material resources available to be successful in college life. Finally, a Frame 4 lens on college student identity might examine how student identities are represented in popular culture in film (e.g., Animal House, Harold and Kumar Go to White Castle, Van Wilder), television (Tommy Lee Goes to College, The Real World ), and books (I Am Charlotte Simmons, Prep) and how those representations influence first-generation college students’ decisions about, and performances in, school.
□ Communicating Multiple Identities As symbol users (and abusers), human beings use communication to construct their own and others’ identities. In this chapter, we have pointed to the ways that interpersonal interactions, organizational structures and policies, and larger social discourses of power shape, privilege, and disadvantage different social identities as they are enacted at work and in life. As Brenda Allen (2003) says, difference matters. How difference matters is up to us. Thoughtful and responsive communicators will make conscientious decisions about communicating in ways that value difference, resist stereotyped assumptions about particular social identities, acknowledge the power of communication, and foster agency (Allen, 2003). Allen offers three specific strategies that enable individuals and groups to better communicate multiple identities: 1. Be mindful. When you communicate with others, be conscious about your own responses. It is helpful, though often difficult, to note your own privilege. What are the ways in which your social identity is privileged or valued in the communication context? How might your own privilege influence the responses you have to others? Are your attitudinal and behavioral responses based on stereotypes or other socially constructed assumptions? If so, consider the ways you might reframe your approach. 2. Be proactive. When you communicate with others, take the initiative to create positive changes or be “response-able” (p. 193). For example, once you are mindful of the ways you are privileged, you can use your privilege to mentor, network with, or support those who are less so. Alternately, you might put the person as a unique and complex individual first rather than foregrounding and responding to a noticeable identity category (like gender, race, or ability). If you are in a position of power, you might try to be more flexible in your role. As a “child-free” manager, you might look for more ways to be responsive to employees who are parents of young children. Being proactive means responding to behavior that is discriminatory or inappropriate
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(e.g., not laughing at racist jokes). There are many ways to be proactive; your challenge is to become more “response-able” each and every day. 3. Fill your communication toolbox. The most “response-able” communicators are those with the widest array of tools or the broadest communicative repertoire. Utilizing effective listening and critical thinking, building persuasive arguments, using theories in applied contexts, creating the space for real dialogue, and balancing the constraints of any given situation with the needs (or the creativity) of the parties involved are all potentially useful skills for bridging differences at work and in life. We encourage you to use your tools well in the service of creating richer and more fulfilling identities for yourself and for others.
Summary Difference is created, reinforced, rewarded, and transformed in organizational life. While early theories of identity assumed that the self was fixed, unitary, and essential, more recent identity theories explain identity as a dynamic product of ongoing communication processes. While identities or differences are now viewed as more fluid, it is still the case that some identities are more valued in organizational contexts than others. And organizations engage in a variety of strategies to encourage members to align their identities with the organizational ideal. Feminist theorists have long been interested in identity issues in organizational life because gender-based differences have been used to justify women’s exclusion from various aspects of public, organizational life. As a result, women’s ability to successfully navigate and create effective identities that transverse the boundaries between private (home) and public (work) life has been compromised. Karen Ashcraft’s four frames of identity highlight the various ways that scholars have conceived of the relationship between gender, communication, and organizations. These frames also provide a useful lens for helping us think through work-life issues. Frame 1 suggests that gender identities are products of biological or socialized differences that are manifest in different communication styles and are evidenced in organizational behaviors. Frame 2 suggests that gender identities are ongoing accomplishments that are performed into being in and constrained by organizational contexts. Frame 3 moves beyond the individual to suggest that organizations themselves are gendered by structures, policies, and practices that produce and reproduce gendered scripts. Finally, Frame 4 points to the ways that larger social discourses, including popular discourses, represent organizations, organizational actors, and notions of work in ways that affect how individuals make sense of, experience, and perform gender in their everyday lives. These four frames help us think about issues of identity, difference, and gender in a variety of ways. Having the ability to view identity through multiple lenses also suggests that there may be a variety of useful responses to dilemmas based on gender or work/life.
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Ashcraft’s four frames can be usefully extended to better understand other “differences that make a difference” in organizations, including issues related to race and class. Specifically, we discuss how understanding identity is complicated and nuanced by addressing the many ways that multiple identities intersect in organizational contexts. Finally, we offer three strategies for communicating multiple identities, including being mindful, being proactive, and filling your communication toolbox.
Questions for Review and Discussion 1. What are the ways in which organizations routinely seek to regulate and control members’ identities? Is identity regulation a legitimate organizational concern? Why or why not? 2. Describe the public/private split. What do you think are the most problematic outcomes of this socially constructed split for men and women? 3. Frame 1 suggests that gender differences exist. Do you believe that to be true? Explain. 4. Frame 2 argues that gender identities are performed. How do you perform your gender in your everyday life? What aspects of those performances are useful or beneficial? What aspects are problematic? How might you transform your gender identity by engaging in different performances at home and at work? 5. Frame 3 suggests that the “ideal worker” is masculine. Is that true across all organizational contexts? Where and how is that ideal challenged? 6. Frame 4 asks us to consider how popular culture affects our understandings of work and life. What are the popular culture images that have had the greatest impact on your understanding of gender at work and in life? 7. What are some of the strategies you use to successfully enact and embody multiple and intersecting identities every day in work and in life? How do the concepts presented in this chapter help you do that more successfully?
Key Terms Authenticity, p. 174 Consumption, p. 192 Emotion labor, p. 185 Identity, p. 173 Ideology of white supremacy, p. 199 Intersecting identities, p. 197 Marginality, p. 200
Micropractice, p. 183 Personal brand, p. 193 Rapport talk, p. 178 Report talk, p. 178 Second shift, p. 182 Work-life conflict, p. 177
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CASE STUDY
Rx for Sales: Recruit Cheerleaders! Gendered identity performances are increasingly gaining the attention of savvy organizational recruiters as well as organizational theorists, as noted in “Gimme an Rx! Cheerleaders Pep Up Drug Sales,” a New York Times article detailing the success of young, beautiful, fit, and personable former NCAA female cheerleaders in obtaining positions as pharmaceutical sales representatives (Saul, 2005). In 2004, Gregory C. Webb founded the employment firm Spirited Sales Leaders (which maintains a database of thousands of cheerleaders interested in sales positions) because “so many cheerleaders were going into drug sales” (Saul, 2005, para. 13). With top-performing salaries and bonuses averaging between $50,000 and $60,000 a year, as well as the use of a company car, there is no denying the appeal of such a job for recent college graduates. But why are pharmaceutical companies particularly interested in hiring female cheerleaders? Webb notes that cheerleaders are now “high-profile people” and “the top people in universities”; T. Lynn Williamson, a cheerleading adviser from the University of Kentucky, says that cheerleading teaches prospective sales representatives the skills they need to succeed on the job: “Exaggerated motions, exaggerated smiles, exaggerated enthusiasm — they learn these things, and they can get people to do what they want” (para. 10). Critics, such as Dr. Thomas Carli from the University of Michigan, however, note that pharmaceutical companies are clearly utilizing beautiful women to seduce male doctors into buying their products. Jamie Reidy, a former sales representative, recounted a notable sales call with a very attractive female colleague: ‘At first’ he said, the doctor ‘gave ten reasons not to use one of our drugs.’ “But,” Mr. Reidy added, “she gave a little hair toss and a tug on his sleeve and said, ‘Come on, doctor, I need the scripts.’ He said, ‘O.K., how do I dose that thing?’” (para. 26). Naturally, recruiters from the pharmaceutical industry often deny that attractiveness has a role in their decision making: “People hired for the work have to be extroverts, a good conversationalist, a pleasant person to talk to, but that has nothing to do with looks. It’s the personality,” said Lamberto Andreotti, the president of worldwide pharmaceuticals for Bristol-Myers Squibb (para. 20). Certainly in the short term, these new reps recognize the competitive advantage they enjoy due to their former cheerleader status. One downside to this otherwise potentially lucrative career is that male physicians’ responses to perceived “cheer”fullness (e.g., attractiveness, enthusiasm, exaggerated smiles and body motions) range from appropriate professional conduct to clearly inappropriate behavior. In fact, an “informal survey, conducted by a urologist in
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Pittsburgh . . . found that 12 or 13 medical saleswomen said they had been sexually harassed by physicians” (para. 28). Another disadvantage is that hiring decisions based on cheerleading skills may perpetuate a negative stereotype that further diminishes other women. If the most important qualifications for a good job are attractiveness and a perky demeanor, what does that say about the importance of developing critical thinking skills and a quality of intellect in young women? Source: Adapted from Saul, S. (2005, November 28). Gimme an Rx! Cheerleaders pep up drug sales. New York Times. Retrieved March 3, 2006, from http://www.nytimes.com.
Assignment This case study raises a host of issues related to the four frames of gender, communication, and organization discussed in this chapter. Reflect on these frames as you answer the following questions about this case: 1. Frame 1 assumes that gender differences are real and persistent. Are women naturally inclined to display “exaggerated enthusiasm,” or is that a gendered/sexualized micropractice that is reinforced and rewarded in organizational contexts, as Frame 2 might suggest? 2. Interestingly, male cheerleaders, who have also demonstrated cheer skills, are not being recruited to the same degree as their female counterparts. What is it about our social constructions of gender and organization that might discourage pharmaceutical representatives from recruiting male cheerleaders? 3. Sales representatives are hired for their ability to perform and display particular emotions (e.g., enthusiasm). What sorts of emotion labor benefits and burdens come with the (sales) territory? 4. A Frame 3 lens suggests that when pharmaceutical companies recruit young women to be sales representatives, specific gendered organizational narratives are produced and reproduced. What sorts of organizational narratives or scripts are created when companies explicitly recruit female cheerleaders into support staff roles? In what ways are those gendered narratives helpful? In what ways are they problematic? 5. In the spirit of Frame 4, spend some time exploring mediated representations of working professional women. What types of images of working women do you see in film, television, and print? How do those images align with the image of cheerleaders? What are some alternative images of successful professional women?
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Teams and Networks: Collaboration in the Workplace
As a global economy fueled by advances in communication technology emerged in the late twentieth century, five key changes occurred to the nature of organizing. Thus far in this book we have discussed two of them: the emergence of flatter organizational structures and the birth of the “customer-supplier” revolution, propelled by the demand for organizations of all kinds to work together to provide everimproving quality in products and services to the global marketplace. This chapter addresses the final three changes: the global emergence of a demand for increased participation in information sharing and decision making; new models of collaboration between and among managers and workers; and a gradual and not always welcome changeover from traditional bureaucratic “top-down” models of communication and management to newer team-, group-, and networkbased models. Central to all of these new ways of working together is the need for new forms of organizational communication.
PARADOXES OF PARTICIPATION Before turning our attention to the specific forms of collaboration that characterize contemporary organizations, we must first discuss what organizational communication researchers Cynthia Stohl and George Cheney (2001) call the paradoxes of employee participation and workplace democracy. We do this to acknowledge from the outset that while many of us take as a given that increased employee participation in decision making will lead to improved outcomes, the reality is not so clear-cut. Simply put, a paradox is a thorny contradiction. Stohl and Cheney define
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paradoxes as “pragmatic or interaction-based situations in which, in pursuit of one goal, the pursuit of another competing goal enters the situation (often without intention) so as to undermine the first pursuit” (p. 354). In organizational life, a common example of paradox is the tension many employees with families feel when they wonder how they can put in the requisite amount of hours at work while remaining good spouses and parents at home. As Stohl and Cheney point out, a pragmatic paradox exists within most organizational plans for increasing employee participation. Viewed positively by management as a means of giving voice to employees and “empowering” them to take responsibility for decisions they have fashioned, the downside is that these participation programs may be viewed by employees as “add-ons” to an already crowded workday. As a result, increased participation usually means doing more work for the same pay. Taking responsibility for decisions that a workers’ council or qualityimprovement team makes means spending more time in meetings, taking more time to read and write reports, and, in the process, becoming even more accountable to management for results. This is the pragmatic paradox of participation. While it sounds like a good thing for improving bonds among workers and between workers and management, it may also mean accepting a greater workload, experiencing increased personal anxiety over decisions, and being held to a higher standard of performance. Consequently, employees both welcome and resist increased participation. In Table 7.1, Stohl identifies fourteen paradoxes of participation based on critical frameworks. The experience of paradox is not, of course, limited to workers. Managers often feel the same tensions as their authority for making important decisions is shared with team members who do not have their same level of training or expertise. Additionally, midlevel supervisors may feel threatened by shortcuts to decisions or violations of accepted procedures enacted by employees who find more efficient ways to complete their assigned tasks. By contrast, some managers interviewed by Putnam and Stohl (1996) reported becoming “frustrated when their team ‘wasted so much time’ analyzing the issues and not solving them” (p. 367). An interesting example of this dynamic can be found in our recent experience with the newly constituted leadership team of a multi-campus university system. The newly designated system leader (the chancellor) has both a high need for information and a strong commitment to team problem solving. Consequently, he holds weekly, two-hour meetings with his campus presidents and CEOs to encourage dialogue about system-wide issues. Things are not going smoothly, however. While two-thirds of the meeting participants (mainly those from the smaller campuses) find great value in the team conversation, the remainder view the meetings as a colossal waste of time and an intrusion into their ability to manage their campuses. What looks like participation to the chancellor and most of the team feels like unnecessary micromanagement to some of its most powerful members. This kind of conflict is typical when seeking greater levels of employee participation. Understanding the paradoxical nature of participation sensitizes both
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TABLE 7.1
Paradoxes of Employee Participation and Workplace Democracy A. Paradoxes of structure. Concerning the architecture of participation and democracy (e.g., “Be spontaneous!”). 1. Paradox of design. Imposing or mandating grassroots participation from the top; for example, as with total quality management or participative management. 2. Paradox of adaptation. While trying to preserve the organization’s essential qualities, adapting so much to outside forces or expectations that the organization’s soul is lost. 3. Paradox of punctuation. Shortcutting the democratic process in practice (because the process takes so much time) in such a way that, over time, the vitality of the system is lost. 4. Paradox of formalization. Institutionalizing democracy such that spontaneity is gone through the routinization of what should be invigorating and inspired. B. Paradoxes of agency. Concerning the individual’s (sense of) efficacy within the system (e.g., “Be yourself!”). 1. Paradox of responsibility. Relinquishing individual decision rights to a group, particularly while insisting that the individual right to participation be maintained. 2. Paradox of cooperation. Following formal or informal procedures in a way that hinders rather than promotes cooperation, including the pattern of “nonparticipation” in the interest of furthering cooperation. 3. Paradox of sociality. Intense involvement at work as an ironic constraint on other forms of participation (e.g., in family and community) such that all types of participation become undermined. 4. Paradox of autonomy. Giving up more individual rights than one intended to through a contract with a highly democratic organization; surrendering individual agency for that of the collective. The gains to the individual through adhesion to the whole community are outweighed by the sacrifices. C. Paradoxes of identity. Concerning issues of membership, inclusion, and boundaries (e.g., “Be self-managing to meet organizational goals!”). 1. Paradox of commitment. Making commitment to and enactment of the group’s espoused values and beliefs about voice and participation a test that ironically leads to exclusion rather than inclusion. 2. Paradox of representation. Becoming co-opted by dominant interests; losing one’s “voice” unexpectedly; for example, when labor thinks like management and forgets about workers’ interests yet still insists its own role is distinct. 3. Paradox of compatibility. The potential problems with exporting a particular model of democracy or participation to another society or culture where it fits less well. D. Paradoxes of power. Concerning the locus, nature, and specific exercise of power in the organization (e.g., “I insist that you reach consensus!”). 1. Paradox of control. Encountering less, not more, freedom within team-based structures, at the group or organizational level. 2. Paradox of leadership. Waiting for a charismatic leader to inspire, create, and maintain democracy. 3. Paradox of homogeneity. Failing to see the value of resistance or oppositional voices; excessive valuing of agreement, cooperation, and consensus, while preaching diversity of opinion. Source: Adapted from Stohl, C., & Cheney, G. (2001). Participatory processes/paradoxical practices: Communication and the dilemmas of organizational democracy. Management Communication Quarterly, 14, 349–407.
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managers and researchers to the likelihood that their implementation will always be contested and in some sense will always be problematic.
DEMOCRACY IN THE WORKPLACE Organizational scholar Stan Deetz’s (1995) multiple stakeholder model provides a useful way to think about the value of increased participation and workplace democracy. The multiple stakeholder model asserts that organizations ought to be concerned with the interests of many different individuals and groups and not just shareholders or stockholders (see Figure 7.1). Deetz’s model seeks to balance the demands of global economic competition with a respect for the well-being of the planet and its citizens. As such, it raises critical questions about the potential (and generally negative) consequences of a powerful economic elite and of centralizing decision making in the hands of multinational corporate and governmental leaders. Instead, the model promotes greater voice and broader involvement in decision making by multiple stakeholders and stakeholder groups, in the service of a more democratic work environment. How can this model about the political ramifications of global organizational systems be applied to the idea of increased participation at a local organizational level? Deetz outlines four steps toward workplace democracy in which shared decision making among stakeholders is crucial. FIGURE 7.1
Multiple Stakeholder Model of the Corporation in Society STAKEHOLDER GROUPS
MANAGING PROCESS
Consumers Workers Investors
OUTCOME INTERESTS Goods and services
Coordination
Income distribution Use of resources
Suppliers
Environmental effects
Host communities
Economic stability
General society
Labor force development
World ecological community
Lifestyles Profits Personal identities Child-rearing practices
Source: Deetz, S. (1995). Transforming communication, transforming business. Cresskill, NJ: Hampton Press, p. 50.
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1. Create a workplace in which every member thinks and acts like an owner. The point of business is to be of service; this is best accomplished when every stakeholder becomes responsible for decision making and is accountable for the outcomes of those decisions both to the business and to society. 2. Reintegrate the management of work with the doing of work. The cost of people watching other people work for the purpose of controlling what gets done and how it is done can no longer be seen as economically efficient. Moreover, it leads to bad decisions (i.e., decisions about how to do work are best made by those who actually perform it and will be rewarded by its outcomes) and to less accountability (i.e., “watched” people tend to resist domination by finding ways to slow down work processes or to goof off on the job). 3. Widely distribute quality information. To fully empower workers and the people they serve, the current system of filling up the day with mostly meaningless memos, letters, faxes, and newsletters that only encourage control and domination should be replaced by bringing to the attention of workers “real” information about the business and how it is affecting society and the planet. 4. Allow social structure to grow from the bottom rather than be reinforced from the top. If the basic idea of a participative democratic workplace values the consent of the governed in the governance of everyday affairs, everything from routine office policies to limiting the terms of managers should be accomplished by ongoing negotiations among the multiple stakeholders. (pp. 170–171) Although practically challenging, when implemented Deetz’s suggestions move us toward a more democratic dialogue, or what he calls “constitutive codetermination” (1995, p. 174). Similar strategies have been implemented in newer manufacturing plants, such as BMW of North America. Indeed, Deetz’s model may be easier to implement in newly formed companies than in existing corporate and government institutions. The majority of strategies used to move workplaces toward more democratic and responsive structures and practices involve organizing people into teams and networks. The desire to organize this way comes from the realization that no single individual, or for that matter no pair of individuals, is sufficient to achieve complex goals. Moreover, when people seek to make sense of their work lives, they tend to identify with larger groups (e.g., my department, my division, my building). In the following sections, we build on the previous discussion of participation and democracy by addressing communication that occurs in teams and networks. Today, most work that goes on inside organizations utilizes a team approach, whereas work that takes place outside of organizations (e.g., entrepreneurship, outsourcing, or consulting) relies more heavily on networks and networking. If knowledge is power, it is a kind of power that is inevitably exercised in webs of relationships.
Chapter 7: Teams and Networks
COMMUNICATING IN TEAMS Most American employees now work in some form of team-based organization where, in addition to their individual responsibilities, they also serve as members of one or more working groups. The importance of teamwork has long been appreciated in business. Filene’s, a Boston-based department store (bought by Macy’s), introduced the concept of teamwork in the United States in 1898. However, today’s emphasis on teams goes far beyond the original meaning of teamwork (i.e., of simply working together). A team-based organization is one that has restructured itself around interdependent decision-making groups, not individuals, as a means to improve work processes and provide better products and services to customers. Team-based organizing differs sharply from bureaucratic forms of organizing. First, consistent with the human resources approach, in team-based companies every employee is seen as possessing valuable knowledge that must be widely shared for the benefit of the whole. Teams are groups of employees with representation from a variety of functional areas within the organization (e.g., sales, manufacturing, engineering) to maximize the cross-functional exchange of information. In a bureaucracy, a hierarchical chain of command distinguishes managers (as “thinkers”) and workers (as “nonthinkers”), emphasizing the need for division of labor and close supervision. Team-based organizations, in contrast, encourage informal communication and view all employees as capable of making decisions about how to manage work tasks. In the most progressive team-based organizations, supervisory work is conducted by self-managed work teams. In these settings, employees are “knowledge workers” dedicated to self-improvement, positive results, and productive collaboration: In the conversion to post-bureaucratic organizations, teams form the basic unit of empowerment, small enough for efficient high involvement and large enough for the collective strength and the synergy generated by diverse talents. Within teams, people can take wide responsibility for one another, for the organization, and for the quality of their products and services. (Pinchot & Pinchot, 1993, p. 194)
A job ad for positions at the search engine giant Google highlights this trend: “We’re looking for people with world-class skills who thrive in small, focused teams and high-energy environments, believe in the ability of technology to change the world, and are as passionate about their lives as they are about their work” (Google, 2006, para. 2). The current interest in work teams is rooted in both the Hawthorne studies (which attest to the importance of informal groups; see Chapter 3) and European experiments with autonomous work groups (Kelly, 1992). Research in Europe — in Scandinavia, in particular — has long been on the forefront of these flatter forms of organization, beginning with the development of the sociotechnical school in the 1950s (Trist, 1981). This school of thought maintained that organizational effectiveness depends on a unique blend of technical and social factors at work and
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stressed the importance of communication and collaboration. One study of British coal miners, for example, emphasized how communication processes optimize social and technical systems. In this study, there were clear indications of higher productivity and job satisfaction among those workers who were given more control of their jobs. Eric Trist, a British organizational development scientist and co-founder of the Tavistock Institute in London, produced studies that also indicated that organizations with workers who were more involved in the operation were better equipped to respond to changing markets and political conditions — something that large and rigid organizations found difficult (Wellins, Byham, & Wilson, 1991).
□ Types of Teams Despite widespread enthusiasm for team-based organizing, definitions of what constitutes a team remain ambiguous. Not every identifiable group in an organization demonstrates a sufficient degree of interdependence to be classified as a team. A simple collection of people working together in some capacity might be classified as a committee, a task force, or an ad hoc group. Teams, in contrast, generally fall into three categories: project teams, work teams, and quality-improvement teams. Depending on the location of its members, any of these types of teams may also be classified as a virtual team.
Project Teams Project teams, which help coordinate the successful completion of a particular project, have long been used by organizations in the design and development of new products or services. For example, a project team might include software and hardware engineers, programmers, and other technical specialists who design, program, and test prototype computers. A project team might also be assigned to address a specific issue or problem. For example, a savings and loan recently charged a project team made up of representatives from all the major areas of the bank with the task of developing ways to bring in new business. Project teams may struggle because people lack the communication skills needed to collaborate across significant functional divides. Collaborative behaviors are hard to learn; while many project teams are formed with great optimism, few succeed ( Jassawalla & Sashittal, 1999). Management must expend great effort to foster real collaboration, which can result in an increased commitment to team decisions and a deeper level of caring about team outcomes and accomplishments. A special type of project team exists within matrix organizations, which are characterized by dual reporting relationships. Imagine a large matrix (like an expanded tic-tac-toe board) where the vertical columns represent organizational functions like research and development, sales, production, and information services. Imagine too that the horizontal rows represent particular projects or product lines, like shampoo, conditioner, and hair mousse. In a matrix organization, people’s “home” departments are their functions (e.g., a chemical engineer would re-
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side in research and development), but they are also assigned to a project team responsible for producing a particular product. This results in most employees reporting to two different supervisors. Although this form of organizing was very popular over the last few decades, it is somewhat less common today due to the tensions that can result from having multiple supervisors.
Work Teams A work team is a group of employees responsible for the entire work process that delivers a product or service to a customer. One such work team at a California aerospace company is responsible for all metallizing of components in the company. The team resides together, outlines its own work flow (e.g., the steps for applying metal coatings to parts), and is engaged in making ongoing improvements in the work process (e.g., making the metal coating as thin and light as possible). Such teams have been found to aid an organization’s efficiency. FedEx, General Electric, Corning, General Mills, and AT&T have all recorded significant productivity improvements after incorporating work teams (Wellins, Byham, & Wilson, 1991). Kodak reduced its turnover rate to one-half of the industry’s average and improved its handling of incoming customer calls by 100 percent after reorganizing into work teams. Similarly, Texas Instruments Malaysia managed to boost employee output by 100 percent and cut production time by 50 percent after moving to a team-based approach. Teams have an especially positive history in manufacturing. In comparing his company to some based in the United States, the president of Toyota explained his relative success by saying, “Detroit people are far more talented than people at Toyota. . . . But we take averagely talented people and make them work in spectacular teams” (cited in Evans & Wolf, 2005, p. 104). Teamwork is the basis of Toyota’s high-performance organization. Successful work teams are supported by a commitment to empowerment. Because they are given the discretion and autonomy to make decisions and to solve problems, empowered teams are not frustrated by a lack of authority to implement their ideas and solutions. More generally, a group can do a better job of managing its resources when it understands the big picture, has the authority to adapt to changing work conditions, and feels that its work is meaningful and has an impact (Churchman & Rosen, 1999). Unfortunately, these conditions are not yet the norm. Work teams differ in degree of empowerment, as indicated in Figure 7.2. As empowerment increases, the team assumes responsibility for the continuous improvement of work processes, the selection of new members, the election of a team leader, and capital expenditures. At the highest level of empowerment, the selfdirected work team is also responsible for performance appraisals, disciplinary measures, and compensation (Wellins, Byham, & Wilson, 1991). For teams of all kinds to succeed, the company reward system must recognize the contributions of both the team and its individual members. Organizations continue to struggle with the challenges posed by evaluating and rewarding teams whose members contribute unequally. (If you have ever had a class where the
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FIGURE 7.2
The Empowerment Continuum of Work Teams Making Compensation Decisions
Degree of Empowerment
Disciplinary Process Team Member Performance Appraisal Product Modification and Development Budgeting Facility Design Equipment Purchase Choosing Team Leaders Vacation Scheduling Cross-Functional Teaming Hiring Team Members External Customer Contact Managing Suppliers Continuous Improvement Quality Responsibilities Production Scheduling Equipment Maintenance and Repair Training One Another “Housekeeping”
Team Level
Level 1 20%
Level 2 40%
Level 3 60%
Level 4 80%
Responsibility/Authority Source: Wellins, R., Byham, W., and Wilson, J. (1991). Empowered teams. San Francisco: Jossey-Bass, p. 26.
teacher assigned a grade for a group project, you understand this frustration!) Similarly, differences in the knowledge and skills of team members can cause some members to work harder than others and therefore to be more deserving of rewards for their efforts. The empowerment process may involve an employee stock ownership program (ESOP) to encourage team members’ motivation and dedication to the team approach: “I will be motivated to do my best because the fruits of my labor are now visibly mine.” ESOPs vary in structure — stock may be purchased by employees or given as a benefit — but they all share a common principle, which is getting shares of the company in the hands of its employees. Many employees at Home Depot and Microsoft, to offer two examples, have become wealthy from
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employee stock. Companies create ESOPs with two very different purposes. The first approach is limited to seeing the stock as a financial benefit but is not tied to any increased opportunities for participation on the part of employees in company decision making. The second approach is ideologically motivated, with greater employee involvement accompanying equity (stock) participation. Not surprisingly, it is this latter form of ESOP — stock plus greater employee involvement — that has the most positive effects on employee motivation, identification, and commitment (Harrison, 1994). One potential barrier to the effectiveness of work teams is union agreements, which may prohibit cross-training or specify rules that conflict with self-management goals. For example, some union rules specifically limit the extent to which one classification of worker can cover for others in their absence. Where these conditions exist, there must be sustained collaboration between unions and management to establish rules beneficial to both parties. Understandably, union leadership is acutely aware of the paradoxes of participation — and in particular the surprising toll it may take on employees. Managers sometimes resist the move to empower self-directed work teams (Tjosvold & Tjosvold, 1991). For managers and supervisors, team-based organizing requires a fundamental change in their role, from operational expert or overseer to coach or facilitator. The ability to oversee an empowered work team has become an increasingly important management skill. It requires the supervisor overseeing a team to • Act as a facilitator to keep the group on track while respecting a free exchange of ideas • Be hard on rules, agenda, goals, and accountability but soft on the means by which the team chooses to organize itself and do its work • Communicate extensively with others to keep the team informed of the work of other teams and of the organization as a whole Effective managers of work teams create a climate for honest and supportive dialogue and possess the necessary communication skills to do so. The considerable challenges involved in such an undertaking are reflected in What Would You Do? on page 216.
Quality-Improvement Teams Popular in organizations in the 1980s, informal problem-solving groups called quality circles met voluntarily each week to address work-related issues (Kreps, 1991). Quality circles have since been replaced by quality-improvement teams, whose goals are to improve customer satisfaction, evaluate and improve team performance, and reduce costs. Such teams are typically cross-functional, drawing their members from a variety of areas to bring different perspectives to the problem or issue under study. In theory, a quality-improvement team uses its diverse talents to generate innovative ideas.
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WHAT WOULD YOU DO?
The Dilemmas of Participative Management at a University Joan Brittle is the new president of a large public midwestern university. Recently, she attended a workshop for new university presidents where she learned that most successful educational institutions today have adopted participative, team-based structures. While she has little formal education in management (she is a physicist by training), the team approach makes sense to her and fits with her personality and management style, which is all about cultivating strong relationships. Following the workshop, she returns to her campus and enthusiastically charges a team of her top faculty to design a series of strategic initiatives for the school that both capitalize on the existing strengths of the institution and are responsive to emerging social trends. To ensure that she does not impede their dialogue, she does not join the team but asks one of the more senior faculty members whom she trusts to lead the team and provide her with periodic updates. She is confident that “many heads are better than one” and anxiously awaits the team’s report, which she believes will affirm and extend her ambitious vision for the future of the institution. She feels that both the opportunity and the optimal path to greatness for the university are fairly clear. The strategic initiatives team attacks the new challenge with enormous energy and enthusiasm. In three short months, they have developed a comprehensive plan featuring five initiatives for the school to pursue over the next ten to twenty years. When President Brittle receives their report, she is both stunned and disoriented. Based on her beliefs and perspectives, she assumed that the team would come back with a plan that was responsive to changing environmental conditions and apparent opportunities in the state. Instead, their proposal was mostly an (admittedly ambitious) extension of current faculty interests and offerings but did not suggest any kind of new direction or breakthrough. She wonders: How could this superb group be so far off base? From her perspective, the initiatives are too internally focused, reflecting faculty interest and expertise, and out of touch with the needs and desires of the board of trustees, the legislature, and the community. In addition, they do not represent any of her personal and professional interests in health and the life sciences.
Discussion Questions 1. How did the group wind up with initiatives that differed so much from President Brittle’s expectations? What steps could President Brittle have taken to avoid the polarity of this outcome?
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2. What does this situation tell you about risks and pitfalls of encouraging employee participation in decision making? 3. Based on your reading about teams, what would you advise the president to do now? Why?
One example of a quality-improvement team is a program called Work-Outs at General Electric, which was initiated by CEO Jack Welch in 1989. At General Electric, management selects up to 100 employees to attend a three-day conference (Stewart, 1991). A facilitator divides the employees into five or six smaller groups, and each group works independently for two days to identify problems with the company and to prepare a presentation to senior management regarding recommended changes. On the third day, the panel of senior managers is confronted by each group and its proposals, and the managers must agree or disagree with each proposal or ask for more information (in which case, the group agrees to supply it by a specified date). One vice president describes the experience in this way: “I was wringing wet within half an hour. . . . They had 108 proposals, and I had about a minute to say yes or no to each one” (Kiechel, 1994, p. 70). This is a dramatic example of how organizations are using teams to encourage creativity and to open the dialogue between managers and employees.
Virtual Teams In response to a dynamic global economy, many organizations (and most large ones) have found it advantageous to maximize their geographic reach and become immersed in a wide range of local cultures. Companies ignore cultural differences at their own peril. Unfortunately, the geographic distribution of employees creates predictable communication difficulties associated with time and space, often resulting in serious misunderstandings. Fortunately, a range of technological tools has evolved to support these groups of people who work together across time and space in what are called virtual teams. A superficial analysis of virtual teams can identify likely problems to watch out for, such as language barriers and differences in cultures, religions, work customs, and work habits. But deeper consideration reveals that all virtual teams engage in a developmental process that builds a negotiated order — a shared set of practices or “micro-cultures” that emerge among members (Gluesing, 1998). Some of the items that are typically up for negotiation include division of labor, sequencing of activity, and the nature and regularity of outcome assessment. In addition, virtual teams must work out more mundane but still vexing issues surrounding the use of electronic mailing lists, intranets, e-mail, and telepresence. This team-development process is highly social (if largely through electronic media) and involves the development of mutual respect and trust (Baba, 1999). It is highly likely that the development of
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virtual teams will increase exponentially with the development of more realistic telepresence and the absorption of younger people into the workplace. On the technology side, Cisco and others have developed extraordinary high-definition cameras and monitors to simulate face-to-face interactions. From an employee perspective, members of the “millennial” generation are much more comfortable than their predecessors with multitasking and multiple, mediated forms of communication. Pamela Shockley-Zalabak (2002), an organizational communication scholar and chancellor of the University of Colorado at Colorado Springs, conducted an important study of an international, self-managing, virtual team created by a technology company seeking to do a better job of meeting customer needs. She describes the functioning of this team over a two-year period as “protean,” constantly changing in structure and form. Her research revealed some of the challenges associated with these kinds of structures. Two years into this experiment, while the members of this team did not want to return to hierarchy, they did express a strong desire for more structure, in the form of better processes and clearer work rules. While the idea of geographic boundaries was no longer relevant, a new kind of boundary was important to the team. Specifically, they wished for “boundary as guide, sense of place, commitment, relationship, and shared meaning [amidst continuous change]” (p. 249). Future studies of virtual teams will no doubt shed more light on the pragmatics of succeeding with this new organizational form. One important factor that team members must consider in a global world is how cultural influences may affect communication among virtual team members. Some of these cultural influences are described in Table 7.2.
□ Communicative Dimensions of Teamwork Simply calling a group a “team” does not make it one. A group becomes a team through the kinds of communication it displays over time and the resulting feelings (if it works!) of trust and interdependence. More specifically, there are five communicative elements of team interaction that are essential to consider: roles, norms, decision-making processes, management of conflict and consensus, and cultural diversity. The following sections address each of these elements.
Roles Inherent in effective teamwork is the need to achieve a balance between the goals of individual members and those of the team. While individual behavior can vary significantly, team members tend to enact predictable communication roles, which are consistent patterns of interaction within the team (Goodall, 1990a). According to the classic typology, the three broad types of communication roles are the task, maintenance, and self-centered roles (Benne & Sheats, 1948). In performing the task role, the team member summarizes and evaluates the team’s ideas and progress or initiates the idea-generating process by offering new ideas or suggestions. In the maintenance role, the team member’s communication
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219 TABLE 7.2
Cultural Influences on Global Virtual Teams Variable
Implication for Multicultural Teams
Individualism vs. Collectivism
• Individualistic team members will voice their opinions more readily, challenging the direction of the team. The opposite is true of collectivists. Collectivists will also want to consult colleagues more than individualists before making decisions. • Collectivists don’t need specific job descriptions or roles but will do what is needed for the team, ideally together with other team members. Individualists will take responsibility for tasks and may need reminding that they’re part of the team. • Individual-oriented team members will want direct, constructive feedback on their performance and rewards tied closely to their individual performance. Collectivists, however, might feel embarrassed if singled out for particular praise or an individual incentive award. • Collectivists prefer face-to-face meetings over virtual ones.
Power Distance
• Team members from cultures that value equality (i.e., low power distance) expect to use consultation to make key decisions. From the viewpoint of a team member from a higher power distance culture, however, a team leader exercising a more collaborative style might be seen as weak and indecisive. • Members from high power distance cultures will be very uncomfortable communicating directly with people higher in the organization.
Uncertainty Avoidance
• In a culture where risk taking is the norm or valued, team members tend to be comfortable taking action or holding meetings without much structure or formality. Members who are more risk averse need a clearer, prepared meeting structure, perhaps with formal presentations by all members of the team. They’re unlikely to take an active part in brainstorming sessions. • Members from lower uncertainty avoidance cultures will not respond well to “micromanagement.” They may also be more willing to use new technologies.
Task/Relationship Orientation
• Team members from relationship-oriented cultures want to spend extra social time together, building trust, and may have problems interacting smoothly with shortterm members.
Source: Goodbody, J. (2005, February/March). Critical success factors for global virtual teams. Strategic Communication Management, 9, 20.
seeks to relieve group tension or pressure (e.g., by telling jokes or by changing the subject of a conversation) or to create harmony in the group (e.g., by helping to reconcile conflict or disagreements) (Shockley-Zalabak, 1991). Enacting the selfcentered role, the team member seeks to dominate the group’s discussions and work or to divert the group’s attention from serious issues by making them seem unimportant. Unlike the positive effects of task and maintenance roles, the selfcentered role is always considered inappropriate and unproductive.
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H. L. Goodall (1990a) has identified two other roles: the prince and the facilitator. The prince role is exhibited by group members who view themselves as brilliant political strategists and the world as a political entity. In the facilitator role, a team member focuses exclusively on group process (e.g., following an agenda and maintaining consensus in decision making) for the benefit of the team, while refraining from substantive comments on issues. Some people both serve on teams and seek to facilitate team communication, playing different roles at various moments. A training manager, for example, may act as a facilitator if, during a team meeting, the conversation drifts off topic. At the same time, the manager may suspend the facilitator role by offering information or opinions relevant to the discussion. Two other roles played by team facilitators — sponsor and coach — can help organizations ease the transition to a team-based approach. A sponsor who is not a member of the team but has significant power and influence in the organization is responsible for keeping the team informed of organizational developments, removing obstacles to effective teamwork, and advocating on behalf of the team for access to necessary resources. A coach, typically a former supervisor and a respected team member, is responsible for helping the other members acquire the cross-functional skills needed to accomplish teambased tasks. Coaching is especially important to team success because it addresses the specific problems associated with transitioning from a classical management approach to a team-based one. In addition, a coach teaches team members how to ask for coaching and thereby how to deal with errors, weaknesses, or deficiencies in team performance.
Norms Norms are the informal rules that “designate the boundaries of acceptable behavior in the group” (Kreps, 1991, p. 170). For example, team members may be expected to attend meetings on time, prepare for meetings in advance, and distribute the meeting’s agenda by an agreed-on deadline. Norms about conflict may express varying degrees of tolerance for disagreement. Some observers attribute Motorola’s success to its norm about conflict, which encourages team members to engage in loud debates at meetings (Browning, 1992b). Taking a different tack, one software company CEO insists that no one should ever kill a new idea. He instead encourages “idea angels” who are charged with saying something positive about every new idea that is introduced. 3M’s success has often been attributed to a similar approach to innovation. 3M lives and dies by a norm that says, in effect, “When in doubt, try it.” Team norms, which are shaped by the national and organizational culture as well as by personal agendas, strongly affect member roles. For example, a large U.S. insurance company emphasizes positive employee relations so much that the organizational culture is largely intolerant of conflict. As a consequence, work teams tend to avoid conflict at all costs and hence fail to deal with key performance issues.
Chapter 7: Teams and Networks
Decision-Making Processes As a rule, teams make better decisions than individuals. Teams get more people involved in the process and generate more information and ideas. In addition, the simple act of participating in decision making makes team members more aware of important issues, more likely to reach a consensus, and better able to communicate about the issues. In a departure from the classical management approach (which separates the tasks of making decisions from implementing them), the team-based approach gives employees more control over decisions that affect their work and decreases job stress. Moreover, “the more complex and challenging the issues under evaluation, the more powerful the outcomes of decisions, and the greater the number of people affected, the better groups are for making the decisions” (Kreps, 1991, pp. 173–174). Team decision making also poses a number of problems. In what is called the “risky shift phenomenon,” a team may tend to make decisions that involve more risks than decisions made by individuals do because of perceived safety in numbers (Cartwright, 1977). In addition, strong-willed or verbose team members may dominate conversations, intimidate others, or manipulate team decisions to benefit themselves in an effort to gain power or to improve their image. Groupthink, a well-known problem associated with team decision making that was initially identified by psychologist Irving Janis (1971), occurs when team members go along with, rather than evaluate, the group’s proposals or ideas. According to Janis, In a cohesive group, the danger is not so much that each individual will fail to reveal his [or her] objections to what the others propose but that he will think the proposal is a good one, without attempting to carry out a careful . . . scrutiny of the pros and cons of the alternatives. When groupthink becomes dominant, there is also considerable suppression of deviant thoughts, but it takes the form of each person deciding that his misgivings are not relevant and should be set aside, that the benefit of the doubt regarding any lingering uncertainties should be given to the group consensus. (1971, p. 44)
A number of strategies for dealing with groupthink are consistent with our ideal of promoting organizational dialogue: • Encourage team members to voice their objections and to critically evaluate others’ ideas. • Use more than one group to work on a problem to generate a variety of proposed solutions. • Encourage team members to discuss the team’s deliberations with people outside of the group to obtain feedback. • Invite outside experts into the group to obtain their input and feedback. • Make one team member responsible for ensuring that the team explores all sides of an issue. • Divide the team into subgroups that work independently on a problem and then report back to the team.
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• Arrange a special meeting after a consensus has been reached to give team members the opportunity to discuss any remaining doubts or concerns (Gibson & Hodgetts, 1986). Decision making by teams also requires team members to face the challenge of sorting through multiple interpretations of a problem or issue to find the single best recommendation or course of action. Members who are intolerant of others’ perspectives may find this task especially challenging. For this reason, extensive research has been conducted on identifying effective decision-making strategies. Small group communication scholar Aubrey Fisher’s (1980) model of group decision making sees decisions as the product of four stages: 1. 2. 3. 4.
Orientation Conflict Emergence Reinforcement
In the orientation stage, the members of a newly formed team get to know and trust one another. Their communication focuses on clarifying the team’s purpose and function and on reducing tension and uncertainty. After the orientation stage, communication about tasks inevitably initiates the conflict stage, as team members express and debate different ideas, perspectives, positions, styles, and worldviews, forming alliances and coalitions in the process. A team that manages the conflict stage well will emerge with a diverse assortment of perspectives and valuable information that it uses to move toward a single position. In the emergence stage, coalitions give way to a working consensus as a delicate balance of compromise and negotiation is worked out. Emergence involves moving toward action and determining how to implement the decision. Finally, the reinforcement stage is marked by a strong spirit of cooperation and accomplishment among team members (Fisher, 1980). Teams that skip the orientation phase (for whatever reason) may never truly feel comfortable as a group, inasmuch as members know one another only as roles, not as people. They may also lack direction. Teams that avoid the conflict stage — mainly through cowardice in the face of difficult conversations — run a risk of groupthink (i.e., of agreeing on a course of action before exploring all of the available information or alternatives). Teams lacking in communication skills often fall apart at the emergence stage, as group members find it impossible to work together and agree on a common direction. Many teams don’t even survive to experience the reinforcement stage. Other studies of team decision making challenge the stage models proposed by Fisher and others by suggesting that most teams follow a less defined path toward decision making. These writers believe that group decision making is more varied and complicated (e.g., Poole, 1983; Poole & Roth, 1989). From their perspective, teams experience periods of order and disorganization that are unpredictable, tend to go through cycles and to repeat stages multiple times, and may engage in activities (e.g., managing tasks and establishing work relationships) in a haphazard rather
Chapter 7: Teams and Networks
than a coordinated fashion. In many cases, stages do not occur in an orderly or predictable pattern. Other important contributions to our understanding of effective group decision making include the argument that effective teams give more attention to the group process (i.e., the procedures used to solve problems) than do ineffective teams (Hirokawa & Rost, 1992). Referred to as “vigilant interaction theory,” this theory holds that successful teams focus on four areas of self-assessment: (1) the nature of the task, (2) the standards for evaluating various decision options, (3) the positive aspects of the various options, and (4) the negative qualities of the various options. The theory claims that “group decision performance is directly related to a group’s efforts to analyze its task, assess evaluation criteria, and identify the positive and negative qualities of alternative choices” (p. 284). Finally, in a sustained effort to apply communication technology to group decision making, group-decision support systems (GDSSs) are used to give teams access to various decision-making tools (Poole & DeSanctis, 1990). For example, software that creates an electronic display for input and accepts input from all group members, and software for problem solving, decision analysis, and expert systems, can help teams make better decisions (Contractor & Seibold, 1992). This kind of technology is increasingly available to assist in the operation of all kinds of teams, both geographically copresent and virtual.
Management of Conflict and Consensus Conflict occurs among members of organizations and teams because people pursue different interests. Here we are concerned with teams as sites of conflict and with team-based strategies for achieving consensus. Team conflict may occur among members hailing from different fields or professions, such as in a cross-functional project team, or between line workers (who work directly with the product or service) and staff teams (who provide behind-the-scenes support). It may also occur as a result of perceived inequities in group member status or productivity, personality differences, or other work-related problems. Conflict is defined by organizational communication scholars Linda Putnam and Marshall Scott Poole as “the interaction of interdependent people who perceive opposition of goals, aims, and values, and who see the other parties as potentially interfering with the realization of these goals” (1987, p. 552). In organizations, conflict most often arises from the acquisition and use of resources. Like other types of communication, conflict changes or evolves over time and is unpredictable. It also takes place in the interdependent relationships among people who rely on one another to some extent for resources. Attitudes toward conflict in U.S. organizations have changed significantly since the 1950s, when overt conflict was viewed as counterproductive and always to be avoided. By the 1970s, however, some recognition of the benefits of conflict had emerged, such as its role in generating different ideas and perspectives (and thereby helping to avoid groupthink) as well as in facilitating a greater sharing of
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information. Studies have found that some degree of team conflict is essential to achieving high levels of productivity and effective communication (Franz & Jin, 1995). An absence of conflict over an extended period of time is more likely a sign of group stagnation or fear than of effectiveness. The constructive role of conflict is mostly understood today, although it always remains difficult to realize in practice. Research on conflict in organizations includes classical management studies that view conflict as a breakdown of communication (Hunger & Stern, 1976) and cultural studies that define it as a dispute over different perspectives of organizational realities (Smith & Eisenberg, 1987). Most research on the cycles and escalation of conflict has been approached from a systems perspective (Putnam & Poole, 1987), whereas critical theorists view conflict as reflecting deep imbalances of power in the organization and society (Mumby, 1993). Because team conflict is inevitable, we are concerned with how team members handle it. Broadly distinguished as emphasizing either a “concern for self” or a “concern for others” conflict style is also marked by degrees of assertiveness and cooperation (Kilmann & Thomas, 1975). Collaboration, which is generally seen as the most effective conflict style, emphasizes high assertiveness combined with high levels of cooperation. In contrast, compromise is considered less effective in resolving conflicts because neither party’s preferred solution is adopted. Collaboration is more likely to lead to a novel solution that satisfies both parties. In addition, accommodation may at times be effective, but in most conflict situations, it is counterproductive because it causes stress for the team member who accommodates others and undermines the team’s ability to generate creative ideas. Unfortunately, there is often a significant gap between individuals’ expressed or preferred conflict style and how they actually behave across a variety of conflict situations. For example, while supervisors’ strategies for dealing with problem employees reflect their styles when the conflict first surfaces, over time they tend to use more coercive strategies regardless of their expressed conflict style (Fairhurst, Green, & Snavely, 1984). Notably, consensus does not mean that all team members agree with a decision, but instead that they feel their views are adequately considered by the team. “If there is a clear alternative which most members subscribe to, and if those who oppose it feel they have had their chance to influence, then a consensus exists” (Schein, 1969, p. 56). Naturally, people agree to a group consensus with the understanding that their point of view will be accepted at least some of the time; otherwise they would most likely leave the group. Consensus reflects an overarching belief that in the long haul, “all of us are smarter than any one of us.” Effective conflict management through consensus thus means accepting the inevitability of differences and remaining committed to an ongoing dialogue that is open to alternative perspectives and that encourages creative decision making.
Cultural Diversity in Teams As corporations make greater use of intercultural teams in response to global competition, researchers are increasingly concerned with the effects of cultural differ-
Chapter 7: Teams and Networks
ences on team member communication. In one such study, communication scholar and chancellor of Indiana University Charles Bantz (1993) reports on his experiences as a member of a ten-person intercultural research team. Starting with four well-accepted dimensions of cultural diversity (power distance, uncertainty avoidance, individualism, and instrumentalism or expressivity) and four difference factors (language, norms, status, and politics), he offers the following conclusions: The range of difficulties generated by the diversity in a cross-cultural research team [leads] to a variety of tactics to manage those differences. The tactics include . . . alternating leadership styles across time and tasks; agreeing on long-term goals, while continuing to negotiate shorter-term goals; building social cohesion; [ensuring that] longer term goals [meet] individual needs; alternating task and social emphases; maintaining social support by engaging in confirming communication even when disagreeing; adapting to language difference[s] by slowing down, checking out, restating, and using more than one language; discussing work schedules; using varying conflict modes across different issues; discussing group procedures; initiating social discussion of work life to ascertain perspectives; and responding to political differences. While . . . tactics vary, [the] four [most] common [ones are] (1) gather information, (2) adapt to differing situations, issues, and needs, (3) build social as well as task cohesion, and (4) identify clear, mutual long-term goals. (p. 19)
He also points out that “awareness of cultural differences is necessary, but not sufficient for the accomplishment of cross-cultural team research” (p. 19). Negotiation is another key to managing intercultural team differences. The following four phases in the negotiation process occur in all cultures (Varner & Beamer, 1995), but the amount of time devoted to each phase and its relative importance may differ: 1. Developing relationships with others. For the members of a newly formed intercultural team to develop productive work relationships, they need to be given sufficient time to explore long-term team goals, build trust, and adapt to cultural differences. In most cultures, candid answers to questions mark the beginning of a productive relationship, even when the required answers may be perceived as self-disclosing. However, face saving is just as important to members of Asian, African, and Middle Eastern cultures as candidness is to other cultures. Therefore, it is wise to avoid insensitive remarks, to express tolerance of others’ goals and values, and to respect the status that others enjoy in their native culture. 2. Exchanging information about topics under negotiation. Honest or frank disclosures are one way to generate trust among members of an intercultural team, but information exchange may also be enhanced by responding to questions with other questions that open up the team dialogue. Questions can be used not only to access information and to clarify ideas, but also to call bluffs, to show interest in another’s ideas, to control the direction of a conversation, and to address controversial issues in nonthreatening ways. The types of exchanges generated by such questions help team members adapt to their cultural differences while also communicating with trust and
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openness. Team members also become more aware of how culture plays a role in the answers generated by questions; for example, “Why?” questions are answered with explanations of cause and effect in Western cultures, but they are answered more generally through stories, personal narratives, and cultural myths in non-Western cultures. 3. Recognizing multicultural techniques of persuasion. Rational arguments are considered persuasive by members of many cultures, but different perspectives on what is considered rational, and different ways of communicating rational arguments, can pose difficulties in intercultural teams. It is thus recommended that teams focus more on gaining information than on persuading and that team members respect their cultural differences when persuasion is necessary. For example, using “I” is less persuasive than the more inclusive “we,” and using such words as must, should, and ought may be viewed as arrogant by members of non-Western cultures. 4. Emphasizing the role of concession in achieving agreement. Most cultures appreciate the value of fair exchange, including the value of concession in gaining agreement. In general, concessions are best expressed as “if” comments (e.g., “We can deliver those services if your suppliers can meet this schedule”), rather than as directives (e.g., “We can deliver those services but your suppliers must meet this schedule”). However, while Americans tend to emphasize the importance of concessions in the form of a well-executed plan, such as a business contract, Asians tend to emphasize the same principles in a different form — in their informal relationships with others. Thus, for example, an American businessperson may be surprised when an Asian businessperson does not observe the stipulations of a signed contract. A contract is considered binding in American culture, but in most Asian cultures, a contract may be superseded by informal relationships. Similarly, an American conducting business in Finland may be surprised to learn that formal written agreements are often considered unnecessary because verbal agreements are executed with trust.
□ Team Learning Successful team-based organizations foster an environment that values and rewards team learning (Pinchot & Pinchot, 1993; Senge, Roberts, Ross, Smith, & Kleiner, 1994). MIT management and systems experts Peter Senge and colleagues (Senge et al., 1994) define team learning as “alignment” or the “functioning of the whole”: Building alignment is about enhancing a team’s capacity to think and act in new, synergistic ways, with full coordination and a sense of unity [among] team members. . . . As alignment develops, [members do not] have to overlook or hide their disagreements to make their collective understanding richer. (p. 352)
Senge and colleagues go on to suggest that team learning transforms the skills of “reflection and inquiry” into “vehicles for building shared understanding” (p. 352). More specifically, they identify the following guidelines for team communication:
Chapter 7: Teams and Networks
FIGURE 7.3
Balancing Inquiry and Advocacy
TE LL IN
Dictating: “Here’s what I say, and never mind why.” (dysfunctional)
AT IN Skillful discussion: Balancing advocacy and inquiry, genuine curiosity makes reasoning explicit; asks others about assumptions without being critical or accusing
ADVOCACY
Asserting: “Here’s what I say, and here’s why I say it.” Explaining: “Here’s how the world works and why I can see it that way.”
Bystanding: Making comments that pertain to the group process but not to content
Dialogue: Suspending all assumptions; creating a “container” in which collective thinking can emerge Politicking: Giving the impression of balancing advocacy and inquiry, while being close-minded (dysfunctional) Interrogating: “Why can’t you see that your point of view is wrong?”(dysfunctional)
Sensing: Watching the conversation flow without saying much but being keenly aware of all that transpires
O
ER BS
VI N G
GE NE R
G
G
Testing: “Here’s what I say. What do you think of it?”
Withdrawing: Mentally checking out of the room and not paying attention (dysfunctional)
Clarifying: “What is the question we are trying to answer?” Interviewing: Exploring others’ points of view and the reasons behind them G N KI AS
INQUIRY
Source: Senge, P., Roberts, C., Ross, R., Smith, B., & Kleiner, A. (1994). The fifth discipline fieldbook. New York: Doubleday/Currency, p. 254.
1. Balancing inquiry and advocacy. Teams need to balance inquiry (i.e., asking questions that challenge the existing assumptions and beliefs about work) with advocacy (i.e., stating opinions and taking action). Neither inquiry nor advocacy should control the team’s learning process. Figure 7.3 identifies various types of inquiry and advocacy commonly used by teams. 2. Bringing tacit assumptions to the surface of team dialogue. Senge and colleagues suggest that because “we live in a world of self-generating beliefs which
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remain largely untested” (1994, p. 242), our beliefs appear to be the truth, the truth seems obvious to us, and the evidence for our beliefs is limited to the data we select from our experience. A team that learns to question these assumptions moves down the “ladder of inference,” revealing the motivations behind our beliefs (Figure 7.4). As the team brings tacit assumptions to the surface of its dialogue, it discovers the role of those assumptions in the development of beliefs and conclusions. 3. Becoming aware of the assumptions that inform conclusions. Once assumptions have surfaced, it is beneficial for teams to reflect on how these particular beliefs give rise to interpretations of events that support specific conclusions about work processes, employees, or customers. Making these connections explicit makes them easier to change. Conclusions, then, are filtered through members’ assumptions and beliefs, which are unobservable and highly personalized. This is what makes the generation of new ideas challenging. However, by counteracting these abstract influences on the thought process, teams can promote creative thinking. Dialogue is important to team learning. According to Senge and colleagues’ (1994) model of the “evolution of dialogue” (Figure 7.5), team dialogue moves initially from invitation to conversation to deliberation. From deliberation, the dialogue may follow a path to discussion or to suspension and dialogue. Team learning thus encourages members to think about dialogue as allowing the “free flow of meaning,” unencumbered by logical analysis (e.g., skillful discussion) or debate. People from Western cultures may find it difficult to learn the speaking and listening skills associated with this type of dialogue because of the value they are accustomed to placing on advocacy and rational argument. In addition, such dialogue challenges many of the assumptions of traditional communication in organizations. In dialogue, the objective is not to argue a point effectively but to balance inquiry with advocacy in ways that contribute to the knowledge of the team as a whole. In the transition to a team-based approach, therefore, the organization not only must help employees cope with change, but also must help them learn new ways of communicating. This is a formidable challenge that requires a constant commitment to training and team learning.
□ A Retreat from Teams? Ideally, self-directed work teams help contemporary organizations deal with the pressures of global competition and help promote autonomy, responsibility, democracy, and empowerment in the workforce. In practice, however, the ideals of the team-based approach are often not realized by organizations. In one recent case, a small airline tried to implement self-directed work teams but found that decision making was hindered by disagreements among team members. For example, the mechanics were frustrated by other groups’ unwillingness to
Chapter 7: Teams and Networks
FIGURE 7.4
The Ladder of Inference
I take actions based on my beliefs
I adopt beliefs about the world
I draw conclusions
I make assumptions based on the meanings I added
The reflective loop (our beliefs affect what data we select next time)
I add meanings (cultural and personal)
I select “data” from what I observe
I observe “data” and experiences (as a videotape recorder might capture them)
Source: Senge, P., Roberts, C., Ross, R., Smith, B., & Kleiner, A. (1994). The fifth discipline fieldbook. New York: Doubleday/Currency, p. 243.
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FIGURE 7.5
The Evolution of Dialogue Invitation
PHASE 1 Instability of the container
Conversation (to turn together)
Deliberation (to weigh out)
INITIATORY CRISIS
Discussion (to shake apart)
Suspension (to hang in front)
PHASE 2 Instability in the container
CRISIS OF SUSPENSION
Debate (to beat down)
Skillful discussion (the flow of speech; logical analysis)
Dialogue (the flow of meaning)
PHASE 3 Inquiry in the container
CRISIS OF COLLECTIVE PAIN
Metalogue (meaning moving with, among)
PHASE 4 Creativity in the container
Source: Senge, P., Roberts, C., Ross, R., Smith, B., & Kleiner, A. (1994). The fifth discipline fieldbook. New York: Doubleday/Currency, p. 361.
Chapter 7: Teams and Networks
defer to them on all safety issues. This company’s experience reveals the importance of the following factors in successful team formation: 1. Teams are only as good as their members; the careful selection of members is thus essential. 2. Teams must be trained in group decision making and communication. 3. Only some decisions can be assigned to teams: those involving a significant challenge where the outcome affects many people. Simple tasks with limited impact are best assigned to individuals. 4. Some members of a team have more expertise and experience than do other members; therefore, all members do not contribute equally. At various times in the past, a number of companies (e.g., Ford, Procter & Gamble, and Honda) have found that teams require too much time to make decisions and tend to shield their members from responsibility (Chandler & Ingrassia, 1991). Because team-based organizing really does represent a different, often foreign way of working, traditionally minded employees tend to view them with skepticism, at least initially. If employees feel empowered by the team approach, they often become strong advocates. More often, however, management does not follow through on its promise of empowerment, and teams fail. Teams also fail when they believe that they haven’t reached their goals or that their productivity hasn’t been enhanced by teamwork (Coopman, 2001). Finally, teams fail when management neglects to define the types and functions of the teams it seeks to establish (Drucker, 1992b). As a result, teams do not have a clear understanding of their function in the organization. A highly empowered, cross-functional team that does not receive strong leadership support is almost certain to fail.
COMMUNICATING IN NETWORKS We observed earlier in this chapter that contemporary organizational communication has shifted rapidly from a singular emphasis on face-to-face teams to virtual networks of people across multiple locales organized for a common purpose. Although networking has always been key to business success, specific communication networks — i.e., groups of individuals who communicate regularly — are a primary mode of organizing in the new economy. Networks are emergent, informal, and somewhat less interdependent than teams. Networks matter because regular contact between identifiable groups of people, whether they be scientists or political action groups, can play an important role in establishing access to information and in the quality and direction of decision making. Within organizations, the concept of a network has emerged as a result of researchers’ enduring interest in the structure of organizational groups. Human relations theorists recognized that small groups do much of the important work in
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organizations. The pattern of communication among group members, called the group’s communication structure, is affected by many factors. For example, management may design a group in a way that hinders its communication, or employees with low status in a group (e.g., newcomers) may be less willing to communicate freely than those with high status. Formal lines of authority and rules about communication may also restrict the flow of information in a group. These investigations into communication structures have led to the idea of communication networks.
□ Small-Group Communication Networks Early research on communication structure focused on examining small-group communication networks (groups of five people) to determine the effects of centralized versus decentralized networks on decision making. The following is a wellknown example: A small number of individuals are placed in cubicles and allowed to communicate only by means of written messages passed through slots in the cubicle walls. The slots connecting each cubicle can be opened or closed by the experimenter, so that different communication patterns can be imposed on the interacting subjects. . . . A typical task presented to groups of individuals placed in these networks is to provide each individual with a card containing several symbols, only one of which is present on the cards of all subjects. The task is . . . completed when all participants are able to . . . identify the common symbol. (Scott, 1981, pp. 148–149)
Four types of small-group communication networks were typically studied: circle, wheel, chain, and all-channel (Figure 7.6). The circle and all-channel networks are highly decentralized, whereas the chain and wheel are centralized. It was found that centralized networks are more efficient than decentralized networks, as reflected in the speed with which they can complete a task (Leavitt, 1951). Further investigations, however, reveal that centralized networks are not necessarily superior to decentralized networks: As tasks become more complex or ambiguous, decentralized net[works] are usually superior to centralized structures. . . . Formal hierarchies aid the performance of tasks requiring the efficient coordination of information and routine decision-making whereas they interfere with tasks presenting very complex or ambiguous problems. . . . Specifically, hierarchies impede work on the latter by stifling free interactions that can result in error-correction, by undermining the social support necessary to encourage all participants to propose solutions, and by reducing incentives for participants to search for solutions. (Scott, 1981, pp. 149–150)
This early research also yielded some interesting findings about small-group decision making. For example, when a group faces a routine task or a tight deadline, participation by and input from all members is not expected. In contrast, when a group faces more complex issues or problems, a more open dialogue promotes member satisfaction and better solutions.
Chapter 7: Teams and Networks
FIGURE 7.6
Small-Group Communication Networks B
B
C
C
A
A
E
E
D
D Wheel
Circle
B
A
A
B
C
D
C
E E
Chain
D
All-Channel
Source: Scott, W. R. (1981). Organizations: Rational, natural, and open systems. Englewood Cliffs, NJ: Prentice Hall, p. 8.
However, many critics argued that the experimental small-group networks studied had little in common with actual groups in organizations (Farace, Monge, & Russell, 1977). In fact, research interest has recently turned toward what have been dubbed “bona fide groups” in organizations, groups that really function that way “in the wild.” Bona fide groups have real histories and come together to solve real organizational and social problems. Early research suggests that these real embedded groups act in more contradictory and disorderly ways than were anticipated by laboratory studies (Sunwolf & Seibold, 1998).
□ Emergent Communication Networks The most powerful groups within organizations are those that emerge from formal and informal communication among people who work together. These groups are referred to as emergent communication networks.
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The current focus on communication networks in organizations stems from a general acceptance of systems theories, which emphasize the connections between people and the relationships that constitute an organization. In terms of communication networks, researchers examine those relationships that emerge naturally within organizations as well as the groups and member roles associated with them (Rogers & Kincaid, 1981). Formal networks and emergent networks coexist in organizations, and each is best understood in the context of the other (Monge & Contractor, 2001; Monge & Eisenberg, 1987). For example, although new employees may rely on a copy of the formal organizational chart to understand reporting relationships and the structure of departments, over time they realize that the actual communication relationships among employees do not precisely mirror the organizational chart. Departments with no formal connections may nonetheless communicate in order to manage the work flow, and salespeople working on different product lines may share common experiences at lunchtime. A great deal can be learned about an organization’s culture by identifying the discrepancies between informal emergent networks and the formal organizational chart. Early research on emergent communication networks investigated the socalled organizational grapevine. The term grapevine dates to the Civil War, when telegraph wires strung through trees resembled grapevines (Daniels & Spiker, 1991). This term has since come to mean the persistent informal network in an organization, sometimes referred to disparagingly by management as the “rumor mill.” In reality, most of the time the rumors are true, and important information travels quickest through informal channels. Building on American business executive and public administrator Chester Barnard’s (1938; 1968) observations about the value of informal communication, Keith Davis (1953) argued against the standard party line, which encouraged managers to suppress the rumor mill. He instead supported the importance of such communication to the health of an organization, both as a source of information and for bolstering a sense of belonging. Subsequent research has shown that informal communication through the grapevine is as a rule more efficient and accurate than the formal dissemination of information (Hellweg, 1987).
□ Analyzing Communication Networks Analyses of communication networks are used to examine the structure of informal, emergent communication in organizations, reflecting the tendency of individuals to forge new linkages that are separate from formal rules or boundaries. Informal communication in organizations is fluid and in a constant state of change. Whereas formal reorganizations may occur only infrequently, informal reorganizations occur continuously (Monge & Contractor, 2001). In studying emergent communication networks, we are concerned mainly with overall patterns of interaction, communication network roles, and the content of communication networks.
Chapter 7: Teams and Networks
Patterns of Interaction As illustrated in the sample communication network shown in Figure 7.7, a number of informal groups or cliques emerge as a result of communication among people in organizations, both within and across departments or functions. Communication networks vary widely in density, which is determined by dividing the number of communication links (reported communication contacts) that exist among all organizational members by the number of possible links if everyone knew everyone else. For example, a professional association is a low-density network because communication among its members is infrequent, but the kitchen crew of a restaurant is a high-density network in which most or all members communicate regularly with one another. Similarly, formal hierarchies are less dense than more progressive organizations that encourage employee participation in decision making. Research suggests that the density of organizational networks has considerable influence over whether other employees adopt a new idea or technology. In a study of elementary schools and administrations, it was found that personal relationships play a key role in the development and acceptance of new ideas when cliques form to focus on those ideas (Albrecht & Hall, 1991). These close connections help people overcome feelings of uncertainty and make them more likely to adapt to change.
FIGURE 7.7
A Sample Organizational Communication Network Clique 1 Engineering
Clique 4
Sales
Manufacturing
Clique 2
Clique 3
Quality
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The density of an organizational communication network can have some less obvious implications for organizational effectiveness. For example, we get less new information from people we work with every day than we do from people we know but contact less often. These infrequent contacts are called weak ties, and they can be very helpful for uncovering new perspectives and helpful people, as often happens in job hunting or recruiting (Granovetter, 1973). More recent research reveals that these same dynamics may apply globally; people in all cultures make use of their personal and professional networks in seeking new opportunities (Gao, 2006). Some researchers use what they call a “network approach to participation” to redefine empowerment (Marshall & Stohl, 1993). According to this view, empowerment is a “process of developing key relationships in the organization in order to gain greater control over one’s organizational life” (p. 141). An employee’s personal communication network affects the experience of empowerment, involvement, and participation at work. Extraorganizational networks — contacts from the industry or community — may be particularly important resources for employees in historically marginalized groups who have difficulty finding mentors and other supports in positions of power within the organizations (see Everyday Organizational Communication on page 237). For example, networking and building informal coalitions and communities with other African Americans within and outside of their employing organization is a key strategy for upward mobility among African American women (Bell & Nkomo, 2001; Parker, 2003). Such networks serve as a means of maintaining a “collective identity” even “as they ascend the corporation with what might otherwise become an individualistic quest for success” (Bell & Nkomo, 2001, p. 183). That such networks often maintain an explicit attention to empowerment is evidenced by the recent gathering of African American members of corporate boards of directors, a group that is still woefully small in number. At their meeting, directors were reminded of their obligation to continue to bring up issues of diversity in their board meetings; otherwise, issues of diversity, inclusion, and empowerment are not likely to be part of the boards’ conversations. One member of the group commented, “This is a group of African Americans whom CEOs listen to. That’s why developing this network is so important” (Cora, 2004, p. 43).
Communication Network Roles Communication network roles — or the location individuals occupy in the flow of interaction — affect one’s experience of work and one’s degree of influence on others. Well-connected individuals in an organization tend to be the most influential and the least likely to leave (Brass, 1984). Four types of communication roles occur in networks: the isolate, group member, bridge, and liaison. Isolates have little contact with others in the organization; they work alone either by choice or because their jobs require them to be structurally or geographically isolated from other employees (e.g., salespeople or service technicians who travel constantly). Group members communicate mainly within an informal clique, which may at
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Networking on Campus: Communication, Identity, and Empowerment As research by communication scholars Elizabeth Bell and Stella Nkomo (2001) and Patricia Parker (2003) indicates, extraorganizational networks benefit historically marginalized groups by providing mentors and support as well as a “collective identity” in professional settings. But such networking opportunities can begin even before one enters into one’s profession of choice. Most colleges and universities, for example, have developed identity-based groups — from Lesbian, Gay, Bisexual, Transgendered, and Queer (LGBTQ) coalitions to the Muslim Students Association — to provide students with a space in which to congregate, share resources, and network with other students, faculty members, and professionals both on and off campus. For example, at our home campus (Arizona State University), the Hispanic Business Students Association (HBSA) defines its mission as follows: “The mission of the HBSA is to prepare our members to be future leaders, serve our communities, promote diversity, and create a progressive learning environment” (HBSA, 2009). To achieve its goals, HBSA sets out clear objectives, such as increasing the number of Hispanic students receiving a professional degree, developing leadership and business skills among Hispanic students regardless of college major, utilizing technology as a form of communication and education, promoting Hispanic culture, and providing interaction among all students at the university (HBSA, 2009). As such, the organization provides numerous opportunities for networking with alumni as well as corporate sponsors, allowing students to meet potential mentors and future employers and learn more about their professional options after graduation. In addition, the organization stresses volunteerism and encourages members to give back to their community. A quick look at the student leaders’ profiles reveals an incredible commitment to service through organizations like the Valedictorian Club, which helps eighth-grade students make the right decisions throughout high school to plan for their college careers. Consider what you have read about networks as well as your own experience with networking on campus, and answer the following questions:
Discussion Questions 1. Are you a member of a student organization dedicated to the support and empowerment of a particular group, whether social, cultural, religious, or even
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(continued, Networking on Campus)
major-based (e.g., English or Business Honor Society)? If you are not, browse through your university’s website and take a look at the variety of organizations available, or speak with a friend who is an active member of such an organization. 2. If you are a member, describe why your organization exists. In other words, what are the conditions, within the university and beyond, that encouraged your group to form? 3. What are your organization’s goals? How does your organization work to achieve those goals? Do you anticipate that you will need a group like this once you leave the university? If so, why? 4. What efforts does your group make to allow you to network and form ties with other students, faculty members, or outside professionals who support the organization’s goals? How have you benefited from such opportunities? How might you potentially benefit from such networking in the future?
times involve communication with a departmental, professional, or demographic grouping (e.g., an accounts receivable specialist or a member of an advertising team). Bridges (who are also group members) have significant communication contact with at least one member of another informal group (e.g., a human resources representative dedicated to serving a particular department), and liaisons have connections with two or more cliques but are not exclusive members of any one group (e.g., mediators or facilitators who are not themselves part of a team; some senior managers specializing in cross-functional initiatives like quality or strategy). Recent developments in information technology have reduced the felt isolation of many jobs by connecting them through various forms of electronic communication. Research by organizational scholars Jennifer Waldeck, David Seibold, and Andrew Flanagan (2004) questions whether these types of connections can substitute for face-to-face contact, though some research does indicate that face-to-face is still the preferred and most effective mode of communication for some tasks, including organizational socialization. In our experience, some people are more likely to seek out and even thrive under relatively solitary conditions. Moreover, isolation within the organization does not necessarily mean a lack of connection in the field or profession; in the new economy, a person’s network of connections outside the organization (both personal and professional) may be more important than internal organizational communication networks. While we often think of networking as a means to develop and exploit one’s connections for personal gain, for some these networks are necessary strategies for balancing work and family concerns. African American women have historically
Chapter 7: Teams and Networks
formed communities of “othermothers” who help one another to care for children and families. In contemporary culture, poor, working-class African American women continue to develop networks in which they often act as “border guards” who bridge boundaries between work and family, home and street. “In their roles as border guards, these women employed collective forms of empowerment that included shared resources among families trying to keep their children and homes safe in neighborhoods riddled with violence and drug use” (Parker, 2003, p. 268). Networks are clearly instrumental both outside and within organizational life. Within organizations, liaisons can be the dominant interpreters of the organizational culture. As key communicators with tremendous influence on the direction of the company, they are able to transform any message into an interpretation that is consistent with their beliefs and to pass that interpretation quickly throughout the company (and at times to customers and the community). When organizational improvement efforts fail, it is most often a result of the improper mobilization of liaisons. Any attempt to analyze communication network roles in an organization may be a sensitive issue for employees, who do not always perceive their degree of communication contact with others in the same way. For example, a subordinate might report having daily contact with a superior, whereas the superior may claim to have no communication with the subordinate. Differences in status or perception may also cause employees to respond in ways that reflect not actual but expected communication roles, reporting contact only with people they think they ought to communicate with at work. In addition, employees may be reluctant to participate in a network analysis because the results may reflect negatively on them. For example, in our analysis of network roles in a professional association, a department head who was identified by his subordinates as an isolate was subsequently dismissed from the organization. Consequently, it is critically important to collect and handle network analysis data with an awareness of the political implications of various findings. Network structures should not be shared with top management or the public without first considering the possible impact on employees who participated in the study.
Content of Communication Networks Emergent communication networks develop around specific topics, or content areas, of communication (Farace, Monge, & Russell, 1977). Each content area is regarded as defining a separate network; for example, a bank may have a social network for communication about personal matters and a task network for discussion of work duties. An isolate in one network may be a bridge or a group member in another. We have all known people who are “well connected” when it comes to gossip but much less so with regard to business updates and company strategy. Moreover, the identification of multiple types of communication content contributes to our understanding of the relationships between people in networks. For
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example, two people who communicate only about work are said to have a uniplex relationship, whereas people who communicate about two or more topics — say, personal issues, task issues, and new ideas — are said to have a multiplex relationship. Multiplex linkages have been identified as significant sources of social support and organizational innovation (Albrecht & Hall, 1991; Ray, 1987). The content of communication networks takes on added significance when we consider it in terms of the sense-making process. In an attempt to extend the cultural approach to organizations, one of the authors of this textbook suggested that analysis of “semantic” networks (in which people hold similar interpretations of key organizational symbols or events) may be useful (Monge & Eisenberg, 1987). The same network measures may be applied (e.g., isolate, group member, bridge, and liaison), but in this case they would refer not to the presence or absence of communication, but to overlapping interpretations of key cultural symbols. Individuals who are in the mainstream with regard to employee values and beliefs would be group members; those holding radically different interpretations would be isolates. Measures of network density would also apply. In a dense semantic network, for example, there is shared meaning about major organizational issues. This approach has been successfully applied to the analysis of perceptions of organizational missions and value statements (Contractor, Eisenberg, & Monge, 1992; Peterson, 1995).
□ Interorganizational Communication
Networks Employees communicate with coworkers within the organization as well as with customers, suppliers, and others in different organizations or institutions. In an advertising agency, for example, account managers interact with people from various newspapers and television stations, and in a university, the gifts and development staff communicates with alumni, accountants, attorneys, and local officials. Communication networks thus cross organizational boundaries. Interorganizational communication networks are the enduring transactions, flows, and linkages that occur among or between organizations. Such networks vary in terms of their openness, density, and interdependence. Tightly coupled or highly interdependent interorganizational networks are sensitive to environmental jolts that affect whole industries (e.g., in the deregulated airline industry, a minor change introduced by one carrier, such as reduced fares, significantly affects all others). As discussed in Chapter 3, open-systems theory assigns great significance to an organization’s environment. Some researchers regard organizational environments as consisting mostly of networks of other organizations. The complexity of this network of interorganizational relations varies, and highly complex interorganizational environments require great vigilance and skill to manage. Put differently, an organization’s environment is a kind of “nested box problem,” where each network
Chapter 7: Teams and Networks
exists within a larger network, ranging from one’s division and one’s industry to one’s nation and the world (Perrow, 1986). Organizations participate in interorganizational communication networks in various ways. Two organizations are said to be vertically integrated when one builds parts or provides services that the other needs for its delivery of a product or service. For example, Pratt & Whitney manufactures aircraft engines for sale to Boeing. In contrast, two or more companies are horizontally integrated when their customers are passed from one to the other in the service cycle. An example of this is the connections between a cancer-screening clinic, a hospital, and a hospice center. One of the authors of this textbook developed a typology of interorganizational communication that is useful in sorting out different kinds of linkages (Eisenberg et al., 1985). Specifically, there are three types of network linkages for the exchange of materials and information: institutional, representative, and personal. An institutional linkage occurs without human communication, as in the automatic transfer of data between companies. A representative linkage exists when people from various organizations meet to negotiate a contract, plan a joint venture, and the like. A personal linkage occurs when members of two organizations communicate privately. However, it may be difficult to distinguish between personal and representative linkages when people meet informally without any intentions of discussing business but do discuss business with significant results. The various types of linkages may also change over time; for example, two companies planning to engage in a joint venture may initially host luncheons or dinners intended to make people more comfortable with one another personally. Later, representatives may be identified to work out the details of the plan, part of which may include the automatic transfer of data between the organizations. Interestingly, one efficient way of sharing information across organizational lines is not through overt communication but by hiring employees from other companies. Ideas about management, marketing, structure, communication, and employee treatment are “imported” through personnel changes. In some cases, new employees who bring both their technical ability and their interpretive framework to organizations can help promote needed change. For instance, when Hughes Aircraft Company hired a former IBM executive to serve as its CEO, the company’s emphasis shifted from engineering to business and financial management. In other cases, however, new employees’ previous experience may become an obstacle to initiating change. For example, consulting companies that seek to hire people with extensive industry experience (which makes them more credible to clients) must also make sure that along with that expertise does not come a fixed set of beliefs about the right ways of solving problems. In the contemporary economic environment, organizations are most likely to turn to strategic alliances — such as mergers, acquisitions, and joint ventures — to enhance their financial status and political power. Most companies recognize that they need to narrow the scope of their services by coordinating their activities with those of other organizations. This need is especially pronounced in industries that
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are highly specialized but serve a population that seeks a range of integrated services. For example, strategic alliances are common among highly specialized health-care providers, and they are increasingly seen in higher education, where universities can no longer afford to offer a full array of programs. Similarly, hightechnology organizations are investing in joint research and development ventures to cut costs and improve the collective work of scientists. Interorganizational networks are pervasive in the nonprofit sector as well. One excellent example is found in communication scholar Linda Andrews’s (2000) study of the Hillsborough River Greenways Task Force in Tampa, Florida. The task force was formed by a unique combination of environmental activists, local scientists, land developers, phosphate miners, and concerned citizens sharing a commitment to the health of the Hillsborough River. While the group had no official charter or authority, their diverse expertise spread across significant stakeholder groups, and over time the group developed enormous informal influence on city and county policies. Studies show clearly the advantages of interorganizational participation for organizations. A study of 230 private colleges over a sixteen-year period showed that “well-connected” schools were better able to learn from and adapt to changing environmental conditions (Kraatz, 1998). A ten-year study of more than four hundred hospitals in California showed that hospitals were more likely to adopt service innovations when they were linked to their peer institutions (Goes & Park, 1997). Smaller companies may be especially well served by interorganizational relations. Such partnerships (like the Kentucky wood manufacturers’ network) have been shown to be associated with more process improvements, enhanced company credibility, and access to important resources (Human & Provan, 1997). While their potential benefits are clear, interorganizational communication networks can be difficult to manage. For example, scientists from one organization may be reluctant to share their best ideas with scientists from another organization. Formal interorganizational alliances are risky because they require a good deal of trust, a willingness to give up autonomy, and the juxtaposition of potentially incompatible organizational cultures. Many mergers and acquisitions in recent years have been problematic because the organizational partners brought different levels of formality and different attitudes toward employees to the alliance. Like multidisciplinary groups, interorganizational communication networks are potential sites of dialogue. As interorganizational cooperation across organizational, industrial, and national boundaries increases, the challenges of communication will become greater. In particular, ways of promoting productive dialogue among diverse networks will become increasingly important.
□ The Networked Society Within only a few years, our understanding of what constitutes a network has changed considerably, from the connections among people within a single organization — such as a hospital, manufacturing plant, or school — to the connections
Chapter 7: Teams and Networks
among people in a global society. During this short time, we have seen tremendous growth both in network marketing and in computer networks on the Internet. Global communication networks have been transformed by online communication. Significant changes in communication behaviors have been noted, especially in information seeking and relational development. For example, computer users post questions on Internet forums and receive responses within minutes from people around the world. In search of meaningful relationships, millions of computer users participate in thousands of virtual gathering places (currently dominated by MySpace and Facebook), provide continuous updates on their activities (e.g., Twitter), and stay in regular touch with a vastly expanded collection of contacts who may or may not be properly classified as “friends.” Some critics mourn the demise of local communities, whereas others envision an electronic global village that provides people with instantaneous access to information and other people worldwide. With potentially disastrous consequences, terrorist organizations have turned to online communication as a means of recruiting and staying connected with new members (Corman, Trethewey, & Goodall, 2008).
CREATIVITY AND CONSTRAINT IN TEAMS AND NETWORKS Team-based organizations face the challenges of balancing creativity and constraint in group relationships and of productively dealing with diverse interpretations. The members of a newly formed team are typically anxious about their role in the group and struggle to find a voice for themselves in the context of the group. This can be a formidable challenge during the orientation phase of a team’s development. During the conflict and emergence stages, members attempt to articulate their perceptions creatively, but their efforts are heavily weighted with constraints (e.g., “We tried that, and it didn’t work” or “Management will never take our proposal seriously”). Other constraints can be useful in promoting team effectiveness, such as meeting times and places, agendas, and problem-solving procedures. In general, however, team members’ ability to function as a group depends on their skill in balancing the creative contributions of individual members with the constraints imposed by the group as a whole. Networks both within and among organizations are notable for the speed with which creative new ideas can be diffused among large groups of people. Mostly independent of the usual constraints, such as formal positions and hierarchy, informal communication networks encourage innovation and collaboration. Nevertheless, over time networks may acquire a relatively stable structure that can act to constrain future communication. In some countries (particularly in Asia), informal connections among large corporations largely dictate the flow of business among these companies.
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Summary Collaboration between and among employees and managers can occur in various ways and to varying degrees; employee participation in decision making is both natural and desirable. The goal of increased participation, however, brings with it paradoxes that can prevent organizations from reaching their goals. These paradoxes are typically experienced as tensions by employees and managers, such as the tension an employee might feel about wanting more input into decision making, while dealing with the daily burdens of individual job responsibility in an already crowded workday. Such tensions should be addressed rather than avoided if the goals of increased participation are to be achieved. The ideal of a democratic workplace is one in which organizations concern themselves with the interests of many different individuals and groups (not just the stockholders). The multiple stakeholder model promotes the type of participation necessary to achieve this ideal. Teams and networks are now common organizational forms for collaborative work. The drive to organize in such a manner comes from the realization that no single individual — or pair of individuals — is sufficient to achieve complex goals. In team-based organizations, employees from a variety of organizational functions serve as members of one or more working groups. These employees might work in one of several different types of teams, such as project teams that help coordinate the successful completion of a particular project; work teams that are responsible for a “whole” work process that delivers a product or service to a customer; qualityimprovement teams that meet to improve customer satisfaction, evaluate and improve team performance, and reduce costs; or virtual teams that achieve goals and complete tasks across time and space. All types of teams, however, grow through five essential communicative elements: roles, norms, decision-making processes, management of conflict and consensus, and cultural diversity. Communication networks, or groups of individuals who may be identified as sharing regular lines of communication, have emerged as a primary mode of organizing in the new economy. Networks are emergent, informal, and somewhat less interdependent than teams. They matter because regular contact between identifiable groups of people (whether they be scientists or political action groups) can play an important role in accessing information and in the quality and direction of decision making. In organizations, types of small-group networks include circle, wheel, chain, and all-channel. The more powerful emergent types of networks (grapevines, cliques, and loosely coupled networks) emerge from formal and informal communication among people in organizations. Interorganizational types of networks include institutional, representative, and personal linkages. Network communication is affected by patterns of interaction, communication network roles, and the content of communication networks.
Chapter 7: Teams and Networks
Thanks in great part to advances in computer networks (e.g., the World Wide Web), our understanding of what constitutes a network has changed considerably. What was once a connection among people within a single organization (e.g., a school) is now a connection among people in an entirely global society. As advances in technology continue to expand (especially considering the growing popularity of networking websites like Facebook and MySpace), we will see additional significant changes in communication behaviors, particularly in the areas of information seeking and relational development.
Questions for Review and Discussion 1. What is meant by employee participation in decision making? 2. What are some of the paradoxes typically associated with the practical implementation of greater participation? 3. What is Stan Deetz’s ideal for democracy in the workplace? How does the multiple stakeholder model challenge accepted ideas about effective organizational communication? 4. List and explain the types of teams used in today’s organizations. What are the advantages and disadvantages of taking a team-based approach to organizing? 5. What unique challenges are associated with virtual teams? 6. What is a communication role on a team? What types of roles are available to team members? Discuss the advantages and disadvantages of using a diverse array of roles in a team-based situation. 7. What are communication networks? What characteristics do communication networks share with organizational teams? How does a communication network differ from a team? 8. What are some examples of prominent interorganizational networks in your local community? 9. How do new network forms affect the way an organization thinks about growth and expansion? What effect does this new way of thinking have on the nature and challenge of competition between organizations?
Key Terms Communication network, p. 231 Communication network role, p. 236 Communication role, p. 218 Conflict, p. 223
Consensus, p. 224 Emergent communication network, p. 233 Extraorganizational network, p. 236
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Groupthink, p. 221 Interorganizational communication network, p. 240 Matrix organization, p. 212 Multiple stakeholder model, p. 209 Norm, p. 220 Paradox, p. 206 Project team, p. 212 Quality-improvement team, p. 215
Small-group communication network, p. 232 Team, p. 211 Team-based organization, p. 211 Team learning, p. 226 Virtual team, p. 217 Workplace democracy, p. 206 Work team, p. 213
Chapter 7: Teams and Networks
CASE STUDY I
Spellman Gardens Jean and John Spellman are former bank executives living in Seattle, Washington. Although they were employed by different banks, both went insolvent in the 2008 credit crisis, causing the Spellmans to reconsider their options in a hurry. In a courageous move based in part on Jean’s history growing up on a working farm, they decided to start a small business whose mission was to provide all of the seeds and equipment needed for people to start home vegetable gardens. Their thinking at the time was that in a down economy people would once again be attracted to the idea of growing at least some of their own food. Their bet paid off almost immediately. Sales of seeds and garden tools increased rapidly, fueled entirely through word of mouth and Internet advertising and sales. It was the classic case of “the right idea at the right time.” But even overnight successes have their challenges. Orders came in so quickly that the couple put all of their friends and family to work filling them but still lagged behind. Their biggest fear was that they would develop a reputation of being slow to fill orders, which they knew would be the kiss of death for today’s consumer. Grudgingly, John realized that they would have to put some more “organization” around their labor of love if it were to succeed. In March 2009, Spellman Gardens had 12 employees, but the Spellmans expected to need more than 40 by the end of the year. Both Jean and John enjoy the informal, family feeling of their start-up company, but when they contemplate adding dozens more employees, their imaginations quickly go to their bank experiences, complete with reporting levels and defined departments. They have a gut feeling that it wouldn’t work to recreate a bank structure in their small business, but they are less sure about the alternatives. What kind of structure would be most likely to allow their fledgling but successful business to grow?
Assignment 1. What should the Spellmans do to hold on to the informality they enjoy about their new business? What should they definitely not do? Why? 2. What lessons, if any, should they take from their banking experience in providing a structure for growth for their new company? 3. What would it look like if they adopted a team-based structure for their growing company? What kinds of teams should they form, and how should they be organized and led? 4. What role, if any, should communication technology play in their growth and staffing plans? Should they try to keep all employees based in Seattle, or might there be advantages to building a broader network of employees?
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CASE STUDY II
The Networked Community Background Founded in 1913, Fleeberville is an average American city of 1.5 million people with typical urban problems. The city is located on a large, spring-fed lake in a mountain setting just north of Atlanta, Georgia. Industrial pollution has over the years become a serious problem. Traffic on the two major highways gets worse every year, as does the rate of violent crime. The software companies that dominate the local economy are downsizing, and the remaining jobs require extensive technical expertise. The result has been an expanding underclass, much of which has been forced to seek public assistance. People with resources have increasingly isolated themselves from the city as a whole, and gated communities and private schools grow more numerous each year. Meanwhile, basic city services and public schools are in decline.
Assignment Imagine that you are an activist, community organizer, and communication expert who has recently decided to make Fleeberville your permanent home. You intend to put down roots, start a career, get married, and raise children there. However, for many reasons, you feel that the city must embark on a path of selfrenewal. You observe that many citizens seem to care about the city, but isolated efforts to improve things (e.g., clean up the lake, clothe the homeless, sponsor a school) don’t appear to be very effective. Knowing what you do about systems, teams, networks, and organizing, how would you approach the problem of making Fleeberville a better place to live? 1. What actions would you begin with, and whom would you contact for help? 2. What patterns of communication would you encourage, and how ought they to change over time? 3. How would you deal with existing groups who feel uniquely responsible for determining the future direction of the city? 4. What teams and networks would you build to promote such a massive effort, and how would you prepare these groups for the challenges? 5. How would you evaluate the success or failure of your efforts?
CHAPTER 8
Communicating Leadership
In the lead essay for the international journal Leadership, prominent organizational scholars David Collinson and Keith Grint (2005) write, Since the 1940s there has been an enormous outpouring of writing on leadership. Yet, there is little consensus on what counts as leadership, whether it can be taught, or even how effective it might be. . . . Leadership “research” has frequently been at best fragmented and at worst trivial, too often informed by the rather superficial ideas of management and academic consultants keen to peddle the latest, pre-packaged list of essential qualities deemed necessary for individual leaders and as the prescribed solution to all leadership dilemmas. (p. 5)
Despite this pessimistic assessment of the history of leadership research as well as the “best practices” models offered by leadership consultants, interest in articulating new ways of thinking about leadership continues to expand, and the stakes for finding and training effective leaders worldwide have never been higher. Failures in leadership span the globe and punctuate our present era. They include the various financial debacles of the late twentieth and early twenty-first centuries; failures of political leadership in a post–September 11 world to prevent war and insurrection; and failures of federal, state, and local administrators and relief agency leadership to deal with unprecedented natural disasters in the United States (Trethewey & Goodall, 2007). In this chapter, we provide some new thinking about leadership drawn from traditional and nontraditional sources. In part, this new thinking requires us to reframe what we mean by leadership as well as how we think about the role of communication in it. To guide us in our examination, we will honor the advances made
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in leadership research that provide the basis for the bracing critique that began this chapter. We do so because without understanding the history of leadership research, we risk abandoning some useful insights that continue to serve us well. From that traditional foundation we move on to the more innovative ways of thinking about leadership as communication and sense making, and the powerful role narrative and identity play in it as well as in everyday communication with employees.
LAYING THE FOUNDATION: USEFUL INSIGHTS FROM PRIOR THEORETICAL FRAMES In this section, we detail trait leadership, leadership style, situational leadership, transformational leadership, and discursive leadership. We explore the implications of each approach for communication, along with its limitations.
□ Trait Leadership Trait theory is one of the earliest attempts to fashion a theory of leadership. It focused entirely on an individual’s physical and social attributes. From the oral histories of the Peloponnesian Wars (circa eighth century BCE) that chronicled the feats of warriors and goddesses through the profiling of more contemporary political icons (e.g., various U.S. presidents and world leaders), some recognized religious leaders, and sports heroes, there continues to be a human fascination with the physical and behavioral characteristics of those who attain greatness or infamy. For this reason, it should come as no surprise that management researchers and theorists from the 1930s through the mid-1950s drew heavily on trait models to formulate the first profiles of great business leaders. Rather uncritically, these first efforts reflected the biases of the European cultures that generated them, so the traits of recognized leaders tended to be held by tall, blonde, white males from upper-class or upper-middle-class families. In the aftermath of Hitler’s rise to power in pre–World War II Germany (which emphasized the purported superiority of the white Aryan nation), the trait approach lost much of its appeal. Nonetheless, traits associated with great leaders (and great sports heroes) still capture a great deal of the public imagination and influence decision making. Candidates for the U.S. presidency, for example, are still expected to “look like leaders,” which, at a minimum, means being affluent, fit, tall, well-groomed, and physically attractive. For scholars who understand the appeal of visual culture and its reliance on a commodity-based form of capitalism to sustain it, the appeal of trait theories of leadership transfers rather easily to traits associated with celebrity and popular culture stardom. In a striking critique, New York Times columnist Maureen Dowd (2005) — exasperated by the fact that so many of the younger women she comes in
Chapter 8: Communicating Leadership
contact with look alike, have the same hairstyles, wear the same fashions, and express themselves in a very similar celebrity-speak manner — commented that the triumph of feminine sameness was also the death of the feminist ideal. But this onesize-fits-all “picture of perfection” doesn’t stop with fashion or even with plastic surgery. In a study of flight attendants, organizational scholar Alexandra Murphy (1998) pointed out that physical traits were still used in the selection, promotion, and retention of workers in the airline industry, particularly female employees. In another well-known study, Angela Trethewey (1999) discussed the “disciplining” of the female body in the workplace and provided an analysis of how appearances at work are signs of power, authority, and privilege. One insight we can gain from the trait approach to leadership is the fundamental idea that physical attractiveness is a key component — and an enduring one — of effective leadership. This reality was underscored decades ago when those who listened to the Kennedy-Nixon presidential debates on the radio rated Nixon much more highly than those who saw the debate on television; much was written about Nixon’s “five o’clock shadow” and “shifty eyes,” which were contrasted with JFK’s “boyish good looks.” Despite the democratically dubious and clearly flawed logic that underscores it, ours is a world that more often than not gives a competitive edge to those of us who most closely resemble whatever physical and behavioral model of cultural attractiveness happens to be current.
□ Leadership Style Theories of leadership have also long been associated with issues of power and authority. Many years ago, social scientists Ralph White and Ronald Lippitt (1960) proposed that leadership style should be conceived of as a continuum from autocratic (boss-centered power and authority) to democratic (managers and subordinates share power and authority) to laissez-faire (subordinate-centered power and authority with little to no guidance from managers). This leadership taxonomy reflected the world political climate during the time of its formation (circa post–World War II), right down to the language used to associate the “weak” French style (e.g., laissez-faire) with leadership that failed to defeat the Nazis in 1940. At the other end of the leadership continuum, the terminology is equally suspect, as dictators capable of bending nations to their will were well known — and, for good reason, often feared — throughout the world. It should be no surprise that the middle ground occupied by democratic leaders was the favored approach among postwar North American and European researchers. Democracy had triumphed over dictators, and democratically elected leaders had also saved those countries whose own leaders had failed them. Why shouldn’t this approach apply equally well to the workplace? From the outset, one problem associated with the styles approach to leadership was its rigidity. What appeared as three distinct styles emerged as overlapping sets of behavior in practice. Effective leaders often displayed a dominant style but were
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usually capable of behaving in other ways when the situation warranted. Moreover, the effectiveness of any given style depended on the consent of followers, who varied in their tolerance for different leadership styles (this remains very true today, where the styles appropriate to manufacturing work don’t play as well with, for example, physicians or professors). Just as presidents seldom remain in office if they violate the trust or expectations of the electorate, so too do other leaders rise and fall with the success and relative satisfaction experienced by their subordinates. Despite these problems, the styles approach to leadership continued to attract academic adherents and benefited from various keen theoretical refinements. For example, Robert Blake and Jane Mouton created The Blake and Mouton Managerial Grid (1964, 1985) as a by-product of the human relations and human resources movements (see Chapter 3). According to the Managerial Grid, there are two primary dimensions that define appropriate choices of leadership style: concern for relationships (people) and concern for tasks (production). Figure 8.1 illustrates how those two key dimensions allow for five style-based options. As with trait theory and the styles approach, this model closely fits the prevailing cultural and political climate of its time. Management is portrayed as a simple matter of balancing competing goals through rational decisions about people and tasks. Complicating factors like race, class, gender, and ethnicity are all absent from this model. At the center of the grid is a yawning display of 1950s’ middle-class suburban values, a preoccupation with avoiding conflict, and no clear role for communication processes in creating either productive relationships or completed tasks. The five categories that inform the grid say as much about prevailing preferences for a class-based system for organizing as they do any enduring organizational reality (i.e., they are partisan). The top of the pecking order is divided into “Country Club Management” (for leaders more oriented toward “satisfying relationships”) and “Team Management” (for those whose leadership role is defined by a group accomplishment of tasks because of “trust and respect”). At the bottom of the pecking order we find two choices as well: “Impoverished Management,” whose language seems drawn from a caricatured view of the welfare state, pitted against a fascistic “Authority-Obedience” leader, with little or no concern for the value of human life. Between these extremes we have the aptly named “Organization Man Management,” a concept of leadership that balances a concern for others with a concern for the completion of tasks. The “Organization Man” reference is to a best-selling book by William H. Whyte Jr. that described a dominant North American culture of complacency in large organizations promoted by leaders who are more concerned with being liked than with being regarded for their good business sense. In Whyte’s (1956) classic study, “good communication” was the ticket to a rewarding career because “the social ethic” (with its emphasis on fitting in, not standing out, and on being well liked) had displaced the Protestant work ethic of rugged individualism capable of independent judgment and a singular attention to the value of hard work and its positive effects on character.
Chapter 8: Communicating Leadership
FIGURE 8.1
The Blake and Mouton Managerial Grid® The Managerial Grid ® High
9
8
1, 9 Country Club Management Thoughtful attention to needs of people for satisfying relationships leads to a comfortable, friendly organization atmosphere and work tempo.
9, 9 Team Management Work is accomplished by committed people; interdependence through a “common stake” in organization purpose leads to relationships of trust and respect.
Concern for People
7
6 5, 5 Organization Man Management Adequate organization performance is possible through balancing the necessity to get out work with maintaining satisfactory morale.
5
4
3
2
1, 1 Impoverished Management Exertion of minimum effort to get required work done is enough to sustain organization membership.
9, 1 Authority-Obedience Management Efficiency in operations results from arranging conditions of work in such a way that human elements interfere to a minimum degree.
1 Low 1 Low
2
3
4
5
6
Concern for Production
7
8
9 High
Source: Blake, R., & Srygley, J. (1985). The Managerial Grid III: The key to leadership excellence. Houston, TX: Gulf.
□ Situational Leadership® Situational Leadership® suggests that appropriate leadership emerges from behavior that is responsive to varied situations. The literature on leadership became more nuanced as systems theories began to suggest that the appropriate behavior in any situation was more a matter of reading and responding to contingencies than it was a fixed condition of traits and styles. In 1977, management theorists Paul Hersey and Kenneth Blanchard determined that the effectiveness of a leader
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had to do with the maturity of the group. They categorized four distinct styles of Situational Leadership® based on a group’s maturity: telling, selling, participating, and delegating. Based on continuing research, the Situational Leadership® model evolved away from the concept of maturity and the notion of reaching a fully developed state to one related to an individual or group’s readiness to perform a specific task. Readiness, in this context, is less a function of time than it is about ability and willingness. A group’s knowledge, experience, and skill determines its ability to perform a task. Do the group members know how to do what is being asked of them? Have they done the task before? Are they already doing it? The answers to these questions are good indicators of ability, but they answer only half of the readiness question. Things like confidence, commitment, and motivation affect a group’s willingness to perform the task. “I can. I will. I want to.” Statements like these indicate a willingness to perform the task. Considering both ability and willingness helps indicate the readiness of others to complete a specific task. Figure 8.2 displays the concept. The higher the level of Performance Readiness® of the group for a specific task, the less direct authority (telling) or persuasion (selling) is required to successfully and effectively complete the task. Less direct supervision is also necessary. As groups change in their readiness, effective leaders match their leadership style to the groups’ needs. For instance, a group that isn’t performing yet, really doesn’t know how, and lacks confidence in their ability to do so, is low in readiness. They need their leader to provide structure, to tell them the next steps. A group that is beginning to perform and is excited about the job at hand needs both structure and relationship behavior. They don’t know what they don’t know so holding their hands and guiding them while explaining the why behind things (selling) is what they need from their leader. A group that has the ability to do the job and is doing the work but may be feeling a little insecure about the leader not being quite so involved any more needs supportive behavior from their leader, not direction in how to do the job they are already doing quite well. They just need reassurance that they are fine. A group that is doing the job well and is confident, committed, and motivated to continue doing so needs very little from their leader. Effective leaders in this instance can delegate decision-making responsibilities to group members and empower them to create alternative ways and means to carry out tasks and evaluate performance (note the connection between levels of team empowerment in the previous chapter). As appealing as the situational approach to leadership sounds, this approach ignores three things. First, it doesn’t provide a way for organizations to identify persons for leadership who are flexible and adaptive in their orientation to others. Additional tools like 360-evaluations must be utilized for this purpose. More important, the model omits a method for identifying people who communicate effectively — and differently — in a variety of settings and with diverse others. Finally, this model for leadership omits a key skill, the ability to motivate and inspire others, not only to higher levels of performance but also to higher moral and ethical behavior.
Chapter 8: Communicating Leadership
FIGURE 8.2
Situational Leadership Model® Situational Leadership® Influence Behaviors
Sel
ip a ti n g
High Task and High Relationship
ling
Partic
High Relationship and Low Task
Supportive Behavior Relationship Behavior
High
S3 S2
D
Low Low
g
el eg
lin Tel
ati n
g
S4 S1
Low Relationship and Low Task
High Task and Low Relationship
Task Behavior Directive Behavior
High
Performance Readiness®
High
Moderate
Low
R4
R3
R2
R1
Able and confident and willing
Able but insecure or unwilling
Unable but confident or willing
Unable and insecure or unwilling
Source: © 2006. Reprinted with permission of the Center for Leadership Studies, Inc., Escondido, CA 92025. www.situational.com. All rights reserved.
□ Transformational Leadership Transformational leadership foregrounds organizational change and transformation as the essential task of effective leaders. Warren Bennis (1998), an organizational scholar and pioneer in the area of leadership studies, identified characteristics of such effective leaders for the global marketplace. This “new type of leader” is a change agent, one who seeks to lead an organization through an increasingly turbulent global business environment through the strategic use of communication.
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The world of the late 1980s and early 1990s experienced a great deal of political, social, and economic change. The Cold War, which had dominated the global political stage since the end of World War II, ended with the tearing down of the Berlin Wall in 1989 and the resignation of Soviet premier Mikhail Gorbachev on Christmas Day 1991. The U.S. economy was in flux, so much so that presidential candidate Bill Clinton’s chief strategist, James Carville, made the mantra “It’s the economy, stupid” the basis for Clinton’s vision for change, a vision that led to a surprising victory in 1992. Organizations already rebounding from the massive restructuring that took place after the first Arab oil crisis and the sudden and unpredicted dominance of Japan in world manufacturing markets in the 1970s and 1980s were learning how powerful the new information technologies — specifically the desktop computer — could be, as well as coming very quickly to understand how the Internet was changing the way business was done. And after years of creating campaigns for ecological awareness, the Green movement in Europe and environmental advocates in North America finally began to see progress as world governments began to take seriously the negative consequences of carbon emissions, pollution, the demise of the rain forests, and the ominous potential for global warming. The time, the culture, and the economy all seemed ripe for change. Bennis, of course, was not the only writer espousing a need for transformational leadership. Popular authors like Tom Peters (1994a; 1994b) were lecturing to packed audiences about the power of transforming businesses through inspired leadership, empowerment of employees, and the strategic uses of new technologies. In the academy, researchers and theorists from a variety of fields were making a case for a new way of thinking about organizing. One such theorist, Margaret Wheatley (1992), used recent developments in theoretical physics to define some intriguing parameters for what she termed “the new science of leadership.” In a bold extension of the democratic impulse, Wheatley’s parameters encouraged leaders to think of themselves as stewards and encouraged employees at all levels to see themselves as stakeholders. She described the importance of thinking relationally rather than hierarchically and of conceiving of contexts as manifest through valued relationships rather than as something that exists in some rigid, impersonal organizational “structure.” Her work continues to inspire leaders to look beyond traits, styles, and situations to fully acknowledge and embrace their enduring connection to their employees, their society, and the world. One leadership competency that all writers can agree on is the importance of the leader’s vision. Whether in politics, religion, social activism, education, or global business management, it is important for leaders to craft a credible and compelling view of the future, or vision, as well as cultivate an ability to communicate that future clearly and creatively to disparate others. Jim Collins and Jerry Porras (2002) offer this definition of a good vision: A well-conceived vision consists of two major components — core ideology and envisioned future. . . . A good vision builds on the interplay between these two complementary yin and yang forces: It defines “what we stand for and why we exist” and . . . “what we aspire to become, to achieve, [and] to create.” (p. 221)
Chapter 8: Communicating Leadership
To inspire a vision for change requires creating a language for that vision. Changing how we think requires changing how we speak because, as we learned from our discussion of Max Weber in Chapter 3, human beings are “suspended in webs of significance that we ourselves have spun” (cited in Geertz, 1973, p. 434). Those webs are constructed out of language, and the organizing practices we build are spun within them. Transformational leadership requires leaders to have a singular ability to communicate vision in a way that inspires others. For this reason, the new way of thinking about leadership truly began with a new way of valuing communication as the essential component of inspiration and change.
□ Discursive Leadership Recent research on leadership communication looks even more directly at people’s ability to influence the ebb and flow of work conversations and the meanings that emerge from this discourse. These scholars (Cooren, Taylor, & Van Every, 2006; Fairhurst, 2007) focus on what they call discursive leadership, or the social, linguistic, and cultural aspects of leadership as reflected in concrete interactional processes. They draw on theories of the social construction of reality and resonate with our view of organizational communication as the moment-to-moment balancing of creativity and constraint. Gail Fairhurst (2007) identifies two notions of “discourse” that can be applied to the analysis of leadership. The first, which she calls “little d discourse,” refers to the moment-to-moment choices people make in everyday conversations. The second, “big D discourse,” examines how broader cultural narratives of knowledge and power come to be reflected in everyday talk. The difference between these approaches is more one of level of analysis than subject: Both aim to expose how meaning gets constructed in conversations between leaders and potential followers. Little d discourse, for example, might examine turn taking, interruptions, and the strategic use of pronouns, whereas big D discourse might focus on how common cultural concepts like customer satisfaction or work-life balance are used locally to foster certain meanings and actions. From a practical perspective, discursive leadership highlights the image of leader as storyteller and reaffirms the value for leaders in expanding their facility in guiding employee interpretation of organizational realities. One feature of discursive leadership theory is unique enough to warrant mention. Students of this approach do not limit their understanding of discourse to language alone, or even to human beings. Instead, they are equally interested in the ways in which objects (e.g., corner offices, articles of incorporation, computer systems, and office cubicles) all exist with built-in properties reflecting past organizing. If you examine leadership discourse from this angle, you can see immediately how these nonhuman entities seem to have a life of their own as they are invoked in conversation. Objects, like founding organizational texts (e.g., vision, mission, constitution, credo), have significant agency in shaping organizational talk and action.
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But understanding the role of communication in effective leadership is not the same as knowing how to do it or doing it consistently over time in a range of challenging settings. The next phase in leadership studies moved from an emphasis on articulating a compelling vision to establishing behavioral habits that enact and reinforce that vision (i.e., “walking the talk”). Many of these habits are also communicative in nature.
LEADERSHIP RECONSIDERED: EFFECTIVE LEADERSHIP HABITS Contemporary authors who write on leadership suggest that great leaders possess a unique combination of habits: habits of mind, habits of character, and habits of authentic and compelling communicative performance. Understanding each of these sets of behavior helps inform our contemporary notion of leadership.
□ Habits of Mind Habits of mind are patterned ways of thinking that define how a person approaches issues and conceives of alternative ways of resolving or dealing with them. Management scholar Robert E. Quinn, writing in the Harvard Business Review (2005), echoes the problems associated with leadership training when he observes: Nearly all corporate training programs and books on leadership are grounded in the assumption that we should study the behaviors of those who have been successful and teach people to emulate them. . . . But my colleagues and I have found that when leaders do their best work, they don’t copy anyone. Instead, they draw on their own fundamental values and capabilities — operating in a frame of mind that is true to them yet, paradoxically, not their normal state of being. I call it the fundamental state of leadership. (pp. 75–76)
Quinn goes on to elaborate the differences between a leader’s “normal state of being” and the state of mind required to perform and communicate as a leader: 1. Move from being comfort-centered to being results-centered. Ask: What results do you want to create? For example, establishing benchmarks or timetables for the accomplishment of tasks and then using those metrics to evaluate your own performance is one way to move from comfort- to resultsoriented thinking. 2. Move from being externally directed to being more internally directed. For example, stop complying with others’ expectations and clarify your core values. Increase your integrity, confidence, and authenticity. 3. Become less self-focused and more focused on others. Put the needs of the organization above your own. By thinking this way, you contribute to the greater success of the whole organization, which, in turn, usually means that your own success will be enhanced.
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4. Become more open to outside signals or stimuli, including those that require you to do things you are not comfortable doing. For example, scanning the environment for new information — including the global information environment afforded by the Internet, etc. — is one concrete way to expand your perspective and become more aware of trends in the making. Additionally, stop relying as heavily on rote patterns of thinking and being; call into question your taken-for-granted assumptions about “the ways things are” as well as your usual responses to the behavior of others. (p. 75) Quinn’s main point is that leadership is less a prescribed set of behaviors than it is a uniquely expansive mind-set, one that is focused on the creation of possibility (see also Zander & Zander, 2002). This theme is echoed in recent work by Peter Senge and his colleagues at the Society for Organizational Learning in Cambridge, Massachusetts (Senge, Scharmer, Jaworski, & Flowers, 2005).
□ Habits of Character Jim Collins, known for the idea of the “high-performance organization” and widely recognized for his studies of “visionary companies” that endure through turbulent times, echoes Quinn’s views of the importance of internal states associated with what he terms “Level 5 leadership” or the highest quality of leadership (2005, p. 136). Yet for Collins, the essential component is only one part state of mind; it is also composed of ways of being in the world, or what we call habits of character. And, within those habits, we find that almost without fail the essence of a leader’s character is not shameless self-promotion or iconic bombast or personal flamboyance, but simple modesty. Collins’s studies of eleven great companies helped him construct a hierarchy of learning experiences that prepare great leaders for modesty. These experiences begin with the identification of a “highly capable individual” who then advances to “contributing team member”; from success at the level of teamwork (which includes some leadership), the highly capable person evolves into a position where she or he can demonstrate skills as a “competent manager.” “Effective leaders” emerge from successful managerial experiences (where success is also combined with lessons learned from failure). Collins labels Level 5 leaders as “executives,” and this is the only level where he found that rarest of human combinations: personal humility alongside professional will. The importance of drive or professional will is widely understood as a key characteristic of success in the business world. Unfortunately, it is often confused with a “take no prisoners” mentality and a desire to succeed at all costs (recall the litany of recent ethics scandals recounted in Chapter 1). But those traits, while they may be found in leaders, are not what define success as a leader. Instead, professional will is generally made up of a strong drive to succeed based on a clear and compelling vision for the company, where a close connection exists between the image one has of oneself and one’s professional identity. Ironically, individuals who rise to prominence through unrelenting personal ambition and a drive to succeed
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seldom achieve Level 5 leadership because they lack the corresponding essential quality of character: modesty. Modesty — personal humility about one’s accomplishments and a profound commitment to the good of the company — is vital to leadership because it is inspiring. The unique blending of professional will with personal humility is also found in the idea of “servant leadership” (Greenleaf, 1998). Leadership researchers Beverly Alimo-Metcalfe and John Alban-Metcalfe (2005) provide an empirically fieldtested definition of the servant leader that is composed of the following qualities: 1. 2. 3. 4. 5. 6.
Valuing individuals (genuine concern for others’ well-being and development) Networking and achieving (inspirational communicator) Enabling (empowers, delegates, develops potential) Acting with integrity (consistent, honest, open) Being accessible (approachable, in touch with others) Being decisive (a risk taker)
Again, these habits of character are less learned or taught than they are cultivated through everyday disciplined thinking about the “work of the self” in a world of others. This principle is similar to what Warren Bennis and Burt Nanus (2003) call “management of self” and Peter Senge (1994) calls “personal mastery” — the capacity for acquiring a critical appreciation of one’s accomplishments in the context of a lifelong journey toward selfhood and the challenge of working with others to achieve a vision or create an imagined community. Such disciplined thinking views the evolving, questing, relating self as part of a much larger human project, and for this reason it carries with it an active commitment to the success of others as well as an appreciation for the privileges of education, race, class, gender, age, or simply being in the right place at the right time to succeed. Humility about one’s accomplishments — regardless of what they are, or how grandiose they may seem to be — is the inevitable result of habits of mind and habits of character that are then realized fully in authentic communicative performance.
□ Habits of Authentic Communicative
Performance From the outset, most leadership research has advanced the idea that effective leaders are skilled at authentic communication, in relating to others in a way that reflects their own deeply held values and beliefs. They are excellent communicators who have an ability to use language to influence and motivate others. This core idea has been key to every new approach to the subject of leadership since the ancient Greeks passed along this saying: “When Aschines speaks, the people say, ‘How well he speaks,’ but when Demosthenes speaks, the people say, ‘Let’s march against Philip!’” The ability to get others to do willingly what you ask of them, often with great personal sacrifice, is the mark of a great leader. When we consider the power of the spoken word to inspire change, we may recall images from political and religious figures like Martin Luther King Jr.,
Chapter 8: Communicating Leadership
speaking the famous words “I have a dream,” or John F. Kennedy, who during his inaugural address said, “Ask not what your country can do for you — ask what you can do for your country.” We may also think of former President Ronald Reagan, who combined a natural storytelling style with clear and compelling messages and who was known during his presidency as “the Great Communicator.” We may think of Mary Kay Ash, visionary founder of Mary Kay Cosmetics, who found a way of combining traditional femininity, personal storytelling, and an entrepreneurial vision. We may think of Oprah Winfrey, who provides a forum for talk about previously uncomfortable or publicly unspeakable topics, such as child abuse and molestation, racial inequality, obesity, and the importance of literacy worldwide. As an informal opinion leader operating in the public sphere, Winfrey uses her speaking platform as a change agent for issues of social justice. And finally, consider President Barack Obama, whose clear, articulate, and passionate oratory led to his election and must continue to inspire a nation, and a world, in need of reassurance, hope, and leadership. In all of these examples of leadership — as diverse in vision as they are in kind — the one common denominator is effective and authentic communication. However, the term communication applied to organizational settings can mean — and has meant — a lot of different things, as we have shown throughout this book. For example, during the scientific management era, effective communication meant top-down clarity and the cultivation of an authoritative style. The measure of communicative success was the strict adherence of employees to orders given by the boss. This definition of good communication changed during the advent of the human relations and human resources eras, as researchers and managers learned that how employees felt they were being treated mattered to them. One lasting change from this era was a gradual new appreciation and behavioral focus on the importance of listening and responding skills, something unthinkable to authoritative, top-down managers engaged in what they believed were effective communication practices only a few years before. Today, the concept of leadership communication includes far more than success in the sender-receiver relationship. Giving clear instructions or listening to employees vent or even developing productive working relationships with others using a cell phone, a fax machine, or e-mail are merely the most obvious aspects of effective communication for leaders. The concept of communication in the early twenty-first century reflects, as in the past, what has surfaced in our time as important indicators of cultural, social, economic, and political success. Because we live in a highly mediated world in a highly uncertain time, and because we have constructed a commodity-based capitalist system of economy that values the material as well as the symbolic dimensions of what is said or done, leadership today is increasingly dependent on the following: • The ability to create, in straightforward if sometimes strategically ambiguous language, a clear and compelling vision for the future (Collins & Porras, 2002)
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• The development of a credible life story that emphasizes the naturalness of the path you’ve taken to leadership, despite having to overcome hardships and endure emotional pain while maintaining a core set of commonly held values (Benoit, 1997; Shamir, Dayan-Horesh, & Adler, 2005) • The ability to use language performatively to inspire others to choose those desirable future actions and to work hard to help you obtain them (Deal & Kennedy, 1982; Pacanowsky & O’Donnell-Trujillo, 1983; Robbins, 1997) A good leader not only is a visionary, but leads by example. This means being up to the daily challenges of organizing and decision making, but moreover it means showing others how much one enjoys being in charge of the ongoing action and is worthy of their trust and confidence. Good leaders today are, therefore, communicatively adept. They inspire others to work with them and for them through their humility and the power of their personal example.
LEADING THE ORGANIZATION: COMMUNICATING WITH EMPLOYEES One can get lost in the vast complexities of leadership theory and research, so it is helpful to remember some constant realities. All leadership has a communicative component and involves the purposeful exercise of influence over others. Moreover, this influence is independent of formal titles and reporting relationships and may extend in multiple directions within and between organizations. In this section, we discuss how leaders influence their employees through communication. As we have seen throughout this book, organizational theories propose different approaches for leaders to communicate with their employees. In classical management theory, downward communication is emphasized; it is formal, precise, and work-related. Human relations theory stresses supportive communication, while human resources theory emphasizes the need for supervisors to involve employees in decision making. The systems and cultural approaches make no specific prescriptions about communicating with employees, whereas critical theorists call for a radical leveling of power and authority among superiors and subordinates in which both are regarded as equally important to the organization. No matter what their perspective, however, contemporary observers agree that effective communication with employees on the part of leaders has at least four essential characteristics: It is open, supportive, motivating, and empowering.
□ Openness As a general rule, openness is a desirable goal in most supervisor-employee relationships (Redding, 1972). The parties in an open communication relationship “perceive the other interactant as a willing and receptive listener and refrain from responses that might be perceived as providing negative relational or disconfirming
Chapter 8: Communicating Leadership
feedback” ( Jablin, 1979, p. 1204). Openness has both verbal and nonverbal dimensions. Nonverbally, facial expression, eye gaze, tone, and the like contribute to degrees of open communication (Tjosvold, 1984). Studies conducted by W. Charles Redding (1972) and his students at Purdue University revealed a positive correlation between a supervisor’s open communication and employees’ satisfaction with the relationship. The researchers identified five key components of an open communication relationship: 1. The most effective supervisors tend to emphasize the importance of communication in their relationships with employees. For example, they enjoy talking at meetings and conversing with subordinates, and they are skilled at explaining instructions and policies. 2. Effective supervisors are empathic listeners. They respond positively to employees’ questions, listen to suggestions and complaints, and express a willingness to take fair and appropriate action when necessary. 3. Effective supervisors ask or persuade, rather than tell or demand. 4. Effective supervisors are sensitive to others’ feelings. For instance, reprimands are made in private rather than in public work settings. 5. Effective supervisors share information with employees, including advance notices of impending changes and explanations about why the changes will be made. In the 2004 book Apollo, Challenger, and Columbia: The Decline of the Space Program (A Study in Organizational Communication), organizational scholars Phillip Tompkins and Emily Tompkins examine the Challenger and Columbia disasters and find their cause to be in part due to the erosion of a culture of open communication and the loss of specific practices that ensured the exchange of ideas and information. Specifically, they describe the value of eminent scientist Wernher Von Braun’s “Monday Notes” as a mechanism for both soliciting and responding to ideas. Von Braun required all of his lead engineers to submit written summaries of the progress and problems in their areas every Monday. He would read through the reports and make comments, then redistribute the entire package of notes (with his comments) to all of the submitters. In this way, he ensured regular communication across levels and departments. As Monday Notes were dropped and elements of shuttle design and manufacture were increasingly outsourced, communication was diminished and the safety of the program was put at risk (Tompkins & Tompkins, 2004). The authors’ telling research on the history of NASA (and, specifically, the space shuttle program) underscores the value of open communication. Other researchers suggest that openness plays a more complex role in the superior-subordinate relationship and that its effects are not always so easy to predict. Eric Eisenberg argues that, depending on the context, openness can have dramatically different outcomes (Eisenberg & Witten, 1987). For example, a supervisor may use openness in indiscreet or insincere ways or as a way to intimidate employees. Although supervisors should strive for open communication with employees in appropriate contexts, openness should not override other concerns, such
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as confidentiality and ethics. For example, it would be highly inappropriate for a supervisor to disclose reservations he or she may have about the performance of a colleague. Instead, the supervisor ought to share this information with the proper audience and in the proper context — that is, with his or her supervisor. Problems can arise when open communication is viewed ideologically and indiscriminately as a moral mandate for full and honest disclosure, without sensitivity to the communicative context of any given situation (Bochner, 1982; Eisenberg, 1984).
□ Supportiveness Research suggests that supportive communication — which emphasizes active listening and taking a real interest in employees — is even more useful to organizational leaders than openness. According to the theory of leader-member exchange, or LMX (Graen, 1976), supervisors typically divide their employees into two types and form very different relationships with members of each group. The two types of relationships are (1) in-group relationships, which are “characterized by high trust, mutual influence, support, and formal/informal rewards,” and (2) out-group relationships, which are “characterized by . . . formal authority [and] low trust, support, and rewards” (Fairhurst & Chandler, 1989, pp. 215–216). Ingroup relationships develop over time, tend to be more trusting, and are characterized by a greater willingness by supervisors to delegate important tasks (Bauer & Green, 1996). In general, in-group relationships are associated with greater employee satisfaction, performance, agreement, and decision-making involvement as well as lower turnover rates than out-group relationships (Graen, Liden, & Hoel, 1982; Liden & Graen, 1980; Scandura, Graen, & Novak, 1986). There is also evidence to suggest that having a positive in-group relationship with one’s supervisor leads to better integration into important social networks (Sparrowe & Liden, 1997) as well as enhanced feelings of perceived organizational support, which in turn strengthen commitment and performance (Sparrowe & Liden, 1997; Wayne, Shore, & Liden, 1997). Communication researchers Gail Fairhurst and Theresa Chandler (1989) extended LMX theory in an examination of actual in-group and out-group conversations involving a warehouse supervisor and three subordinates. Their analysis reveals some consistency in the communication resources deployed by those in each type of relationship. The in-group relationship is characterized by influence by mutual persuasion (in which both parties challenge and disagree with each other frequently) and greater freedom of choice for subordinates. In contrast, the out-group relationship is marked by the supervisor’s authority, a traditional chain of command, little freedom of choice for subordinates, and a disregard for their suggestions. A more recent application of the leader-member exchange model to coworker communication revealed how an employee’s privileged relationship with a supervisor affected that employee’s relationship with peers. In most cases, the employee’s coworkers engaged in communication aimed at making sense of the preferential treatment, made judgments about the unfairness of the in-group relationship, and
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experienced a general erosion of trust in management (Sias & Jablin, 1995). Although the leader-member exchange distinction focuses on broad issues of trust and support, it does not prescribe open communication as the sole means for attaining supportive relationships. Instead, supervisory communication is viewed as an ongoing attempt to achieve balance among multiple and competing relational, identity, and task goals (Dillard & Segrin, 1987; Eisenberg, 1984). Moreover, certain types of communication may ensure employee compliance but may also be demoralizing to employees. For example, a supervisor who insists on managing “by the book” despite an employee’s extenuating circumstances (e.g., a personal or medical emergency) can create a negative work climate. Effective supervisors, in contrast, strive to communicate in ways that simultaneously show concern for the relationship, demonstrate respect for the individual, and promote task accomplishment.
□ Motivation Motivation can be defined as “the degree to which an individual is personally committed to expending effort in the accomplishment of a specified activity or goal” (Kreps, 1991, p. 154). Although various other factors contribute to employee motivation, our focus here is on how leaders encourage or discourage employee motivation through their communication. Their communication can function in two ways to motivate employees: Leaders can (1) provide information and feedback about employees’ tasks, goals, performance, and future directions and (2) communicate encouragement, empathy, and concern. In both cases, however, the motivating effect comes from the manager’s ability to endorse particular interpretations of organizational issues through communication (Sullivan, 1988). The four best-known practices associated with employee motivation involve setting reasonable but challenging goals (Locke & Latham, 1984); meeting employees’ expectations (Steers, 1981); treating everyone fairly and with a sense of equity in assignments, duties, and performance evaluations (Altman, Valenzi, & Hodgetts, 1985); and successfully gaining compliance with your directives and goals (Keys & Case, 1990).
□ Empowerment Definitions of empowerment vary considerably from sharing power and decision making with employees through delegation to enabling and motivating employees by building feelings of self-efficacy. The empowerment process enhances feelings of self-efficacy by identifying and removing conditions that foster employee powerlessness (Conger & Kanungo, 1988) (see Figure 8.3). Furthermore, to feel empowered, an employee must also feel capable of performing the job and must possess the authority to decide how to do the job well (Chiles & Zorn, 1995). Empowerment requires the manager to act more like a coach than a boss by listening to employees’ concerns, avoiding close supervision, trusting employees to work within a framework of clear direction, and being responsive to employee feedback. An organization committed to empowerment encourages employees to
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FIGURE 8.3
The Five Stages of the Empowerment Process STAGE 1
STAGE 2
STAGE 3
Conditions leading to a psychological state of powerlessness
The use of managerial strategies and techniques
Provision of self-efficacy information to subordinates using four sources
Organizational factors Supervision Reward system Nature of job
Participative management Goal setting Feedback system Modeling Contingent/competence-based reward Job enrichment
STAGE 5
STAGE 4
Behavioral effects
Empowering the experience of subordinates
Initiation/persistence of behavior to accomplish task objectives
Enactive attainment Vicarious experience Verbal persuasion Emotional arousal
Strengthening of effort performance expectancy or belief in personal efficacy AND Remove the conditions of Stage 1
Source: Adapted from Conger, J., & Kanungo, R. (1988). The empowerment process: Integrating theory and practice. Academy of Management Review, 13, 471–482.
take on ever-increasing responsibilities that utilize their knowledge and skills. A study of W. L. Gore & Associates (Pacanowsky, 1988), the company that invented Gore-Tex fabric, identified six rules for empowering employees: 1. 2. 3. 4. 5.
Distribute power and opportunity widely. Maintain an open and decentralized communication system. Use integrative problem solving to involve diverse groups and individuals. Practice meeting challenges in an environment of trust. Reward and recognize employees to encourage a high-performance ethic and self-responsibility. 6. Learn from organizational ambiguity, inconsistency, contradiction, and paradox.
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Notice that these rules focus on providing the resources and opportunities for creating an environment in which subordinates become empowered by taking greater responsibility for their work. Organizations (and departments within organizations) can vary with regard to their degree of empowerment (Ford & Fottler, 1995). Degree of empowerment is a direct result of how decision-making authority is defined. A distinction exists between the employee’s control of job content (how the job gets done) versus job context (the conditions under which the job gets done, including goals, strategies, and standards). For example, it is increasingly common for line employees to have considerable say in the scheduling and tools they use to accomplish their work (job content) but still quite rare for them to have input into things like mission, strategy, and organizational structure (job context). What is of greatest importance is for managers and employees to maintain clear agreements about the expected degree of empowerment to avoid misunderstandings that can foster resentment and mistrust. This section, including the Everyday Organizational Communication example on page 268, has provided you with some practical ideas, many of them long established, about how one establishes positive influence with employees through openness, supportiveness, motivation, and empowerment. The next section considers the negative consequences of organizational leaders who use their power to berate, belittle, and demean employees and subordinates.
THE DARK SIDE OF LEADERSHIP: BULLYING AND HARASSMENT Theories of leadership have historically focused on the positive qualities associated with rising to the top of the organizational hierarchy. However, as we look around us, the chances are good that we notice that some leaders who have risen to positions of high prominence in the government, the military, the academy, the arts, and the business world are not pleasant people. Beyond some of the twentieth century’s notorious murderers and political bullies — Adolf Hitler, Joseph Stalin, Pol Pot, and Saddam Hussein — there are also standout cases of women and men who have attained executive ranks by being emotionally and physically abusive to others.
□ Bullying in the Workplace Research suggests that emotionally abusive behavior in adults begins early in childhood development. Schoolyard bullies who develop an abusive skill set that gives them authority and power over others often find ways as adults to exercise their authority through incivility, abuses of power, and exerting extreme control over others at work (Hornstein, 1996; Lutgen-Sandvik & Davenport Sypher, 2009; Tracy, Lutgen-Sandvik, & Alberts, 2006; Zellers, Tepper, & Duffy, 2002). This “dark side” of organizational leadership is not yet well documented, but the best estimate
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EVERYDAY ORGANIZATIONAL COMMUNICATION
Making the Most of an Internship Throughout this section, you have learned how openness, supportiveness, motivation, and empowerment allow leaders to help organizational members perform their best and meet organizational goals and standards. These four behaviors help mid- and senior-level managers direct their teams toward success, and they are also relevant to your experiences as a college student. While this holds true for many university experiences, such as leading in-class groups or student organizations, it is perhaps most salient when considering the all-important college internship. According to a 2006 survey, “Benchmarking Internship Expectations vs. Reality,” the most important factors in determining student satisfaction with internship experiences and acceptance of postgraduation employment offers are job content and manager behavior (cited in Gordon, 2007). That is, students want to feel motivated and empowered to be full members of the organization; they want to have clear goals and assignments that allow them to use what they have learned in the classroom for the benefit of the organization. Certainly, their managers’ leadership style can either help or hinder this empowerment process. Two students interning for the same organization can have very different experiences based in part on their manager. One might spend the summer or semester grabbing coffee and making photocopies, while the other might be sitting in on meetings and working on a small part of a larger project. Consider the positive experience that Rick Foggo, a senior from the State University of New York at Buffalo, had at Citigroup: “No matter how fast things were moving — and they were moving extremely fast because Citigroup was in the process of planning a migration to a new building that could support more users — the system administrators I was working with would always take time to explain things to me if I had questions.” Similarly, Chelsea Culver, a senior from the University of Washington, noted that the best part of her internship with H2 Marketing was the opportunity to work directly with clients as though she were a full-time employee. Clearly, such positive experiences are the result of open communication with managers, as well as a motivating and empowering environment. Managers set clear goals and expectations, and interns feel free to share what they hope to gain from the experience with managers and colleagues. We can see how this ideal unravels when the goals are unclear or the managers are too busy to direct and empower interns. Joanne Huang, a junior from the University of Wisconsin, notes that her internship with a manufacturing company was stressful due to a high level of uncertainty and limited training.
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BusinessWeek contributor Julie Gordon offers practical advice for college interns and the organizations in which they serve. See her profile at the URL in the source note. Her advice relates to our four points about leading the organization: “To feel as though their work is contributing to the company’s growth, students need to be treated like actual members of their divisions, interns and school administrators say. Interns want exposure to high-ranking officials and other interns through meetings, small get-togethers, and activities. Inclusion in departmental meetings, sufficient training, and at least one in-depth performance review can also give students a reason to go back to the company after graduation” (2007).
Discussion Questions 1. Think about the past two or three jobs you held, whether they were parttime jobs to help pay for rent and tuition or an internship to help you to learn more about a field you are interested in pursuing. How would you characterize your communication with your manager? Was it generally open and goal oriented? Did the manager make you feel empowered and motivated? Why or why not? 2. Knowing what you now know about successful leadership in organizations, how might you — as a new employee or intern without a great deal of formal power — help to build a more open and empowering relationship with your manager? What are some practical steps that you might take? 3. If you are currently in a leadership position in a campus organization, do you see yourself as a leader who is open, supportive, motivating, and empowering? How might you take some of the points addressed in this section and use them in your organization? Source: Gordon, J. (2007, February 25). Internships: Reality vs. expectations. BusinessWeek. Retrieved May 27, 2009, from http://www.businessweek.com/bschools/content/feb2007/bs20070225_914768 .htm.
is that one in six people complain of experiencing consistent mistreatment in the workplace (Meares, Oetzel, Torres, Derkacs, & Ginossar, 2004). Mistreatment is costly, not only to the individual on the receiving end, but to the organization, because people who are bullied are neither happy nor productive workers (often they become depressed and anxious), and many choose to leave their jobs rather than put up with it. What constitutes bullying behavior in the workplace? Robyn Mann, an Australian researcher who studies the subject, provides the following broad definition for bullying:
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Direct verbal communication such as name-calling, harsh criticism of outcomes, threats to job security, personal attack, supplying incorrect information and “dressing down.” Indirect verbal communication such as gossip, slander and innuendo relayed to the individual. Non-verbal communication such as disparaging looks and noises, sarcastic/ harsh tone of voice, offensive gestures, ignoring, “freezing out,” physically standing over another with the intention of intimidating, and thrusting or throwing articles towards an individual. Manipulation of the working environment such as withholding needed information, setting unreasonable deadlines, excluding from critical meetings, changing work schedules unfairly, failing to give due credit and retarding opportunities for promotion or higher pay. (Cited in Smith, 2005)
Why does bullying in the workplace persist when the majority of us would agree that it is unfair or unacceptable? There are two major reasons. First, bullies who are not held accountable for their behavior learn to repeat it (Smith, 2005). Second, people who are bullied often don’t know how to tell their story of abuse to someone who can help them and often fear organizational inaction or, worse, retribution from the bully (Tracy, Lutgen-Sandvik, & Alberts, 2006). Furthermore, organizational communication scholar Pamela Lutgen-Sandvik (2003) suggests that bullies are both cultivated and rewarded in many organizational cultures. Some of the rewards are accrued unwittingly by managers and supervisors who perceive that results are more important than the means used to achieve them. But it is also true that aggressive organizational cultures (e.g., Enron, Wal-Mart, WorldCom, the Trump Organization) tend to reinforce the conditions that cultivate bullying as a norm: high expectations, strict loyalty to the boss, cronyism in hiring and promotion, secrecy about “what really goes on,” and extreme measures taken to silence those who disagree, express criticism, or oppose actions. It is also true that bullying persists because employees who have been bullied often believe that complaining about it makes them seem weak and ineffectual. Targets of mistreatment are often women and minorities (Meares et al., 2004). In one study by researcher Gary Namie (2000), 23 percent of the targets of abusive behavior identified themselves as members of a minority group, and 77 percent were female. In that same study, 81 percent of the abusers were bosses. These data suggest rather strongly that patterns of bullying often draw on and perpetuate larger social inequities (see What Would You Do? on page 272).
□ Harassment and Sexual Harassment One of the most pervasive and problematic types of mistreatment in the workplace is harassment, a form of communicative behavior that degrades or humiliates people. Based on the federal Equal Employment Opportunity Commission (EEOC) guidelines, harassment includes the following: • Slurs about sex, race, religion, ethnicity, or disabilities • Offensive or derogatory remarks
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• Verbal or physical conduct that creates an intimidating, hostile, or offensive work environment • Conditions that interfere with the individual’s work performance One type of harassment that is prevalent in the workplace is sexual harassment. Sexual harassment refers to any verbal or nonverbal communication of a sexual nature that interferes with someone’s work. According to the Civil Rights Act of 1964, additional legislation in Congress, and federal, state, and local court rulings, there are two forms of sexual harassment: quid pro quo harassment and hostile work environment harassment: 1. Quid pro quo (“this for that”) harassment is based on the threat of retaliation or the promise of workplace favoritism or promotion in exchange for dating or sexual favors. Recently, this principle has been interpreted to include suggestions and innuendos as well as explicit quid pro quo comments. 2. Hostile work environment harassment is sexually explicit verbal or nonverbal communication that interferes with someone’s work or is perceived as intimidating or offensive. It is important to note that the behavior doesn’t have to be intentional to create or contribute to a hostile work environment. Offhand remarks and casual displays of sexually explicit materials count as harassment. So do remarks that the sender may think of as compliments. The EEOC maintains a comprehensive website charting the number of reported incidents of sexual harassment (see http://www.eeoc.gov/stats/harass.html). From this report it is clear that despite the widespread availability of information about harassment and its consequences, there continue to be tens of thousands of cases annually. However, we also believe that continuing to provide information about sexual harassment has a positive effect on reducing the number of potential cases and making women and men more aware of what constitutes sexual harassment and what may be done about it in the workplace. Sexual harassment suits occur between people of the same sex as well as those of the opposite sex. It has become so prevalent in the United States that most forprofit and nonprofit organizations, government agencies, and schools have implemented policies, mandatory seminars, and workshops to train employees in how to recognize and prevent harassment. However, while sexual harassment is clearly recognized as a problem in the United States, it is not always viewed similarly in other countries and other cultures. Latin and Mediterranean cultures, for example, do not regulate physical contact or the use of suggestive language in the workplace. As a result, cultural misunderstandings can and do take place. Once again, we see that our assumptions about the meanings of communicative acts are, in fact, culturally derived. Indeed, even the meanings of what constitutes sexual harassment vary across organizational cultures with different sense-making practices (Dougherty & Smythe, 2004).
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WHAT WOULD YOU DO?
Effective Responses to Bullies, Harassers, and Bosses Who Mistreat Subordinates Priscilla is a forty-year-old college senior studying communication at a large state university. She attends classes full time while helping out with her husband’s business and caring for her elderly mother, who suffers from Alzheimer’s disease. Despite the constraints on her personal time, her work at the university has been outstanding — she consistently receives high marks in her communication courses, and two of her professors have urged her to seriously consider graduate studies. To see if graduate school might be a suitable path, Priscilla registered for a faculty/student research project in health communication with Professor Layne. Though she had not previously studied with Professor Layne, several other students commented that she is a wonderful teacher and a great mentor. Priscilla eagerly began her research project, hoping to learn more about health communication and professional opportunities in the discipline. She even hoped that she might be able to secure a strong letter of recommendation from Professor Layne should she decide to pursue a graduate education. Priscilla’s experiences working with Professor Layne did not turn out as she had hoped, however. Professor Layne was frequently too busy to meet with Priscilla about her research. She failed to return e-mails and phone calls and often canceled meetings, claiming to be “too busy.” It seems, however, that Priscilla was the only one having this problem. The other students on the project (mostly traditionally college-age juniors and seniors with a strong interest in graduate studies) were able to establish positive relationships with the professor. Priscilla’s situation worsened as the semester went on. When Professor Layne was finally able to find time in her schedule for meetings, she expected Priscilla to be available at 4:30 P.M. every Tuesday afternoon, despite the fact that Priscilla could not arrange for the home-health-care worker to be with her mother during this time. Professor Layne began to suggest that Priscilla did not take her work seriously and, on occasion, would make comments that called into question Priscilla’s intelligence and capability as a student. Hurt and confused but bolstered by her previous academic success, Priscilla approached Professor Layne to discuss the prospect of graduate school, hoping to convince the professor of her sincere interest in academic study. Professor Layne, however, cut off the conversation, noting that graduate school is for “serious students” who can make a “full-time commitment to study” without the influence of “outside concerns”
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(which Priscilla took to mean her mother). The final blow, however, was Professor Layne’s closing comment: “I’m just being honest and telling you how it is out there. Graduate school is for twenty-somethings. No one will hire a new faculty member who is pushing fifty.” We know that emotional narratives, like Priscilla’s, are messy. Victims of workplace bullying, harassment, and mistreatment often remain silent. Consider Priscilla’s situation: She may want to tell the department chair about her experiences with Professor Layne (especially since she now fears a low grade on her research project), but will anyone take her word over a generally respected, tenured professor? If no one believes her, will she risk angering Professor Layne and putting her grade in further jeopardy? In a research study to investigate the characteristics of credible versus noncredible bullying narratives, Jess Alberts, Pamela Lutgen-Sandvik, and Sarah Tracy (2005) compared two real-world accounts with seventeen subjects. They found a clear pattern between stories of abusive behavior that were believed and those that were not. They found that credible narratives are marked by the following characteristics: • They are linear. They have a clear beginning, middle, and end. • They clearly identify the bully, speak as much or more about the bully as they do about the target, and provide details that paint the bully as the person who is clearly out of control and irrational. • They “tell” about emotion, but the speaker himself or herself does not embody the emotion. • They include details of quotations, times, places, and people. • They include metaphors or stories to which other folks (who have not been bullied) may be able to relate. • They include references to other people who have been bullied. (This shows that the problem is that of the bully and not necessarily of a lone problem employee or target.) • They acknowledge small but not extremely damaging points of weakness in the target, and do so in a way in which the target is not cast as blameworthy. • They anticipate and meet potential objections (e.g., “you’re just a problem employee”) through perspective talking (or considering the situation from various points of view). • They indicate how the target has proactively met, managed, and tried to deal with the situation. • They do not vividly expound on the harm the bullying has done to the target.
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(continued, Effective Responses)
Discussion Questions 1. Based on what you have read, how should Priscilla handle her situation with Professor Layne? Should she approach the department chair about the situation? Does she have an ethical obligation to do so? 2. If she does choose to bring another person into the situation, are there any steps that Priscilla should take before she initiates action? 3. How might Priscilla gain support and credibility for her case? Based on what you know of her situation and the research cited here, construct a believable narrative.
Women are usually the targets of sexual harassment by men because “as a group [women] have less formal and informal power than men in organizations, confront more obstacles on their path to developing organizational power, and have fewer opportunities to acquire organizational power through activities and alliances” (Bingham, 1991, p. 92). Commonplace in organizations, sexual harassment is the unacceptable behavior of men who cling to outdated notions of male-dominated leadership and organizational status quo. It is crucial to understand that sexual harassment is an organizational problem, not a personal problem. It is management’s responsibility to create a work climate that reinforces appropriate boundaries between employees (Cleveland & McNamara, 1996; Townsley & Geist-Martin, 2000). In a special issue of the Journal of Applied Communication Research (Wood, 1992), a rich and complex assortment of firsthand accounts of sexual harassment on the job reveals a disturbing trend. Most often experienced initially by teenagers and students working a first job, sexual harassment may thereafter be accepted as normal or ordinary behavior. This may explain why many women tend to avoid reporting instances of sexual harassment to superiors, to underestimate their importance, or to be uncertain about identifying such behaviors (Clair, 1998). As a result, sexual harassment remains outside of mainstream communication in organizations, and women participate in both their own subjugation and the perpetuation of the male ideology. In fact, male ideology has been cited as a major factor in the sudden reported increase in cases of male-on-male sexual harassment (Talbott, 2002). These cases demonstrate that “macho” male cultures contribute to hostile work environments for men as well as women, even in cases where no sexual favors are involved. In one particularly vivid case, a male sales manager for a Chevrolet dealership in Denver, Colorado, routinely grabbed the genitals of male salesmen to make them flinch, addressed them as “little girls” or “whores,” and simulated masturbation when male employees talked. If a male employee failed to make a sale, he was asked “if he
Chapter 8: Communicating Leadership
used tampons . . . or had to squat when he urinated” (p. 54). Even within a maledominated car sales culture where being raunchy may have been accepted practice, the dealership was indicted, paid a $500,000 fine, and promised to implement sexual harassment training for all employees. The two managers who were the perpetrators of these actions were fired. Clearly, in the findings of the EEOC in this case, it was the organization’s responsibility to create a positive working environment, and the existence of a dominant male ideology was not an acceptable defense. Dealing successfully with the problem of sexual harassment requires defining its characteristic behaviors more precisely. Once defined, this information can be used to raise employees’ awareness and potentially change their abusive behavior. The following specific behaviors are considered sexual harassment: • Inappropriate verbal comments, even those defended as compliments (e.g., “I wish my wife were as pretty as you”) • Inappropriate nonverbal gestures, such as outlining body parts or eyeing someone up and down • Inappropriate visual displays or objects (e.g., posters or calendars depicting nude women or men) • Terms of endearment (e.g., “sweetie,” “dear,” “honey”) • Inappropriate physical acts, such as patting, fondling, stroking, or standing in a doorway to obstruct someone’s passage through it • Asking for or implying that someone must submit to sexual advances as a basis for continued employment or advancement in the company In addition, Tamaki (1991) outlines a series of strategies for dealing with sexual harassment: (1) Confront the harasser, (2) report the behavior to a supervisor or to the human resources department, (3) keep a written record of the offenses, and (4) confide in supportive colleagues, family members, and friends. If the harassment continues, the employee may request a formal investigation by the department of fair employment and housing or by the EEOC, or the employee may file a lawsuit. Although the 1991 confirmation hearings of Supreme Court nominee Clarence Thomas made the public aware of the difficulties of proving sexual harassment, legal awards for victims of sexual harassment at work are now quite common, especially when written records and support from others in the organization are provided as evidence. Communication scholar Shereen Bingham (1991; Bingham & Battey, 2005) offers a communicative approach to collecting narratives and managing sexual harassment in the university or workplace. She argues that direct confrontation with a harasser is complicated by multiple risks, including losing a job, receiving an unfavorable recommendation, being demoted, and losing interest in the job. Bingham suggests that various responses — assertive, nonassertive, and even aggressive —may be appropriate in certain circumstances. Most observers agree that assertiveness helps to confront a harasser in a direct but nonthreatening way. However, assertiveness may also be interpreted as a rejection of the other person, which
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practically speaking may cause the victim to “win the battle but lose the war.” It may be more effective to temper assertiveness with “apparent” empathy when responding to a sexual advance. Finally, the emergence of male-on-male sexual harassment cases has further complicated the concept of “hostile work environment” among legal scholars (Talbott, 2002). The idea was first introduced in the 1980s under the assumption that sexual jokes, vulgarity, and macho displays of dominance offended women because women are, as legal scholar Rosa Ehrenreich puts it, “uniquely vulnerable to men” (cited in Talbott, 2002, p. 55). However, as recent male-on-male harassment cases have documented, some men are clearly also vulnerable to other men and offended by coarse behavior. Another problem is that some men are victimized by male-onmale sexual harassment because they are gay, but sexual orientation is not covered by Title VII of the Civil Rights Act of 1964. As law professor Deborah Zalesne argues, “[If ] your harasser is gay, you stand a good chance of winning a same-sex harassment case. If you are gay, you lose” (cited in Talbott, 2002, p. 57). For these and other reasons, the theoretical framework of sexual harassment law is currently undergoing revisions on a case-by-case basis. In the meantime, some victims of sexual harassment have found that they can successfully bring charges under existing tort law, civil rights laws, and other federal and state statutes. Sexual harassment is a crime. Organizational leaders should design educational programs for employees to help them understand sexual harassment, as well as offer strategies for dealing with it in particular situations. Workshops, films, and literature may be used to make employees more aware of the types of behavior that constitute sexual harassment in the workplace. Firms that operate with public monies are especially concerned with this issue. Responding effectively to sexual harassment requires paying close attention to ways of communicating appropriately at work. Although we hate to end this chapter with bullying and harassment as the final thought on leadership, we would be remiss if we didn’t include the “dark side” as a complement to otherwise noble, motivational, and exemplary models of leadership. Moreover, we believe that it is important to offer you a full sampling of the types of experiences that employees encounter in the workplace. Some examples of leadership will be inspiring; others will be frustrating and ineffective. We hope that this chapter has challenged your ideas about the characteristics a great leader should have and how you might continue to evolve as a leader on your campus, in your current organizational affiliations, and in your future.
Summary Historically, new approaches to leadership have consistently reflected our culture and times. Ideas about what constitutes leadership emerged from an early belief that the traits associated with great leaders should be modeled by emulating the appearance, habits, and behaviors of those who had attained leadership positions.
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This approach, which clearly favored successful white males at a time when white males were culturally dominant and rarely challenged for leadership roles by women or minorities, was augmented by studies that emphasized the style of leading, and specifically the style of communication, used by leaders. Limitations of this approach were revealed when newer studies demonstrated that the style of leadership selected depended on situations that often required creative, rather than established, ways of thinking and acting and that called for a repertoire of leadership styles rather than one consistent style. From these early attempts to find the secret of successful leadership emerged the transformational approach. This approach emphasized the communicative dimensions of effectiveness, particularly the ability to both articulate and lead with a vision that motivated others to attain closer personal identification with the company and inspired them to achieve higher performance goals as a result. Discursive leadership studies followed with an even more granular focus on how specific communicative choices affect collective action. Recently, the story of leadership has turned the lens back on the self — on habits of mind, character, and authentic communication. While there is as yet no clear consensus on the details of these newer approaches, there is a pattern of recognizing lessons drawn from one’s own experiences, the ability to create an empowering vision capable of inspiring others, the articulation of a credible life story that humanizes the trajectory taken to leadership, and — in our view, most important — the everyday ethics and authenticity of communication practices that demonstrate by personal example why trust and confidence in a leader are justified. Leadership theory and practice have also been concerned with how leaders influence their employees through communication. Specific communicative strategies include open and supportive communication, where leaders are willing and receptive listeners who are highly trustworthy and provide formal and informal rewards. Leaders also achieve effective communication through motivation (setting attainable and specific goals, meeting employees’ expectations, treating everyone fairly, and gaining compliance). Not all people who aspire to or attain leadership positions are inherently good. Bullies in the schoolyard often mature into bullies in the workplace, and unfortunately some of them rise to the top of the organizational chart because they intimidate and abuse others who themselves remain too frightened to speak out against them. Sexual harassment is a particularly insidious and illegal form of bullying that has significant negative consequences for individuals and organizations. Leadership is vital to every organization. In our global economy, the diverse skills and understandings required for success have never been more demanding. At their core is the ability to communicate effectively and honestly with people who may not share your language or culture, as well as those who compete against you. While we can learn a great deal about how to meet those challenges from investigating the history of leadership research and exploring alternative approaches to leading, there will likely never be one approach that works in every situation. In our view, the central message of this book speaks directly to that challenge: Communication is how we learn to balance the ever-present and ever-shifting terrain of
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creativity and constraint in organizations. The more effective we learn to be as communicators, the more likely we will be viewed by others as leaders.
Questions for Review and Discussion 1. Describe the progression of leadership thinking over the past one hundred years. What are the main changes that you observe, and how do these changes reflect important social and cultural changes? 2. Describe a situation in which the careful selection of leaders is essential for public safety. Based on the leadership models you have just studied, what advice would you offer about how to best screen candidates for this position? 3. Is transformational leadership critical in every type of organization? Are there any you can think of that require leaders mainly to maintain the status quo instead? 4. What are some of the ways in which a leader can shape organizational discourse to produce particular desired outcomes? 5. What do leaders do to empower employees? Do you think it is critical to communicate a sense of empowerment to all employees in every organization, or are there specific types of organizational settings for applying the empowerment principles that make more sense than others? 6. Look on the Web for examples of organizational vision statements. What makes for a compelling vision? 7. What kinds of life events are most likely to lead to the modesty and high level of self-examination that seem to characterize the greatest of leaders? By contrast, what events are likely to result in bullying or abusive leaders?
Key Terms Authentic communication, p. 260 Bullying, p. 269 Change agent, p. 255 Discursive leadership, p. 257 Empowerment, p. 265 Habit of character, p. 259 Habit of mind, p. 258 Harassment, p. 270 Leadership style, p. 251 Modesty, p. 260
Motivation, p. 265 Open communication, p. 262 Sexual harassment, p. 271 Situational Leadership®, p. 253 Supportive communication, p. 264 Theory of leader-member exchange, p. 264 Trait theory, p. 250 Transformational leadership, p. 255 Vision, p. 256
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CASE STUDY
The Stymied CEO Paula Santoro is president and CEO of the Canyon Regional Health Care System in Utah. The system includes three large hospitals located in urban areas and a network of seventeen smaller medical clinics distributed throughout the more rural parts of the state. Santoro has both a PhD in nursing and an MBA, and she is well known for her assertive and principled style. A close colleague puts it this way: “You may not always agree with Paula, but you will always know where she stands. She wears her values on her sleeve.” From an outsider’s perspective, Santoro’s career has unfolded over thirty years in storybook fashion, as she has moved from floor nursing into the executive ranks, changing institutions only twice. Her most recent move was in 1999, when she went from COO of a hospital in Nebraska to become CEO of the Canyon system. When she arrived, the head of Canyon human resources declared Paula to be “a real change to the organization, a breath of fresh air — but also a real departure from the past. We’re all praying that she makes it.” And she has made it — sort of. Her first few years were an unqualified success, as the hospital system became more financially stable and Santoro enjoyed the new challenges that greeted her each morning. She worked hard to build an executive team that shared her passion and her values and felt that she had for the most part done so. But beginning a few years ago, things became a lot less enjoyable. Two high-profile malpractice lawsuits against the system, while ultimately settled, did much to damage the system’s reputation. Government regulations increasingly place her in the position of having to choose the lesser of evils with regard to patient care, and the breakdown of insurance coverage has placed an inordinate strain on staff morale throughout all of the hospitals and clinics. She worries that her system is nowhere near prepared for the likely casualties that would result from bioterrorism, a pandemic, or a natural disaster. Just recently, the unrelenting stress has affected her leadership team in the form of sudden departures by her medical chief of staff and her head of planning (the first to a smaller system in another state; the second to very early retirement). Santoro attends leadership seminars and reads everything that comes out on the subject. She understands the need for visionary leadership based on enduring social values, and she feels clear about what matters to her. What is missing, in her view, is a plan for getting past the daily (and sometimes hourly) crises that occupy her time to a new way of working that would direct her time and energy into the formation and execution of a new vision. But all the while she wonders: Can it be done?
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(continued, The Stymied CEO)
Assignment 1. Make a list of the full range of problems that Santoro is facing. Try to go beyond the ones that she identifies to other, deeper challenges that you can imagine underlying her current dilemma. 2. What unique resources can Santoro draw on to rise to the challenge she has crafted for herself? Where can she turn for help, strength, and practical advice? 3. Imagine that Santoro has hired you to serve as her “executive coach” for the next three years. What subjects would you address with her early on? Is there a process that she could follow to “redirect her time and energy” and restore her sense of personal efficacy in the position? While there are no right answers, be as specific as you can in your suggestions. 4. What is the role of communication in addressing Santoro’s leadership challenge?
CHAPTER 9
Organizational Alignment: Managing the Total Enterprise
For an organization to succeed over time, senior leaders and boards of directors must take a bird’s-eye view of the total enterprise, both to see what it looks like from the outside and to determine how it is perceived by various publics, partners, and competitors. Nevertheless, the temptation to not engage in this activity is great. Not only is it hard to find the time to speculate about the future when dealing with the crisis of the day, but honest talk about how others see the organization can be hard to take. Still, those possessing the discipline to engage in strategic thinking — collecting relevant environmental data and making conscious choices about organizational values, niche, and direction — invariably end up ahead of the game both financially and in terms of employee loyalty and morale. But even when leaders have the insight and courage to think strategically, no strategy works forever. Consumer tastes, market conditions, and countless other factors alter the organizational landscape on what sometimes seems like a weekly basis. What made sense last week no longer makes sense today. The only way of dealing with this level of dynamism is to encourage dialogue and continuous learning — that is, to purposefully sponsor and stage regular conversations about the appropriateness of the current strategy and the possible alternatives. This chapter begins with a detailed discussion of strategic positioning as a communication issue, followed by a description of strategic alignment, the process of bringing organizational systems in line with the strategy. Central to these processes is the management of human resources in all their dimensions, from selection to training to individual and organizational development. The next section goes into more depth about these important details. The conclusion broadens our
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view by looking at organizational learning more generally, encompassing basic skills and technology.
POSITIONING THE ORGANIZATION Success begins with strategy. Contemporary organizations must position themselves effectively in the social and economic landscape. Strategic positioning involves selecting a strategy or purpose that distinguishes the organization from its competitors. In addition, the strategy must be effectively communicated to employees, who use it as a guide to decisions, and to customers, who use it to judge the company’s image or reputation.
□ Competitive Strategy Strategy is of critical importance to the long-term success of a business. A competitive strategy is a clear statement of why customers should choose a company’s products or services over those of competing companies. Simple descriptors such as cheapest, fastest, most reliable, friendliest, and best quality are typically used in the expression of a company strategy. In addition to communicating a strategy, however, a company must ensure that all aspects of its business reflect the strategy (compare Day, Reibstein, & Gunther, 2004). Just saying that you stand for something doesn’t make it so. Despite the importance of strategy, few organizations actually have one, relying instead on their success with a particular product or service (typically introduced before the competition’s product or service). However, contemporary organizations that lack a strategy are at serious risk in today’s highly competitive global market. Owners of brick-and-mortar movie theaters, for example, are seeing their business shrink dramatically as more customers order movies on demand from their cable provider or use a mail service like Netflix. Fast-food restaurants like Checkers are struggling to carve out an identity in an industry saturated by giant brands like Subway and McDonald’s. And newspapers are discovering that they must completely overhaul their strategies if they are to succeed in the Internet age. As a simple example of how a competitive strategy works in practice, let’s suppose that you own a new fast-food eatery that serves, among other foods, hamburgers stuffed with mashed potatoes. After your first six months in business, your customers are only beginning to warm up to the idea of stuffed burgers. However, as a local business owner, you have been invited to attend a reception hosted by the city’s chamber of commerce, providing you with a unique opportunity to promote your business. You dress appropriately for the event and bring your business cards with you. More important, you prepare what you will say about your business to others at the reception, keeping in mind that it should take only about fifteen seconds to explain what you do and why your business is worthy of their attention.
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They, in turn, will be able to convey the same brief message to others later on, and it is your job to ensure that they want to do so. If you succeed in both respects — if your message is memorable and distinct — your company has a competitive strategy. As competition continues to increase in today’s business world and as the markets for products and services become more specialized, competitive strategies must adapt to these changes by targeting market niches and a narrower consumer audience (Day, Reibstein, & Gunther, 2004). In publishing and broadcasting, for example, both large and small companies now provide magazines and news programs that cover highly specific topics in order to target specific market segments. For example, the largest television station in Los Angeles in terms of viewership is the Spanish-language station Univision. Very small companies sell specialty products like food or dietary supplements by mail or via the Internet. Similarly, following a trend called “narrowcasting,” cable television companies typically offer a number of channels that focus exclusively on sports, comedy, news, women’s issues, or home shopping programs. Large companies may pursue two or more strategies to target multiple market niches. For example, to appeal to an older, more affluent audience, MTV created its VH1 channel, Honda created its Acura brand, and Gap introduced Banana Republic and Old Navy to appeal to vastly different consumer groups. For communication specialists, crafting a competitive strategy involves close attention to message design. Thus, for instance, an effective strategy for your hypothetical potato-stuffed burger restaurant would likely focus on its uniqueness: “The only place in town with potato-stuffed burgers!” However, your strategy would be successful only if a niche market existed — or could be created — for your product. In the first case, pent-up demand can be identified for a product or service so that its introduction is met with understanding and appreciation (“We’ve always needed a good coffee shop on this side of town”). In the second, niches can quite literally be created for novel products and services (e.g., bottled water, minivans, or venti nonfat decaf caramel mocha frappuccinos). The customer’s reaction is “I never knew I needed that until I saw it!” A company that does not narrow its focus and attempts instead to target broad markets (e.g., “We serve potato-stuffed burgers, fresh-squeezed juices, and deli sandwiches at the lowest prices”) is not likely to be able to serve the demands of all consumer markets or to distinguish itself as unique in any one market. Developing a strategy for a new company often begins with the founder’s intuition about the potential demand for a product or service. The next step is careful analyses of the target market, of the business environment (which includes potential customers, stakeholders, and community and government agencies), and of the existing competition. Termed competitor analysis, it is especially important in identifying whether a similar product or service is offered by other companies in nearby or remote locations or if any past attempts to offer the product or service have failed. In formulating a competitive strategy, then, the prospective business owner must consider not only the potential demand for a product or service, but also how the company’s strategy will be received by various publics. A serious objection by any one group can threaten the survival of the business.
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Put another way, strategy is a compelling story, a “teachable point of view” about where the company is going and how it will get there (Barry & Elmes, 1997; Tichy, Pritchett, & Cohen, 1998). The power of a strategy to motivate employees and to attract customers is largely dependent on whether the strategy makes for a compelling narrative. Moreover, company leaders no longer have a monopoly on telling their stories. The Internet in particular has encouraged the proliferation of highly critical blogs and even full-blown “anti-sites” (or “flaming” sites) dedicated to trashing various businesses for poor quality, service, or community relations. This makes it even more challenging for companies to put forth a coherent story to the public.
□ Types of Business Strategies There are two basic types of business strategies: those that emphasize lowest cost and those that focus on differentiation (Porter, 1980; Walker, 2003). Adopting a lowest-cost strategy involves a commitment to offering a product or service at the lowest-possible price. Examples include discount appliance stores, no-frills airlines, and manufacturers of generic products. These companies emphasize their lowest-cost products or services to target consumers motivated by saving money. To reach that consumer market, however, the strategy must be communicated effectively. Among the disadvantages of a lowest-cost strategy is the need to reduce operating costs to maintain a cost advantage. In a competitive global market, it may be difficult for such companies to manage the high costs of labor and materials. A more popular business strategy is differentiation, which involves highlighting the unique or special qualities of a company’s product or service. For example, a company may be the most reliable (Maytag), have the quickest delivery time (Domino’s Pizza), or offer the most comprehensive warranty service in the business (Hyundai). In the automobile industry, there is a race on to see who can make the most ecofriendly car (the Toyota Prius has the early lead); Volvo continues to emphasize safety, whereas BMW highlights performance. Differentiation is a highly communication-based strategy in that its success depends less on actual differences among competing products and more on the company’s ability to create the perception of its product as unique in some way. Developing a successful strategy can be as simple as noticing an unfilled niche in a particular market. For example, a physician might notice that a community’s residents do not have access to medical care on weekends and may choose to address that need. The owner of a car rental company may respond to consumer demands for hourly rentals with a strategy that incorporates both daily and hourly rates; in some cities (like Boston and Chicago), consumers can forgo car ownership and use Zipcars for short periods of time, paying for them only when they need them. In many cases, however, developing a successful strategy is more difficult and complex because multiple businesses often compete within the same market (e.g., three Los Angeles supermarkets seeking to become the lowest-cost leader conduct ongoing comparison studies to support their claim).
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Similarly, in the battle among leaders in the overnight package delivery business, various strategies are used to compete within the same market. FedEx differentiates its service as being the most reliable, whereas the U.S. Postal Service emphasizes lowest cost. Although all of the major cellular phone companies claim to offer the highest-quality service at the best price, their prices and levels of service are in reality quite similar. And in most places in the United States, there is a heated battle going on among companies vying for consumers’ television and broadband services, each touting the relative differentiating advantages of traditional cable, fiber-optic cable, and satellite transmission (e.g., Verizon, Bright House, DIRECTV). Strategy is critically important in highly cost-sensitive industries with low brand loyalty, such as the airline industry. Following deregulation of the industry in 1978, relatively small airlines entered the marketplace and offered fares on major routes that were significantly less than the fares charged by major carriers. A fare war ensued; airfares continued to drop, but so did profits. Many of the small lowest-cost airlines failed, taking a few major carriers with them. The survivors, scrambling for a way to encourage brand loyalty, settled on frequent-flyer programs. Airfares increased, and the carriers developed differentiation strategies to entice consumers (e.g., “the most on-time departures,” “the most leg room,” and “the best frequent flyer program”). In developing a differentiation strategy, a company chooses the most competitive aspect of its operation. This does not mean that the company is without other positive attributes, but it does mean that the company generally does not communicate them to the public as competitive advantages. At the department store Nordstrom, for instance, customer service is highlighted even though the company is also concerned with cost, quality, and other factors. More than any other attribute, Nordstrom believes its customer service is what most differentiates it from competitors. Following is a comprehensive list of business strategies adopted by many familiar companies (Robert, 1993): • Product- or service-driven companies, such as Boeing and Ritz-Carlton, strive to provide the highest-quality products or services in the business. They continually focus on how to improve their products or services as well as their work processes. • Market-driven companies offer a wide range of products to a specific group of consumers. For example, Johnson & Johnson sells its products to doctors, nurses, patients, and parents. American Express Financial Advisors now targets affluent individuals and sells its ability to handle all of their financial needs. Companies like these must engage in ongoing market research and strive to cultivate consumer loyalty. • Production-capacity-driven companies, such as airlines, make substantial investments in facilities and equipment and aim to have them running at full
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capacity at all times. They engage in market research to meet customers’ needs and demands; they also offer special incentives (e.g., reduced fares or discounted vacation packages) to increase business during slack periods. • Technology-driven companies (like Apple Computer, 3M, Hughes Aircraft, Sony, Gore, Amgen, and DuPont) own or specialize in a unique technology. For example, DuPont invented nylon; the other companies on the list have each filed thousands of patents. Such companies invest a considerable amount of money in research and development. • Sales- and marketing-driven companies, such as Mary Kay and Tupperware, provide a wide range of products or services to customers in unconventional ways, including door-to-door selling, home shopping club sales, and Internet sales. • Distribution-driven companies (like Wal-Mart, United Parcel Service, Home Shopping Network, and food wholesalers) and Internet-only businesses (like Amazon and eBay) have unique ways of getting their products or services to the customer. Some may also push a variety of products through their distribution channels. Such companies strive to maintain a highly effective distribution system. The overriding factor in strategy development is a keen awareness of the related industry as a whole as well as its potential for change or improvement. Before air travel was made possible, people crossed the oceans on ships. With the advent of passenger air travel, however, transportation companies offering ocean passage were threatened with obsolescence. Some of them survived by redefining their strategy: Instead of providing transportation, some began providing entertainment on cruise lines. Similarly, McDonald’s, a leader in competitive strategy, is not in the food business. People go to McDonald’s for comfort, security, predictability, and safety, which is for the most part reflected in the location and cleanliness of its restaurants and in its rigid standards for food worldwide. As recently as 2003, financial problems developed at least in part due to some franchisees losing sight of this strategy and allowing these factors to slip. It seems that when faced with the loss of cleanliness and predictability, people will happily buy better-quality burgers elsewhere. Having closed hundreds of stores, McDonald’s recently engaged in a worldwide campaign designed to convince customers that they will try harder to provide a positive, service-oriented environment. While they have been somewhat successful in regaining their reputation for predictability, their attempts to diversify their menu at the same time (e.g., wraps, iced coffee) may be confusing to some customers and over time lead to a weakening of their brand.
□ Strategy and the Business Life Cycle Strategy changes as an organization progresses through what might be called the “stages of the business life cycle” (Kimberly & Miles, 1980). Strategic and communicative challenges also differ at each stage (Maug, 2001).
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At “birth,” a new company is concerned mainly with developing a strategy and finding a niche. The company secures financial backing and makes an initial foray into the marketplace. In “childhood,” the company’s major challenge is managing its growth and development. In its pursuit of multiple opportunities, the growing organization may be distracted from its basic strategy or may lack the discipline needed to maintain a focus on its competitive advantage. Effective leadership can help counteract these problems. When the company reaches “adolescence,” it typically encounters stiff competition. As a result, the original strategy no longer functions as a competitive advantage, and the company must work to change or fine-tune it accordingly. This may require paying special attention to both internal communication (to streamline processes, cut costs, and develop new competencies) and external communication (to remind customers of why the company’s product or service is superior to those of its competitors). In the final phase of the business life cycle, “maturity,” the company faces the difficult challenge of renewal — of letting go of the old business in favor of a new one, while also maintaining a position in the marketplace. The biggest success story of this sort in recent history has to be Abercrombie & Fitch, which almost overnight went from appealing to well-off, mature world travelers to fashion- and price-conscious teenagers! Efforts by JCPenney and Sears to upgrade their inventories and appeal to a broader market are other examples. Honda, which entered the world automobile market in the 1970s with the tiny Honda Civic, is known for its strategic excellence. Since the 1970s, Honda has focused not on a particular product but on the customers who purchased the early Civics — baby boomers buying their first car. Transforming and upgrading its products to match those customers’ needs, Honda introduced the Prelude and Accord as these young adults moved into their thirties, and the upscale Acura line as they moved into their forties and became more affluent. Honda’s strategy is thus tied to satisfying a welldefined market segment. Finally, Toyota’s more recent introduction of the ecofriendly Prius and the entire Scion division reflects a willingness to reinvent their approach to reflect shifting consumer demographics and tastes. The failure, or “death,” rate in most industries is high. Failure can occur at any point in the life cycle, and in fact few start-up companies make it past their first two years, largely because they are undercapitalized: They don’t have the resources to survive the time it takes for a strategy to work (assuming that it will). In recent years, many small businesses have either gone under or been sold to larger corporations.
STRATEGIC ALIGNMENT A company may communicate a strategy like “environmentally friendly” or “superior customer service,” but if customers and employees do not see evidence of the company’s claim, the strategy will be unconvincing and ineffective. Therefore, in
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addition to communicating the strategy to various internal and external publics, the strategy must be reflected in various other aspects of the organization. Strategic alignment refers to the process of modifying organizational systems and structures to support the competitive strategy. This may affect such areas as job design, levels of authority, job training, reward systems, and staffing, among many others. In the absence of strategic alignment, a business can neither accomplish its strategy nor create the desired image. For example, a print shop that claims to have the lowest prices in town but pays its employees above-average wages is not likely to achieve success. Similarly, a company that claims to be responsive to customers would be unable to implement that strategy if its automated phone system did not give customers the option of speaking with a service representative directly. Successful strategic alignment is difficult because it forces the company to consider the relationship between its strategy and its internal systems. In addition, strategic alignment is complicated by employees’ reluctance to see themselves as part of a system and by managers’ tendency to make decisions in isolation rather than based on the company’s strategy (and taking the entire organizational system into account). Companies that overcome these obstacles to strategic alignment, pursuing a carefully chosen strategy, are more likely to achieve success. One well-established model that is particularly helpful in thinking about strategic alignment is the original 7-S model, developed by members of the consulting firm McKinsey & Company (Figure 9.1). According to this model, strategic alignment involves the following seven factors: • Strategy. Strategy provides a common purpose for all employees and stakeholders. It differentiates the company from its competitors. • Superordinate goals. More specific than a company’s mission statement, superordinate goals are those broad outcomes that everyone in the organization is motivated to achieve, such as attaining a particular percentage of market share or customer loyalty. To be effective, these goals must flow logically from the company’s strategy. Some authors have argued that the best route is for firms to develop “big hairy audacious goals” (Collins & Porras, 1994). • Structure. The formal reporting relationships as prescribed by the organizational chart should reflect the company’s strategy and should symbolically represent the company’s values. A team-based organization or an inverted chart with the customer at the top of the pyramid are two common examples of meaningful organizational structure. • Systems. The flow of information through various media (e.g., telephones, computer systems, and meetings), the formal systems of operation (e.g., management information systems), the informal operating procedures (e.g., cultural practices), and the informal connections among people (e.g., emergent networks) should all be aligned with the company’s strategy. Systems are relevant to communication in that they deal with the distribution of information throughout a company. Certain strategies can be used only with
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FIGURE 9.1
The Original 7-S Model of Strategic Alignment
STRATEGY
SUPERORDINATE GOALS
STRUCTURE
STYLE
SKILLS
SYSTEMS
STAFFING
Source: D’Aveni, R. (1995). Coping with hypercompetition: Utilizing the new 7-S model. Academy of Management Executive, 9(3), 48.
certain types of systems. For example, a “best product quality” strategy would require a control system to identify and correct defects immediately. • Staffing. In terms of staffing, the company’s strategy is reflected in its hiring practices, in its job assignments, and in its workforce generally. Companies that promote from within and those that have technical as well as managerial career paths offer two examples of approaches to staffing that may support a specific competitive strategy. • Skills. Employees’ technical and interpersonal skills should be used in ways that promote the company’s strategy. A company striving to differentiate itself as a leader in customer service needs employees with excellent interpersonal skills. • Style. Both management style and organizational culture (how a company perceives and treats its employees) can contribute to the success or failure of
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a business strategy. A company that strives to be competitive but that routinely permits its employees to miss deadlines is not likely to survive. The strategic-alignment process is best approached by thinking of the organization as a total communication system. In this way, we see how the information in each subsystem reflects and affects the whole organization. In an organization that is out of alignment, decisions in one subsystem (e.g., sales) are made without considering their potential effects on other subsystems (e.g., distribution). Over time, even the best organizations’ systems usually drift out of alignment as internal functions become outdated and as external developments in technology and market demographics necessitate internal change. Employees are highly sensitive to misalignment; that is, if the company claims to promote trust and empowerment, employees are likely to voice their objections if their actual decision-making participation is limited. At Disneyland, for example, employees objected to what they perceived as inconsistencies between the company’s strategy — “The happiest place on Earth” — and its poor treatment and compensation of employees (Smith & Eisenberg, 1987). More recently, employees all across the financial services industry were shocked to learn that their firms’ stated corporate values (e.g., ethics and integrity) apparently did not apply in the executive suite. The strategic-alignment process begins with the development of a strategy, preferably one that focuses on reliable information about the future and aims to focus and invigorate the company. Once a strategy has been developed, it must be translated into superordinate goals so that it can be communicated to all employees. Next, structure is examined to determine whether it supports the strategy. For example, in the process of transitioning from a government business to a commercial supplier, a major electronics company sought to become a customer-driven firm, unlike its competitors. However, the company’s existing structure, characterized by vertical lines of expertise and authority and minimal cross-functional communication, would not support its new focus on customer relations. The company thus modified its structure by creating a centralized customer service office to act as an interface for customer communication, a repair center designed to meet customers’ needs, and cross-functional teams to promote effective communication. An analysis of systems typically occurs at this point in the strategic-alignment process. In our example, the electronics firm found that its existing voice-mail system kept customers on hold for too long, so it made changes to ensure that customers could reach a service representative within a reasonable amount of time. In addition, the company’s past experience with military projects and lax schedules meant that group meetings would need to focus on addressing work issues more expediently. With the help of the human resources department, the company’s chief decision-making groups worked together on creating a greater sense of urgency in its informal systems. Staffing, skills, and style are the final considerations in strategic alignment. The electronics firm recruited employees with the technical and communication
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skills needed to enact the proposed strategy. Managers and employees in the customer service offices were trained in how to cultivate new customer-oriented styles of working and communication with openness and empathy. Employees who were less open to this change were reassigned to positions that were less visible to customers. In Florida, the Department of Motor Vehicles has successfully reinvented itself through strategic alignment. After suffering for years with a reputation for the worst service imaginable, DMV leaders set a new strategic focus on customer service and proceeded to implement some dramatic system changes in support of that strategy. While most people continue to carry bad memories of their past DMV experiences, the current reality couldn’t be more different: The DMV offices are welcoming, the employees are friendly and helpful, and perhaps most important, the systems provide the kind of information that support excellent customer service. In most cases, strategic alignment is accomplished gradually; a management team focuses on each stage of the process before proceeding to the next stage. Sometimes, however, large-scale strategic alignment may be attempted, as in the case of total quality management (TQM), a company-wide, comprehensive effort to create a culture of quality. In pursuing the strategy of total quality, a company may simultaneously redefine its objectives (superordinate goals), overhaul its organization (structure), fire managers from the “old school” (style), recruit new managers with skills better suited to the redefined structure (staffing), and train all employees in empowerment, teamwork, and other areas (skills). However, as a large-scale intervention, total quality management is only occasionally successful. In addition to the difficulties associated with maintaining a focus amid rapid change in multiple areas, employees tend to react negatively to change that is radical rather than gradual. They may become suspicious of the company’s intentions, worry about losing their jobs, and be less willing to commit themselves to the program’s success. Another problem associated with TQM occurs when a company focuses mainly on winning external recognition for its efforts. The Malcolm Baldrige National Quality Award, for example, is given by the U.S. government to companies for excellence in total quality management. Winning the award provides a company with excellent publicity and some powerful advertising copy. However, in the case of a Florida utility company that pursued TQM to win the award, its efforts led to internal havoc and a worse complaint record than that of several other Florida utilities (Sashkin, 1991). Moreover, winning the award may say more about past performance than the likelihood of future success. Motorola, the first recipient of the Baldrige award, has since struggled and hasn’t had a market-changing invention for over a decade ( Jones, 2001). Finally, strategic alignment is not just an issue for corporations and government agencies. Smaller not-for-profit companies and nongovernmental organizations (NGOs) are also challenged to define their strategies in such a way that they send a consistent message and focus their efforts through alignment (Eisenberg & Eschenfelder, 2009). A familiar example is environmental activist organizations like
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Greenpeace, which must be vigilant in communicating a clear and consistent focus both proactively and in response to external challenges.
HUMAN RESOURCES The shift from locally grounded industries to global knowledge work has altered the essential characteristics of most businesses. Whereas in the past enormous capital expenditures went into buildings and materials, today the two most critical parts of any successful business are people and technology. Increasingly, work can be done anywhere at any time, and the work of an organization may even be done by people not on the payroll — outsourcers and subcontractors. Technology is addressed in the next section; this section deals with the human resources that are the core of any successful enterprise.
□ Talent Many chief executive officers are quick to minimize their role in their company’s achievements and are anxious to celebrate the accomplishments of their people. This makes good sense. The primary role of the CEO and the senior leadership team (with some direction from the board of directors or trustees) is to develop a competitive strategy and to communicate it in a way that focuses and motivates the rest of the organization. The other essential role for senior leadership is to develop robust organizational systems (e.g., recruiting, reward, development, and communication systems) that support the acquisition and retention of talent. When manufacturing was dominant and the “machine” model of organizing was at its peak in America, hiring was done unsystematically, and nepotism (favoring one’s relations) and other forms of favoritism were common. With the rise of bureaucracy in the mid-twentieth century, companies began to understand the importance of attracting and keeping good workers. They established personnel departments to provide a consistent focus on policies affecting employees. Shifting emphases toward employee participation and innovation resulted in further transformation from personnel departments to human resources departments. As discussed in Chapter 3, the term human resources itself reflects a willingness to see employees as having valuable knowledge that can serve as a resource for organizational success. Over the past few decades, human resource management has grown into a credible and highly sophisticated discipline. Whereas in the past salaries, benefits, and training were treated as an afterthought and were shaped by the opinions of line managers with little or no knowledge of research on attracting and developing talent, today most large companies have a senior vice president of human resources who reports to the president or CEO and has input into strategic decisions. Recent developments have made the wisdom of this shift even more apparent. At a conference
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of the five hundred fastest-growing companies, a large percentage of entrepreneurfounders were seen looking for people to buy their companies. The most common reason they gave for wanting to cash out was their inability to attract and retain sufficient talent. Research shows that companies that treat people as their most important asset are also the most profitable. In one award-winning study of 968 companies across all industries, it was revealed that “a one standard deviation increase in the use of [high-performance practices] was associated with a 7.05 percent decrease in turnover and, on a per employee basis, $27,044 more in sales and $18,641 and $3,814 more in market value and profits, respectively” (Huselid, 1995). When measuring the use of high-performance practices, the researchers counted such things as self-managed teams, employee empowerment, pay for performance, extensive training, extensive information sharing, and a purposeful reduction in attention paid to status differences (Pfeffer & Veiga, 1999). Companies in highly competitive industries are always seeking skilled employees at all levels. Those that can afford to do so are trying new approaches, such as recruiting abroad, building employee housing, providing huge incentives to current employees who refer a new hire, and even hiring groups of friends. One progressive firm, Warner-Lambert (now part of Pfizer), has a director of talent management who defines her job as attracting the best and the brightest and then “protecting” them from the organization while they learn the culture and find their feet. Once they are integrated into the company, she sees it as her responsibility to “re-recruit” star performers to ensure that they don’t leave to join the competition. What we would consider progressive human resources management has many aspects, but three key components have everything to do with communication. These components are targeted selection, performance management, and training and development.
Targeted Selection In successful companies, senior leadership has sufficient discipline to identify a unique competitive strategy and to define job qualifications in ways that strongly support that strategy. Although this may seem obvious, it is difficult to pull off in practice: Think of all the companies you patronize as a customer whose mission is customer satisfaction but whose frontline employees lack the knowledge or the motivation to satisfy anyone! When jobs are created in a conscious way, each job comprises critical dimensions, such as word-processing skills, strategic thinking, oral communication, and tolerance for ambiguity. Successful organizations spend significant time analyzing jobs to ensure that they support the company’s strategy. A good reason for careful job analysis and the identification of key job dimensions is that clear job descriptions communicate to everyone — managers, current job holders, and applicants — what is expected of them. Targeted selection is a systematic job-interview process through which selected company experts assess job candidates on the key dimensions of each job. At the end of a search process,
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the interviewers meet to pool their data and make an informed choice. Employees selected through targeted selection are, with few exceptions, immediately capable of making a contribution to the company’s performance.
Performance Management Performance management is any system that tracks and gives feedback to employees about how well they are accomplishing objectives tied to each of their key job dimensions. For example, if skill in computer programming is a dimension, an objective might be to write three new programs without error each month. Managers and employees can track these performance standards and record both the number of programs written and the number of errors made. Deviations from objectives can be easily brought to the surface and addressed. It is this last step — using the performance-management system as a basis for an ongoing conversation with employees — that is both the heart of the system and the most difficult part to achieve. When the system works, it can provide uncanny alignment between individual jobs at any level and organizational success in the aggregate. However, in the absence of any system, managers go by “gut feel” and, in most cases, play favorites based on superficial assessments and personal relationships, not real productivity. With a performance-management system in place, everyone knows what is expected of him or her, and performance is relatively public (at least to one’s manager). A difficulty occurs, however, because most people avoid stressful communication situations and potential conflict. This is why so many employees report that they are late in getting performance feedback, if they get any at all. The worst-case scenario occurs when cowardly managers leave employees a copy of their review with a note that says, “Call if you have any questions.” This is unacceptable and defeats the purpose of performance management, which is designed to make both managers and employees accountable for open communication about results. In the days before human resources departments, feedback on employee performance was either informal, annual, or nonexistent. Today, research shows conclusively that performance management should be the basis of an ongoing conversation that every leader has with employees, during which strategy is reinforced, objectives are reviewed, results are revealed, and gaps are examined. Failure to perform to standard can mean many things other than employee incompetence, including understaffing, inadequate tools, or poor planning. Quite often, it is the result of inadequate employee training and development.
Training and Development In one form or another, employee training and development — formal and informal efforts to develop employee skill — have always been a function of management. Businesspeople have long recognized that there are benefits to identifying the best practices in performing any given job and then communicating these practices systematically to employees. Even Frederick Taylor, inventor of the time-and-
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motion study, placed a heavy emphasis on training, inasmuch as scientific management could help identify the best ways of doing things that could (and should) be taught to everyone. Training is much simpler when the job requirements stay roughly the same over a long period of time. What is challenging today is that the knowledge and skills to be taught are evolving at blinding speed, making even last year’s training potentially obsolete. For this reason, the notion of isolated training sessions has been replaced in almost every successful company with a focus on ongoing employee development and the facilitation of continuous learning. There is further recognition that such development efforts cannot be “one size fits all.” Employee-development programs are increasingly tailored to fit the interests, learning styles, locations, and even schedules of targeted employees. Like customers, employees want education that is “just in time, just for me.” For this reason, companies are designing highly flexible and modular development centers or “corporate universities” that offer a dazzling array of learning opportunities through a range of media. The underlying idea is that the best time to teach someone something like Microsoft Excel or supervisory skills is when they need to learn it for their job. Progressive companies tie training and development efforts to their performancemanagement systems. Job analysis shows the key dimensions in which an incumbent must excel to succeed at the job; performance management tracks how well the employee is doing along each dimension. A manager can use the performancemanagement conversation to coach employees about development opportunities within or outside the company (much education is outsourced these days) that specifically target their areas of below-average performance. Senior leaders can use summary performance data to target entire departments or regions for certain kinds of development, such as customer service or time-management training. There is one last piece of the puzzle that, when applied, can turbocharge the whole human resources function. Tying employee performance to clearly defined rewards — compensation, benefits, advancement, recognition — rationalizes the system for employees. Rather than being busywork that has little to do with the employee’s “real job,” the business of filling out tracking forms and meeting with managers to discuss performance becomes central to the employee’s work life. Targeted selection ensures that people are hired who have a fighting chance of performing the needed functions; performance management tracks their success and provides specific feedback on where they must improve; training and development provide opportunities for continuous learning in those areas; and employees are rewarded for consistently doing the things that, by design, support the company’s strategy. Naturally, the best employees will get frustrated and quit if they lack appropriate tools to perform their jobs effectively. Interestingly, this problem is compounded in companies with performance-management systems because employees are acutely aware of their accountabilities and are given incentives for meeting their goals. The Everyday Organizational Communication box on page 296 speaks to how social organizations can use these human resources strategies to recruit and socialize new members.
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EVERYDAY ORGANIZATIONAL COMMUNICATION
Human Resources in the Greek System In this chapter, you’re learning how companies use organizational systems to acquire and retain the best talent. Even if you’ve never worked for a company, you may already be familiar with the human resources model of employee management. College admissions departments seek to attract the best students, and firstyear deans work to ease those students’ transition to college life. Varsity coaches sometimes recruit kids while they’re still in high school, and older team members mentor the rookies when they come to campus. And if you have Greek life at your school, you know that fraternities and sororities — just like Fortune 500 companies — require frequent replenishment of their talent. During rush and pledge terms, Pi Kappa Alpha, Gamma Phi Beta, and all the other fraternities and sororities use organizational systems like targeted selection, performance management, and training and development to attract, and then keep, new brothers and sisters. Rush is the period of time, lasting anywhere from two days to two weeks, when fraternities and sororities seek to attract new members. Rush is, in part, an organized recruitment drive. Sororities and fraternities need to communicate to rushees why they should choose their house over others. Some houses will adopt a differentiation marketing strategy (telling the lacrosse players that “this is the lacrosse house”); other houses use a low-cost strategy (“Our sorority has the lowest dues”). Increasingly, Greek houses are using informational rush videos to better communicate the fraternity or sorority’s message. And like a VP of human resources, most houses have a rush chair who acts as a liaison between the house and the rushees. A good deal of the rush chair’s job is salesmanship — the rush chair must first “sell” rushees on the benefit of joining the Greek system and then convince potential members that their particular house is the best possible fit. It’s not all recruitment, however. Since the Greek system has competitive entry, rush is also organized like a job interview. Rushees are not only choosing houses; houses are choosing them. Young men rushing a fraternity are expected to wear suits and come with a list of prepared questions. The principle of targeted selection is implemented. As Tom Hutchison, a member of Sigma Alpha Epsilon, explains, “We were supposed to replace ourselves. During rush, the athletes really concentrated on athletes, the charity guys looked for another charity guy, the party guy found a party guy. That way the house would always have a nice balance” (T. Hutchison, personal communication, May 2, 2006). Some sororities look to soften this job interview dynamic by organizing activities to structure the meet-and-greet. At Zoe Kazmierski’s sorority, sisters and rushees sat down together and decorated ivy bags and painted terra-cotta pots
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(Z. Kazmierski, personal communication, May 2, 2006). But still the goal was the same: to get to know the new women and determine which ones would be the best fit, just as an HR director would do. Once rush is over, members meet to pool their data and make an informed choice. Bids are given out, and the hiring process begins. Once the rushees accept those bids, they become pledges. Pledges go through a period (usually either one school term or two) of performance management. Pledge educators (who are already established members of the fraternity or sorority) are supposed to track the pledges’ development and communicate to the rest of the house how each person is doing. It’s a performance-management system based on the feedback model. In the worst cases, negative feedback takes the form of hazing, enforced drinking, or humiliating tasks. In the best cases, training and development is safe and progressive, and the communication goes back and forth. The pledges not only learn house songs and secret handshakes but also learn what it takes to live and communicate within a large organizational framework.
Discussion Questions 1. Think about an organization you joined. What communication strategies were used to recruit you? 2. Again, consider any organizations to which you belong. Now that you’re a member, do you find the recruitment message truthful? For example, does your college present itself in a way that accurately represents campus life? 3. Are there any everyday situations in which you feel you’re on a job interview? What strategies do you use?
□ Organizational Development Any progressive human resources practitioner will tell you that no amount of training can substitute for enterprise-wide efforts to transform and sustain a new kind of organizational culture. For this reason, many HR professionals have over the years been drawn to the subfield of organizational development (OD), which deals with the purposeful facilitation of strategic systems change. In practice, this usually amounted to senior management enlisting the help of their internal human resources staff — or hiring an external HR consultant — to assist in promoting a particularly challenging organizational change. The occasion for such an initiative varied from mergers to reorganization to downsizing. In every instance, the decision to involve an OD professional — many of whom have backgrounds in communication — reveals some important realities about the
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nature of strategic change in organizations and institutions. Having been involved in many of these initiatives ourselves, we will state these realities as three core “lessons” we have learned in approaching the strategic change process using a communication lens. 1. People still want to be inspired. Particularly in the wake of the old social contract, it is important to remember that people still look to work as a potential source of meaning in their lives. A compelling vision or strategy can provide this. The flip side of this lesson is that you can’t force people to change to meet a schedule; people adopt change when they are ready. 2. People are more likely to support something they helped to create. Another key principle of change management is that employees must be given sufficient information and opportunities for dialogue if one expects them to support the new direction. Much of what OD practitioners actually do is facilitate these conversations. 3. Actions still speak louder than words. The strategy can be inspiring and the dialogues far-reaching, but if the nonverbal behaviors of management conflict with the espoused direction, the change effort is dead in the water. This is the hardest part of alignment for an OD professional to address, since it implicates the judgment of senior management.
ORGANIZATIONAL LEARNING In our rapidly changing world, learning organizations have a distinct advantage. Composed of people who not only profit from past mistakes, but are also willing to question the assumptions that led to those mistakes, learning organizations are well equipped to deal with continuous change (Marquardt, 2002; Senge, 2006; Steier, 1989).
□ Learning Basic Skills Most organizational practitioners, educators, and politicians agree that the U.S. educational system does a mediocre job of providing students with even the most basic job skills. The U.S. Labor Secretary’s Commission on Achieving Necessary Skills identifies three foundational abilities and five learning areas as essential to success in the workplace (Table 9.1). One foundational ability is the ability to think, reason, and make decisions. This ability in turn supports each of the learning areas, such as the ability to troubleshoot and to work with advanced technologies. Other examples of specific details discussed in the commission’s categories are creativity and learning how to learn, sociability, and skills in teamwork, negotiation, and giving and receiving feedback. In addition to negatively affecting people’s quality of life, widespread deficits of basic skills pose a threat to the business world. Quality
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299 TABLE 9.1
Necessary Workplace Skills The Foundational Abilities Basic: Reading, writing, mathematics, speaking, and listening Thinking: Creativity, making decisions, solving problems, seeing things in the mind’s eye, knowing how to learn, reasoning Personal qualities: Responsibility, self-esteem, sociability, self-management, and integrity
Learning Areas Resources: How to allocate time, money, materials, space, and staff Interpersonal: How to work on teams, teach, serve customers, lead negotiations, and work well with people from culturally diverse backgrounds Information: How to acquire and evaluate data, organize and maintain files, interpret and communicate, and use computers to acquire and process information Systems: How to understand social, organizational, and technological systems; monitor and correct performance; and design improved systems Technology: How to select equipment and tools, apply technology to specific tasks, and maintain and troubleshoot technologies Source: U.S. Department of Labor. Secretary’s Commission on Achieving Necessary Skills. (1991). Retrieved May 15, 2006, from http://wdr.doleta.gov/scans/whatwork/whatwork.pdf.
and customer service suffer in any industry that depends on an inadequately skilled workforce. In an attempt to address this problem, many food outlets have resorted to equipping cash registers with pictures of food items rather than monetary figures. Similarly, a growing number of manufacturing firms are redesigning complex, good-paying positions into simple, low-paying, dead-end jobs. The result is a downward spiral of quality, service, job skills, wages, and employee self-esteem. One proposed solution to these serious problems is to establish workplace literacy programs designed to teach basic skills to employees. These programs — which are offered by private companies, public agencies, and corporations themselves — vary widely in their focus and intensity. For example, some programs focus on job-related language skills, while others teach a broad array of basic skills that are useful in work and personal situations. In addition, the programs vary in
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length (from forty to four hundred hours). Some training programs are sensitive to employees’ different needs; others make no such distinctions. The most successful programs thus far are those initiated and taught by the companies themselves. At American Honda, for instance, databases are used to match employees’ level of education and skill with job opportunities as well as additional training and education opportunities. However, such programs are rare, and even when they do exist, they cannot adequately address the underlying problems in the U.S. educational system. “The share of the nation’s economy invested . . . in education and training, children’s programs, infrastructure, and civilian research and development has plummeted 40% since 1980. America ranks behind all its major competitors in each of these categories” (Tyson, 1991, p. D2). Although a tremendous amount of effort will be directed at teaching basic skills to employees of the twenty-first century, without major changes in the educational system and in the nation’s spending priorities, those efforts will do little to solve the problem. Taking a broader view, however, even skills training may not be sufficient in helping the unemployed and working poor to participate in an expanding economy. Social philosopher Earl Shorris (1997) has argued that it is not job skills but the ability to know about and reflect on questions central to all human existence, about life and death, right and wrong, that is the genuine portal to a better life. To test this hypothesis, Shorris assembled a team of star college teachers (including some Nobel Prize winners) and began offering a course in the humanities to economically disadvantaged adults in New York City. The twenty-eight-week course, dubbed the Clemente Project, was sponsored by Bard College and included instruction in such topics as moral philosophy, art history, and American history. The results are encouraging. There is a big difference between teaching someone about specific business tasks and having them consider work behavior as Aristotle might have seen it. An old saying states, “If you give someone a fish, they eat for a day, but if you teach them to fish, they will never go hungry.” The Clemente Project, now being tried in many cities around the country, is one attempt to teach “fishing” to the most disenfranchised members of our society. A recent example is the Prometheus Project at Valencia Community College. (See http://www.valenciacc.edu/clemente for more information.) However it is addressed, we must be sure to factor into our thinking about the future of work the “grotesque gap” that exists in income and living standards around the world. Consider this statement from the United Nations Human Development Report ( July 12, 1999) on the problems with thinking of development solely in terms of financial markets: The richest nations of the world have 20% of the population, but 86% of the income, 91% of its Internet users, and 74% of its telephone users. . . . When the market goes too far in dominating social and political outcomes, the opportunities and rewards of globalization spread unequally and inequitably — concentrating power and wealth in a select group of people, nations, and corporations, marginalizing the others. The chal-
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lenge is not to stop the expansion of global markets. The challenge is to find the rules and institutions for stronger governance . . . to preserve the advantage of global markets and competition but also to provide enough space for human, community, and environmental resources to ensure that globalization works for people, not just for profits. (Longworth, 1998, p. 16)
□ Learning New Technologies In the 1950s and 1960s, organizational researchers emphasized the importance of face-to-face communication between supervisors and employees and among coworkers. Although face-to-face interaction is still very important in today’s organizations, advances in communication technology — from e-mail to videoconferencing — have overcome some of the limits of face-to-face interaction, especially those associated with speed, geographic distance, and processing capacity. As a result, contemporary organizations can no longer function effectively without the extensive use of communication technology. Furthermore, implementing a new technology significantly affects work processes, employees’ productivity and work life, and the character of interpersonal and power relationships. Two broad categories of communication technology are available to organizations: • Computer-assisted communication technologies include the various methods of text, voice, and image transmission, including facsimile (fax), videoconferencing, e-mail, voice mail, the Internet, and smartphones. These are widely used both within organizations and among customers and suppliers as part of the massive development of global electronic commerce (e-commerce). • Computer-assisted decision-aiding technologies include online management information systems, group decision support systems, informationretrieval database systems, and expert systems or programs that provide technical information. Traditionally used as tools internal to the organization, these technologies are now offered to customers as well. Computer-assisted communication technologies are designed to enhance the speed of communication as well as the ability of people to communicate regardless of their geographic location. Most every reader of this textbook likely has experience with instant messaging (IM) as well as other forms of text messaging (SMS) that can be sent and received worldwide by computers, cell phones, and other devices. Text messaging has even developed its own vocabulary, an extension of the abbreviation process that began with e-mail. Other popular computer-assisted communication technologies include voice mail, voice messaging, answering machines (sometimes connected to personal computers), audioconferencing, and cell phones. By far the most popular of the integrated personal devices is the BlackBerry, which
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continually forwards e-mail to users. This technology is so addictive that even its adherents refer to these devices as “crackberries,” and more than one business meeting has been disrupted by their overuse. The What Would You Do? box on page 305 explores how communication can pervade and invade user’s lives. In addition, health professionals report an increase in chronic hand injuries as a result of the proliferation of handheld communication devices. We are beginning to see the proliferation and acceptance of full-blown virtual worlds in which people create avatars that communicate on their behalf. By far the most popular of these is the virtual world Second Life, in which participants socialize, develop real estate, and conduct business using the local currency (Linden dollars, named after the lab that wrote the software), which has real value in U.S. dollars. (The exchange rate is approximately 275 Lindens per U.S. dollar, but it fluctuates.) At the same time that these inventions extend the possibilities for organizational communication, they do not eliminate (and in some ways even complicate) the enduring communication challenges addressed in this text (e.g., the need for openness and ethical standards). Computer-assisted decision-aiding technologies are designed primarily to provide easy access to hard-to-find information needed to make decisions. For example, a company may use market data accessed via an external database to decide whether it should introduce a new product. Internally, a sales manager may access information about last quarter’s sales to decide whether the company’s salespeople would benefit from a proposed training program. Information on virtually any topic is available online. Far from taking the place of humans, systems that support decision making but leave final decisions to the user are more successful than systems that substitute computer decisions for human decisions or that significantly curtail the user’s freedom of action. An especially useful decision-aiding program is the search engine or robot that permits computer users to direct a search for information based on their personal preferences. For instance, a whole family of search engines has been developed that work off user information about vacation preferences (e.g., location, price range, and other preferences) and have the computer shop for and book the trip (e.g., Travelocity, Hotwire, Orbitz). These search utilities significantly extend consumer reach by searching obscure and hard-to-find sources of needed information.
EFFECTS OF COMMUNICATION TECHNOLOGY The potential effects of communication technology are multiple and varied. Contemporary observers usually support one of four major views on the subject: utopian, dystopian, neutral, and contingent. From the utopian view, information technology serves to equalize power relationships at work by bridging time and space, thereby improving both productivity
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and work life. Proponents of this highly optimistic view see the computer as both encouraging employee voice and freeing employees to work anywhere, anytime. In contrast, the more pessimistic dystopian view sees communication technology as primarily benefiting an economic elite and — through the corporate colonization of the life world (Deetz, 1992) — progressively limiting our freedoms by bringing more of our personal lives under corporate surveillance and scrutiny. Proponents of the dystopian view range from extremists, sometimes called “Luddites,” who advocate a return to simpler times, to moderates, who suggest that a technology’s consequences be considered. For example, many people today are frustrated with the overwhelming amount of information that has come with easier access to technology. In a survey of a diverse group of employees, respondents reported significant levels of overload due to the proliferation of electronic media. Indeed, the average Fortune 100 worker sends and receives hundreds of e-mail messages each day. In contrast, there are those with little or no access to technology who, in the dystopian view, are fast becoming the have-nots in a growing “digital divide” (Dunham, 1999). The neutral view of communication technology holds that it has no significant effects on human behavior and that people can be expected to behave in predictable ways whether they use a traditional telephone or a computer to communicate. Proponents of this view believe that the potential effects of technology on communication and behavior are exaggerated by utopians, dystopians, and others. The contingent view of communication technology is best supported by research. From this view, the effect of a given innovation depends on the context or situation in which it is adopted. For example, the health hazards associated with video display terminals (VDTs) — which include radiation exposure, headaches, eyestrain, sleeplessness, anxiety, and repetitive-motion disorders — may be more the result of how an organization uses the technology (e.g., long working hours and poor workstation design) than of the technology itself (Hamborg & Greif, 2003; Smith, Cohen, Stammerjohn, & Happ, 1981; Steelman & Klitzman, 1985). The successful implementation of any communication technology takes into account the social and political aspects of the organizational environment in which it will be used. The “rational” use of communication technology is “subjective, retrospective, and influenced by information provided by others” (Fulk, Schmitz, & Steinfeld, 1990, p. 143). The authors of one study conclude, There is no such thing as pure technology. To understand technology, one must first understand social relationships. . . . Everything about the adoption and uses of media is social. . . . Logical expectations for the adoption and use of the new media are rarely met. The pragmatics of technological communication must always be understood in the context of motives, paradoxes, and contradictions of everyday life. (Contractor & Eisenberg, 1990, p. 143)
A good example of the relationship between technology and social context is the decision by some organizations to broadcast board meetings or senior executive
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updates to all employee computers via streaming video. If management-employee relationships are already strong, and if the broadcast is framed in such a way that employees are curious about new and relevant information that might be shared, the technology can be a smashing success. Alternatively, dropping such a broadcast into a secretive environment with no history of candid communication across levels will most likely lead at best to apathy and at worst to resentment and suspicion. It is important to keep in mind that the same technology may have radically different effects depending on the prevailing social context. Table 9.2 identifies six important considerations in the analysis of a communication technology.
TABLE 9.2
Six Concerns in the Analysis of Communication Technology 1. Humans are agents. Accept the fact that “humans are reflexively monitoring what goes on in a particular social system, that they are motivated by wants and aspirations, and that they have the power not to perform the prescription laid down by systems designers” (p. 312). 2. Tacit knowledge should be respected. “People know more about their lives than they can put into words. People do know how to handle practical affairs without being able to explain fully what they are really doing” (p. 312). 3. Understanding is partial. “There are always unacknowledged conditions for and unintended consequences of people’s behavior” (p. 313). 4. Technology is politically ambiguous. Although a technology can be used to promote dialogue and to improve individual quality of life, the same technology can also be used to constrain, limit, and control. 5. Informal communication must be acknowledged. “Informal informing is an organizational fact. . . . It is necessary to understand how formal information is mediated through various more or less structured patterns of informing” (p. 313). 6. Counterrational decision making should be acknowledged. “The rational model is not a viable way of understanding the intricacies of modern business management. On the one hand it is questionable that decision-makers cognitively are able to cope with the complexity and amount of information needed to make rational decisions, and on the other hand, it is probable that all sorts of political and social pressures are called upon in everyday management” (pp. 313–314). Source: Mouritsen, J., & Bjorn-Andersen, N. (1991). Understanding third-wave information systems. In C. Dunlop and R. Kling (Eds.), Computerization and controversy: Value conflicts and social choices (pp. 308–320). San Diego: Academic Press.
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Blogaholics For some, computer-assisted technologies are addictive. We’ve discussed people who become highly dependent on their BlackBerrys; we’ve all heard stories of people who spend their free time browsing on eBay or text messaging friends. More recently, however, the discussion has turned to individuals who are addicted to posting journals and stories on personal Web logs, or blogs, for the entire world to see. The New York Times examined this phenomenon in May 2004 in an article titled “For Some, the Blogging Never Ends.” Let’s take a look at a few excerpts to learn more: • To celebrate four years of marriage, Richard Wiggins and his wife, Judy Matthews, recently spent a week in Key West, Florida. Early on the morning of their anniversary, Ms. Matthews heard her husband get up and go into the bathroom. He stayed there for a long time. “I didn’t hear any water running, so I wondered what was going on,’’ Ms. Matthews said. When she knocked on the door, she found him seated with his laptop balanced on his knees, typing into his Web log, a collection of observations about the technical world, over a wireless link. (para. 1–2) • Jocelyn Wang, a twenty-seven-year-old marketing manager in Los Angeles, started her blog, a chronicle of whatever happens to pop into her head . . . , eighteen months ago as an outlet for boredom. Now she spends at least four hours a day posting to her blog and reading other blogs. Ms. Wang’s online journal is now her life. And the people she has met through the blog are a large part of her core of friends. “There is no real separation in my life,’’ she said. Like Mr. Wiggins, Ms. Wang blogs while on vacation. She stays on floors at the Hotel Nikko in San Francisco with access to a free Internet connection. (“So I can blog,’’ she explains.) (para. 28–30) • Tony Pierce started his blog three years ago while in search of a distraction after breaking up with a girlfriend. “In three years I don’t think I’ve missed a day,” he said. . . . Where some frequent bloggers might label themselves merely ardent, Mr. Pierce is more realistic. “I wouldn’t call it dedicated. I would call it a problem,” he said. “If this were beer, I’d be an alcoholic.” (para. 13–14) Keep these examples in mind as you consider the following questions.
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(continued, Blogaholics)
Discussion Questions 1. Are you a blogger? If so, how often do you post? If not, do you read others’ blogs regularly? Why or why not? 2. Do you know someone who you suspect is “addicted” to blogging? Why do you think this problem occurs? 3. In your opinion, when does an obsession with or addiction to technology become an ethical problem? Consider the examples from the New York Times article cited above or the “crackberries” mentioned earlier in this chapter. 4. In what ways do face-to-face communication and online communication through blogs differ? What are the advantages and disadvantages of both? 5. What advice would you give to the people who are featured in this news story?
□ Synchronicity and Media Richness Two particular aspects of communication technology are of special interest to communication scholars: synchronicity and media richness. Synchronicity refers to the capacity of a technology to allow for simultaneous two-way (or multi-way) communication. For example, a telephone is synchronous, but an answering machine allows the telephone to become asynchronous. Similarly, while most e-mail is asynchronous, the proliferation of chat rooms on the Internet and instant and text messaging has created more possibilities for synchronicity. Both synchronous and asynchronous modes of communication have their advantages. For instance, certain requests and work tasks are best approached via two-way communication, whereas other tasks may be well communicated and performed through asynchronous channels (e.g., when busy people leave messages for one another across time zones). However, asynchronous communication can lead people to make more contacts than they can reasonably handle (Gergen, 1991). This is why many people in highstatus or high-visibility jobs sometimes avoid using voice-mail and e-mail systems. Media richness refers to the number of multiple channels of contact afforded by a communication medium (Daff & Lengel, 1984). Each channel roughly corresponds to one of our senses; consequently, face-to-face communication is classified as most rich because it simultaneously allows for speech, nonverbal communication, vision, smell, and touch. Using this definition, a letter would fall at the low end of the media richness scale, as it only allows for verbal exchange. Videoconferencing is a richer medium than telephone conferencing, but it still falls short of face-to-face interaction. People are very often strategic when deciding how rich a medium to use, depending on their goals. All of us have likely left an uncomfortable message on someone’s answering machine because we couldn’t “face” their response.
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□ Secrecy and Privacy The primary benefit of communication technology — the radical expansion of connections between people and institutions — is also its main liability. Every connection leaves traces that can be followed and exploited by others for personal gain. Issues of privacy, secrecy, and copyright in computer-aided interaction are currently being debated in courts around the world. In most companies, for example, managers have access to employees’ e-mail messages. Major credit card companies follow consumer spending patterns very closely, including where transactions are made by clients. The effects of electronic surveillance on people’s right to privacy is already a major issue. As discussed in Chapter 5, we have witnessed an enormous increase in the computerized monitoring of employee productivity, in which the frequency and speed of work are measured and stored by the computer and are reviewed by management. Most employers monitor their employees as a means of protecting themselves against possible litigation. According to the Privacy Rights Clearinghouse, A 2005 survey by the American Management Association found that three-fourths of employers monitor their employees’ web site visits in order to prevent inappropriate surfing. And 65% use software to block connections to web sites deemed off limits for employees. About a third track keystrokes and time spent at the keyboard. Just over half of employers review and retain electronic mail messages. Over 80% of employers disclose their monitoring practices to employees. And most employers have established policies governing Internet use, including e-mail use (84%) and personal Internet use (81%). (“Employee Monitoring,” 2006)
Employees’ reactions have been mixed; although some employees consider electronic surveillance to be an invasion of their privacy, others believe that it is useful in giving good performers greater recognition for their efforts (Bell DeTienne, 1992).
□ Mediated Interpersonal Communication With the widespread use of telephones, fax machines, computers, and overnight delivery services, many interpersonal work relationships are routinely conducted by people who never meet face-to-face. The result is a new hybrid of social relationships that we call mediated interpersonal communication. Mediated forms of written communication are popular, particularly in international companies. For example, at Ryobi, a Japanese manufacturing firm with several U.S. subsidiaries, more money is spent on faxes than on any other form of communication. The same is true of many Asian-owned firms that operate in the United States, where culture demands strict adherence to procedures and an ongoing flow of information about work processes. However, at Sagem-Lucas, a French and British partnership with U.S. subsidiaries, appointed representatives are sent to the United States for several weeks to become acquainted with business colleagues and the local culture.
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The representatives report back to the company’s headquarters in Europe, where their on-site observations become the topic of internal memos, faxes, and computerbased communication. Similar patterns of mediated communication are found in U.S. companies. For many companies, real offices are being replaced by virtual ones (Gephart, 2002). A virtual office, with most of the usual functions of an office, can be literally anywhere the user can gain access to a high-speed or wireless Internet connection. Desktop computers, modems, and multiple phone lines serve communication needs, while productivity can be up to 20 percent higher than that of office-based workers, who are sometimes referred to as nondistributed workers. Distributed workers — those working in a virtual office — also tend to experience less job-related stress (Grantham, 1999). Time will tell what new challenges and opportunities will arise in the transition to what has recently been called “nomadic” work (Bean & Eisenberg, 2006). As many of the logistical problems involving collaborative media and file transfer have been resolved, we can more productively turn our attention to the effect of such arrangements on social relationships and organizational culture. Research on e-mail usage reveals the tendency of users to feel less inhibited online and to say things that they would not in a face-to-face encounter. One would expect a similar dynamic to surface in distributed work. At the same time, the potential for outrageous emotional displays may be somewhat modulated by the increase in electronic surveillance (discussed in the previous section). As nearly everyone who works for a living comes to appreciate that their electronic communication is open to public scrutiny, we may see norms develop that encourage less, not more, intense disclosure.
Summary Successful organizations have strategies. There are two general types of competitive strategies: lowest-cost strategy and differentiation. To succeed, a company must select its strategy carefully and then purposefully align its systems and structures to reflect that strategy. Competitive strategies are only as good as how they are communicated. When employees truly understand the big picture, they are most likely to work in ways that support the overall direction of the firm. The management of human resources has become a highly sophisticated discipline that addresses how companies can best attract, develop, and retain talented employees. Targeted selection is the conscious selection of employees with abilities that support the company strategy. Performance management is the system by which employee accomplishments are measured and discussed. Training and development opportunities are made available to employees to support continuous learning. To be successful, a company’s human resources function must be well integrated and become part of the corporate culture through its inclusion in regular conversations about results and improvement.
Chapter 9: Organizational Alignment
Learning has become the watchword for organizational effectiveness in the twenty-first century. The world changes so quickly that companies must continually be willing to question their assumptions about reality. Organizations and their employees must continually learn new skills and new technologies; some scholars even promote the idea of offering courses in the humanities to help promote lifelong critical thinking skills. Communication technology serves both to bring additional knowledge to the organization and to permit more and better connections among employees through computer-assisted communication technologies and computer-assisted decision-aiding technologies. Technology is fundamentally changing every aspect of work and life, and scholars are mixed in their assessments of its benefits and detriments. Those who hold a utopian view believe the technology has had a positive effect on equalizing power relationships, while those with a dystopian view are more pessimistic, believing that technology will continue to create a divide between the haves and the have-nots around the world. A neutral view of communication technology states that technology has no significant effect on human behavior: People will respond in predictable ways whether or not technology is involved. The contingent view is possibly the most realistic, noting that communication technology has advantages and disadvantages that are derived mainly from the way an individual or company chooses to utilize it. Regardless of which view one takes, it is clear that technology will continue to have a large-scale impact on individuals and companies, particularly in the areas of interpersonal communication and privacy.
Questions for Review and Discussion 1. Why is it important to take a bird’s-eye view of an organization in charting its future? 2. How do competitive strategies and competitor analysis work together to effectively position an organization? What role might the specific strategies we mentioned (lowest-cost strategy and differentiation) play as well? 3. What happens to companies that are not consciously positioned in the marketplace, or to those whose employees are unaware of their companies’ positioning? 4. Which elements of strategic alignment seem the most challenging, and why? 5. In what ways does human resources management contribute to the successful implementation of company strategy? What are the roles of targeted selection, performance management, and training and development? 6. What are learning organizations, and why are they at an advantage in today’s competitive market? 7. What are the pros and cons of computer-assisted communication technology and computer-assisted decision-aiding technology? What view do you take of such technology: utopian, dystopian, neutral, or contingent? Why?
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Key Terms Competitive strategy, p. 282 Competitor analysis, p. 283 Computer-assisted communication technology, p. 301 Computer-assisted decision-aiding technology, p. 301 Contingent view, p. 303 Differentiation, p. 284 Dystopian view, p. 303 High-performance practice, p. 293 Lowest-cost strategy, p. 284 Media richness, p. 306 Mediated interpersonal communication, p. 307
Neutral view, p. 303 Organizational development (OD), p. 297 Performance management, p. 294 Strategic alignment, p. 288 Strategic positioning, p. 282 Strategic thinking, p. 281 Superordinate goal, p. 288 Synchronicity, p. 306 Targeted selection, p. 293 Total quality management (TQM), p. 291 Training and development, p. 294 Utopian view, p. 302
Chapter 9: Organizational Alignment
CASE STUDY I
Hacked Off Computer hackers pose threats to Internet users as well as to commercial, public, and governmental computer files and systems. By “hacking into” company or government files or by inserting computer viruses into these systems, hackers can do major harm in a very short period of time. One particularly noxious hacking venture involved the creation of “zombie” computers that flooded Internet sites with junk messages, effectively shutting them down for business for three days. Losses were estimated to be in the tens of millions of dollars. One of the outcomes of computer hacking has been an increased need for security from such attacks. Some companies forbid employees from removing company computers or software from the premises, thus reducing the ability of some employees to work offsite or at home. In an unprecedented case in 1999, a former director of the Central Intelligence Agency was called on the carpet for taking his laptop home because it contained some secret and top secret files. Clearly, the rapid expansion of — and now dependence on — computer technologies in business and government has created unprecedented challenges to the management of organizations. Balancing the legitimate needs of users with the legitimate rights of an organization to protect itself is a delicate activity. Based on your reading in this chapter as well as your own experiences, how would you go about establishing a fair and equitable policy about the use of technology in the workplace?
Assignment 1. How should a business strategy be used to guide the development of a technology policy? 2. Would the 7-S model be useful in helping you develop such a policy? How? 3. What input should you seek in developing the particulars of such a policy? 4. How important do you think the language of the policy will be to its successful implementation? 5. What steps should you take to ensure the successful implementation of the policy? 6. How would you assess the effectiveness of the policy?
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CASE STUDY II
The University Start-Up Due to your reputation as an organizational communication expert, you have been invited to speak to a special session of Congress on “The Future of Higher Education in America.” Your initial inquiries into the reason for the invitation reveal that what the representatives most want to know is how the government can encourage private investors to start new colleges and universities to dramatically increase the number of college graduates in the United States. The legislators cite the fact that the United States produces significantly fewer college graduates compared with competing developed nations, according to a report prepared for Making Opportunity Affordable, a major initiative supported by Lumina Foundation for Education. The report, “Hitting Home: Quality, Cost, and Access Challenges Confronting Higher Education Today” (March, 2007), says that this “degree gap” — the difference between the expected U.S. degree production and the degree production needed to compete with the best-performing nations — will reach nearly 16 million degrees by 2025. The degree gap, the report says, threatens the nation’s ability to maintain its economic competitiveness, build a labor force ready to take on high-skill jobs, and close racial and ethnic disparities in earnings and academic success. The United States is being confronted with the degree gap at a time when the high-skill jobs that require advanced learning will make up almost half of all job growth in the United States.
Assignment Your job is to describe the desired thought process and the steps that entrepreneurial investors should take in designing a new college or university. In particular, focus on the following: 1. What kind of environmental and competitor analysis is appropriate to determine the need and preferred location for a new college? Does location even matter given the proliferation of online learning opportunities? 2. Of all the strategies described in this chapter, which ones are available for colleges and universities? Given your best projection about the results of the environmental analysis, which competitive strategy would you likely recommend?
Chapter 9: Organizational Alignment
3. Designing a new organization is a tremendous opportunity to rethink assumptions and do things in new ways. What are the top three things you would do (or not do) with the new school to ensure alignment with your chosen strategy? How much would the new “from scratch” college look like institutions you have attended? 4. What are some of the ways you would recommend that this new institution communicate its strategic position to the public? 5. Overall, how do you think your testimony will be received by Congress? What will the existing higher education community think of it? Why?
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APPENDIX
A Field Guide to Studying Organizational Communication
Many students enrolled in an organizational communication course are required to write a term paper. Usually, the paper involves applying concepts from the course to ongoing communication processes within an organization. In most cases, when presented with the requirement to write a paper of this sort, students ask for more specific guidelines — the practical how-tos — of studying organizational communication. For this reason, we have prepared the following practical field guide to studying organizational communication. The use of the term field guide is intended to evoke an ethnographic approach to collecting data, analyzing it, and writing the paper. (For an extended discussion, see Goodall, 2000.) An ethnographic approach uses • Naturalistic observation of everyday communication episodes and events as the primary source of data • Participant-observer interaction and interviews to collect stories, accounts, and explanations for the events and episodes observed • A critical/historical framework for developing key questions, problems, and issues to pursue through observations of and interactions with employees • A narrative format for describing and analyzing the data In short, what we describe is a way of doing field research in an organization for the purpose of finding and telling the story of one or more of its everyday communication practices.
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FINDING AN ORGANIZATION TO STUDY One of the axioms of organizational ethnography is that you must “know where you are” (Goodall, 1994, p. 176). This means (in academic-speak) that all knowledge is contextually derived; it also means that it is a good idea to study an organization within the community in which you live. Why? Because chances are pretty good that access to the organization will be easier to acquire (e.g., friends and family members may work there, you may have had summer employment or an internship there, you may know someone who knows someone, etc.). Additionally, you will probably have a basic understanding of the history and role of the organization within the community, which will come in handy when you write the paper. If you are not a local and don’t have personal contacts that can provide access to the organization for the purpose of conducting a communication study, ask your instructor for advice and guidance. Approaching an organization for the purpose of doing a study is always problematic. Many for-profit companies and government agencies strictly limit access to employees and usually have no interest in allowing students from the local college or university to hang around observing people, interviewing employees and managers, and otherwise disrupting their work. Some companies even have regulations against it — and no company or agency is required to let you inside. For these reasons, it is a good idea to develop a professional relationship with the organization you want to study before requesting permission to do a communication study. The more the people you contact trust you, the more they learn to see you as a serious person, the more likely it is that they will cooperate with your goals. To facilitate your professional relationship, we recommend the following: • Write a one-page proposal detailing the purpose and time frame for your study, the methods of data collection that you plan to use, and the anticipated results. Your instructor can provide you with examples from prior student projects. • Offer to provide the organization with a copy of your final paper. Agree that nothing you discover or write about will be disseminated to the public without prior written approval by the company. • Always arrive at any appointment on time, dressed in a professional manner appropriate to the standards of the organization you want to study, with a prepared list of questions to ask and a way of recording or keeping notes of the interview. • Never directly interfere with ongoing organizational work. Make your observations as unobtrusively as possible; schedule interviews for times convenient for the interviewees.
APPENDIX: A Field Guide to Studying Organizational Communication
FRAMING YOUR STUDY To write a proposal for the study, you will first need to develop a research question and ground your study in the current research literature. These writing processes are called “framing a study” because, like placing a photograph within an appropriate frame, they allow you to place your story within a larger academic or professional narrative. There are three major resources for locating information that might help you frame a study. First, as a student, you are part of a college or university that has resident experts in just about every aspect of life. Locate an instructor with research expertise in the general area that interests you. Arrange to interview her or him to find out what the current thinking is on the general topic you have selected. Be sure to ask what the two or three best articles are on the subject, and then go to your library and check them out. For example, let’s assume you want to study the specific organizational practices associated with building and maintaining a learning organization. Chances are good that someone in the communication department or the business school will be able to help you find resources to frame a study of a learning organization. The second resource is the library. Using the references provided in this book — as well as any additional ones provided by your instructor and local university experts in the subject area — you should be able to conduct library research on most topics relevant to organizational communication. If the library research process is unclear to you, contact your library for information about the research librarian most able to assist you with finding information about your topic. A third resource is the Internet. By accessing on-line search engines like ProQuest and typing keywords, you can search a variety of databases for information. You may also join an Internet-based chat room or bulletin board where your topic is being discussed. Professional academic organizations typically sponsor such Internet activities and research sites. We recommend beginning your search by visiting the American Communication Association research site http://www .americancomm.org/ or the National Communication Association research site http://www.natcom.org. You may also find relevant information by checking out the home pages of organizational communication scholars, who sometimes provide links to rich research resources relevant to their specialties. After reading the available research on the general topic you plan to pursue, you should be able to articulate some of the questions that are of concern to scholars and professionals. Adapt these questions to the organization you plan to study and to the purpose of your paper. Framing your study before you enter the organization for observations and interviews provides you with an important way to limit what you are looking at and asking questions about. You have to know what you are looking for in order to find
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APPENDIX: A Field Guide to Studying Organizational Communication it. However, as any ethnographer will tell you, surprises and setbacks will occur. You may find that the initial research question you posed doesn’t really get at the meaning of the interactions you observe and participate in, or you may discover that you cannot complete all of the interviews you had planned. These are not necessarily problems, but they may be challenges. You may need to modify your research question. Settle for fewer interviews. Find other people to talk to. You may even need to reframe your study in light of what you find is really happening.
TEN ASSUMPTIONS ABOUT DOING FIELD RESEARCH 1 Organizational field researchers are interested in telling the stories that make up everyday organizational life. As such, they rarely are interested in issues typically associated with managerial notions of efficiency. For example, rather than asking how a particular routine can be streamlined or reengineered to improve the efficiency of an operation, field research asks how that particular routine came to be a routine and what it requires (mentally, morally, physically, culturally) of a person or group to accomplish it. Other characteristics of field research include: 1. Field research is qualitative in nature. The quality of it is largely dependent on the insights discovered by the researcher. By contrast, many worthwhile organizational studies are quantitative, which means that they derive their conclusions from facts that are amenable to statistical tabulation and analysis. Field research, being qualitative, derives insights from close observation of actual, ongoing, communication processes. Conclusions are generalizable; insights are contextual. 2. Field research begins from theoretical assumptions and conceptual underpinnings but is more generally dedicated to providing documentation for the moral and ethical knowledge of working. For this reason, many contemporary ethnographic studies of organizations focus on issues of power and strategic control, as well as on race, age, and gender. 3. Field research assumes that every organization is as unique as an individual human fingerprint. One way to think about this is that people are not understood as “types,” and activities and practices are not reducible to “behaviors.” 4. What people at work say and do are the substance of who they are (at work) and what your study should be about. By comparison, think of what you
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Some of the material contained in this section is adapted from a working paper developed by Michael E. Pacanowsky, “An Idiosyncratic Compilation of the Twenty-Seven Do’s and Don’ts of Organizational Culture Research,” unpublished paper, Department of Communication, University of Utah, 1986.
APPENDIX: A Field Guide to Studying Organizational Communication
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are studying as an exercise in observing and documenting a television sitcom about work. What is the setting? Who are the characters? Where do they come from? What are their dreams? What do they think about their jobs? About each other? What do they talk about? What clothes do they wear? And so on. You might want to practice your skills by observing and analyzing just such a television show. Remember that you won’t be watching a television show when you enter an organization. These aren’t actors performing rehearsed scripts written by someone else. That is a major difference, and one that ultimately matters. You are studying ongoing life — real life. In real-life studies, expect a lot of empty spaces between the meaningful interactions. Don’t expect conflicts to be solved in thirty minutes or less. People won’t be as funny as they are on television, nor are they working out a predetermined theme. The theme, the thing you are studying, the story you are trying to find and tell about, emerges gradually from disparate places and people. You are the scriptwriter. Don’t neglect the places — the contexts — and their influences over the interaction. As Marshall Sahlins, a famous anthropologist, once put it, “A culture is the meaningful order of persons and things.” Don’t forget to observe things. Describe them. Ask people to comment on their meanings, here. There is no such thing as “an organization.” In real life, there are only “organizations,” which means that every person you observe and talk to will have a slightly different take on what “reality” is. The farther you move away from a particular group of people who interact regularly and have tacitly agreed to see reality in similar ways, the more different and complex “reality” becomes. You aren’t going to find any one truth. At best, you will find many copresent and conflicting truths. That is why field researchers learn to think (and write) about life as a “plural present” (Goodall, 1991a, p. 320). If you doubt this statement, ask the same question three levels up the organization’s ladder from where you are locating your study, and then three levels below it. You are studying the particulars of human actions. Pay close attention to details. Nuances of speaking, of gesturing, of touching, of not saying something, all count. You are looking at what is said and done, what is given or foregrounded, but you are searching for what is unspoken, not done, withheld, and in the background, in the depths of shadows only the actors know. Write down everything you observe and hear. You never know what will end up being important. Tape-record or videotape what you are allowed to record. Write out your notes and transcriptions the same day you take them (or else you lose 83 percent of the meaning), and write them out in story format. That is how, when, and where you will ultimately find the story line.
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HOW TO STUDY NATURALISTIC COMMUNICATION IN AN ORGANIZATION: A BASIC PROCESS OUTLINE WITH COMMENTARY 2 We have found that it is very useful to instruct students to take field notes on their observations, interviews, conversations, and personal reflections on the meanings of people at work. Taking field notes is akin to keeping a diary, but instead of writing about your family and your love life, you write about your working life. In a notebook or on your computer, describe the events of your day, make theoretical and practical connections to what you are reading and thinking about, and try to use the writing process to help you figure out how to connect the dots that gradually emerge from your study. To help you take field notes, here is a list of people and things, activities, symbols, and events that occur and have some meaning in most organizations. This list may help you isolate field note entries and organize your research. • Begin in the parking lot. Begin early. Watch the cars file in, and note where they park. Make notes on the kinds of vehicles that individuals drive. At lunchtime, observe who drives the gang from work, and where they go. If possible, join in on their lunch conversations. Watch when they leave work in the afternoon or late evening. Who leaves last? Why? • Phone the public relations department, and ask for a company tour. Explain that you are doing research on similar types of companies in the area. Listen carefully to what the official version of the company is during the tour, and collect as much written documentation as possible. These resources will become important to you later. • Research the financial standing of the company if it is publicly held. How is it doing? How does it compare to other companies in the industry? Do a keyword search for the local newspapers in your library to see what kinds of stories have appeared about the company and about its people in the past year or so. These details can become useful as a way of understanding the evolving context of the interaction. • Make a chart of all the people (or the department) you plan to include in your study, and note their organizational relationships to one another. Ask yourself how your understanding of organizational hierarchies may inform what you are observing. 2
The following outline will not apply equally to all organizations or be appropriate for all classes in organizational communication. Some advisories provided here will fit the place you want to study; some won’t. We recommend limiting your study to a particular work group, team, or department, but your instructor may want a larger-scale study. Depending on your instructor’s preferences, you may also want to conduct a quantitative study, in which case all of the information in this appendix may help you create material from which you develop hypotheses to test via surveys or experiments.
APPENDIX: A Field Guide to Studying Organizational Communication Using what you have read in this book about classical theories of organization and communication, what kind of organization would you say this is? Do you see Frederick Taylor or Abraham Maslow lurking about? Is this more like a Theory X or a Theory Y company? Are elements of all of the classical theories evident here? If not, why not? If so, what does this suggest to you about theories of organizing or about this place? Now think about this group or department as a system or as part of a system. Draw or describe the group’s interactions accordingly. Think about the organization of feedback among members of the group. Think about access to and distribution of information. Listen to their accounts of “how things are around here,” and see if Karl Weick’s “retrospective sense making” helps you understand them. Keep applying ideas from what you read to what you are seeing, hearing, and attending to. Now do the same sort of thing with your knowledge of organizational cultures, by assuming that these people are part of a culture. They are part of a culture, so this shouldn’t be too difficult. Ask questions about leadership and power. Who is in charge here — really in charge? How do you know that? What is it about this person’s communication, manner, style, or attitude that conveys this to the people here? Perhaps there is no one leader. How is leadership shared? What does that mean, in terms of exchanges of talk, every day? In either case, how are individuals’ control needs being met? How are they negotiated? What conflicts exist? How do you know this? What happens to inform your evaluations and your judgments? • Using what you have learned about the study of power, how would you describe its uses and abuses in this locale? Is power linked to gender? To race? To age? To beauty? Are there different forms and expressions of power? Is power related to expertise? If so, how? If not, what is it related to? • Given that all organizations exist within a global economic structure and have dealt with issues of reorganization, downsizing, team-based organizing, flattening hierarchies, information technologies, and other concepts associated with the rise of the postmodern, what stories are told here about all of that? Are there heroes and heroines? Villains? Legendary mistakes? Bits of good fortune? What do these people talk about when they talk about the future? Are there active company training programs? What do people say about them? Are they preparing for a lifetime of employment with this company? • You want to find as much as you can about each individual’s personal experience of work. See what you can observe, discover, or otherwise find out about the organizational socialization process, about signs of organizational identification, satisfaction, and burnout. How do individuals deal with differences that make a difference in the workplace? (See Chapter 7.) How do people negotiate the work/life balance? What stressors do people routinely deal with? How do they deal with them? Is there any difference between what they say and what you observe? What can this mean?
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APPENDIX: A Field Guide to Studying Organizational Communication • How are work groups, teams, and networks organized in this organization? What systems of problem solving and decision making are employed? What is the influence of information technology on their operation and functions? What have you learned from reading about groups, teams, and networks that seems to apply directly to what happens here? What doesn’t apply? For example, do you find evidence for the concept of team learning or interorganizational networks? • You want to attune yourself to the ways in which the overall vision, mission, and core values of the organization play out in everyday discourse and interactions. Are the workers familiar enough with the organization’s vision, mission, and values to talk openly about them? Do they try to consciously apply them to their everyday work habits? Where are the deviations? Why are there deviations? Are the deviations a sign of resistance or perhaps only of ignorance? How does this group or department handle crises? How do individual members’ identities figure into the image of the firm? • Trace the uses of technology in this organization. Are there stories about the introduction of new technologies? What lessons were learned about technology that are practiced today? How are the members of this department preparing themselves for continuing demands for technological skill and knowledge? How has the availability of laptop computers, cell phones, pagers, and the like changed their working and personal lives? How do they feel about this? • What is the role of communication consulting and training in this group or department? Is there an overall company plan for training and development, or is it left up to the individual workers? What kinds of issues or problems are managed by the group or department, and what kinds of issues or problems require the assistance of a professional consultant? How satisfied are the employees with past consulting interventions? What stories do they tell? How do the members describe the future of this company or agency? Do their metaphors suggest particular scenarios? • Remember, you are studying everyday communication in this organization. How are you defining communication for the purposes of your study? What counts as communication? What doesn’t? How valuable is our definition in your study? Can you see communication as the moment-to-moment working out of the tensions between individuals’ desire for creativity and the organization’s need for constraint (order)? When you examine your field notes with this definition in mind, what is accounted for? What is left out? • If you are still having trouble deciding how to tell this story, go back over your notes and look carefully at the metaphors used by employees and managers. Many organizational scholars believe that people live and interpret their lives through the linguistic lenses of their daily metaphors. What metaphors do you find in their talk? What metaphors do you see in their actions and activities? What does the presence of these particular metaphors
APPENDIX: A Field Guide to Studying Organizational Communication suggest are their binary opposites? Are the binary opposites places where you can also make sense of the unsaid, the unspoken, the covered up, or the neglected? • When you write your account, include as many particulars — reports of conversations and observations of actions, clothes, cars, and gestures — as you can. These are your primary sources of evidence for the case that you are making. Remember that it is a case that you are making. You are ultimately responsible for what you say. Your views will not necessarily be the views of the people you have observed, of your instructor, or of the authors of this textbook. Write what you have lived through, what you have experienced, in the course of doing your research. • Make sure you follow the style guide (APA, MLA, Chicago, Turabian, etc.) appropriate to your instructor’s requirements.
TYPICAL ORGANIZATION OF A PAPER BASED ON FIELD STUDY METHODS Research reports typically follow an established pattern. Below we offer one you can use to organize your paper. Title page Title of the paper Your name, class, and instructor Date Academic integrity statement (optional) Abstract Brief description of the purposes of the study and its conclusions Introduction Narrative orientation to the company, team, or department studied Statement about the specific purpose of the study Literature review (focusing on the specific topic area) Research questions Description of method chosen to answer the questions Body Narrative account of the organization’s communication organized linearly over time from initial observations through final conclusions and topically by communication issue or question raised Analysis and interpretation of the field study via research questions
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APPENDIX: A Field Guide to Studying Organizational Communication Conclusion Review of the study, purpose, method, and major insights Link or contribution of this study to current literature on the topic Conclusion and suggestions for future research References Good luck! Studying and writing about organizations and communication can be an interesting and rewarding activity. It allows you to really work with concepts, apply them to ongoing processes of communicating and organizing, and find meaning in otherwise everyday occurrences. It will enrich your educational experience.
References
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